HomeMy WebLinkAbout2020-07-16; Clean Energy Alliance JPA; ; Exhibits and PresentationsClean Energy Alliance
JOINT POWERS AUTHORITY
Regular Board Meeting
July 16, 2020, 2 p.m.
Hosted by the City of Del Mar
7/16/20 CLEAN ENERGY ALLIANCE - DRAFT 1
Item 4: Clean Energy Alliance
Financial Pro Formas
Barbara Boswell, Interim Chief Executive Officer
John Dalessi, Pacific Energy Advisors
7/16/2o CLEAN ENERGY ALLIANCE - DRAFT 2
Item 4: Clean Energy Alliance Financial
Pro Formas
• Recommendation
o Receive Informational Item on Clean Energy Alliance Financial
Pro Formas
7/16/20 CLEAN ENERGY ALLIANCE - DRAFT 3
Item 4: Clean Energy Alliance Financial Pro
Formas
• Pro Formas reflect three energy mix scenarios:
O Base
o 50% Renewable Default Energy product increasing to 100% by
2035
o 82% PCC1/18% PCC 2 — allowable by state
O Option 1 — 100% PCC1 at launch
O Option 2 — 100% PCC1 by 2023
O All three modeled at rate parity, 1% generation discount, 2%
generation discount
7/16/20 CLEAN ENERGY ALLIANCE - DRAFT 4
Base Rate Parity
Annual DRAFT Pro Forma Projections for a Community Choice Aggregation Program - Base RCB/Cal pi ne Credit Solution
Clean Energy Alliance
Fiscal Year Ending: 2020 2021 2022 2023 2024 2025
I. Revenue 9,913,235 69,767,349 71127,161 72 508,987 73,913,166
II. Operating Expenses
Power Supply 8,988,017 60,976,876 59,978,716 61,512,028 62,261,087
Staff 50,000 120,000 600,000 618,000 636,540 655,636
Administrative Costs* 253,000 1,223,938 2,459,148 2,497,813 2 558 347 2,616,275
Subtotal Operating Expenses 303,000 10,331 956 64,036,023 63 094,529 64,706,915 65,532 998
Operating Margin (303,000) (418,721) 5,73 326 8,032,632 7,802,071 8,380,167
III. Financing
Interest 123,333 146,250 116,038 69,822 22,280
Principal 450,000 500,000 1,287,015 1,332,791 1,380,194
Subtotal Financing 573,333 646,250 1,403,053 1,402,613 1,402,474
Operating Margin Less Financing (303,000) (992,054) 5,085,076 6,629,579 6,399,458 6,977,693
IV. Cash From Financing 450,000 4,500,000
V. Other Uses
CPUC and CAISO Deposits 147,000 500,000
Collateral Deposits 0 2,500,000
Reserve Additions 495,662 3,488 367 3,556 358 3,625,449 3,695,658
Subtotal Other Uses 147,000 3,495,662 3,488 367 3,556,358 3,625,449 3,695,658
VI. Net Surplus/(Deficit) 12,284 1,595,708 3,073,221 2,774,009 3,282,035
VII. Cumulative Reserve 495,662 3,984,029 7,540,387 11,165,837 14,861,495
VIII. Cumulative Net Surplus 12,284 1,608,993 4,682,213 7,456,222 10,738,257
VI. Combined Cumulative Reserve & Cumulative I 507,946 5,593,022 12,222,601 18,622,059 25,599,752
* Comprised of Technical and Legal Services, Customer Outreach and Communications, Utility Services Fees, Data Management Services, Uncollectibles
• 50% Renewable
• 82% PCC1/18% PCC2
• Positive Net Surplus all
years;
• 20% reserve by 2025
7/16/20 CLEAN ENERGY ALLIANCE - DRAFT 5
Base 1% Discount
Annual DRAFT Pro Forma Projections for a Community Choice Aggregation Program - Base® 1.% Rate Discount
Clean Energy Alliance
Fiscal Year Ending: 2020 2021 2022 2023 2024 2025
I. Revenue 9,773,664 68 750,2 6 70,094 7 9 71 461,007 72,849,414
II. Operating Expenses
Power Supply 8,988,017 60,976,876 59,978,716 61,512,028 62,261,087
Staff 50,000 235,000 600,000 618,000 636,540 655,636
Administrative Costs* 253,000 1,108,938 2,459,148 2,497,813 2,558,347 2,616,275
Subtotal Operating Expenses 303,000 10,331,956 64,036,023 63,094,529 64,706,915 65,532,998
Operating Margin (303,000) (558,292) 4714,192 7,000,190 6,754,091 7,316,415
Ill. Financing
Interest 123,333 146,250 116,038 69,822 22,280
Principal 450,000 500,000 1,287,015 1,332,791 1,380,194
Subtotal Financing 573,333 646,250 1,403,053 1,402,613 1,402,474
Operating Margin Less Financing (303,000) (1,131,625) 4,067,942 5,597,137 5,351,478 5,913,941
IV. Cash From Financing 450,000 4,500,000 -
V. Other Uses
CPUC and CAISO Deposits 147,000 500,000
Collateral Deposits 0 2,500,000
Reserve Additions 368,375 3,437,511 3,504,736 3,573,050 3,642,471
Subtotal Other Uses 147,000 3,368,375 3,437,511 3,504,736 3,573,050 3,642,471
VI. Net Surplus/(Deficit) 630,432 2,092,401 1,778,428 2,271,471
VII. Cumulative Reserve 368,375 3,805,886 7,310,622 10,883,672 14,526,143
VIII Cumulative Net Surplus 630,432 2,722,833 4,501,261 6,772,732
VI. Combined Cumulative Reserve & Cumulative
Net Surplus 368,375 4,436,318 10,033,455 15,384,933 21,298,875
* Comprised of Technical and Legal Services, Customer Outreach and Communications, Utility Services Fees, Data Management Services, Uncollectibles
• 50% Renewable
• 82% PCC1/18% PCC2
• 3.8% reserve contribution
in 2021
• 20% reserve by 2025
7/16/20
CLEAN ENERGY ALLIANCE - DRAFT 6
Base 2% Discount
Annual DRAFT Pm Forma Projections for a Community Choice Aggregation Program • Base Scenario with 29,5 Discount
Clean Energy Alliance
Fiscal Year Ending: 2020 2021 2022 2023 2024 2025
I. Revenue 9634,053 67,733,082 69,062,278 70,413,027 71,785,662
II. Operating Expenses
Power Supply 8,988,017 60976,876 59,978,716 61,512,028 62,261,087
Staff 50,000 235,000 600,000 618,000 636,540 655,636
Administrative Costs* 253,000 1 108 938 2,459,148 2,497,813 2,558,347 2,616,275
Subtotal Operating Expenses 303,000 10,331,956 64,036,023 63,094,529 64,706,915 65,532,998
Operating Margin 1303,0001 (697,862) 3,697,059 5,967,749 5,706 12 6,252 664
M. Financing
Interest 123,333 146,250 116,038 69,822 22,280
Principal 450,000 500,000 1,287,015 1,332,791 1,380,194
Subtotal Financing 573,333 646,250 1,403,053 1,402,613 1,402,474
Operating Margin Less Financing (303,000) (1,271,195) 3,050,809 4,564,696 4,303,499 4,850,190
IV. Cash From Financing 450,000 4,500,000
V. Other Uses
CPUC and CAISO Deposits 147,000 500000
Collateral Deposits 0 2,500,000
Reserve Additions 228,805 3,050809 3,453,114 3,520,651 3,589,283
Subtotal Other Uses 147,000 3,228,805 3,050,809 3,453,114 3,520,651 3,589,283
VI. Net Surplus/(Deficit) (0) (0) 1,111,582 782,847 1,260,907
VII. Cumulative Reserve 228,805 3,279,614 6,732,728 10,253,379 13,842,662
VIII. Cumulative Net Surplus (0) (11 1,111,581 1,894,429 3,155,335
VI. Combined Cumulative Reserve & Cumulative
Net Surplus 228,805 3,279,613 7,844,309 12,147,800 16,997,998
* Comprised of Technical and Legal Services, Customer Outreach and Communications, Utility Services Fees, Data Management Services, Uncollectibles
• 50% Renewable
• 82% PCC1/18% PCC2
• 2.4% reserve contribution
in 2021
• 4.5% reserve contribution
in 2022
• 19.2% reserve by 2025
• Net Surplus available
beginning FY 2023
7/16/20 CLEAN ENERGY ALLIANCE - DRAFT 7
Option 1
Rate Parity
Annual DRAFT Pro Forma Projections for a Community Choice Aggregation Program - Rate Parity and i00% PCC4 at Launch
Clean Energy Alliance
Fiscal Year Ending: 2020 2021 2022 2023 2024 2025
I. Revenue 9,913 235 69,767 349 71,127,161 72,508,987 73,913,166
II. Operating Expenses
Power Supply 9,008,910 61,168,848 60,232,062 61,785,316 62,526,043
Staff 50,000 235,000 600,000 618,000 636,540 655,636
Administrative Costs* 253,000 1,109,006 2,460,107 2,499,080 2,559,714 2,617,600
Subtotal Operating Expenses 303,000 10,352,916 64,228,956 63,349,142 64,981,570 65,799,279
Operating Margin (303,000) (439,681) 5,538 393 7,778,019 7,527,417 8,113,886
Ill. Financing
Interest 123,333 146,250 116,038 69,822 22,280
Principal 450,000 500,000 1,287,015 1,332,791 1,380,194
Subtotal Financing 573,333 646,250 1,403,053 1,402,613 1,402,474
Operating Margin Less Financing (303,000) (1,013,014) 4,892,143 6,374,966 6,124 804 6,711,412
IV. Cash From Financing 450,000 4,500,000
V. Other Uses
CPUC and CAISO Deposits 147,000 500,000 ..
Collateral Deposits 0 2,500,000
Reserve Additions 486,986 3,437,511 3,504,736 3,573,050 3,642,471
Subtotal Other Uses 147,000 3,486,986 3,437,511 3,504,736 3,573,050 3,642,471
VI. Net Surplus/(Deficit) (0) 1,454,633 2,870,230 2,551,754 3,068,942
VII. Cumulative Reserve 486,986 3,924,497 7,429,233 11,002,283 14,644,754
VIII, Cumulative Net Surplus (0) 1,454 632 4,324 862 6,876,616 9,945,558
VI. Combined Cumulative Reserve & Cumulative
Net Surplus - 486,986 5,379,129 11,754,095 17,878,899 24,590,311
* Comprised of Technical and Legal Services, Customer Outreach and Communications, Utility Services Fees, Data Management Services, Uncollectibles
7/16/20 CLEAN ENERGY ALLIANCE - DRAFT
• 50% Renewable
• 100% PCC1 at Launch
• 4.9% Reserve contribution
2021
• 19.8% reserve by 2025
• Net Surplus Available
Beginning FY 2022
8
Option 1 1% Discount
Annual DRAFT Pro Forma Projections for a Community Choice Aggregation Program - a% Discount and a00% PCCa at Launch
Clean Energy Alliance
Fiscal Year Ending. 2020 2021 2022 2023 2024 2025
I. Revenue 9773,664 68,750,216 70,094 719 71,461,007 72,849,414
II. Operating Expenses
Power Supply 9,008,910 61,168,848 60,232,062 61,785,316 62,526,043
Staff 50,000 235,000 600,000 618,000 636,540 655,636
Administrative Costs* 253,000 1,109006 2,460,107 2,499,080 2,559,714 2,617,600
Subtotal Operating Expenses 303,000 10,352,916 64 228,956 63,349 42 64 981,570 65,799,279
Operating Margin (303,000) (579,252) 4,521,260 6,745,577 6,479,437 7,050,134
III. Financing
Interest 123,333 146,250 116,038 69,822 22,280
Principal 450,000 500,000 1,287,015 1,332,791 1,380,194
Subtotal Financing 573,333 646,250 1,403,053 1402,613 1,402,474
Operating Margin Less Financing (303,000) (1,152,585) 3,875,010 5,342,524 5,076,824 5,647,660
IV. Cash From Financing 450,000 4,500,000
V. Other Uses
CPUC and CAISO Deposits 147,000 500,000
Collateral Deposits 0 2,500,000
Reserve Additions 347,415 3,437,511 3,504 736 3,573,050 3,642,471
Subtotal Other Uses 147,000 3,347,415 3,437,511 3,504,736 3,573,050 3,642,471
VI. Net Surplus/(Deficit) 437,499 1,837 789 1,503,774 2,005,190
VII. Cumulative Reserve 347,415 3,784,926 7,289 662 10,862 712 14,505,183
VIII. Cumulative Net Surplus 437,499 2,275 288 3,779 062 5,784,251
VI. Combined Cumulative Reserve & Cumulative
Net Surplus 347,415 4,222,425 9,564 949 14,641,774 20,289,434
* Comprised of Technical and Legal Services, Customer Outreach and Communications, Utility Services Fees, Data Management Services, Uncollectibles
• 50% Renewable
• 100% PCC1 at Launch
• 3.6% reserve contribution
FY 2021
• 20% reserve by FY 2025
• Net Surplus Available FY
2022
7/16/20 CLEAN ENERGY ALLIANCE-DRAFT 9
Option 1-2% Discount
Annual DRAFT Pro Forma Projections for a Community Choice Aggregation Program. 2% Discount and 3.00% PCC3. at Launch
Clean Energy Alliance
Fiscal Year Ending: 2020 2021 2022 2023 2024 2025
I. Revenue 9,834,093 67,733 082 69,062,278 70413,027 71,785,662
II. Operating Expenses
Power Supply 9,008,910 61,168,848 60,232,062 61,785,316 62,526,043
Staff 50,000 235,000 600,000 618,000 636,540 655,636
Administrative Costs* 253,000 1,109,006 2,460,107 2,499,080 2,559,714 2,617,600
Subtotal Operating Expenses 303,000 10,352,916 64,228,956 63,349,142 64,981,570 . 65,799,279
Operating Margin (303,000) (718,823) 3,504 126 5,713,136 5,431,458 5,986 383
III. Financing
Interest 123,333 146,250 116,038 69,822 22,280
Principal 450,000 500,000 1,287,015 1,332,791 1,380,194
Subtotal Financing 573,333 646,250 1,403,053 1,402,613 1,402,474
Operating Margin Less Financing (303,000) (1,292,156) 2,857,876 4,3 0,083 4,028,845 4,583,909
IV. Cash From Financing 450,000 4,500,000
V. Other Uses
CPUC and CAISO Deposits 147,000 500,000
Collateral Deposits 0 2,500,000
Reserve Additions 207,844 2,857,876 3,453,114 3,520,651 3,589,283
Subtotal Other Uses 147,000 3,207,844 2,857,876 3,453,114 3,520,651 3,589,283
VI. Net Surplus/(Deficit) 856,969 508,193 994,626
VII. Cumulative Reserve 207,844 3,065,720 6,518,834 10,039,485 13,628,768
VIII. Cumulative Net Surplus 856,970 1,365,163 2,359,789
VI. Combined Cumulative Reserve & Cumulative
Net Surplus 207,844 3,065,721 7,375,804 11,404,648 15,988,557
*Comprised of Technical and Legal Services, Customer Outreach and Communications, Utility Services Fees, Data Management Services, Uncollectibles
7/16/20 CLEAN ENERGY ALLIANCE - DRAFT 10
• 50% Renewable
• 100% PCC1 at Launch
• 2.1% reserve contribution
FY 2021
• 4.2% reserve contribution
FY 2022
• 19% reserve by FY 2025
• Net Surplus Available FY
2023
0 tion 2
Rate Pant
Annual DRAFT Pro Forma Projections for a Community Choice Aggregation Program - Rate Parity and m00% PCCI. by mom3
Clean Energy Alliance
Fiscal Year Ending: 2020 2021 2022 2023 2024 2025
I. Revenue 9,913 2 5 69 767,349 71,127,161 72,508,987 73,913 66
II. Operating Expenses
Power Supply 8,988,017 61,018,825 60,161,460 61,785,316 62,526,043
Staff 50,000 235,000 600,000 618,000 636,540 655,636
Administrative Costs* 253,000 1,109,006 2,460,107 2,499,080 2,559,714 2,617,600
Subtotal Operating Expenses 303,000 10,332,024 64,078,933 63,278,540 64,981,570 65,799,279
Operating Margin (303,000) (418,789) 5,688,416 7,848,620 7,527,417 8,113,886
III. Financing
Interest 123,333 146,250 116,038 69,822 22,280
Principal 450,000 500,000 1,287,015 1,332,791 1,380,194
Subtotal Financing 573,333 646,250 1,403,053 1,402,613 1,402,474
Operating Margin Less Financing (303,000) (992,122) 5,042 66 6,445,567 6,124,804 6,711,412
IV. Cash From Financing 450,000 4,500,000
V. Other Uses
CPUC and CAISO Deposits 147,000 500,000 -
Collateral Deposits 0 2,500,000
Reserve Additions 486,986 3,437,511 3,504,736 3,573,050 3,642,471
Subtotal Other Uses 147,000 3,486,986 3,437,511 3,504,736 3,573,050 3,642,471
VI. Net Surplus/(Deficit) 20,892 1,604,656 2,940,832 2,551,754 3,068,942
VII. Cumulative Reserve 486,986 3,924,497 7,429,233 11,002,283 14,644 754
VIII. Cumulative Net Surplus 20,892 1,625,547 4,566,379 7,118,133 10,187,074
VI. Combined Cumulative Reserve & Cumulative
Net Surplus 507,878 5,550,044 11,995,612 18,120,416 24,831,828
* Comprised of Technical and Legal Services, Customer Outreach and Communications, Utility Services Fees, Data Management Services, Uncollectibles
• 50% Renewable
• 100% PCC1 by 2023
• 19.8% reserve by FY 2025
• Net Surplus Available All
Years
7/16/20 CLEAN ENERGY ALLIANCE - DRAFT 11.
Option 2 1% Discount
Annual DRAFT Pro Forma Projections for a Community Choice Aggregation Program - Rate Parity and m00% PCCI. by 2023
Clean Energy Alliance
Fiscal Year Ending: 2020 2021 2022 2023 2024 2025
I Revenue 9,913,235 69 767,349 71,127,161 72,508,987 73,913,166
II. Operating Expenses
Power Supply 8,988,017 61,018,825 60,161,460 61,785,316 62,526,043
Staff 50,000 235,000 600,000 618,000 636,540 655,636
Administrative Costs* 253,000 1,109,006 2,460,107 2,499,080 2,559,714 2,617,600
Subtotal Operating Expenses 303,000 10,332,024 64,078,933 63,278,540 64,981,570 65,799,279
Operating Margin (303,000) (418,789) 5,688,416 7,848,620 7,527,417 8,113,886
III. Financing
Interest 123,333 146,250 116,038 69,822 22,280
Principal 450,000 500,000 1,287,015 1,332,791 1,380,194
Subtotal Financing 573,333 646,250 1,403,053 1,402,613 1,402,474
Operating Margin Less Financing (303,000) (992,122) 5,042,166 6,445,567 6,124,804 6,711,412
IV. Cash From Financing 450,000 4,500,000
V. Other Uses
CPUC and CAISO Deposits 147,000 500,000
Collateral Deposits 0 2,500,000
Reserve Additions 486,986 3,437,511 3,504,736 3,573,050 3,642,471
Subtotal Other Uses 147,000 3,486,986 3,437,511 3,504,736 3,573,050 3,642,471
VI. Net Surplus/(Deficit) 20,892 1,604,656 2,940,832 2,551,754 3,068,942
VII. Cumulative Reserve 486,986 3,924,497 7,425,233 11,002,283 14,644,754
VIII. Cumulative Net Surplus 20,892 1,625,547 4,566,379 7,118,133 10,187,074
VI. Combined Cumulative Reserve & Cumulative
Net Surplus 507,878 5,550,044 11,995,612 18,120,416 24,831,828
* Comprised of Technical and Legal Services, Customer Outreach and Communications, Utility Services Fees, Data Management Services, Uncollectibles
7/16/20 CLEAN ENERGY ALLIANCE - DRAFT 12
• 50% Renewable
• 100% PCC1 by 2023
• 3.8% reserve contribution
FY 2021
• 20% reserve by FY 2025
• Net Surplus Available
beginning FY 2022
• 50% Renewable
• 100% PCC1 by 2023
• 3.8% reserve contribution
FY 2021
• 4.4% reserve contribution
FY 2022
• 19.2% reserve by FY 2025
• Net Surplus Available
beginning FY 2023
Option 2-2% Discount
Annual DRAFT Pro Forma Projections for a Community Choice Aggregation Program - 2% Discount and l00% PCC2 by 2023
Clean Energy Alliance
Fiscal Year Ending: 2020 2021 2022 2023 2024 2025
I. Revenue 9,634,093 67,733,082 69,062,278 70,413,027 71,785,662
II. Operating Expenses
Power Supply 8,988,017 61,018,825 60,161,460 61,785,316 62,526,043
Staff 50,000 235,000 600,000 618,000 636,540 655,636
Administrative Costs* 253,000 1,108,938 2,459,357 2,498,727 2,559,714 2,617,600
Subtotal Operating Expenses 303,000 10,331,956 64,078,183 63,278,187 64,981,570 65,799,279
Operating Margin (303,000) (697,882) 3,654,899 5,784,091 5,431,458 5,986,383
III. Financing
Interest 123,333 146,250 116,038 69,822 22,280
Principal 450,000 500,000 1,287,015 1,332,791 1,380,194
Subtotal Financing 573,333 646,250 1,403,053 1,402,613 1,402,474
Operating Margin Less Financing (303,000) (1,271,195) 3,008,649 4,381,038 4,028,845 4,583,909
IV. Cash From Financing 450,000 4,500,000
V. Other Uses
CPUC and CAISO Deposits 147,000 500,000
Collateral Deposits 0 2,500,000
Reserve Additions 228,805 3,008,649 3,453,114 3,520,651 3,589,283
Subtotal Other Uses 147,000 3,228,805 3,008,649 3,453,114 3,520,651 3,589,283
VI. Net Surplus/(Deficit) (0) 0 927,924 508,193 994,626
VII. Cumulative Reserve 228,805 3,237,454 6,690,568 10,211,219 13,800,502
VIII. Cumulative Net Surplus (0) 0 927,924 1,436,117 2,430,743
VI. Combined Cumulative Reserve & Cumulative
Net Surplus 228,805 3,237,454 7,618,492 11 647,336 16,231,245
* Comprised of Technical and Legal Services, Customer Outreach and Communications, Utility Services Fees, Data Management Services, Uncollectibles
7/16/20 CLEAN ENERGY ALLIANCE - DRAFT 13
Item 4: Clean Energy Alliance Pro Formas
Board Questions/Discussion
7/16/20 CLEAN ENERGY ALLIANCE - DRAFT 14
Item 5: Clean Energy Alliance
Advisory Committee
Barbara Boswell, Interim Chief Executive Officer
7/16/20 CLEAN ENERGY ALLIANCE - DRAFT 15
Item 5: Cornmunity Advisory Cornmittee
• Recommendation
0 Approve Community Advisory Committee Policy, Review &
Approve Timeline
7/16/20 CLEAN ENERGY ALLIANCE - DRAFT 16
Item 5: Cornmunity Advisory Cornmittee
• Background
O June 18, 2020 CEA Board reviewed the draft Citizen Advisory
Committee
o Requested edits included in Proposed Policy:
o Change name from Citizen Advisory Committee to Community
Advisory Committee
o Add two (2) year term limit
o Revise background/expertise criteria
o Clarify attendance requirements
o Revise CAC Purpose & Objectives
O Propose Timeline for CAC
7/16/20 CLEAN ENERGY ALLIANCE - DRAFT 17
Item 5: Community Advisory Committee
PROPOSED TIMELINE:
TASK DATE
Open Application Process
CEA Board Approve Initial CAC Workplan & Meeting Schedule
Applications due to CEA Board Secretary
Applications distributed to CEA Board Member
CEA Board Member Application Review & Evaluation
CEA Board Meeting Review Recommendations & Approve
Appointees
First Meeting of CAC
August 3, 2020
August 20, 2020
August 28, 2020
September 4, 2020
September 7 — October 2
October 15, 2020
November/December 2020
Timeline accommodates for CAC to Work on Customer Outreach & Marketing
7/16/20 CLEAN ENERGY ALLIANCE - DRAFT 18
Item 5: Cornmunity Advisory Committee
Board Discussion
7/16/20 CLEAN ENERGY ALLIANCE - DRAFT 19
Item 6: Clean Energy Alliance
Inclusive & Sustainable Workforce
Policy
Barbara Boswell, Interim Chief Executive Officer
7/16/20 CLEAN ENERGY ALLIANCE - DRAFT 20
Item 6: Clean Energy Alliance
Inclusive git Sustainable Workforce Policy
• Recommendation
o Review, Provide Input & Approve CEA Inclusive & Sustainable
Workforce Policy
7/16/20 CLEAN ENERGY ALLIANCE - DRAFT 21
Item 6: Clean Energy Alliance
Inclusive & Sustainable Workforce Policy
• Background
o May 7, 2020 CEA Board provided input & direction to staff to bring
an Inclusive & Sustainable Workforce Policy to Board for
consideration
o Board referenced policy from Peninsula Clean Energy as a starting
point
o Additional information for consideration provided to Board from
Sierra Club & IBEW 569 which Board requested to be reviewed
O CEA JPA Agreement includes language in Recital 6f to be considered.
7/16/20 CLEAN ENERGY ALLIANCE - DRAFT 22
Item 6: Clean Energy Alliance
Inclusive & Sustainable Workforce Policy
• Changes reflected in proposed policy include:
o Added language from JPA Agreement related to the policy not
limiting fair and open competition;
o Edited language such as "shall" and "will" to strive;
o Edited language such as "require" to "encourage";
o Removed language that refers to project labor agreements.
• Proposed policy reflects meeting requests/concerns of Board,
conformity with JPA Agreement and suggestions from Sierra
Club/IBEW 569.
7/16/20 CLEAN ENERGY ALLIANCE - DRAFT 23
Item 6: Clean Energy Alliance
Inclusive & Sustainable Workforce Policy
Board Discussion
7/16/20 CLEAN ENERGY ALLIANCE - DRAFT 24
Item 7: Clean Energy Alliance
Bid Evaluation Criteria & Scoring
System
Barbara Boswell, Interim Chief Executive Officer
7/16/20 CLEAN ENERGY ALLIANCE - DRAFT 25
Item 7: CEA Bid Evaluation Criteria &
Scoring System
• Recommendation:
o Review two alternative Bid Evaluation Criteria & Scoring Systems,
provide input and select a preferred alternative.
7/16/20 CLEAN ENERGY ALLIANCE - DRAFT 26
Item 7: CEA Bid Evaluation Criteria &
Scoring System
• Background:
O May 7, 2020 CEA Board requested Bid Evaluation Criteria &
Scoring System to be brought for consideration
O Two alternatives to be considered
O East Bay Community Energy — provides bonus
percentages/points for certain priority categories
o Clean Power Alliance — Uses High-Medium-Low ranking for
certain priority categories
7/16/20 CLEAN ENERGY ALLIANCE - DRAFT 27
Item 7: CEA Bid Evaluation Criteria &
Scoring System
• [BCE Bid Evaluation:
o 5% or 5 points out of a 100-point scoring system for responses
with offices located within Alameda County (East Bay's local
county) and minimum 25% employees from Alameda County;
o 2.5% or 2.5 points out of a 100-point scoring system for
responses who use union labor and/or unionized contractors;
o 2.5% or 2.5 points out of a 100-point scoring system for
responses from businesses owned and operated by a person
representing one or more women, minority, disabled veteran,
and lesbian, gay, bisexual, and transgender categories.
7/16/20 CLEAN ENERGY ALLIANCE - DRAFT 28
Item 7: CEA Bid Evaluation Criteria &
Scoring System
• CPA High-Medium-Low ranking for:
o $ Value
o Environmental Stewardship — project demonstrates multiple benefits
beyond climate and GHG reduction
o Workforce Development — evaluates target-hire, union labor, or multi-trade
project labor agreements
o Development Risk — composite rank based on factors impacting project risk
including site control; interconnection status; environmental screens; land
use and permits; project financing; and developer experience
. Project Location — ranked based on location with CPA service counties,
other counties within California or out of state
. Benefits to Disadvantaged Communities (DAC) — ranked based on location
with a DAC and demonstrates DAC workforce and community development
benefits
7/16/20 CLEAN ENERGY ALLIANCE - DRAFT 29
Item 7: CEA Bid Evaluation Criteria &
Scoring System
• Consideration for JPA Agreement Recital 6f:
0 "Pursue the procurement of local generation of renewable
power developed by or within member jurisdictions with an
emphasis on local jobs, where appropriate, without limiting fair
and open competition for projects or programs implemented by
the Authority."
7/16/20 CLEAN ENERGY ALLIANCE - DRAFT 30
Item 7: CEA Bid Evaluation Criteria &
Scoring System
Board Discussion
7/16/20 CLEAN ENERGY ALLIANCE - DRAFT 31
Item 8: Clean Energy Alliance
Administrative & Operational
Policies
Barbara Boswell, Interim Chief Executive Officer
7/16/20 CLEAN ENERGY ALLIANCE - DRAFT 32
Item 8: Clean Energy Alliance
Administrative & Operational Policies
• Recommendation
o Review and approve Clean Energy Alliance (CEA) Unsolicited
Proposals, Non-Energy Procurement and Financial Reserve Policies
7/16/20 CLEAN ENERGY ALLIANCE - DRAFT 33
Item 8: Clean Energy Alliance
Administrative & Operational Policies
• Unsolicited Proposals Policy
o CEA has form on website to register for updates on future CEA
solicitations.
(2' Unsolicited Proposals Policy provides venue for submission of
proposals not currently under solicitation, and would not normally
be subject of normal CEA solicitation process
7/16/20 CLEAN ENERGY ALLIANCE - DRAFT 34
Item 8: Clean Energy Alliance
Administrative & Operational Policies
• Unsolicited Proposals must meet following:
O Must contain a novel, innovative, or otherwise meritorious
concept, application, approach or method;
o Is for a good, project, program or service that would not be
normally procured through CEA's typical solicitation processes;
o Be independently originated and developed by the proposer;
o Be prepared without CEA staff supervision or direct CEA staff
assistance;
Present the proposed work or project in sufficient detail to allow a
determination to be made that the proposed project could
enhance, benefit, and provide valuable input to meeting CEA
goals.
7/16/20 CLEAN ENERGY ALLIANCE - DRAFT 35
Item 8: Clean Energy Alliance
Administrative & Operational Policies
Approach:
o Phase 1— Conceptual Proposal
0 Written, concept-level proposal to determine if meets
requirements
o Phase 2 — Detailed Proposal
0 Detailed technical & financial information to evaluate proposal
7/16/20 CLEAN ENERGY ALLIANCE - DRAFT 36
Item 8: Clean Energy Alliance
Administrative & Operational Policies
• Detailed Proposals Evaluated on:
o Proposer's capabilities, related experience, facilities, techniques, or
unique combinations of these which are integral factors for
achieving the proposal objectives;
O Qualifications, capabilities and experience of key personnel who are
critical in achieving the proposal objectives;
o Proposer's financial capacity to deliver the goods or services
defined in the proposal;
O Viability of the proposed schedule;
o Proposal's consistency with CEA's objectives and goals;
O Any other factors appropriate for the particular proposal.
7/16/20 CLEAN ENERGY ALLIANCE - DRAFT 37
Item 8: Clean Energy Alliance
Administrative & Operational Policies
• Non-Energy Procurement Policy:
o Administrative Procedures for procurement of goods & services;
13 Solicitation Thresholds:
o RFP or RFQ value of a contract exceeds $100,000 in any fiscal
year. These contracts are subject to Board approval before
final execution.
o Informal Bid Process value of a contract is between $50,000
and $99,999.
o An Informal Verbal Proposal value of a contract is between $10,000
and $49,999.
o Less than $10,000, no formal or informal bids shall be required,
however, staff is directed to seek the best value available
7/16/20 CLEAN ENERGY ALLIANCE - DRAFT 38
Item 8: Clean Energy Alliance
Administrative & Operational Policies
• Non-Energy Procurement Policy:
0 Signature Authority:
o Chief Executive Officer authority up to $100,000 for items budgeted
• Subject to General Counsel Approval as to Form
• New contracts in excess of $50,000 reported to Board
o CEO approval for invoices and vendor payments pursuant to CEA
Approved Budget.
7/16/20 CLEAN ENERGY ALLIANCE - DRAFT 39
Item 8: Clean Energy Alliance
Administrative & Operational Policies
• Financial Reserve Policy
o Based on Board Direction
o Establishes goals for Operating reserve
o 5% of Revenue contributed annually
o Goal of cumulative 25% of Revenue
• Strive to achieve cumulative of 40% of Revenue
7/16/20 CLEAN ENERGY ALLIANCE - DRAFT 40
Item 8: Clean Energy Alliance
Administrative & Operational Policies
Board Discussion
7/16/20 CLEAN ENERGY ALLIANCE - DRAFT 41