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HomeMy WebLinkAbout2010-06-29; Municipal Water District; Resolution 1399Exhibit 4 1 RESOLUTION NO. 1399 2 A RESOLUTION OF THE BOARD OF DIRECTORS OF CARLSBAD MUNICIPAL WATER DISTRICT (CMWD), ADOPTING THE WATER DISTRICT FINAL OPERATING BUDGET AND CAPITAL IMPROVEMENT PROGRAM FOR 4 2010-11. 5 - 6 j WHEREAS, the Board of Directors of the Carlsbad Municipal Water District, 8 California, has held such public hearings as are necessary prior to the adoption of the 9 2010-11 Operating and Capital Improvement Budgets. 10 NOW, THEREFORE, BE IT RESOLVED by the Board of Directors of the 1 1 Carlsbad Municipal Water District as follows: 12 1 • That the above recitations are true and correct. 13 2. That certain documents now on file in the office of the Secretary entitled "City 14 of Carlsbad, 2010-11 Operating Budget and 2010-11 to Buildout Capital Improvement 15 Program - Preliminary," as amended in accordance with Exhibit 4-A attached hereto 16 and incorporated by reference herein, is hereby adopted as the Operating and Capital 17 Improvement Budgets for the Carlsbad Municipal Water District for the Fiscal Year 18 2010-11. 19 3. That the amounts reflected as estimated revenues for Fiscal Year 2010-11 20 are hereby adopted as the budgeted revenues for 2010-1 1 . 21 4. That the amount designated as 2010-11 Budget in Exhibit 4-B is hereby 22 appropriated to the fund for which it is designated and such appropriation shall not be 23 increased except as provided herein. 24 5. That total appropriations may only be increased or decreased by the Board 25 of Directors by passage of a resolution amending the budget except as provided herein. 26 6. That the following controls are hereby placed on the use and transfers of 27 budget funds: 28 IP 9 Exhibit 4 1 A. No expenditure of funds shall be authorized unless sufficient funds have 2 been appropriated by the Water Board or Executive Manager as described below. 3 i. The Executive Manager may authorize all transfers of funds from 4 account to account within the same fund in an amount up to $100,000 per transfer. 5 ii. The Executive Manager may delegate the authority to make budget 6 transfers. 7 iii. The Executive Manager may authorize budget adjustments 8 involving offsetting revenues and expenditures; the Executive Manager may authorize 9 increases in an appropriation for a specific purpose where the appropriation is offset by 10 unbudgeted revenue which is designated for said specific purpose. 11 iv. The Executive Manager may authorize increases in purchased 12 water appropriations in an amount equal to the same percent that water sales exceed 13 the amount of the original revenue estimate. 14 B. The Board of Directors must authorize any increase in the number of 15 authorized permanent personnel positions above the level identified in the final Budget. 16 The Executive Manager may authorize the hiring of temporary or part time staff as 17 necessary, within the limits imposed by the controls listed above. 18 7. That all appropriations and outstanding encumbrances as of June 30, 2010 19 are hereby continued into 2010-11 for such contracts and obligations. 20 8. All appropriations for Capital Improvement Projects remaining unexpended 21 at June 30, 2010, are hereby appropriated for such capital projects for the 2010-11 22 fiscal year. 23 24 /// 25 m 26 /// 27 28 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 PASSED, APPROVED AND ADOPTED at a Joint Special Meeting of the Carlsbad Municipal Water District Board of Directors, Carlsbad City Council and Carlsbad Housing and Redevelopment Commission, held on the 29th day of June, 2010, by the following vote to wit: AYES: COUNCIL MEMBERS LEWIS, KULCHIN, HALL, PACKARD AND BLACKBURN. NOES: NONE. ABSENT: NONE. ATTEST: LOJRRAIN (SEAL) .X\l»"'"//,. c>^*%&.£&&*#•:&''.#& iili CARLSBAD MUNICIPAL WATER DISTRICT - CAPITAL IMPROVEMENT PROGRAM 2009-10 TO BUILD OUT PROJECT TITLE PUBLIC WORKS CENTER AVIARA PARKWAY AT PLUM TREE BUENA VISTA PUMP STATION IMPROVEMENTS (STUDY) CALAVERA HILLS WATER BOOSTER STATION STANDBY GENERATOR CARLSBAD BOULEVARD - SOUTH OF AVENIDA ENCINAS CATHODIC PROTECTION PROGRAM COLLEGE BOULEVARD - CANNON TO BADGER LANE COLLEGE BOULEVARD (ECR TO CANNON ROAD) - Reimb CRESTVIEW DRIVE TRANSMISSION MAIN D RESERVOIR - PHASE 1 D RESERVOIR -PHASE II D RESERVOIR DRAINAGE IMPROVEMENTS (STUDY) DESALINATION GROUNDWATER/SEAWATER STUDY EL FUERTE - NORTH OF LOKER - (Reimb) EL FUERTE AND CORINTIA STREET ELLERY WATER PUMP PROJECT FARADAY AVENUE - ORION TO MELROSE WATERLINE - (Reimb) FARADAY AVENUE EXTENSION - Reimb GROUNDWATER DEVELOPMENT - SAN LUIS REY RIVER (STUDY) HYDROELECTRIC PRESSURE REDUCING STATION-MAERKLE RESERVOIR KELLY RANCH PRESSURE REDUCING STATION LAKE CALAVERA RESERVOIR IMPROVEMENTS MAERKLE FACILITY IMPROVEMENTS MAERKLE PUMP STATION IMPROVEMENTS MAERKLE PUMP STATION IMPROVEMENTS MAERKLE RESERVOIR BRIDGE REPLACEMENT MAERKLE RESERVOIR STORAGE (TAP #2) MAERKLE TRANSMISSION MAIN MARRON ROAD - PRESSURE REGULATING STATION TO OCEANSIDE MELROSE DRIVE - PALOMAR AIRPORT ROAD TO FARADAY - (Reimb) MISCELLANEOUS PIPELINE REPLACEMENT PROJECTS MISCELLANEOUS WATER VALVE REPAIRS/REPLACEMENTS NCTD RIGHT OF WAY UTILITY RELOCATION (WATER) OCEANSIDE INTERTIE UPGRADE PARK DRIVE WATER LINE AND SURFACE IMPROVEMENTS POINSETTIA LANE - EL CAMINO REAL TO SKIMMER CT (Reimb) POINSETTIA LANE - SKIMMER CT TO CASSIA POINSETTIA LANE - SKIMMER CT TO CASSIA POINSETTIA LANE EAST OF BLACK RAIL ROAD 12" POINSETTIA LANE EAST OF BLACK RAIL ROAD 12" FUND WATER REPL WATER REPL WATER REPL WATER CONN WATER REPL WATER REPL WATER CONN WATER CONN WATER REPL WATER CONN WATER REPL WATER REPL WATER REPL WATER CONN WATER REPL WATER REPL WATER CONN WATER CONN WATER REPL WATER REPL WATER REPL WATER REPL WATER REPL WATER CONN WATER REPL WATER REPL WATER CONN WATER REPL WATER CONN WATER CONN WATER REPL WATER REPL WATER REPL WATER REPL WATER REPL WATER CONN WATER REPL WATER CONN WATER CONN WATER REPL TOTAL PRIOR BALANCE BUDGET EXP/ENC FORWARD 7,169,600 494,728 200,000 - 100,000 502,444 953,888 1,246,700 - 1,099,800 1,066,000 - 1,066,000 1,060,000 - 1,060,000 162,032 6,666,504 2,222,064 175,000 8,510 166,490 774,176 250,000 64,098 185,902 168,168 205,900 23,495 887,210 245,957 641,253 776,000 401,619 374,381 55,000 2,000,000 436,723 1,563,277 560,000 6,796,908 5,705,620 1,091,288 2,135,200 877,874 1,257,326 1,000,200 998,427 44,322 328,750 120,168 208,582 14,814,280 6,330,000 8,882 4,866,118 797,888 1,475,000 61,120 1,413,880 1,876,700 262,815 1,170,185 250,000 34,154 215,846 80,000 114,600 1,000:000 130,728 508,664 398,944 239,720 239,616 YEAR1 YEAR 2 YEARS YEAR 4 YEARS YEAR 6-10 BUILDOUT 2010-2011 2011-2012 2012-2013 2013-2014 2014-2015 2016-2020 2021-BO 65,000 7,104,600 494,728 100,000 54,100 448,344 953,888 146,900 33,800 128,232 6,666,504 2,222,064 774,176 168,168 182,405 55,000 560,000 85,000 915,200 85,000 869,105 14,814,280 1,455,000 797,888 443,700 80,000 114,600 1,000,000 130,728 508,664 398,944 239,720 239,616 mx CARLSBAD MUNICIPAL WATER DISTRICT - CAPITAL IMPROVEMENT PROGRAM 2009-10 TO BUILD OUT PROJECT TITLE FUND TOTAL BUDGET PRIOR EXP/ENC BALANCE FORWARD PRESSURE REDUCING STATION REPLACEMENT RESERVOIR REPAIR /MAINTENANCE PROGRAM SANTA FE II RESERVOIR SITE DRAINAGE TRI-AGENCIES WATER TRANSMISSION PIPELINE REPLACEMENT WATER MASTER PLAN UPDATE WATER SYSTEM INTERTIE CONNECTION CARLSBAD WATER RECYCLING FACILITY (ENCINA) 12" RECYCLED WATER TRANSMISSION MAIN-CWRF TO CHINQ CARLSBAD WATER RECYCLING FACILITY SCADA MODIFICATIONS CHESTNUT AVENUE RECYCLED WATER LINE ECRn~AMARACK PUMP STATION REMOVAL I-5 RECYCLED WATER TRANSMISSION LINE PALOMAR BUISNESS PARK RECYCLED WATER PIPELINES PUMP STATION REMOVAL RECYCLED WATER LINE - INNOVATION WAYAND GATEWAY RECYCLED WATER LINE - IRRIGATION SERVICES RECYCLED WATER MASTER PLAN UPDATE RECYCLED WATER PROJECTS-l-5 CROSSING SIDEWALK/STREET CONSTRUCTION - VALLEY AND MAGNOLIA SIDEWALKS WATER REPL WATER REPL WATER REPL WATER REPL WATER CONN WATER REPL WATER REPL WATER REPL WATER REPL WATER REPL WATER REPL WATER REPL WATER REPL WATER REPL WATER REPL WATER REPL WATER REPL WATER REPL WATER REPL 1,102,000 4,185,000 645,000 6,455,000 700,000 439,000 500,000 975,000 210,000 716,600 80,019 277,274 1,110,000 442,700 410,000 240,000 672,468 200,200 200,000 67,203 128,744 504,366 34,774 - 75,135 157,441 - 110,330 3,578 185,818 413,546 - 1,034,797 125,000 1,126,256 145,634 174,865 52,559 332,370 406,422 54,182 258,922 134,200 TOTAL ALL WATER PROJECTS 86,671,300 9,976,292 20,325,535 YEAR 1 YEAR 2 YEARS YEAR 4 YEARS YEAR 6-10 BUILDOUT 2010-2011 2011-2012 2012-2013 2013-2014 2014-2015 2016-2020 2021-BO 1,760,000 1,150,000 1,150,000 645,000 5,200,000 50,000 404,226 42,000 130,000 228,000 50,000 50,000 725,000 716,600 80,019 277,274 1,110,000 66,000 200,000 6,249,900 25,498,869 2,241,832 8,466,263 1,934,305 11,180,416 797,888 Exhibit 4B PROGRAM: FUND: PROGRAM GROUP: WATER OPERATIONS WATER ENTERPRISE MAINTENANCE & OPERATIONS ACCTNO. 5016310/5026310 PERSONNEL MAINTENANCE & OPERATIONS CAPITAL OUTLAY GRAND TOTAL FULL TIME POSITIONS HOURLY/FTE POSITIONS 2007-08 ACTUAL $3,333,183 27,413,752 89,380 $30,836,315 40.25 0.00 2008-09 ACTUAL $3,267,294 28,954,069 25,659 $32,247,022 39.90 0.00 2009-10 BUDGET $3,425,726 37,769,762 12,235 $41,207,723 39.90 0.00 2010-11 BUDGET $4,218,959 33,603,882 12,237 $37,835,078 39.60 0.00 PROGRAM GROUP DESCRIPTION: The Carlsbad Municipal Water District, a subsidiary district of the City of Carlsbad, provides potable water service to approximately 85% of the City (86,140 customers). The District purchases 100% of its potable water as treated water from the San Diego County Water Authority. The District also supplies customers with recycled water from the District's Phase II Recycled Water Plant, and from recycled water purchased from the Leucadia Wastewater District and Vallecitos Water District. PROGRAM ACTIVITIES: Water Operations • Provide operation and maintenance of the potable and recycled water reservoirs, pumping, regulating, and disinfection activities; collect water quality samples to ensure compliance with state and federal regulations. Water Construction/Maintenance • Schedule and perform water system maintenance to ensure a safe and efficient water distribution system. Meter Services • Collect water customer usage data for utility billing to ensure financial viability of the District through timely and accurate revenue collections; provide customer service for water utility customers; and install, replace and maintain water meters. Cross-Connection Control • Implement and enforce cross-connection control of potable and recycled water systems to ensure a safe supply of potable water and compliance with state and federal regulations. PERFORMANCE/WORKLOAD MEASURES: Water Cost • Annual water loss not to exceed 6% as set by the California Department of Water Resources. Distribution system losses commonly range between 6% and 15%. The American Waterworks Association recommends that the loss after treatment be maintained at 10% or less. Fiscal Year 2003-04 2004-05 2005-06 2006-07 2007-08 2008-09 Water Loss 6% 5% 6% 3% 5% 6% Cost per Acre-Foot $784 $828 $901 $972 $1,047 $1,139 PROGRAM: WATER OPERATIONS PAGE TWO FUND: WATER ENTERPRISE PROGRAM GROUP: MAINTENANCE & OPERATIONS ACCT NO. 5016310/5026310 PERFORMANCE/WORKLOAD MEASURES (continued) Potable Water Quality • Ninety-eight percent (98%) of bacteria samples free of coliform bacteria as adopted by the City's Performance Measurement Team. The state requirement is that less than 5% of all samples collected during any month are total coliform-positive. Fiscal No. Samples Percent Year Collected Bacteria-Free 2003-04 1,752 99.9% 2004-05 1,724 99.8% 2005-06 1,719 99.9% 2006-07 1,716 100.0% 2007-08 1,601 99.8% 2008-09 1,590 100.0% Water Service Delivery • The ratio of total leaks and breaks compared to the total water pipe in the system. This measure is calculated by dividing the total number of leaks and breaks during the reporting period by the total miles of pipe in the water distribution system and multiplying the result by 100. The benchmark is to not exceed the national average rate of 32.7 as reported by the American Water Works Association. Fiscal Year 2008-09 Potable Water Recycled Water Leaks 89 5 Breaks 44 1 Miles of Distribution Pipe 450 77 System Integrity Rate per 100 miles 29.1 7.8 SIGNIFICANT CHANGES: • Creation of the Utilities Department under the City realignment. • In addition to increased water costs, increases are expected in electricity costs associated with water pumping, pipeline repairs, hydrants, parts and supplies, and costs related to management of the hardware and software to keep the SCADA system running at an optimal level. KEY ACHIEVEMENTS FOR FY 2009-10: • Replaced 1,240 water meters with automated meter reading (AMR) and leak detection capabilities and completed over 336,000 water meter reads. • Participated in the planning of the desalination delivery regime. • Obtained two grants from the San Diego County Water Authority to produce Public Service Announcement videos related to water conservation. • Implemented technology which reduced the workload associated with manual delivery of door hangers. Resources were then deployed to other customer service needs. • In 2009, performed preventive maintenance on 4,077 water valves and 1,394 fire hydrants, ensuring reliable asset performance of the water system. • In partnership with Fleet Maintenance, the department downsized two replacement vehicles and eliminated one large piece of equipment. • Initiated a regional North County recycled water delivery plan in conjunction with ten other water agencies. • Converted 48 customer sites, totaling 80 meters from potable water to recycled water. • Compliance with AB 1953 (low lead requirements for brass fittings). • Reduced electricity expenses by converting pumping accounts to different rate structure. • Improved various pump station efficiencies via operation, programming, equipment, etc. • Adopted Water Efficient Landscape Ordinance • Completed study for Maerkle hydroelectric power generation facility and applied for Grant from the U.S. Bureau of Reclamation. PROGRAM: WATER OPERATIONS PAGE THREE FUND: WATER ENTERPRISE PROGRAM GROUP: MAINTENANCE & OPERATIONS ACCTNO. 5016310/5026310 KEY GOALS FOR FY 2010-11: • Continue implementing a phased proactive maintenance work program for the water facility assets. • Continue to meet the potable water needs of all customers while managing the impacts from the drought. • Completion of the Water and Recycled Water Master Plans. • Update the Urban Water Management Plan. • Finalize the negotiations related to two recycled water purchase agreements, ensuring stable recycled water commodity rates for the next two to five years. • Continue working with regulators on regional compliance and oversight issues for recycled water program. • Continue to implement appropriate pump station efficiencies. • Continue to connect Phase II customer to recycled water system. • Identify customer base for expansion of recycled water system. • Develop rate structure to fund operations and infrastructure replacement as well as re-establish reserve levels in accordance with Board policies. • Begin construction of Desalinated Water Plant. • Construct Maerkle hydroelectric power generation facility. • Implement next two phases of Automated Meter Reading Program. SIGNIFICANT CHANGES: • A total of 0.30 full-time positions have been reallocated to other divisions within the Utilities Department to better reflect each division's workload. PROGRAM: FUND: PROGRAM GROUP: FINANCE GENERAL/ENTERPRISE FINANCE ACCTNO. 0011310 PERSONNEL MAINTENANCE & OPERATIONS CAPITAL OUTLAY GRAND TOTAL FULL TIME POSITIONS HOURLY/FTE POSITIONS GENERAL FUND WATER ENTERPRISE STORM WATER SOLID WASTE WASTEWATER ENTERPRISE TOTAL FUNDING 2007-08 ACTUAL $2,811,703 1,755,534 0 $4,567,237 29.00 1.00 $3,976,423 396,764 15,260 15,260 163,530 $4,567,237 2008-09 ACTUAL $2,858,386 1,171,295 23,156 $4,052,837 29.00 1.00 $3,412,776 416,039 16,002 16,002 192,018 $4,052,837 2009-10 BUDGET $2,920,393 1 ,057,704 0 $3,978,097 29.00 1.00 $3,300,460 440,464 16,941 16,941 203,291 $3,978,097 2010-11 BUDGET $2,960,145 1,047,675 0 $4,007,820 29.00 1.00 $3,298,808 460,858 17,725 17,725 212,704 $4,007,820 MISSION STATEMENT: Our mission is to ensure that the City of Carlsbad makes sound financial decisions by setting and implementing a strategic financial direction. We take pride in accomplishing this mission by maintaining individual and departmental credibility; working together as a team while respecting each other's differences; and consistently striving to go above and beyond expectations. PROGRAM ACTIVITIES: Lonq-Ranqe Financial Planning and Budget Management • Prepare ten-year operating forecasts incorporating various "what-if scenarios to facilitate decision-making for the City Council and City departments. • Prepare and monitor annual capital and operating budgets to allocate resources in a cost-effective manner in alignment with the City Council's goals. • Perform bi-annual review of all City fees and annual cost allocation plan. General Accounting and Reporting • Accurately bill, collect, record, and report all City revenues including follow-up of delinquent accounts. • Prepare checks for City employees and for service and commodity suppliers. • Prepare and maintain finance records and documents in conformity with generally accepted accounting principles and applicable legal and contractual provisions. • Prepare Comprehensive Annual Financial Report in conformity with generally accepted accounting principles. • Provide the City Council and City management with timely monthly financial reports. • Perform in-house internal control reviews as needed. Assessment District/Community Facilities District (CFD) Administration • Assist in evaluation and formation of new districts. • Issue bonds for capital projects when required. Pay debt service and provide continuing disclosure information. • Provide administration of CFDs and assessment districts as required by formation documents and state law. Purchasing • Issue and manage formal bid and quotation processes. • Track and renew annual commodity and service contracts and joint agency contracts. • Assist City departments in the creation and administration of contracts.-77 PROGRAM: FUND: PROGRAM GROUP: FINANCE GENERAL/ENTERPRISE FINANCE PAGE TWO ACCTNO. 0011310 PROGRAM ACTIVITIES (continued): Receiving, Messenger, and Mail Services • Act as shipping and receiving for the Faraday Administration Center. • Direct disposal of surplus and lost/unclaimed property. • Collect outgoing City mail and apply postage. • Sort and distribute all incoming City mail. WORKLOAD AND PERFORMANCE INDICATORS: • Average number of days to issue Monthly Financial Status Report • Awards received for CAFR • Awards received for Annual Budget • Number of business licenses processed • Number of account payable checks processed • Number of payroll checks issued • Number of electronic payroll checks issued • Outstanding debt issues administered • Number of purchase orders issued • Dollar amount of purchase orders issued • Pieces of mail processed FY 2007 11.6 GFOA CSMFO Excellence in Operational Budget & Public Communications 8,926 14,538 6,379 20,420 $131 million 1,501 $45 million 164,919 FY2008 12 GFOA CSMFO Excellence in Operational Budget & Public Communications 9,405 15,301 5,494 21,196 $162 million 1,570 $53 million 158,328 FY 2009 10.7 Pending CSMFO Excellence in Operational Budget & Public Communications 9,029 14,374 4,928 21,747 $157 million 1,478 $35 million 151,691 KEY GOALS FOR 2010-11: Financial Health • Continue to monitor the economy and the impact to the Ten-Year Financial Forecast to ensure the General Fund remains in balance. • Continue to audit internal operations of the City as well as external vendors as appropriate. • Finalize and implement a Managed Services Program. This program is designed to ensure that the City improves effectiveness and efficiencies of City operations by carefully comparing the costs and benefits of contracting with private business or another government entity against the costs and benefits of providing the service in-house. • Develop an Infrastructure Replacement Fund Master Plan to ensure that resources are available when needed to replace the City's streets, sidewalks, buildings and other infrastructure. • Update the cost allocation plan. • Perform a cost of service study. • Continue the implementation of a Human Capital Management System. • Continue to promote the City's new online utility bill paying feature, providing a new level of customer service by giving customers a means of accessing important billing and usage information twenty-four hours a day seven days a week, while increasing staff efficiency and expediting customer payments. PROGRAM: FINANCE PAGE THREE FUND: GENERAL/ENTERPRISE PROGRAM GROUP: FINANCE ACCT NO. 0011310 KEY GOALS FOR 2010-11 (continued): Financial Health (continued) • Implement Council Policy 74 - General Fund Reserve Guidelines approved by the City Council April 2008. • Partner with Economic Development Program in developing an economic strategic plan to document the current economic conditions within the City of Carlsbad and develop action plans and opportunities for improved economic sustainability in the future. • Partner with the Carlsbad Municipal Water District in implementing a new rate structure including drought rates and incorporating the revised rate structure into the Utility Billing System. SIGNIFICANT CHANGES: None