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HomeMy WebLinkAbout1997-06-10; Municipal Water District; 367; Refund from CWA & Metropolitan Water DistrictAB# 862 TITLE: APPROVAL OF DISTRIBUTION OF MTG. 6-l O-97 REFUND FROM CWA AND DEPT. CMWD METROPOLITAN WATER DISTRICT Pii~ (3 1 f- CARLSBh MUNICIPAL WATER DISTRZT - AGENDA BIL RECOMMENDED ACTION Adopt Resolution No. approving disbursement of funds received as a refund from the 976 San Diego County Water Authority. ITEM EXPLANATION The Metropolitan Water District (MWD) Board of Directors voted on January 14, 1997, to refund to its member agencies $70 million in excess revenue collections from fiscal year 199596. The San Diego County Water Authority’s share of this refund was $18,975,613. MWD provided several options for agencies to receive the refund. These options included cash, credits to water bills, or a flexible credit account. The funds were received by the Authority on January 30, 1997. Authority staff recommended to the Authority Board that it adopt a resolution authorizing a member agency pass-through of the funds as a cash refund. Authority member agency shares of the refund were determined using a methodology similar to that used by MWD which reflected each agency’s proportional contribution to total water sales revenue, readiness-to-serve (RTS) charges, and standby charges for 199596. Carlsbad Municipal Water Districts share of this refund is $688,340.96. There are three options for disbursing or using this refund: 1. 2. 3. The first option would be to credit each of the District’s 18,100 customer accounts. The credit would be per unit of water (748 gallons) and would be calculated by dividing the total refund amount of $688340.96 by the total amount of water used in the District during the billing month immediately prior to the credit being given. This results in a credit amount per unit which is estimated to be from $1 .I0 to $1.20 depending upon the actual amount of total water usage in the District. The more water used District wide, the less the credit per unit amount and vice versa. The credit amount per unit would then be multiplied by the customers water usage during the previous month and reflected as a credit on the customers utility bill. The second option would be to deposit all of the money into the Districts Capital Replacement Fund. It could then be used to offset some replacement construction costs such as the present lining and covering of Maerkle Reservoir or any other replacement project requiring the use of replacement funds. (Because this money came from an existing customer base, the money cannot be used for m capital expansion projects. Those types of projects are funded by the connection fee imposed on new water customers.) A third option would be to deposit all of the money into the District’s Rate Stabilization Account to be used for offsetting future water rate increases from the Metropolitan Water District and/or the County Water Authority. However, the money being refunded was collected in 199596 fiscal year and the beneficiaries of the refund under this option would include future water customers. Additionally, offsetting future rate increases one year will cause a larger increase the following year in order for customers to “catch-up” to the new rates. The Rate Stabilization Fund should be used to offset only one time”spikes” in the rates. Page 2 of Agenda Bill ha &y This agenda item was presented to the Water Commission at its regular meeting of May 21, 1997. . Staffs recommendation to the Commission was to return the money to the customer, as per Option #I. The Commission was concerned that administrative difficulties and resultant costs for Option #I would be too great and therefore, is recommending the Board approve depositing the money into the Capital Replacement Fund (Option #2). However, staff believes that the steps necessary to refund the money to the customer will not result in extraordinary administrative costs. Therefore, staff is still recommending the return of the entire amount to the customer through the credit per unit option (Option #I). Returning the funds directly back to the water customer follows the original intent of both the County Water Authority and the Metropolitan Water District when voting to send the money back to the retail agencies. FISCAL IMPACT The Carlsbad Municipal Water Districts share has been received from the Water Authority. Option #I would return the total $688840.96 to the water customer. Option #2 would result in the deposit of the entire $688340.96 refund into the District’s Capital Replacement Account. Option #I8 would result in the deposit of the entire $688340.96 refund into the District’s Rate Stabilization Account. EXHIBITS: 1. Resolution No. 7% . 2. Memorandum from the San Diego County Water Authority dated February 14, 1997. . To: Member Agencies RE: Distribution of Excess Revenues from MWD. Please find enclosed a check for the portion of your refund from the Metropolitan Water District. If you have any questions regarding this issue, please contact me at (619) 682-4244. Sincerely, Cash Management Analyst Assistant MEMBER AGENCIES CUES IRRIGATION DISTRICTS WATER DlnRlCTS MUNICIPAL WATER DISTRICTS . 3.1 A.... . ~ _; _ . I.:. jrci c .” Sor.0 Fe - I: 52, . HeI I . DO” . C.iLd . i,-,.r2 . me:-:: . J:*:. . i;- Cega . ‘,‘,,.; . hn D,epL~ro . a ienk%n . In;;-CP >cr.- * ‘Wi.,..,, - %JIC D.m * \E c; Cr-wr COUNTY . ?o,ccw. . ‘1.-a PUBLIC UTILITY DISTR!CI FEDERAL AGENCY .’ . i-: :r- -. . Pe*&,e. y.8 ‘ir” se!c~.olxc- - 2-c. -‘:- ZLPEQ 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 RESOLUTION NO. 976 RESOLUTION OF THE BOARD OF DIRECTORS OF THE CARLSBAD MUNICIPAL WATER DISTRICT APPROVING THE DISTRIBUTION OF REFUND FROM CWA AND METROPOLITAN WATER DISTRICT WHEREAS, the Metropolitan Water District Board of Directors voted to refund to its member agencies $70 million dollars in excess revenue collections from fiscal year 1995 96; and, WHEREAS, the San Diego County Water Authority’s share of this excess revenue collections was $18,975,6 13; and, WHEREAS, the San Diego County Water Authority Board of Directors passed a resolution disbursing those excess revenue collections to its member agencies using a methodology which reflected water sales revenue, readiness-to-serve (RTS j charges and stand-by charges for fiscal year 1995-96; and, WHEREAS, the Carlsbad Municipal Water District’s share of these excess revenue collections amount to $688,340.96; and, WHEREAS, the Carlsbad Municipal Water District Board of Directors has reviewed several options on the disbursement of these excess revenue collections; NOW, THEREFORE BE IT RESOLVED that the Board of Directors of the Carlsbad Municipal Water District hereby approves the disbursement of the District’s share of those excess revenue collections in accordance with Option #l whereby the money will be returned to the customers of the District as a credit on each customer’s utility bill. Ill Ill G \LIBRARYlADMIN\WORD\RESOLUT~ON FOR DISDURSEMENT OF REFUNDS DOC . 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 the regular meeting of the Carlsbad Municipal Water District held on the 10th day of June , 1997, by the following vote, to wit: AYES: Board Members Lewis, Finnila, Kulchin, and Hall NOES: None ABSENT: Board Member Nygaard ATTEST: ojId.cLk 5i?Gzm * ‘J ALETHA L. RAUTENKRANZ, Secretary \ G \I.IBRARYIADMIN\WORD\RESOLU’~lON FOR DISBURSPMENI OF REFUNDS WC 4