HomeMy WebLinkAbout1996-06-18; Municipal Water District; Resolution 9461
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RESOLUTION NO. 946
A RESOLUTION OF THE BOARD OF DIRECTORS OF THE
ADOPTING THE WATER DISTRICT FINAL OPERATING
BUDGET AND CAPITAL IMPROVEMENT PROGRAM FOR
CARLSBAD MUNICIPAL WATER DISTRICT, CALIFORNIA,
1996-97
WHEREAS, the Board of Directors of the Carlsbad Municipal Water
District, California, has held such public hearings as are necessary prior to the
adoption of the 1996-97 Operating and Capital Improvement Budgets.
NOW, THEREFORE, BE IT RESOLVED by the Board of Directors of the
Carlsbad Municipal Water District as follows:
1. That the above recitations are true and correct.
2. That certain documents now on file in the office of the Secretary
entitled "City of Carlsbad, 1996-97 Operating Budget and 1996-97 to Buildout
Capital Improvement Program - Preliminary" as amended in accordance with
Exhibit A attached hereto and incorporated by reference herein, is hereby adopted
as the final Operating and Capital Improvement Budgets for the Carlsbad
Municipal Water District for the fiscal year 1996-97.
3. That the amounts reflected as estimated revenues for fiscal year 1995-
96 are hereby adopted as the final budgeted revenues for 1995-96.
4. That the amount designated as 1996-97 Budget in Exhibit A is
hereby appropriated to the department or fund for which it is designated, and such
appropriation shall be neither increased nor decreased except as provided herein.
5. That total appropriations may only be increased or decreased by
the Board of Directors by passage of a resolution amending the budget.
6. That the following controls are hereby placed on the use and
transfers of budget funds:
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A. No expenditure of funds shall be authorized unless
sufficient funds have been appropriated by the Water Board or Executive Manager
as described below.
1. The Executive Manager may authorize all transfers of funds
from account to account within any department.
II The Executive Manager may authorize transfers of funds
between departments within the same fund in an amount up to $25,000 per
transfer.
iii, The Executive Manager may delegate to department heads
the authority to make budget transfers within their own departments.
iv The Executive Manager may authorize budget adjustments
involving offsetting revenues and expenditures; the Executive Manager may
authorize increases or decreases in an appropriation for a specific purpose where
the appropriation is offset by unbudgeted revenue which is designated for said
specific purpose.
B. The Executive Manager may authorize the expenditure of
funds for various purposes in amounts up to $25,000. Any expenditure of funds in
WeSS Of $25,000 will be governed by Section 3.28 of the City of Carlsbad
Municipal Code.
C. The Executive Manager may authorize change orders on
public works contracts in amounts not to exceed $25,000 per change order if
sufficient appropriated funds are available.
D. The Board of Directors must authorize any increase in the
number of authorized permanent personnel positions above the level identified in
the final Budget. The Executive Manager may authorize the hiring of temporary or
part time staff as necessary, within the limits imposed by the controls listed above.
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7. That all appropriations for outstanding encumbrances as of June
30, 1995 are hereby continued into 1996-97 for such contracts and obligations.
8. All appropriations for Capital Improvement Projects remaining
unexpended at June 30, 1996, are hereby appropriated for such capital projects
for the 1996-97 fiscal year.
9. 1995-96 appropriations in the approximate amount of $61,700 are
hereby continued into 1996-97 for the purposes shown in Exhibit B. All
appropriations for outstanding encumbrances as of June 30, 1996, are hereby
continued into 1996-97 for such contracts or obligations.
IO. That the changes to the fee schedule shown in Exhibit C attached
hereto are hereby adopted and shall become effective on August 1, 1996.
PASSED, APPROVED AND ADOPTED at a regular meeting of the Board
of Directors held on the 18th day of June , 1996 by the following
vote, to wit:
AYES: Board Members Lewis, Nygaard, Kulchin, Finnila and Hall
NOES: None
ABSENT: None
ATTEST:
h4pQ-
ALETHA L. RAUTENKRANZ, Secreta (SEAL)
0
PROGRAM: WATER OPERATIONS
FUND: WATER ENTERPRISE
DEPARTMENT: WATER DISTRICT
0 EXHIBl
ACCT NO. 50
WORK PROGRAM:
To provide water and service to 56,000 CityIDistrict customers; operate and maintain 300 miles of transmissi
distribution pipelines, 11 reservoirs totaling 51.5 million gallons of storage capacity and Maerkle Reservoir
capacity of 600 acre feet (or 195 million gallons), 17,600 water meters, 2,700 fire hydrants and to administer
meter reading, engineering, public information and water conservation activities.
PROGRAM ACTIVITIES: PERFORMANCE OBJECTIVES:
Infrastructure Maintenance: Provide a high level of 1. Continue inspection and maintenance pro!
. maintenance for infrastructure. water storage.
2. Continue valve maintenance and fire I
maintenance programs.
3. Continue annual inspection and mainten:
all District pressure regulating stations.
Circulation and Utility Systems: Maintain safe and
efficient circulation and utility systems. 1. Update water, sewer and reclaimed water
maps.
2. Develop scanned record drawing r
system.
3. Update water, sewer and reclaimed water
plans.
4. Continue process of retrofitting three-in
larger meters to accommodate test eqt
and verify meter reading accuracy.
5. Implement large meter testing program.
6. Continue development of pilot program.
7. Continue with installation of confined spac
in all fire protection vaults.
8. Install touch-read meter systems in
protection vaults.
(continued)
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PROGRAM: WATER OPERATIONS
FUND: WATER ENTERPRISE
DEPARTMENT: WATER DISTRICT
PAGE 1
ACCT NO. 50’
PROGRAM ACTIVITIES: PERFORMANCE OBJECTIVES:
Water Storaae & Supply: Promote measure which 1. Install lining and cover for Maerkle Resew
increase water storage and supply while improving
water quality, and promoting the Carlsbad Water 2. Continue water conservation programs;
Ethic which encourages water conservation by all Toilet R
customer. Commercial/Residential/lnstitutional E
Public Institution Retrofit, Large Turf
Irrigation Assistance, Protector del Agu
Plantmaster software program.
3. Publish and mail quarterly “Waterline” new
4. Continue water education programs ’
elementary school grade levels.
5. Coordinate and participate in special ever
public information programs.
6. Prepare and implement the response plan
annual San Diego County Water At
Aqueduct Shutdown and Temporary
Shortage maintenance activities.
7. Develop seawaterlgroundwater desal
program.
8. Prepare Water Resources Maria(
Development Plan.
SIGNIFICANT CHANGES:
Purchased water from the Metropolitan Water District and the San Diego County Water Authority is expe’
increase by $328,000, or 4.5%, over fiscal year 1995-96. An additional 500 acre feet of water is anticipate(
purchased in fiscal 1996-97, for a total of 15,000 acre feet.
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CONTINUING APPROPRIATIONS
1995-96 TO 1996-97 \
DEPARTMENTIPURPOSE ACCOUNT NO. !
Water Operations
Commercial, Industrial, & Institutional Survey Program 501-6310-2691
Emergency 125KW Power Generator wnrailer 501-6310-3900
Total Water Operations
- CONTINUING APPROPRIATI~
1995-96 TO 1996-97
DEPARTMENTIPURPOSE
Library
Library CLSA
Library CLSA
Library - Supplies
1
Federal Grants
Habitat Management, Fire Hazard Mitigation
Water Operations
Commercial, industrial, & Institutional Survey Program
Emergency 125KW Power Generator wnrailer
Sewer Maintenance
Sewer T.V. Contract
Emergency 125KW Power Generator & Flow Meter
Community Services
improve Drainage, Maintain Property
Fleet Maintenance
Hazardous Waste Disposal
Information Systems
inter-facility Telephone and Data Communication Lines
Outside Service to Design Xerox: Laser Printer Forms
Capital for Upgrade of City Wide Telephone Systems
0
ACCOUNT NO. !
180-8101-2671
180-8101-2520
180-XXXX-XXXX
(available balance)
190-xxxx-xxxx
(available balance)
501-6310-2691
501 -631 0-3900
51 1-61 10-2489
51 1-61 10-3900
572-1 890-2490
620-52 1 0-2493
640-1 720-2220
640-1 720-2479
640-1720-3900
Subtotal Other Funds 1
~~~~~~~ ~ ~ ~ ~ ~~~~-~~~ ~ ~~ ~
Grand Total $1
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Recommended Chanqes to City Fee Schedule
CMWD Fees:
Water Service - Continuity of Service
Water Meter Deposit - Construction Meter
Current Proposed Change - C
New 10.00 10.00 101
500.00 560.00 60.00 1