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HomeMy WebLinkAbout2021-06-08; Municipal Water District; Resolution 1655RESOLUTION NO. 1655 A RESOLUTION OF THE BOARD OF DIRECTORS OF THE CARLSBAD MUNICIPAL WATER DISTRICT, ADOPTING THE WATER DISTRICT'S FINAL OPERATING BUDGET AND CAPITAL IMPROVEMENT PROGRAM FOR FISCAL YEAR 2021-22 AND ESTABLISHING CONTROLS ON CHANGES IN APPROPRIATIONS FOR BUDGET FUNDS WHEREAS, the Board of Directors of the Carlsbad Municipal Water District has reviewed the proposed final Operating Budget and Capital Improvement Program for Fiscal Year (FY) 2021- 22 and has held such public hearings as are necessary prior to the adoption of the final 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 City Clerk of the City of Carlsbad, entitled "Fiscal Year 2021-22 Preliminary Operating Budget, Strategic Digital Transformation Investment Program and Capital Improvement Program," presented at the regular City Council meeting on May 18, 2021 as Exhibit 2 to Item No. 8, as amended, if necessary, in accordance with Attachments A and B attached and incorporated by reference, are adopted as the final Operating and Capital Improvement Program Budgets for the Carlsbad Municipal Water District for the FY 2021-22 along with any program options and/or adjustments determined by the Board of Directors as set forth in the minutes of the Board of Director's meeting of Tuesday, June 8, 2021. 3.That the amounts reflected as estimated revenues for FY 2021-22 are adopted as the budgeted revenues for FY 2021-22. 4.That the amounts designated as FY 2021-22 Budgets in Attachments A and B are appropriated to the fund for which they are designated, and such appropriation shall not be increased except as provided in this resolution. .5, That total appropriations may only be increased or decreased by the Board of Directors by passage of a resolution amending the budget except as provided in this resolution. June 8, 2021 Item #11 Page 170 of 336 6. That the following controls are placed on the use and transfer of budget funds: A. No expenditure of funds shall be authorized unless sufficient funds have been appropriated by the Board of Directors or Executive Manager as described below. i.The Executive Manager may authorize all transfers of funds from account to account within the same fund. ii.The Executive Manager may authorize budget adjustments involving offsetting revenues and expenditures; the Executive Manager may authorize increases in an appropriation for a specific purpose where the appropriation is offset by unbudgeted revenue which is designated for said specific purpose. iii.The Executive Manager may authorize increases in purchased water appropriations in an amount equal to the same percent that water sales exceed the amount of the original revenue estimate. iv.The Executive Manager may authorize budget adjustments to increase the appropriation for the Workers' Compensation and Risk Management Funds' operating budgets in an amount equal to the increases in costs of estimated claims expenses. v.The Executive Manager may authorize budget adjustments to increase the appropriation for unforeseen legal expenses and liabilities. vi.The Executive Manager may delegate the authority to make budget transfers. B. 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. 7. That all appropriations for outstanding encumbrances as of June 30, 2021 are continued into FY 2021-22 for such contracts and obligations. June 8, 2021 Item #11 Page 171 of 336 8.That interest earned on grants may be appropriated during the year for the purpose for which the grant was received. 9.That all appropriations for Capital Improvement Projects remaining unexpended at June 30, 2021, are appropriated for such capital projects for FY 2021-22. 10.That all appropriations in the Strategic Digital Transformation Investment Program remaining unexpended at June 30, 2021, are appropriated to FY 2021-22 in their respective Innovation Fund or project budgets. PASSED, APPROVED AND ADOPTED at a Joint Special Meeting of the City Council of the City of Carlsbad, the Board of Directors of the Carlsbad Municipal Water District, the Board of Directors of the Carlsbad Public Financing Authority, the City of Carlsbad Community Development Commission, and the City Council of the City of Carlsbad as Successor Agency to the Carlsbad Redevelopment Agency held on the 8th day of June, 2021, by the following vote, to wit: AYES: Hall, Blackburn, Acosta, Bhat-Patel, Schumacher. NAYS: None. ABSENT: None. MATT HALL, President frI- BARBARA ENGLESON, Secretary (SEAL) 0, 914/i.4// ..... • (...) a June 8, 2021 Item #11 Page 172 of 336 Project Name District Score Funding ID Funding Source Prior Appropriation Year 1 (2021-22) Year 2 (2022-23) Year 3 (2023-24) Year 4 (2024-25) Year 5 (2025-26) Year 6-10 (2027-31) Year 11-15 (2032-36) Total Funding Source Abandon Potable Services (New Recycled Services) Multiple Districts Medium 52051 WATER REPL Aviara Parkway and Plum Tree Waterline District 2 Low 19021 WATER REPL Carlsbad Boulevard Waterline Replacement at Terramar District 2 Critical 50481 WATER REPL Carlsbad Water Recycling Facility (Encina Capital Projects) District 3 Critical 52031 WATER REPL 52032 RECL REPL Carlsbad Water Recycling Facility Irrigation and Landscape District 3 Low 52131 RECL REPL Carlsbad Water Recycling Facility Roof Replacement District 3 Low 47491 RECL REPL Cathodic Protection Program Multiple Districts Critical 50071 WATER REPL College Boulevard - Cannon Road To Badger Lane (375 Zone)District 2 Medium 50131 WATER CONN College Boulevard - Cannon Road To Badger Lane (490 Zone)District 2 Medium 50121 WATER CONN Crestview Drive Transmission Main District 2 Low 50331 WATER REPL Desalinated Water Flow Control Facility No. 5 District 2 High 50381 WATER CONN Fire Flow Capacity System Improvements Multiple Districts High 50431 WATER REPL Hydroelectric Generation at Water Facilities District 2 Medium 50591 WATER CONN Limited Access Pipeline Relocation Program Multiple Districts Critical 50351 WATER REPL Maerkle Facility Improvements District 2 Critical 50091 WATER REPL Maerkle Reservoir Floating Cover Replacement District 2 Critical 50361 WATER REPL Maerkle Reservoir Transmission Main District 2 Medium 50011 WATER REPL Normally Closed Valve (Install Motorized Valve)District 2 High 50501 WATER REPL Orion Center District 2 High 35722 WATER REPL 35725 RECL REPL Palomar Airport Waterline Realignment District 2 High 50551 WATER REPL PoinsettiaLane-CassiaRoadto SkimmerCourt(ReimbursementAgre.. District 3 Medium 50451 WATER CONN 1,925,825---500,000500,00050,000-866,1751,742,000 1,100,500-----900,500200,000- 5,080,000-----1,650,0001,000,0002,430,000 599,944-------109,446709,390 7,336,7101,300,0001,200,000200,000310,000320,000315,0001,460,0002,231,710 175,000-------175,000 225,000------225,000- 2,906,700280,000260,000190,000190,000190,000190,000180,0001,426,700 1,095,000-----844,817-809,8171,060,000 1,460,000-----1,160,000-790,0001,090,000 800,000-----500,00060,000240,000 10,104,300------7,950,0002,154,300 2,174,000---264,000100,000100,000-1,710,000 2,275,000-----1,875,000200,000200,000 4,940,000----1,000,0002,000,000-1,940,000 2,235,200-------2,235,200 11,032,844-------2,022,15613,055,000 6,330,000----4,557,0001,000,000-5,557,0006,330,000 485,000-------485,000 6,789,409------139,0106,650,399 2,715,600------55,6002,660,000 1,750,000------750,0001,000,000 Carlsbad Municipal Water District: 15-year Capital Improvement Program Project Schedule Attachment AJune 8, 2021 Item #11 Page 173 of 336 Project Name District Score Funding ID Funding Source Prior Appropriation Year 1 (2021-22) Year 2 (2022-23) Year 3 (2023-24) Year 4 (2024-25) Year 5 (2025-26) Year 6-10 (2027-31) Year 11-15 (2032-36) Total Funding SourcePalomarAirportWaterline Realignment District 2 High 50551 WATER REPL Poinsettia Lane - Cassia Road to Skimmer Court (Reimbursement Agre..District 3 Medium 50451 WATER CONN Pressure Reducing Station Program Multiple Districts Critical 50201 WATER REPL Rancho Carlsbad Groundwater Supply District 2 Low 19621 WATER CONN 19622 WATER REPL Recycled Water Condition Assessment Program Multiple Districts Critical 52111 RECL REPL Recycled Water Line - Carlsbad Water Recycling Facility to Agua Hedionda Lagoon Multiple Districts Critical 50271 WATER REPL 50272 RECL WATER Recycled Water Phase 3 - Pipelines Multiple Districts Critical 52081 WATER REPL 52082 RECL WATER Recycled Water Phase 3 - Reservoir District 3 High 52101 WATER REPL 52102 RECL WATER Recycled Water Pipeline Replacement District 2 High 19541 RECL REPL Recycled Water Valve and Appurtenance Replacement Program Multiple Districts Critical 52121 RECL REPL Reservoir Repair and Maintenance Program Multiple Districts Critical 50241 WATER REPL San Luis Rey Mission Basin Groundwater Supply Multiple Districts Low 50441 WATER CONN 50442 WATER REPL Santa Fe II Inlet Pipeline Null High 50571 WATER REPL Santa Fe II Reservoir Site Electrical Improvements District 2 Medium 50461 WATER REPL SCADA Improvements Multiple Districts Critical 55422 WATER REPL 55423 RECL REPL Tri-Agency Water Transmission Pipeline Replacement District 2 High 50081 WATER REPL Valley and Magnolia Complete Streets District 1 High 60192 WATER REPL Water Infrastructure Condition AssessmentProgram Multiple Districts Critical 50511 WATER REPL 600,000-------600,000 12,462,0003,000,0003,000,000600,000600,000600,000600,000600,0003,462,000 1,750,000-1,425,000---125,000200,000- 1,750,000-1,425,000---125,000200,000- 1,490,000310,000280,00050,00050,00050,00050,00050,000650,000 1,632,594-------1,632,594 3,417,406-------3,417,406 2,497,529-------2,497,529 21,256,331-------21,256,331 980,000-------980,000 3,120,000-------3,120,000 6,110,0002,910,0002,150,000350,000350,000350,000--- 1,830,000700,000630,000-120,000-120,000-260,000 14,490,0003,610,0003,070,000--1,960,000--5,850,000 8,577,5002,500,0005,500,000---300,000200,00077,500 8,577,5002,500,0006,000,000-----77,500 2,865,000-----2,370,000-495,000 33,581-------116,419150,000 10,155,600---610,5002,412,5003,209,2001,858,1002,065,300 2,394,000---398,000337,600631,500381,500645,400 6,455,000-----2,836,030-2,836,0306,455,000 71,000-------71,000 June 8, 2021 Item #11 Page 174 of 336 Project Name District Score Funding ID Funding Source Prior Appropriation Year 1 (2021-22) Year 2 (2022-23) Year 3 (2023-24) Year 4 (2024-25) Year 5 (2025-26) Year 6-10 (2027-31) Year 11-15 (2032-36) Total Funding Source Valley and Magnolia Complete Streets District 1 High 60192 WATER REPL Water Infrastructure Condition Assessment Program Multiple Districts Critical 50511 WATER REPL Water Loss Monitoring Program Multiple Districts High 50521 WATER REPL Water Modeling Multiple Districts Low 50581 WATER CONN Water System Rehabilitation and Replacement Multiple Districts Critical 39041 WATER REPL Water Valve Repair/Replacement Program Multiple Districts Critical 50191 WATER REPL 8,170,0002,480,0002,250,000420,000420,000410,000410,000400,0001,380,000 1,700,000500,000500,000100,000100,000100,00050,000-350,000 425,000---25,00025,00025,00050,000300,000 62,028,36621,080,00019,890,0003,000,0003,000,0002,800,0002,690,0001,730,0007,838,366 21,500,0005,650,0005,110,000960,000960,000960,000940,000930,0005,990,000 June 8, 2021 Item #11 Page 175 of 336 PUBLIC WORKS |  UTILITIES: POTABLE WATER OPERATIONS  Account:  5016310  Fund:  Enterprise  ABOUT  To ensure that drinking water is available on demand and customers can rely on receiving safe, high  quality water that meets all regulatory health standards, the Carlsbad Municipal Water District staff  provides ongoing maintenance and repair of the following: nine storage reservoirs or tanks, 455 miles  of pipeline, 17 pressure zones, 71 pressure regulating stations, three pumping stations, 14,369 valves,  4,441 fire hydrants and 30,320 potable meters. CMWD purchases potable water from its wholesale  water provider, the San Diego County Water Authority.  SERVICES  Operation of infrastructure, including reservoirs, pressure regulating stations, pump stations, transmission and distribution pipelines, valves, meters, and other apparatus Delivery of safe drinking water and fire flow demand Meeting the many health, safety and environmental regulations of water operation Compliance with State and Federal drinking water standards for sampling and reporting Tank cleaning and required maintenance on potable reservoirs Water conservation education and outreach and leak detection studies, conservation rebate programs, and compliance with conservation laws Participation and coordination with other water agencies and the San Diego County Water Authority 2018‐19 Actual 2019‐20 Actual 2020‐21 Budget 2021‐22 Budget Personnel Services Salaries & Wages $2,269,516 $2,459,473 $2,536,130 $2,906,467 Retirement Benefits 998,851 569,526 586,725 635,085 Health Insurance 602,867 515,622 419,940 508,263 Other Personnel Expenses 118,918 118,885 80,675 128,488 Personnel Services Subtotal 3,990,152 3,663,506 3,623,470 4,178,303 Operating Expenses Professional & Contract Services 7,162,939 7,345,483 8,659,800 8,534,600 Supplies & Materials 23,564,467 23,299,719 26,133,700 27,412,700 Repair & Maintenance 242,174 185,173 538,050 452,050 Interdepartmental Charges 2,453,099 2,663,442 2,744,695 2,969,197 Other Operating Expenses 5,222,567 8,581,187 4,407,150 4,274,370 Capital Outlay 79,968 20,567 20,000 0 Operating Expenses Subtotal 38,725,214 42,095,571 42,503,395 43,642,917 TOTAL EXPENDITURES $42,715,366 $45,759,077 $46,126,865 $47,821,220 Full Time Positions 29.80 30.30 29.50 30.55 Hourly/FTE Positions 0.50 0.50 0.45 0.20 Attachment B June 8, 2021 Item #11 Page 176 of 336   RECENT ACCOMPLISHMENTS    Commenced implementation of the recently completed Potable Water Master Plan   Commenced implementation of the new supervisory control and data acquisition, or SCADA,  system approved in the recently completed SCADA Master Plan    Completed tank maintenance and cleaning on three potable reservoirs   Completed a five‐year sanitary survey with State Water Resources Control Board   Completed sampling for UCMR 4, or the fourth Unregulated Contaminant Monitoring Rule    Completed the draft Urban Water Management Plan Update and Emergency Action Plan for  two jurisdictional dams   Completed three reservoir tank cleanings   Installed ammonia tanks at Maerkle Reservoir for disinfection   Completed painting of the Santa Fe tank    Completed 1.1 miles of potable water main replacement as part of the Segment 5 project   Replaced potable water pipeline crossings for the Buena Outfall project along Palomar  Airport Road    Completed the first phase of citywide water valve replacement at 18 sites    Completed a five‐year water main condition assessment plan    GOALS | OBJECTIVES | PRIORITIES   Continue to optimize asset management by increasing the use of technology to improve and  manage the infrastructure system more efficiently and effectively, thereby minimizing costs  while continuing to provide high levels of service at acceptable risk   Meet all federal and state water quality objectives   Meet or exceed the American Water Works Association benchmark for combined utilities for  pipeline breaks of 3.4 to 19.4 breaks per 100 miles of pipeline; CMWD’s break rate is 5.7 for  fiscal year 2019‐20   Meet or exceed the American Water Works Association benchmark for combined utilities for  pipeline leaks of 4.3 to 21.7 leaks per 100 miles of pipeline; CMWD’s leak rate is 12.8 for  fiscal year 2019‐20   Update the cost of service study and present updated rates to the CMWD Board of Directors   Continue to meet or exceed operational requirements and benchmarks   Work with the Department of Water Resources and the State Water Resources Control  Board on implementation of SB606 and AB1668, which requires the setting of agency water  use efficiency standards, performance measures and variances.     2021 Lead and Copper sampling to meet the requirements of the new Lead and Copper Rule   Complete the 2021 Urban Water Management Plan and final Emergency Action Plan for two  jurisdictional dams   Perform maintenance cleaning of 4 potable water storage tanks   Complete the Poinsettia 61 pressure regulating station    Initiate the second phase of citywide water valve replacement at 20 sites    Initiate construction of the Palomar Airport Waterline Replacement project, water main  replacements in the downtown and coastal areas, and one new pressure regulating station  and replacement of two existing stations      June 8, 2021 Item #11 Page 177 of 336   PUBLIC WORKS |  UTILITIES: RECYCLED WATER OPERATIONS          Account:  5026310  Fund:  Enterprise    ABOUT  The Carlsbad Municipal Water District provides ongoing treatment, maintenance and repair of the  recycled water system’s Carlsbad Water Recycling Facility treatment plant, three storage tanks, four  pump stations, three pressure reducing stations, five pressure zones, 95 miles of pipelines, 815 valves  and 961 meters. CMWD’s Cross‐Connection Control and Backflow program ensures a safe supply of  drinking water by preventing cross‐contamination from the recycled system into the potable system,  in accordance with federal and state regulations. CMWD also purchases and delivers recycled water  from the Vallecitos Water District’s Meadowlark Water Reclamation Facility.     The Carlsbad Water Recycling Facility treatment plant is located next to the Encina Wastewater  Authority Treatment Plant. CMWD takes wastewater from that plant and treats it to the State of  California Title 22 recycled water quality standards, and then delivers that water to customers for  irrigation and certain industrial uses. This effort reduces the amount of wastewater that would  normally be released by the wastewater treatment plant into the ocean outfall, reduces dependence  on imported drinking water, and provides customers with a reliable local supply of recycled water.  Recycled water is not subject to state water conservation requirements.    In fiscal year 2021‐22, CMWD will continue to use technology to improve and manage the system  more efficiently and effectively. The recycled water system is relatively new at approximately 30  2018‐19 Actual 2019‐20 Actual 2020‐21 Budget 2021‐22 Budget Personnel Services Salaries & Wages $849,549 $1,036,826 $1,164,750 $1,279,473 Retirement Benefits 447,110 247,059 266,750 290,484 Health Insurance 126,154 135,911 189,792 212,783 Other Personnel Expenses 47,768 48,756 37,022 57,315 Personnel Services Subtotal 1,470,581 1,468,552 1,658,314 1,840,055 Operating Expenses Professional & Contract Services 2,183,790 1,180,930 1,958,200 2,045,680 Supplies & Materials 1,462,839 2,783,276 2,376,300 3,084,500 Repair & Maintenance 20,923 34,144 103,243 68,943 Interdepartmental Charges 520,537 591,195 682,619 837,662 Other Operating Expenses 3,656,891 3,618,150 3,789,982 2,226,950 Capital Outlay 27,277 11,183 15,000 0 Operating Expenses Subtotal 7,872,257 8,218,878 8,925,344 8,263,735 TOTAL EXPENDITURES $9,342,838 $9,687,430 $10,583,658 $10,103,790 Full Time Positions 11.95 12.20 13.00 13.30 Hourly/FTE Positions 0.00 0.00 0.05 0.10 June 8, 2021 Item #11 Page 178 of 336   years of age. CMWD has an opportunity to begin implementing Supervisory Control and Data  Acquisition, or SCADA, and asset management techniques on a relatively young system, thereby  minimizing the total cost of owning these assets while continuing to provide high levels of service at  acceptable risk.    SERVICES   Operation of infrastructure, including the Carlsbad Water Recycling Facility plant, reservoirs,  pressure regulating stations, pump stations, pipelines, valves, meters and other elements   Treatment of wastewater to meet State of California Title 22 recycled water requirements   Meeting the many health, safety and environmental regulations of recycled water   Maintenance of infrastructure   Delivery of recycled water   Water quality testing   Backflow testing    Recycled water conversion program     RECENT ACCOMPLISHMENTS    Began implementation of the 2019 Recycled Water Master Plan   Began implementation of the 2019 SCADA Master Plan   Began pre‐build activities for the recently completed design of a 1.5 million‐gallon storage  tank   Expanded the recycled water system with completion of 7.5 miles of recycled water pipeline  and related appurtenances to serve an estimated 77 customers   Completed Carlsbad Water Recycling Facility motors and pumps rehabilitation   GOALS | OBJECTIVES | PRIORITIES   Commence construction of a 1.5 million‐gallon storage tank   Meet all federal and state water quality objectives   Meet or exceed the American Water Works Association benchmark for pipeline breaks for  combined utilities (3.4 to 19.4 breaks per 100 miles of pipeline); CMWD’s break rate was 0  for fiscal year 2019‐20 and is 0 for fiscal year 2020‐21 through March 2021   Meet or exceed the American Water Works Association benchmark for pipeline leaks for a  combined utility (4.3 to 21.7 leaks per 100 miles of pipeline); CMWD’s leak rate was 0 for  fiscal year 2019‐20 and is 0 for fiscal year 2020‐21 through March 2021   Update the cost of service study and take updated rates to the City Council   Continue to meet or exceed operational requirements and benchmarks   Complete Segment 5 retrofit conversions    June 8, 2021 Item #11 Page 179 of 336