HomeMy WebLinkAbout2019-08-27 - Board of Directors Meeting Agenda Packet (B) Yorba Linda
Water District
AGENDA
YORBA LINDA WATER DISTRICT
BOARD OF DIRECTORS REGULAR MEETING
Tuesday, August 27, 2019, 6:30 PM
1717 E Miraloma Ave, Placentia CA 92870
1. CALL TO ORDER
1.1. TELECONFERENCE SITE
4869 Royal Coachman Dr, Elkridge MD 21075
One of the Directors will be participating via teleconference at the above listed
location. In accordance with the Ralph M. Brown Act, members of the public
may attend and participate in the meeting at both sites.
2. PLEDGE OF ALLEGIANCE
3. ROLL CALL
Brooke Jones, President
Phil Hawkins, Vice President
Andrew J. Hall, Director
J. Wayne Miller, Director
Al Nederhood, Director
4. ADDITIONS/DELETIONS TO THE AGENDA
Items may be added to the agenda upon determination by a two-thirds vote of the Board, or a
unanimous vote if only three Directors are present, that there is a need to take immediate action which
came to the District's attention subsequent to the agenda being posted. (GC 54954.2(b)(2))
5. INTRODUCTIONS AND PRESENTATIONS
5.1. Sewer Assessment and Community Facilities Districts - Greg Davidson,
Director, NBS
5.2. Elected Official Liaison Reports
5.3. Federal and State Legislative Update
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 three minutes and must be related to matters of public interest within
the jurisdiction of the Water District. (GC 54954.3)
Page 1 of 53
7. CONSENT CALENDAR
All items on the consent calendar are considered routine and may be approved by a single motion.
There will be no discussion of these items unless a member of the Board, staff, or public requests
separate consideration.
7.1. Unaudited Financial Statements for Fourth Quarter of FY 2019
Recommendation. That the Board of Directors receive and file the Unaudited
Financial Statements for Fourth Quarter of FYI 9.
7.2. Terms and Conditions for Water Service with HQT Homes for Tract 18129
Recommendation. That the Board of Directors approve the Terms and
Conditions for Water Service with HQ Homes for Tract 18129, Job No.
201942
7.3. Amendment to the Water and Sewer Facilities Agreement between the Yorba
Linda Water District and North County BRS, LLC for the Cielo Vista
Development Project
Recommendation. Staff recommends that the Board approve the First Amendment
to the Cielo Vista Project Water and Sewer Facilities Agreement dated August 1,
2018, conditioned on the Property Owners'signatures to the Amendment within 30
days of this approval.
7.4. Payment of Bills, Refunds, and Wire Transfers
Recommendation. That the Board of Directors ratify and authorize
disbursements in the amount of$1,148,729.25.
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. Performance of Water/Sewer Rate Study - Board Questionnaire
Recommendation. That the Board of Directors provide staff with direction and a list
of requirements that will be implemented in the next Water/Sewer Rate Study.
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. Budget to Actual Reports for the Month Ending July 31, 2019
9.2. Cash & Investment Report for Period Ending July 31, 2019
10. REPORTS, INFORMATION ITEMS, AND COMMENTS
10.1. Directors' Reports
10.2. General Manager's Report
Page 2 of 53
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
(Jones/Hawkins)
• Minutes of meeting held July 25, 2019 at 4:00 p.m.
• Next meeting is scheduled September 26, 2019 at 4:00 p.m.
11.2. Joint Agency Committee with City of Yorba Linda
(Jones/Hawkins)
• Next meeting is scheduled September 16, 2019 at 4:00 p.m. at Yorba
Linda City Hall.
11.3. Joint Agency Committee with City of Placentia
(Jones/Hawkins)
• Next meeting is yet to be scheduled.
12. BOARD OF DIRECTORS ACTIVITY CALENDAR
12.1. Meetings from August 28 - October 31, 2019
13. ADJOURNMENT
13.1. The next Regular Board of Directors Meeting will be held Tuesday, September
10, 2019. 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 Meetinq
Non-exempt materials related to open session agenda items that are distributed to a majority of the Board or
Committee less than seventy-two (72) hours prior to the meeting will be available for public inspection in the lobby
of the District's Administrative building located at 1717 East Miraloma Avenue, Placentia CA 92870 during regular
business hours. When practical, these materials will also be available on the District's website
(http://www.ylwd.comn. (GC 54957.5)
Accommodations for the Disabled
Requests for disability-related modifications or accommodations, including auxiliary aids or services, required for
participation in the above posted meeting should be directed to the Board Secretary at (714) 701-3020 at least 24
hours in advance. (GC 54954.2(a))
Page 3 of 53
ITEM NO. 5.1.
Yorba Linda
Wat ir District
AGENDA REPORT
MEETING DATE: August 27, 2019
TO: Board of Directors
FROM: Marc Marcantonio, General Manager
STAFF CONTACTS: Rosanne Weston, Engineering Manager
SUBJECT: Sewer Assessment and Community Facilities Districts - Greg
Davidson, Director, NBS
Presentation will be presented at Board meeting.
Page 4 of 53
ITEM NO. 7.1.
Yorba Linda
Wat ir District
AGENDA REPORT
MEETING DATE: August 27, 2019
TO: Board of Directors
FROM: Marc Marcantonio, General Manager
STAFF CONTACTS: Delia Lugo, Finance Manager
Kelly McCann, Senior Accountant
SUBJECT: Unaudited Financial Statements for Fourth Quarter of FY 2019
RECOMMENDATION:
That the Board of Directors receive and file the Unaudited Financial Statements for Fourth
Quarter of FY19.
SUMMARY:
Presented are the Unaudited Financial Statements for the Period Ending June 30, 2019 for
the District.
BACKGROUND:
For the period, ending June 30, 2019, 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, Consolidated Budget to Actual Statement, as well as the
individual Water and Sewer Budget to Actual Statements.As reported in the Balance Sheet of
the Statement of Net Position, the District's Net Position reflects a negative result when
compared to that of the same reporting period of the prior fiscal year by approximately
$525,000. This is prominently due to a decrease in Capital Assets with the removal of
disposal of assets during the fiscal year.
Cumulative Volumetric Water Revenue, as reported through the Period Ending June 30, 2019,
reflects an average decrease in customer consumption of approximately 11.86% as compared
to prior year for the same reporting period. Residential classified customer connections have
had the largest decrease in consumption for this reporting period.
Total Variable Water Costs results reflect 11.05% decrease when compared to prior year for
the same reporting period. The decrease in costs is reflective of lower demands from the
Page 5 of 53
water system and the District's increased ability to support demand, the last couple of months
in particular, with Ground Water supply due to the District's BPP being increased to 75%.
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 of the Water Enterprise for the Period Ending June
30, 2019 is being reported at 229%. This demonstrates the District's strong financial health.
STRATEGIC PLAN INITIATIVE(S):
G2 3B - Regularly assess net position and steps to meet strategic goals.
ATTACHMENTS:
1. 4th Quarter FY19 Financial Reports
Page 6 of 53
YORBA LINDA WATER DISTRICT
UNAUDITED COMBINING SCHEDULE OF NET ASSETS
June 30, 2019
(With June 30, 2018 Actuals for comparison only)
ASSETS June 2019 June 2018
CURRENT ASSETS:
Cash and cash equivalents $ 34,306,643 $ 33,742,498
Investment 4,108,975 3,710,774
Accounts receivable-water and sewer services 3,855,394 4,153,375
Accrued interest receivable 105,086 51,039
Notes Receivable - -
Prepaid expenses&other deposits 288,064 170,557
Inventory 283,523 248,489
TOTAL CURRENT ASSETS 42,947,685 42,076,732
NONCURRENT ASSETS:
Bond issuance costs 350,727 375,558
Deferred Pension Plan 2,336,243 2,749,826
Deferred OPEB Plan 418,896 399,599
Capital assets:
Non-depreciable 2,730,750 10,788,120
Depreciable, net of accumulated depreciation 188,179,823 183,473,003
TOTAL NONCURRENT ASSETS 194,016,439 197,786,106
TOTAL ASSETS 236,964,124 239,862,838
LIABILITIES
CURRENT LIABILITIES:
Accounts payable 5,799,954 5,493,687
Accrued expenses 1,608 2,076
Accrued OPEB - 1,743
Accrued interest payable 393,864 405,264
Refunding Revenue Bond(s)-current portion 1,175,000 1,140,000
Compensated absences 390,465 438,816
Customer and construction deposits 582,444 553,128
Deferred revenue 224,267 268,592
TOTAL CURRENT LIABILITIES 8,567,602 8,303,306
LONG-TERM LIABILITIES (LESS CURRENT PORTION):
Deferred annexation revenue 13,112,931 13,607,976
Compensated absences 1,171,396 1,316,446
Net Pension Liability 8,449,114 8,575,054
Net OPEB Liability 2,046,040 2,273,415
Deferred Pension Plan 432,283 639,586
Deferred OPEB Plan 43,597 44,966
Deferred Inflow-Gain on Bond 98,076 103,171
Refunding Revenue Bond(s) 37,691,080 39,122,056
Certificate of Participation - -
TOTAL LONG TERM LIABILITIES (LESS
CURRENT PORTION) 63,044,517 65,682,670
TOTAL LIABILITIES 71,612,119 73,985,976
NET ASSETS: $ 165,352,005 $ 165,876,862
Page 7 of 53
YORBA LINDA WATER DISTRICT
UNAUDITED COMBINING SCHEDULE OF REVENUES, EXPENSES
AND CHANGES IN NET ASSETS
June 30, 2019
(With June 30, 2019 Actuals for comparison only)
June 2019 June 2018
OPERATING REVENUES:
Water sales $ 29,819,532 $ 32,082,152
Sewer revenues 2,528,020 2,330,809
Other operating revenues 1,051,906 840,305
TOTAL OPERATING REVENUES 33,399,458 35,253,266
OPERATING EXPENSES
Variable water costs 13,367,873 15,028,132
Personnel services 9,582,814 9,874,215
Supplies and services 4,592,527 4,298,863
Depreciation and amortization 7,322,753 7,465,977
TOTAL OPERATING EXPENSES 34,865,967 36,667,187
OPERATING INCOME/(LOSS) (1,466,508) (1,413,921)
NONOPERATING REVENUES (EXPENSES):
Property taxes 1,874,688 1,749,957
Investment income 819,522 518,600
Interest expense (1,350,616) (1,106,515)
Other nonoperating revenues 977,286 467,250
Other nonoperating expenses (1,550,377) (151,377)
TOTAL NONOPERATING REVENUES/EXPENSES 770,503 1,477,915
NET INCOME/(LOSS) BEFORE CAPITAL
CONTRIBUTIONS, SPECIAL/EXTRAORDINARY ITEM(S) (696,005) 63,994
SPECIAL ITEM(S)-CONSERVATION CREDIT - (1,105,809)
SPECIAL ITEM(S)-RATE CREDIT - (1,100,039)
CAPITAL CONTRIBUTIONS 171,144 3,554,123
CHANGES IN NET ASSETS (524,860) 1,412,270
NET POSITION -BEGINNING OF YEAR 165,876,865 164,464,592
NET POSITION -FOR PERIOD END JUNE 30, 2019 $ 165,352,005 $ 165,876,862
Page 8 of 53
Yorba Linda Water District
Unaudited Water Enterprise Debt Service Ratio Calculation
For Period Ending June 30, 2019
(With June 30, 2018 for comparison purposes)
YTD Debt Prior YTD PY Debt
Actual Service Actual Service
FY19 Calculation FY18 Calculation
Revenue (Operating):
Water Revenue (Residential) $ 14,672,463 $ 14,672,463 $16,151,210 $ 16,151,210
Water Revenue (Commercial & Fire Det.) 1,687,905 1,687,905 1,897,346 1,897,346
Water Revenue (Landscape/Irrigation) 3,411,077 3,411,077 4,031,103 4,031,103
Water Revenue (Service Charge) 10,048,087 10,048,087 10,002,493 10,002,493
Other Operating Revenue 981,071 981,071 763,068 763,068
Total Operating Revenue: 30,800,603 30,800,603 32,845,220 32,845,220
Revenue (Non-Operating):
Interest 687,320 687,320 444,371 444,371
Property Tax 1,874,688 1,874,688 1,749,957 1,749,957
Other Non-Operating Revenue 938,778 443,733 477,630 (17,415)
Total Non-Operating Revenue: 3,500,786 3,005,741 2,671,958 2,176,913
Total Revenue 34,301,389 33,806,344 35,517,178 35,022,133
Expenses (Operating):
Variable Water Costs (G.W., Import& Power) 13,367,873 13,367,873 15,028,132 15,028,132
Salary Related Expenses 8,653,963 8,653,963 8,840,190 8,840,190
Supplies &Services 4,068,320 4,068,320 3,865,733 3,865,733
Depreciation 5,947,042 - 6,098,375 -
Total Operating Expenses 32,037,198 26,090,156 33,832,430 27,734,055
Expenses (Non-Operating):
Interest on Long Term Debt 1,350,616 - 1,106,515 -
Other Expense 1,454,302 1,454,302 109,821 109,821
Total Non-Operating Expenses: 2,804,918 1,454,302 1,216,336 109,821
Total Expenses 34,842,116 27,544,458 35,048,766 27,843,876
Net Position Before Capital
Contributions/Special Items (540,727) 6,261,886 468,412 7,178,257
Special Item-Conservation Credit - - 2,205,847 -
Transfers (To)/From - - - -
Capital Contributions (Non-Cash Transaction - 75,845 - 1,907,644 -
GASB 34 Compliant)
Net Position $ (464,882) $ 6,261,886 $ 170,209 $ 7,178,257
DEBT SERVICE RATIO CALCULATION:
Net Revenues $ 6,261,886 $ 7,178,257
Debt Service $ 2,738,256 $ 2,729,799
% 229% 263%
Page 9 of 53
Yorba Linda Water District
Water Enterprise
FY19 ProForma-Use of Funds
June 2019
FY19 Annual YTD Actuals thru YTD%of
Budget June 2019 Budget
Water Revenue(Residential) $ 16,592,437 $ 14,672,463 88.43%
Water Revenue(Commercial&Fire Det.) 1,964,205 1,687,905 85.93%
Water Revenue(Landscape/Irrigation) 3,863,805 3,411,077 88.28%
Service Charges 10,116,528 10,048,087 99.32%
Other Operating Revenue 827,887 981,071 118.50%
Total Operating Revenue 33,364,861 30,800,603 92.31%
Revenue(Non-Operating):
Interest 310,000 687,320 221.72%
Property Taxes 1,850,000 1,874,688 101.33%
Other Non-Operating Revenue 605,346 938,777 155.08%
Total Non-Operating Revenue 2,765,346 3,500,785 126.59%
Total Revenue $ 36,130,207 $ 34,301,388 94.94%
Expenses(Operating):
Variable Water Costs(G.W., Import&Power)
Water-Related Costs $ 12,247,280 $ 10,528,523 85.97%
Fixed Costs 1,188,085 1,072,599 90.28%
Power-Related Costs 1,358,012 1,766,752 130.10%
Variable Water Costs Related Expenses Total 14,793,377 13,367,874 90.36%
Salary Related Expenses 9,931,772 8,901,050 89.62%
Reduction for Capital Project Labor (279,000) (247,086) 88.56%
Salary Related Expenses Total 9,652,772 8,653,964 89.65%
Supplies&Services
Communications 159,120 151,127 94.98%
Contractual Services 472,966 390,442 82.55%
Data Processing 283,729 264,280 93.15%
Dues&Memberships 82,077 73,970 90.12%
Fees&Permits 264,546 269,225 101.77%
Board Election 69,750 52,742 75.62%
Insurance 281,967 263,807 93.56%
Materials 646,740 907,620 140.34%
District Activities, Emp Recognition 43,013 36,079 83.88%
Maintenance 435,971 435,489 99.89%
Non-Capital Equipment 134,824 133,959 99.36%
Office Expense 40,301 38,495 95.52%
Professional Services 477,904 466,033 97.52%
Training 67,048 39,887 59.49%
Travel&Conferences 125,279 88,299 70.48%
Uncollectible Accounts 2,790 2,727 97.74%
Utilities 169,911 172,300 101.41%
Vehicle Expenses 303,459 281,839 92.88%
Supplies&Services Sub-Total 4,061,395 4,068,319 100.17%
Total Operating Expenses 28,507,544 26,090,157 91.52%
Expenses(Non-Operating)
Other Expense 8,600 18,235 212.03%
Total Non-Operating Expenses 8,600 18,235 212.03%
Total Expenses $ 28,516,144 $ 26,108,392 91.56%
Net Revenues 7,614,064 8,192,996 107.60%
Less: Debt Service(Principal&Interest) 2,738,258 2,738,256 100.00%
Less: Committed Capital Expenditures(PayGo) 4,484,500 3,083,225 68.75%
Transfer to/(from)Reserves 391,306 2,371,515 606.05%
Net Total $ - $ -
Page 10 of 53
Yorba Linda Water District
Summary Financial Report
Water&Sewer Funds
For Period Ending June 30,2019
(With June 30,2018 for comparison purposes)
Annual YTD May June YTD YTD Actual Prior Year Prior Year YTD Actual YTD Actual
Budget Budget Actual Actual Actual (Under)Over June Actual Actual(thru vs vs
FY19 FY19 FY19 FY19 FY19 YTD Budget FY18 June 2018) PY Actual$ PY Actual
Revenue(Operating):
Water Revenue(Residential) $16,592,437 $16,592,437 $1,431,838 $1,970,612 14,672,463 $(1,919,974) $1,963,705 $16,151,210 $(1,478,747) -9.16%
Water Revenue(Commercial&Fire Det.) 1,964,205 1,964,205 160,311 128,819 1,687,905 (276,300) 159,395 1,897,346 (209,441) -11.04%
Water Revenue(Landscape/Irrigation) 3,863,805 3,863,805 354,522 250,477 3,411,077 (452,728) 369,660 4,031,103 (620,026) -15.38%
Water Revenue(Service Charge) 10,116,528 10,116,528 840,323 841,006 10,048,087 (68,441) 834,485 10,002,493 45,594 0.46%
Sewer Charge Revenue 2,229,246 2,229,246 187,455 204,479 2,229,374 129 182,407 2,064,083 165,291 8.01
Locke Ranch Assessments 273,250 273,250 1,338 1,179 298,647 25,397 4,748 266,726 31,921 0.00%
Other Operating Revenue 894,617 894,617 86,938 143,592 1,051,906 157,289 100,183 840,305 211,601 25.18%
Total Operating Revenue: 35,934,087 35,934,087 3,062,725 3,540,164 33,399,459 (2,534,628) 3,614,583 35,253,266 (1,853,807) -5.26%
Revenue(Non-Operating):
Interest 358,000 358,000 45,530 124,778 819,522 461,522 65,199 518,600 300,922 58.03%
Property Tax 1,850,000 1,850,000 65,014 31,431 1,874,688 24,688 32,775 1,749,957 124,731 0.00%
Other Non-Operating Revenue 639,846 639,846 123,011 112,333 977,285 337,439 129,553 467,250 510,035 109.16%
Total Non-Operating Revenue: 2,847,846 2,847,846 233,556 268,542 3,671,495 823,649 227,527 2,735,807 935,688 3420%
Total Revenue 38,781,933 38,781,933 3,296,281 3,808,706 37,070,954 (1,710,979) 3,842,110 37,989,073 (918,119) -2.42%
Expenses(Operating):
Variable Water Costs(G.W.,Import&Powe 14,793,377 14,793,377 1,132,782 1,359,106 13,367,873 (1,425,504) 1,441,991 15,028,132 (1,660,259) -11.05%
Salary Related Expenses 10,784,493 10,784,493 1,043,039 655,465 9,582,815 (1,201,678) 1,224,115 9,874,215 (291,400) -2.95%
Supplies&Services 4,571,268 4,571,268 312,085 652,907 4,592,526 21,258 499,554 4,298,861 293,665 6.83%
Total Operating Expenses 30,149,138 30,149,138 2,487,906 2,667,478 27,543,215 (2,605,924) 3,165,660 29,201,208 (1,657,994) -5.68%
Expenses(Non-Operating):
Interest on Long Term Debt 1,325,785 1,325,785 111,602 111,601 1,350,616 24,831 (150,237) 1,106,515 244,101 22.06%
Other Expense 14,200 14,200f2,033) 563,990 1,550,377 1,536,177 206,162 151,377 1,399,000 924.18%
Total Non-Operating Expenses: 1,339,985 1,339,985 1(}9,569 675,591 2,900,993 1,561,008 55,925 1,257,892 1,643,101 130.62%
Total Expenses 31,489,123 31,489,123 2,597,475 3,343,069 30,444,208 (1,044,916) 3,221,585 30,459,100 (14,892) -0.05%
Net Position Before Capital Contributions 7,292,810 7,292,810 698,806 465,637 6,626,746 (666,064) 620,525 7,529,973 (903,227) -12.00%
Special Item - - - - - - (2,205,847) 2,205,847 -100.00%
Capital Contributions(Non-Cash - - 132,588 171,144 171,144 4,853 3,554,122 (3,382,978) 0.00%
Transaction GASB 34 Compliant)
Net Position Before Depreciation 7,292,810 7,292,810 698,806 598,225 6,797,890 (494,920) 625,378 8,878,248 (2,080,358) -23.43%
Depreciation&Amortization 7,726,142 7,726,142 604,259 602,042 7,322,754 (403,388) 625,262 7,465,978 (143,224) -1.92%
Total Net Position $ (433,332) $ (433,332) $ 94,547 $ (3,817) $ (524,864) $ (91,532) $ 116 $ 1,412,270 $(1,937,134) -137.16%
Capital-Direct Labor (300,000) (300,000) (27,657) 315,944 - 300,000 (17,053) -
Page 11 of 53
Yorba Linda Water District
Water Fund
For Period Ending June 30,2019
(With June 30,2018 for comparison purposes)
Annual YTD June YTD YTD Actual Prior Year Prior YTD YTD Actual YTD-CUR
Budget Budget Actual Actual (Under)Over June Actual Actual(thru vs vs
FY19 FY19 FY19 FY19 YTD Budget FY18 June 2018) PY Actual$ PY Actual
Revenue(Operating):
Water Revenue(Residential) $ 16,592,437 $ 16,592,437 $ 1,970,612 $ 14,672,463 $ (1,919,974) $ 1,963,705 $ 16,151,210 $ (1,478,747) -9.16%
Water Revenue(Commercial&Fire Det.) 1,964,205 1,964,205 128,819 1,687,905 (276,300) 159,395 1,897,346 (209,441) -11.04%
Water Revenue(Landscape/Irrigation) 3,863,805 3,863,805 250,477 3,411,077 (452,728) 369,660 4,031,103 (620,026) -15.38%
Water Revenue(Service Charge) 10,116,528 10,116,528 841,006 10,048,087 (68,441) 834,485 10,002,493 45,594 0.46%
Other Operating Revenue 827,887 827,887 127,466 981,071 153,184 98,336 763,068 218,003 28.57%
Total Operating Revenue: 33,364,861 33,364,861 3,318,380 30,800,603 (2,564,258) 3,425,581 32,845,220 (2,044,617) -6.23%
Revenue(Non-Operating):
Interest 310,000 310,000 99,489 687,320 377,320 49,462 444,371 242,949 54.67%
Property Tax 1,850,000 1,850,000 31,431 1,874,688 24,688 32,775 1,749,957 124,731 7.13%
Other Non-Operating Revenue 605,346 605,346 108,045 938,777 333,431 122,401 477,630 461,147 96.55%
Total Non-Operating Revenue: 2,765,346 2,765,346 238,965 3,500,785 735,439 204,638 2,671,958 828,827 31.02%
Total Revenue 36,130,207 36,130,207 3,557,345 34,301,388 (1,828,820) 3,630,219 35,517,178 (1,215,790) -3.42%
Expenses(Operating):
Variable Water Costs(G.W.,Import&Power) 14,793,377 14,793,377 1,359,106 13,367,873 (1,425,504) 1,441,991 15,028,132 (1,660,259) -11.05%
Salary Related Expenses 9,652,772 9,652,772 582,185 8,653,964 (998,809) 1,114,480 8,840,190 (186,227) -2.11
Supplies&Services:
Communications 159,120 159,120 10,821 151,127 (7,993) 12,987 138,958 12,169 8.76%
Contractual Services 475,966 475,966 49,463 390,442 (85,524) 20,418 400,827 (10,385) -2.59%
Data Processing 285,129 285,129 28,008 264,280 (20,849) 53,245 228,103 36,177 15.86%
Dues&Memberships 82,077 82,077 (85) 73,970 (8,107) 805 78,219 (4,249) -5.43%
Fees&Permits 264,546 264,546 35,162 269,225 4,679 29,980 244,196 25,029 10.25%
Board Election 69,750 69,750 - 52,742 (17,008) - - 52,742
Insurance 281,967 281,967 19,403 263,807 (18,161) 21,242 250,493 13,313 5.31%
Materials 658,714 658,714 119,522 907,620 248,906 56,478 720,410 187,210 25.99%
District Activities,Emp Recognition 43,013 43,013 7,186 36,079 (6,934) 3,268 27,010 9,068 33.57%
Maintenance 432,971 432,971 17,208 435,489 2,518 35,607 398,511 36,978 9.28%
Non-Capital Equipment 136,294 136,294 10,421 133,959 (2,335) 20,406 123,995 9,965 8.04%
Office Expense 40,343 40,343 4,847 38,495 (1,848) 6,715 40,087 (1,592) -3.97%
Professional Services 475,804 475,804 138,011 466,033 (9,771) 117,602 674,815 (208,781) -30.94%
Training 67,188 67,188 4,239 39,887 (27,301) 5,690 32,350 7,537 23.30%
Travel&Conferences 125,279 125,279 13,218 88,299 (36,980) 19,822 78,429 9,870 12.58%
Uncollectible Accounts 2,790 2,790 226 2,727 (63) 24 4,155 (1,429) -34.38%
Utilities 169,911 169,911 9,941 172,300 2,389 14,858 169,758 2,542 1.50%
Vehicle Equipment 316,262 316,262 20,829 281,839 (34,423) 22,093 255,417 26,422 10.34%
Supplies&Services Sub-Total 4,087,123 4,087,123 488,419 4,068,320 (18,803) 441,240 3,865,733 202,587 5.24%
Total Operating Expenses 28,533,272 28,533,272 2,429,710 26,090,156 (2,443,116) 2,997,711 27,734,055 (1,643,899) -5.93%
Expenses(Non-Operating):
Interest on Long Term Debt 1,325,785 1,325,785 111,601 1,350,614 24,829 (150,237) 1,106,515 244,099 22.06%
Other Expense 8,600 8,600 477,289 1,454,303 1,445,703 162,491 109,821 1,344,482 1224.25%
Total Non-Operating Expenses: 1,334,385 1,334,385 588,890 2,804,917 1,470,532 12,254 1,216,336 1,588,581 130.60%
Total Expenses 29,867,657 29,867,657 3,018,600 28,895,073 (972,584) 3,009,965 28,950,391 (55,318) -0.19%
Net Position Before Capital Contributions 6,262,550 6,262,550 538,745 5,406,315 (856,235), 620,254 6,566,787 (1,160,472) -17.67%
Special Item - - - I - (2,205,847) 2,205,847 -100.00%
Capital Contributions(Non-Cash Transaction- - - 41,345 75,845 75,845 - 1,907,644 (1,831,800) -96.02%
GASB 34 Compliant)
Net Position Before Depreciation 6,262,550 6,262,550 580,090 5,482,160 (780,390) 620,254 6,268,584 (786,424) -12.55%
Depreciation&Amortization 6,329,146 6,329,146 487,190 5,947,042 (382,105) 510,767 6,098,375 (151,334) -2.48%
Total Net Position $ (66,596) $ (66,596) $ 92,899 (464,882) $ (398,286) $ 109,487 $ 170,209 $ (635,091) -373.12%
Capital-Direct Labor (279,000) (279,000) 247,086 0 279,000 (15,811) -
Page 12 of 53
Water Revenues & Expenses - 4th Qtr 2019
$40,000,000 - (excludes Depreciation, Special Items, and Contributed Capital )
$35,517,178 $34,301,388
-3.42
$35,000,000 $33,050,080
$32,724,012
$29,845,683
$30,000,000
$28,950,391 $28,895,074
$25,000,000 -
$26,654,481 -0.21%
$25,096,899
$23,296,906
$20,000,000
$15,000,000
$10,000,000
$5,000,000
$- Jun.2015 Jun.2016 Jun.2017 Jun.2018 Jun.2019
Total Revenue —M— Total Expenses
Page 13 of 53
Yorba Linda Water District
Sewer Fund
For Period Ending June 30,2019
(With June 30,2018 for comparison purposes)
Annual YTD June YTD YTD Actual Prior Year Prior Year YTD Actual YTD-CUR
Budget Budget Actual Actual (Under)Over June Actual Actual(thru vs vs
FY19 FY19 FY19 FY19 YTD Budget FY18 June 2018) PY Actual$ PY Actual%
Revenue(Operating):
Sewer Charge Revenue $2,229,246 $2,229,246 $ 204,479 $ 2,229,374 $ 129 $ 182,407 $2,064,083 $ 165,292 8.01%
Locke Ranch Assessments 273,250 273,250 1,179 298,647 25,397 4,748 266,726 31,921 0.00%
Other Operating Revenue 66,730 66,730 16,127 70,836 4,106 1,847 77,237 (6,401) -8.29%
Total Operating Revenue: 2,569,226 2,569,226 221,785 2,598,857 29,632 189,002 2,408,046 190,812 7.92%
Revenue(Non-Operating):
Interest 48,000 48,000 25,289 132,202 84,202 15,737 74,229 57,972 78.10%
Other Non-Operating Revenue 34,500 34,500 4,287 38,507 4,007 7,152 (10,380) 48,888 -470.96%
Total Non-Operating Revenue: 82,500 82,500 29,576 170,709 88,209 22,889 3,849 106,860 167.36%
Total Revenue 2,651,726 2,651,726 251,361 2,769,566 117,840 211,891 2,471,895 297,671 12.04%
Expenses(Operating):
Salary Related Expenses 1,131,721 1,131,721 73,280 928,851 (202,870) 109,635 1,034,025 (105,174) -10.17%
Supplies&Services:
Communications 11,977 11,977 788 8,582 (3,394) 978 8,676 (94) -1.08%
Contractual Services 29,766 29,766 2,295 23,793 (5,973) 1,425 29,493 (5,701) -19.33%
Data Processing 17,322 17,322 1,940 17,438 116 3,865 16,965 472 2.78%
Dues&Memberships 6,153 6,153 2,016 7,590 1,437 61 6,045 1,545 25.56%
Fees&Permits 15,907 15,907 570 10,477 (5,431) 648 10,636 (159) -1.49%
Board Election 5,250 5,250 3,970 (1,280) - - 3,970
Insurance 21,223 21,223 1,460 19,786 (1,437) 1,599 18,743 1,042 5.56%
Materials 28,622 28,622 5,880 52,570 23,948 465 38,460 14,110 36.69%
District Activities,Emp Recognition 3,238 3,238 466 2,572 (666) 246 2,023 549 27.15%
Maintenance 171,630 171,630 108,633 191,845 20,215 29,044 140,363 51,483 36.68%
Non-Capital Equipment 36,157 36,157 1,283 27,463 (8,694) 7,210 26,187 1,276 4.87%
Office Expense 2,957 2,957 172 2,487 (470) 520 2,994 (506) -16.91%
Professional Services 33,996 33,996 33,483 76,433 42,437 4,976 35,565 40,869 114.91%
Training 13,052 13,052 (175) 17,602 4,550 430 5,399 12,202 226.00%
Travel&Conferences 14,061 14,061 782 7,040 (7,021) 1,380 5,753 1,286 22.36%
Uncollectible Accounts 210 210 52 134 (76) 4 456 (322) -70.52%
Utilities 13,489 13,489 662 13,247 (242) 1,119 13,299 (52) -0.39%
Vehicle Equipment 59,138 59,138 4,180 41,172 (17,965) 4,346 72,075 (30,902) -42.88%
Supplies&Services Sub-Total 484,145 484,145 164,487 524,200 40,055 58,316 433,130 91,070 21.03%
Total Operating Expenses 1,615,866 1,615,866 237,767 1,453,052 (162,815) 167,951 1,467,155 (14,104) -0.96%
Expenses(Non-Operating):
Other Expense 5,600 5,600 86,701 96,075 90,475 43,671 41,556 54,520 131.20%
Total Non-Operating Expenses: 5,600 5,600 86,701 96,075 90,475 43,671 41,556 54,520 131.20%
Total Expenses 1,621,466 1,621,466 324,468 1,549,127 (72,339) 211,622 1,508,711 40,416 2.68%
Net Position Before Capital Contributions 1,030,259 1,030,259 (73,107) 1,220,439 190,180 269 963,184 257,255 26.71%
Capital Contributions(Non-Cash - - 91,243 95,299 95,299 4,853 1,646,479 (1,551,180) -94.21%
Transaction GASB 34 Compliant)
Net Position Before Depreciation 1,030,259 1,030,259 18,137 1,315,738 285,479 5,122 2,609,663 (1,293,925) -49.58%
Depreciation&Amortization 1,396,996 1,396,996 114,852 1,375,711 (21,285) 114,495 1,367,602 8,109 0.59%
Total Net Position $ (366,736) $ (366,736) $ (96,715) $ (59,973) $ 306,763 $ (109,373) $1,242,061 $(1,302,034) -104.83%
Capital-Direct Labor (21,000) (21,000) 68,858 (0) 21,000 (1,242) 0 (0)
Page 14 of 53
Sewer Revenues & Expenses - 4th Qtr 2019
$3,000,000 (excludes Depreciation, Special Items, and Contributed Capital) $2,769,566
12.04%
$2,500,000 $2,424,611 $2,471,895
$2,000,000
$1,974,552 $2,046,945
$1,500,000
$1,549,127
$1,408,918 $1,508,711 2.68
$1,288,720
$1,219,939
$1,000,000
$500,000
$-
Jun.2015 Jun. 2016 Jun. 2017 Jun. 2018 Jun. 2019
Total Revenue f Total Expenses
Page 15 of 53
ITEM NO. 7.2.
Yorba Linda
Wat ir District
AGENDA REPORT
MEETING DATE: August 27, 2019
TO: Board of Directors
FROM: Marc Marcantonio, General Manager
STAFF CONTACTS: Rosanne P. Weston, Engineering Manager
Ricardo Hipolito Jr., Engineering Technician II
SUBJECT: Terms and Conditions for Water Service with HQT Homes for
Tract 18129
RECOMMENDATION:
That the Board of Directors approve the Terms and Conditions for Water Service with HQT
Homes, Tract 18129, Job No. 201942
SUMMARY:
The applicant is proposing to construct a 16-unit townhome complex at the southwest corner
of Orchard Drive and Highland Avenue. The property is located within the City of Placentia
and consists of 1.24 acres. An exhibit depicting the location of the project is attached.
FISCAL IMPACT:
Developer Funded
Account No: 1-2600
Job No: 201942
BACKGROUND:
The District has existing water facilities fronting the subject property on both Orchard Drive
and Highland Avenue. The water facilities in Highland Avenue are adequate in size and of
sufficient pressure to serve the project. The applicant will construct a water line connecting to
the existing 10-inch pipeline in Highland Avenue and loop the proposed water system into
Highland Avenue for water circulation and redundancy.
Sewer service for this development will be provided by the City of Placentia.
Page 16 of 53
The Terms and Conditions for Water Service with HQT Homes for Tract 18129 are attached
for your consideration.
PRIOR RELEVANT BOARD ACTION:
None
STRATEGIC PLAN INITIATIVE:
ATTACHMENTS:
1. 201942 T&C
2. 201942 Exhibit
Page 17 of 53
Date: August 27, 2019
YORBA LINDA WATER DISTRICT
TERMS AND CONDITIONS
FOR WATER SERVICE
NAME OF APPLICANT: HQT HOMES
LOCATION OF PROJECT: SOUTHWEST CORNER OF ORCHARD DRIVE AND
HIGHLAND AVENUE
TRACT NUMBER: 18129 JOB NUMBER: 201942 SEWER: N/A LOT(S): 16
The applicant will be required to complete to the satisfaction of the District the following
items that have an "X" following the number.
1) ® The applicant shall provide the District with a copy of the Grant Deed or Title
Report of the property to be served.
2) ® The applicant shall include information deemed necessary by the District in
the event the applicant is required to file a Department of Real Estate Tax
Disclosure statement.
3) ® The applicant shall submit two (2) sets of the improvement plans to the
District for plan check processing.
a) Improvement Plans
b) Grading Plans
c) Tract, Parcel or Vesting Map
d) Landscaping Plans
4) ® Improvement Plans submitted for plan check shall comply with the submittal
requirements established by the YLWD Engineering Department.
5) ® The applicant shall dedicate or obtain all easements deemed necessary by
the District in accordance with the Rules and Regulations of the District. All
easement documents shall be prepared under the supervision of and
stamped by a Professional Land Surveyor or a Registered Civil Engineer
(licensed prior to January 1 , 1982) licensed to practice in the State of
California.
6) ® The applicant shall provide the District with a copy of the Recorded
Tract/Parcel Map(s) or Easement Documents illustrating all District
easements required by Term and Condition No. 7, prior to requesting
occupancy releases.
Page 18 of 53
Page 2 of 5
NAME OF APPLICANT: HQT HOMES
LOCATION OF PROJECT: SOUTHWEST CORNER OF ORCHARD DRIVE & HIGHLAND
AVENUE
7) ® The applicant shall prepare and process all easements to be quitclaimed by
the District in accordance with the Rules and Regulations of the District.
8) ® The applicant shall furnish the District with a 24-hour emergency telephone
number prior to the District's approval of the construction plans.
9) ® The applicant shall notify the District 48 hours prior to initiating any work
related to required or proposed improvements.
10) ® The applicant shall complete a Temporary Construction Meter Permit
application for all water to be used in construction work and all water used
under such permit shall be taken from the approved construction meter.
11) ® The applicant shall provide, per the District specifications, the "As Built"
AutoCAD file (version 2016 or earlier) of the Water and/or Sewer facilities.
12) ® The applicant shall complete an Application to and Agreement with the Yorba
Linda Water District for Water Service.
13) ® The applicant shall pay all of the water fees as required by the Rules and
Regulations for Water Service of the District.
14) ® The applicant shall pay meter fees associated with the installation of radio
read meters for this project.
15) ® The applicant shall comply with the Rules and Regulations for Water Service
of the Yorba Linda Water District.
16) ® The applicant shall provide the District with a set of plans stamped and
approved by the Orange County Fire Authority, or fire agency having
jurisdiction, that identifies approved fire hydrant locations. Such approved
plan must be submitted to the District before staff will initiate a District plan
check for water improvements.
17) ® The applicant shall have all water facilities designed in accordance with the
District's Water Facilities Plan and the Standard Specifications and Drawings
for Construction of Domestic Water and Sewer Facilities. All design plans
shall be prepared under the supervision of and stamped by a Registered Civil
Engineer licensed to practice in the State of California.
18) ❑ The applicant's engineer shall provide a computer hydraulic analysis report
to confirm that the District's existing water system can accommodate the
project.
Page 19 of 53
Page 3 of 5
NAME OF APPLICANT: HQT HOMES
LOCATION OF PROJECT: SOUTHWEST CORNER OF ORCHARD DRIVE & HIGHLAND
AVENUE
19) ® The applicant's future water facilities, shall be conveyed to the District as
indicated on applicant's future Water Improvement Plans approved by the
District.
20) ® The applicant shall be required to conduct flow tests at their cost in the event
the Orange County Fire Authority requires a flow test, and provide an
approved copy to the District. A District representative shall be present to
witness the flow test.
21) ® The applicant shall comply with all additional District requirements, relative to
the fire protection system, fire hydrant construction and fire hydrant locations.
22) ® The applicant shall install 1 water Sampling Station(s) in conformance with
the District's Standard Specifications and Drawings for Construction of
Domestic Water and Sewer Facilities.
23) ® The applicant shall provide a completed Surety Bond for the water facilities
prior to the District signing the Water Improvement Plans. The applicant shall
also provide to the District an estimate of the construction costs of the
proposed water facilities.
24) ® The applicant shall install the curb and gutters a minimum of one week prior
to the installation of the water main and services.
25) ® All existing water services that are not useable in the new plan shall be cut
and plugged at the main line.
26) ® The applicant shall coordinate through the District all connections of new
water facilities to the existing District facilities.
27) ® The applicant shall provide a written copy of the Bacteriological Report prior
to occupancy releases certifying that the water meets the Health
Department's requirements.
28) ® The applicant shall adjust and raise to grade all valve covers within the limits
of this project.
29) ® The applicant shall install a pressure regulator in all buildings that have over
80 p.s.i. static water pressure in accordance with the appropriate building
codes.
30) ® The applicant shall install a District approved backflow device in connection
with any private fire suppression sprinkler facilities that may be required by
the Orange County Fire Authority or fire agency having jurisdiction.
Page 20 of 53
Page 4 of 5
NAME OF APPLICANT: HQT HOMES
LOCATION OF PROJECT: SOUTHWEST CORNER OF ORCHARD DRIVE & HIGHLAND
AVENUE
31) ® The applicant shall install a reduced pressure principle backflow prevention
device on all commercial buildings and landscape services.
32) ® The applicant shall install and provide a written test report to the District for
each backflow device certifying that the backflow devices are operating
properly.
33) ® The applicant shall install and provide a written test report to the District
certifying that the double check detector assembly is operating properly prior
to the double check detector assembly being turned on for service.
34) ® The applicant shall provide an annual written test report to the District
certifying that the backflow devices and fire detector assemblies are operating
properly pursuant to the District's Backflow Prevention Program and the State
of California Administrative Code, Title 17, Public Health Rules and
Regulations Relating to Cross-Connections.
(END OF STANDARD TERMS AND CONDITIONS)
PROJECT SPECIFIC TERMS AND CONDITIONS
35) ❑
I hereby certify that the foregoing Terms and Conditions were approved at the August 27,
2019 Regular Meeting of the Board of Directors of the Yorba Linda Water District. The
approved Terms and Conditions shall become void six (6) months from the approval date
if a formal Water and Sewer Service Agreement between Yorba Linda Water District and
the applicant is not executed for the project under consideration.
Marc Marcantonio, General Manager
Page 21 of 53
W — — -----
ISL �
—W — — —W EX 12"ACP WATER, ------
_ W —W — —
ORCHARD DRIVE -
EX.FHy—-------- - - - - ---- EX.SM
wF
MARIPOSA AVE.
u u
_ SITE
d X
UNIT 4 UNIT 3 UNIT 2 UNIT 1 'LU R.
iGARAGE GARAGE GARAGE GARAGE u = S
4 3 (V
a •ymmonsumm
W.
P PR��8" ATE n ]
SEWER / - _ W cj�
P CROP. IH u W RPE A4��
[GARAGE GARAGE GARAGE
3 P u 4 �o
Y UNIT 7 UNIT 6 UNIT 5
L VICINITY MAP
= z N.T.S.
LU LL
UNIT 1111 UNIT 10 UNITNIT 9 UNIT 88 W U
P —F— u —J
GARAGE GARAGE GARAGE GARAGE
P �ROP. °H
/ l PROM 8"W�I�R
LPOP B"EWER - 1
GARAGE GARAGE GARAGE GARAGE GARAGE u
EX.CONC.BLOCK WALL
4
UNIT 16 UNIT 15 UNIT 14 UNIT 13 UNI; 12
PROP. CONCRETE BLOCK WALL - -
a.
LOCATION MAP 666
SCALE:
EXHIBIT
PREPARED BY: N.T.S.
YORBA LINDA WATER DISTRICT WATER IMPROVEMENTS DATE:
El 1717 E. MIRALOMA AVENUE FOR 08/27/2019
PLACENTIA, CALIFORNIA 92870 HQT HOMES TRACT NO. 18129 FILENAME:
(714) 701-3100 J-201942
ITEM NO. 7.3.
Yorba Linda
Wat ir District
AGENDA REPORT
MEETING DATE: August 27, 2019
TO: Board of Directors
FROM: Marc Marcantonio, General Manager
STAFF CONTACTS: Rosanne Weston, Engineering Manager
SUBJECT: Amendment to the Water and Sewer Facilities Agreement
between the Yorba Linda Water District and North County BRS,
LLC for the Cielo Vista Development Project
RECOMMENDATION:
Staff recommends that the Board approve the First Amendment to the Cielo Vista Project Water and
Sewer Facilities Agreement dated August 1, 2018, conditioned on the Property Owners' signatures to
the Amendment within 30 days of this approval.
SUMMARY:
Submitted for your consideration and approval is the Amendment to the Water and Sewer Facilities
Agreement between the Yorba Linda Water District and North County BRS, LLC for the Cielo Vista
Development Project.
FISCAL IMPACT:
Developer Funded Project
Account No: J210812
BACKGROUND:
The Facilities Agreement was amended in order to (1) extend the term of the Agreement for one year
to August 1, 2020, (2) revise the scope of the project to include certain water facility improvements that
will benefit both Cielo Vista subdivision and Esperanza Hills Estates, (3) confirm and amend the scope
of YLWD fees and costs to be reimbursed by Cielo Vista, and (4) incorporate and obligate Cielo Vista
to industry standards that were not originally memorialized in the Agreement. As part of the
negotiation related to the Amendment, Cielo Vista reimbursed the District in the amount of$14,324.19
owed by Yorba Linda Estates, LLC, for YLWD time to review the design concept and improvement
plans for the water facility improvements that will benefit both developments.
Page 23 of 53
PRIOR RELEVANT BOARD ACTION:
• On May 22, 2018, the Board of Directors approved the Terms and Conditions for Water
and Sewer Service with North County BRS Project, LLC for Tract 17341.
• On July 24, 2018, the Board of Directors approved the Cielo Vista Project Water and
Sewer Facilities Agreement Between the Yorba Linda Water District and North County
BRS Project, LLC
STRATEGIC PLAN INITIATIVE:
ATTACHMENTS:
Page 24 of 53
ITEM NO. 7.4.
Yorba Linda
Wat ir District
AGENDA REPORT
MEETING DATE: August 27, 2019
TO: Board of Directors
FROM: Marc Marcantonio, General Manager
STAFF CONTACTS: Delia Lugo, Finance Manager
Richard Cabadas, Accounting Assistant II
SUBJECT: Payment of Bills, Refunds, and Wire Transfers
RECOMMENDATION:
That the Board of Directors ratify and authorize disbursements in the amount of
$1,148,729.25.
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.
BACKGROUND:
The items on this disbursement list includes: A check of $123,598.99 to ACWA/JPIA for
September 2019 medical & dental premium; a check of $42,942.36 to Kidman Gagen Law for
July 2019 legal services; a wire of $459,854.57 to MWDOC for June 2019 water deliveries; a
wire of $13,254.89 to So. California Gas Company for July 2019 gas charges at multiple
locations; and a wire of $69,743.94 to So. California Edison for July 2019 electricity charges at
multiple locations. The balance of $147,770.12 is routine invoices.
The Accounts Payable check register total is $857,164.87; Payroll No. 16 total is $291,564.38
and the total of all listed disbursements for this agenda report is $1,148,729.25. A summary of
the disbursements is attached.
PRIOR RELEVANT BOARD ACTION:
The Board of Directors approves bills, refunds and wire transfers semi-monthly.
ATTACHMENTS:
1. Cap Sheet
Page 25 of 53
2. Check Register
Page 26 of 53
Summary of Disbursements
August 27, 2019
CHECK NUMBERS:
08/27/2019 Computer Checks 74730-74819 $ 314,311 .47
$ 314,311 .47
WIRES:
W081519 So. California Gas Co. $ 459,854.57
W081619 So. California Edison $ 13,254.89
W081619A So. California Edison $ 69,743.94
$ 542,853.40
TOTAL OF CHECKS & WIRES $ 857,164.87
PAYROLL NO. 16:
Direct Deposits $ 180,111 .31
Third Party Checks 7234-7238 $ 19,571 .62
Payroll Taxes $ 49,837.65
EFT — CALPERS #16 & TASC #16 $ 42,043.80
$ 291 ,564.38
TOTAL OF PAYROLL $ 291,564.38
----------------------------------------------------------------------------------------------------------------------
DISBURSEMENT TOTAL: $1,148,729.25
------------------------------------------------------------------
------------------------------------------------------------------
APPROVED BY THE BOARD OF DIRECTORS MINUTE ORDER AT BOARD
MEETING OF AUGUST 27, 2019
------------------------------------------------------------------
------------------------------------------------------------------
Page 27 of 53
Yorba Linda Water District
Check Register
For Checks Dated: 07/23/2019 thru 08/13/2019
Check No. Date Vendor Name Amount Description
74756 08/27/2019 ACWA/JPIA 123,598.99 MEDICAL&DENTAL PREMIUM-SEPTEMBER 2019
74757 08/27/2019 Alicia Yu 355.00 CLAIM SETTLEMENT
74758 08/27/2019 Annie Alexander 34.40 MILEAGE&OFFICE SUPPLIES REIMBURSEMENT
74749 08/27/2019 APM PROPERTY MGMT 355.90 CUSTOMER REFUND
74759 08/27/2019 Aramark 755.55 UNIFORM SERVICES
74760 08/27/2019 AT&T-Calnet3 1,312.72 ATT CALNET3
74761 08/27/2019 BC Traffic Specialist 209.21 TOOLS&EQUIPMENT
74736 08/27/2019 BRANDYWINE HOMES 838.00 CUSTOMER REFUND
74762 08/27/2019 BrightView Tree Care Services Inc. 6,794.70 LANDSCAPE SERVICE
74763 08/27/2019 Brooke Jones 274.22 MILEAGE REIMBURSEMENT-JULY 2019
74764 08/27/2019 CAI Safety Systems 340.00 SAFETY EQUIPMENT REPAIRS
74730 08/27/2019 CHRISTINE O'SULLIVAN 61.61 CUSTOMER REFUND
74765 08/27/2019 City Of Placentia 305.00 ENCROACHMENT PERMIT#190100
74731 08/27/2019 CITY OF YORBA LINDA 106.02 CUSTOMER REFUND
74766 08/27/2019 Clinical Lab.Of San Bern. 1,345.00 WATER QUALITY SAMPLING-JULY 2019
74767 08/27/2019 Coastal Ignition&Controls 1,137.37 HIGHLAND#1 -MAINTENANCE PARTS
74768 08/27/2019 Culligan of Santa Ana 120.00 EQUIPMENT PE SOFTENER
74769 08/27/2019 De Nora Water Technologies Texas,LLC 3,204.93 PROGRAMMED HMI-10"COLOR
74771 08/27/2019 Dean Criske Trucking 1,707.01 ROAD MATERIAL
74733 08/27/2019 DIANE WHITTENBERG 70.49 CUSTOMER REFUND
74770 08/27/2019 Dick's Lock&Safe Inc. 64.00 SERVICE CALL&LOCK CYLINDER CHANGE
74754 08/27/2019 DOTY BROS CONSTRUCTION CO 1,725.00 CUSTOMER REFUND
74772 08/27/2019 Eisel Enterprises,Inc. 352.89 METER COVERS&LIDS
74773 08/27/2019 Enthalpy Analytical,Inc. 3,214.00 WATER QUALITY SAMPLING-JULY 2019
74740 08/27/2019 ERNESTO AU RE 47.84 CUSTOMER REFUND
74751 08/27/2019 EXCEL PAVING CO 192.40 CUSTOMER REFUND
74774 08/27/2019 EyeMed 1,400.13 EYE MED-AUGUST 2019
74775 08/27/2019 FTP Today 1,242.00 YLWD.FTPTODAY.COM8/19-8/20
74776 08/27/2019 Haaker Equipment Co. 5,035.11 VEH MAINTENANCE-UNIT#168
74777 08/27/2019 Harrington Industrial 1,900.48 CL2 REPLACEMENT PARTS
74778 08/27/2019 Hollinger-Metal Edge 751.12 LEGAL SIZE DOC STORAGE
74779 08/27/2019 Hydrex Pest Control 288.00 PEST CONTROL
74780 08/27/2019 Infosend Inc. 4,965.38 BILLING&POSTAGE-CUSTOMER BILLING
74781 08/27/2019 Innovyze 5,045.00 INFOCARE RENEWAL
74750 08/27/2019 INVESTNOTIC LLC 371.02 CUSTOMER REFUND
74735 08/27/2019 JOE DOBRIK 14.26 CUSTOMER REFUND
74738 08/27/2019 JOSH B RACOBS 140.84 CUSTOMER REFUND
74739 08/27/2019 JULIANATAHAN 89.54 CUSTOMER REFUND
74782 08/27/2019 Kidman Gagen Law 42,942.36 LEGAL SERVICES-JULY 2019
74783 08/27/2019 Kimball Midwest 588.10 MECHANIC SHOP SUPPLIES
74784 08/27/2019 Konica Minolta Business 861.51 COPIER LEASE-C258&C558
74785 08/27/2019 Marc Marcantonio 90.60 MILEAGE REIMBURSEMENT-JULY 2019
74786 08/27/2019 Mc Fadden-Dale Hardware 31.84 HARDWARE SUPPLIES
74787 08/27/2019 Mc Master-Carr Supply Co. 185.34 PPE EQUIPMENT&PRODUCTION EQUIPMENT MAINTENANCE
74788 08/27/2019 Measurement Control Systems,Inc 1,430.57 AC PARTS&MATERIALS
74799 08/27/2019 Measurement Specialties,Inc. 3,278.00 SCADA SUPPLIES&MATERIALS
74734 08/27/2019 MEI YOU 83.86 CUSTOMER REFUND
74744 08/27/2019 MICHELE FALCONE 20.54 CUSTOMER REFUND
74743 08/27/2019 MICHELLE ALLEN 158.79 CUSTOMER REFUND
74789 08/27/2019 Mobile Industrial Supply 8.00 WELDING SUPPLIES
74790 08/27/2019 Municipal Water District 15,205.00 AWIA PHASE I CROSSWALK
W081519 08/15/2019 Municipal Water District 459,854.57 WATER DELIVERIES-JUNE 2019
74791 08/27/2019 Nickey Kard Lock Inc 7,036.23 FUEL-07/15/19-07/31/19
74792 08/27/2019 Nickey Petroleum Co Inc 1,233.33 STATIONARY ENGINE-MAINTENANCE SUPPLIES
74755 08/27/2019 NRT RELOCATION LLC 410.91 CUSTOMER REFUND
74793 08/27/2019 Omni Enterprise Inc. 9,570.00 JANITORIAL SERVICE-MAY-JULY 2019
74794 08/27/2019 Orange County-HCA 706.00 (3)HAZMAT DISCLOSURE FEES
74752 08/27/2019 PACIFIC CALIFORNIA PROPERTIES 450.00 CUSTOMER REFUND
74795 08/27/2019 Paulus Engineering Inc. 4,118.46 J19-21S-ACACIA HILLS SEWER REPAIR-RETENTION RELEASE
74796 08/27/2019 Peter Babashoff 125.00 CERTIFICATE REIMBURSEMENT-D2
74797 08/27/2019 Placentia Disposal#676 617.15 (1)FRONT LOADS-DISPOSAL SERVICE
74745 08/27/2019 PORT EL MAR 387.19 CUSTOMER REFUND
74798 08/27/2019 Praxair Distribution 160.35 GAS ANALYZER-UNIT#E227
74753 08/27/2019 QI YAO 161.26 CUSTOMER REFUND
74748 08/27/2019 REAL LIVING PROPERTIES UNLIMITED 367.39 CUSTOMER REFUND
Page 28 of 53
74800 08/27/2019 Red Wing Shoe Store 5,634.33 SAFETY BOOTS-DISTRICT EMPLOYEES
74746 08/27/2019 REMON MELEKA 187.67 CUSTOMER REFUND
74737 08/27/2019 ROSE ROMO 139.50 CUSTOMER REFUND
74801 08/27/2019 Safety-Kleen Systems Inc 545.96 HAZARDOUS MATERIAL DISPOSAL
74802 08/27/2019 Sanders Paving,Inc. 6,414.50 CONCRETE REPAIR
74803 08/27/2019 Schorr Metals,Inc. 78.55 HARDWARE SUPPLIES
74732 08/27/2019 SCOTT&YURIKO L HOEN 93.59 CUSTOMER REFUND
74804 08/27/2019 Sean Forge 2,858.00 J2016-12-WATER CASH BOND RELEASE
74805 08/27/2019 Shoeteria Industrial 1,102.11 SAFETY BOOTS-DISTRICT EMPLOYEES
74806 08/27/2019 Shred Confidential,Inc. 63.00 SHRED ON SITE SERVICE
W081619A 08/16/2019 Southern Calif Edison Co. 69,743.94 ELECTRICITY CHARGES-MULTIPLE LOCATIONS-JULY 2019
W081619 08/16/2019 Southern Calif Gas Co. 13,254.89 GAS CHARGES-MULTIPLE LOCATIONS-JULY 2019
74807 08/27/2019 Staples Business Advantage 278.45 OFFICE&BREAKROOM SUPPLIES
74808 08/27/2019 Step Saver Inc 739.15 COARSE SALT
74809 08/27/2019 Sunrise Medical Group 90.00 EE EMPLOYMENT PHYSICAL
74810 08/27/2019 Systems Source Inc 1,007.43 REPLACEMENT ARM PADS-OFFICE CHAIRS
74747 08/27/2019 TAREK BUYS HOUSES LLC 530.43 CUSTOMER REFUND
74811 08/27/2019 The Bee Man 250.00 BEE ABATEMENT-4695 GREEN CREST
74741 08/27/2019 THOMAS C WILLIAMS 62.39 CUSTOMER REFUND
74812 08/27/2019 Trench Shoring 405.00 TRENCH TOP RENTAL
74813 08/27/2019 United Industries 305.24 BREAKROOM SUPPLIES
74816 08/27/2019 United Water Works,Inc. 14,456.37 OPERATION WORK MATERIAL
74814 08/27/2019 UNUM Life Insurance Co.ofAmerica 4,306.42 LIFE,AD&D,STD<D PREMIUM-SEPTEMBER 2019
74815 08/27/2019 Utility Systems,Science&Software,Inc. 7,633.30 SCADA RADIO MATERIAL AND INSTALLATION
74817 08/27/2019 Wayne Miller 24.36 MILEAGE REIMBURSEMENT-JULY 2019
74742 08/27/2019 XIULI RONG 140.75 CUSTOMER REFUND
74818 08/27/2019 Y.L.West Estates,LLC 500.00 J2016-12-SEWER CASH BOND RELEASE
74819 08/27/2019 YO Fire 6,472.06 OPERATION WORK MATERIAL
857,164.87
Payroll Checks #16
8/8/2019 PAYROLL#16-EMPLOYEE DIRECT DEPOSIT 180,111.31
8/8/2019 PAYROLL#16-PAYROLL TAX PAYMENT 49,837.65
8/8/2019 PAYROLL#16-CALPERS 39,977.16
8/8/2019 PAYROLL#16-TASC 2,066.64
7234 8/8/2019 COLONIAL LIFE 107.10
7235 8/8/2019 LINCOLN FINANCIAL GROUP 4,385.50
7236 8/8/2019 NATIONWIDE RETIREMENT SOLUTIONS 14,327.18
7237 8/8/2019 CALIFORNIA STATE DISBURSEMENT UNIT 366.92
7238 8/8/2019 CALIFORNIA STATE DISBURSEMENT UNIT 384.92
291,564.38
Page 29 of 53
ITEM NO. 8.1.
Yorba Linda
Wat ir District
AGENDA REPORT
MEETING DATE: August 27, 2019
TO: Board of Directors
FROM: Marc Marcantonio, General Manager
STAFF CONTACTS: Kaden Young, Senior Management Analyst
SUBJECT: Performance of Water/Sewer Rate Study - Board Questionnaire
RECOMMENDATION:
That the Board of Directors provide staff with direction and a list of requirements that will be
implemented in the next Water/Sewer Rate Study.
SUMMARY:
The water and sewer industries have changed drastically within the five-year (2015-2020)
term of the current Water/Sewer Rate Study. With new legislation being implemented and
more pending at the State level, a new and updated study is required for the District to
function optimally. Items for the Board of Director to consider in preparation of a new rate
study are:
• Determine if a Request for Proposal (RFP) process is necessary.
• Determine the effective time period of the rate study: 2, 5, 7, or 10 years.
• Determine the effective date of the study and/or effective date of new rates: January
2021 or July 2021.
• Determine rate structure: uniform, tiered, or budget-based.
• Determine additional rates: emergency rates, CIP specific rates, etc.
• Determine the credit rating the District wants to have: AA, AA+, AAA.
• Determine debt funding policy.
• Determine what aspects of expenses are covered by monthly base fees versus water
usage charges (commodity).
• Determine eligible cost to calculate pass through.
FISCAL IMPACT:
Budgeted: $10,000
Page 30 of 53
Total Budget: $85,000
Cost Estimate: $50,000 - $85,000
Funding Source: Professional Services - Water Related
Account No: 1-3010-0780-36
Job No: TBD
BACKGROUND:
The current water and sewer rate study report (rate study), was prepared and finalized on August 25,
2015 by Raftelis Financial Consultants, Inc. The major objectives of the study include: (1) develop
financial plans for the water and sewer enterprises to ensure financial sufficiency, meet operation and
maintenance costs, and ensure sufficient funding for capital repair and replacement needs. In addition,
the analysis contained in the rate study makes assumptions regarding customer water usage as a
direct result of the Governor's Drought Declaration and the State Water Resources Control Board's
mandate to reduce consumption by 36% during the drought conditions and ensures that the District is
financially prepared for a period of reduced sales; (2) conduct a cost-of-service analysis for the water
and sewer services; and (3) develop fair and equitable 5-year water and sewer rates to enhance
revenue stability for recovering fixed costs while in compliance with Proposition 218 requirements.
PRIOR RELEVANT BOARD ACTION:
Staff provided the Board of Directors with a presentation listing the preliminary items needing Board
consensus prior to issuance of Request for Proposals for Rate Study on February 26, 2019. A
discussion between staff and the Board was established, but a definitive set of criteria was not
established and the item was tabled to a future date.
STRATEGIC PLAN INITIATIVE:
G2: Fiscal Responsibility; 13: Equitable Rates
ATTACHMENTS:
Page 31 of 53
ITEM NO. 9.1.
Yorba Linda
Wat ir District
AGENDA REPORT
MEETING DATE: August 27, 2019
TO: Board of Directors
FROM: Marc Marcantonio, General Manager
STAFF CONTACTS: Delia Lugo, Finance Manager
Kelly McCann, Senior Accountant
SUBJECT: Budget to Actual Reports for the Month Ending July 31, 2019
DISCUSSION:
For the month-ending July 31, 2019, staff is presenting Budget to Actual Reports for the
District as a whole, as well as the individual water and sewer funds.
Cumulative Volumetric Water Revenue, as reported through the month ending June 30, 2019,
reflects an average decrease of 10.64% as compared to the prior year for the same reporting
period. Commercial customer connections have the lowest decrease in consumption sales of
15.00% as compared to reported results from the prior year.
Total Variable Costs results, as reported through the month ending July 31, 2019, reflect a
.67% decrease when compared to prior year for the same reporting period. The decrease in
costs is predominantly reflective of the decrease in total water demand, which as reported, is
10.41% below that of prior year.
1. July 2019 Reports & Graphs
Page 32 of 53
Yorba Linda Water District
Water Enterprise
FY20 ProForma-Use of Funds
July 2019
FY20 Annual YTD Actuals thru YTD%of
Budget July 2020 Budget
Water Revenue(Residential) $ 16,548,758 $ 1,354,340 8.18%
Water Revenue(Commercial&Fire Det.) 1,872,073 141,201 7.54%
Water Revenue(Landscape/Irrigation) 3,917,982 349,955 8.93%
Service Charges 10,988,263 840,895 7.65%
Other Operating Revenue 902,996 81,983 9.08%
Total Operating Revenue 34,230,072 2,768,374 8.09%
Revenue(Non-Operating):
Interest 698,777 32,819 4.70%
Property Taxes 1,820,471 - 0.00%
Other Non-Operating Revenue 608,430 26,697 4.39%
Total Non-Operating Revenue 3,127,678 59,516 1.90%
Total Revenue $ 37,357,750 $ 2,827,890 7.57%
Expenses(Operating):
Variable Water Costs(G.W., Import&Power)
Water-Related Costs $ 12,485,582 $ 1,507,244 12.07%
Fixed Costs 1,179,009 59,045 5.01%
Power-Related Costs 1,446,219 94,272 6.52%
Variable Water Costs Related Expenses Total 15,110,810 1,660,561 10.99%
Salary Related Expenses 10,753,255 543,235 5.05%
Reduction for Capital Project Labor (225,000) (7,743) 3.44%
Salary Related Expenses Total 10,528,255 535,492 5.09%
Supplies&Services
Communications 228,183 19,362 8.49%
Contractual Services 496,717 34,546 6.95%
Data Processing 324,069 19,604 6.05%
Dues&Memberships 78,862 3,352 4.25%
Fees&Permits 290,271 9,446 3.25%
Board Election - - 0.00%
Insurance 304,468 23,185 7.61%
Materials 948,195 64,207 6.77%
District Activities, Emp Recognition 43,371 554 1.28%
Maintenance 565,165 29,451 5.21%
Non-Capital Equipment 170,778 5,048 2.96%
Office Expense 33,950 6,075 17.89%
Professional Services 585,971 31,234 5.33%
Training 78,301 512 0.65%
Travel&Conferences 126,278 2,755 2.18%
Uncollectible Accounts 4,185 (113) -2.70%
Utilities 179,258 15,307 8.54%
Vehicle Expenses 335,600 27,006 8.05%
Supplies&Services Sub-Total 4,793,620 291,531 6.08%
Total Operating Expenses 30,432,685 2,487,584 8.17%
Expenses(Non-Operating)
Other Expense 13,520 (6,333) -46.84%
Total Non-Operating Expenses 13,520 (6,333) -46.84%
Total Expenses $ 30,446,205 $ 2,481,251 8.15%
Net Revenues 6,911,545 346,639 5.02%
Less: Debt Service(Principal&Interest) 2,726,956 - 0.00%
Less: Committed Capital Expenditures(PayGo) 3,204,425 171,744 5.36%
Transfer to/(from)Reserves 980,164 174,895 17.84%
Net Total $ - $ -
Page 33 of 53
Yorba Linda Water District
Summary Financial Report
Water&Sewer Funds
For Period Ending July 31,2019
(With July 31,2018 for comparison purposes)
Annual YTD July YTD YTD Actual Prior Year Prior Year YTD Actual YTD Actual
Budget Budget Actual Actual (Under)Over July Actual Actual(thru vs vs
FY20 FY20 FY20 FY20 YTD Budget FY19 July 2019) PY Actual$ PY Actual%
Revenue(Operating):
Water Revenue(Residential) $16,548,758 $1,874,974 $1,354,340 $1,354,340 $ (520,634) $1,428,694 $1,428,694 (74,354) -5.20%
Water Revenue(Commercial&Fire Det.) 1,872,073 212,106 141,201 141,201 (70,905) 166,126 166,126 (24,925) -15.00%
Water Revenue(Landscape/Irrigation) 3,917,982 443,907 349,955 349,955 (93,952) 396,384 396,384 (46,429) -11.71%
Water Revenue(Service Charge) 10,988,263 915,689 840,895 840,895 (74,794) 834,735 834,735 6,160 0.74%
Sewer Charge Revenue 2,421,665 201,805 186,531 186,531 (15,274) 172,971 172,971 13,560 7.84%
Locke Ranch Assessments 324,173 36,729 - - (36,729) - - - 0.00%
Other Operating Revenue 964,708 80,392 94,849 94,849 14,457 97,149 97,149 (2,300) -2.37%
Total Operating Revenue: 37,037,622 3,765,603 2,967,771 2,967,771 (797,832) 3,096,059 3,096,059 (128,288) -4.14%
Revenue(Non-Operating):
Interest 812,306 67,692 37,736 37,736 (29,956) 43,577 43,577 (5,841) -13.40%
Property Tax 1,820,471 - - - - - - 0.00%
Other Non-Operating Revenue 632,909 52,742 30,146 30,146 (22,596) 47,567 47,567 (17,421) -36.62%
Total Non-Operating Revenue: 3,265,685 120,435 67,882 67,882 (52,553) 91,144 91,144 (23,262) -25.52%
Total Revenue 40,303,307 3,886,037 3,035,653 3,035,653 (850,384) 3,187,203 3,187,203 (151,550) -4.75%
Expenses(Operating):
Variable Water Costs(G.W.,Import&Powei 15,110,810 1,712,055 1,660,561 1,660,561 (51,494) 1,671,801 1,671,801 (11,240) -0.67%
Salary Related Expenses 11,664,922 729,715 594,415 594,415 (135,300) 578,109 578,109 16,306 2.82%
Supplies&Services 5,419,301 451,608 308,041 308,041 (143,567) 316,194 316,194 (8,153) -2.58%
Total Operating Expenses 32,195,033 2,893,378 2,563,017 2,563,017 (330,361) 2,566,104 2,566,104 (3,087) -0.12%
Expenses(Non-Operating):
Interest on Long Term Debt 1,303,967 108,664 111,601 11f )1,600 2,936 115,401 115,401 ( 28(3,801) -3.29%
27
�7,459) 229 229
OtherTotal Non-Operating Expenses: 1,317 488 1091 f ) 10791 105,268 5,268 4,523) 115,630 115,630 (10,363) -8,96%
Total Expenses 33,512,521 3,003,168 2,668,285 2,668,285 (334,884) 2,681,734 2,681,734 (13,449) -0.50%
Net Position Before Capital Contributions 6,790,787 882,869 367,368 367,368 (515,500) 505,470 505,470 (138,102) -27.32%
Special Item - - - - - - #DIV/0!
Capital Contributions(Non-Cash - - - 1,390 1,390 (1,390) 0.00%
Transaction GASB 34 Compliant) - - 0
Net Position Before Depreciation 6,790,787 882,869 367,368 367,368 (515,500) 506,860 506,860 (139,492) -27.52%
Depreciation&Amortization 7,720,659 643,388 602,042 602,042 (41,346) 614,500 614,500 (12,458) -2.03%
Total Net Position ($929,872) $239,481 (234,674) (234,674) ($474,154) ($107,640) ($107,640) ($127,034) 118.02%
(295,000) (24,583) (8,767) (8,767) (8,767) (19,434) (19,434) 10,667 -54.89%
Page 34 of 53
Yorba Linda Water District
Water Fund
For Period Ending July 31,2019
(With July 31,2018 for comparison purposes)
Annua IYTD July YTD YTD
Prior YearPrior YTD YTD Actual YDv'
FY20 t BFY 0 FY 0Budgeudget 1 FY 01 YTD Budget I J IFY19ual Jutly 2019) PY Actual$ YTActual R
Revenue(Operating):
Water Revenue(Residential) $ 16,548,758 $1,874,974 $ 1,354,340 $ 1,354,340 $ (520,634) $ 1,428,694 $ 1,428,694 $ (74,354) -5.20%
Water Revenue(Commercial&Fire Det.) 1,872,073 212,106 141,201 141,201 (70,905) 166,126 166,126 (24,925) -15.00%
Water Revenue(Landscape/Irrigation) 3,917,982 443,907 349,955 349,955 (93,952) 396,384 396,384 (46,429) -11.71
Water Revenue(Service Charge) 10,988,263 915,689 840,895 840,895 (74,794) 834,735 834,735 6,160 0.74
Other Operating Revenue 902,996 75,250 81,983 81,983 6,733 85,542 85,542 3,559) 4.16%
Total Operating Revenue: 34,230,072 3,521,926 2,768,374 2,768,374 (753,552) 2,911,481 2,911,481 (143,107) 4.92%
Revenue(Non-Operating):
Interest 698,777 58,231 32,819 32,819 (25,412) 38,985 38,985 (6,166) -15.82%
Property Tax 1,820,471 0 - - - - - 0.00
Other Non-Operating Revenue 608,430 50,703 26,697 26,697 (24,006) 35,393 35,393 (8,696) -24.57%
Total Non-Operating Revenue: 3,127,678 108,934 59,516 59,516 (49,418)1 74,378 74,378 (14,862) -19.98%
Total Revenue 37,357,750 3,630,860 2,827,890 2,827,890 (802,970)1 2,985,859 2,985,859 (157,969) -5.29%
Expenses(Operating):
Variable Water Costs(G.W.,Import&Power) 15,110,810 1,712,055 1,660,561 1,660,561 (51,494) 1,671,801 1,671,801 (11,240) -0.67%
Salary Related Expenses 10,528,255 654,010 535,492 535,492 (118,518) 526,829 526,829 8,663 1.64
Supplies&Services:
Communications 228,183 19,015 19,362 19,362 347 21,792 21,792 (2,430) -11.15%
Contractual Services 496,717 41,393 34,546 34,546 (6,847) 24,974 24,974 9,572 38.33%
Data Processing 324,069 27,006 19,604 19,604 (7,402) 19,878 19,878 (274) -1.38
Dues&Memberships 78,862 6,572 3,352 3,352 (3,220) 26,515 26,515 (23,163) -87.36
Fees&Perm its 290,271 24,189 9,446 9,446 (14,743) 11,425 11,425 (1,979) -17.32%
Board Election - - - - - - - 0.00
Insurance 304,468 25,372 23,185 23,185 (2,187) 22,511 22,511 674 2.99%
Materials 948,195 79,016 64,207 64,207 (14,809) 65,394 65,394 (1,187) -1.82%
District Activities,Emp Recognition 43,371 3,614 554 554 (3,060) 2,079 2,079 (1,525) -73.35%
Maintenance 565,165 47,097 29,451 29,451 (17,646) 27,993 27,993 1,458 521
Non-Capital Equipment 170,778 14,232 5,048 5,048 (9,184) 6,891 6,891 (1,843) -26.75%
Office Expense 33,950 2,829 6,075 6,075 3,246 3,629 3,629 2,446 67.41
Professional Services 585,971 48,831 31,234 31,234 (17,597) 9,045 9,045 22,189 245.32%
Training 78,301 6,525 512 512 (6,013) 4,165 4,165 (3,653) -87.71
Travel&Conferences 126,278 10,523 2,755 2,755 (7,768) 6,902 6,902 (4,147) -60.08
Uncollectible Accounts 4,185 349 (113) (113) (462) (369) (369) 256 -69.40%
Utilities 179,258 14,938 15,307 15,307 36919,232 19,232 (3,925) -20.41
Vehicle Equipment 335,600 27,967 27,006 27,006 (961) 24,418 24,418 2,588 10.60%
Supplies&Services Sub-Total 4,793,620 399,468 291,531 291,531 (107,937)I 296,474 296,474 (4,943) -1.67
Total Operating Expenses 30,432,685 2,765,533 2,487,584 2,487,584 (277,949) 2,495,104 2,495,104 (7,520) -0.30%
Expenses(Non-Operating):
Interest on Long Term Debt 1,303,967 108,664 111,601 111,601 2,937 115,401 115,401 ((3,800) -3.29%
)1 229 229
OtherTotal Non-Operating Expenses: 1,317,4807 109,7917 105,268) 105,268) 4,5203)I 115,630 115,630 (10,362 28-8.96%
Total Expenses 31,750,172 2,875,323 2,592,852 2,592,852 (282,471)1 2,610,735 2,610,735 (17,883) -0.68%
1
Net Position Before Capital Contributions 5,607,578 755,536 235,038 235,038 (520,498)1 375,124 375,124 (140,086) -37.34%
Special Item - - - - _I
Capital Contributions(Non-Cash Transaction- - - - -
GASB 34 Compliant)
Net Position Before Depreciation 5,607,578 755,536 235,038 235,038 (520,498)1 375,124 375,124 (140,086) -37.34%
Depreciation&Amortization 6,289,903 524,159 487,190 487,190 (36,969)1 500,005 500,005 (12,815) -2.56%
Total Net Position $ (682,325) $ 231,378 $ (252,152) (252,152) $ (483,530)1 $ (124,881) $ (124,881) $ (127,271) -101,91
Capital-Direct Labor (225,000) (18,750) (7,473) (7,473) 11,2771 (16,400) (16,400) 8,927 -54.43%
Page 35 of 53
Water Revenues & Expenses - July
$3,500,000 (excludes Depreciation,Special Items, and Contributed Capital )
$3,000,000 $2,913,887 $2,981,983 $2,985,859 $2,827,890
$2,807,091 -5.29
$2,829,641
$2,500,000 $2,610,734
$2,592,852
$2,431,157 8%
r $2,336,805
$2,000,000
$1,500,000
$1,000,000
$500,000
July 2015 July 2016 July 2017 July 2018 July 2019
Total Revenue f Total Expenses
Page 36 of 53
Yorba Linda Water District
Sewer Fund
For Period Ending July 31,2019
(With July 31,2018 for comparison purposes)
Annual YTD July YTD YTD Actual Prior Year Prior Year YTD Actual YTD-CUR
Budget Budget Actual Actual (Under)Over July Actual Actual(thru vs vs
FY20 FY20 FY20 FY20 YTD Budget FY19 July 2018) PY Actual$ PY Actual
Revenue(Operating):
Sewer Charge Revenue $2,421,665 $201,805 $186,531 $ 186,531 ($15,274) $172,971 $172,971 $13,560 7.84%
Locke Ranch Assessments 324,173 36,729 - $ - (36,729) - - - 0.00%
Other Operating Revenue 61,712 5,143 12,865 $ 12,865 7,722 11,607 11,607 1,258 10.84%
Total Operating Revenue: 2,807,550 243,677 199,396 $ 199,396 (44,281) 184,578 184,578 14,818 8.03%
Revenue(Non-Operating):
Interest 113,528 9,461 4,918 $ 4,918 (4,543) 4,592 4,592 326 7.10%
Other Non-Operating Revenue 24,480 2,040 3,449 $ 3,449 1,409 12,173 12,173 (8,724) -71.67%
Total Non-Operating Revenue: 138,008 11,501 8,367 $ 8,367 (3,134) 16,765 16,765 (8,398) -50.09%
Total Revenue 2,945,558 255,178 207,763 $ 207,763 (47,415) 201,343 201,343 6,420 3.19%
Expenses(Operating):
Salary Related Expenses 1,136,668 75,705 58,923 58,923 (16,782) 51,279 51,279 7,644 14.91%
Supplies&Services:
Communications 13,412 1,118 1,457 1,457 339 1,640 1,640 (183) -11.18%
Contractual Services 30,764 2,564 2,067 2,067 (497) 1,380 1,380 687 49.79%
Data Processing 21,382 1,782 964 964 (818) 1,208 1,208 (244) -20.20%
Dues&Memberships 5,928 494 252 252 (242) 1,996 1,996 (1,744) -87.37%
Fees&Permits 15,509 1,292 253 253 (1,039) 186 186 67 35.95%
Board Election - - - - - - - 0 0.00%
Insurance 22,917 1,910 1,745 1,745 (165) 1,694 1,694 51 3.01%
Materials 65,206 5,434 171 171 (5,263) 6,568 6,568 (6,397) -97.40%
District Activities, Emp Recognition 3,264 272 42 42 (230) 156 156 (114) -73.09%
Maintenance 171,135 14,261 21 21 (14,240) - - 21 0.00%
Non-Capital Equipment 39,542 3,295 196 196 (3,099) 405 405 (209) -51.60%
Office Expense 2,555 213 431 431 218 273 273 158 57.88%
Professional Services 156,229 13,019 1,341 1,341 (11,678) 690 690 651 94.24%
Training 8,569 714 109 109 (605) 269 269 (160) -59.54%
Travel&Conferences 14,362 1,197 130 130 (1,067) 491 491 (361) -73.54%
Uncollectible Accounts 315 26 (24) (24) (50) (95) (95) 71 -74.74%
Utilities 13,493 1,124 1,152 1,152 28 1,515 1,515 (363) -23.98%
Vehicle Equipment 41,100 3,425 6,204 6,204 2,779 1,343 1,343 4,861 361.81%
Supplies&Services Sub-Total 625,681 52,140 16,511 16,511 (35,629) 19,722 19,722 (3,211) -16.28%
Total Operating Expenses 1,762,349 127,845 75,434 75,434 (52,411) 71,001 71,001 4,433 6.24%
Expenses(Non-Operating):
Interest Expense - - - - - - - -
Other Expense - - -
Total Non-Operating Expenses: - - - - - - - 0.00%
Total Expenses 1,762,349 127,845 75,434 75,434 (52,411) 71,001 71,001 4,433 6.24%
Net Position Before Capital Contributions 1,183,209 127,333 132,329 132,329 4,996 130,342 130,342 1,987 1.52%
Capital Contributions(Non-Cash Transaction - - - - - 1,390 1,390 (1,390) -100.00%
GASB 34 Compliant)
Net Position Before Depreciation 1,183,209 127,333 132,329 132,329 4,996 131,732 131,732 597 0.45%
Depreciation&Amortization 1,430,756 119,230 114,852 114,852 (4,378) 114,496 114,496 356 0.31%
Total Net Position (247,547) 8,103 17,477 17,477 9,374 17,236 17,236 241 1.40%
Capital-Direct Labor (70,000) (5,833) (1,295) (1,295) 4,538 (3,034) 3,034 (4,329) -142.68%
Page 37 of 53
Sewer Revenues & Expenses - July
$250,000 (excludes Depreciation, Special Items, and Contributed Capital)
$207,763
3.19%
$201,343
$200,000
$171,601
$154,072
$150,000 $144,647
$118,515
$100,000 $111,886
$91,241
$75,434
$50,000 $71,001 6.24%
$ MjA
-
July 2015 July 2016 July 2017 July 2018 July 2019
Total Revenue f Total Expenses
Page 38 of 53
Water Revenue Comparison by Fiscal Year
$3,000,000 $2,846,928 -4.94%decrease
$2,711,149 $2,825,939 compared to FY19
$2,686,391
$2,500,000
$2,310,956
$2,000,000
$1,500,000
$1,000,000
$500,000
kD$425,233
Fr
SO —
FY16FY17 FY18 FY19 FY20
■ Water Revenue(Service Charge) ■ Water Revenue(Commercial&Fire Det.) ■ Water Revenue(Landscape/Irrigation) ■ Water Revenue(Residential) ❑Total
Page 39 of 53
Variable Costs Analysis
2,000,000
1,671,801
1,800,000 �i,(yp�i,;,s/1 1,729,514
1,505,340 11512,043 1,518,953
1,600,000 i,466,iis
i 1,358,893 1,340,186
1,400,000 1,310,852
r
1,388,016 1,143,948
1,200,000 � 1 nF4 Asa
i
1,284,700
981,755
1,000,000 1,135,165 �
981,384 1,019,234
800,000
600,000
400,000
200,000
0
Jul Aug Sept Oct Nov Dec
tFY17 Var Costs FY18 Var Costs tFY19 Var Costs FY20 Var Costs
Page 40 of 53
ITEM NO. 9.2.
Yorba Linda
Wat ir District
AGENDA REPORT
MEETING DATE: August 27, 2019
TO: Board of Directors
FROM: Marc Marcantonio, General Manager
STAFF CONTACTS: Delia Lugo, Finance Manager
Kelly McCann, Senior Accountant
SUBJECT: Cash & Investment Report for Period Ending July 31, 2019
SUMMARY:
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 & Investment Portfolio Report presents the market value and percent yield for all
District investments by institution. The Cash & Investment Summary Report 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 Unrestricted
Reserves and Days in Cash Graph presents Water Unrestricted Reserve Balances and Days
in Cash at a particular point in time for the last four years.
The average portfolio yield for the month ending July 31, 2019 is 2.15%.
The District's Total Cash and Investment balance at July 31, 2019 resulted in an overall
decrease in the investment balance from the previous month is approximately $2,148,846. A
larger balance includes a decrease in the Water Operating Fund of $2,354,818 due to the
biannual payment of $3,047,587 to OCWD for the Replenishment Assessment.
ATTACHMENTS:
1. Investment Reports & Graphs July 2019
Page 41 of 53
Yorba Linda Water District
Cash&Investment Portfolio Report
July 31,2019
Market % Date of Percent
Value Par of Total Institution Maturity Yield
Checking Account:
$ 520,514 $ 520,514 Wells Fargo Bank
$ 520,514 $ 520,514 1.45% Total 0.00%
Money Market Accounts:
$ 252 $ 252 US Bank (Revenue Bonds) 1.92%
2,843,068 2,842,784 US Bank(Money Market) 1.94%
1,960,545 1,960,545 Public Agency Retirement Svcs.(PARS)
$ 4,803,866 $ 4,803,581 13.39% Total 1.94%
Certificates of Deposits:
246,841 249,000 Comenity Cap Bk Salt Lake City 06/30/21 1.66%
246,177 248,000 EnerBank USA Salt Lake City 08/26/20 1.31%
247,819 248,000 EverBank Jacksonville Fla CTF 08/30/19 1.15%
179,429 180,000 HSBC BK USA,NA MC Clean CTF 08/31/21 1.25%
245,604 248,000 Wells Fargo Bank NA Sioux Falls D 08/31/21 1.62%
247,600 247,000 PrivateBank&Tr Chicago Ill CTF 03/30/22 2.19%
249,204 249,000 JP Morgan Chase Bk NA Columbus 03/31/22 2.45%
245,632 245,000 Goldman Sachs Bank 06/28/21 2.19%
245,632 245,000 Morgan Stanley Private Bank 06/28/21 2.19%
245,556 245,000 Capital One Bank USA 06/27/22 2.20%
245,556 245,000 Capital One Bank NA 06/27/22 2.20%
245,902 245,000 Ally Bank 06/27/22 2.24%
245,902 245,000 Sallie Mae Bank 06/27/22 2.24%
247,234 245,000 Synchrony 05/17/22 2.43%
247,942 245,000 Morgan Stanley Bank NA 06/13/22 2.52%
245,272 245,000 Silvergate Bank 06/28/24 2.45%
245,289 245,000 First Choice Bank 06/28/24 2.00%
$ 4,122,593 $ 4,119,000 11.49% Total 2.03%
Federal Agency Bonds:
997,100 1,000,000 FHLMC 12/24/20 2.20%
996,570 1,000,000 FHLMC 06/24/21 2.25%
$ 1,993,670 $ 2,000,000 5.56% Total 2.23%
Corporate Notes:
501,710 500,000 Wells Fargo Co. 03/04/21 2.49%
501,390 500,000 JP Morgan Chase Co. 03/01/21 2.54%
$ 1,003,100 $ 1,000,000 2.80% Total 2.52%
Pooled Investment Accounts:
$ 13,539,424 $ 13,539,424 Local Agency Investment Fund 2.38%
1,371,112 1,369,920 CalTRUST Short Term 2.27%
8,531,464 8,533,011 CalTRUST Medium Term 1.98%
$ 23,442,000 $ 23,442,355 65.32% 2.23%
$ 35,885,742 $ 35,885,450 92% Total Investments 2.15%
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.
Kelly McCann,Senior Accountant
7/31/19
Page 42 of 53
Cash & Investment Summary Report
Below is a chart summarizing the yields as well as terms and maturities for the month of July 2019:
Average #of
Month Portfolio Days to
of 2019 Yield Maturity
JUIy 2.15% 166
Below are charts comparing operating fund interest for current and prior fiscal years.
Actual Interest 7/31/2019 7/31/2020
Monthly- July $ 43,577 $ 37,736
Year-to-Date $ 43,577 $ 37,736
Budget 2018/2019 2019/2020
Interest Budget,July YTD $ 29,833 $ 67,692
Interest Budget,Annual $ 358,000 $ 812,306
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:
The table below displays the District's Cash and Investment balance of$35.88 million which is allocated between the established
reserve funds,Wells Fargo Checking Account,and the restricted funds held at U.S. Bank for the construction of the Fairmont Booster
Pump Station. The number of Days in Cash are 335 for the Un-Restricted Water Reserve balance and 1,048 for the Un-Restricted Sewer
Reserve balances,as of July 31,2019.
FY20 Reserve Cash and
Requirements Investments
June 2019 %Alloc July 2020 %Alloc "Target Available for
Fund Description Balance 6/30/2019 Balance 7/31/2019 Levels" CY Obligations
Water Operating Reserve $ 11,764,838 35.22% $ 9,410,020 28.17% $ 12,427,055 $ (3,017,035)
Water Emergency Reserve 7,126,919 21.34% 7,134,864 21.36% 7,115,108 19,756
Water Capital Project Reserve 7,252,740 21.71% 7,281,785 21.80% 7,314,221 (32,436)
Rate Stabilization Reserve 4,108,935 12.30% 4,113,454 12.31% 4,093,400 20,054
Un-Restricted Water Reserve Balance 30,253,433 27,940,124 30,949,784 (3,009,660)
Conservation Reserve 102,713 0.31% 103,420 0.31% - 103,420
Employee Liability Reserve 300,111 0.90% 302,179 0.90% 400,000 (97,822)
Restricted Reserve Balance 402,824 405,599 400,000 5,599
Sewer Operating Reserve 1,087,155 3.25% 1,215,523 3.64% 1,335,465 (119,942)
Sewer Emergency Reserve 1,917,044 5.74% 1,922,119 5.75% 1,914,347 7,772
Sewer Capital Project Reserve 1,909,068 5.72% 1,921,067 5.75% 1,909,045 12,022
Un-Restricted Sewer Reserve Balance 4,913,267 5,058,708 5,158,857 (100,149)
Total Reserve Balances $ 35,569,524 106.48% $ 33,404,431 100.00% $ 36,508,641 $ (3,104,210)
Wells Fargo Bank Checking
Water Operating 507,931 452,088
Sewer Operating 10,451 68,426
518,382 520,514
US Bank Held(Restricted).
Rev.Bond 2012A&2017A-Principal&Interest 252 252
Public Agency Retirement Svc.-PARS(Restricted) 1,946,430 1,960,545
Total Cash and Investments $ 38,034,588 $ 35,885,742
Page 43 of 53
INVESTMENT BALANCES (AS OF 7-31-2019)
■Checking Account: ■Money Market Accounts: ■Federal Agency Securities: ■Certificates of Deposit: ■Corporate Notes: ■Pooled Investment Accounts:
P— Checking Account:
IF Money Market Accounts:
Federal Agen I cy Securitiesi
Certificates of Deposit:
EL
Pooled Investment Accounts:
Corporate Notes;_
:0
Checking Account: $ 520,514 1.45%
Money Market Accounts: $ 4,803,866 13.39%
Federal Agency Securities: $ 1,993,670 5.56/
Certificates of Deposit. $ 4,122,593 11.49%
Corporate Notes: $ 1,003,100 2.80%
Pooled Investment Accounts: $ 23,442,000 65.32%
Total $ 35,8859742 100.00%
Page 44 of 53
Yorba Linda Water District
Fair Value Measurement Report
July 31, 2019
Quoted Observable Unobservable
Prices Inputs Inputs
Investments Level 1 Level 2 Level 3 Total
CalTRUST Investment Pool $ - $ 9,902,576 $ - $ 9,902,576
Local Agency Investment Fund - 13,539,424 - 13,539,424
U.S. Government Sponsored
Agency Securities - 1,993,670 - 1,993,670
Corporate Notes 1,003,100 1,003,100
Negotiable Certificates of Deposit - 4,122,593 - 4,122,593
Total Investments $ - $ 30,561,363 $ - $ 30,561,363
Page 45 of 53
PARS (Public Agencv Retirement Services) Funding Reconciliation
Beginning Balance as of 7/1/19 1,235,837.20 526,669.64 135,806.94 62,230.97 1,960,544.75
Account Balance by Account Type 1,235,837.20 526,669.64 135,806.94 62,230.97 1,960,544.75
Pension OPEB Total
Initial Contribution as of 12/28/2017 $ 247,599.00 - 247,599.00
Additional Contribution 6/26/19 $ 1,105,248.00 587,339.00 1,692,587.00
Total Contributions = 1,940,186.00
Total Gain(or Loss)from Inception $ 19,730.92 1,561.61 21,292.53
Total Management Fees from Inception $ (933.78) - (933.78)
Balance as of 7-31-19 = 1,371,644.14 588,900.61 1,960,544.75
Page 46 of 53
Unrestricted Reserves & Days in Cash (Water)
$35,020,000 - 510
450
460
$30,020,000
386 410
$25,020,000 $31,838,936 352
337 335 360
$28,273,352 ----IN$20,020,000
$24,738,538 $28,034,549 310
$27,940,124
$15,020,000 260
210
$10,020,000
160
$5,020,000
- 110
$20,000 60
July 2015 July 2016 July 2017 July 2018 July 2019
Unrestricted Reserves(Water) Days in Cash(Water)
Page 47 of 53
ITEM NO. 10.1.
Yorba Linda
Wat ir District
AGENDA REPORT
MEETING DATE: August 27, 2019
TO: Board of Directors
FROM: Marc Marcantonio, General Manager
STAFF CONTACTS: Annie Alexander, Executive Assistant/Board Secretary
SUBJECT: Directors' Reports
The Directors will report on their attendance at the following events:
1. UWI Annual Conference - August 14-16, 2019 (Jones)
2. OC LAFCO - August 14, 2019 (Nederhood - As Needed)
3. WACO Planning Committee - August 20, 2019 (Jones/Nederhood)
4. SAWPA Commission - August 20, 2019 (Jones - As Needed)
5. YL City Council - August 20, 2019 (Jones)
6. MWDOC Board - August 21, 2019 (Miller/Nederhood)
7. OCWA Luncheon - August 21, 2019 (Jones/Nederhood)
8. OCWD Board - August 21, 2019 (Jones)
Page 48 of 53
ITEM NO. 11.1.
Yorba Linda
Wat ir District
AGENDA REPORT
MEETING DATE: August 27, 2019
TO: Board of Directors
FROM: Marc Marcantonio, General Manager
STAFF CONTACTS: Rosanne Weston, Engineering Manager
SUBJECT: Interagency Committee with MWDOC and OCWD
(Jones/Hawkins)
• Minutes of meeting held July 25, 2019 at 4:00 p.m.
• Next meeting is scheduled September 26, 2019 at 4:00
p.m.
ATTACHMENTS:
1. 2019-07-25 - Minutes - YLWD-MWDOC-OCWD
Page 49 of 53
MINUTES OF THE
YORBA LINDA WATER DISTRICT
INTERAGENCY COMMITTEE MEETING WITH MWDOC AND OCWD
Thursday, July 25, 2019, 4:00 P.M.
1717 E Miraloma Ave, Placentia CA 92870
1. CALL TO ORDER
The meeting was called to order at 4:00 p.m.
2. ROLL CALL
YLWD COMMITTEE MEMBERS YLWD STAFF
Brooke Jones, President Marc Marcantonio, General Manager
John DeCriscio, Operations Manager
Rosanne Weston, Engineering Manager
MWDOC COMMITTEE MEMBER MWDOC STAFF
Brett R. Barbre, President Karl Seckel, Assistant General Manager
OCWD COMMITTEE MEMBER OCWD STAFF
None Mike Markus, General Manager
OTHER ATTENDEES
J. Wayne Miller, Director
3. PUBLIC AND COMMENTS
None.
4. DISCUSSION ITEMS
4.1. MWD Water Supply Conditions and Outlook
MWD has around 3 million AF of storage.
4.2. Condition of OCWD Groundwater Basin, Water Purchased for Recharge,
and In-Lieu Recharge
The groundwater basin has an overdraft of 180,000 to 190,000 AF, with an
incidental recharge of 90,000 AF. OCWD does not plan on purchasing
MWD water this year for recharge or In-lieu. This means that In-lieu will not
be available for groundwater producers. OCWD is considering how to divert
the Santa Ana River away from the settlement basins that recharge the
groundwater basin to reduce the contribution of PFAS from this surface
water.
Minutes of the YLWD/MWDOC/OCWD Interagency Committee Meeting Held July 25,2019 at 4:00 p.m. 1
Page 50 of 53
4.3. Funding and Time Frame for PFAS Treatment Studies, Design,
Construction, and Operations and Maintenance
Mr. Markus said that this will be discussed at the next WIC and Groundwater
Producers meetings in August, and then a recommendation will be brought
before the Board. YLWD requested that OCWD pay for the District's capital
and O&M treatment costs. OCWD will be putting out an RFP in the next few
weeks for a PFAS Treatment Systems Planning Study. Ms. Weston
mentioned that YLWD will be participating in the planning study.
4.4. YLWD Well Projects (Subject to resolution of funding of PFAS treatment.)
Well 22: Design is complete and the project is shovel-ready. YLWD is
seeking grant funding (SARCCUP) from OCWD for well equipping. The
Engineer's Estimate for construction is approximately $1 .5 million. Mr.
Markus will follow-up with John Kennedy to see if grant funding is available
for YLWD and what are the requirements for utilizing this money.
Well 23: YLWD will proceed to negotiate the lease for the well easement
with OCWD.
4.5. Tour of YLWD Facilities
Mr. DeCriscio conducted a tour of Highland Pump Station and Reservoir,
where all of the well water is blended prior to serving it to customers. YLWD
is building a pressure reducing station adjacent to the pump station to take
import water from Zone 2 to the reservoir to feed Zone 1 .
5. ADJOURNMENT
5.1. The meeting was adjourned at 5:40 p.m.
RPW
Minutes of the YLWD/MWDOC/OCWD Interagency Committee Meeting Held July 25,2019 at 4:00 p.m. 2
Page 51 of 53
ITEM NO. 12.1.
Yorba Linda
Wat ir District
AGENDA REPORT
MEETING DATE: August 27, 2019
TO: Board of Directors
FROM: Marc Marcantonio, General Manager
STAFF CONTACTS: Annie Alexander, Executive Assistant/Board Secretary
SUBJECT: Meetings from August 28 - October 31, 2019
ATTACHMENTS:
1. Board of Directors' Activities Calendar
Page 52 of 53
Board of Directors Activity Calendar
Event Date Time Attendance By
September
OCSD Board Wed, Aug 28 6:00 PM Hawkins
YL Planning Commission Wed, Aug 28 6:30 PM Hawkins(As Needed)
District Offices Closed Mon, Sep 2 7:00 AM
ISDOC Executive Committee Tue, Sep 3 7:30 AM Nederhood
SAWPA Commission Tue, Sep 3 9:30 AM Jones(As Needed)
YL City Council Tue, Sep 3 6:30 PM Hawkins
MWDOC Board Wed, Sep 4 8:30 AM Miller/Nederhood
OCWD Board Wed, Sep 4 5:30 PM Jones
MWDOC Water Policy Forum Thu, Sep 5 5:30 PM Jones/Nederhood
WACO Fri, Sep 6 7:30 AM
Board of Directors Regular Meeting Tue, Sep 10 6:30 PM
OC LAFCO Wed, Sep 11 8:15 AM Nederhood (As Needed)
YL Planning Commission Wed, Sep 11 6:30 PM Hawkins(As Needed)
YL Mayor's Prayer Breakfast Thu, Sep 12 6:45 AM Jones/Nederhood
Joint Committee Meeting with City of Yorba Linda Mon, Sep 16 4:00 PM Jones/Hawkins
WACO Planning Committee Tue, Sep 17 7:30 AM Jones/Nederhood
SAWPA Commission Tue, Sep 17 9:30 AM Jones(As Needed)
YL City Council Tue, Sep 17 6:30 PM Hall
MWDOC Board Wed, Sep 18 8:30 AM Miller/Nederhood
OCWA Luncheon Wed, Sep 18 11:30 AM
OCWD Board Wed, Sep 18 5:30 PM Jones
Board of Directors Regular Meeting Tue, Sep 24 6:30 PM
Placentia State of the City Wed, Sep 25 11:30 AM Jones/Nederhood
OCSD Board Wed, Sep 25 6:00 PM Hawkins
YL Planning Commission Wed, Sep 25 6:30 PM Hawkins(As Needed)
CSDA Annual Conference Thu, Sep 26 8:00 AM Nederhood
Interagency Committee Meeting with MWDOC and OCWD Thu, Sep 26 4:00 PM Jones/Hawkins
CSDA Annual Conference Fri, Sep 27 8:00 AM Nederhood
October
ISDOC Executive Committee Tue, Oct 1 7:30 AM Nederhood
SAWPA Commission Tue, Oct 1 9:30 AM Jones(As Needed)
YL City Council Tue, Oct 1 6:30 PM Miller
MWDOC Board Wed, Oct 2 8:30 AM Miller/Nederhood
OCWD Board Wed, Oct 2 5:30 PM Jones
WACO Fri, Oct 4 7:30 AM
Board of Directors Regular Meeting Tue, Oct 8 6:30 PM
OC LAFCO Wed, Oct 9 8:15 AM Nederhood (As Needed)
YL Planning Commission Wed, Oct 9 6:30 PM Hawkins(As Needed)
WACO Planning Committee Tue, Oct 15 7:30 AM Jones/Nederhood
SAWPA Commission Tue, Oct 15 9:30 AM Jones(As Needed)
YL City Council Tue, Oct 15 6:30 PM Nederhood
MWDOC Board Wed, Oct 16 8:30 AM Miller/Nederhood
OCWA Luncheon Wed, Oct 16 11:30 AM
OCWD Board Wed, Oct 16 5:30 PM Jones
ACWA Regulatory Summit Thu, Oct 17 8:00 AM
CA-NV AWWA Fall Confernece Mon, Oct 21 8:00 AM
CA-NV AWWA Conference Tue, Oct 22 8:00 AM
Board of Directors Regular Meeting Tue, Oct 22 6:30 PM
CA-NV AWWA Conference Wed, Oct 23 8:00 AM
MWDOC/OCWD Joint Planning Committee Wed, Oct 23 8:30 AM TBD
OCSD Board Wed, Oct 23 6:00 PM Hawkins
YL Planning Commission Wed, Oct 23 6:30 PM Hawkins(As Needed)
CA-NV AWWA Conference Thu, Oct 24 8:00 AM
ISDOC Thu, Oct 24 11:30 AM
As of August 14, 2019
Page 53 of 53
BACKUP MATERIALS DISTRIBUTED LESS THAN 72 HOURS PRIOR TO THE MEETING
ITEM NO.
i
YLYorba Linda .�
WWater District
Special Financing
s
District Formation `'•
4Z)� NBS`
helping
s
ti:..
communities
fund tornorrow
,r
` r
SUBMITTED BY:
•
- • Davidson,
AugustMEETING DATE: 1
ITEM NO. 5.1.
Agenda
Introduction
� \ u
NBS Overview
4�
Project Understanding
Financing Overview
Next Steps L
Questions
X:
4-"*') NBS' Yorba Linda Water District 2
helping communitles
fund tomorrow /
SUBMITTED BY: Greg Davidson, NBS
MEETING DATE: August 27, 2019
ITEM NO. R.1.
About NBS
t
kA
5 Y
M A,
years COMMUNI-
DISTRICTSMMUNITY FACILITIES
• .
40
1j1 /j1 1
L1NBS � � ' • • � ��
s
ACWA
I.I.I.I.I.■0
00
/11{ff-0 :�l� 6(C7 iOlr 0 A�O;t,�!'f,ei ,Norlic
■.■■■.
. ■■■■■
M •!�\■■
a 00 ho.
'INK TrJA G 11 E
OF CALIFORNIA
Agencies
C I T I E S
SDA
N BS Yorba Linda Water District 3
helping communities
fund tomorrow /
SUBMITTED BY: Greg Davidson, NBS
MEETING DATE: August 27, 2019
ITEM NO. R.1.
NBS Levy Summary
MAFiscal Year 2018 Levy Summary
. A IAL
States Counties Agencies Districts Parcels Dollars Levied
4 48 170 11027 61227,575 $693,421,233
N BS Yorba Linda Water District
helping communities
fund tomorrow /
SUBMITTED BY: Greg Davidson, NBS
MEETING DATE: August 27, 2019
ITEM NO. R.1.
Project U
Approx. 625 Parcels on Septic Throughout the
District ( Non-Contiguous)
Approx. 325 Parcels in Close Proximity
Movement Towards All Parcels Connecting to
Sa n ita ry Sewe r Syste m
Looking for Cost Efficiencies (One Time Effort)
vs . Multiple Special Financing District
Formations
4-'%) NBS' Yorba Linda Water District 5
helping communities
fund tomorrow /
SUBMITTED BY: Greg Davidson, NBS
MEETING DATE: August 27, 2019
ITEM NO. R.1.
Project Understandingicon
Ability to Finance Connection to the Property
and Septic System Abandonment (Subject to
Legal Approval )
Sample Project (Sandra Drive ) does Not
Support Public Financing
4-'%) NBS' Yorba Linda Water District g
helping communities
fund tomorrow /
SUBMITTED BY: Greg Davidson, NBS
MEETING DATE: August 27, 2019
ITEM NO. R.1.
Land Secured FinancingOptions
Assessment District
+. Lower Property Owner Approval Threshold
2. Requires Contiguous Parcels
Special Tax (Community Facilities District)
Higher Registered Voter Approval Requirement
Allows for Scattered/Non-Contiguous Parcels
Allows Annexation of Parcels in the Future and/or the
Establishment of a Future Annexation Area
4-'%) NBS' Yorba Linda Water District 7
helping communities
fund tomorrow
SUBMITTED BY: Greg Davidson, NBS
MEETING DATE: August 27, 2019
ITEM NO. 5.1.
Potential Sewer Connections — Sandra Drive
i
u
a
a
{ 3867
A3-661-02 5852
s� 5962 -
343-661-05
5@71
343-661-03
5'372Legend
343-661-04
Sandra Or.-Potential GF❑
Proposed Sewer
}�:r•. ExEsting Gravity Sewer
Proposed Lrft Station
a
ci .
+ W+E
S
0 50 100 200 Feet
I i i I i i i I SANDRA DR. POTENTIAL SEWER COMMUNITY FACILITIES DISTRICT [CFD1 8
SUBMITTED BY: Greg Davidson, NBS
MEETING DATE: August 27, 2019
ITEM NO. 5.1.
Sandra Drive Cost Estimate
Sandra Drive Improvements - Ballpark Cost Estimate 4812512019
I Total
CFD Improvement Qty Unit Cost Cost 6)
Sandra Drive Forcemaini 2D0 If $ 485.00 97,000
Sandra Drive S-inch 0 ravity Sewe rm a i n 2 IDD If $ 485.00 $ 48,500
Manhole I LS $ 20,000.00 20,000
Lift Station I LS $ 100,000.00 $ 100,000
Subtotal - $ 255,500
Design and Review Costsd $ 53,100
CFD Total $ 318,640
Tota I
Private Improvement Unit Cost Cost(5)
Septic Abandonment in places and onsite laterals
11---
$ 10,090.00 50,004Subtotal - $ 50,4401
I Total
C- iarbdA. V.. re Fees qty U nit Cast Cast[$]
City Permit Fee 5 LS 321 $ 1,605
CCSD Fee 5 LS $ 6,395 $ 31,975
YLD Deposit 5 LS $ 6,372 $ 31,860
Subtotal - $ 55,4401
Total $ 434,440
Total per Lot $ 86,808
Footnotes;
1)Length from the southerly terminus of Sandra Dr.to-the future manhole at north end of 5362 Sandra Dr.
1 2]Length from the north end of 5962Sandra Dr.totheShortSt.intersection.
3]Unitcosts based on recent sewer extension projects. 9
helping communities 4)Design and Review costs estirnate d to be 20%of subtotal.
fund tomorrow /
5)Disconnect,rem ave tap,inspect,fill with appropriate backfill u p to top of sid ew a I Is
SUBMITTED BY: Greg Davidson, NBS
MEETING DATE: August 27, 2019
ITEM NO. 5.1.
Cost of Financing
CFD Formation Cost Estimate (1)
CFD Formation $ 19,500
Legal Counsel (2) 25,000
Agency Costs 151000
TOTAL $ 59,500
(1) Does not include the actual cost of issuing the debt
as those fees would be paid from proceeds of the
de bt.
CFD Debt Issuance Cost Estimate (1)
Low Expected High
FA $ 30,000 $ 50,000 $ 75,000
Legal 301000 65,000 100,000
N BS 71500 9,500 14,500
Other 5,000 7,500 10,500
TOTAL $ 721500 $ 132,000 $ 200,000
(1) Estimates based on recent projects, actual costs may vary.
CFD Total Cost Estimate (1)
Low Expected High
Formation Cost $ 59,500 $ 59,500 $ 59,500
Debt Issuance 721500 132,000 200,000
TOTAL $ 132,000 $ 191,500 $ 259,500
Percentage of Sandra Drive Project Cost 30% 44% 609/6
4Z) N BS Yorba Linda Water District 10
helping communities
fund tomorrow
SUBMITTED BY: Greg Davidson, NBS
MEETING DATE: August 27, 2019
ITEM NO. 5.1.
District Wide Septic Parcels
,=mss ;,,, ,. - :_ -• ... ,,
' - i r -
71
! r
77.
1 '
�. ..
do 01 /14.. ti
v.�
YORBA LINDA WATER DISTRICT Aug 2019
SUBMITTED BY: Greg Davidson, NBS
MEETING DATE: August 27, 2019
ITEM NO. R.1.
Scenario 1 (Significant Parcels)
Determine the Cost to Convert All 625 Parcels
to Sanitary Sewer
Determine the Cost to Convert 325 "Clustered"
Parcels to Sanitary Sewer
Public Outreach to Determine Property Owner
Interest in Converting and Participating in a
Financing
4-'%) NBS' Yorba Linda Water District
helping communities
fund tomorrow /
SUBMITTED BY: Greg Davidson, NBS
MEETING DATE: August 27, 2019
ITEM NO. 5.1.
Scenario 2 ( limited Parcels)
Form a CFD With Pay-As-You-Go Option with
Debt Issuance Option
Upfront Legal Costs to Establish Initial District
Reduced Formation Costs for Subsequent
Districts and/or Annexations - Approx. $25K for
Initial Formation or $ 14.5K to $ 19 .5K for
Annexation ( not Including Staff/Agency Costs)
Debt Issuance Potential After Approx. 50
Properties in the CFD
4Z,,) NBS Yorba Linda Water District 13
helping communities
fund tomorrow
SUBMITTED BY: Greg Davidson, NBS
MEETING DATE: August 27, 2019
ITEM NO. R.1.
Pros
Ultimate Flexibility — Allowing Property Owners
to Choose If/When to Participate in a CFD
Spreads Formation and Debt Issuance Costs to
Property Owners
Ability to Fund Improvements via PAYGO
4-'%) NBS' Yorba Linda Water District 14
helping communities
fund tomorrow
SUBMITTED BY: Greg Davidson, NBS
MEETING DATE: August 27, 2019
ITEM NO. 5.1.
Cons
Requires Approx. $ 14. 5K for Continued
Feasibility
Scenario 1 — Requires Approx. $ 100K ( Polling,
Outreach, Legal, Special Tax Consultant) to Form
a CFD - Amount Can be Reimbursed IF CFD is
Approved ( Polling Will Indicate Passage)
Scenario 2 — Requires Approx. $50K in Legal
Fees and $25K to Form Initial CFD - Amount Can
be Reimbursed IF CFD is Approved
4Z,,) NBS Yorba Linda Water District 15
helping communities
fund tomorrow
SUBMITTED BY: Greg Davidson, NBS
MEETING DATE: August 27, 2019
ITEM NO. 5.1.
Questions and Comments
800.676. 7516 14
Thankoul,
f- Greg Davidson - •
Director
gdavidson@nbsgov.com
Stephanie Parson
Associate Director, District Consulting Group
sparson@nbsgov.com
Yorba Linda Water District 16
helping communities
fund tomorrow /
SUBMITTED BY: Greg Davidson, NBS
MEETING DATE: August 27, 2019
ITEM NO 7.1.
F 9dbc7b38b9 PDF
Yorba Linda Water District
Water Enterprise
FY19 ProForma-Use of Funds
June 2019
FY19 Annual YTD Actuals thni YTD%of
Budget June 2019 Budget
Water Revenue(Residential) $ 16,592,437 $ 14,672,463 88.43%
Water Revenue(Commercial&Fire Det.) 1,964,205 1,687,905 85.93%
Water Revenue(Landscapetirrigation) 3,863,805 3,411,077 88.28%
Service Charges 10,116,528 10,048,087 99.32%
Other Operating Revenue 827,887 981,071 118.50%
Total Operating Revenue 33,364,861 30,800,603 92.31%
Revenue(Non-Operating):
Interest 310,000 687,320 221.72%
Property Taxes 1,850,000 1,874,68B 101.33%
Other Non-Operating Revenue 605,346 938,777 155.08%
Total Non-Operating Revenue 2,765,346 3,500,785 126.59%
Total Revenue $ 36,130,207 $ 34,301,388 94.94%
Expenses(Operating):
Variable Water Costs(G.W.,Import&Power)
Water-Related Costs $ 12,247,280 $ 10,528,523 85.97%
Fixed Costs 1,188,085 1,072,599 90.28%
Power-Related Costs 1,358,012 1,766,752 130.10%
Variable Water Costs Related Expenses Total 14,793,377 13,367,874 90.36%
Salary Related Expenses 9,931,772 8,901,050 89.62%
Reduction for Capital Project Labor (279,000) (247,086) 88.56%
Salary Related Expenses Total 9,652,772 8,653,964 89.65%
Supplies&Services I
Communications 159,120 151,127 94.98%
Contractual Services 472,966 390,442 82.55%
Data Processing 283,729 264,280 93.15%
Dues&Memberships 82,077 73,970 90.12%
Fees&Permits 264,546 269,225 101.77%
Board Election 69,750 52,742 75.62%
Insurance 281,967 263,807 93.56%
Materials 646,740 907,620 140.34%
District Activities,Emp Recognition 43,013 36,079 83.88%
Maintenance 435,971 435,489 99.89%
Non-Capital Equipment 134,824 133,959 99.36%
Office Expense 40,301 38,495 95.52%
Professional Services 477,904 466,033 97.52%
Training 67,048 39,887 59.49%
Travel&Conferences 125,279 88,299 70.48%
Uncollectible Accounts 2,790 2,727 97.74%
Utilities 169,911 172,300 101.41%
Vehicle Expenses 303,459 281,839 92.88%
Supplies&Services Sub-Total 4,061,395 `4,068,319 100.17% (�•
Total Operating Expenses 28,507,544 26,090,157 91.52%
Expenses(Non-Operating) to
Other Expense 8,600 18,235 212.03%
Total Non-Operating Expenses 8,600 18,235 212.03%
Total Expenses $ 28,516,144 $ 26,108,392 91.56% ,\
Net Revenues 7,614,064 _8.1- :.6+ 107.60% 'Jl
Less:Debt Service(Principal&Interest) 2,738,258 2,738,256 100.00%
Less:Committed Capital Expenditures(PayGo) 4,484,500 3,083,225 68.75%
Transfer tol(from)Reserves 391,306 2,371,515 605.05%
Net Total $ - $ -
o Page Qo3
r
MATERIALS SUBMITTED BY: Al Nederhood, Director
MEETING DATE: August 27, 2019
ITEM NO 7.1.
F FY2021_Budg...[_Summaries PDF
FY20 & FY21 Pro Forma [Water] 1
FY19 FYl FY20 FY21
Budget Forecast Budget Budget
Revenue(Operating):
Water Revenue(Residential) $ 16,592,437 $ 15,335,194 $ 16,548,758 $ 16,946,962
Water Revenue(Commercial&Fire Det.) 1,964,205 1,834,606 1,872,073 1,969,765
Water Revenue(Landscape/Irrigation) 3,863,805 3,552,435 3,917,982 4,056,592
Service Charges 10,116,528 10,046,253 10,988,263 12,011,758
Other Operating Revenue 827,887 927,400 902,996 949,726
Total Operating Revenue 33,364,862 31,695,888 34,230,072 35,934,803
Revenue(Non-Operating):
Interest 310,000 593,272 698,777 721,079
Property Taxes 1,850,000 1,770,314 1,820,471 1,850,000
Other Non-Operating Revenue 605,346 680,002 608,430 637,958
Total Non-Operating Revenue 2,765,346 3,043,588 3,127,678 3,209,037
Total Revenue $ 36,130,208 $ 34,739,476 $ 37,357,750 $ 39,143,840
Expenses(Operating):
Variable Water Costs(G.W.,Import&Power)
Water-Related Costs $ 12,247,280 $ 11,900,339 $ 12,485,582 $ 13,665,365
Fixed Costs 1,188,085 1,188,085 1,179,009 1,182,773
Power-Related Costs 1,358,012 1,285,103 1,446,219 1,475,826
Variable Water Costs Related Expenses Total 14,793,377 14,373,528 15,110,810 16,323,964
Salary Related Expenses 9,931,772 9,64 0~6,87l2 10,753,255 11,260,314
Reduction for Capital Project Labor (279,000) (225,000) (312,000)
Salary Related Expenses Total 9,652,772 9,606,872 10,528,255 10,94S,314
Supplies&Services
Communications 159,120 166,455 228,183 230,908
Contractual Services 475,966 420,298 496,717 494,695
Data Processing 265,129 281,604 324,069 299,749
Dues&Memberships 82,077 64,365 78,862 82,335
Fees&Permits 264,546 296,701 290,271 290,647
Board Election 69,750 71,030 - 128,991
Insurance 281,967 285,649 304,468 314,456
Materials 658,714 951,328 948,195 964„050
District Activities,Employee Recognition 43,013 27,242 43,371 44,705
Maintenance 432,971 525,265 565,165 562,553
Non-Capital Equipment 115,294 149,485 170,778 126,625
Office Expense 40,343 35,677 33,950 33,829
Professional Services 518,804 502,129 585,971 672,664
Training 65,188 51,764 78,301 67,516
Travel&Conferences 125,279 97,937 126,278 137,206
Uncollectible Accounts 2,790 2,405 4,185 4,743
Utilities 169,911 157,653 179,258 151,311
Vehicle Expenses 316,262 325,115 335,600 335,600
Supplies&Services Sub-Total 4,087,123 4,412,101l 4,793,620 41941,583
Total Operating Expenses 28,533,272 28,392,501 30,432,685 32,213,861
Expenses(Non-Operating)
Other Expense 8,600 9,758 13,520 13,545
Total Non-Operating Expenses 8,600 9,758 13,520 13,545
Total Expenses $ 28,541,872 $ 28,402,259 $ 30,446,205 $ 32,227,406
Net Revenues 7,588,336 337 217 6,911,545 6,916,434
Less:Debt Service(Principal&Interest) 2,738,258 2,738,256 1 2,726,956 2,729,381
Less:Committed Capital Expenditures(PayGo) 4,484,500 3,204,555 3,518,470 4,109,796
Transfer to/(fro m)Reserves 365,579 394,406 666,119 77,256
Net $ - $ - $ - $ -
41 Page 't
MATERIALS SUBMITTED BY: Al Nederhood, Director
MEETING DATE: August 27, 2019
ITEM NO. 7.1.
FY19 - 2nd Half
Budget vs Forecast vs Actual
2,500.0
2,000.0
1,500.0
v
v
U
1,000.0
500.0
Budget Forecast Actual Budget Forecast Actual Budget Forecast Actual Budget Forecast Actual Budget Forecast Actual Budget Forecast Actual
Jan-20 Feb-20 Mar-20 Apr-20 May-20 Jun-20
■BPP ■CPTP ■IMP
MATERIALS SUBMITTED BY: Kaden Young
MEETING DATE: August 27, 2019
ITEM NO. 7.1.
FY19 BUDGET PLAN ..
Water-Related Costs Fixed Costs Power-Related Water-Related Costs Fixed Costs Power-Related Water-Related Costs Fixed Costs Power-Related
MONTH GW IMPORT GW IMPORT COMBINE COST TOTAL MONTH GW IMPORT GW IMPORT COMBINE COST TOTAL MONTH GW IMPORT GW IMPORT COMBINE TOTAL
COST
Jul-18 $ 776,218 $ 689,997 $ $ 61,475 $ 150,287 $ 1,677,977 Jul-18 $ 761,324 $ 734,442 $ 61,475 $ 151,022 $ 1,708,263 Jul-18 $ 761,541 $ 718,739 $ 85,497 $ 106,024 $ 1,671,801
Aug-18 $ 788,208 $ 700,655 $ $ 61,475 $ 152,608 $ 1,702,945 Aug-18 $ 762,460 $ 739,049 $ 61,475 $ 151,468 $ 1,714,452 Aug-18 $ 762,679 $ 723,919 $ 59,954 $ 182,961 $ 1,729,514
Sep-18 $ 728,946 $ 647,976 $ $ 61,475 $ 141,134 $ 1,579,532 Sep-18 $ 674,905 $ 642,190 $ 61,475 $ 133,322 $ 1,511,892 Sep-18 $ 675,080 $ 630,029 $ 40,798 $ 166,137 $ 1,512,043
Oct-18 $ 759,863 $ 280,901 $ $ 61,475 $ 122,365 $ 1,224,604 Oct-18 $ 647,543 $ 461,920 $ 61,475 $ 118,240 $ 1,289,178 Oct-18 $ 647,668 $ 452,892 $ 62,083 $ 144,835 $ 1,307,477
Nov-18 $ 700,554 $ - $ $ 61,475 $ 96,566 $ 858,595 Nov-18 $ 738,817 $ 21,046 $ 61,475 $ 103,160 $ 924,498 Nov-18 $ 738,932 $ 14,428 $ 62,083 $ 165,942 $ 981,384
Dec-18 $ 557,172 $ $ $ 61,475 $ 76,801 $ 695,448 Dec-18 $ 468,871 $ 6,000 $ 61,475 $ 65,006 $ 601,353 Dec-18 $ 467,678 $ 4,077 $ 62,083 $ 149,092 $ 682,930
Jan-19 $ 562,946 $ $ $ 60,411 $ 77,597 $ 700,954 Jan-19 $ 468,550 $ 6,193 $ 60,411 $ 64,961 $ 600,115 Jan-19 $ 468,551 $ 4,331 $ 60,351 $ 124,651 $ 657,883
Feb-19 $ 508,094 $ $ $ 60,411 $ 70,037 $ 638,542 Feb-19 $ 268,251 $ - $ 60,411 $ 36,977 $ 365,638 Feb-19 $ 290,115 $ 114 $ 60,351 $ 110,086 $ 460,667
Mar-19 $ 565,058 $ 216,090 $ $ 60,411 $ 90,994 $ 932,554 Mar-19 $ 476,679 $ 257,499 $ 60,411 $ 81,324 $ 875,913 Mar-19 $ 414,399 $ 9,267 $ 60,351 $ 105,990 $ 590,007
Apr-19 $ 554,246 $ 509,670 $ $ 60,411 $ 107,310 $ 1,231,637 Apr-19 $ 554,246 $ 509,670 $ 60,411 $ 107,310 $ 1,231,637 Apr-19 $ 723,382 $ 21,727 $ 60,351 $ 140,514 $ 945,974
May-19 $ 681,675 $ 628,950 $ $ 60,411 $ 132,107 $ 1,503,142 May-19 $ 681,675 $ 628,950 $ 60,411 $ 132,107 $ 1,503,142 May-19 $ 828,985 $ 71,849 $ 60,351 $ 171,598 $ 1,132,782
Jun-19 $ 724,151 $ 665,910 $ 456,771 $ 60,411 $ 140,206 $ 2,047,448 Jun-19 $ 724,151 $ 665,910 $ 456,771 $ 60,411 $ 140,206 $ 2,047,448 Jun-19 $ 673,052 $ 425,090 $ 336,304 $ 62,044 $ 198,920 $ 1,695,410
FYTD $ 7,907,131 $ 4,340,149 $ 456,771 $ 731,314 $ 1,358,012 $ 14,793,377 FYTD $ 7,227,471 $ 4,672,868 $ 456,771 $ 731,3141 $ 1,285,103 $ 14,373,528 FYTD $ 7,452,061 $ 3,076,462 $ 336,304 $ 736,296 $ 1,766,750 $ 13,367,873
$ 12,247,280 $ 1,188,085 $ 1,358,0121 $ 14,793,377 1 $ 11,900,339 $ 1,188,0851 $ 1,285,103 $ 14,373,528 $ 10,528,523 $ 1,072,600 $ 1,766,750 $ 13,367,873
MONTH CPTP BPP IMPORT TOTAL MONTH CPTP BPP IMPORT TOTAL MONTH CPTP BPP IMPORT TOTAL
Jul-18 115.4 1,609.0 583.6 2,308.0 Jul-18 113.9 1,439.6 723.6 2,277.1 Jul-18 113.9 1,439.6 723.6 2,277.1
Aug-18 116.7 1,628.6 588.8 2,334.1 Aug-18 114.2 1,441.5 728.1 2,283.8 Aug-18 114.2 1,441.5 728.1 2,283.8
Sep-18 106.9 1,480.8 549.4 2,137.1 Sep-18 100.5 1,277.0 632.7 2,010.2 Sep-18 100.5 1,277.0 632.7 2,010.2
Oct-18 92.6 1,267.3 492.5 1,852.4 Oct-18 89.1 1,238.6 455.1 1,782.8 Oct-18 89.1 1,238.6 455.1 1,782.8
Nov-18 77.3 1,469.0 - 1,546.3 Nov-18 77.8 1,456.9 20.7 1,555.4 Nov-18 77.8 1,456.9 20.7 1,555.4
Dec-18 55.5 1,055.0 1,110.5 Dec-18 49.0 925.2 5.9 980.2 Dec-18 49.0 925.2 5.9 980.2
Jan-19 58.4 1,108.8 1,167.1 Jan-19 49.0 924.6 5.9 979.5 Jan-19 78.4 895.2 5.9 979.5
Feb-19 52.8 1,003.0 1,055.7 Feb-19 27.9 529.6 - 557.5 Feb-19 48.2 554.4 0.2 602.8
Mar-19 68.1 899.4 395.0 1,362.4 Mar-19 61.3 919.6 245.2 1,226.2 Mar-19 69.8 790.6 12.7 873.1
Apr-19 81.9 1,107.2 450.0 1,639.1 Apr-19 80.9 1,051.7 485.4 1,618.0 Apr-19 122.5 1,379.5 29.7 1,531.7
May-19 95.7 1,313.5 504.9 1,914.0 May-19 99.5 1,293.5 599.0 1,992.0 May-19 114.9 1,245.8 75.4 1,436.1
Jun-19 102.5 1,414.8 530.8 2,048.1 Jun-19 105.7 1,374.1 634.2 2,114.0 Jun-19 482.6 814.7 415.5 1,712.8
FYTD 1,023.81 15,356.31 4,095.01 20,475.01 FYTD 968.81 13,872.01 4,535.91 19,376.71 FYTD 1,460.91 13,459.01 3,105.51 18,025.41
MONTH CPTP BPP IMPORT TOTAL
Jan-19 60% -3% 0% 0% $ 57,768
Feb-19 73% 5% 0% 8% $ 95,028
Mar-19 14% -14% -95% -29% $ (285,905)
Apr-19 51% 31% -94% -5% $ (285,662)
May-19 15% -4% -87% -28% $ (370,360)
Jun-19 357% -41% -34% -19% $ (352,038)
FYTD 51% -3% -32% -7% $ (1,005,655)
MATERIALS SUBMITTED BY: Kaden Young
MEETING DATE: August 27, 2019
RECORDING REQUESTED BY
AND WHEN RECORDED MAIL TO:
For Recorder’s Use Only
FIRST AMENDMENT TO
CIELO VISTA PROJECT WATER AND SEWER FACILITIES AGREEMENT
BETWEEN
YORBA LINDA WATER DISTRICT
AND
NORTH COUNTY BRS PROJECT, LLC
ITEM NO. 7.3.
MATERIALS SUBMITTED BY: Rosanne Weston
MEETING DATE: August 27, 2019
FIRST AMENDMENT TO
CIELO VISTA PROJECT WATER AND SEWER FACILITIES AGREEMENT
BETWEEN
YORBA LINDA WATER DISTRICT
AND
NORTH COUNTY BRS PROJECT, LLC
This FIRST AMENDMENT to Cielo Vista Project Water and Sewer Facilities
Agreement (“First Amendment”) is made and entered into, effective this ______________day of
August 2019, by and between the Parties.
RECITALS
A. The Parties previously entered into the Agreement titled Cielo Vista Project
Water and Sewer Facilities Agreement, which has an Agreement Date of August 1, 2018
(“Agreement”), a copy of which is attached hereto. Capitalized terms used in this First
Amendment, without being separately defined herein, shall have the same meaning as defined in
the Agreement.
B. Pursuant to Section 17, all amendments to the Agreement must be in writing and
signed by the Parties.
C. Certain water facility improvements that will benefit both Developer and Yorba
Linda Estates, LLC, who is the developer of the Esperanza Hills Estates (“EHE”) project, will be
connected to the water main in Stonehaven Drive and other Existing Offsite Facilities and will be
designed and constructed as listed in Exhibit “M” and illustrated on Exhibit “N”, which are
attached to this First Amendment (“Shared Facility Improvements”). The Parties intend for the
rights and obligations as to the Subdivision Facilities in Subsections A(i), (iii), and D through F in
Section 3 of the Agreement to apply to the Shared Facility Improvements.
D. The Shared Facility Improvements (1) were originally part of the EHE project
memorialized in a separate agreement between YLWD and Yorba Linda Estates, LLC, dated
October 13, 2016, (2) are subject to cost sharing between Developer and Yorba Linda Estates,
LLC, as documented in a separate agreement between those parties, and (3) caused significant
changes to the Cielo Vista Project Subdivision Facilities Plans. YLWD incurred significant time
to review these design concept and improvement plans along with legal fees for the EHE project
and previously invoiced Yorba Linda Estates, LLC for this time in YLWD invoice no. 2012-06
dated March 7, 2019 in the amount of $14,324.19. The invoice amount of $14,324.19 has been
fully paid by Developer. The expenses incurred by YLWD associated with revisions to the
Subdivision Facilities Plans have greatly exceeded the fees previously paid by Developer on May
22, 2018. Reimbursement for all outstanding and future YLWD Administrative Costs as defined
in both the Agreement and herein shall be paid by Developer to YLWD out of the Administrative
Costs Account.
ITEM NO. 7.3.
MATERIALS SUBMITTED BY: Rosanne Weston
MEETING DATE: August 27, 2019
E. Pursuant to Section 2 of the Agreement, the Effective Date term for Developer to
provide proof and notice of transfer of ownership from Property Owner to Developer and
recordation of the Project’s final map was August 1, 2019, and the Parties desire to extend the
Effective Date term for an additional three hundred sixty-five (365) day period to August 1, 2020.
The extension of the Effective Date term will cause the Project milestones in Exhibit “J” and the
schedule in Exhibit “K” to be modified.
F. Pursuant to Section 5.D. of the Agreement, Developer shall reimburse all YLWD
Administrative Costs related to the Project. The Parties desire to amend this Section to (1) amend
the use of the term “Administrative Costs” in Section 5.D to mean YLWD staff and attorney time
and costs related to the Project, the Agreement as amended from time to time, and “Developer
Improvements” defined collectively as: (i) the Subdivision Facilities, (ii) the Existing Offsite
Facility Improvements and (iii) the Shared Facility Improvements; and (2) require Developer to
reimburse YLWD for all fees and costs associated with consultant(s) and/or contractor(s) hired by
YLWD for the Developer Improvements.
G. Since the Agreement Date, Subdivision Facilities Plans have been modified and
the scope of Developer’s design/work has been amended to include the Shared Facility
Improvements.
H. Pursuant to Section 5.F of the Agreement, YLWD will construct off-site facilities
to support Advanced Metering Infrastructure (“AMI”) for the Subdivision Facilities. Developer
agreed to pay $40,000 to YLWD for the tower and signal collection equipment as part of the
AMI. So YLWD does not have to wait another year for payment, the Parties agreed to amend
Section 5.F so the $40,000 is not to be deposited into the Existing Offsite Facility Improvements
Escrow and instead Developer will pay the $40,000 to YLWD by check within 30 calendar days
of Developer signing this First Amendment.
I. The Parties acknowledge that it is industry standard for a developer and a public
agency to procure a surety bond for the facilities to be constructed by Developer and dedicated to
the public agency. Moreover, the Parties acknowledge that it is industry standard for a developer
to provide closing forms listed in Subsection 1.D below for, and access to, such facilities to the
public agency, and to indemnify YLWD for damages and charges to Existing Offsite Facilities
caused by Developer. Lastly, the Parties acknowledge that it is industry standard for Developer to
comply with public agency rules and regulations for water and sewer service when constructing
water and sewer facilities. These industry standards were not memorialized in the Agreement so
the Parties desire to obligate Developer to these industry standards.
NOW, THEREFORE, for valuable consideration, the receipt and sufficiency of which is
hereby acknowledged and accepted, the Parties agree as follows:
1. The Agreement is amended as follows:
A. To reflect the addition of the Shared Facility Improvements, Exhibits
“M” and “N” attached hereto are added and made a part of the Agreement.
ITEM NO. 7.3.
MATERIALS SUBMITTED BY: Rosanne Weston
MEETING DATE: August 27, 2019
B. Section 2 of the Agreement is hereby amended and replaced in its entirety
with the following language:
“Except for Sections 5.D. and 5.F., which the Parties’ rights and obligations are already
in effect and will stay in effect for the term of this Agreement, the Parties’ rights and obligations
under this Agreement shall not take effect until (a) 10 days after Developer provides written
proof and notice to YLWD of the Property Owner’s transfer of ownership of the Property to
Developer and (b) recordation of the Project’s final map (“Effective Date”). If YLWD is not
provided written proof and notice of both transfer of ownership from Property Owner to
Developer and recordation of the Project’s final map by August 1, 2020, then YLWD may
provide written notice to Developer that the Agreement, as amended from time to time, is null
and void; at which time the Agreement and any amendments will be null and void.”
C. Subsections A(i), (iii), and D through F of Section 3 is amended to include
the Shared Facility Improvements wherever “Subdivision Facilities” are mentioned.
D. The following language is added as a new Subsection H within Section 3
of the Agreement:
“H. Developer’s Bond and Warranty Period Obligations. At Developer’s sole
expense, Developer shall furnish surety bond(s) to YLWD for the Subdivision Facilities and
Shared Facility Improvements before commencing work on the Subdivision Facilities and
Shared Facility Improvements. Developer shall not commence work on the Subdivision
Facilities and Shared Facility Improvements until it has procured, and YLWD has approved, the
surety bond(s), which shall continue in force from the date of YLWD’s Final Acceptance of the
Subdivision Facilities and Shared Facility Improvements for a warranty period of one (1) year.
The surety bond(s) shall be in an amount equal to one hundred (100) percent of the Engineer’s
Estimate of the cost of construction of the Subdivision Facilities and Shared Facility
Improvements. YLWD shall review the Engineer’s Estimate and determine the amount of the
surety bond(s). At the end of the one-year warranty period for the Subdivision Facilities and
Shared Facility Improvements, YLWD will release the surety bond(s) to Developer.
When defects in Subdivision Facilities and Shared Facility Improvements are discovered
within the warranty period, Developer shall start work to remedy any such defects within five (5)
calendar days of written or electronic notice by YLWD and shall promptly complete such work.
In emergencies, where damages may result from delay and where loss of service may result,
corrections may be made by YLWD upon discovery, in which case the cost thereof shall be
borne by Developer. In the event Developer does not commence and/or accomplish corrections
within the time specified, the work may be accomplished by YLWD at its option, and the cost
thereof shall be paid by Developer within thirty (30) days of receipt by Developer of an itemized
invoice for such cost.
ITEM NO. 7.3.
MATERIALS SUBMITTED BY: Rosanne Weston
MEETING DATE: August 27, 2019
Pursuant to Section 8 of the Agreement, Developer shall indemnify YLWD for any
expenses incurred by YLWD resulting from defects in Developer’s work, including actual
damages, costs of materials and labor expended by YLWD in making repairs and the cost of
engineering, inspection and supervision by YLWD.”
E. The following language is added as a new Subsection I within Section 3 of
the Agreement:
“I. Closing Forms:
i. Notice(s) of Completion: Developer agrees that the Notice(s) of Completion
prepared by YLWD and signed by the Developer for the Subdivision Facilities
and Shared Facility Improvements shall be recorded by YLWD with the County
Recorder's office of Orange County, California, at Developer’s expense.
ii. Statement of Cost of Construction: Developer agrees to provide YLWD with a
report of the actual costs of the Subdivision Facilities and Shared Facility
Improvements on the standard reporting form of YLWD and to substantiate such
report with invoices and receipts acceptable to YLWD.
iii. Certification and Waiver of Lien Rights: Developer agrees that upon final
payment of the contractor constructing or installing the Subdivision Facilities and
Shared Facility Improvements, 35 or more days after date of recording of the
Notice(s) of Completion with the County Recorder, Developer will obtain from
the contractor(s) a Certification and Waiver of Lien Rights in favor of the
Developer and YLWD, and that the original of said Certification and Waiver of
Lien Rights shall be delivered to YLWD.
iv. Bill of Sale: Developer agrees that upon expiration of said 35 days, Developer will
execute and deliver a proper Bill of Sale, on the standard form of YLWD, for the
Subdivision Facilities and Shared Facility Improvements to YLWD.”
F. The following language is added as a new Subsection J within Section 3 of
the Agreement:
“J. Inspections. During construction, YLWD shall have the right to inspect the
Subdivision Facilities and Shared Facility Improvements during normal business hours and upon
reasonable advanced written or electronic notice to Developer.”
G. The following language is added as a new Subsection K within Section 3
of the Agreement:
“K. Damage to YLWD Facilities. Developer hereby agrees that, pursuant to Section 8
of the Agreement, it will indemnify YLWD for damages and charges to Existing Offsite
ITEM NO. 7.3.
MATERIALS SUBMITTED BY: Rosanne Weston
MEETING DATE: August 27, 2019
Facilities caused by Developer’s construction of the Subdivision Facilities and Shared Facility
Improvements, and any person, firm or corporation working for, on behalf of, or by direction of
Developer.”
H. The following language is added as a new Subsection L within Section 3
of the Agreement:
“L. YLWD’s Acceptance of Shared Facilities Improvements. Completion of the
Shared Facilities Improvements described in Exhibits M and N may pre-date the EHE Project’s
readiness to hook up. YLWD’s acceptance of the Shared Facility Improvement shall not be
conditioned or otherwise dependent on the EHE Project readiness to hook up; however, YLWD
is not obligated to accept the Shared Facility Improvements either for any reason stated in
Sections 3.D through 3.F of the Agreement or until both the Shared Facility Improvements and
Subdivision Facilities are operational.
I. Section 5.D. of the Agreement is hereby amended as to the first sentence,
only, to read:
“Both before and after the Agreement Date until issuance of the last building permit,
Developer shall reimburse all YLWD staff and attorney time and costs, and all fees and costs
associated with consultants and contractors hired by YLWD, related to either the Agreement, as
amended from time to time, or the Project, including the Developer Improvements (“YLWD
Administrative Costs”).
The remainder of Section 5.D of the Agreement is unchanged.
J. Subsection F within Section 5 of the Agreement is hereby amended and
replaced in its entirety with the following language:
“F. YLWD shall construct off-site facilities to support Advanced Metering
Infrastructure (“AMI”) for the Subdivision Facilities, with signal from each meter transmitted to
a tower and retransmitted to the YLWD Headquarters located at 1717 E. Miraloma Avenue,
Placentia, CA. Developer agreed to pay $40,000 to YLWD for its share of the AMI.”
K. To reflect the omission of Developer’s $40,000 deposit into the Existing
Offsite Facility Improvements Escrow, Exhibit “G” to the Agreement is hereby amended and
replaced by Exhibit “G.1” attached hereto.
L. Pursuant to Section 5.B.iii of the Agreement and in order to reflect a
change in the Project milestones, Exhibit “J” to the Agreement is hereby amended and replaced
by Exhibit “J.1” attached hereto.
ITEM NO. 7.3.
MATERIALS SUBMITTED BY: Rosanne Weston
MEETING DATE: August 27, 2019
M. Pursuant to Section 5.B.iii of the Agreement and in order to reflect a
change in the Project schedule, Exhibit “K” to the Agreement is hereby amended and replaced
by Exhibit “K.1” attached hereto.
N. Section 15 is hereby amended and replaced in its entirety with the
following language:
“15. Further Cooperation. The Parties agree to execute, acknowledge if appropriate,
and deliver any and all documents and cooperate in performing any and all acts both consistent
with the District’s Rules and Regulations For Water Service and Sewer Service and in any
commercially reasonable manner as may be necessary to implement the intent of this Agreement,
as set forth in the Recitals, and the terms of the Agreement as amended from time to time.”
O. The following language is added as new Section 27:
“27. Relationship of Parties. Nothing in this Agreement shall be deemed to create any
form of business organization between the Parties, without limitation, a joint venture or
partnership. Developer, in constructing and installing the Subdivision Facilities and Shared
Facility Improvements, is not acting as an agent or employee of YLWD.”
2. Pursuant to Section 5.D., as amended, YLWD Administrative Costs include (1)
YLWD outstanding and future expenses associated with the Developer Improvements, and (2)
the YLWD invoice no. 2012-06 dated March 7, 2019 in the amount of $14,324.19 owed by
Yorba Linda Estates, LLC. On August 6, 2019, YLWD received and deposited a check from
Developer dated July 31, 2019 in the amount of $14,324.19 so Developer’s payment obligation
for invoice no. 2012-06 is satisfied. Developer’s payment of YLWD’s outstanding expenses
related to the Developers Improvements will be deducted from Developer’s Administrative Costs
Account after this First Amendment is signed by YLWD.
3. Pursuant to Section 5.F. of the Agreement as amended, Developer agrees to pay
$40,000 to YLWD by check within 30 calendar days of Developer signing this First
Amendment. Developer’s failure to deliver this check in the amount of $40,000 to YLWD
within 30 calendar days will nullify this First Amendment.
5. This First Amendment and the attached Agreement shall be recorded with the
Orange County Recorder’s Office.
6. The Agreement shall remain in full force and effect in accordance with its terms
and provisions except as amended by this First Amendment. The Parties hereby confirm and
ratify each of the provisions of the Agreement as amended by this First Amendment. This First
Amendment may be executed in one or more counterparts, all counterparts shall be valid and
binding on the Party executing them and all counterparts shall together constitute one and the
same document for all purposes.
ITEM NO. 7.3.
MATERIALS SUBMITTED BY: Rosanne Weston
MEETING DATE: August 27, 2019
IN WITNESS WHEREOF, the Parties hereto have executed this First Amendment on
the day and year first written above. Parties have caused this First Amendment to be executed on
their behalf and the signatories represent that they have been duly authorized to enter into this
First Amendment on behalf of their respective Parties.
Yorba Linda Water District, North County BRS Project, LLC
a public agency a Delaware limited liability company
(“YLWD”) (“Developer”)
By: ______________________ By: ______________________
Print: ______________________ Print: ______________________
Title: ______________________ Title: ______________________
APPROVED AS TO FORM: APPROVED AS TO FORM:
Kidman Gagen Law, LLP Jackson Tidus, A Law Corp.
By: ______________________ By: ______________________
Andrew B. Gagen, General Counsel Michele Staples, Attorneys for Developer
The undersigned Property Owner Parties agree to Section 5.D of the Agreement as modified by
this First Amendment and consent to recordation of this First Amendment and attached
Agreement:
_________________________________
AMOS A. TRAVIS, as Trustee of the Travis Ranch Trusts for the benefit of Amos A. Travis created under
an Agreement of Trust dated May 8, 1995, by Amos Travis, as Trustor, as to an undivided one-fourth (1/4)
interest
_________________________________
AMOS A. TRAVIS, as Trustee of the Travis Ranch Trusts for the benefit of J. Coleman Travis created under
an Agreement of Trust dated May 8, 1995, by Amos Travis, as Trustor, as to an undivided one-fourth (1/4)
interest
_________________________________
AMOS A. TRAVIS, as Trustee of the Travis Ranch Trusts for the benefit of William H. Travis created under
an Agreement of Trust dated May 8, 1995, by Amos Travis, as Trustor, as to an undivided one-fourth (1/4)
interest
ITEM NO. 7.3.
MATERIALS SUBMITTED BY: Rosanne Weston
MEETING DATE: August 27, 2019
_________________________________
AMOS A. TRAVIS, as Trustee of the Travis Ranch Trusts for the benefit of Ann Travis created under an
Agreement of Trust dated May 8, 1995, by Amos Travis, as Trustor, as to an undivided one-fourth (1/4)
interest
_________________________________
LINDA M. RODGER, as Successor Co-Trustee of the Virginia Richards Revocable Intervivos Trust dated
May 1, 1986
_________________________________
NANCY ANN MAGIO, as Successor Co-Trustee of the Virginia Richards Revocable Intervivos Trust dated
May 1, 1986
ITEM NO. 7.3.
MATERIALS SUBMITTED BY: Rosanne Weston
MEETING DATE: August 27, 2019
ITEM NO. 8.1.
•R:A LINDA WATER DISTRICT '-7
Cost Categories Monthly Base Fees (Service Charges) Water Usage Charges (Commodity)
Billing & C.S. Capacity Water Supply Power Delivery
Water Supply
Power 100%
Based Fixed
Peaking 55% 45%
Billing & C.S. 100% 710mr— W M
Meter 100%
Cost Categories Monthly Base Fees (Service Charges) 7 7Wate!rSupply
Usage Charges (Commodity)
Billing & C.S. Capacity Delivery
Water Supply —Imm— 100%
Power Included with Water Supply portion
Based Fixed 15% 85%
Peaking 100%
Billing & C.S. 100%
Meters Covered separately under CAPITAL PROJECT FEES
MATERIALS SUBMITTED BY: Kaden Young
MEETING DATE: August 27, 2019
• 1
1 rt
- -
L-
� ., 7t ♦ 1�' �' � r a �f
ti
l
_� M1
s
Ak
iqP
F
ML E
Aba id A&
y
YL • . .
W
1 •t R Kl 4Wr4
ITEM NO. 10.2.
Index
• Adopted Budget Plan [Volume & Dollars]
• Daily Production Volume vs Temperature
• Daily Production Volume vs Rainfall and Evapotranspiration
• Monthly and YTD: Production Volume
• Monthly and YTD: Power Consumption
• Monthly and YTD: Variable Costs
• Conclusion
El
Yorba Linda
Water District
08/27/19
MATERIALS SUBMITTED BY: John DeCriscio and Kaden Young
MEETING DATE: August 27, 2019
ITEM NO. 10.2.
Adopted Budget Plan: Production Volume
BUDGET MONTHLY YTD
MONTH AW IMpIMPORT DEMAND GW GW
(AF) (%) (°/a)
Jul-19 1,653.1 493.8 2,146.8 77.0% 77.0%
Aug-19 1,660.0 495.9 2,155.9 77.0% 77.0%
Sep-19 1,525.9 455.8 1,981.7 77.0% 77.0%
Oct-19 1,416.9 423.2 1,840.2 77.0% 77.0%
Nov-19 1,173.5 350.5 1,524.0 77.0% 77.0%
Dec-19 963.9 287.9 1,251.9 77.0% 77.0%
Jan-20 902.9 269.7 1,172.6 77.0% 77.0%
Feb-20 883.4 263.9 1,147.3 77.0% 77.0%
Mar-20 994.2 297.0 1,291.2 77.0% 77.0%
Apr-20 1,257.8 375.7 1,633.6 77.0% 77.0%
May-20 1,376.0 411.0 1,787.1 77.0% 77.0%
Jun-20 1,485.5 443.7 1,929.2 77.0% 77.0%
FYTD 15,293.31 4,568.1 19,861.41 77.0%
® Yorba Linda
Water District
08/27/19
MATERIALS SUBMITTED BY: John DeCriscio and Kaden Young
MEETING DATE: August 27, 2019
ITEM NO. 10.2.
Adopted Budget Plan: Production Volume & Dollars
BUDGET MONTHLY YTD Water-Related Costs Fixed Costs Power-Related
MONTH GW IMPORT DEMAND GW GW TOTAL
(AF) (AF) (AF) N N GW IMPORT GW IMPORT GW IMPORT COST
Jul-19 1,653.1 493.8 2,146.8 77.0% 77.0% $ 824,874 $ 518,458 $ $ 56,840 $ 150,771 $ 5,551 $ 1,556,494
Aug-19 1,660.0 495.9 2,155.9 77.0% 77.0% $ 828,362 $ 520,650 $ $ 56,840 $ 151,409 $ 5,575 $ 1,562,836
Sep-19 1,525.9 455.8 1,981.7 77.0% 77.0% $ 761,426 $ 478,579 $ $ 56,840 $ 139,174 $ 5,124 $ 1,441,144
Oct-19 1,416.9 423.2 1,840.2 77.0% 77.0% $ 707,046 $ 444,399 $ $ 56,840 $ 129,234 $ 4,758 $ 1,342,278
Nov-19 1,173.5 350.5 1,524.0 77.0% 77.0% $ 585,581 $ 368,055 $ $ 56,840 $ 107,033 $ 3,941 $ 1,121,450
Dec-19 963.9 287.9 1,251.9 77.0% 77.0% $ 481,004 $ 302,326 $ $ 56,840 $ 87,918 $ 3,237 $ 931,325
Jan-20 902.9 269.7 1,172.6 77.0% 77.0% $ 450,558 $ 290,741 $ $ 57,154 $ 82,353 $ 3,032 $ 883,838
Feb-20 883.4 263.9 1,147.3 77.0% 77.0% $ 440,816 $ 284,455 $ $ 57,154 $ 80,573 $ 2,967 $ 865,964
Mar-20 994.2 297.0 1,291.2 77.0% 77.0% $ 496,100 $ 320,129 $ $ 57,154 $ 90,677 $ 3,339 $ 967,398
Apr-20 1,257.8 375.7 1,633.6 77.0% 77.0% $ 627,666 $ 405,027 $ $ 57,1541 $ 114,7251$ 4,224 $ 1,208,795
May-20 1,376.0 411.0 1,787.1 77.0% 77.0% $ 686,645 $ 443,086 $ $ 57,154 $ 125,505 $ 4,621 $ 1,317,011
Jun-20 1,485.5 443.7 1,929.2 77.0% 77.0% $ 741,268 $ 478,333 $ 495,045 $ 57,154 $ 135,489 $ 4,989 $ 1,912,278
FYTD 15,293.31 4,568.1 19,861.41 77.0% I $ 7,631,346 $ 4,854,236 $ 495,045 $ 683,964 $ 1,394,862 $ 51,357 $ 15,110,810
$ 12,485,582 $ 1,179,009 $ 1,446,219 $ 15,110,810
El
Yorba Linda
Water District
08/27/19
MATERIALS SUBMITTED BY: John DeCriscio and Kaden Young
MEETING DATE: August 27, 2019
ITEM NO. 10.2.
Daily Production Volume vs Temperature
Temperature
90.00 120
80.00 108
70.00 �� ^ -
96
V t
84
60.00
t
LL
rL
,l 72 Ln
Q
5 0.00
ai
60
4 0.00
48
30.00
36 a
20.00 24 ~
10.00 -. e_. e_. — — — .— — — — — —I
—I
— 12
0.00 0
— — — — — — — — — — — — — — — — — — — — — — — — — — — — — — —
r-I N [Y1 u'1 CD I� 00 CT1 O r-1 N M Ln 'D I- 00 C1 O r-1 r\ ro Ln C0 I- 00 M O r-1
r-I r-I r-I r-I r-I r-I � r-I r-I -i N N N N N N N N N N m m
Groundwater �OC-36 �Import Water Consumption Temperature
® Yorba Linda
Water District
08/27/19
MATERIALS SUBMITTED BY: John DeCriscio and Kaden Young
MEETING DATE: August 27, 2019
ITEM NO. 10.2.
Daily Production Volume vs Rainfall & Evapotranspiration
Rainfall and ETo
90.00 2.50
80.00
70.00 2.00
60.00
11 1.50
Q
5 0.00 N
ai a�
0 40.00 —
7
1.00
30.00
20'00 0.50
10.00
0,00 _ _ _ _ _I_ _x_I_ _ _I_�_ _1_�a_�_ _�_ _x_�a_�_�a_ 0 00
- - - - - - - - - - - - - -_ - - - - - - - - - -_ - - - - - - -
r-I N [Y1 u'1 CD I� 00 CT1 O r-1 N M Ln �0 I- 00 M O r-1 N M Ln C0 I- 00 M O r-1
r-I r-I r-I r-I r-I r-1 r-1 r-1 r-1 r-1 N N N N N N N N N N m m
Groundwater OC-36 Import Water Consumption ETo -----Rainfall
® Yorba Linda
Water District
08/27/19
MATERIALS SUBMITTED BY: John DeCriscio and Kaden Young
MEETING DATE: August 27, 2019
ITEM NO. 10.2.
Monthly Production Sources
BUDGET ACTUAL
Groundwater vs Import Groundwater vs Import
GW IMPORT GW IMPORT
El
Yorba Linda
Water District
08/27/19
MATERIALS SUBMITTED BY: John DeCriscio and Kaden Young
MEETING DATE: August 27, 2019
ITEM NO. 10.2.
Monthly Production Sources
OC-36
2%
20 OG51
11% 13%
Import Water
46%
OC-66
19 22%
6%
OC-69
9%
16
11%
15
5% 12
0% 1% 7 5
0% 5%
El
Yorba Linda
Water District
08/27/19
MATERIALS SUBMITTED BY: John DeCriscio and Kaden Young
MEETING DATE: August 27, 2019
ITEM NO. 10.2.
As of July 31 , 2019: Production Volume
BUDGET MONTHLY YTD ACTUAL ADJUSTED TOTAL MONTHLY YTD MONTHLY DELTA
MONTH (AF)
IM( p0j T DEMAND GW GW GW IMPORT DEMAND GW GW DELTA YTD
(AF) (%) (%) (AF) (AF) (AF) (%) (%) (%) (%)
Jul-19 1,653.1 493.8 2,146.8 77.0% 77.0% 1,101.4 938.6 2,040.0 54.0% 54.0% -8.89/c -8.8%
Aug-19 1,660.0 495.9 2,155.9 77.0% 77.0%
Sep-19 1,525.9 455.8 1,981.7 77.0% 77.0%
Oct-19 1,416.9 423.2 1,840.2 77.0% 77.0%
Nov-19 1,173.5 350.5 1,524.0 77.0% 77.0%
Dec-19 963.9 287.9 1,251.9 77.0% 77.0%
Jan-20 902.9 269.7 1,172.6 77.0% 77.0%
Feb-20 883.4 263.9 1,147.3 77.0% 77.0%
Mar-20 994.2 297.0 1,291.2 77.0% 77.0%
Apr-20 1,257.8 375.7 1,633.6 77.0% 77.0%
May-20 1,376.0 411.0 1,787.1 77.0% 77.0%
Jun-20 1,485.5 443.7 1,929.2 77.0% 77.0%
FYTD 15,293.31 4,568.11 19,861.41 1 77.0% 1
El
Yorba Linda
Water District
08/27/19
MATERIALS SUBMITTED BY: John DeCriscio and Kaden Young
MEETING DATE: August 27, 2019
ITEM NO. 10.2.
Year to Date: Production Volume
FY20 ACTUAL VS BUDGET
2,500.0 2,236.3 2,226.4 20.0%
2,083.4
2,000.0 0 1,864.9 1,863.0
1,749.8 15.0%
2,040.0 1,596.8
1,477.7
1,500.0 1,386.3 �� `""
977.2 1,247.3 1,153.9 10.0%
1,000.0
5.0%
500.0
LL
Q �O
W T
0.0%
8.8%- LUC
(500.0)
-5.0%
(1,000.0)
8.8% -10.0%
(1,500.0)
-15.0%
(2,000.0)
(2,500.0) -20.0%
Jul-19 Aug-19 Sep-19 Oct-19 Nov-19 Dec-19 Jan-20 Feb-20 Mar-20 Apr-20 May-20 Jun-20
1_DeltaM Delta YTD BUDGET --o—TOTAL
DEMAND DEMAND
El
Yorba Linda (AF) (AF)
Water District m
08/27/19
MATERIALS SUBMITTED BY: John DeCriscio and Kaden Young
MEETING DATE: August 27, 2019
ITEM NO. 10.2.
Power Consumption
Monthly Budget vs. Actual Year to Date
Jul-19 $94,272 $156,322
Aug-19 $_ $156,983
Sep-19 $144,298
- $94,272
Oct-19 $_ $133,992 7%
Nov-19 $_ $110,974
Dec-19 $_ $91,155
Jan-20 $_ $85,385
Feb-20 $_ $83,539
Mar-20 $_ 1 $94,016
Apr-20 $_ $118,949
May-20 $_ $130,126
$1,351,946
Jun-20 $_ $140,478 93%
$- $50,000 $100,000 $150,000 $200,000
■Budget ■Actual ■Remaining Budget ■YTD Actual
® Yorba Linda m
Water District
08/27/19
MATERIALS SUBMITTED BY: John DeCriscio and Kaden Young
MEETING DATE: August 27, 2019
ITEM NO. 10.2.
As of July 31 , 2019: Variable Cost
Water-Related Costs Fixed Costs Power-Related Water-Related Costs Fixed Costs Power-Related
GW IMPORT GW IMPORT GW IMPORT COST COST
GW IMPORT GW IMPORT COMBINETTOTAL
OST
$ 824,874 $ 518,458 $ $ 56,840 $ 150,771 $ 5,551 $ 1,556,494 $ 536,534 $ 970,710 $ 59,045 $ 94,272 $ 1,660,561
$ 828,362 $ 520,650 $ $ 56,840 $ 151,409 $ 5,575 $ 1,562,836 AW$ 761,426 $ 478,579 $ $ 56,840 $ 139,174 $ 5,124 $ 1,441,144$ 707,046 $ 444,399 $ $ 56,840 $ 129,234 $ 4,758 $ 1,342,278
$ 585,581 $ 368,055 $ $ 56,840 $ 107,033 $ 3,941 $ 1,121,450 $
$ 481,004 $ 302,326 $ $ 56,840 $ 87,918 $ 3,237 $ 931,325 $
$ 450,558 $ 290,741 $ $ 57,154 $ 82,353 $ 3,032 $ 883,838 $
$ 440,816 $ 284,455 $ $ 57,154 $ 80,573 $ 2,967 $ 865,964 $
$ 496,100 $ 320,129 $ $ 57,154 $ 90,677 $ 3,339 $ 967,398 $
$ 627,666 $ 405,027 $ $ 57,154 $ 114,725 $ 4,224 $ 1,208,795 $
$ 686,645 $ 443,086 $ $ 57,154 $ 125,505 $ 4,621 $ 1,317,011 $
$ 741,268 $ 478,333 $ 495,045 $ 57,154 $ 135,489 $ 4,989 $ 11912,278 $ -
$ 7,631,346 $ 4,854,236 $ 495,045 $ 683,964 $ 1,394,862 $ 51,357 $ 15,110,810 $ 536,534 1$ 970,710 $ _ 1 $ 59,045 1 $ 94,272 1$ 1,660,561
$ 12,485,582 $ 1,179,009 $ 1,446,2191$ 15,110,810 $ 1,507,244 1 $ 59,0451$ 94,272 $ 1,660,561
El
Yorba Linda
Water District
08/27/19
MATERIALS SUBMITTED BY: John DeCriscio and Kaden Young
MEETING DATE: August 27, 2019
ITEM NO. 10.2.
® Yorba Linda
Water District
n I i
Co c usn o
• Lower groundwater and higher import water usage:
Lower power-related costs
• Higher water-related costs
• Spent 6.7% above budgeted amount
13
08/27/19
MATERIALS SUBMITTED BY: John DeCriscio and Kaden Young
MEETING DATE: August 27, 2019