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HomeMy WebLinkAbout1990-06-19; Municipal Water District; 029; Final Operating & CIP Program Budgets 1990-912 ,>-ZMWD - AGENDA BILL cl 6 /b Ii../ B# oa-7 TITLE: ADOPTION OF FINAL OPERATING AND CAPITAL DEPT. Hii.* TG. 6/19/90 IMPROVEMENT PROGRAM BUDGETS FOR THE FIN FISCAL YEAR 1990-91 EPT. CITY MGR%$k IECOMMENDED ACTION: 1. Hold Public Hearing on the Water District's 1990-91 Operating Budget and 1990-91 to Buildout Capital Improvement Program. 2. Adopt Resolution No. b67 adopting the final Operating Budget for 1990-91. ITEM EXPLANATION: This item is established to allow the public the opportunity to comment on the Water District's proposed Operating and Capital Improvement Program budgets; Following the public hearing, the Council may adopt the Operating and Capital Improvement Budget for 1990-91. The total proposed budget for the Water District is $19.8 million. The Operating portion of the budget totals $7.8 million, up $500,000 or 6.8% over the 1989-90 budget. Capital projects for 1990-91 total $12 million, up $1.3 million or 12.1% over the 1989-90 budget. Included within the Operating Budget are four new positions. A valve exercising program will be reinstituted utilizing two of the new positions. Two other positions will allow the District to keep pace with the current workload and improve office efficiency. Additional information is available and contained within the City Budget. FISCAL IMPACT: The fiscal impacts of the proposed Budgets are detailed in the attached schedules. EXHIBITS: 1. Resolution No. 6c47 adopting the final Operating and Capital Improvement Program Budgets for 1990-91. 1 2 3 4 5 RESOLUTION NO. 667 A RESOLUTION OF THE BOARD OF DIRECTORS OF THE CARLSBAD MUNICIPAL WATER DISTRICT, ADOPTING THE FINAL OPERATING AND CAPITAL IMPROVEMENT PROGRAM BUDGETS FOR THE FISCAL YEAR 1990-91 WHEREAS, the Board of Directors of the Carlsbad Municipal Water 6 District has reviewed the proposed final Operating and Capital 7 Improvements Program Budgets for fiscal year 1990-91 and has held such 8 public hearings as are necessary prior to the adoption of the final g Operating Budget. 10 NOW, THEREFORE, BE IT RESOLVED by the Board of Directors of the 11 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 City l* Clerk of the City of Carlsbad entitled "City of Carlsbad, California 1990- I.5 91 Operating and 1990-91 to Buildout Capital Improvement Program Budget" l6 as amended in accordance with Exhibit A attached hereto and incorporated l7 by reference herein, shall be and the same is hereby adopted as the final 18 19 20 21 22 23 24 25 Operating and Capital Improvement Program Budgets for the Carlsbad Municipal Water District for the fiscal year 1990-91. 3. That the amounts reflected as estimated revenues for fiscal year 1989-90 are hereby adopted as the final budgeted revenues for 1989-90. 4. That the amount designated as 1990-91 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. 26 5. That the following controls are hereby placed on the use and 27 transfers of budget funds: 1 a. No expenditure of funds shall be authorized unless 2 sufficient funds have been appropriated by the City Council or City 3 Manager as described below. 4 b. The City Manager may authorize all transfers of funds from 3 account to account within any department. 6 C. The City Manager may authorize transfers of funds between 7 departments within the same fund in an amount up to $15,000 per transfer. 8 d. The City Manager may authorize the expenditure of funds for g various purposes in amounts up to $15,000. Any expenditure of funds in 10 excess of $15,000 will be governed by Section 3.28 of the Municipal-Code. 11 e. The City Council must authorize all transfers of funds from 12 the budgeted Contingency Account. 13 f. The City Council must authorize any increase in the number 14 of authorized permanent personnel positions above the level identified in 15 the final Budget. The City Manager may authorize the hiring of temporary 16 or part time staff as necessary, within the limits imposed by the controls 17 listed above. 18 90 The City Manger may approve the change orders on public 19 works contracts in amounts up to $15,000, if sufficient appropriated funds 20 are available. 21 /I/ 22 I// 23 /// 24 I// 25 /// 26 I// 27 I// 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 lunicipal Water District Board of Directors held on the 19th day of June , 1990, by the following vote, to wit: Board Members Lewis, Kulchin, Pettine, Mamaux and Larson AYES: NOES: ABSENT None . . None 6. That all appropriations for outstanding encumbrances as of June 10, 1990 are hereby continued into 1990-91 for such contracts and obligations. PASSED, APPROVED AND ADOPTED at a regular meeting of the Carlsbad iTTEST: &ktL R.Rh \LETHA L. RAUTENKRANZ, Secretarg (SEAL) , * PROGRAM: WATER DISTRIBUTION FUND: WATER DISTRICT DEPARTMENT: CARLSBAD WATER DISTRICT PERSONNEL MAINTENANCE OPERATION CAPITAL OUTLAY GRAND TOTAL POSITIONS WORK PROGRAM: 1987-88 I 1988-89 ACTUAL ACTUAL $ 1.264‘625 $ 1,298,986 3,521,341 4,189,OOO 11,362,258 14.601,877 $16.1&3~24 / $20,08;;863 EXHIBIT "A" 1989-90 1990-91 BUDGET BUDGET $ 801,967 $ 1,996,398 3,078.691 5,428,050 5.902,880 12,035.750 $ 9,783,538 1 $ 19,460,198 31 I 35 Provide all services required for the acquisition, storage and distribution of the potable and reclaimed water supplies to consumers within the District's service area. PROGRAM: ADMINISTRATION FUND: WATER DISTRICT DEPARTMENT: CARLSBAD WATER DISTRICT PERSONNEL MAINTENANCE OPERATION CAPITAL OUTLAY GRAND TOTAL $ 3.589.737 $ 4,251.964 POSITIONS 6.0 6.8 1987-88 1988-89 ACTUAL ACTUAL $ 269,998 $ 241,964 3.310.741 0 3,950.500 59 ) 500 1989-90 1990-91 BUDGET BUDGET $ 148,506 s 394,942 2.978.631 5.169.350 34,000 40.Q00 $ 3,127,137 $ 5.604,292 6.6 6.6 . WORK PROGRAM: Monitor the activities of the District to ensure compliance with all of the District's administratlve policies. These activities include accounting, cash management and public education. PROGRAM ACTIVITIES: PERFORMANCE OBJECTIVES: Accountinq: Conduct the accounts payable/ 1. Maintain an investment portfolio that meets the receivable, payroll, and cash management functions Dfstrtct's cash flow needs, and outperforms the of the District. return of U.S. Treasury securities. Risk Hanaqement: Administer property and liability insurance policies through the Association of California Aqcncies/,loint Powers Insurance Authority, including claims settlement. Pub1 ic Education: Provide a wide variety of programs and assistance includfng customer newsletters, water conservation materials. and educational programs within Carlsbad schools. 1. Do not exceed the average years's expenses for property and liability insurance claims ($Z,SOO/ year). 1. Develop a public education program that includes various activities throughout the year, not only during the sumner months. SIGNIFICANT CHANGES: None. PROGRAM: ENGINEERING FUND: WATER DISTRICT DEPARTMENT: CARLSBAD WATER DISTRICT 1987-88 1988-89 1989-90 ACTUAL ACTUAL BUDGET PERSONNEL s 404,806 $ 404.437 $ 250,955 MAINTENANCE OPERATION 29,000 24.500 6.000 CAPITAL OUTLAY 13,100 5,025 44.000 GRAND TOTAL $ 446,906 $ 433,962 $ 300,955 POSITIONS 7.4 a.4 a.4 7 1990-91 BUDGET S 597.478 7,500 a,opo $ 612.976 9.4 WORK PROGRAM: Perform the complete range of in-house engineering services. Primary responsibilities are plan checking. inspection, mapping and some facility design. PROGRAM ACTIVITIES: PERFORMANCE OBJECTIVES: Plan Checkinq: Review and correct plans submitted for developments within the District's service area to ensure compatibility with approved specifications. 1. Maintain a two week turnaround time for plan checking of private developments. Happinq: Develop computer-based mapping system. 1. Create a mapping book of the potable water system for use by Operatlons personnel. SIGNIFICANT CHANGES: None. PROGRAM: OPERATIONS FUND: WATER DISTRICT DEPARTMENT: CARLSBAD WATER DISTRICT 1987-88 1988-89 1989-90 1990-91 ACTUAL ACTUAL BUDGET BUDGET PERSONNEL $ 589,823 $ 652,585 $ 402,506 $ 1.003,978 MAINTENANCE OPERATION 181,600 214,000 94,060 251,200 CAPITAL OUTLAY 142,200 192,975 110,750 110,750 GRAND TOTAL s 917.773 $ 1,023,060 $ 607,316 s 1.365.928 POSITIONS 15 16 16 19 WORK PROGRAM: Conduct all activities associated with the operations and maintenance of the water system. PROGRAM ACTIVITIES: PERFORMANCE OBJECTIVES: Operations: Continuously monitor and adjust facilities within the District's distribution system to ensure availability of an adequate water supply that meets all applicable standards. 1. Respond and investigate all customer complaints normally within two hours and not more than one working day. Construction/Maintenance: Repair existing and install new facilities with the least amount of 1. Provide water service where disruptions do not normally exceed more than eight hours. water-service disruption. Safety: Training employees and making available materials, supplies and training necessary to provide a safe working environment for all. 1. Reduce worker's compensation claims from the previous year (3). SIGNIFICANT CHANGES: Improving reliability of the water distribution system with the creation of a valve maintenance program. “YlU”“““” rUrPPPrr u + 8 w ‘3 . s2 :: e a a : : : i 4 1 ! il : 1 a : a : : 0 : : E : ii : : : : I a : 1 if a : : : : a : 3 a I ’ I * I a . a 1 I I Ii II I l I : 1 a a : I a : a B f a I: ii : H 1 B a e I: YYYYYYY YYYYYYY QPPOOOO 8 ~~~k~~p~~~~ E RT! x A R 5: R Nn R