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07 - Employee Handbook Update Costa Mesa Sanitary District &an Independent Special District Memorandum To: Board of Directors Via: Scott Carroll, General Manager From: Anna Sanchez, Administrative Service Manager Date: April 15, 2014 Subject:Employee Handbook Summary The District is in the process of compiling information to submit to the Special District Leadership Foundation in an effort to renew the District’s District of Distinction certification. A part of the renewal process requires the District submit a copy of Board action as it pertains to the review of the Employee Handbook. Staff Recommendation The Board of Directors forward this item to the Regular Board meeting in April for adoption via resolution. Analysis The existing Employee Handbook was last adopted in June 2012. At the time of adoption, the Board authorized the General Manager to make any administrativechanges that were necessary to remain in compliance with current Federal, State, and Local laws. Any changes to the Employee Handbook that increased levels of compensation or benefits were required to be presented before the Board for approval and adoption. Since that time, the Board of Directors has reviewed the Employee Handbook on multiple occasions, with the last review and approval in September 2013, where the Board reviewed and adopted a revised Standby Policy. Since the Board’s initial adoption in June 2012, the following changes have been made to the Employee Handbook: Protecting our communitys health and the environment by providi www.cmsdca.gov Board of Directors April 15, 2014 Page 2 of 4 AddedWelding CertificatePremium Pay -went to the Board for approval April 2013. The District currently compensates field staff personnel for earning their CWEA (California Water Environment Association) certificates at a rate of 1.5% of their base pay. The welding certificate premium pay was added to compensate field staff for earning a welding certificate in order to performing welding services in the event the District needed them. To date, no one from the field staff hasearned their certificate for welding. Revised Nepotism Policy . This policy was revised in order to more clearly define the nature of a personal relationship and what are appropriate and non-appropriate work relationships. The intent of the revised policy is the District may avoid favoritism, the appearance of favoritism, conflicts in loyalty, discrimination, the appearance of impropriety, and/or conflicts of interest in employment decisions. Added Deferred Compensation/ 457(b) Plan Loan Program- went to the Board for approval April 2013. This program allows eligible plan participants the ability to borrow funds from their plan account balance. The program allows participants the ability to accesstheir supplemental retirementfunds that are not otherwise available. Revised Drug andAlcoholAbuse and Contraband policyforDepartment Of Transportation compliance.The purpose of this policy is to outline the goals and objectives of the District’s drug and alcohol testing program and provide guidance to supervisors and employees concerning their responsibilities for carrying out the program.The District further expresses its intent through this policy to comply with federal and state rules, regulations or laws that relate to the maintenance of a workplace free from illegal drugs and alcohol. Redefined Exempt Employee . In an effort to further define and clarify the definition of an Exempt Employee under the public employer standard. The public employer standard for the Fair Labor Standards Actrequires public employers to develop and maintain a policy for partial-day absences.This is required in order to ensure partial day deductions are applied consistently throughout the organization because public employers are responsible to the public for their decisions and actions. Clarified and inserted section: Use of Executive Leave . In an effort to further define and clarify the use of Executive Leave for partial day absences by an Exempt employee. An Exempt employee may occasionallyalter their regularly assigned work schedule during a given work week asnecessary and as authorized by the General Manager. Any alterations that result in an absence from work for more than two (2) hours in a regularly scheduled work day shall require the employee to use accrued executive leave, vacation, or sick leave during the absence. Board of Directors April 15, 2014 Page 3 of 4 Clarified and inserted section: Unscheduled Leave . In an effort to further define and clarify Unscheduled Leave. Unscheduled Leave means an absence from work which is not requested and approved in advance. Upon the employee’s return from unscheduled leave, the supervisor will approve the use of appropriate paid leave only after having ascertained that the absence was for an authorized reason. However, the leave time will be classified and documented as unscheduled leave. Revised Standby Policy- went to the Board for approval in September 2013. This policy revision changed the standby schedule rotation so there is a more equitable distribution of work among the field staff. The revised Standby Schedule reflects a 7-day rotating schedule. Clarified and inserted section: Special Merit Adjustment . In an effort to further define and clarify a Special Merit Adjustment. Upon the recommendation of the Supervisor, the General Manager may authorize the advancement of an employee to a higher step of the salary range earlier than would normally be attained if exceptional performance warrants advancement. This special merit increase shall be approved by the General Manager. No salary advancement shall be made which will exceed the maximum rate established for the classification. The General Manager is responsible for final approvals for all District merit increases. As part of the submittal package to the Special District Leadership Foundation, the District is required to submit District Board action on the Employee Handbook in its entirety, within the last year. At the time of adoption, the Board elected to have matters of significant changes that impact compensation and benefits to be the only items brought before the Board for consideration. As such, staff believed it would be necessary to bring the updated Handbook, in its entirety, before the Board for review prior to submitting the District of Distinction application. Strategic Plan Element & Goal This item complies withthe objective and strategy of Strategic Element 5.0, Administrative Management, which states: “Objective:To create, maintain and implement policies and procedures to ensure sound management of the District.” “Strategy:We will conduct periodic reviews, refine and implement policies and procedures, and assure the General Manager has the direction and tools necessary for successful District operations.” Legal Review The Employee Handbook was developed in partnership with Liebert Cassidy Whitmore, the law firm the District currently seeks advisement from for personnel related matters. All Board of Directors April 15, 2014 Page 4 of 4 updates and revisions to the Employee Handbook have also been reviewed by Liebert Cassidy Whitmore prior to incorporation into the manual. Liebert Cassidy Whitmore is a leading law firm with offices based in southern California that specializes in public sector employment law. Environmental Review Updating the Employee Handbookis exempt from the requirements of the California Environmental Quality Act (CEQA) (Public Resources Code Section 21000 et. seq.). Section 15300.4 of CEQA allows an agency while establishing its own procedures “to list those specific activities which fall within each of the exempt classes”, and the District has adopted “CEQA Guidelines and Implementing Procedures” that state on page 6 “”Projects” does not include …. C. Continuing administrative or maintenance activities.” Financial Review Not applicable Public Notice Process Copies of this report are on file and will be included with the entire agenda packet for the April 15, 2014Board of Directors study sessionat District Headquarters and on District's website. Alternative Actions 1.Refer the matter back to staff. AttachmentA:Employee Handbook COSTA MESA SANITARY DISTRICT EMPLOYEE HANDBOOK 2013 Revised March 2014 COSTA MESA SANITARY DISTRICT EMPLOYEE HANDBOOK TABLE OF CONTENTS RULE 1GENERAL PROVISIONS ..........................................................................1 1.1Authority.....................................................................................................1 1.2Purpose.....................................................................................................1 1.3Application.................................................................................................1 1.4Scope........................................................................................................1 1.5Severability................................................................................................1 1.6Appointing Authority...................................................................................1 1.7Dress Code................................................................................................2 RULE 2DEFINITION OF TERMS........................................................................... 4 2.1Terms........................................................................................................4 RULE 3POSITION CLASSIFICATION................................................................... 8 3.1Purpose.....................................................................................................8 3.2Classification of Positions..........................................................................8 3.3Preparations and Content of Class Specifications.....................................8 3.4Interpretation of Class Specifications........................................................9 3.5Amendment...............................................................................................9 3.6Allocation of Positions................................................................................9 3.7New Positions............................................................................................9 3.8Reclassification..........................................................................................9 RULE 4COMPENSATION & BENEFITS............................................................... 9 4.1Purpose.....................................................................................................9 4.2Preparation of Plan....................................................................................9 4.3Administration of Plan................................................................................9 4.3.1Rates of Pay..............................................................................................9 4.3.2Entrance Salary.......................................................................................10 4.3.3Merit Salary Adjustments.........................................................................10 4.3.4Movement To A Higher Classification......................................................10 4.3.5Movement To A Lower Classification.......................................................10 4.3.6Transfer...................................................................................................10 4.3.7Part-Time And Temporary Employees....................................................10 4.3.8Acting Pay................................................................................................11 4.3.9Provisional Employees............................................................................11 4.4Standby Policy.........................................................................................11 4.5Salary Administration...............................................................................13 4.5.1General Policy.........................................................................................14 4.5.2Merit Increases –Part-Time Employees..................................................14 4.5.3Merit Increases –Full-Time Employees...................................................14 4.6Salary Range Adjustments......................................................................15 4.7Partial Pay Period Pay.............................................................................15 4.8Payroll......................................................................................................15 4.8.1Payroll Direct Deposit Program................................................................15 i 4.8.2Payroll Withholding Allowance.................................................................16 4.8.3Time Cards, Core Hours and Adjustments..............................................16 4.9Overtime..................................................................................................16 4.9.1Authorization............................................................................................17 4.9.2Eligibility For Overtime.............................................................................17 4.9.3Overtime Compensation..........................................................................17 4.9.4Pre-Approval of Overtime........................................................................17 4.9.5Use of Compensatory Time-Off...............................................................17 4.9.6Compensation For Overtime At Termination...........................................17 4.10Benefits....................................................................................................17 4.10.1Retirement...............................................................................................17 4.10.2Insurance.................................................................................................18 4.10.3Paid Time Off...........................................................................................18 4.10.4Employee Assistance Program (EAP).....................................................27 4.10.5Deferred Compensation/457(b) Plan.......................................................27 4.10.5.1Deferred Compensation/457 (b) Plan Loan Program..............................27 4.11Family Care And Medical Leave..............................................................29 4.12Reasonable Accommodation...................................................................43 4.13Work Hours..............................................................................................44 4.13.1Hours of Work..........................................................................................44 4.13.2Meal And Rest Periods............................................................................44 4.14Leave of Absence With Pay....................................................................44 4.14.1Employee Requested Leave of Absence Without Pay............................44 4.15Tuition Reimbursement Policy.................................................................44 4.16Sewer Crew Employees Maintenance Premium Pay...............................45 RULE 5RECRUITMENT AND SELECTION......................................................... 46 5.1Purpose...................................................................................................46 5.2Nature of Selection Procedures...............................................................46 5.3Selection And Appointment.....................................................................46 5.4Applications And Applicants....................................................................46 5.4.1Announcements.......................................................................................46 5.4.2Application Forms....................................................................................46 5.4.3Disqualification.........................................................................................46 5.4.4Pre-Employment Screening.....................................................................47 5.5Examinations...........................................................................................47 5.5.1Nature And Types Of Examination..........................................................47 5.5.2Open Competitive Examination...............................................................47 5.5.3Promotional Examination.........................................................................48 5.5.4Continuous Examination..........................................................................48 5.5.5Scoring Examinations And Qualifying Scores..........................................48 5.5.6Notification Of Examination Results, Review Of Papers, and Examination Appeal.....................................................................................................48 5.6Employment Lists....................................................................................48 5.6.1Preparation And Availability.....................................................................48 5.6.2Duration Of Lists......................................................................................48 5.6.3Removal Of Names From List.................................................................49 5.7Methods Of Filling Vacancies..................................................................49 5.7.1Types Of Appointments...........................................................................49 ii 5.7.2Notice To Personnel Officer.....................................................................48 5.7.3Appointment............................................................................................49 5.7.4Provisional Appointment..........................................................................49 5.8Probationary Period.................................................................................49 5.8.1Objective of Probationary Period.............................................................49 5.8.2Regular Appointment Following Probationary Period..............................50 5.8.3Rejection Of Probationer.........................................................................50 5.9Performance Evaluation..........................................................................50 5.10Salary Ranges.........................................................................................50 RULE 6MEDIAL EXAMINATIONS....................................................................... 50 6.1Medical Examinations Required..............................................................50 6.2Physician.................................................................................................50 6.3Cost Of Exam..........................................................................................50 RULE 7OUTSIDE EMPLOYMENT....................................................................... 51 7.1General Provisions..................................................................................51 RULE 8NEPOTISM.............................................................................................. 51 8.1General Provisions..................................................................................51 8.2Definition..................................................................................................51 8.3Personal Relationships in the Workplace................................................52 8.4Employment of Relatives –Elected Officials...........................................52 RULE 9PERSONNEL FILES, REPORTS AND RECORDS.................................52 9.1Official Records.......................................................................................52 9.2Change Of Status Report........................................................................52 9.3Personnel File..........................................................................................52 9.3.1Content Of Personnel Files......................................................................52 9.3.2Access To Personnel Files......................................................................52 9.3.3Notifying District of Changes in Personal Information..............................53 9.3.4Reference Checks...................................................................................53 9.4Performance Evaluations.........................................................................53 RULE 10TRAINING................................................................................................55 10.1General Policy.........................................................................................55 10.2Orientation Of New Employees...............................................................56 10.3Time Of Training Periods.........................................................................56 10.4Types Of Training....................................................................................56 10.4.1In-Service Training...................................................................................56 10.4.2Out-Service Training................................................................................56 10.4.3Required Out-Service Training................................................................56 10.4.4Career-Related Elective Out-Service Training.........................................56 10.5Payment Of Training Expenses...............................................................56 10.5.1Approval Of Supervisor............................................................................56 10.5.2Required Out-Service Training................................................................56 10.5.3Career-Related Out-Service Training......................................................56 10.5.4Uncompleted Assignment........................................................................57 iii RULE 11TRANSFER, PROMOTION AND REHIRE..............................................57 11.1Transfer...................................................................................................57 11.2Promotions...............................................................................................57 11.3Rehire......................................................................................................57 RULE 12SEPARATION FROM SERVICE.............................................................58 12.1Discharge.................................................................................................58 12.1.1Discharge Procedure...............................................................................58 12.2Layoff.......................................................................................................58 12.2.1General Policy.........................................................................................60 12.2.2Notice Of Layoff To Employees...............................................................60 12.2.3Removal Of Names From Reinstatement Lists........................................60 12.2.4Employee Rights And Responsibilities....................................................61 12.2.5Appeals....................................................................................................61 12.2.6Resignation..............................................................................................62 RULE 13CONDUCT AND DISCIPLINE.................................................................62 13.1Employee Conduct Generally..................................................................62 13.2Improper Employee Conduct...................................................................62 RULE 14GRIEVANCE PROCEDURE....................................................................64 14.1Purpose...................................................................................................64 14.2Matters Subject To Grievance.................................................................64 14.3Matters Not Subject To Grievance...........................................................64 14.4Grievance Procedure...............................................................................65 14.5Conduct Of Grievance Procedure............................................................65 14.5.1Time Limits..............................................................................................65 14.5.2Freedom From Reprisal...........................................................................65 RULE 15HARASSMENT POLICY.........................................................................65 15.1Purpose...................................................................................................65 15.2Definition..................................................................................................65 15.3Policy.......................................................................................................66 15.4Procedure................................................................................................68 15.5Violation Of Policy....................................................................................70 RULE 16ZERO TOLERANCE INCIVILITY AND BULLYING POLICY..................70 16.1Policy.......................................................................................................70 16.2Incivility....................................................................................................70 16.3Bullying....................................................................................................70 16.4Training....................................................................................................71 RULE 17WORKPLACE VIOLENCE PREVENTION POLICY................................71 17.1Purpose...................................................................................................71 17.2Policy.......................................................................................................71 17.3Definitions................................................................................................72 17.4Prohibited Behavior.................................................................................72 RULE 18DRUG AND ALCOHOL ABUSE AND CONTRABAND POLICY............76 iv 18.1Purpose...................................................................................................76 18.2Policy.......................................................................................................76 18.3Definitions................................................................................................77 18.4Education.................................................................................................85 18.5Prohibited Activities.................................................................................85 18.6Discipline.................................................................................................86 18.7DrugAnd Alcohol Testing Of All Job Applicants......................................86 18.8Drug And Alcohol Testing Of EmployeesBased On ReasonableBelief...................................................................................87 18.9Appeal of Drug or Alcohol Test Result –Non-Safety Sensitive Employees ..............................................................................................88 18.10Inspection and Searches.........................................................................88 18.11Substance Abuse Policy for Safety Sensitive Employees.......................88 Appendix A Safety-Sensitive Employee (Function and/or Position)Classifications For Costa Mesa Sanitary District.............................................................94 RULE 19ELECTRONIC EQUIPMENT USE, SOCIAL MEDIA AND DISTRICT WEB PAGE98 ............................................................................................. 19.1District Computer, Internet Policy And Procedures..................................98 19.2Social Media Use...................................................................................102 19.3District Web Page..................................................................................105 RULE 20CELL PHONE ALLOWANCE POLICY.................................................105 20.1Purpose.................................................................................................105 20.2Overview................................................................................................106 20.3Compliance Procedures........................................................................106 20.4Use of Cell Phone by Non-Exempt Classifications During Off-Duty Hours.......................................................................................107 RULE 21VEHICLEAND FLEET SAFETY POLICY.............................................107 21.1Vehicle Use Policy.................................................................................107 21.2Fleet Safety Policy.................................................................................108 RULE 22TECHNOLOGY LOAN AND PROCUREMENT CARD..........................114 22.1Technology Loan Program....................................................................114 22.2Procurement Card Program...................................................................117 RULE 23INJURY, ILLNESS, HEAT ILLNESS PREVENTION AND EMPLOYEE ASSISTANCE PROGRAMS118 .................................................................. 23.1Injury & Illness Prevention Program.......................................................118 23.2Reporting On-The-Job Injuries..............................................................124 23.3Heat Illness Prevention Program...........................................................124 23.4Employee Assistance Program..............................................................129 RULE 24TRAVELAND PER DIEM......................................................................130 24.1Travel Reimbursement..........................................................................130 24.2Expense Reimbursement......................................................................136 RULE 25EQUAL EMPLOYMENT OPPORTUNITY.............................................136 v 25.1General Policy.......................................................................................136 RULE 26SERVICE AWARDS..............................................................................137 26.1Purpose.................................................................................................137 vi RULE 1 –GENERAL PROVISIONS Section 1.1:AUTHORITY. The following rules, policies, and procedures are promulgated under the authority of Title 1of the Operations Code of the Costa Mesa Sanitary District(“District”). This Employee Handbookshall be adopted and amended by resolution of the Board of Directors. Section 1.2:PURPOSE. The purpose of this Employee Handbook is to establish a system of personnel administration based on merit principles. These merit principles include: A. Recruiting, selecting, and advancing employees on the basis of their relative ability, knowledge and skills, including open consideration of qualified applicants for initial appointment. B. Providing equitable and adequate compensation. C. Training employees as needed, to assure high quality performance. D. Retaining employees on the basis of the adequacy of their performance, correctinginadequate performance and separating employees whose inadequate performance cannot be corrected. E. Assuring impartial treatment of applicants and employees in all aspects of personnel administration without regard to political affiliation, race, religion, color, sex, age, marital status, sexual orientation, national origin, or handicap and with proper regard for their privacy and constitutional rights as citizens. Section 1.3:APPLICATION. The provisions of these rules, policies and procedures shall apply to all offices, positions and employments in the services of the District. Section 1.4:SCOPE. This chapter is a compilation of rules, policies and procedures which govern and affect personnel administration for all employees of the District, pursuant to thepurposes outlined in Section1.2 herein, unless specified otherwise. The rules, policies,and procedures incorporated herein shall not preclude the development of internalrules, policies and operating procedures within the organizationnor the development of personnel or administrative policies and procedures governing the implementationof these rules, policies, and procedures. Section 1.5:SEVERABILITY. If any provision of these rules, policies, and procedures or the application of such provision to any person or circumstance shall be held invalid, the remainder of the rules, or the application of such provision to persons or circumstances other than those as to which it is held invalid, shall not be affected thereby. Section 1.6:APPOINTING AUTHORITY. As used in these Rules, the Appointing Authority shall be the GeneralManager or his/herdesignee(s). 1 Section 1.7:DRESS CODE. A.General Policy The Costa Mesa Sanitary District requires employees to always appear for work in attire that is “professional” and suitable for the work setting. This may vary slightly from one area to another depending on the nature of the work, exposure to the general public, customers, and the environment. Our appearance should always reflect what is appropriate for our job, work setting, and personal safety. This policy is intended to describe guidelineson what is considered appropriate dress for the workplace. These guidelines are not intended to be all-inclusive, but rather should help set the general parameters for appropriate attire, and allow employees to use good judgment and common sense about items not specifically addressed. However, the General Manager will have the discretion to make the final determination on what constitutes professional and suitable dress for the work setting in a particular situation. B.Personal Hygiene, Piercings andTattoos Personal appearance and hygiene play an important role in projecting a professional image in the community and to the customers we serve. Good personal hygiene is required. Clothing must be clean, pressed, in good condition and fit appropriately. Footwear must be appropriate for the work environment and functions being performed. Jewelry is acceptable except in areas or near equipment where it constitutes a health or safety hazard. Hair must be neat, clean and well groomed. If necessary for the functions being performed, long hair must be secured (tied back to prevent potential for being caught in equipment).(No artificial hair colors e.g. pink, green, etc. that would be deemed unprofessional). Sideburns, mustaches and beards must be maintainedin a neat and well- groomed fashion. Clothing must not interfere with the safe operation of equipment. No objects, articles, jewelry or ornamentation of any kind shall be attached to or through the skin if visible on any body part including the tongue orany part of the mouth except that an employee may wear one or two sets of reasonably-sized earrings in the ear lobes. Any non-conforming piercing shall be removed, covered with a bandage, or replaced with a clear, plastic spacer. Tattoos that are obscene,sexually explicit, discriminatory as to sex, race, religion or national origin, extremist, gang-related, and/ordiminish the effectiveness of the employee’s professionalismmust be covered, and not visible to staff, customers or visitors. No tattoos are allowed anywhere on the head, face, or neck. 2 Any non-conforming tattoos must be covered with clothing or a bandage while at work or removed. If an employee has a question about how the piercing or tattoo policy applies to them, the matter should be immediately raised with their supervisor for consideration and determination. C.Professional Business Office Attire The intent of professionalbusiness attire is to ensure that personnel are dressed appropriately to meet with the public at a moment’s notice.While jackets are not required for women, they do have the effect of creating a professional appearance. For men, they do not need to be worn the entire day but should be availableto wear to meetings outside of District offices.Footwear should be selectedaccording to the type of work performed, keeping safety, comfort, and professional appearance in mind. Athletic shoes, tennis shoes, and hats are not permitted. Sample professional business attire for men include: a business suit with tie o dress pants o collared button down dress shirt without a tie o polo-type shirt o dress shirt worn with a tie o Appropriate footwear for men includes wing tips, loafers, or rubber o sole shoes with socks Sample professional business attire for women include: dresses or suits with either skirts or slacks o skirt or dress slacks o dressy blouse and/or sweater o Appropriate footwear for women includes heels, loafers, or rubber o sole shoes D.Field Staff Attire Employees whose primary District responsibility is in the field, or whose regular job duties include physical lifting may wear appropriate casual clothing (including jeans) at all times. District purchased shirts must be worn at all times while on duty. Additionally, all personal safety equipment must be worn at all times, including steel toed boots and reflective vests. Hats that are not obscene, sexually explicit, discriminatory as to sex, race, religion or national origin, extremist, gang-related or that diminish the effectiveness of the employee’s professionalism may be worn to protect employees from sun exposure. E.“Safety” Steel-Toed Boots/Shoes Guidelines: Steel-toed boots/shoes must meet the requirements of the American Society for Testing and Materials (ASTM) standards F2412-05 and F2413-05 for Personal Protection-Protective Footwear. Approved footwear must include toe protection (steel), impact and compression protection, and a shank/arch support. 3 Cleaning, care, and proper upkeep (polish, oil, laces, etc.) of the safety boot/shoe shall be the responsibility of the employee.Premature failure of the safety boot/shoe, requiring repair or replacement, shall be the sole responsibility of the employee. Failure to purchase appropriate safety footwear, or to wear approved safety boots/shoes during the work day and keep them free of safety related defects shall constitute grounds for disciplinary action. Reimbursement: Each Costa Mesa Sanitary District employee required to wear “safety” steel-toed boots/shoes, shall receive reimbursement of up to $150.00 every 18 months, when boots are in need ofreplacement. Reimbursement shall only be granted when the District is provided proof of purchase. F.Casual Friday The District recognizes the growing popularity of casual business dress and the positive effects of this shift to boost employee morale, improve quality, encourage more open communication and increased productivity, therefore, creating a more comfortable work environment. Therefore, the District employs a “Casual Friday” policy, wherein our employees are welcome to wear workplace appropriate jeans (no rips, tears or stains), and running shoes (no rips, tears or stains). While Casual Friday allows our employees to dress in a more casual fashion, employees should take into account the necessity to continually conduct themselvesin a professional fashion, and dress in such a way that will not create a negative perception by customers, either internal or external. RULE 2 –DEFINITION OF TERMS Section 2.1:TERMS .Terms used in these rules are defined as follows: ALLOCATION means the assignment of an individual position an appropriate classification on the basis of the type, difficulty and responsibility of the work performed in the position. As used in this Employee Handbook, employees are appointed to positions, andpositionsare allocated to classes. ANNIVERSARY DATE means the date recurring yearly upon an employee's regular appointment or date of hire. APPOINTING AUTHORITY means the GeneralManager is the appointing authority. APPOINTMENT means the employment of a person in a position. Types of appointment include: Original Appointment means the person's first appointment as a District employee. Provisional Appointment means the employment of a person to a vacant position for no more than a six month period for emergency orin interim conditions. The 4 GeneralManager mayextend a provisional appointment for up to an additional six month period. Probationary Appointment means the probationary employment of a person in a regular position. A probationaryappointment is fora specified period during which job performance is evaluatedas the basis for consideration for regular appointment. Regular Appointment means the employment of a person in a regular position, following the successfulcompletion of a probationary period. Promotional Appointment means the probationary employment of an employee in a regular position following apromotion. Temporary Appointment means an employee hired into a position of limited duration or for completion of aspecific task or project without following the rules regarding recruitment andselection. Temporary employees serve at the pleasure of the appointingauthority and may be removed at any time without cause, notice or any right ofappeal. Temporary employees are not eligible for benefitsother than thoserequired by state or federal law. CERTIFICATION means the process whereby the Personnel Manageridentifies for an Appointing Authority eligible individuals who have successfully completed all qualifying requirements for appointment and appear on an employment list. CLASS means agroup of positions sufficiently similar in duties, responsibilities, authority and qualifications for employment to permit combining them under a single title and equitable application of common standards of selection and compensation. CLASSIFICATION PLAN means the designation of a title for each class together with the specification for each class as prepared and maintained by the Personnel Manager. CLASS SPECIFICATION means awritten description of a class setting forth factors andconditions which are essential characteristics of positions in that class. CONTINUOUS SERVICE means the employment without break or interruption of an employee having a probationary or regular appointment. DATE OF HIRE means the date of an employee's original appointment to the District. DISCHARGE means the involuntary separation of an employee from the service of the District. ELIGIBLE APPLICANT means aperson whose name is on an employment list. EMPLOYEE means aperson occupying a position.Types of employee include: At Will Employee means an employee serving at the pleasure of the appointing authority whocan be separated from employment for no cause. 5 Provisional Employee means an employee who has a provisional appointment to a vacant position pendingthe selection process as provided in Rule 5 for no more than a six monthperiod or, upon specific action by the GeneralManager, up to a second six monthperiod for a total provisional appointment of 12 months. Temporary Employee means an employee in a position of limited duration. Probationary Employee means anemployee who has a probationary appointment. Regular Employee means an employee who has successfully completed the probation period. Part-Time Employee means an employee who works less than full-time on a daily, weekly, monthly orannual basis. Full-Time Employee means an employee who works on a full-time basis on a daily, weekly, monthly orannual basis, as defined by organizationalworking schedules. Exempt Employee means an employee who meets one or more of the duties test exemptions from overtime under the FLSA (e.g. executive, administrative, professional, computer employee) and who is paid on a salary basis, meaning that he or she is compensated in a predetermined amount that is not reduced, regardless of the quality or quantity of work actually performed, except as required by the District’s principles of public accountability for partial-day absences. An FLSA-exempt employee is not subject to the requirementsof the Fair Labor Standards Actand is not entitled to overtime compensation, and is expected to work the number of hours ncecessary to meet the standards of job performance. Non Exempt Employee means an employee who is paid on an hourly basis and is subject to all Fair Labor Standards Act. OPEN EMPLOYMENT LIST means alist of names of persons who have taken an open competitive examination fora class and have qualified. EXAMINATION means any device or procedure used in the selection process to measure applicant abilitiesand suitability for a position including, but not limited to, oral interviews, written tests,performance tests, evaluation of performance during probation, and an evaluation ofeducation and experience.The types of examination processes include the following: Open Competitive Examination means an examination for a particular class which is open to all persons meeting theminimum qualifications for the class. HOURLY RATE means the amount paid to an employee for each hour worked. The hourly rate may be anyamount within a specific hourly wage range. 6 IMMEDIATE FAMILY means for the purposes of this Employee Handbook,an employee's father, mother, wife, husband, brother, sister, daughter, son, grandparents, grandchildren, brothers and sisters having one parent in common, and those relationships generally called "step," providing persons in such relationships have lived or have been raised in the family home and have continued an active family relationship. LAYOFF means the abolishment of a position or positions due to reorganization, reassignment, lack ofwork to be accomplished, or lack of funds. LEAVE means authorized or unauthorized absence from an employee's place of work. OVERTIME means time worked in excessof 40 hours in one workweek. PERSONNEL ACTION means any action taken with reference to appointment, compensation, promotion, transfer, layoff, dismissal, discipline, commendations or any otheraction affecting the status of employment. PERSONNEL MANAGER means the position so designated by the General Manager within the District's classification system. POSITION means acombination of current duties and responsibilities requiring the full- time, part-time ortemporary services of an employee. PROBATIONARY PERIOD means atrial period during which an employee is required to demonstrate his/her fitness for the actual performance of the assigned duties of the position. PROMOTION means the advancement of an employee from a position in oneclass to a position in another class havinga higher maximum rate of pay. REASSIGNMENT means the change of an employee from one class to another class which is not due to a significant change in kind, difficulty or responsibility of the work performed in the position. RECLASSIFICATION means a change in the classification level of an individual position by raising the levelto a higher class, reducing it to a lower class, or by moving it to another class at the same level on the basis of significant changes in kind, difficulty or responsibility of the work performedin the position. REDUCTION IN PAY means asalary decrease within the limits of the pay range established for a class. REGULAR POSITION means afull-time or part-time position authorized and funded in the District’sbudget. 7 RETIREMENTSERVICE means the voluntary separation of a regular employee from a regular position afterbecoming eligible for and applying to the Public Employees Retirement System for retirement benefits. RETIREMENT DISABILITY means the separation of an employee due to physical or mental inability to performthe duties of the position after an employee has become eligible for benefits under the Public Employees Retirement System. SALARY RANGE means the minimum, maximum and intermediate salary rates,or hourly wage rates which may be paid to an employee within a class. SEPARATION means the termination of an employee's employment with the District because of retirement,resignation, death or dismissal. SUPERVISOR means an employee with the responsibility of organizing, directing and evaluating the work of other employees. SUSPENSION means the temporary and involuntary separation for a specified period of time of an employee from a position for disciplinary purposes. TIME CARD means the document accounting an employee's actual work and leave hours in a payroll or work period. TRANSFER means achange of an employee from one position to another position in the same class or in acomparable class. VACANCY means an unoccupied regular position of non-limited duration for which funds have been authorized by the Board of Directors. RULE 3 –POSITION CLASSIFICATION Section 3.1:PURPOSE .The purpose of the classification plan isto provide a complete and continuous inventory of all classifications, to provide accurate job specifications and, to ensure that each position is allocated to the appropriate classification. Section 3.2: CLASSIFICATION OF POSITIONS. All positions in the District are grouped into classes. Each class includes those positionssufficiently similar in duties and responsibilities to require similar education, experience,knowledge, skills, abilities, and personal characteristics. Section 3.3: PREPARATIONS AND CONTENT OF CLASS SPECIFICATIONS. The Personnel Manager is responsible for preparing and maintaining class specifications for all positions. The specifications include, but are not limited to a list ofexamples of duties and a statement of qualifications required for appointment. 8 Section 3.4: INTERPRETATION OF CLASS SPECIFICATIONS. All class specifications describe typical duties that employees occupying positions in theclass may properly be required to perform. Class specifications are explanatory but not restrictive. The listing of particular tasks does not preclude the assignment of other tasks of related kind or character, or requiring lesser skills. Section 3.5: AMENDMENT. Notice of consideration of the proposed classification plan amendments or revisionsshall be provided to appropriate employees at least five calendar days before change. The General Manager may amend or revise the classificationplan asnecessary. Section 3.6: ALLOCATION OF POSITIONS .The General Manager will assign each position to one of the classes established by the classification plan. Section 3.7: NEW POSITIONS .When a new position is created, the classification plan shall be amended to include a class specification for the position if it is not allocated to an existing classification. The new position will be filled in accordance with Section 5.7. Section 3.8: RECLASSIFICATION .When the duties of the position have changed materially, the Personnel Manager mayrecommend to the General Manager the allocation of the position to a more appropriateclass. RULE 4 –COMPENSATION& BENEFITS Section 4.1: PURPOSE. The purpose of the compensation plan is to provide equitable and adequatecompensation for all employees.Employees at the District are paid pursuant to a pay system established by this Employee Handbook and pursuant to principles of public accountability. Section 4.2: PREPARATION OF PLAN. The Board of Directors may periodically modify the District's compensation plan. Thecompensation plan includes, for each class, a minimum and maximum salary or hourly rate andsuch intermediate rates as are considered necessary, as well as supplemental,retirement, insurance and related fringe benefit provisions. The rate or pay range assigned to eachclass shall fairlyreflect the differences in the duties and responsibilities among classes,and will take into account rates paid by other public employers for comparable work, theDistrict's policies and financial condition, unusual problems of recruitment and turnover,and other relevant factors. Section 4.3:ADMINISTRATION OF PLAN. Section 4.3.1: Rates of Pay. Each employee is paid a rate of pay within the salary range for the class in which he/she is employed. 9 Section 4.3.2:Entrance Salary. An employee is appointed at the minimum rate for the class, except when theGeneral Manager approves an appointment or reinstatement above the minimumrate. Authorization for appointment above the entrance rate must be obtainedfrom the General Manager. In reviewing such requests, consideration will be givento the candidate's unusually high qualifications, salary history, outstandingexperience, availability of other qualified candidates and the resulting salaryrelationships with similar positions. Section4.3.3:Merit Salary Adjustments . Employees may receive merit salary adjustments within the salary range applicable totheir class. The purpose of the merit salary increase is to recognize individual employee performance. Section 4.3.3.a: Special Merit Adjustments. Employees may receive a special merit adjustment at the discretion of the General Manager. Section4.3.4:Movement To A Higher Classification. When an employee is promoted or reassigned toa class having a higher salary range, the employee shall be paid at the entrance step of the assigned range. If the entrance step is the same or lower thanthe employee's current salary, the employee shall be paid at an intermediate rate within the range to bedetermined by the General Manager that will result in at least a 5% pay increase.Employees promoted to a higher classification shall change their anniversary date to coincide with the effective date of promotion. Section4.3.5:Movement To A Lower Classification. When an employee is reassigned to a class having a lower salary range, the employee shall be placed in the step of the lower salary range nearest to the employee's rate of pay.When an employee's position is reclassified to a class having a lower salary range, the employee shall retain the same rate of pay until such time that the assigned class has a maximum salary rate. Employeesreassigned or reclassified to a lower position shall have no changemade in their anniversary date. Section4.3.6:Transfer. When an employee is transferred from one position to another, or from one classification to another classification having the same salary range, the employee's pay and anniversary date shall remain unchanged. Section4.3.7:Part-Time And Temporary Employees .Whenever an employee works for a period less than the regular number of hours in a day, days in a week, weeks in a month, or months in a year, the amount paid shall be on an hourly basis unless otherwise provided for in the Compensation Plan. A.Permanent Part-time employees are those employees that have a regular part-time budgeted position at less than a full-time employee position, Permanent Part- time employees receive no benefits other than District paid employee and employer share of the California Public Employees Retirement System (CalPERS). No benefits includes no sick, vacation or holiday pay. B.Part-time employees are those employees that have a regular part-time budgeted position. However, budget funds are allocated and approved in the budget 10 allowing these part-time employees to be scheduled to work no more than an average 40 hours or less per pay period on an on-going basis. Part-time employees receive no benefits and are enrolled in Social Security. Part-time employees shall be enrolled in CalPERS after initially reaching 1,000 hours in a fiscal year. Part-time employees shall pay the employee’s share of PERS themselves. C.Employees hired on a permanent part-time basis shall be classified as part-time and specified as such on the Personnel Action Form. D.Employees designated as part-time employees shall be responsible for the employee contribution to PERS upon eligibility. The District will contribute the “employer rate” as determined by PERS. E.Upon enrollment in PERS, part-time employees are eligible to select medical benefits through the PERS medical program. Part-time employees are responsible for paying the health premiums. F.Part-time employees will not be simultaneously employed through the District payroll system and a professional services contract. Though part-time employees may be paid at different rates based on daily assignments, they must be in only one position in the payroll system. G.The total part-time employees hours will be reviewed in the annual budget and require GeneralManager approval. The PersonnelManager shall monitor approved hours during each pay period through payroll reports. H.The District Finance Managershall notify the PersonnelManager and General Manager when a part-time employee is projected to work past 1,000 hours in a fiscal year, prior to being enrolled in PERS. Failure to obtain General Manager approval will result in the initiation of separation paperwork for the part-time employee. I.Employee Status: Permanent Part-time and part-time employees serve “at the will” of the District and have no vested right to employment. Section4.3.8:Acting Pay. Acting for an uninterrupted period in a higherclassification or rank will be compensated at the rate of pay for that higher classification or rank according to the provisions of appropriate salary and benefits plan. Section4.3.9:Provisional Employees. Provisional employees shall be paid salary pursuant to their position's classification as outlined in the compensation plan. Provisional employees shall receive benefits as determined by the GeneralManager. Section 4.4. STANDBY POLICY. A.PURPOSE. The purpose of this policy is to establish administrative and procedural guidelines and ensure compliance with the Fair Labor Standards Act (FLSA) regulations regarding the 11 compensation of classified (non-exempt) employees who are required to perform duties during non-scheduled, non-regularhours. This policy applies to all classified employees who are required to be on standby and are called out to work in order to respond to emergencies during non-regular work hours. B.POLICY. The District will compensate employees who are required by the District to be on standby or respond to a call for service, which is received after normal working hours within a required response time. C.DEFINITIONS. 1.FLSA Requirements –According to the FLSA, employees who “…are not required to remain on their employer’s premises, but are merely required to leave word at their home or with company officials where they may be reached, are not working …” However, if employees are restricted and are effectively “engaged to wait” then compensation is required. Based on FLSA regulations, “…the requirement that an employee not report to work while under the influence of alcohol is a common requirement that does not trigger FLSA overtime.” 2.Standby Duty –Classified employees who are responsible for responding to emergency locations that occur after regular normal working hours from Mondayto Monday shall be considered on standby duty if memorialized in a writing or e-mail signed by the General Manager. D.PROCEDURE. 1.Scheduling a.Special assignment (as determinedby the employee supervisor or the General Manager) may be given to classified employees in order to make them available for work during non-regularly scheduled hours. b.Standby personnel may trade scheduled standby time with other employees only with prior approval of their supervisor or the General Manager. 2.Responsibilities a.Standby personnel shall wear a cellular phone for District communication purposes during the entire standby period. b.While on standby duty, personnel shall immediately answer his/her cellular phone and respond if necessary. 12 c.If standby personnel are required to respond to an incident the employee shall notify his/her supervisor of their arrival at the location. d.Standby personnel must not be under the influence of alcohol and/or be on prescription and/or over the counter medication that would impair his/her ability to perform call out duties. If the employee is taking prescription medication(s), he/she will provide a doctor’s note to his/her supervisor that releasesthe employee to work while taking the prescription medication. e.Standby personnel must be located (while driving in District or private vehicle) within one-hour travel time distance of District boundaries while on standby duty. Such one-hour responsetime shall take into account the day of the week and time of day for gauging a one- hour response time. E.COMPENSATION. 1.Standby Pay –For each day on standby duty, employee will be paid a flat rate of $50.00 per day. If the employee is called for advice or called out during the standby period, the employee receives “Phone Advice Pay or Call Out Pay” in addition to Standby Pay. 2.Phone Advice Pay –Standby personnel handling incidents by the phone during a standby period will be paid at his/her regular hourly rate of pay for a minimum of one hour for each hour he/she is required to be on the phone to troubleshoot or otherwise provide phone advice. Personnel shall be entitled to one full hour’s pay at straight time for any hour in which he is required to be on the phone for such purposes. Said phone advice pay is in addition to standby pay. 3.Call Out Pay a.If standby personnel are “called out” during a standby period, they will be compensated in accordance with overtime for the hours worked during the “call out,” with the clock starting at the time of the call out and terminating upon clock out. b.Such call out pay is in addition to standby pay and any phone advice pay if personnel separately try to provide advice by phone to fix the problem but are then required to respond in person. 4.Failure to Respond If contact cannot be made with an employee who is on standby status or if that employee fails to perform the work required, that employee is ineligible for standby pay. 13 Section 4.5:SALARYADMINISTRATION. Section 4.5.1:General Policy .It isthe policy of the Costa Mesa Sanitary Districtto provide a systematic method foremployees to become eligible for advancement through salary schedules. Section4.5.2:Merit Increases --Part-Time Employees. Part-time employees shall be eligible for normal merit increases based uponsatisfactory performance following completion of an equivalent amount ofservice as required for full-time employees as shown in Section 4.4.3. Section4.5.3:Merit Increases--Full-Time Employees. A full-time employee shall be eligible for a merit increase based on their overall score on the employee’s annual performance evaluation. The overall score will be based on the 16 rating areas and the employee must receive the following points to receive a merit increase: 63 points to receive a one-step 5%merit increase 56 points to receive a 4% merit increase 49 points to receive a 2% merit increase Below 49 points not be eligible to receive an increase Supervisors must receive the following points to be eligible for a merit increase: 85.5 points to receive a one-step 5% merit increase 76 pointsto receive a 4% merit increase 66.5 to receive a 2% merit increase Below 66.5 points not be eligible to receive an increase. Points shall be awarded as follows: “Unsatisfactory,” one point; “Below average,” two points; “Competent,” three points; “Above Average, “four points; and “Superior,” five points. The 16 rating areas and total possible points in each area are as follows: Observation of hours-3 points Appearance-3 points Compliance with Rules and Regulations-3 points Safety Practices-3 points Attendance-3 points Job Knowledge-5 points Public Contacts-5 points Cooperation and Attitude-5 points Rate of Learning-5 points Efficiency-5 points Effectiveness Under Stress-5 points Dependability-5 points Innovativeness-5 points 14 Self-Improvement-5 points Initiative-5points Other: Report Writing, Equipment Maint/Care-5 points Supervisors will be rated in the following areas in addition to those areas listed above: Leadership-5 points Productivity-5 points Evaluating Subordinates-5 points Supervisory Abilities-5 points Encourages Suggestions-5 points Full-time probationemployees are eligible for amerit increase if he/she receives a performance evaluation score of 56 points or higher or 76points or higher for supervisors,after completing 12consecutive monthsof service in the new position, and upon the recommendation of thesupervisorand the approval of the GeneralManager. Eligibility forsubsequent merit increasesshall occur thereafter upon completion of 12 calendar months of employment andreceipt ofa minimum performance evaluation score of 49 points or higher or 66.5 points or higher for supervisors until the employee reaches the top step for his/her classification. Section 4.6:SALARY RANGE ADJUSTMENTS. Salary rangeadjustments are effective on the date specified bythe Board of Directors. Salary range adjustments are to be distinguished from merit salaryincreases, as they are not intended to give recognition to length and quality of service. The salary rate of an employee whose salary range is adjusted will be adjusted to the same relative position in the revised salary range. Section 4.7:PARTIAL PAY PERIOD PAY. Salaries for employees working less than a complete schedule in a pay period shall becomputed by multiplying the number of hours actually worked during the pay period bythe employee's hourly pay rate. Section 4.8: PAYROLL . Section 4.8.1: Payroll Direct Deposit Program A.POLICY. As a condition of employment, all employees are required to enroll in payroll direct deposit. Upon separation from employment with the District, the former employee will complete an exit interview with the Personnel Manager or General Manager and will receive the final payment with a physical paycheck. B.PROCEDURE. 15 1.Allemployees must sign up for direct deposit by completing and submitting the direct deposit enrollment form and a voided check to Accounting. 2.Paychecks will be electronically paid to an employee’s bank account through direct deposit and will commence on the firstpayroll after enrollment. 3.Upon separation and following the exit interview with the Personnel Manager or General Manager, the Personnel Manager shall authorize release of the final paycheck to the employee. Section 4.8.2: Payroll Withholding Allowance A.Every employee must furnish a signed federal withholding exemption certificate (Form W-4) and state Form DE4 on or before the date of employment in accordance with applicable Internal Revenue Code sections and state income tax code. Employees are permitted to amend the W-4 or DE4 once per calendar year quarter. Upon separation with the District, the employee will be permitted one last withholding adjustment. B.Employees shall submit completed W-4 or DE4 forms to Accounting for processing through payroll and will commence in conjunction with the normal payroll process and cycle. Section 4.8.3: Time Cards, Core Hours and Adjustments Each District employee submits time cards to their direct supervisorfor review and, in turn, to the Finance Managerfor entry into the electronic payroll system. A.The time cards are the official timekeeping documents for each employee and are subject to audit. Hours worked are entered on the time card according to code. Each employee is responsible for the accuracy of his/her time card, which must be signed and approved by his/her supervisor or the Personnel Manager. B.Duty hours are set for each employee, with flexibility to allow for minor variances. The duty hours consist of a core time of 7:30am to 4:30p.m. daily (except if the employee is on a flex schedule and is absent a full day) during which all employees are expected to be present and available for District service. A normal duty is an eight- hour or nine-hour workday, plus up to an hour for lunch. Every employee must take at least one-half hour for lunch every work day and is not allowed to skip lunch to make up lost time. C.Each employee has 60 days after the end of the pay period to correct any errors on his/her time card. Corrections must be requested as soon as discovered. The Personnel Manager will review each request for approval. After the 60-day period, no corrections or adjustments may be made on the time card which will be the official document of record of time worked during that payperiod. Section 4.9:OVERTIME. 16 Section 4.9.1:Authorization .All overtime shallbe authorized by the appropriate supervisor and recorded onthe employee's time card in accordance with state and federal law. Section 4.9.2:Eligibility For Overtime. TheGeneralManager shall determine which classifications are consideredeligible for overtime in accordance with state and federal law. Section 4.9.3:Overtime Compensation .Overtime compensation shall be paid in accordance with state and federal lawand according to the provisions of the appropriate salary and benefit plan. Section 4.9.4: Pre-Approval of Overtime .Classified (non-exempt) employees are not permitted to work overtime without pre-approval from their direct supervisor. Working overtime without pre-approval is grounds for discipline. . Section 4.9.5:Use of Compensatory Time-OffCompensatory time off can be taken only with the supervisor's approval and the General Manager’s concurrence.An employee may, with the Personnel Manager’s approval, accumulate compensatory time to be taken during subsequent pay periods. An unlimited amount of compensatory hours may be accumulated during the fiscal year for all eligible employees but any remaining balance will be paid off in full effective June 30of each year. Section 4.9.6:Compensation For Overtime At Termination. Any employee who terminates employment shall be paid at the employee'sregular rate of pay for all accrued. Section 4.10:BENEFITS. Section 4.10.1: Retirement. Employees do not pay into Social Security with the exception of 1.45% of gross income, which is paid into the Medicare portion of Social Security. The District maintains a contract with the Board of Administration California Public Employees’ Retirement System (CalPERS), subject to the Public Employees’ Retirement Law, Government Code sections 20000 et seq. (PERL). The percentage of final compensation to be provided for each year of credited prior and current service as a local miscellaneous member shall be determined in accordance with Government Code section 21354 (2% at age 55 Full,2% at age 60 Full, or 2% at age 62 Full). Employees hired after January 1, 2013 who are considered New Employees by CalPERS will be enrolled in CalPERS in a 2% at 62 plan. Employees hired after January1, 2013will pay his/her contributions to CalPERS, which is 50% ofthe Normal Cost, while the District will pay employer contributions, which varies from year to year. Employees hired after July 1, 2011 will be enrolled in CalPERS in a 2% at 60 plan. Employees hired after July 1, 2011 will pay his/her contributions to CalPERS, which is 7% of gross annual income,while the District will pay employer contributions, which varies from year to year. For employees hired before July 1, 2011, the District pays both the employee (7%) and employer (varies) contributions to CalPERS. The Personnel Manager maintains copies of the complete documentation for review. In 17 summary: A.To be eligible for service retirement, a member must be at least 50 years old and have five years of CalPERS credited service. There is no compulsory retirement age. B.The monthly retirement allowance is determined by age at retirement, years of service credit and final compensation. The basic benefit is 2% of final compensation for each year of credited service upon retirement at age 55,60, or 62. C.Final compensation is the average monthly pay rate during the last consecutive 12 months of employment. D.PRE-RETIREMENT DEATH BENEFITS. This benefit is a refund of the member’s contributions plus interest and up to six month’s pay (one month’s salary rate for each year of current service upto a maximum of six months). E.DEATH AFTER RETIREMENT. The lump sum death benefit is $500.00. F.TERMINATION OF EMPLOYMENT. Members who have separated from employment may elect to leave their contributions on deposit or request a refund of contributions and interest. Those who leave their contributions on deposit may apply at a later date for a monthly retirement allowance if the minimum service and age requirements are met. Members who request a refund of their contributions terminate their membership and are not eligible for any future benefits unless they return to CalPERS membership. Section 4.10.2: Insurance. The District offers medical, dental, vision and life insurance plans through a “Benefits Bucket.” Each employee receives the same “bucket” of funds to select and pay for desired benefits and levels of coverage –unused “bucket” funds are paid directly to the employee as additional compensation or can be used in a Deferred Compensation/457(b) plan. The current monthly bucket for an individual employee is $799.00.For employees with families (i.e. two or more dependents) the monthly bucket is $1,199.00. Section 4.10.3: Paid Time Off. A.HOLIDAYS.The District will observe the following holidays, including two eight-hour floating holidaysas paid time off.In the event any of the above holidays fall on Saturday, the preceding Friday will be observed. In the event any of the above holidays fall on Sunday, the following Monday will be observed. New Year’sDayLabor Day Martin Luther King DayThanksgiving (Thurs & Fri) Presidents DayVeterans Day Memorial DayChristmas Day th 4of July 18 B.VACATION.Regular full-time employees in the classified service with an average workweek of 40 hours shall receive annual vacations with pay in accordance with the following provisions: 1.After continuous full-time service amounting to one year or more, such employee shall have accrued paid vacation at the rate of 92 working hours per year.The maximum allowable vacation leave bank is 184 hours. 2.Upon completion of three years of continuous full-time service, but less than five years of continuous full-time service, such employee shall accrue 116 working hours per year.The maximum allowable vacation leave bank is 232 hours. 3.Upon completion of five years of continuous full-time service, but less than 10 years of continuous full-time service, such employee shall accrue 140 workinghours per year.The maximum allowable vacation leave bank is 280 hours. 4.Upon completion of 10 years of continuous full-time service, but less than 15 years of continuous full-time service, such employee shall accrue 164 working hours per year.The maximum allowable vacation leave bank is 328 hours. 5.Upon completion of 15 years of continuous full-time service such employee shall accrue 188 working hours per year.The maximum allowable vacation leave bank is376 hours. C.VACATION LEAVE. 1.Vacation leave taken shall not be in excess of the vacation leave actually earned at the time it is taken. Employees may be granted vacation leave as accrued from date of hire after six months of continuous full-time employment. 2.Employee requests to take annual vacation leave shall normally be requested and approved ahead of time through their supervisor, preferably with one or more weeks’ notice, with particular regard for the needs of the District service and due regard for the wishes of the employee. 3.In the event one or more municipal holidays fall within a vacation leave, vacation may be extended accordingly for those employees eligible for such holiday. 4.Any leave of absence without pay shall not accrue vacation leave for such absence. 5.At the end of the year, after receiving approval by the supervisor 19 and Personnel Manager, employees may cash out a maximum of 40 hours of vacation per calendaryear as long as the employee has a minimum of 80 hours accrued in the bank and has taken 40 hours of vacation in the same calendar year. 6.Upon termination, a permanent employee will receive compensation at his/her current rate for all unused earned vacation up to and including the date of termination. 7.Occasionally, significant unused vacation time can accrue leading to an excess balance of unpaid vacation time. The maximum amount of vacation time a full-time employee may accrue depends on the number of years of service and is given in the chart below. (The Personnel Manager shall maintain oversight of District vacation accruals.) Employees are expected to manage their own accrual of vacation leave. Hours shall not exceedthe maximum hours according to years of service otherwise, employees will be subject to mandatory vacation. AnnualVacationMaximum Allowable Years of ServiceAccrualVacation Leave Bank (hours)(hours) 1 to 292184 3 to 4116232 5 to 9140280 10 to 14164328 15 +188376 D.EXECUTIVELEAVE.Exempt employees will receive 40 hours each fiscal year of ExecutiveLeave. Balances in ExecutiveLeave hours cannot be carried over to proceeding years. Employees mustuse the 40 hours of ExecutiveLeave within the fiscalyearor they will forfeit the remaining balance. Employeescan cash out 20 hours of ExecutiveLeave hours at their current rate of pay, but must use or schedule 20 hours of ExecutiveLeave to be eligible for the cash out. 1.Use of Executive Leave. An Exempt employee may occassionally alter their regularly assigned work schedule during a given work week as necessary and as authorized by the General Manager. Any alterations that result in an absence from work for more than two (2) hours in a regularly scheduled work day shall require the employee to use accrued executive leave, vacation, or sick leave during the absence. E.SICK LEAVE. 1.Sick Leave Accumulation.Regular full-time employees earn and accumulate sick leave credit at the rate of 20% of the standard average 20 workweek for each full month of continuous service if the employee has worked or has been on authorized leave of absence with pay. An employee continues to earn sick leave while on any paid leave. An employee shall not receive payment for unused accumulated sick leave upon termination of employment or retirement (either disability or regular). An employee may not use sick leave to extend a retirement (either disability or regular) or termination date. This prohibition shall not affect an employee’sright to obtain sick leave credit with PERS . 2.Accounting Of Sick Leave Used.Each employee has one hour deducted from the employee's accrued sick leave time for each hour of sick leave taken. 3.Holiday During Sick Leave. In the event that a paid holiday occurs during a period when the employee is on sick leave, the holiday is not charged against the employee's accrued sick leave. 4.Use Of Sick Leave. An employee eligible for sick leave is granted such leave for the following reasons: a.Non-service-related illness,injuryor exposure to contagious diseaseto the employee or physical or mental incapacity of the employee due to non-service-related illness or injury. b.Medical or dental office or hospital visits for examinations, diagnosis, or treatmentto the extent such appointments cannot be scheduled outside the work day. c.Maternity-related disabilities as provided in Section 4.10.3.F. d.Serious illness or emergency of a member of the employee's immediate family member, who is incapacitated and/or requires the service of a physician, and when the presence of the employee is required. 5.Exclusions.No employee is entitled to sick leave while absent from duty on account of anyof the following causes: a.Sickness or injury sustained while on leave of absence without pay. b.Sickness or injury sustained from improper employee conduct as defined inSection 14.2herein. c.To permit an extension of the employee’s vacation. 21 Sick leave shall not be considered as a right which the employee may use athis or her discretion, but shall be allowed only in accordance with Section 4.10.3.E.4. 6.Proof Required.The supervisor will approve sick leave only after having ascertained that theabsence was for an authorized reason. When absence is for more than threework days or if abuse of sick leave is suspected, the supervisor mayrequire the employee to submit substantiating evidence including, but notlimited to, a physician's certificate. If the supervisorrequires the employee to submit substantiating evidence, the supervisorshallmake this requirement known to the employee as soon as possible. If thesupervisordoes not consider the evidence adequate,he/she willdisapprove the request for sick leave, and such time off will be considered aleave of absence without pay. In order for the employee to be eligible for paidsick leave, the Districtreserves the right to verify the reason for the use of sickleave by whatever means the District deems appropriate. 7.Exhaustion Of Sick Leave.In the event an employee uses all of the sick leave the employee has accrued,upon the approval of the supervisor, the employee may have any other paid leave days which the employee hasaccrued deducted for each day or portion thereof he/she is absent due toillness. This deduction will continue untilthe employee either returns to work or uses all his/her accrued leave time.With the concurrence of the General Manager, the supervisor may, pursuantto Section 4.10, allow the employee to take a leave of absence without pay if theemployee does not have any paid leave time or sick leave remaining to his/hercredit. E.PENALTY FOR SICK LEAVEABUSE. 1.The District’s successful operation depends in large part upon the attendance of each of its employees. Employees have an important job that fits into a pattern of service. Unnecessary and unexcused absences, therefore, are undesirable because they affect not only operations but the way in which fellow employees are able to do their jobs. It is important, too, to have a uniform attendance policy to avoid any misunderstandings regarding attendance expectations. 2.Any unapproved absence may constitute cause for disciplinary action, up to and including discharge from employment. 3.Abuse of Sick Leave and Excessive Absenteeism: If it appears thatan employee is abusing sick leave or using sick leave excessively, the employee will be counseled that continued use of sick leave may result in a requirement to furnish a medical certificate for each such subsequent absence for sick leave regardless of duration. Continued abuse of leave or excessive use of sick leave constitutes grounds for dismissal. 22 a.“Abuse of sick leave” means the misrepresentation of the actual reason for taking sick leave, using sick leave for unauthorized purposes, failure to report sick leave, and may include chronic, persistent or patterned use of sick leave. b.“Excessive absenteeism” is a level of absence, other than protected leaves, that significantly disrupts the work of the District. Absenteeism may be excessive even where the employee remains able to draw upon accrued leave accounts. An employee may be considered excessively absent when he/she has used an above-average amount of unscheduledleave(40 hours or more), excluding any protected leaves. 1.UnscheduledLeavemeans an absence from work which is not requested and approved in advance. Upon the employee’s return from unscheduledleave, the supervisor will approve the use of appropriate paid leave only after having ascertained that the absence was for an authorized reason. However, the leave time will be classified and documented as unscheduled leave. If the reason for the absence was not authorized, the employee may be subject to disciplinary action, as outlined in Rule 13 of the Employee Handbook. 4.The Personnel Manager shall have the authority to request a medical report substantiating any illness for a return to work report, provided privacy laws are observed. When, in the judgment of the Personnel Manager, the employee's reasons for being absent are inadequate, and/or not consistent with the eligibility requirements for use of sick leave, he/she shall change the payroll time report to indicate the absence was leave without pay. In addition, the employee is subject to disciplinary action. F.MATERNITY LEAVE.Absence caused or contributed to by pregnancy, miscarriage, abortion, childbirth and recovery therefrom, are, for all job related purposes, to be considered temporary inability to work. Accrued sick leave may be used prior to birth for childbearing or related circumstances (e.g. miscarriage, abortion or recovery there from) as needed. Following birthand end of any period of disability, accrued sick leave may be used for a period not to exceed six weeks. 1.Pregnancy Disability Leave Without Pay. A pregnant employee shall be entitled to unpaid leave for up to threemonths where the employee is disabled by pregnancy, childbirth or related medical conditions, or up to six weeks of leave for a normal pregnancy so long as the employee’s attending physician certifies that she is physically unable to work due to pregnancy or a pregnancy-related condition. Leave may be taken intermittently or on a reduced work schedule when medically advisable, as determined by the employee’s health care provider. During saidleave of absence, the employee must first use accumulated sick leave. Upon request, and at the discretion of the employee, vacation or other earnedundifferentiated paid leave may be used during pregnancy disability leave.Employees receiving long-term disability may use 23 such leaves at theemployee’s option to make up the difference between long- term disabilitybenefits and the employee’s regular pay. 2.Certification Requirements.All pregnancy disability leave must be confirmed in writing, have an agreed-upon specific date of return, and be submitted to the Personnel Manager prior to being taken. Requests for an extension of leave must be submitted in writing to the Personnel Manager prior to the agreed date of return and must be supported by a written certification of the attending physician that the employee continues to be disabled by pregnancy, childbirth, or a related medical condition. 3.Work During Pregnancy.Female employees may continue working during pregnancy as long as theindividual, herphysician, and the supervisor concur in her ability towork, and the demands of the job are satisfied. Proof of the physician'sconcurrence must be submitted at regular intervals during the employee'spregnancy when requested by the supervisor. 4.Benefits During Leave.An employee on pregnancy disability leave may receive any group health insurance coverage that was provided before the leave on the same terms as provided to other employees who become disabled off-duty, if: 1) the employee is eligible for concurrent family medical leave; and 2) the employee has not already exhausted this 12-week group health insurance coverage benefit in the current family medical leave eligibility period. The District may recover premiums it paid to maintain health coverage, as provided by the family and medical leave laws, if an employee does not return to work following pregnancy disability leave. An employee on pregnancy disability leave who is not eligible to receive group health insurance coverage as described above, may receive health insurance coverage in conjunction with COBRAguidelines by making monthly premium payments to the District. 5.Return From Maternity Leave.Upon expiration of the approved leave, and the District’s receipt of a written statement from the health care provider that the employee is fit for duty, the employee shall be reinstated to her former position or to a comparable one if the former position is abolishedduring the period of leave and the employee would otherwise not have beenlaid off. The comparable position is one having similar terms of pay, location,job content and promotional opportunities. If the employee’s original position is no longer available, the employee will be assigned to an open position that is substantially similar in job content, status, pay, promotional opportunities, and geographic location as the employee’s original position. If upon return from leave an employee is unable to perform the essential functions of her job because of a physical or mental disability, the District will 24 initiate an interactive process with the employee in order to identify a potential reasonable accommodation. An employee who fails to return to work after the termination of her leave loses her reinstatement rights. Time off on pregnancy disability leave withoutpay by a probationary employee shall not be counted as part of the probation period. Failure to return to work after the authorized three-month period causes the pregnant employee to haveno reinstatement rights. G.BEREAVEMENT.In the event of a death in the employee's immediate family, a regular full-time employee shall be entitled, at the discretion of the General Manager, toone-fiveworking days off with pay to attend the funeral.The relatives designated shall include father, mother, wife, husband, brother,sister, daughter, son, grandparents, brothers and sisters having one parent incommon, and those relationships generally called "step," providing persons insuch relationships have lived or have been raised in the family home and havecontinued an active family relationship. To be eligible for bereavement leave, the employee must attend or make abona fide effort to attend the funeral. Bereavement leave is not compensable when the employee is on leave of absence, bona fide layoff, or for days fallingoutside the employee's regular work period.Bereavement leave is not chargeable against sick leave. H.JURY OR COURT LEAVE.While on jury duty or while appearing as a legally required witness, except inprivate cases not related to the employee's job, an employee will receive fullpay from the District. For purposes of payroll, an employee must obtain validationfrom the Jury Clerk of time spent on jury duty.An employee who is summoned must notify his or her supervisor or the General Manager as soon as possible after receiving notice of both possible and actual jury service and/or witness testimony.An employeereceiving witness fees or jury service fees, shall remit such fees to the Personnel Manager in order to be considered at work for payroll purposes during the time spent as such witness or serving on the jury. The employee is entitled to retain any mileage allowance the court pays. I.MILITARY LEAVE.Military leave shall be granted in accordance with the provisions of state and federal laws. Allemployees entitled to military leave shall give the supervisoran opportunitywithin the limits of military regulations to determine when such leave shall be taken. 1.Employees who are called or volunteer for services with the armed forces ofthe United States or the California National Guard shall be entitled to beconsidered for reinstatement in accordance with the provisions of these rules. 2.An employee promoted to fill a vacancy created by a person serving in thearmed forces shall hold such position subject to the return of the 25 veteran. Theemployee affected by the return shall be restored to the position he or she heldpreviously or any other equivalent position. 3.A new employee hired to fill a vacancy created by a person serving in thearmed forces shall hold such position subject to the return of the veteran. Theemployee affected by the return shall be placed in as nearly equal a vacant position as may exist, or if no such position exists, may be subject to layoff. 4.Reserve Duty.Employees who participate in a reserve unit of the armed forcesshall attempt to arrange time off for two-week assignments with the supervisorin advance of the scheduled drill. Such employees shallreceive their normal compensation during a two-week drill assignment. Weekend drills shall also be scheduled in advance if the employee is scheduled to work on weekends. J.WORKERS’ COMPENSATION.All employees of the District are covered by the workers' compensation laws of the State. The District is a member of the Special District Risk Management Authority (SDRMA). This Authorityestablishes procedures regarding employee notification of worker’s compensation benefits. The District shall provide to every new employee, either at the time of hire or by the end of the first pay period, the Written Notification of Medical Provider Network (MPN) and the “Well Comp Medical Provider Network” pamphlet in both Englishand Spanish. After an employee is injured, the employee shall immediately notify their designated Supervisor. The supervisor shall ensure necessary medical treatment is provided by either referring the employee to theDistrict’s Company Nurse program or calling the District’s Company Nurse on the employee’s behalf. The Company Nurse will provide the employee with the necessary treatment options available to him/her and provide instructions for any follow-up care. The injured employee or their designated representative shall receive and complete the employee portion of the Department of Workers Compensation form (DWC 1). If an employee declines to have medical treatment, they must complete the employee portion of the Declination of Medical Treatment and Declination of Medical Treatment Incident Form. All forms must be returned to supervisors within 24 hours of notification of a workplace illness or injury. Employees should retain a copy of all forms for their records. Supervisors must complete the employer portion of the (DWC 1) form. If the employee declines treatment, Supervisors must complete the employer portion of the Declination of Medical Treatment and Declination of Medical Treatment Incident Form. For employees requesting medical treatment, Supervisors must complete Form 5020 (Employer’s Report of Occupational Injury or Illness); write the employee’s name and incident date on the Treating Physician Checklist and print, sign, and date the initial treatment authorization. 26 All forms shall be completed within 24 hours of notification of a workplace injury or illness. Employees should take the Treating Physician Checklist and treatment authorization to the designated medical facility or pre-designated physician. In addition, Supervisors are required to complete the Supervisor Incident Form for any treated or untreated workplace injury or illness and mail it, along with indicated attachments to: York Insurance Services Group 313 East Foothill Blvd. Upland, CA 91786 Any employee who is eligible for temporary disability payments under the workers' compensation law shall, for the duration of such payments, receive only that portion of his/her regular salary which, together with said payments, will equal his/her regular salary. Unless otherwise advised in writing by the employee within a five-day period, such salarypayments made during a period of temporary disability payments shall be charged against the employee's accumulated sick leave or vacation leave. Should the employee's accumulated sick leave and vacation leave be exhausted, the employee shall be subject toa leave of absence without pay. In order for the employee to not endure an undue hardship caused by the time lag involved in temporary disability, the employee, at the discretion of the General Manager, may be paid his/her full salary to the extent of accumulated sick leave or vacation leave. Upon receipt of temporary disability payments, the employee shall endorse such payments to the District. After exhausting sick leave and vacation benefits,and while the employee continues to receive workers' compensation benefits, the District may collect from the employee the employee's costs of insurance and the District may pay the employer's cost of insurance. After the employee has exhausted sick leave and vacation benefits, the District will make no contributions to the retirement plan. Section 4.10.4:Employee Assistance Program (EAP). The District will sponsor an employee assistance program at no charge to all employees. Section 4.10.5: Deferred Compensation/457(b) Plan. The District will participate in a deferred compensation/457(b) Plan that will allow employees to supplement their retirement plan. The District will not make any contribution to an employee deferred compensation/457(b) Plan.However, employees may select to use the balance of their insurance bucket as contribution to their deferred compensation/457(b) Plan. Section 4.10.5.1: Deferred Compensation/ 457(b) Loan Program. A.PURPOSE. The District allows eligible plan participants the ability to borrow funds from their plan account balance.The program allows participants the ability to access funds that are not otherwise available. Repayment provisions for these loans ensures that participants replenish their accounts, thereby preserving their retirement savings. 27 B.LOAN TERMS. 1.Employees who are currently participatingin the District’s ICMA-RC Deferred Compensation Plan (457) are eligible to participate in this loan program. Loans will begranted solely for hardship circumstances. 2.A hardship is defined as being unable to meet certain specified financial situations. Examples include, but are not limited to, unreimbursed medical expenses, paying federal and/or state income taxes, paying for college education for dependents, outstanding debt (e.g. credit cards, college loan, etc.). 3.All 457 Plan loans must be coordinated with unforeseeable emergency withdrawals. The emergency withdrawal regulations under Section 457 of the Internal Revenue Code require that an emergency withdrawal be a resource of the “last resort.” By allowing eligible District participants to borrow against their plan account balance, a participant would be required to take a loan before taking an emergency withdrawal. 4.If the employee is separated from the District for any reason, all loans are due and payable in full as soon as the participant takes a withdrawal of any amount from the plan. Failure to repay the outstanding loan amount at the time it is due will result in foreclosure of the loan and ICMA-RC will report itas a taxable distribution in the year of the foreclosure. C.PROCEDURES. 1.A loan application must be completed, signed by the employee and approved by the District. Upon approval of the loan application, ICMA- RC will prepare loan documents and send them to the District, along with a check, for disbursement. The loan check will not be issued to the employee until the loan documents have been completed and signed. Loan documents include a promissory note evidencing the loan and disclosure statement, which includes an amortization schedule. 2.Employees are limited to one outstanding loan at a time through this program where the employee will be allowed to borrow up to 50% of the account balance, not to exceed $50,000. The minimum loan amount is $1,000. Loans must be repaid over a 5 year period through bi-weekly payroll deductions. 3.Once a loan is issued, the District’s payroll department must ensure that loan repayments are withheld from the employee’s paycheck each pay period, in the amount specified on the amortization schedule, until the loan is repaid in full. The District will NOT stop taking loan repayments from the employee’s paycheck until the loan 28 has been repaid in full. The District will ensure that deductions are not pre-taxed. Section 4.11:FAMILY CARE AND MEDICAL LEAVE. A.POLICY STATEMENT. Tothe extent not already provided for under current leave policies and provisions, the District will provide family and medical care leave for eligible employees as required by State and Federal Law. The following provisions set forth certain rights and obligations with respect to such leave. Rights and obligations which are not specifically set forth below are set forth in the Department of Labor regulations implementing the Federal Family and Medical Leave Act of 1993 ("FMLA"), and the regulations of theCalifornia Family Rights Act ("CFRA"). Unless otherwise provided by this article, "Leave" under this article shall mean leave pursuant to the FMLA and CFRA. NOTE: FMLA/CFRA Leave taken under this policy is separate and distinct from leave time taken under the California Pregnancy Disability Leave, which provides a maximum of four months of unpaid leave, with the employee's same or equivalent position being assured upon return, but with no employer-paid benefits provided during the leave; with the exception of the first 12 weeks when FMLA leave runs concurrently with California Pregnancy Disability Leave. B.ELIGIBILITY. An employee is eligible for FMLA/CFRA Leave if the employee: 1.Has been employed as a regular or extra help status District employee for at least 12 months of service at any time; and 2.Has been employed as a District employee and has actually worked for at least 1,250 hours during the 12-month period immediately preceding the date leave first begins; and 3.Is employed at a work site where the employeremploys at least 50 employees within 75 miles of that work site C.DEFINITIONS. 1.For the purposes of this Policy, the following definitions apply: a."Child" -biological, adopted, foster, stepchild, legal ward, or a child of anemployee standing "in loco parentis" (in place of a parent) who is either under age 18, an adult dependent child, or an adult child incapable of self-care because of a mental or physical disability. 29 b."Parent" -biological, adoptive, foster, step-parent, or legal guardian or other person who stood in loco parentis to the employee when the employee was a child. This term does not include parent-in-laws. c."Spouse" –husband or wife as defined or recognized under California State law for purposes of marriage. d.“Domestic Partner” –as defined by California Family Code §§ 297 and 299.2. e."Serious Health Condition" -illness, injury, impairment, or physical or mental condition of the employee or a child, parent, spouse or domestic partner of the employee which involves either: i.In-patient care (i.e. anovernight stay) in a hospital, hospice, or residential health care facility; or ii.Continuing treatment or continuous supervision by a health care provider: A serious health condition involving continuing treatment by a health care provider includes any one or more of the following: 1.A period of incapacity due to serious health conditions of more than three consecutive calendar days, and any subsequent treatment or period of incapacity relating to the same condition that also involves: a.Unless extenuating circumstances exist, treatment two or more times within 30 days of the first day of incapacity by a health care provider, by a nurse or physician's assistant under direct supervision by a health care provider, or by a provider of health care services (e.g., a physical therapist) under orders of, or on referral by a health care provider. The first in-person treatment visit must take place within seven days of the first day of incapacity; or b.Treatment by a health care provider on at least one occasion which must take place within seven days of the first day of incapacity and results in a regimen of continuing treatment under the supervision of the health care provider. This includes, for example, a course of prescription medication or therapy requiring special equipment to resolve or alleviate the health condition. If the medication is over the counter and can be initiated without a visit to a health care provider, it does not constitute a regimen of continuing treatment. 30 2.Any period of incapacity due to pregnancy or for prenatal care. (This entitles the employee to FMLA leave, but not CFRA leave. Under California law an employee disabled by pregnancy is entitled to pregnancy disability leave.) 3.Any period of incapacity or treatment for such incapacity due to a chronic serious health condition. A chronic serious health condition is one which: a.Requires periodic visits (defined as at least twice a year) for treatment by a health care provider, or by a nurse or physician's assistant under direct supervision of a health care provider; b.Continues over an extended period of time (including recurring episodes of a single underlying condition); and c.May cause episodic rather than a continuing period of incapacity (e.g., asthma, diabetes, epilepsy, etc.) Absences for such incapacity qualify for leave even if the absence lasts only one day. 4.A period of incapacity which is permanent or long-term due to a condition for which treatment may not be effective. The employee or family member must be under the continuing supervision of, but need not be receiving active treatment by a health care provider. 5.Any period of absence to receive multiple treatments (including any period of recovery therefrom) by a health care provider or by a provider of health care services under orders of, or on referral by, a health care provider, either for restorative surgery after an accident or other injury, or for a condition that would likely result in a period of incapacity of more than three consecutive calendar days in the absence of medical intervention or treatment. f.“12-Month Period” -a rolling 12-month period measured backward from the date an employee uses any leave except pregnancy. Each time an employee takes leave, the remaining leave entitlement would be any balance of the 12 work weeks which has not been used during the immediately preceding 12 months. 31 g.“Health Care Provider” –(1) A doctor of medicine or osteopathy who is authorized to practice medicine or surgery by the State of California; (2) Individuals duly licensed as a physician, surgeon, or osteopathic physician or surgeon in another state or jurisdiction, including another country, who directly treats or supervises treatment of a serious health condition; (3) Podiatrists, dentists, clinical psychologists, optometrists, and chiropractors (limited to treatment consisting of manual manipulation of the spine to correct a subluxation as demonstrated by x- ray to exist) authorized to practice in the State of California and performing within the scope of their practice as defined under California State law; (4) Nurse practitioner and nurse-midwives who are authorized to practice under California State law and who are performing within the scope of their practice as defined by California State law; (5) Christian Science practitioners listed with the First Church of Christ, Scientist in Boston, Massachusetts; and (6) Any health care provider from whom an employer or group health plans benefits manager will accept certification of the existence of a serious health condition to substantiate a claim for benefits. h.“Active Duty or Call to Active Duty Status” –duty under a call or order to active duty (or notification of an impending call or order to active duty) in support of a contingency operation for members of the Reserve components, the National Guard, and certain retired members of the Regular Armed Forces and retired Reserve while serving on active duty status during a war or national emergency declared by the President of Congress. i.“Qualifying Exigency” –short-notice deployment, military events and related activities, childcare and related activities, financial and legal arrangements, counseling, rest and recuperation, and post deploymentactivities. j.“Covered Service member”–(1) a current member of the Armed Forces (including a member of the National Guard or Reserves) who is undergoing medical treatment, recuperation, or therapy, is otherwise in outpatient status, or is otherwise on the temporary disability retired list, for a serious injury or illness incurred in the line of duty on active duty, (2) a veteran who is undergoing medical treatment, recuperation, or therapy, for a serious injury or illness that was aggravated by the veteran’s actions in the line of duty, and who was a member of the Armed Forces (including a member of the National Guard and Reserves) at any time during the period of five years preceding the date on which the veteran undergoes that medical treatment, recuperation or therapy. k.“Outpatient Status” –with respect to a covered service member, the status of a member of the Armed Forces assigned to either: 32 i.A military medical treatment facility as an outpatient; or ii.A unit established for the purpose of providing command and control of members of the Armed Forces receiving medical care as outpatients. l.“Next of Kin of a Covered Service member”–the nearest blood relative other than the covered service member’sspouse, parent, son, or daughter, in the following order of priority: blood relatives who have been granted legal custody of the covered service memberby court decree or statutory provisions, brothers and sisters, grandparents, aunts and uncles, and first cousins, unless the covered service memberhas specifically designated in writing another blood relative as his or his nearest blood relative for purposes of military caregiver leave under the FMLA. m.“Serious Injury or Illness” –an injury or illness incurred by a covered service memberin the line of duty on active duty that may render the service membermedically unfit to perform the duties the duties of the member’s office, grade, rank, or rating. 2.PERMITTED REASONS FOR FMLA/CFRA LEAVE Leave is permitted only for the following reasons: a.The birth of a child or the placement of a child with an employee in connection with the adoption or foster care of a child. This leave right expires 12 months after the birth or placement. (California has a separate pregnancy disability leave of up to four (4) months.) b.To provide care for a child, parent, spouse or domestic partner of the employee, if such immediate family member has a serious health condition; c.The employee's own serious health condition that makes the employee unable to perform the essential functions of his/her position; d.A “qualifying exigency” arising out of the fact that an employee’s spouse, son, daughter or parent is on active duty or called to active duty status in the Armed Forces (including National Guard and Reserves) (under FMLA only, and not CFRA); or e.To provide care for a spouse, son, daughter, parent or “next of kin” who is a covered service member(this leave may run up to 26 weeks of unpaid leave during a single 12-month period) (under FMLA only, and not CFRA). 33 D.PROVISIONS. 1.LENGTH OF LEAVE a.Minimum Duration i.FMLA/CFRA Leave may be taken in one or more periods, but shall not exceed a total of twelve (12) work weeks of leave during the defined 12 month period, except inthe case of pregnancy and leave to care for a covered service member. Eligible employees are entitled to 26 work weeks of FMLA Leave during any 12-month period to care for a covered service member. ii.A leave taken for the birth, adoption, or foster care placement of a child does not have to be taken in one continuous period of time. The basic minimum duration of a leave taken for the birth, adoption, or foster care placement of a child shall be two weeks. A leave request, for such purpose, of less than two week's duration shall be granted on any two occasions. Any such leave shall be concluded within one year of the birth or replacement of the child with the employee in connection with the adoption or foster care of the child by the employee. b.Pregnancy Disability/Maternity Leave The State Pregnancy Disability Statute covers employees on leave for pregnancy and birth of a child. This statute allows employers to authorize up to four months of leave of absence for pregnancy disability. During this time FMLA leave is started concurrently. After the pregnancy disability, the employee may request additional time off for bonding with the newborn child and this time is authorized by the CFRA and can be up to 12 weeks in addition to the pregnancy disability period. c.Spouses Both Employed by District Where both husband and wife are employed by the District, the aggregate total leave time granted to both as a couple shall not exceed the 12 work weeks during a 12-month period if leave is taken for birth or placement for adoption or foster care. This limitation does not apply to any other reason for leave. (Example: if a husband becomes ill and needs to take medical leave due to his own illness, his wife would then be entitled to FMLA/CFRA Leave to carefor him up to the full 12-week period.) Where both husband and wife are employed by the District, the aggregate total leave granted to both as a couple shall not exceed 26 work weeks during a 12-month period if leave is taken to care for a covered service member. 34 d.Extension Beyond Original Estimate FMLA/CFRA Leave may be extended beyond the original estimated date of return as long as the total amount of leave is no longer than the maximum 12 work weeks. To extend a leave the employee must submit a new Leave of Absence Request Form prior to the expiration of the current leave. An extension of the FMLA/CFRA Leave will not cause the leave benefits to exceed the 12 work week limitation. An employee who does not return from the leave as scheduled, and who has not received prior approval to extend the leave, may be considered absent without authorization. 2.INTERMITTENT LEAVE/REDUCED WORK SCHEDULE "Intermittent Leave" is defined as leave not taken continuously in one block of time, such as leave taken a few days or hours at a time on a continuing basis. A "Reduced Leave Schedule" is defined as a leave schedule that reduces the employee's usual number of hours per work week or work day. If an employee requests intermittent leave or leave on a reducedleave schedule that is foreseeable and based on planned medical treatment, the District has the discretion to transfer the employee temporarily to an available alternative position for which the employee is qualified, that has equivalent pay and benefits,and better accommodates recurring periods of leave than the regular employment position of the employee. 3.LEAVE PAY STATUS a.Employee Serious Health Condition If FMLA/CFRA Leave is taken for the employee's own serious health condition, that is not apregnancy disability leave or worker's compensation leave, then the employee must first use his/her sick leave in accordance with existing policy, then accrued holiday and vacation leave before unpaid leave time is taken. If the employee's own serious health condition qualifies the employee for Short/Long-Term Disability payments and the employee applies and receives Short/Long Term Disability, then during the 15-day Short/Long Term Disability waiting period, the employee must use accrued sick leave. If the employee's sick leave balance is less than the required hours needed to cover the 15-day waiting period, the employee must supplement this sick leave shortage with holiday and or vacation leave time. b.Child, Parent, Spouse or Domestic Partner Health Condition 35 If an employee takes FMLA/CFRA Leave for the care of a child, spouse or parent; or for the placement of a child for adoption or foster care or birth of a child other than FMLA running concurrently with California Pregnancy Disability Leave, the employee must use accrued holiday and vacation leave before unpaid leave is taken. The employee may elect to use up to 50% of accrued annual sick leave for the care of an immediate family member, as defined in section 4.11.Cof the Employee Handbook. c.Pregnancy Disability Leave FMLA leave runs concurrently with an employee's pregnancy disability leave. In such case, the employee will be required to use sick leave hours first, then the FMLA Leave is unpaid unless the employee elects to substitute accrued holiday and vacation leave. If there is a waiting period for pregnancy disability leave or short/long-term disability based on pregnancy or childbirth, then the employee must use accrued sick leave before unpaid leave is taken during the waiting period. d.Worker's Compensation Absence Miscellaneous Employees: An employee's FMLA/CFRA Leave may run concurrently with a Worker's Compensation absence. Because Worker's Compensation absence is not unpaid leave, the employee need not substitute other paid leave. The employee may elect to use paid leave balances to receive up to his/her regular compensation. e.Bonding with Child An employee is required to use his or her paid vacation and/or holiday hours for leave requests taken for the birth, adoption or foster care placement of a child. For employees out on Pregnancy Disability leave, this leave time per CFRA is in addition to the leave period of up to 4 months for pregnancy disability. E.EFFECT ON MEDICAL INSURANCE AND OTHER BENEFITS. 1.During the employee's FMLA/CFRA Leave the District shall continue to pay the usual contribution towards the employee's medical, dental, basic life, vision and long-term disability (where applicable) premiums, under the 36 same condition as coverage would have been provided if the employee had been continuously working. The District shall not continue to pay contributions towards any other plans not covered by the District’s group health insurance plans. 2.The employee must continue to pay his/her share of insurance costs, if any, either through payroll deduction or optional benefit while using leave balances, or by direct payment to the District while on leave. The employee will be advised in writing at the beginning of the leave period as to the amount and method of payment. Employee contribution amounts are subject to any change in rates that occur while the employee is on leave. 3.Under the District's Medical Insurance Enrollment Policy, all regular District employees are required to be enrolled in a medical plan for no less than "employee only" coverage. This coverage must be maintained while the eligible employee is on a CFRA leave of absence. If the employee misses a required payment of the employee's share, the District will pay the premium so that coverage remains in place. The employee will be required to reimburse the District (on a payroll deduction schedule) for any delinquent payment(s) upon return from leave. The employee will be required to sign a written statement at the beginning of the leave period authorizing the payroll deduction for delinquent payments. 4.If the employee fails to return to work after the employee's FMLA/CFRA Leave entitlement has been exhausted or expires, the District may recover its share of health plan premiums paid during the period of unpaid FMLA/CFRA Leave. The District may not seek to recover its share of health care premiums if the employee does not return because of: 1) the continuation, recurrence or onset of a serious health condition of the employee or a covered family member, or 2) circumstances beyond the employee's control, such as where an employee's spouse is unexpectedly transferred to a new job location, or someone other than an immediate family member has a serious health condition whom the employee needs to care for. The District may require certification issued by a health care provider for claims that an employee is unable to return to work because of the continuation, recurrence or onset of a serious health condition of the employee or acovered family member. If certification is requested by the District and not provided within 30 days, the District may recover the health benefit premiums it paid during the period of unpaid FMLA/CFRA Leave. In circumstances where the District may recover premiums from the employee, the District may recover its share of health insurance premiums through deduction from any sums due the employee (e.g. unpaid wages, vacation pay, etc.). See Medical Insurance Policy. 5.The employee on unpaid FMLA/CFRA Leave will be credited with all service prior to the commencement of the unpaid leave, and for the period of 37 the leave, except for Public Employees' Retirement System (PERS). Since retirement contributions are based on wages paid, the District shall not be required to make retirement plan contributions (PERS) for an employee while the employee is on any unpaid FMLA/CFRA Leave. 6.An employee is not entitled to the accrual of sick leave, vacation leave or holiday leave balances during periods of unpaid leave. F.EMPLOYEE STATUS WHILE ON FMLA LEAVE. 1.FMLA/CFRA Leave is not considered an interruption of continuous service (break in service) for purposes of seniority in a classification.Employees returning from leave shall return with no less seniority for purposes of layoff, recall, promotion or job assignment. 2.Probationary periods shall be extended to cover the period of the leave. G.FORMS TO BE SUBMITTED BY THE EMPLOYEE. 1.An employee who wishes to take FMLA/CFRA Leave must submit a written Leave of Absence Request Form which is signed by his/her supervisor, and forward this form to Personnel. Upon receipt of the signed Leave of Absence Form, Personnelshall forward the FMLA/CFRA Leave Form to the employee for signature and a Medical Certification form for completion by his/her or the covered family member’s attending physician. The District shall not deny a FMLA/CFRA Leave request which is an emergency or is otherwise unforeseeable on the basis that the employee did not provide the 30-day advance notice of the need for the leave. 2.Advance notice of leave should be given as follows: a.If the event necessitating the leave becomes known to the employee more than 30 calendar days prior to the employee's need for a leave, the employee shall provide written notice to his/her immediate supervisor as soon as he/she learns of the need for a leave with, at a minimum, 30 days written advance notice. b.If the event necessitating the leave becomes known to the employee less than 30 calendar days prior to the employee's need for a leave, the employee shall provide to his/her immediate supervisor as much advance notice as possible, which must be given as soon as practicable. It is expected that notice will be given within 1-2 working days of learning of the need for leave. Upon an employee requesting leave or the supervisor learning of an FMLA/CFRA qualifying event, the employee shall be given a Request for Leave form and submit it to their immediate supervisor or the Human Resources Department. 38 c.If anemployee seeks leave due to a condition for which the District has previously provided FMLA-protected leave, the employee must inform the District that the leave is for a condition that was previously certified for which the employee has previously taken FMLA leave. d.If an employee's need for FMLA/CFRA Leave is due to a planned medical treatment, the employee shall consult with their supervisor or other designated department representative to schedule the treatment or care so as to minimize disruptions to the operation of the District. Any such scheduling, however, shall be subject to the approval of the health care provider of the employeeor covered family member. 3.The General Manageror designee may consult with the Personnel Managerregarding theleave request, and shall respond to the employee as soon as possible, and forward the written form to the Personnel Manager immediately. The District shall respond in writing to the employee as soon as possible after receiving the written request, withintwo working days, if possible. The District shall attempt to respond to the leave request and designate the leave as FMLA/CFRA leave as soon as possible, and will make every effort to respond before the date the leave is to begin. H.CERTIFICATION REQUIREMENTS. As a condition for granting FMLA/CFRA Leave for the employee's serious condition or for the care of a covered family member who has a serious health condition, the employee must submit within 15 days (unless there is a medical emergency or other extenuating circumstance) a written certification from the health care provider of the individual requiring care. The certification will be sufficient if it includes the following: 1.A statement that the serious health condition warrants the participation of the employee to provide care during a period of treatment or supervision of the covered family member; or 2.In the case of leave requested because of a serious health condition for a covered military member, for the first time the employee requests leave for a qualifying exigency, the District may require the employee to provide a copy of the covered military member’s active duty orders or other documentation issued by the military which indicates that the covered military member is on active duty or call to active duty status in support of a contingency operation, and the dates of the covered military member’s active duty service. A copy of a new active duty order or similar documentation shall be provided to the employer if the need for leave because of a qualifying exigency arises out of a different active duty or call to active duty status of the same or a different covered military member. 3.In the case of certification for intermittent leave, or leave on a reduced leave schedule, a statementof the dates and duration of the intermittent leave or reduced leave schedule; or 39 4.In the case of certification for an employee's serious health condition, a statement that the employee is unable to perform the functions of the position due to the employee's serious health condition. 5.In addition to the above, the certification must also include: a.the date, if known on which the serious health condition commenced; b.the probable duration of the condition; and c.an estimate of the amount of leave which the health care provider believes the employee needs. The District may require, at its own expense, that the employee obtain the opinion of a second health care provider designated or approved by the District concerning information certified for his/her own serious health condition. Where the second opinion differs from the first, the District may require, at its own expense, that the employee obtain the opinion of a third health care provider designated or approved jointly by the District and the employee concerning the information that was certified. The opinion of the third health care provider shall be considered final and binding upon the District and the employee. The District may require that the employee obtain subsequent recertifications if an employee requests leave beyond that specified in the original certification. I.REINSTATEMENT TO A POSITION. 1.In addition to the above, the certification must also include: a.As a condition of the employee's return to work, the employee must submit a "return to work" release from a health care provider stating that the employee is able to resume work. Failure to provide a “return to work” release may result in the denial of reinstatement. b.An employee who takes FMLA/CFRA Leave shall be entitled, on return from such leave: i.to be restored to the position of employment held by the employee when the leave commenced; or 40 ii.to be restored to an equivalent position with equivalent employment benefits, pay, and other terms and conditions of employment. c.The District may refuse to reinstate an employee to the same or comparable position if the same position or comparable position has ceased to exist because of legitimate business reasons unrelated to the employee's FMLA/CFRA Leave. d.A restored employee is not entitled to any right, benefit, or position of employment to which the employee would not have been entitled had the employee not taken the FMLA/CFRA Leave. e.If an employee is determined to be a "key employee" at the time the leave is requested, the FMLA requires notice to the employee of such designation and notice of the consequences of the designation. The District may deny restoration to a salaried employee who is among the highest paid 10 percent of the employees employedby the District within 75 miles of the worksite if: i.such denial is necessary to prevent substantial and grievous economic injury to the operations of the District; ii.the District notifies the employee of the intent to deny restoration on such basisat the time the District determines that such injury would occur; and iii.in any case where the leave has commenced, the employee fails to return to employment within a reasonable time, taking into account the circumstances such as length of leave and urgency of the need for the employee to return after receiving such notice. f.An employee’s acceptance of a “light duty” assignment does not constitute a waiver of the employee’s prospective rights. The employee’s right to restoration, however, ceases atthe end of the applicable 12-month FMLA/CFRA leave year. J.PREGNANCY LEAVE. An employee who is disabled because of pregnancy, childbirth, or a related medical condition is entitled to an unpaid pregnancy disability leave for up to 4 months. 1.Notice and Certification Requirements a.Requests for pregnancy disability leave must be submitted in writing and must be approved by the employee’s supervisor or Personnel Manager before the leave begins. The request must be supported by a 41 written certification from the attending physician stating that the employee is disabled from working by pregnancy, childbirth or a related medical condition. The certification must state the expected duration of the disability and the expected date of return to work. b.All leaves must be confirmed in writing, have an agreed- upon specific date of return, and be submitted to the Personnel Manager prior to being taken. Requests for an extension of leave must be submitted in writing to the Personnel Manager prior to the agreed date of return and must be supported by a written certification of the attending physician that the employee continues to be disabled by pregnancy, childbirth, or a related medical condition. 2.Compensation During Leave Pregnancy disability leaves arewithout pay. However, the employee may first use accrued sick leave, vacation leave, and then any other accrued paid time off during the leave. 3.Benefits During Leave a.An employee on pregnancy disability leave may receive any group health insurancecoverage that was provided before the leave on the same terms as provided to other employees who become disabled off- duty, if: 1) the employee is eligible for concurrent family medicalleave; and 2) the employee has not already exhausted this 12-week group health insurance coverage benefit in the current family medical leave eligibility period. The District may recover premiums it paid to maintain health coverage, as provided by the family and medical leave laws, if an employee does not return to work following pregnancy disability leave. b.An employee on pregnancy disability leave who is not eligible to receive group health insurance coverage as described above, may receive health insurance coverage in conjunction with COBRA guidelines by making monthlypremium payments to the District. 4.Reinstatement a.Upon the expiration of pregnancy leave and the District’s receipt of a written statement from the health care provider that the employee is fit to return to duty, the employee will be reinstated to her original or an equivalent position, so long as it was not eliminated for a legitimate business reason during the leave. b.If the employee’s original position is no longer available, the employee will be assigned to an open position that is substantially similar in job content, status, pay, promotional opportunities, and geographic location as the employee’s original position. 42 c.If upon return from leave an employee is unable to perform the essential functions of her job because of a physical or mental disability, the District will initiate an interactive process with the employee in order to identify a potential reasonable accommodation. d.An employee who fails to return to work after the termination of her leave loses her reinstatement rights. Section 4.12: REASONABLE ACCOMMODATION POLICY A. POLICY: The Districtprovides employment-related reasonable accommodations to qualified individualswith disabilities within the meaning of the California Fair Employment and Housing Act andthe Americans with Disabilities Act. B. PROCEDURE 1. Request for Accommodation:An employee who desires a reasonable accommodation in order to perform essential jobfunctions should make such a request in writing to the Personnel Manager. Therequest must identify: a) the job-related functions at issue; and b) the desired accommodation(s). 2. Reasonable Documentation of Disability:Following receipt of the request, the Personnel Managermay require additionalinformation, such as reasonable documentation of the existence of a disability. 3. Fitness for Duty Examination:The Districtmay require an employee to undergo a fitness for duty examination at the District’s expense to determine whether the employee can perform the essential functions of the job withor without reasonable accommodation. The Districtmay also require that a District-approvedphysician conduct the examination. 4. Interactive Process Discussion:After receipt of reasonable documentation of disability and/or a fitness for duty report, the Districtwill arrange for a discussion, in person orvia telephone conference call, with the applicant oremployee, and his or her representative(s), if any. The purpose of the discussion is to work in good faith to fully consider all feasible potential reasonable accommodations. 5. Case-by-Case Determination:The District determines, in its sole discretion, whether reasonable accommodation(s) can be made, and the type of accommodation(s) to provide. The Districtwill not provideaccommodation(s) that would posean undue hardship upon District finances or operations, or that would endanger the health or safety of the employee or others. The District will inform the employee of its decision as to reasonable accommodation(s) in writing. 43 Section 4.13:WORK HOURS. Section 4.13.1: Hours Of Work. The work period for all employees shall be as defined by Districtoperatingpolicies in accordance with state and federal laws. The General Managermay establish work schedules which vary employees’workdaysand hoursat his/her sole discretion pursuantto the best interests of the District. Section 4.13.2: Meal And Rest Periods. Meals and rest periods shall be recognized as a privilege and will bepermitted insofar as practicable and consistent with operational interests andin accordance with state law. Section 4.14:LEAVE OF ABSENCE WITHOUTPAY. Section 4.14.1: Employee Requested Leave of Absence Without Pay. The General Manager may grant a regular or probationary employee leave ofabsence without pay not to exceed three months. No suchleave shall be granted except upon written request of the employee. The request shall setforth the reason for the request. The District’s response to the request shall be in writing. Anemployee must first use all accrued vacation and comp time creditsand/or executiveleave, and theremaining approved leave of absence will be without pay. Sick leave may notbe taken.Upon expiration of a regularly approved leave of absence without pay, or within a reasonable period of time afternotice to return to duty, the employee shall be reinstated in the position held at the time the leave was granted. Failure on the part of an employee on leave of absence without pay to report promptly at its expiration, or within a reasonabletime after notice to return to dutyshall be cause for discharge. The GeneralManager may review and extendleaves of absence at his/her sole discretion. Supervisorsmay granta regular or probationary employee leave of absence without pay not toexceed two calendar weeks. All leaves of absence without pay shall be reported to the GeneralManager. A leave ofabsence shall be considered an interruption in the probationary period.Time off on a leave of absence without pay by a probationary employee shall not be countedas part of the probation period. Section 4.15:TUITION REIMURSEMENT POLICY. Tuition reimbursement is available to full time employees, who have completed their initial employment probationary period, and are in good standing within their department. Employees who have transferred or have been promoted and are on probation are eligible for this program. Employees who have been re-employed and are in their initial probationary period are not eligible for reimbursement. Employees whose general increases are being withheld or who are under some form of disciplinary action from their supervisoror General Manager are not eligible for participation in the program. 44 Any employee who is eligible for tuition assistance payment or reimbursement from any other source must declare the source and amount on the tuition reimbursement application. The District will normally require the employee to use other available payment plans in preference to the District plan. Veterans must exhaust their educational benefits before reimbursement can be approved. However, if educational benefits received do not cover the entire cost of coursework, the tuition reimbursement program may pay a percentage of the cost not reimbursed. If an employee resigns, is discharged or laid-off prior to completion of coursework and submission of his/her grades to the Personnel Manager, his/her application for tuition reimbursement will be voided. Contingent on budget allocations, full-time District employees who meet specified criteria will receive financial assistance to attend educational courses at fully-accredited educational institutes in order to foster personal development in job-related areas as well as career advancement. The District may reimburse eligible employees for up to for a maximum of $5,000 per calendar year for approved educational programs. The program is available to employees who engage in studies that do not interfere with regular working hours and that lead to a degree or class work that is mutually beneficial to the District and employee. Applications must be filed and approved by supervisors and the Personnel Manager before commencing course work. To receive reimbursement the employee must submit a grade report at the end of the course, along with a tuition and fee statement, to the Personnel Manager showing course completion with a minimum of a C grade, or passing grade in non-graded courses. Upon certification, the Personnel Manager will submit the reimbursement request to the accounting department for payment. Payments will be made up to $5,000 for fees for the course, textbooks and supplies. Employees participating in this program will be required to sign a statement indicating that 100% of all funds received under this program will be returned to the District if the employee is terminated or resigns from employment with the District within one year and 50% of all funds received under this program will be returned to the District if the employee is terminated or resigns from employment with the District within two years. In reviewing the proposed educational plan of an employee, it may be necessary to place a cap on the amount of District reimbursement during any one calendar year. The tuition reimbursement may be a taxable benefit depending upon the provisions of the Internal Revenue code. The individual employee will be responsible for any tax liability. Section 4.16:SEWER CREW EMPLOYEES MAINTENANCE PREMIUM PAY. Employees who are routinely and consistently assigned to repair and maintain sewer 45 systems shall receive a premium pay of 1.5% of their base pay for each California Water Environment Association Collection System Maintenance Grade Certification level achieved. For example, an employee who receives a Collection System Maintenance Grade II Certification shall receive a premium pay of 3% of his/her base pay.Additionally, employees who are routinely and consistently assigned to repair sewer manhole covers by application of welding skills and who possess a current welding certification, shall receive a premium pay of 1.5% of their base pay. RULE 5 –RECRUITMENT AND SELECTION Section 5.1:PURPOSE. The purpose of the recruitment and selection process is to ensure that all positionvacancies are filled with qualifiedandcompetent persons who are well suited to perform inthe position for which they are employed. In that regard, all vacancies will be filled asprovided in the rules, policies and procedures set forth in this Employee Handbook. Section 5.2:NATURE OF SELECTION PROCEDURES. The methods used in the selection of Districtemployees shall be impartial and of a relevantnature so as to fairly measure the relative capacity of job applicants to execute theduties and responsibilities of the class to which they seek to be appointed. Section 5.3:SELECTION AND APPOINTMENT. All vacancies in the Districtshall be filled as provided in the rules, policies and procedures set forth in this Employee Handbook. Appointments shall be made with the objective of obtaining for the District the best qualifiedperson or persons available as recommended by the supervisorand approvedby the GeneralManager. Section 5.4:APPLICATIONS AND APPLICANTS. Section 5.4.1:Announcements. All examinations shall be publicized in District Headquartersandon the District’swebsiteand/or public bulletin boards and/or professional recruiting websites and/or media outlets, and by such methods as the Personnel Manager deems appropriate. Specialrecruiting shall be conducted, if necessary, to ensure that all segments of thecommunity are aware of the forthcoming examinations. The announcementsshall specify the title and pay of the class for which the examination isannounced, the nature of the work to be performed, the preparation desirablefor the performance of the work of the class, the manner of making applications,the date of filing, and other pertinent information. Section 5.4.2:Application Forms. Applications shall be made as prescribed on the examination announcement. Ifprescribed by the Personnel Manager, application forms shall requireinformation covering training, experience, and other pertinent information. The Personnel Manager will not process any application which is not fully completed and signed. Section 5.4.3:Disqualification. The Personnel Manager may reject any application which indicates on its facethat the applicant does not possess the minimum 46 qualifications required for theposition. Applications may be rejected if the applicant is physically or mentally unfit for the performance of duties of the position to which he/she seeks employment, is a current user of illegal drugs, has made any false statement of any material fact or practiced any deception or fraud in his/her application, or has been convicted of a felony or misdemeanor criminal offense, may reasonably be expected to interfere with or prevent effective performance in the position applied for or interfere or prevent effective District performance of its duties and responsibilities. Whenever an application is rejected, notice of such rejection shall bemailed to the applicant by the District. Defective applications may be returned tothe applicant with notice to amend the same, providing the time limit forreceiving applications has not expired, subject to the discretion of thePersonnel Manager. Section 5.4.4: Pre-Employment Screening . A.All employment offers are conditional upon successful completion of a pre-appointed medical examination and background check, scheduled through the PersonnelManager. The PersonnelManager shall reaffirm employment offers are contingent upon successfully passing the medical examination and that the candidate should not submit termination papers to current employers until after successfully passing the medical examination. B.All candidates are expectedto provide the necessary materials to verify legal authorization to work in the United States prior to the PersonnelManager’s scheduling of a pre-appointment physical. Tustin/Irvine Medical Groupwill review and evaluate medical examination results from the District’s authorized medical clinic and notify the PersonnelManager of the results, indicating any restrictions. The Personnel Manager and GeneralManager will determine if any further action is necessary. Section 5.5:EXAMINATIONS. Section 5.5.1:Nature And Types Of Examination. The selection techniques used in the examination process shall be impartialand related to those subjects which, in the opinion of the Personnel Manager,fairly measure the relative capacities of the persons examined to execute theduties and responsibilities of the class to which they seek to be appointed.Examinations shall consist of selection techniques which will fairly test thequalifications of candidates such as, but not necessarily limited to, written tests, personal interviews, performance tests, physical agility tests, medicalexaminations, or any combination of these or other tests. The probationaryperiod, which may include the evaluation of daily work performance and worksamples,and the successful completion of prescribed training, shall beconsidered as an extension of the examination process. Examinations shall bedesigned to provide equal opportunity to all candidates by being based on ananalysis of the essential qualifications for the class and covering only factorsrelated to such qualifications. Section 5.5.2:Open Competitive Examination. Open competitive examinations may be administered for a single class asdetermined by the Personnel Manager. Names 47 shall be placed on employmentlists, and shall remain on such lists, as prescribed in Section 5.6 of this Rule. Section 5.5.3:Promotional Examination. Promotional examinations may be conducted whenever, in the opinion of thePersonnel Manager, the needs of the District require. Promotional examinationsmay include any of the selection techniques mentioned in Section 5.5.1 of thisRule, or any combination of them. Promotional examinations are open to Districtemployees only. Employees who meet the requirements set forth in thepromotional examination announcements may compete in promotionalexaminations. Section 5.5.4:Continuous Examination. Continuous examinations may be administered periodically as the needs of theDistrictrequire. Names shall be merged on employment lists according to finalscores,and shall remain on such lists, as prescribed in Section 5.6 of this Rule. Section 5.5.5:Scoring Examinations And Qualifying Scores. A candidate's score in a given examination shall be the average of scores oneach competitive part of the examination forwhich the candidate qualified,and shall be weighted pursuant to the examination announcement. The PersonnelManager may, at his/her discretion, include as a part of the examination, testswhich are qualifying only. Section 5.5.6:Notification Of Examination Results, Review Of Papers, and ExaminationAppeal. Each candidate in an examination shall be given written notice of the resultsthereof. Any candidate shall have the right to inspect his/her own examinationanswer sheets within five working days after the notices of examination resultswere mailed. Oral interview rating sheets, test booklets and relatedexamination materials are not open to candidate inspection. Any error in computation,if appealed to the Personnel Manager within this period, shall becorrected. Such corrections shall not, however, invalidate appointmentspreviously made. Section 5.6:EMPLOYMENT LISTS. Section 5.6.1:Preparation And Availability. As soon as possible after the completion of an examination, the PersonnelManager shall prepare and keep available an employment list consisting of thenames of candidates who qualified in the examination, arranged in order of finalscores, from the highest to the lowest qualifying score. Section 5.6.2:Duration Of Lists. Employment lists other than those resulting from a continuous examinationshall remain in effect for six months, unless sooner exhausted or abolishedby the Personnel Manager upon the recommendation of the General Manager.The General Managermay request the abolition of an employment list after theemployment list has been in effect for three months. Employment lists maybe extended, prior to their expiration dates, by action of the Personnel Managerfor additional periods. Open competitive lists created as the result ofcontinuous examinations shall remain in effect for not more than one year afterthe last administration of the examination. Names placed on such lists shall bemerged with any 48 others already on a list in order of final scores and shallremain on the list for not more than one year. Section 5.6.3:Removal Of Names From List. The name of any person appearing on an employment orpromotional list may be removed by the Personnel Manager if the eligibleperson requests in writing that his/her name be removed, if he/she fails to respond to a notice of certification mailed to his/her last known address, or forany of the reasons specified in Section 5.4.3, of this Rule. The person affectedshall be notified of the removal of his/her name by a notice mailed to his/herlast known address. The names of persons on promotional employment listswho resign from the service shall automatically be removed from such lists. Section 5.7:METHODS OF FILLING VACANCIES. Section 5.7.1:Types Of Appointments. All vacancies shall be filled bythePersonnel Manager from an appropriate employmentlist. In the absence of persons eligible for appointment from these means,provisional appointments may be made inaccordance with therules, policies and procedures set forth in this Employee Handbook. Section 5.7.2:Notice To Personnel Manager. Whenever a vacancy is to be filled, the supervisorshall notify thePersonnel Managerin the manner prescribed. Section 5.7.3:Appointment. After interview and investigation, the supervisorshall recommendappointments from among those certified and shall immediately notify the GeneralManager of the persons recommended. The person recommended for appointment shall present himself/herself to the GeneralManager, or his/her designated representative, for processing, including any required medicalexamination, on or before the date of appointment. If the applicant accepts theappointment and presents himself/herself for duty within such period of time asthe supervisor and GeneralManager shall prescribe, he/she shall bedeemed to be appointed.Otherwise, he/she shall be deemed to have declinedthe appointment.The General Managershall have the right to deny the supervisor’s recommendationsfor hire and request a new recruitment and selection process Section 5.7.4:Provisional Appointment. In the absence of there being names of individuals willing to acceptappointment pursuant to Rule 5.7.3, a provisional appointment may berecommended by the supervisor,with the concurrence of the GeneralManager, of a person meeting the minimum training,experienceand qualifications for the position. A provisional employee may be removed at anytime without the right of appeal. A provisional employee may be employed assuch for up to six months.The GeneralManager may extend the period for any provisional appointment fornot more than an additional six month period. (See alsoSection 4.3.9) Section 5.8:PROBATIONARY PERIOD. 5.8.1:Objective of Probationary Period. The probationary period shall be regarded as a part of the testing process andshall be utilized for closely observing the 49 employee's work and for securing themost effective adjustment of a new employee to his/her position.An employee who passes probation remains an at-will employee. Section5.8.2:Regular Appointment Following Probationary Period. All original and promotional appointments shall be tentative and subject to aprobationary period of 12months of actual service. The Personnel Manager shall notify thesupervisor one month priorto the termination of any probationaryperiod. The supervisorshall file with the Personnel Manager astatement in writing to the effect that the retention of such employee with theDistrictis desired or undesired. If an unsatisfactory performance statement isfiled, the employee's employment may be immediately terminated. Section 5.8.3:Rejection Of Probationer. During the probationary period, an employee may be rejected at any time bythe supervisor,with the concurrence of the GeneralManager, withoutcause and without the right of appeal. Notification of rejection shall be in writing andshall beserved on the probationer,and a copy shall be filed with the Personnel Manager. Section 5.9:PERFORMANCE EVALUATION. Evaluations of the daily work performance of employees shall be periodicallyconducted in accordance with procedures and time periods as determined bythe Personnel Manager. The purpose of evaluating performance is to provide formal feedback to the employees through written and oral communications,and discussions. Methods for improving employee performance are through interim verbal and written communications, including performance improvement plans, and through the annual evaluation. Section 5.10: SALARY RANGES .Normally, employees will be hired in the range of steps one through six of the corresponding salary range. Negotiated salary beyond the middle step of the salary range will require the GeneralManager’s approval. RULE 6 –MEDICAL EXAMINATIONS Section 6.1: MEDICAL EXAMINATIONS REQUIRED. Medical examinations may be required under the following circumstances: A. In order to be eligible for employment with the District. B. In order to be eligible for promotion or transfer to a job classification requiring greater physical qualifications than his/her present job classification. C.Any employee may be required to undergo a medical examination at any time designated by the Personnel Manager. Section 6.2: PHYSICIAN. All medical examinations will be performed by a licensed physician approved by thePersonnel Manager. Section 6.3: COST OF EXAM. The District will pay the cost of any medical examination required under this Rule. 50 RULE 7 –OUTSIDE EMPLOYMENT Section 7.1: GENERAL PROVISIONS. A District employee shall not engage in any outside employment that is detrimentalto, or in conflict with his/her duties or service with the District. An employee mustnotify the General Manager in writing of any outside employment together withsufficient information regarding such outside employment as may be requested. A supervisor mayinquire as to an employee's off-duty employment when the supervisor believes that such a condition may exist and may require an employee to file notice to the General Manager. The General Manager shall determine if an employment conflict exists and shall notify the employee of his/her decision and reasons therefore in writing. Examples of work that would be detrimental to or in conflict with duties or service with the District include, but are not limited to, the following: A. Work requiring the use of District vehicles or equipment. B. Work for a contractor who is performing work in conflict with the District. C. Work which would createa work schedule that is incompatible with an assigned District work schedule. D. Work which would present a health hazard to the employee. E. Work which could create a cause for disciplinary action.(SeeRule 14.) F. Work which would provide undue liability for the District. RULE 8 -NEPOTISM Section 8.1: GENERAL PROVISIONS. It is the policy of the Costa Mesa Sanitary District not to discriminate in its employment and personnel actions with respect to its employees and applicants on the basis of marital or familial status. Notwithstanding this policy, the CostaMesa Sanitary District retains the right to prohibit nepotism to avoid favoritism, the appearance of favoritism, conflicts in loyalty, discrimination, the appearance of impropriety, and conflicts of interest in employment decisions. Section 8.2: DEFINITION :Nepotism is generally defined as the practice of an employee or District official using personal influence or power to aid or hinder another in securing employment, promotion or other benefits because of a personal relationship. No employee may use power or influence to aid or hinder another in securing employment, promotion or any other benefit of employment due to a personal relationship. Personal relationships include, but are not limited to, those by virtue of blood, marriage, adoption, cohabitation, or dating/sexual relationships. 51 Section 8.3:PERSONAL RELATIONSHIPS IN THE WORKPLACE .District employees associated by blood, marriage, adoption, cohabitation, or dating/sexual relationships shall not 1) work in a small unit in close association with one another; 2) work for the same supervisor; or 3) have a direct or indirect supervisor/subordinate relationship. If a District employee develops a personal relationship with a co-worker, then the employees have an obligation to report the personal relationship to the Administrative Service Manager so that appropriate steps can be taken with respect to work assignments. The obligation to report any personal relationship is so that the District may avoid favoritism, the appearance of favoritism, conflicts in loyalty, discrimination, the appearance of impropriety, and/or conflicts of interest in employment decisions. Section 8.2:EMPLOYMENT OF RELATIVES -ELECTED OFFICIALS. No relative by blood or marriage, within the third degree of kinship, of an elected officialof the District shall be appointed to fill any vacancy in the District service during thatofficial's term of office. RULE 9 –PERSONNEL FILES, REPORTS AND RECORDS Section 9.1: OFFICIAL RECORDS . The Personnel Manager shall keep all official personnel records necessary for transactions,reference and for making reports showing administrative actions. Such records include, but are not limited to the following:records of employment history of each employee, classification plan, performance evaluation records, compensation plan, files, books and correspondence. Section 9.2: CHANGE OF STATUS REPORT .Every appointment, transfer, promotion, change of salary rate and other temporary or permanent changes in status of employees must be documented on forms prescribed by the Personnel Manager. The General Manager must approve all personnel transactions. Section 9.3: PERSONNEL FILE. Section 9.3.1: Content Of Personnel Files .The Personnel Managerwill maintain a file on each employee which will contain all records and documents pertinent to his/her employment status and history. Section 9.3.2: Access To Personnel Files .The confidential information in personnel files will not be revealed to outside sources except as required by law, or with the written consent of the employee. The Personnel Managermay reveal the following information regarding an employee or ex-employee, in response to outside inquiries: A. Employee's name. B. Classification title and department. C. Status. 52 D. Salary Range. E. Hire date and/or termination date. This information is a matter of public record and is available to the public. The employee, his/her immediate supervisor and/or General Managermayinspect the employee’spersonnel file at any time during the normal working hours ofthe Personnel Office. Upon request, the employee shall receive a copy of any materials in the personnel file. An employee shall be furnished a copy of any statement written for inclusion in the employee's personnel file concerning the employee's conduct or performance. An employee may prepare material for insertion in his/her personnel file in response or rebuttal to any derogatory material in that file. An employee's representative, with the written consent of the employee, mayalso review that employee's file during normalworking hours in the Personnel Office. Section 9.3.3: Notifying District of Changes in Personal Information .Each employee is responsible for promptly notifying the Personnel Manager of any changes in relevant personal information, including: •Mailing address •Telephone number •Persons to contact in emergency •Number and names of dependents Section 9.3.4: Reference Checks .All requests from outside the District for reference checks or verification of employment concerning any current or former employee must be referred to the Personnel Manager. Information will be released only if the employee signs an AUTHORIZATION FOR RELEASE OF EMPLOYMENT INFORMATION, except that without such authorization, the following limited information will be provided: dates of employment, and salary upon departure. The General Managerand supervisors shall not provide information in response to requests for reference checks or verification of employment, unless specifically approved by the Personnel Manager on a case-by-case basis. Section 9.4: PERFORMANCE EVALUATIONS . A.PURPOSE The purpose of evaluating performance is to provide formal feedback to the employees through written and oral communications and discussions. Methods for improving employee performance are through interim verbal and written communications, including performance improvement plans and, through the annual evaluation. B.PROCEDURES 1.The General Manager and Personnel Manager shall evaluate employee performance annually on all employees in written format. 53 2.The form may be modified over time, but will be based on the classification responsibilities and cover how well the employee does not meet, meets or exceeds specific duty assignments in the classification covering the following categories: Points shall be awarded as follows: “Unsatisfactory,” one point; “Below average,” two points; “Competent,” three points; “Above Average, “four points; and “Superior,” five points. The 16 rating areas and totalpossible points in each area are as follows: Observation of hours-3 points Appearance-3 points Compliance with Rules and Regulations-3 points Safety Practices-3 points Attendance-3 points Job Knowledge-5 points Public Contacts-5 points Cooperation and Attitude-5 points Rate of Learning-5 points Efficiency-5 points Effectiveness Under Stress-5 points Dependability-5 points Innovativeness-5 points Self-Improvement-5 points Initiative-5 points Other: Report Writing, Equipment Maint/Care-5 points Supervisors will be rated in the following areas in addition to those areas listed above: Leadership-5 points Productivity-5 points Evaluating Subordinates-5 points Supervisory Abilities-5 points Encourages Suggestions-5 points 3.All District employees hired after July 1, 2004 are at-will employees. Each employee will be evaluated for suitability in the position on a continual basis. All new District employees shall be given a six-month performance evaluation conducted with the supervisor and reviewed annually thereafter. 4.Employees progressing through their salary ranges shall normally be evaluated annually. The written performance evaluation shall be used as one of the justifications to recommend merit increases for employees. Merit increases are not automatic and must be earned by demonstrating satisfactory or higher performance. Normally, a merit increase range from 2% to 5% shall be 54 given to employees who, at the minimum, meet standards for satisfactory performance. Upon the recommendation of the Supervisor, the General Manager may authorize the advancement of an employee to a higher step of the salary range earlier than would normally be attained if exceptional performance warrants advancement. This special merit increase shall be approved by the General Manager. No salary advancement shall be made which will exceed the maximum rate established for the classification. The General Manager is responsible for final approvals for all District merit increases. All District employees will receive a salary adjustment equal to the February to February Consumer Price Index (CPI) for the Orange-Los Angeles- Riverside Counties. The salary range adjustment will go into effect on July 1. However, the Board of Directors will have the authority to freeze CPI salary adjustments at any time. 5.Supervisors may give special evaluations to employees at any time, based onthe needs of the District and the employees, identifying corrective actions. The need for such evaluations shall be discussed first with the Personnel Manager or the General Manager. 6.After rating an employee on the written form, the immediate supervisor will meet with the evaluated employee to review the evaluation, giving the employee an opportunity to discuss his/her performance with the supervisor in depth. 7.The Supervisor, employee, Personnel Manager and the General Manager shall sign and comment on each employee evaluation. A final copy of the written evaluation shall be given to the employee for his/her personal files and reference. The Personnel Manager shall maintain all personnel folders, including copies of the written performance evaluations. Employees shall have access to their personnel files upon reasonable notice. 8.Part-time employees may be evaluated annually using the same procedures and may be considered for merit step increases. Employees working part-time in any classification may be considered for merit step increases on an annual basis with the approval of the General Manager. 9.Merit increases will be effective at the beginning of the pay period including the employee’s merit review date. Merit increases will be applied retroactively in the event a performance evaluation is not completed within the appropriate pay period. 10.Approved merit increases based on performance evaluations shall be documented on a Personnel Action Form and forwarded to the Finance Managerforimplementation. 55 RULE 10-TRAINING Section 10.1: GENERAL POLICY .It is the policy of the District to encourage and promote training and educational opportunities for all District employees sothat the services they render to the District may be made more effective. Section 10.2: ORIENTATION OF NEW EMPLOYEES .Within a reasonable period of time following initial employment, the Personnel Manager and supervisor shall familiarize a new employee with the employee's obligations and rights,and also inform the employee about the functions and operations of the District. The Personnel Manager shall assist supervisors with the orientation of new employees. Section 10.3: TIME OF TRAINING PERIODS. Authorized training periods may be conducted either during or afternormal workinghours. Training sessions conducted during normal working hours shall be arranged soas to minimize interference with scheduled work. Section 10.4: TYPES OF TRAINING .For the purpose of administration, the following categories of training are recognized. Section 10.4.1:In-Service Training .Any formal employee training or development program that is sponsored bythe Districtand conducted during an employee's regular hours of work. Suchprograms are designed and conducted to meet job related needs of District employees. Section 10.4.2:Out-Service Training .Any formal employee training or development program that is sponsored andconducted by any agency or organization other than the District. Assignment tosuch a program is for the purpose of meeting the needs of the District, forcontinuing employee training development, and the upgrading of employee's skills. Conferences and seminars that are conducted primarily for training and educational development purposes are considered out-service training. Section 10.4.3:Required Out-Service Training. Required out-service training is directly related to improving the employee'sperformance of present duties and is required by the District. Section 10.4.4:Career-Related Elective Out-ServiceTraining .Career-related, elective out-service training is related to improving theemployee's performance of present or future assignments in the District, and isnot required by the District. Section 10.5:PAYMENT OF TRAINING EXPENSES . Section 10.5.1:Approval Of Supervisor .No out-service training may be authorized or expenses paid without the priorapproval of the supervisor. 56 Section 10.5.2:Required Out-Service Training .When assigned to required out- service training, the employee receives his/herregular salary and is reimbursed for tuition, travel, meals and lodging. Section 10.5.3:Career-Related Out-Service Training .When an employee desires to participate in career-oriented out-servicetraining, the supervisormay, within budgetary limits and inaccordance with Districtpolicies, recommend the payment of regularsalary and reimbursement up to $5,000a yearfor tuition.Prior to the commencement of training, approval of the GeneralManager isrequired. Section 10.5.4:Uncompleted Assignment .An employee who does not satisfactorily complete an out-service training or educational assignment according to standards determined by the Personnel Manager is not eligible for reimbursementof tuition expenses and shall return any advancepayment received. The employee may also be subject to disciplinary action as provided in the rules, policies and procedures set forth in this Employee Handbook. The employee or his/her estate will receive reimbursement for tuition expenses if the training assignment is terminated prior tocompletion either: A.At the convenience of the District B. Because of death, prolonged illness, disability or other eventuality beyond the control of the employee as determined by thesupervisorandapproved by the General Manager RULE 11–TRANSFER, PROMOTION AND REHIRE Section 11.1: TRANSFER. No person shall be transferred to a position for which he/she does not possess theminimum qualifications. Upon notice to the General Manager, an employee may betransferred by the supervisor at any time from one position to another positionin a comparable class. For transfer purposes, a comparable class is one with the samemaximum salary and benefits, involves the performance of similar duties,and requiressubstantially the same basic qualifications. If the transfer involves a change from one Department to another, both supervisors must consent thereto unless the General Manager directs the transfer for purposes of economy and efficiency. Section 11.2: PROMOTIONS . Insofar as consistent with the best interests of the District, as determined by the General Manager in consultation with the supervisor, vacancies may be filled by promotion from within after a promotional examination has been given and a promotional list has been established. If, in the opinion of the General Manager,in consultation with a supervisor, a vacancy in the position could be filled better by an open-competitive examination instead of 57 promotional examination, then the General Managershall arrange for an open competitive examination and the preparation and certification of an open competitive employment list, as provided in the rules, policies and procedures set forth in this Employee Handbook. Section 11.3:REHIRE .Asupervisor, with the approval of the General Manager,may rehire a regular or probationary employee who has completed at least sixmonths of probationary service and who has resigned with a good record, to avacant position in the same or comparable classification from which the employee resigned. Upon rehire, the employee shall be subject to the probationary period prescribed for the class. No credit for former employment shall be granted in computing salary, vacation, sick leave or other benefits. If an employee has previously resigned twice from regular positions the employee may not be considered for rehire.(SeeRule 12.3.) RULE 12–SEPARATION FROM SERVICE Section 12.1: DISCHARGE .An employee may be recommended for discharge at any time by a supervisor or by the General Manager as provided for in Rule 13. Whenever it is the recommendation of a supervisor to discharge an employee, the approval of the General Manager is required. Section 12.1.1: DISCHARGE PROCEDURE . A.For employees who are retiring, resigning, being discharged, or laid off, the GeneralManager or PersonnelManager shall show the last day worked as the termination date on the Personnel Action Form which is also the last day physically on the job. Employees cannot extend their termination date by use of any leave time (i.e. vacation leave). B.The Personnel Manager must submit the employee’s final Personnel Action Form and employee’s time sheet to the GeneralManager in a timely manner for approval for all terminating employees. C.The GeneralManager will provide terminating full-time employees the opportunity to participate in an exit interview. The PersonnelManager shall inform eligible individuals about continuing benefits for which they are eligible. D.Terminating employees shall turn in to the PersonnelManager all District property such as the Employee Handbook, keys, uniforms, identification cards, parking tags and cell phone. E.The Finance Managershall authorize processing of the final paycheck when all personnel actions and forms are submitted. The finalpaycheck will not be made by direct deposit and will be forwarded to the GeneralManager for distribution to the terminated employee. Terminating employees will receive their final paycheck on the next regularly scheduled paycheck date. The District is exempt from California 58 Labor Code Section 201, which states wages earned and unpaid are due and payable immediately to a discharged employee. Section 12.2: LAYOFF. A.POLICY. The District may abolish a position within a class in the classified service because of material changes in duties or organization, elimination or reduction in service level, privatization and/or a shortage of work or funds, which in turn may require the layoff of one or more employees. B.PROCEDURE. 1.When a position within a class is abolished thereby necessitating a layoff, the following procedure shall be followed: a.Reductions in the workforce shall be made by the Board of Directors. b.The General Manager shall notify employees of the intended action with reasons therefor 30calendar days before the effective date of the layoff. c.Reassignment or voluntary demotion within the District to an equivalent or lower job class may be made to prevent a layoff provided the employee is qualified by education and/or experience, is capable of performing the duties of the classification and has satisfactory performance evaluations for the preceding two years. An employee who is reassigned or demoted shall be placed on the salary step within the new classification range closest to the rate of pay the employee previously received and retain the same anniversary date for purposes of merit pay increases. An employee so reassigned or demoted shall be reinstated to the former job class and salary step status when positions in the former job class become vacant and provided that the employee has performed satisfactorily in the current position. Reinstatement shall be based on the employee that has the highestperformance evaluation scoresfor the last two years. If two or more employees have the same performance evaluation score, the reinstatement shall be based on seniority. e.The name of an employee who has been laid off due to the reduction in the workforce shall be placed on the reemployment list for his/her job class. The reemployment list shall be used whenever a vacancy for that class is to be filled. Names will remain on the appropriate reemployment list for a period of three years from the date of separation. Reemployment shall be on the basis of previous District seniority. After separation from the District employment for more than one year, a person 59 rehired may be required to successfully pass a physical and/or competency examination. f.Whenever an employee is reemployed to a vacant position in his/her former job class, he/she shall be given a new anniversary date for purposes of merit pay increases and performance reviews. g.An employee rehired from the reemployment list shall be considered to have continuous service and may be credited with the amount of accumulated vacation and sick leave he/she had accrued at the time of layoff if he/she elects to remit to the District any payment received for the accumulated vacation and sick leave upon separation from District employment. h.Failure to return to work from layoff within 21 calendar days after notice to return by certified or registered mail to the employee at his/her last known address on file shall constitute the employee’s waiver of any right to return to work and eliminates any future reemployment responsibilities placed on the District. i.All other benefits or programs in effect at the time of layoff shall be forfeited upon reemployment unless they are still applied to the old classification at the time of rehire or provided to new hires as of that date. Section 12.2.1: General Policy .An employee may be laid off because of either the abolition of his/her position or a determination by the Districtthat there is ashortage of work or funds. The GeneralManager shall determine when and in what position classifications layoffs are to occur. The Personnel Manager shall be responsible for the implementation of a layoff order of the GeneralManager in accordance with the procedures described herein. Section 12.2.2:Notice of Layoff To Employees .An employee to be laid offshall be notified in writing of the impending action at least 10 calendar days in advance of the effective date of the layoff, or in accordance with the appropriate salary and benefit plan. The notice shall include the following information: A. Reason for layoff. B.Effective date of layoff. C. Employee rights as provided in these rules. Section 12.2.3:Removal Of Names From Reinstatement Lists .The Personnel Manager may remove an employee's name from a reinstatement list if any of the following occur: 60 A. The individual indicates in writing that he/she will be unable to return to employment with the City during the life of the list. B. The individual cannot be reached by certified mail after reasonable efforts have been made to do so. C. The individual refuses two reinstatement offers as confirmed bycertified mail. It is the employee's responsibility to keep the PersonnelManager advised of any changes in mailing address or availability. Section 12.2.4:Employee Rights And Responsibilities .Inaddition to others identified herein, employees affected by these procedures shall have the following rights: A. Through prior arrangement with his/her immediate supervisor, an employee may use accrued vacation leave time to seek and apply forother employment. B. An employee who has been laid off shall be paid as provided for in the rules, policies and procedures set forth in this Employee Handbookfor his/her unused accrued vacationleave on the effective date of the layoff. C. An employee who has been laid off may be allowed to continue health insurance coverage in the group at his/her own cost as provided underfederal COBRA regulations. This provision of health insurance will ceaseif the employee finds other employment. To have this coverage theemployee must notify the Personnel Manager in writing within 10days after the receipt of the notification of layoff. D.When an individual is reinstated he/she shall be entitled to: 1.Accrue vacation leave at the same rate atwhich it was accrued at thetime of the layoff. 2.Have any unused or uncompensated sick leave reinstated. An individual reinstated into the job classification from which he/she was laidoff shall be assigned to the same salary range and step he/she held at the time of the layoff. An individual reinstated into a job classification other thanthe classification from which he/she was laid off shall be assigned to thesalary range of the new classification at the amount closest to the salaryhe/she earned at the time of the layoff. An individual reinstated into theclassification from which he/she was laid off while still a probationaryemployee shall complete, upon return to the job, the remaining portion ofhis/her probationary period, if any, in effect at the time of the layoff.Inaddition,he/she shall complete one month of probation for each month laidoff, not to exceed a total probationary period of 12 months. Similarly, anindividual who is reinstated shall complete,upon return to the job,the samework time he/she would have had to work at the time of the layoff to attain ahigher vacation leave accrual rate or to become eligible for a 61 salary stepincrease, if such changes are possible. An individual who is rehired is noteligible for the provisions of this subsection (13.2.4D) of this Rule. Section 12.2.5:Appeals. An employee aggrieved by actions taken or interpretations made pursuant tothe procedures described in this Rule may exercise the appeal procedures ashereinafter provided in Rule 14.Determinations by the General Manager relativeto when and in what classification layoffs are to occur shall not be matterssubject to the appeal procedures. Section 12.3:RESIGNATION .An employee wishing to leave Districtemployment in good standing shall file with thesupervisora written resignation stating the effective date at least two weeksbefore leaving, unless such time limit is waived by the General Manager.The resignation becomes final upon acceptance by the General Manager. Once the resignation is accepted bythe General Manager, it may not be withdrawn. The Districtwill pay anemployee for all hours worked within 72 hours after termination and all accumulatedreimbursable benefits no later than the nearest payday following termination of the employee. Failure to give notice as required by thisSectionmay be cause for denying future employment by the District.Per the discretion of the General Manager, an employee who resigns from employment with theDistrictfrom two regular positions may not be consideredfor a third position with the District. RULE 13–CONDUCT AND DISCIPLINE Section 13.1: EMPLOYEE CONDUCT GENERALLY .It is expected that all District employees shall render the best possible service and reflect credit on the District. Therefore high standards of conduct are essential. Section 13.2: IMPROPER EMPLOYEE CONDUCT . The term "improper conduct" means not only any improper action by an employee in the employee's official capacity, but also conduct by an employee not connected with the employee's official duties which brings discredit to the District, which affects the ability to perform the employee's duties officially, or any improper use of the position as an employee for personal advantage. Improper conduct may be cause for disciplinary action. In addition, improper conduct includes, but is not limited to, the following: A.Fraud in securing employment or making a materially false statement on an application for employment or on any supporting documents furnished with or made a part of any application. B.Incompetency such as failure to comply with the minimum standards for an employee's position for a significant period of time. C.Neglect of duty, such as failure to perform the duties required of an employee's position. 62 D.Willful disobedience and insubordination such as a willful failure to submit to duly appointed and acting supervision or to conform to duly established orders or directions of persons in a supervisory position. E.Dishonesty involving employment. F.Being under the influence of alcohol or intoxicating drugs while on duty without a prescription. G.Addiction to or habitual use of alcoholic beverages, narcotics or any habit- forming drug. H.Violation of the District’s Drug and Alcohol Abuse and Contraband Policy. I.Violation of the District’s Harassment Policy. J.Violation of the District’s Workplace Violence Prevention Policy. K.Carrying firearms or other dangerous weapons on District premises, unless authorized to do so. L.Inexcusable absence. M.Conviction of a felony or conviction of a misdemeanor involving moral turpitude. A plea or verdict of guilty, or a conviction following a plea of nolo contendere, to a charge of a felony or any offense involving moral turpitude is deemed to be a conviction within the meaning of this section. N.Discourteous treatment of the public or other employees. O.Improper or unauthorized use of District property. P.Theft. Q.Any act of conduct undertaken which, either during or outside of duty hours, is of such a nature that it causes discredit to fall upon the District. R.Failure to maintain proper conduct during working hours causing discredit to the District. S.Mishandling of public funds. T.Abuse of sick leave. U.Excessive absenteeism. V.Inattention to duty, tardiness, indolence, carelessness or negligence in the care and handling of District property. 63 W.The employee's failure to resolve a physical or mental infirmity(s) or defect(s), when it is within the capacity of the employee to do so and when directed by his/her supervisor. X.Outside employment which conflicts with the employee's position and is not specifically authorized by the Personnel Manager. Y.Acceptance from any source of any emolument, reward, gift or other form of remuneration in addition to the employee's regular compensation, as a personal benefit to the employee for actions performed in the normal course of the employee's assigned duties. Z.Falsification of any District report or record, or of any report or record required to be,or, filed by the employee, including but not limited to time records. AA.Violation of any of the provisions of this Employee Handbook, District Operations Code, ordinances, resolutions, or any rules, regulations or policies which may be prescribed by the Costa Mesa Sanitary District Board of Directors, General Manager, or supervisor. BB.Working overtime without prior authorization. CC.Political activities precluded by Local, State or Federal law. DD.Other acts which are incompatible with service tothe public. RULE 14–GRIEVANCE PROCEDURE Section 14.1:PURPOSE .The purpose of the Grievance Procedure is to: A. Afford employees a systematic means of obtaining consideration of concerns orproblems. B. Provide that grievances are settled as near as possible to the point of origin. C. Provide that appeals are conducted as informally as possible. Section 14.2:MATTERS SUBJECT TO GRIEVANCE .Any alleged violation of the rules, policies and procedures set forth in this Employee Handbook,any alleged improper treatment of an employee, andany decision affecting an employee's employment may beconsidered to be a matter subject to review through the grievance procedure. Section 14.3:MATTERS NOT SUBJECT TO GRIEVANCE .Employees may initiate a grievance and at the first or subsequent steps in the grievance procedure a decision 64 may be made that thematter involved is not subject to grievance. Such matters may include, but are not limited to, merit increases, compensation, work methods, equipment, hours of work, services provided, staffing levels,allocation to classifications, and changes in the content of employeeperformance evaluations, verbal or written reprimands or counseling memos. Section 14.4:GRIEVANCE PROCEDURE . Step One An attempt must be made to resolve all grievances on an informal basis between the employee and the immediate supervisor. It is the responsibility of the employee to initiate this process within seven calendar daysof the date when the aggrieved action or incident became known to the employee. Step Two If the grievance is not satisfactorily resolved on an informal basis, the employee shall submit the grievance in writing to the employee's immediate supervisor within 15 calendar days after the informal decision of the immediate supervisor. The supervisor must deliver his/her answer in writing to the employee within 15 calendar days after receiving the appeal. Step Three If the grievance is not satisfactorily resolved at the second step, the employee shall present his/her appeal to his/her supervisor's immediatesupervisor within 15 calendar days after receipt of the written decision of his/her supervisor. The supervisor receiving the appeal shall render a decision, in writing, and return it to theemployee within 15 calendar days after receiving the appeal. Step Four If the grievance is not satisfactorily resolved at the thirdstep, the employeeshall submit the grievance inwriting to the GeneralManager within 15 calendar days after the decision of the employee’simmediatesupervisoris received. The GeneralManager shall render a decision in writing tothe employee within 20 calendar days after receiving the appeal. Section 14.5:CONDUCT OF GRIEVANCE PROCEDURE. Section 14.5.1: Time limits specified above may be extendedto a definite date by mutualagreement of the employee and the reviewer concerned. Section 14.5.2: Employee must be assured freedom from reprisal for using the grievanceprocedure. RULE 15–HARASSMENT POLICY 65 Section 15.1: PURPOSE. This harassment policy establishes a strong commitment to prohibit harassment in employment, to define discrimination and to set forth a procedure for investigation and resolving internal complaints of harassment. Section 15.2: DEFINITION. Disciplinary action up to and including termination will be instituted for behavior described in the definition of harassment set forth below. Harassment includes, but is not limited to: A.Verbal Harassment: For example, epithets, derogatory comments or slurs based on race, religious creed, color, national origin, ancestry, handicap, disability, medical condition, marital status, sex or age. This might include inappropriate sex oriented comments on appearance including dress or physical features or race oriented stories. B.Physical Harassment: For example, assault, impeding or blocking movement, or any physical interference with normal work or movement when directed at an individual on the basis of race, religious creed, color, national origin, ancestry, handicap, disability, medical condition, marital status, sex or age. This could be conduct in the form of pinching, grabbing, patting, propositioning, leering, or making explicit or implied job threats or promises in return for submission to physical acts. C.Visual Forms of Harassment: For example, derogatory posters, notices, bulletins, cartoons, or drawings based on race, religious creed, color, national origin, ancestry, handicap, disability, medical condition, marital status, sex or age. D.Sexual Favors: Unwelcome sexual advances, requests for sexual favors, and other verbal or physical conduct of a sexual nature that is conditioned upon an employment benefit, unreasonably interferes with an individual’s work performance or creates an offensive work environment. Section 15.3:POLICY. A.The District has a zero tolerance for any conduct that violates this Policy. Conduct need not rise to the level of a violation of law in order to violate this Policy. Instead, a single act can violate this Policy and provide grounds for discipline or other appropriate sanctions. If an employee isin doubt as to whether or not a particular conduct may violate this Policy, he/she is not engage in the conduct, andmustseek guidance from a supervisor or the Personnel Manager. The District is committed to providing a work environment free of unlawful discrimination and harassment and to discrimination-free hiring practices. The District’s anti-discrimination policy will consist of the following provisions: 1.Prohibit discriminatory conduct. 2.Require the prompt reporting and investigation of alleged discriminatory conduct. 66 3.Imposing strong sanctions against individuals who violate the policy. 4.Prohibiting retaliation against those who report or assist in the investigation of discriminatory conduct as set forth in this policy. 5.Advising persons who believe they have been the subject of discriminatory conduct of their rights under this policy as well as state and federal discrimination laws. B.Discrimination Prohibited: The District will enforce its discrimination policy by requiring the following of all District employees and officials: 1.All decisions regarding recruitment, hiring, promotions, assignments, training, or any other term or condition of employment will NOT be based on an individual’s race, religious creed, color, national origin, ancestry, handicap, medical condition, marital status, sexual orientation, sex or age. 2.Prohibiting discrimination or harassment against any person on the basis of race, religious creed, color, national origin, ancestry, handicap, disability, medical condition, marital status, genetic information, sexual orientation, sex [including gender identity and gender expression] or age. 3.Prohibiting any District employee or official from sexually harassing any applicant or employee. 4.Prohibiting the aiding, abetting, or encouraging harassment or discrimination on the basis of race, religious creed, color, national origin, ancestry, handicap, disability, medical condition, genetic information, marital status, sex [including gender identity and gender expression] or age. 5.Prohibiting any retaliation or discrimination against any individual because that individual has: a.Opposed any unlawful practice. b.Reported any act of discrimination inaccordance with this policy or the California Fair Employment and Housing Act. c.Cooperated with the District or a local or state or federal agency with authority to resolve such a complaint of discrimination in the investigation of that complaint. d.Filed or assisted in the filing of a discrimination complaint with the District or a local or state or federal agency with appropriate jurisdiction to resolve such a complaint. 67 C.Enforcement Responsibility: All District supervisory employees are responsible for ensuring all employees under their direction or control comply with this policy. Each supervisor will be responsible for monitoring the activities of all employees under his/her supervision with the potential to lead to a violation of this policy and, after consultation with the General Manager or PersonnelManager, will take appropriate corrective action. Corrective action may include counseling and/or other disciplinary action, including possible termination. Section 15.4: PROCEDURE. A.Complaint Procedure: An employee or job applicant who believes he/she has been harassed may make a written or oral complaint to any of the following: 1.Immediate supervisor 2.Personnel Manager 3.General Manager B.Upon notification of a harassment complaint, the General Manager, after consultation with the Personnel Manager, shall: 1.Authorize the investigation of the complaint and supervise and/or investigate the complaint. The investigation will include interviews with: a.The complainant, b.The accused harasser, and c.Any other persons believed to have relevant knowledge concerning the complaint. 2.Review the factual information gathered through the investigation to determine whether the alleged conduct constitutes harassment with all circumstances considered, including the nature of the verbal, physical, visual or sexual conduct and the contextin which the alleged incidents occurred. 3.Report the results of the investigation and the determination as to whether harassment occurred to appropriate persons, including to the complainant, the alleged harasser and the supervisor. If discipline is imposed, the discipline will not be communicated to the complainant. 4.If the harassment occurred, take effective remedial action against the harasser.The action will be commensurate with the severity of the offense. 68 5.Take reasonable steps to protect the victim from further harassment and any retaliation as a result of communicating the complaint. C.Dissemination Policy: This policy shall be postedin appropriate visible locations. D.The District takes a proactive approach to potential Policy violations and will conduct an investigation if its officers, supervisors, or managers become aware that harassment, discrimination, or retaliation may be occurring, regardless of whether the recipient or third party reports a potential violation. E.Option to Report to Outside Administrative Agencies: An individual has the option to report harassment, discrimination, or retaliation to the U.S. Equal Employment Opportunity Commission (EEOC) or the California Department of Fair Employment and Housing (DFEH). These administrative agencies offer legal remedies and a complaint process. The nearest offices are listed in the government section of the telephone book or employees can check the posters that are located on employer bulletin boards for office locations and telephone numbers. F.Confidentiality: Every possible effort will be made to assure the confidentiality of complaints made under this Policy. Complete confidentiality cannot occur, however, due to the need to fully investigate and the duty to take effective remedial action. As a result, confidentiality will be maintained to the extent possible. An individual who is interviewed during the courseof an investigation is prohibited from discussing the substance of the interview, except as otherwise directed by a supervisor or the Personnel Manager. Any individual who discusses the content of an investigatory interview will be subject to discipline or other appropriate sanction. The District will not disclose a completed investigation report expect as it deems necessary to support a disciplinary action, to take remedial action, to defend itself in adversarial proceedings, or to comply with the law or court order. G.Responsibilities: Manager and Supervisors are responsible for: 1.Informing employees of this Policy. 2.Modeling appropriate behavior. 3.Taking all steps necessary to prevent harassment, discrimination, or retaliation from occurring. 4.Receiving complaints in a fair and serious manner, and documenting steps taken to resolve complaints. 5.Monitoring the work environment and taking immediate appropriate action to stop potential violations, such as removing inappropriate pictures or correcting inappropriate language. 69 6.Following up with those who complained to ensure that the behavior has stopped and that there are no reprisals. 7.Informing those who complain of harassment or discrimination of his or her option to contact EEOC or DFEH regarding alleged Policy violations. 8.Assisting, advising, or consulting with employees and the Personnel Managerregarding this Policy and Complaint Procedure. 9.Assisting in the investigation of complaints involving employee(s) in their departments and, if the complaints substantiated, recommending appropriate corrective or disciplinary action in accordance with thisEmployee Handbook, up to and including termination. 10.Implementing appropriate disciplinary and remedial actions. 11.Reporting potential violations of this Policy of which he or she becomes aware, regardless of whether a complaint has been submitted, to the Personnel Manager or General Manager. 12.Participating in periodic training and scheduling employees for training. Each employee or contractor is responsible for: 1.Treating all employees and contractors with respect and consideration 2.Modeling appropriate behavior. 3.Participating in periodic training. Section 15.5:VIOLATION OF POLICY.VIOLATION OF THIS HARASSMENT POLICY GENERALLY SHALL CONSTITUTE JUST AND REASONABLE CAUSE FOR DISCIPLINE, UP TO AND INCLUDING TERMINATION. RULE 16–ZERO TOLERANCE INCIVILITY AND BULLYING POLICY Section 16.1: POLICY. The District has a zero tolerance policy for incivility and bullying in the workplace. Understanding and mutual respect toward all individuals are essential elements to the existence of a safe and healthy workplace. Any employee who commits an act of incivility or bullying is subject to disciplinary action up to and including termination. This policy applies to all District personnel. Section 16.2: INCIVILITY. 70 A.Uncivil office behavior includes acting in a characteristically rude and discourteous manner and, displaying a lack of regard for others. Examples include: taking someone else’s food or beverage, purposely not greeting or acknowledging someone at the office, taking the last cup of coffee and not making more, and not giving credit to a colleague on a project. When incivility is extensive it leads to lower job satisfaction, decrease in performance, higher absenteeism, and low morale. B.Preventive/Response Measure: Treat other workers the way you would like to be treated, extend common courtesies, maintain appropriate boundaries, and ask for assistance from management or human resources when needed. Section 16.3: BULLYING. A.Workplace bullying is behavior that harms, intimidates, offends, degrades, or humiliates an employee, possibly in front of other employees, clients, or customers. Workplace bullying may cause the loss of trained and talented employees, reduce productivity and morale, and create legal risks. Examples of bullying include: spreading rumors, gossip and innuendo, intimidating a person, undermining or deliberately impeding a person’s work, physically abusing or threatening abuse, removing areas of responsibilities without cause, withholding necessary information, making jokes that are obviously offensive, intruding on a person’s privacy by pestering/spying/stalking, under work-creatinga feeling of uselessness, yelling or using profanity, criticizing a person consistently or constantly, belittling a person’s opinion, unwarranted punishment, blocking applications for training/leave/ promotion, tampering with a person’s personal belongings. If in doubt if an action could be bullying,ask yourself if a reasonable person would consider the action acceptable. B.Preventive/Response Measure: Report bullying to your supervisor or Personnel Manager. An informal investigation will be conducted. In the event the informal stage is not sufficient, or the offense is of a serious nature, a formal investigation will be conducted. Any reports of workplace bullying will be treated seriously and investigated promptly. Managers and supervisors must ensure employees who make complaints, or witnesses are not victimized. Section 16.4:TRAINING. In order to eliminate and/or minimize risks involved with incivility and bullying, the Personnel Manager is responsible for scheduling training for employees. Staffis responsible for implementing the training. Managers and Supervisors are responsible for enforcing the policy. RULE 17–WORKPLACE VIOLENCE PREVENTION POLICY Section 17.1: PURPOSE. The purpose of this policy is to maintain a zero tolerance standard of violence in the workplace. This policy provides District employees with guidance that will maintain an environment at and within District premises and facilities as well as events that are free of violence and the threat of violence. This policy applies 71 to all full-time and part-time employees and includes volunteers, temporary and provisional employees as well as contracted employees. Section 17.2: POLICY. The District prohibits violent behavior of any kind or threats of violence, either implied or direct, in District premises and facilities as well as at District sponsored events. Such conduct by a District employee will not be tolerated. An employee who exhibits violent behavior may be subject to criminal prosecution and shall be subject to disciplinary action up to and including termination. Violent threats or actions by a non-employee may result in criminal prosecution. The District will investigate all complaints filed and will also investigate any possible violation of this policy of which District management are made aware. Retaliation against a person who makes a good faith complaint regarding violent behavior or threats of violence made to him/her is also prohibited. Section 17.3: DEFINITIONS. A.Workplace Violence: Behavior in which an employee, former employee or visitor to a workplace inflicts or threatens to inflict damage to property, serious harm, injury or death to others at the workplace. B.Threat: The implication or expression of intent to inflict physical harm or actions thata reasonable person would interpret as a threat to physical safety or property. C.District premises or District facilities means all property of the District including, but not limited to the offices, facilities and surrounding areas on District- owned or-leased property, parking lots, and storage areas. The term also includes District-owned or -leased vehicles and equipment wherever located, as well as, pump station, sites, sewer line, excavation sites. D.Intimidation: Making others afraid or fearful through threatening behavior. E.Zero-tolerance: A standard that establishes that any behavior, implied or actual that violates the policy will not be tolerated. F.Court Order: An order by a Court that specifies and/or restricts the behavior of an individual. Court orders may be issued in matters involving domestic violence, stalking or harassment, among other types of protective orders, including Temporary Restraining Orders. Section 17.4: PROHIBITED BEHAVIOR. A.Violence in the workplace may include, but is not limited to the following list of prohibited behaviors directed at or by a co-worker, supervisor or member of the public: 1.Direct threats or physical intimidation. 72 2.Implications or suggestions of violence. 3.Stalking including following to and from work. 4.Possession of weapons of any kind on District premises, including parking lots, other exterior premises or while engaged in activities for District in other locations, or at District sponsored events. 5.Assault of any form. 6.Physical restraint or confinement. 7.Dangerous or threatening horseplay. 8.Loud, disruptive or angry behavior or language that is clearly not part of the typical work environment. 9.Blatant or intentional disregard for the safety or well-being of others. 10.Commission of a violent felony or misdemeanor on District premises. 11.Any other act that a reasonable person would perceive as constituting a threat of violence. B.Domestic violence, while often originating in the home, can significantly impact workplace safety and the productivity of victims as well as co-workers. For the purposes of this document, "domestic violence" is defined as abuse committed against an adult or fully emancipated minor. Abuse is the intentional or reckless attempt to cause bodily injury, sexual assault, threatening behavior, harassment, or stalking, or making annoying phone calls to a person who is in any of the following relationships: 1.Spouse or former spouse; 2.Domestic partner or former domestic partner; 3.Cohabitant or former cohabitant and or other household members; 4.A person with whom the victim is having, or has had, a dating or engagement relationship; 5.A person with whom the victim has a child. 6.The District recognizes that domestic violence mayoccur in relationships regardless of the marital status, age, race, or sexual orientation of the parties. 73 C.REPORTING ACTS OR THREATS OF VIOLENCE. An employee who: 1.is the victim of violence, or 2.believes they have been threatened with violence,or 3.witnesses an act or threat of violence towards anyone else shall take the following steps: a.If an emergency exists and the situation is one of immediate danger, the employee shall contact the Costa Mesa Police Department by dialing 9-1-1, or push the emergency button located underneath the front counter and may take whatever emergency steps are available and appropriate to protect himself/herself from immediate harm, such as leaving the area. b.If the situation is not one of immediate danger, the employee shall report the incident to the appropriate supervisor or manager as soon as possible and complete the District’s Workplace Violence Incident Report Form. D.PROCEDURES FOR FUTURE VIOLENCE. 1.Employees who have reason to believe they, or others, may be victimized by a violent act sometime in the future, at the workplace or as a direct result of their employment with the District, shall inform their supervisor by immediately completing a Workplace Violence Incident Report Form so appropriate action may be taken. The supervisor shall inform the General Manager and the local law enforcement officials. 2.Employees who have signed and filed a restraining order, temporary or permanent, against an individual due to a potential act of violence, whowould be in violation of the order by coming near them at work, shall immediately supply a copy of the signed order to their supervisor. The supervisor shall provide copies to the General Manager and to the Costa Mesa Police Department. E.INCIDENT INVESTIGATION. 1.Acts of violence or threats will be investigated immediately in order to protect employees from danger, unnecessary anxiety concerning their welfare, and the loss of productivity. The General Manager will cause to be initiated an investigation into potential violation of work rules/policies. Simultaneously, the General Manager will refer the matter to local police for their review of potential violation of civil and/or criminal law. 74 2.Procedures for investigating incidents of workplace violence include: a.Visiting the scene of an incident as soon as possible. b.Interviewing injured and threatened employees and witnesses. c.Examining the workplace for security risk factors associated with the incident, including any reports of inappropriate behavior by the perpetrator. d.Determining the cause of the incident. e.Taking mitigating action to prevent the incident from recurring. f.Recording the findings and mitigating actions taken. 3.In appropriate circumstances, the District will inform the reporting individual of the results of the investigation. To the extent possible, the District will maintain the confidentiality of the reporting employee and the investigation but may need to disclose results in appropriate circumstances; for example, in order to protect individual safety. The District will not tolerate retaliation against any employee who reports workplace violence. F.MITIGATING MEASURES. Incidents which threaten the security of employees shall be mitigated as soon as possible following their discovery. Mitigating actions include: 1.Notification of law enforcement authorities when a potential criminal act has occurred. 2.Provision of emergency medical care in the event of any violent act upon an employee. 3.Post-event trauma counseling for those employees desiring such assistance. 4.Assurance that incidents are handled in accordance with the Workplace Violence Prevention policy. 5.Requesting District Counsel file a restraining order as appropriate. G.TRAINING AND INSTRUCTION. 75 1.The District shall be responsible for ensuring that all employees, including managers and supervisors, are provided training and instruction on general workplace security practices. Managers and supervisors shall be responsible for ensuring that all employees are provided training and instructions on job specific workplace security practices. 2.Training and instruction shall be provided as follows: a.To all current employees when the policy is first implemented. Employees will be required to sign a written acknowledgment that the policy has been received and read. b.To all newly hired employees, supervisors and managers, or employees given new job assignments for which specific workplace security training for that job assignment has not previously been provided. Employees will be required to sign a written acknowledgment that the policy has been received and read. c.To affected employees whenever management is made aware of a new or previously unrecognized hazard. 3.Workplace security training and instruction includes, but is not limited to, the following: a.Preventive measures to reduce the threat of workplace violence, including procedures for reporting workplace security hazards. b.Methods to diffuse hostile or threatening situations. c.Escape routes. d.Explanation of this Workplace Violence Prevention Policy. In addition, specific instructions shall be provided to all employees regarding workplace security hazards unique to their job assignment. RULE 18–DRUG AND ALCOHOL ABUSE AND CONTRABAND POLICY Section 18.1: PURPOSE. Costa Mesa Sanitary District recognizes that the use of alcohol and/or controlled substances in the workplace is not conducive to safe working conditions. In order to promote a safe, healthy and productive work environment for all employees, it is the objective of the District to have a work force that is free from the influence of alcohol and controlled substances. The purpose of this policy is to outline the goals and objectives of the Costa MesaSanitary District’s (District) drug and alcohol testing program and provide guidance to supervisors and employees concerning their responsibilities for carrying out the program. The Costa Mesa Sanitary District reserves the right to amend this policy from time to time in order to comply with changes, amendments or interpretations of Federal Regulations. 76 Section 18.2: POLICY. A.The District has a vital interest in maintaining a safe, healthy, and efficient working environment. Being under the influence of a drug or alcohol on the job poses serious safety and health risks to the user and to all those who work with the user. The use, sale, purchase, transfer, or possession of an illegal drug in the workplace, and being under the influence of alcohol poses unacceptable risks for safe, healthy, and efficient operations. B.The District has the right and obligation to maintain a safe, healthy, and efficient workplace for all of its employees, and to protect the organization’s property, information, equipment, operations and reputation, as well as protecting the public. C.The District recognizes its obligations to the public for the provision of services that are free of the influence of illegal drugs and alcohol, and will endeavor through this policy toprovide drug-and alcohol-free services. D.The District further expresses its intent through this policy to comply with federal and state rules, regulations or laws that relate to the maintenance of a workplace free from illegal drugs and alcohol. E.Asa condition of employment, all employees are required to abide by the terms of this policy and to notify District management of any criminal drug statute conviction for a violation occurring in the workplace no later than five days after such conviction. F.The District has a heightened interest in safety concerns with heavy equipment operators and others who operate potentially dangerous equipment that justifies special provisions relating to those employees. Section 18.3: DEFINITIONS. A.ACCIDENT-means an unintended happening or mishap where there is loss of human life (regardless of fault), bodily injury or significant property damage. B. ADULTERATED SPECIMEN-means a specimen that has been altered, as evidenced by test results showing either a substance that is not a normal constituent for that type of specimen or showing an abnormal concentration of an endogenous substance. - C. ALCOHOLthe intoxicating agent in beverage alcohol, ethyl alcohol or other low molecular weight alcohol including methyl or isopropyl alcohol, including but not limited to beer, wine and distilled spirits. D. ALCOHOL CONCENTRATION -means the alcohol in a volume of breath expressed in terms of grams of alcohol per 210 liters of breath as indicated by an 77 evidential breath test under this regulation. For example, 0.02 means 0.02 grams of alcohol in 210 liters of expired deep lung air. E. ALCOHOL USE -means consumption of any beverage, mixture, or preparation, including any medication containing ethyl alcohol. Since ingestion of a given amount of alcohol produces the same alcohol concentration in an individual whether the alcohol comes from a mixed drink or cough syrup, the Department of Transportation prohibits the use of any substance containing alcohol, such as prescription or over-the-counter medication or liquor-filled chocolates. Prescription medications containing alcohol may have a greater impairing affect due to the presence of other elements (e.g., antihistamines). F. BREATH ALCOHOL TECHNICIAN (BAT) -means a person trained to proficiency in the operation of the Evidential Breath Testing (EBT) device that the technician is using in the alcohol testing procedures. BATs are the only qualified personnel to administer the EBT tests. G.CHAIN OF CUSTODY -means the procedures to account for the integrity of each urine specimen by tracking its handling and storage from point of collection to final disposition. H. COLLECTION SITE -means a place designated by the District where individuals present themselves for the purpose of providing a specimen of either urine and/or breath. I.COMMERCIAL MOTOR VEHICLE -means a motor vehicle, or combination of motor vehicles used in commerce to transport passengers or property if the motor vehicle: (1) has a gross combination weight rating of 26,001 or more pounds inclusive of a towed unit with a gross vehicle weight rating of more than 10,000 pounds; or (2) has a gross vehicle weight rating of 26,001 or more pounds; or (3) is designed to transport 16 or more passengers, including the driver; or (4) is of any size and is used in the transportation of materials found to be hazardous for the purposes of the Hazardous Materials Transportation Act and which require the motor vehicle to be placarded under the Hazardous Materials Regulations. J. CONFIRMATION TEST -for alcohol testing means a second test, following a screening test with a result of 0.02 or greater, that provides quantitative data of alcohol concentration. For controlled substances testing this means a second analytical procedure to identify the presence of a specific drug or metabolite which is independent of the screen test and which uses a different technique and chemical principle from that of the screen test in order to ensure reliability and accuracy. (Gas chromatography/mass spectrometry (CG/MS) is the only authorized confirmation method of cocaine, marijuana, opiates, amphetamines, and phencyclidine.) K. CONTRABAND-any article, the possession of which on District premises or while on District business, causes an employee to be in violation of District Personnel Rules and Regulations or state and/or federal law. Contraband includes illegal drugs, 78 drug paraphernalia, lethal weapons, firearms, explosives, incendiaries, and stolen property. L. CONTROLLED SUBSTANCE (DRUG)TEST -A method of detecting and measuring the presence of alcohol and other controlled substances, whether legal or illegal, in a person's body. A controlled substance test may be either an initial test or confirmation test. An initial controlled substance test is designed to identify specimens having concentrations of a particular class of drug above a specified concentration level. It eliminates negative specimens from further consideration. Controlled substances will be tested under the Department of Health and Human Services guidelines. The primary (initial or screening) controlled substance test thresholds for a verified positive test result are those that are equal to or greater than: Amphetamines Amphetamine/Methamphetamine (1) 500 ng/ml MDMA (Methylenedioxymethamphetamine)500 ng/ml Cocaine Metabolites150 ng/ml Marijuana Metabolites50 ng/ml Opiate Metabolites Codeine/Morphine (2)2000 ng/ml 6-Acetylmorphine10 ng/ml Phencyclidine (PCP)25 ng/ml A confirmation drug testing is a second analytical procedure to detect the presence of a specific drug or its metabolite. The confirmation procedure is conducted independent of the initial test and uses a different technique and chemical principle in order to confirm reliability and accuracy. The confirmatory controlled substance test thresholds for a verified positive test result are those that are equal to or greater than: Amphetamines Amphetamine250 ng/ml Methamphetamine (3)250 ng/ml MDMA (Methylenedioxymethamphetamine)250 ng/ml MDA (Methlenedioxyamphetamine)250 ng/ml MDEA (Methlenedioxyethamphetamine)250 ng/ml Cocaine Metabolite (Benzoylecgonine)100 ng/ml 79 Marijuana Metabolite (THCA: Delta-9-tetrahydrocannabinol-9-carboxylic acid)15 ng/ml Opiate Metabolites 6-Acetylmorphine10 ng/ml Codeine2000 ng/ml Morphine2000 ng/ml Phencyclidine (PCP)25 ng/ml (1) Methamphetamine is the target analyte (2) Morphine is the target analyte (3) Specimen must also contain amphetamineat a concentration greater than or equal to100 ng/ml M. COVERED EMPLOYEE -means a person including a volunteer, applicant, or transferee, who performs a safety-sensitive function for the District. N. DEPARTMENT OF TRANSPORTATION GUIDELINES -means the controlled substance and alcohol testing rules (49 CFR Part 199 (PHMSA -Pipeline), Part 219 (FRA -Railroad), Part 382 (FMCSA -Commercial Motor Vehicle), 654 (FTA -Mass Transit) and 14 CFR 61 (FAA -Aviation) et. al.) setting forth the procedures for controlled substance and alcohol testing (49 CFR Part 40) in all the transportation industries. O.DESIGNATED EMPLOYER REPRESENTATIVE (DER) -means an employee authorized by the employer to take immediate action to remove employees from safety-sensitive duties and to make required decisions in testing. The DER also receives test results and other communications for the employer, consistent with Department of Transportation Guidelines. P. DILUTE SPECIMEN -means a specimen with creatinine and specific gravity values that are lower than expected for human urine. Q.DISTRICT -means Costa Mesa Sanitary District DISTRICT PREMISES OR DISTRICT FACILITIES-all property of District including, but not limited to the offices, facilities and surrounding areas on District-owned or -leased property, pump stations, sewer lineeasement areas, parking lots, and storage areas. The term also includes District-owned or -leased vehicles and equipment wherever located. 80 R. DISTRICT TIME -means any period of time in which the safety-sensitive employee is actually performing, ready to perform, or immediately available to perform any safety-sensitive functions. S. DRIVER -means any person who operates a commercial motor vehicle. This includes full time, regularly employed drivers; casual, intermittent or occasional drivers; leased drivers and independent, owner-operator contractors who are either directly employed by or under lease to an employer or who operate a commercial motor vehicle at the direction of or with the consent of an employer. For the purposes of pre- employment/pre-duty testing only, the term driver includes a person applying to an employer to drive a commercial motor vehicle. T. DRUG TESTING-the scientific analysis of urine, blood, breath, saliva, hair, tissue, and other specimens of the human body for the purpose of detecting a drug or alcohol. U. DRUG (CONTROLLED SUBSTANCE) METABOLITE -means the specific substance produced when the human body metabolizes (changes) a given drug (controlled substance) as it passes through the body and is excreted in urine. V. EVIDENTIAL BREATH TESTING DEVICE (EBT) -means the device to be used for breath alcohol testing. HHS -means the United States Department of Health and Human Services. W. ILLEGAL DRUG-any drug which is not legally obtainable; any drug which is legally obtainable but has not been legally obtained; any prescribed drug not legally obtained; any prescribed drug not being used for the prescribed purpose; any over-the- counter drug being used at a dosage level other than recommended by the manufacturer or being used for a purpose other than intended by the manufacturer; and any drug being used for a purpose not in accordance with bona fide medical therapy. Examples of illegal drugs are cannabis substances, such asmarijuana and hashish, cocaine, heroin, methamphetamine, phencyclidine (PCP), and so-called designer drugs and look-alike drugs. X. INITIAL SPECIMEN VALIDITY TEST -means the first test used to determine if a urine specimen is adulterated, diluted,substituted, or invalid. Y. INVALID DRUG TEST -means the results reported by an HHS-certified laboratory in accordance with the criteria established by HHS Mandatory Guidelines when a positive, negative, adulterated, or substituted result cannot be established for a specific drug or specimen validity test. Z. LABORATORY -means any United States laboratory certified by HHS under the National Laboratory Certification Program as meeting the minimum standards of HHS Mandatory Guidelines for Federal Workplace Drug Testing Programs; or, in the case of foreign laboratories, a laboratory approved for participation by DOT under 49 CFR Part 40. 81 AA. LEGAL DRUG-any prescribed drug or over-the-counter drug that has been legally obtained and is being used for the purpose for which prescribed or manufactured. BB. LIMIT OF DETECTION (LOD) -means the lowest concentration at which a measurecan be identified, but (for quantitative assays) the concentration cannot be accurately calculated. CC. LIMIT OF QUANTITATION -for quantitative assays, means the lowest concentration at which the identity and concentration of the measurand can be accurately established. DD. MEDICAL REVIEW OFFICER (MRO) -means a licensed physician responsible for analyzing laboratory results generated by an employer's controlled substance (drug) testing program. The MRO is knowledgeable about substance abuse disorders and has appropriate medical training to interpret and evaluate positive test results. EE. NEGATIVE DILUTE TEST RESULTS -means drug test results that are negative for the five drug/drug metabolites but has a specific gravity value lower than expected for human urine. FF. NEGATIVE TEST RESULTS -means for: (1) a drug test the result reported by an HHS-certified laboratory to an MRO whena specimen contains no drug or the concentration of the drug is less than the cutoff concentration level for the drug or drug class and the specimen is a valid specimen; and (2) an alcohol test with an alcohol concentration of less than 0.02 BAC. GG.NON-NEGATIVE TEST RESULTS -means a test result found to be adulterated, substitute, invalid, or positive for drug/drug metabolites. HH. PERFORMING (SAFETY SENSITIVE FUNCTION) -means a safety- sensitive employee is considered to be performing a safety sensitive function and includes any period in which the safety-sensitive employee is actually performing, ready to perform, or immediately available to perform such functions. II.POSITIVE TEST RESULTS -means for: (1) for a drug test means the result reported by an HHS-certified laboratory when a specimen contains a drug or drug metabolite equal to or greater than the cutoff concentrations; and (2) an alcohol test with a confirmed alcohol concentration of 0.04 BAC or greater. JJ. POST-ACCIDENT ALCOHOL AND/OR CONTROLLED SUBSTANCE TESTING -conducted after accidents on employees whose performance could have contributed to the accident. For drivers this is determined by a citation for a moving traffic violation and for all fatal accidents even if the driver is notcited for a moving traffic violation. See Accident. 82 KK. PRE-EMPLOYMENT CONTROLLED SUBSTANCE TESTING -conducted before applicants are hired or after an offer to hire, but before actually performing safety-sensitive functions for the first time. Also required when employees transfer to a safety sensitive-position. LL. PROHIBITED DRUGS (CONTROLLED SUBSTANCES) -means Amphetamines, Cocaine, Marijuana, Opiates or Phencyclidine. MM. PROHIBITED SUBSTANCES -means and is synonymous to drug abuse and/or alcohol misuse or abuse. NN. RANDOM ALCOHOL AND/OR CONTROLLED SUBSTANCE TESTING - conducted on a random unannounced basis just before, during or just after performance of safety sensitive functions. OO.REASONABLE BELIEF-a belief based on objective facts sufficient to lead a prudent person to conclude that a particular employee is unable to satisfactorily perform his or her job duties due to drug or alcohol impairment. Such inability to perform may include, but not be limited to, decreases in the quality or quantity of the employee’s productivity, judgment, reasoning, concentration and psychomotor control, and marked changes in behavior. Accidents, deviations from safe working practices, and erratic conduct indicative of impairment are examples of “reasonable belief” situations. PP. REASONABLE SUSPICION ALCOHOL AND/OR CONTROLLED SUBSTANCE TESTING -conducted when a trained supervisor observes behavior or appearance that is characteristic of alcohol misuse or controlled substance abuse. QQ.RECONFIRMED -means the result reported for a split specimen when the second laboratory is able to corroborate the original result reported for the primary specimen. RR. REFUSE TO SUBMIT (TO AN ALCOHOL AND/OR CONTROLLED SUBSTANCE TEST) -The following are considered a refusal to test if the employee: (a) Fails to appear for any test (excluding pre-employment) within a reasonable time, as determined by the employer, after being directed to do so by the employer; or (b) Fails to remain at the testing site until the testing process is complete; or (c) Fails to provide a urine or breath specimen for any drug or alcohol test required by Part 40 or DOT agency regulations; or (d) In the case of a directly observed or monitored collection in a drug test, fails to permit the observation or monitoring of your provision of a specimen; or (e) Fails to provide a sufficient amount of urine or breath when directed, and it has been determined, through a required medical evaluation, that there was no adequate medical explanation for the failure; or (f) Fails or declines to take a second test the employer or collector has directed you to take; or (g) Fails to undergo a medical examination or evaluation, as directed by the MRO as part of the verification process, or as directed by the DER as part of the 'shy bladder' or 'shy lung' procedures; or (h) Fails to cooperate with any part of the testing process (e.g., refuse to empty pockets when so directed by the collector, behave in a confrontational way that disrupts the collection 83 process); or (i) Ifthe MRO reports that there is verified adulterated or substituted test result; or (j) Failure or refusal to sign Step 2 of the alcohol testing form. SS. REHABILITATION -The total process of restoring an employee to satisfactory work performance through constructive confrontation, referral to the SAP and participation in SAP recommendations such as education, treatment and/or support groups to resolve personal, physical or emotional/mental problems which contributed to job problems. TT.REJECTED FOR TESTING -means the result reported by an HHS-certified laboratory when no tests are performed for a specimen because of a fatal flaw or a correctable flaw that is not corrected. UU.RETURN-TO-DUTY AND FOLLOW-UP ALCOHOL AND/OR CONTROLLED SUBSTANCE TESTING -conducted when an individual who has violated the prohibited alcohol or controlled substance conduct standards returns to performing safety sensitive-duties. Follow-up tests are unannounced and at least 6 tests must be conducted in the first 12 months afteran employee returns to duty. Follow-up testing may be extended for up to 60 months following return to duty upon the SAP recommendation. VV.RETURN-TO-DUTY AGREEMENT -means a document agreed to and signed by the employer, safety-sensitive employee and the Substance Abuse Professional that outlines the terms and conditions under which the safety-sensitive employee may return to duty after having had a verified positive controlled substance test result or an alcohol concentration of 0.04 or greater on an alcohol test. WW.SAFETY-SENSITIVE EMPLOYEE (FUNCTION AND/OR POSITION) -An employee is considered to be performing a safety-sensitive function during any period in which that employee is actually performing, ready to perform, or immediately available to perform any safety-sensitive functions. XX.SCREENING (INITIAL) TEST -In alcohol testing, it means an analytical procedure to determine whether a safety-sensitive employee may have a prohibited concentration of alcohol in their system. In controlled substance testing, it means an immunoassay screen to eliminate negative urine specimens from further consideration. YY.SPLIT SPECIMEN COLLECTION -means a collection in which the urine collected is divided into two separate specimen bottles, the primary specimen (Bottle A) and the split specimen (Bottle B). ZZ.SUBSTANCE ABUSE PROFESSIONAL (SAP) -means a licensed physician (Medical Doctor or Doctor of Osteopathy), or a licensed or certified psychologist, social worker (with knowledge of and clinical experience in the diagnosis and treatment of drug and alcohol-related disorders, the license alone does not authorize this), Certified Employee Assistance Professional (CEAP), or addiction counselor certified by the National Association of Alcoholism and Drug Abuse Counselors Certification 84 Commission (NAADAC) with knowledge of and clinical experience in the diagnosis and treatment of alcohol and controlled substances-related disorders. AAA.SUBSTITUTED SPECIMEN -means a specimen with creatinine and specific gravity values that are so diminished that they are not consistent with normal human urine. BBB.SUPERVISOR -means a person in authority who has had one hour of training on the signs and symptoms of alcohol abuse and an additional hour of training on the signs and symptoms of controlled substance abuse. CCC.UNDER THE INFLUENCE-a condition in which a person is affected by a drug or by alcohol in any detectable manner. The symptoms of influence are not confined to those consistent with misbehavior, nor to obvious impairment of physical or mental ability, such as slurred speech or difficulty in maintaining balance. A determination of being under the influence can be established by a professional opinion, a scientifically valid test, such as urinalysis or bloodanalysis, and in some cases by the opinion of a layperson. DDD.VEHICLE -means a bus, electric bus, van, automobile, rail car, trolley car, trolley bus, or vessel used for mass transportation EEE.VERIFIED NEGATIVE DRUG TEST -means a drug test resultreviewed by a Medical Review Officer and determined to have no evidence of prohibited drug use above the minimum cutoff levels established by Department of Transportation Guidelines. FFF.VERIFIED POSITIVE DRUG TEST -means a drug test result reviewed by a Medical Review Officer and determined to have evidence of prohibited drug use above the minimum cutoff levelsestablished by Department of Transportation Guidelines. Section 18.4:EDUCATION. A.Supervisors and other management personnel are to be trained in: 1.Detecting the signs and behavior of employees who may be using drugs or alcohol in violation of this policy; 2.Intervening in situations that may involve violations of this policy; 3.Recognizing the above activities as a direct job responsibility. B. Employees are to be informed of: 1.The health and safety dangers associated with drug and alcohol abuse; 85 2.The provisions of this policy. Section 18.5: PROHIBITED ACTIVITIES. A.LEGAL DRUGS. 1.The undisclosed use of any legal drug, which could interfere with the safe and efficient performance of duties or operation of District equipment, by any employee while performing District business or while on District premises is prohibited. However, an employee may continue to work even though using a legal drug if District management has determined, after consulting with General Manager, that such use does not pose a threat to safety and that the using employee’s job performance is not significantly affected. Otherwise, the employee may be required to take leave of absence or comply with other appropriate action as determined by District management. 2.An employee whose medical therapy requires the use of a legal drug, which could interfere with the safe and efficient performance of duties or operation of District equipment, must report such use to his or her supervisor prior to the performance of District business. The supervisor who is so informed will contact the General Manager. 3.The District at all times reserves the right to judge the effect that a legal drug may have on job performance and to restrict the using employee’s work activity or presence at the workplace accordingly. If there is a question regarding an employee’s ability to perform assigned duties safely and effectively whileusing legal drugs, the District may require medical clearance. B.ILLEGAL DRUGS AND ALCOHOL. 1.The use, sale, purchase, transfer or possession of an illegal drug by any employee while on District premises or while performing District business is prohibited. 2.The use, sale or purchase of alcohol by any employee while on District premises or while performing District business is prohibited. Section 18.6: DISCIPLINE. A.Any employee who possesses, distributes, sells, attempts to sell, or transfers illegal drugs on District premises or while on District business will be discharged immediately. B.Any employee who is found to be under the influence of alcohol in violation of this policy will be subject to discipline up to and including discharge. 86 C.Any employee who is found to be in possession of contraband in violation of this policy will be subject to discipline up to and including discharge. D.Any employee who is found through drug or alcohol testing to have in his or her body a detectable amount of an illegal drug or of alcohol will be subject to discipline up to and including discharge. E.Any employee who knows or has reasonable suspicion that another employee is using, selling, under the influence or otherwise in violation of this policy shall have a duty to report that suspicion to the General Manager. Failure to report such suspicion may result in discipline up to and including discharge. Section 18.7: DRUG AND ALCOHOL TESTING OF ALL JOB APPLICANTS. A.All applicants for employment are subject to drug and alcohol testing. B.Such an applicant must pass the drug test to be considered for employment. CAn applicant will be notified of District’s drug and alcohol testing policy prior to being tested; will be informed in writing of his or her right to refuse to undergo such testing; and will be informed that the consequence of refusal is termination of the pre-employment process. D.An applicant will be provided written notice of this policy and by signature will be required to acknowledgereceipt and understanding of the policy. EIf an applicant refuses to take a drug or alcohol test, or if evidence of the use of illegal drugs by an applicant is discovered, either through testing or other means, the pre-employment process will be terminated. Section 18.8: DRUG AND ALCOHOL TESTING OF EMPLOYEES BASED ON REASONABLE BELIEF. A.District will notify employees of this policy by: 1.Providing to each employee a copy of the policy, and obtaining a written acknowledgement from each employee that the policy has been received and read. 2.Announcing the policy in various written communications and making presentations at employee meetings. B.District may perform drug or alcohol testing: 1.of any employee who manifests “reasonable belief” behavior; 87 2.of any employee who is involved in an accident that results or could result in the filing of a Workers’ Compensation claim; or 3.of any employee who is subject to drug or alcohol testing pursuant to federal or state rules, regulations or laws. C.An employee’s consent to submit to drug or alcohol testing when reasonable belief exists is required as a condition of employment and the employee’s refusal to consent may result in disciplinary action, including discharge, for a first refusal or any subsequent refusal. D.An employee who is tested in a “reasonable belief” situation may be placed on administrative leave pending receipt of written tests results and whatever inquiries may be required. Section 18.9:APPEAL OF DRUG OR ALCOHOL TEST RESULT–NON-SAFETY SENSITIVE EMPLOYEES. A.An employee whose drug or alcohol test is reported positive will be offered the opportunity to: 1.Obtain and independently test, at the employee’s expense, the remaining portion of the urine specimen that yielded the positive result; 2.Obtain the written test result and submit it to an independent medical review at the employee’s expense. Section 18.10:INSPECTION AND SEARCHES A.District may conduct unannounced general inspections and searches for illegal drugs or contraband on District premises or in District vehicles or equipment wherever located. Employees are expected to cooperate. B.Contrabandis an article that is illegal to possess. C.Illegal drugs, drugs believed to be illegal, and drug paraphernalia found on District property will be turned over to the Costa Mesa Police Department and the full cooperation given to any subsequent investigation. D.Other forms of contraband, such as firearms, explosives, and lethal weapons, will be subject to seizure during an inspection or search. An employee who is found to possess contraband on District property or while on District business will be subject to discipline up to and including discharge. E.If an employee is the subject of a drug-related investigation by District or by a law enforcement agency, the employee may be placed on administrative leave pending completion of the investigation. 88 Section 18.11: SUBSTANCE ABUSE POLICY FOR SAFETY SENSITIVE EMPLOYEES This policy is also intended to comply with all applicable Federal regulations governing workplace anti-drug programs in the transportation industry. The Federal Motor Carrier Safety Administration (FMCSA) of the Department of Transportation has enacted 49 CFR Part 382 that mandate urine drug testing and breathalyzer alcohol testing for safety-sensitive positions and prevents performance of safety-sensitive functions when there is a positive test result. The Department of Transportation has also enacted 49 CFR Part 40 that sets standards for the collection and testing of urine and breath specimens. In addition, the Department of Transportation has enacted 49 CFR Part 29, "The Drug-Free Workplace Act of 1988," which requires the establishment of drug free workplace policies and the reporting of certain drug-related offenses to the Department of Transportation. The policy incorporates those requirements of safety-sensitive employees and others when so noted. A. APPLICABILITYThis policy applies to all safety-sensitive employees and contractors whenthey are on District property or when performing any District related business. It applies to off-site lunch periods and breaks when a safety-sensitive employee is scheduled to return to work. Visitors, vendors, and contracted employees are governed by this policy while on District premises, and they will not be permitted to conduct business if found to be in violation of this policy. A listing of Costa Mesa Sanitary District employee function and/or position classifications can be found in Appendix 'A' of this policy statement. A safety-sensitive employee is considered to be performing a safety-sensitive function during any period in which that employee is actually performing, ready to perform, or immediately available to perform any safety-sensitive functions. B. PROHIBITED SUBSTANCES"Prohibited substances" addressed by this policy include the following: Drugs:Amphetamines, Cocaine, Marijuana, Opiates and Phencyclidine (PCP). Alcohol:The use of beverages or substances, including any medication, containing alcohol such that it is present in the body at a level in excess of that stated in Department of Transportation guidelines while actually performing, ready to perform, or immediately available to perform any District business is prohibited. "Alcohol" is defined as: the intoxicating agent in beverage alcohol, ethyl alcohol, or other low molecular weight alcohol, including methyl or isopropyl alcohol. C. PROHIBITED CONDUCT 1. Manufacture, Trafficking, Possession, and UseAny safety-sensitive employee engaging in the unlawful manufacture, distribution, dispensing, possession or use of a controlled substance or alcohol on District premises, in District vehicles or while conducting District business off the premises is 89 absolutely prohibited. Violation will result in removal from safety-sensitive duty and immediately terminated. 2. Impaired/Not Fit for DutyAny safety-sensitive employee who is reasonably suspected of being impaired, under the influence of a prohibited substance, or not fit for duty shall be removed from safety-sensitive job duties and be required to undergo a reasonable suspicion controlled substance or alcohol test. Employees failing to pass this reasonable suspicion controlled substance or alcohol test shall remain off duty and be IMMEDIATELY TERMINATED. A controlled substance or alcohol test is considered positive (failed) if the individual is found to have a quantifiable presence of a prohibited substance in the body above the minimum thresholds defined in the Department of Transportation guidelines. 3. Alcohol UseNo safety-sensitive employee may report for duty or remain on duty when his/her ability to perform assigned functions is adversely affected by alcohol or when his/her breath alcohol concentration is 0.04 or greater. No safety-sensitive employee shall use alcohol while on duty or while performing safety-sensitive functions. No safety-sensitive employee shall use alcohol within four hours of reporting for duty nor during hours that he/she is on call. Violation of this provision is prohibited and will subject the employee to removal from safety-sensitive duty and referral to a Substance Abuse Professional (SAP). 4. Compliance with Testing RequirementsAll safety-sensitive employees are subject to controlled substance testing and breath alcohol testing. Any safety-sensitive employee who refuses to comply with a request for testing, who provides false information in connection with a test or who attempts to falsify test results through tampering, contamination, adulteration, or substitution shall be removed from duty immediately and be terminated. Refusal to submit to a test can include an inability to provide a urine specimen or breath sample without a valid medical explanation, as well as a verbal declaration, obstructive behavior or physical absence resulting in the inability to conduct the test. 5.Treatment/Rehabilitation ProgramAn employee with a controlled substance and/or alcohol problem will be afforded an opportunity for treatment in accordance with the following provisions: 6.Voluntary Admittance:All employees who feel they have a problem with controlled substances and/or alcohol may request voluntary admission to a rehabilitation program. Requests must be submitted to an Administrator or his/her designee for review. Program costs and subsequent controlled substance and/or alcohol testing costs will be paid by the safety-sensitive employee. An employee failing to complete the program will be subject to termination from employment. An employee completing a rehabilitation program must agree to and sign a Return-To-Duty Agreement, pass a return-to-duty controlled substance and/or alcohol test and be subject to unannounced follow-up testing 90 for 36 months following return to duty. A positive result on the return-to-duty test or on the unannounced follow-up tests within a 36 month period will result in termination from employment. Participants in the rehabilitation program many use accumulated sick leave, vacation and floating holidays, if any. D. NOTIFYING THE DISTRICT OF CRIMINAL DRUG CONVICTION Pursuant to the "Drug Free Workplace Act of 1988" any employee who fails to immediately notify the District of any criminal controlled substance statute conviction shall be subject to disciplinary action, up to and including termination of employment. E. PROPER APPLICATION OF THE POLICY The District is dedicated to assuring fair and equitable application of this Substance Abuse Policy. Therefore, supervisors are required to administer all aspects of the policy in an unbiased and impartial manner. Any supervisor who knowingly disregards the requirements of this policy, or who is found to deliberately misuse the policy with respect to his/her subordinates shall be subject to disciplinary action, up to and including termination. F. TESTING FOR PROHIBITED SUBSTANCES 1. Analytical urine controlled substance testing and breath testing for alcohol will be conducted as required under Department of Transportation guidelines. All safety-sensitive employees shall be subject to testing prior to employment, randomly, for reasonable suspicion, and following an accident, as defined in the Department of Transportation guidelines. In addition, all safety- sensitive employees will be tested prior to returning to duty after failing a controlled substance and/or alcohol test. Employees who have returned to duty will be subject to unannounced follow-up tests for up to five years, as determined by a Substance Abuse Professional (SAP). Safety-sensitive employees who perform safety-sensitive functions as defined in the Department of Transportation guidelines shall also be subject to testing on randomly selected, unannounced basis. Testing shall be conducted in a manner to assure a high degree of accuracy and reliability and using techniques, equipment,and laboratory facilities which have been approved by the Department of Health and Human Services (DHHS). All testing will be conducted consistent with the procedures put forth in the Department of Transportation guidelines. The controlled substances that will be tested for include marijuana, cocaine, opiates, amphetamines, and phencyclidine (PCP). An initial controlled substance screen will be conducted on each specimen. For those specimens that are positive, a confirmatory Gas Chromatography/Mass Spectrometry (GC/MS) test will be performed. The test will be considered positive if the controlled substance levels present are above the minimum thresholds established in the Department of Transportation guidelines. 91 Tests for alcohol concentration will be conducted utilizing an approved Evidential Breath Testing device (EBT) operated by a trained Breath Alcohol Technician (BAT). If the initial test indicated an alcohol concentration of 0.02 or greater, a confirmation test will be performed to confirm the result of the initial test. An employee who has a confirmed alcohol concentration of 0.02 but less than 0.04 will be removed from his/her position for at least twenty-four hours unless a retest results in an alcohol concentration less than 0.02. An alcohol concentration of 0.04 or greater will be considered a positive alcohol test and in violation of Department of Transportation guidelines and this policy. Any safety-sensitive employee who has a confirmed positive controlled substance or alcohol test will be removed from his/her position, informed of educational and rehabilitation program available, and immediately terminated. The District affirms the need to protect individual dignity, privacy and confidentiality throughout the testing process. 2.Employeesin Safety-sensitive positions may be tested under any of the following circumstances: a. Pre-Employment TestingAll applicants for safety-sensitive classifications shall undergo urine controlled substance testing prior to employment. Receipt of a satisfactory test result is required prior to employment and failure of a controlled substance test will disqualify the applicant from further consideration for employment. Pre-Employment testing requirements will be conducted in compliance with current law. b. Reasonable Suspicion TestingAll safety-sensitive employees will be subject to urine and /or breath testing when there is a reasons to believe that controlled substances or alcohol use is adversely affecting job performance. A reasonable suspicion referralfor testing will be made on the basis of documented objective facts and circumstances which are consistent with the effects of substance abuse. Examples of reasonable suspicion include, but are not limited to, the following: 1.Adequate documentation of unsatisfactory work performance or on-the-job behavior. 2.Physical signs and symptoms consistent with prohibited substance use. 3.Occurrence of a serious or potentially serious accident that may have been caused by human error. 4.Fights (to mean physical contact), assaults and flagrant disregard or violations of established safety, security, or other operation procedures.: 92 Reasonable suspicion determinations will be made by a supervisor who is trained to detect the signs and symptoms of controlled substance and alcohol use and who reasonably concludes that an employee may be adversely affected or impaired in his/her work performance due to prohibited substance abuse or misuse. b. Post-Accident Testing All safety-sensitive employees will be required to undergo controlled substance and/or breath alcohol testing if they are involved in an accident with a District vehicle that results in a fatality. This includes all safety-sensitive employees who are on duty in the vehicles and any other whose performance could have contributed to the accident. In addition, a post-accident test will be conducted if the safety-sensitive employee receives a citation within eight (8) hours of the occurrence under State or local law for a moving traffic violation arising from the accident, if the accident involved bodily injury to any person who, as a result of the injury, immediately receives medical treatment away from the scene of the accident; or if one or more motor vehicles incurring disabling damage as a result of the accident, requiring the motor vehicle to be transported away from the scene by a tow truck or other motor vehicle. Following an accident, the safety-sensitive employee will be tested as soon as possible, but not to exceed eight (8) hours for alcohol and32 hours for controlled substances. If an alcohol test is not administered within two hours following the accident, the District shall prepare and maintain a record stating the reasons the test was not promptly administered. Further, if an alcohol test isnot administered within eight (8) hours or a controlled substance test is not administered within 32 hours following the accident, the District shall cease attempts to administer testing and shall prepare and maintain a written record. Any safety-sensitive employee who leaves the scene of an accident without appropriate authorization prior to submission to controlled substance and/or breath alcohol testing will be considered to have refused the test and subject to termination. That being said, the testing requirement should not be construed to require the delay of necessary medical attention for injured people following an accident or to prohibit a safety-sensitive employee from leaving the scene of an accident for the period necessary to obtain assistance in responding to the accident, or to obtain necessary emergency medical care. Furthermore, the results of a breath alcohol, a blood alcohol or a urine controlled substance test conducted by Federal, State, or local officials having independent authority for the test, shall be considered valid, provided those tests conform to the applicable Federal, State or local testing requirements, and that the results of the tests are obtained by the District. c. Random Testing Employees working in safety-sensitive classifications will be subjected to randomly selected, unannounced testing. The random selection will be by a scientifically valid method. Each safety-sensitive employee will have an equal 93 chance of being tested each time selections are made. Safety-sensitive employees will be tested either just before departure, or during duty, or just after the safety-sensitive employee has ceased performing his/her duty. d. Employee Requested Testing Any safety-sensitive employee who questions the result of a required controlled substance test under Department of Transportation guidelines may request that an additional test be conducted. This additional test may be conducted at the same laboratory or at a different DHHS certified laboratory. The test must be conducted on the split sample that was provided at the same time as the original sample. All costs for such testing are to be paid by the employee unless the second test invalidated the original test. The method of collecting, storing, and testing the split sample will be consistent with the procedures set forth in the Department of Transportation guidelines. The safety-sensitive employee's request for a retest must be made to the MRO within 72 hours of notice of the initial test result. Requests after 72 hours will only be accepted if the delay was due to documentable facts that were beyond the control of the employee. G. EMPLOYEE ASSESSMENT Any safety-sensitive employee who tests positive for the presence of controlled substances or whose breath alcohol concentration is above the minimum thresholds set forth in the Department of Transportation guidelines will be immediately terminated. If a safety-sensitive employee is returned to duty following rehabilitation, he/she must agree to and sign a Return-To-Duty Agreement, pass a return-to-duty controlled substance and/or alcohol test and be subject to unannounced follow-up tests for a period of one to five years, as determined by the SAP. The cost of any rehabilitation and subsequent controlled substance and/or alcohol testing is borne by the safety- sensitive employee and is on a one time basis only. Employee will be immediately terminated on the occurrence of a second verified positive test result. Employees may use accumulated sick leave, vacation and floating holidays, if any, to participate in the prescribed rehabilitation program. H.CONTACT PERSON 1. Any questions regarding this policy should contact the following District DER: Anna Sanchez, or Designee Manager 628 West 19th Street, Costa Mesa, CA 92627 (949)645-8400ext.224 The DER of the District will maintain a list of the specific positions within the above listed classifications that are covered under Department of Transportation regulations. 2. Confidentiality 94 All information relating to drug or alcohol testing or the identification of persons as users of drugs and alcohol will be protected by District as confidential unless otherwise required by law, overriding public health and safety concerns, or authorized in writing by the persons in question. APPENDIX A SAFETY-SENSITIVEEMPLOYEE (FUNCTION AND/OR POSITION) CLASSIFICATIONS FORCosta Mesa Sanitary District Class "A" commercial driver’slicense holder Class "B" commercial driver’slicense holder Class "C" driver’slicense holder with a HazardousMaterials Endorsement The DER of the District will maintain a list of the specific positions within the above listed classifications that are covered under Department of Transportation regulations. PROCEDURESFOR COSTA MESA SANITARY DISTRICT A. PROCEDURES -REASONABLE SUSPICION TESTING 1.A safety-sensitive employee who may possibly be under the influence of alcohol and/or controlled substances is observed by a supervisor. Any employee may identify someone suspected of alcohol and/or controlled substance to any supervisor. Employees should realize, however, that it is against District policy to make false or malicious statements about other employees and doing so can result in disciplinary action being taken against the offending employee. However, the supervisor must witness firsthandthe safety- sensitive employee's signs and symptoms. 2.The supervisor is then obligated to insure that the matter is immediately investigated. If possible, two supervisors determine (independently or together) that the safety-sensitive employee in question may indeed be under the influence of alcohol and/or controlled substances. 3.When the supervisor(s) suspect and believe that the safety- sensitive employee may be under the influence of alcohol and/or controlled substances, the safety-sensitive employee is then immediately suspended from duty (with pay) and driven by District staff (or others designated) to the District specified collection site. Because of a testing facility requirement, the safety- sensitive employee in question must show proof of identification, such as a photo driver’slicense or state-issued photo identification card. 95 Whenever practical, an Administrator should be notified in advance of the employee being taken to the collection site. 4.At the collection site, the safety-sensitive employee will be required to submit a urine sample in the event that controlled substances are suspected or a breath sample in the event that alcohol intoxication is suspected to the on- duty technician. Care will be taken to provide the safety-sensitive employee with maximum privacy without compromising the integrity of the sample. 5.The District will take precautions to prevent the safety-sensitive employee being tested from going back to work and driving their owncar home. Instead, the safety-sensitive employee will be given assistance in obtaining a ride home from the collection site. 6.The safety-sensitive employee whose test results are negative (less than 0.02 alcohol concentration) will be reinstated. The safety-sensitive employee whose confirmation test results indicate an alcohol concentration greater than 0.02 but less than 0.04, will not be permitted to return to duty or perform a safety-sensitive function for 24 hours after administration of the test. The safety-sensitive employee whose confirmation test result indicates an alcohol concentration of 0.04 or greater for alcohol will immediately terminated. 7.The safety-sensitive employee whose controlled substance test results are verified negative willbe reinstated. The safety-sensitive employee whose controlled substance test is verified positive by the Medical Review Officer will be immediately terminated. B. PROCEDURES -RANDOM TESTING 1.The compliance District notifies the supervisor to send the safety-sensitive employee to the collection site for alcohol and/or controlled substance testing. 2.The supervisor notifies the safety-sensitive employee to go to the collection site for alcohol and/or controlled substance testing immediately. Because of a testing facility requirement, the safety-sensitive employee in question must have proof of identification, such as a photo driver’slicense or state-issued photo identification card. 3.At the collection site, the safety-sensitive employee will be required to submit a urine sample in the event that controlled substances are to be tested for, or a breath sample in the event that alcohol is being tested for to the on-duty technician. Care will be taken to provide the safety-sensitive employee with maximum privacy without compromising the integrity of the sample. 4.The safety-sensitive employee whose test results are negative (less than 0.02 alcohol concentration) will be reinstated. The safety-sensitive employee whose confirmation test results indicatean alcohol concentration greater than 0.02 but less than 0.04, will not be permitted to return to duty or perform a 96 safety-sensitive function for 24 hours after administration of the test. The safety- sensitive employee whose confirmation test result indicates an alcohol concentration of 0.04 or greater for alcohol will be immediately terminated. 5.The safety-sensitive employee whose controlled substance test results are verified negative will be reinstated. The safety-sensitive employee whose controlled substance test is verified positive by the Medical Review Officer will be immediately terminated. C. PROCEDURES -POST ACCIDENT 1.The safety-sensitive employee notifies a supervisor that an accident has occurred. 2.The supervisor determines that the circumstances of the accident warrant a post-accident test when a citation was issued or a fatality occurred. Thereafter, the supervisor directs the safety-sensitive employee to immediately go to the collection site for alcohol and controlled substance testing. Because of a testing facility requirement, the safety-sensitive employee in question must have proof of identification, such as a photo driver’slicense or state-issued photo identification card. 3.At the collection site, the safety-sensitive employee will be required to submit a urine sample for controlled substances and a breath sample for alcohol testing to the on-duty technician. Care will be taken to provide the safety- sensitive employee with maximum privacy without compromising the integrityof the sample. 4.An Administrator will be notified that an accident has occurred and that the safety-sensitive employee was instructed to go to the collection site. 5.The safety-sensitive employee whose test results are negative (less than 0.02 alcohol concentration) will be reinstated. The safety-sensitive employee whose confirmation test results indicate an alcohol concentration greater than 0.02 but less than 0.04, will not be permitted to return to duty or perform a safety-sensitive function for 24 hours after administration of the test. The safety- sensitive employee whose confirmation test result indicates an alcohol concentration of 0.04 or greater for alcohol will be immediately terminated. 6.The safety-sensitive employee whose controlled substance test results are verified negative will be reinstated. The safety-sensitive employee whose controlled substance test is verified positive by the Medical Review Officer will be immediately terminated. D. PROCEDURES -CHAIN OF CUSTODY FOR CONTROLLED SUBSTANCE SPECIMENS 1.At the time a specimen is collected, the safety-sensitive employee will be given a copy of the specimen collection procedures. 97 2.Urine will be in a wide-mouthed clinic specimen container which will remain in full view of the safety-sensitive employee until split, transferred to, sealed and initialed in two tamper-resistant urine bottles. 3.Immediately after the specimens are collected, the urine bottles will, in the presence of the safety-sensitive employee, be labeled and then initialed by the employee. If the sample must be collected at the site other than the controlled substance and/or alcohol testing laboratory, the specimens will then be placed in the transportation container. The container will be sealed in the safety-sensitive employee's presence and the safety-sensitive employee will be asked to initial or sign the container. The container will be sent to the designated testing laboratory on that day or the earliest business day by the fastest available method. 4.A chain of custody form will be completed by the on-duty technician during the specimen collection process and attached to and mailed with the specimen. E. PROCEDURES -SPECIMEN COLLECTION OF STRANGE AND/OR UNRECOGNIZABLE SUBSTANCES 1.A safety-sensitive employeeis observed with a strange and/or unrecognizable substance. 2.The supervisor, in the presence of a witness, places the strange and/or unrecognizable substance into a clear plastic bag. The bag is sealed, labeled and signed by both the supervisor and a witness. 3.An incident report is made and signed by both the supervisor and a witness. 4.The plastic bag containing the specimen and a copy of the incident report is taken to the collection site for transportation to the laboratory for analysis. F. PROCEDURES -ALCOHOL CONCENTRATION 1.The safety-sensitive employee and the on duty Breath Alcohol Technician (BAT) complete the alcohol testing form to ensure that the results are properly recorded. 2.After an explanation of how the breathalyzer works, an initial breath sample is taken. 3.If the results of the initial test show an alcohol concentration of 0.02 or greater a second or confirmation test must be conducted. The confirmation test must not be conducted less than 15 minutes after, nor more than20 minutes after the screening test. 4.The confirmation test will utilize Evidential Breath Testing devices that prints out the results, date and time, a sequential test number, and the name and 98 serial number of the Evidential Breath Testing device to ensure the reliability of the results. RULE 19–ELECTRONIC EQUIPMENT USE, SOCIAL MEDIA AND DISTRICT WEB PAGE Section 19.1: DISTRICT ELECTRONIC RESOURCESPOLICY AND PROCEDURES. A.PURPOSE. The District makes every effort to provide its employees with technology-based resources in order to conduct official business more effectively. In this regard, the District has installed personal computers, local area networks (LANs), electronic mail (e-mail), cell phones and access to the Internet. The purpose of the District’s Electronic Resources Policy and Procedures is to establish uniform guidelines for computer and cell phone usage including the use of Internet and e-mail applications. B.POLICY. 1.District computers, fax machines, and internet licensesare provided for District business and are not to be used for personal gain, private purposes (except as described in subsection 6), or to support or advocate non- District –related business or purposes. All data and electronic messages, including information accessed via the Internet and sent or received through electronic mail (e-mail) systems, are the properties of the District. All records whether paper or electronic, may be subject to the disclosure requirements of the California Public Records Act and are not considered private. Notwithstanding the foregoing, e-mail should only be used for the transmission of information and should not be used for preserving information for future reference. Information to be retained may be stored electronically on thesystem/network and/or may be converted to a hard copy and archived in a District physical file cabinet. 2.There is no expectation of personal privacy in any use of District computer systems and software, including e-mail and Internet usage. The District may, at any time, review the contents of all records, data and communication transmitted, received and stored by its electronic systems. Any indication of a violation of this policy is subject to management review. This review may include accessing and disclosing all electronic documents, information and messages including e-mail and Internet records. 3.The District purchases, owns and administers the necessary software and licenses and cell phones to provide access to e-mail and Internet services and real time communications in the office, in the field and for emergency communications. Users may not rent, copy or loan District software or its documentation, nor provide alternative software to access the system. Users may be subject to disciplinefor any damages caused by negligence, and unauthorized software or viruses they introduce in the system. 99 4.The District is not responsible for items originating from the Internet and reserves the right to restrict employee access to the Internet or to certain Internet content. 5.Examples of Prohibited Uses a.Using the Internet to view, obtain or disseminate any sexually oriented material, images or messages. b.Using the Internet and/or e-mail systems to send or distribute disruptive, offensive, abusive, threatening, slanderous, racial or sexually harassing materials. c.Using District computer systems for private purposes, personal gain, solicitation of commercial ventures, religious or political causes, chain letters, or other non-job-related purposes (except as described in subsection 6 below). d.Downloading or installation of software that has not been approved by the District and scanned for viruses. e.Sending unencrypted confidential documents via the Internet. f.Any other use that may compromise the integrity of the District and its business in any way. g.E-mail should not be used for sensitive attorney-client communications. h.A good rule of thumb when using the computer and e-mail is “never put anything in an e-mail that you would not want to see on the front page of the newspaper.” 6.To promote employee computer and Internet proficiency and as an employee benefit, certain employee personal use is allowed. This use is only permitted during employee personal time. Examples include educational enhancement and personal communications, which conform to the above prohibited uses. Personal use is secondary, and should not (i) interfere with the agency’s operation of Electronic Communications Resources, (ii) interfere with the user’s employment orother obligations to the District, or (iii) burden the District with noticeable incremental costs. 7.The acquisition of personal computer hardwareandsoftware shall follow the normal budgetary and purchasing procedures, ensuring budget authorization isin place. Requests for acquiring hardware and software shall be recommended to the Personnel Manager for evaluation and recommendation. 100 8.Equipment operation and maintenance: a.The authorized Management Information Systems (MIS) person (in-house or agreement/contract) shall assist in evaluating District functional needs and recommend options if appropriate. b.MIS shall maintain an on-site office automation library of proven and reliable software and hardware requiring minimum technical support that maintains a user-friendly concept, is easy to use and enhances District productivity. c.MIS shall maintain an on-site inventory control of all workstation hardware and software. d.MIS shall provide on-site training and consulting advice on approved software and make recommendations as appropriate. e.MIS shall maintain the District automation system including all personal computer workstations and client server network for the purpose of retrieving data files, sharing licensed applications and nightly data backup. f.MIS shall periodically review the District automation system for adherence to operating standards and implement approved upgrades. g.MIS shall backup District databases daily, weekly, monthly, quarterly and annually for archival and retrieval purposes. 9.Security: The Personnel Manager and MIS (in-house or agreement/contract) must approve dial-in access from home systems and businesses to District systems in advance for valid business needs. All computer systems users are responsible for data residing on their systems. C.PROCEDURES. 1.Passwords a.Users dealing in confidential matters will define their own confidential password. Users should be aware that this does not imply that the system may be used for personal communication or that e-mail is the property of the user. b.To ensure the security of the e-mail system, the system will prompt the user to routinely change their password. Should the user forget their password, and attempt to input a password they are not sure of, the system may lock them out after three failed attempts. 101 2.Internet and E-mail Access a.Access to the Internet and e-mail is restricted to those employees who have been provided the necessary software and hardware and who have been authorized by the District to access e-mail and the Internet. The District may deny or restrict Internet and/or e-mail access to any employee at any time. b.When using e-mail and the Internet, employees are cautioned to remember they represent the District. Employees may not speak for the District unless they are authorized to do so. c.E-mail and Internet messages can be forwarded without the express permission of the original author. Users must use caution in the transmission and dissemination of messages outside the Districtand must comply with all State and Federal laws, rules and regulations and District policy. 3.Electronic Document, Software and Mail Storage a.Electronic mail is backed-up on a regular basis. It is synchronized with the server on every start-up and shut-down. The District back-up procedures allow the District to restore current software, documents and electronic mail in the event of a system failure. b.Electronic mail is not intended to be a permanent storage medium. Electronic in-boxes and out-boxes should be archived or purged on a regular basis. The District may, in its discretion, purge long-term mail on an automatic basis. c.To save critical electronic mail as a permanent record, employees should print out a hard copy for permanent filing or save the file on the “C” drive of the desktop or laptop computer assigned to them. 4.Information Block: E-mail sent outside the District should include an information block at the end of all transmitted messages. The block should include the sender’s name, title, company name, direct telephone number, FAX number and e-mail address. Section 19.2: SOCIAL MEDIA USE. A.PURPOSE. The policy outlines the protocol and procedures for use of social media to publicize official District services and events. In addition, this policy addresses the responsibilities of individual employees and District officials with regard to social media and the use of District resources (time/equipment), as well as responsibilities related to the public records and open meeting laws. 102 B.DEFINITIONS. 1.Social Media: Various forms of discussions and information- sharing, including social networks, blogs, video sharing, podcasts, wikis, message boards, and online forums. Technologies include: picture-sharing, wall- postings, fan pages, e-mail, instant messaging and music-sharing. Examples of social media applications include but are not limited to, Google, and Yahoo Groups, (reference, social networking), Wikipedia (reference), MySpace (social networking), Facebook (social networking), YouTube (social networking and video sharing), Flickr, (photo sharing), Twitter (social networking and micro blogging), LinkedIn (business networking), and news media comment sharing/blogging. 2.Social Networking: the practice of expanding business and/or social contacts by making connections through web-based applications. This policy focuses on social networking as it relates to the Internet to promote such connections for official District business and for employees, elected and appointed officialswho are using this medium in the conduct of official District business. C.POLICY. 1.All official District social media sites will be administered by the General Manager or his/her designee. These social media sites shall be used for the limited purpose of informing the public about District business, services and events. Individual departments may not have their own pages/sites. Individual departments wishing to add content to official District social media sites may submit a request to the General Manager. The District’s web site, www.cmsdca.gov, will remain the official location for content regarding District business, services and events. Whenever possible, links within social media formats should direct users back to the District web site for more information, forms, documents or online services necessary to conduct business with the District. 2.District employees and appointed and elected officials shall not disclose information about confidential District business on either the District’s socialmedia sites or personal social media sites. In addition, all use of social media sites by elected and appointed officials shall be in compliance with California’s open meeting laws. Employees and elected or appointed officials’ posts are a reflection of their own views and not necessarily those of the District. 3.Posting/ Commenting Guidelines a.All postings made by the District to social media sites will contain information and content that has already been published or broadcast in an official manner. The District will not comment on other social media member’s sites. All official social media postings by the 103 District will be done solely on the District’s social media sites or in response to postings made on the District’s social media sites. b.The District reserves the right to remove content that is deemed in violation of this policy or any applicable law. Any participants on the District’s official social media sites who are in continual violation of the postings/commenting guidelines may be removed from the District’s site. The District will only post photos for which it has copyright or owner’s permission to use. c.Direct messages sent to social media accounts will be treated as general correspondence and kept in accordance with retention schedules provided by the CMSD Records Retention Program. d.Chat functions in any social media sites will not be used. e.Links to all social media networks to which the District belongs will be listed on the District’s official website. Interested parties wishing to interact with these sites will be directed to visit the District’s web site for more information on how to participate. f.The District reserves the right to temporarily or permanently suspend access to official District social media at any time. D.PROCEDURES. 1.The General Manager or his designee will be responsible for responding to comments and messages as appropriate whenever possible. The District will direct users back to the District’s official web site for more information, forms, documents or online services necessary to conduct business with the Costa Mesa Sanitary District. 2.The District may invite others to participate in its social media sites. Such invitations will be based upon the best interests of the District as determined by the District in consultation with the General Manager or designee. E.RESPONSIBILITIES. 1.It is the responsibility of employees, and appointed and elected officials to understand the procedures as outlined in this policy. 2.Employees who are notdesignated by the General Manager to access social media sites for official business are prohibited from accessing social media sites utilizing the District computerequipment and/ or the District’s web access. While at work, employees who are not grantedaccess via District systems and computing equipment may use personal computing devices and personal web accounts to access social media sites only during non-working hours such as lunch periods and breaks. 104 4.The General Manager will determine if a request is appropriate and adheres to the guidelines of this policy. 5.All content posted on official District social media sites must comply with District web standards. Employee or District confidentiality shall be maintained in accordance with all applicable laws and District policies. If a question arises regarding the use or posting of confidential information on a social media site, the matter shall be referred to the General Manager for review. The information in question shall not be posted, or if already posted, shall be removed until an opinion is rendered by General Manager or District counsel. Notwithstanding the opinion of the District counsel, the General Manager reserves the right to restrict or remove District information from an official District social media site if the General Manager believes that the information does not serve the best interest of the District. 6.All social media based services to be developed, designed, managed by or purchased from any third party source for use requires appropriate budget authority and approval from the Board of Directors. Section 19.3: DISTRICT WEB PAGE. A.POLICY. It is District policy to control the content and accuracy of the information provided on the public District Web page. All information will be directed to the Board Secretary acting in the capacity of the District Web manager. All information posted on the District website must be consistent with the District’s mission and public interest. B.PROCEDURE. Any District Board Director, official or employee may request postings to the District Web page through the General Manager or his designated representative. Postings must be non-political in nature. The General Manager who shall approve, modify, or deny the request. Postings shall be submitted in Word format as an e-mail attachment unless only a hard copy is available. In either case it is the submitter’s responsibility to check the item for accuracy both prior to submission and after posting to the Web page to insure no inadvertent errors appear on the final document. The submitter is to inspect the posted submission within 24 hours of posting. 1.The General Manager or his designated representative shall submit the approved request to the Management Information Services (MIS) contractor for inclusion on the web page and, when necessary, suggest alternative solutions in support of the needs. 105 2.The General Manager or his designated representative shall also manage removal of postings based on the information provided pertinent to duration or expiration date. RULE 20–CELL PHONE ALLOWANCEPOLICY Section 20.1: PURPOSE The purpose of this policy/procedure is to establish guidelines for Costa Mesa Sanitary District (District) issued cell phone allowance(s). The District provides an allowance for cell phones, but the cell phone and any license to connect to electronic transmission lines (telephone, email, etc.) are not the property of the District. Section 20.2: OVERVIEW The use of cell phones may be essential for employees to conduct business while away from the office, i.e., field and customer service operations, emergency operations, after- hours communications, and for their safety. District issued cell phone allowances may be provided to employees whose job duties require them tobe out of the office for large portions of the workday or work during non-business hours. The District Manager shall determine which employment classifications will need a cell phone and, therefore, shall be entitled to a cell phone allowance. No employee at the District has an implied right to a cell phone allowance; the District Manager can, at his or her discretion, determine that a cell phone is no longer required to meet job functions of specified classifications, and therefore, the allowance will cease. The District has established a cell phone allowance and shall pay an amount to employees within the specified classification for cell phone acquisition and maintenance. Section 20.3: COMPLIANCE PROCEDURE A.Employees whose positions are listed belowshall receive an allowance on a taxablemonthly basis. General Manager, Administrative Service Manager Deputy District Clerk Management Analyst Maintenance Supervisor Maintenance Worker Ordinance Enforcement Officer Maintenance Assistant Finance Manager B.Employees receiving an allowance are responsible for the following: Purchasing and maintaining their equipment. Cell phone plans must provide for a minimum of 450 minutes coverage for work communications 106 and must have coverage with a carrier that provides acceptable coverage in the employee’s work areas. Notifying their supervisor and department manager of their phone number, changes to number, or cancellation of service. Ensuring continuity of service, including payment of bills. Being in possession of their cell phones during working hours and during nonworking hours if required by their supervisor for District purposes (pursuant to the District’s Standby Policy). C.District employees may choose to have a telephone-only cell phone or a telephone with text, internet, photo and other features. D.Use of Cell Phones Although District employees are to have their cell phones activated for work purposes, cell phone use is not limited to District purposes, and employees may use their cell phones for any lawful purpose. Cell phone use must be in conformance with other District rules. Effective July 1,2008 and in accordance with Vehicle Code (VC) §23123 all drivers are prohibited from using a handheld wireless telephone while operating a motor vehicle. Motorists 18 and over may use a hands-free device. Employees are required to pull off to the side of the road and safely stop the vehicle before placing or accepting phone calls, unless the cell phone or vehicle is equipped with a hands-free device. a.Employees who receive allowances will be responsible for obtaining their own hands-free equipment. b.Employees who receive a traffic violation resulting from the use of an employee owned or District issued cell phone, while driving a personal or District vehicle, shall be solely responsible for all liabilities that result from such action and may be subject to discipline. E.Cell phone records may become public records. The District reserves the right to request to review the District-related contents of all records, data and communications transmitted, received and stored by the cell phone and/or the communications carrier if the District has a compelling legal need. Section 20.4: USE OF CELL PHONE BY NON-EXEMPT CLASSIFICATIONS DURING OFF DUTY HOURS A.Employees whose positions are within a non-exempt classification may not use their cell phone for work purposes (i.e. phone calls, checking and responding to email, etc.) unless expressly directed to do so by their supervisor when off duty. B.When non-exempt employees are expressly directed to use their cell phone for work purposes by their supervisor, they shall document all time worked on their time card, the following business day. 107 RULE 21 –VEHICLE AND FLEET SAFETY POLICY Section 21.1: VEHICLE USE POLICY. A.POLICY. This policy covers the use of privately owned vehicles (POV) for conducting official District business and shall be applicable to all elected officials and employees of the District. This policy establishes a written policy relative to the reimbursement procedures for privately-owned vehicles used for District business and clarifies the District’s responsibility for damage and/or liability for private vehicles used on official District business. B.PROCEDURE. When necessary during the course of an elected official’s or employee’s official duties, the District shall provide reimbursement. 1.Elected officials or employees using their POV on official business must possess a valid California driver’s license for the class of vehicle they will be operating. 2.District employees cannot be compelled to use their own vehicles for District business unless it is a pre-specified condition/requirement of employment. a.Employees shall not be reimbursed for commuting to and from work, except that employees who are required to attend scheduled meetings outside of normal working hours may be reimbursed for mileage incurred. 3.The District shall reimburse District elected officials or employees the IRS mileage reimbursement rate the IRS announces each year when District employees use their personal vehicles for conveyance to conduct District business as set forth in CMSD Operations Code 3.01.090. The standard mileage rate is based on annual studies by the IRS of the fixed and variable costs of operating an automobile (maintenance, insurance repairs, gas and oil, etc.). 4.Insurance: The individual employee shall insure his/her privately owned vehicles to be used on official District business. The employee’s insurance coverage is deemed to be primary. It shall be the Personnel Manager’s responsibility to ensure that no privately owned vehicle is operated on District business without insurance coverage and a valid operator’s license required by regulation. Additional coverage’sand limits of employee and District shall be asspecified in the District’s insurance coverage SDRMA currently provides. 108 5.District employees are encouraged to carpool whenever feasible. 6.Clarification on District liability: The District shall be responsible to each employee only when the employee is determined not to be negligent and the other party is uninsured. Under such circumstances, the District shall be responsible to the elected official or employee for the amount of the deductible for comprehensive and/or collision damages suffered by the employee. Section 21.2: FLEET SAFETY POLICY. A.PURPOSE. The purpose of this fleet safety policy is to prevent vehicle accidents and to promote safe driving practices while maintaining District vehicles and heavy equipment in proper operating condition. B.SCOPE. This policy applies to all District full-time and part-time employees. In addition to the provisions of this policy, all employees are required to comply with applicable Federal Department of Transportation (DOT) and California Departmentof Motor Vehicles (DMV) and local traffic laws, and the established Costa Mesa Sanitary District driving safety work rules, best practices and procedures. C.POLICY. This fleet safety policy serves as the uniform best practice standard governing the privilege of operating District vehicles and/or heavy equipment within the scope of employment. Failure to comply with this policy shall lead to disciplinary action up to and including termination. D.RESPONSIBILITIES. 1.Operations Manager: The OperationsManager will have the responsibility to implement the adopted fleet safety policy and overall fleet safety program by: a.Directing the Maintenance Supervisor and employees to endorse and comply with the adopted policy and program components. b.Providing appropriate safety and financial resources. c.Providing support and interest in the fleet safety program. 2.Maintenance Supervisors: The Maintenance Supervisor will have the responsibility to: 109 a.Provide training to employees so that they are fullyqualified to drive and maintain fleet vehicles and heavy equipment. b.Ensure the safe operation of fleet vehicles in compliance with the overall fleet safety program requirements. c.Coordinate the delivery and pick up of District owned fleet vehicles and heavy equipment to the repair shop for routine preventive maintenance. d.Coordinate the delivery and pick up of District owned fleet vehicles and heavy equipment to the repair shop after unsafe conditions and/or mechanical defects have been reported by District employees. e.Enforce the established fleet safety policy’s driving work rules, procedures, policies and best practices. f.Thoroughly investigate all vehicle accidents and make recommendations to avoid future accidents. g.Demonstrate support and interest in the fleet safety program. 3.Employees: District employees will have the responsibility to: a.Adhere to the directives of this fleet safety policy and overall fleet safety program. b.Participate in in-service training and apply their education and training to the safe operation of assigned vehicles and heavy equipment. c.Immediately report any change to the status of their driver’s license to their immediate supervisor, Operations Manager or Human Resources. d.Conduct required pre-trip inspections and preventive maintenance on assigned vehicles and heavy equipment. e.Thoroughly complete and submit to Maintenance Supervisor pre-trip and post-trip inspection form. f.Report unsafe conditions and/or mechanical defects to the Maintenance Supervisor. g.Report all accidents immediately to the Maintenance Supervisor and thoroughly complete the District’s accident report. 110 h.If the accident involves a private vehicle, contact the police department whether injuries occurred or not. ii.Immediately take pictures of all damaged property that occurred in the accident. iii.Follow instructions in the “Accident Fact Kit”, which is supplied by the District, and exchange information with individuals involved in the accidents along with witnesses. i.Maintain a valid California driver’s license, which includes passing the required physical exam and a satisfactory driving record both on and off the job. j.Employees are required to obey all Federal DOT, California DMV, and City of Costa Mesatraffic regulations. k.Seat belts and shoulder harnesses MUST BE WORN while operating or riding in District owned commercial and fleet vehicles. Inoperative or missing seat belts and/or harnesses shall immediately be reported to the immediate supervisor. The vehicle or equipment shall not be operated until the repairs have been made. l.Employees who are assigned a vehicle and/or piece of heavy equipment are responsible for the daily inspection of the vehicle and/or heavy equipment and completion of the required forms. If an employee is unfamiliar with the operation or maintenance of a vehicle or piece of heavy equipment, it is his/her responsibility to request information and instructions on the proper procedures from his/her immediate supervisor. E.USE OF DISTRICT VEHICLES. The operation of District owned or leased vehicles and/or heavy equipment is a privilege/requirement, which may be withdrawn at any time at the sole discretion of the General Manager. An employee must comply with the following fleet safety driving rules and best practices in order to continue this granted privilege/meet the requirement to operate vehicles and heavy equipment: 1.Maintain an approved and valid California driver’s license with the applicable classifications and endorsements, if required, at all times. Any loss or restriction of driving privileges during the employee’s incumbency must be immediately reported to their immediate supervisor, Operations Manager or Human Resources. 2.Employees who operate fleet automobiles, light trucks and medium trucks SHALL conduct a visual pre-trip inspection of the tires, brakes, headlights, 111 taillights, directional lights, 4-way flashers, wipers, heater and defroster on the vehicle at each fueling. 3.Employees who operate commercial vehicles SHALL conduct and document the required “Pre-trip/Post-trip Inspection” prior to and at the conclusion of operating on public roadways as required by federal and state regulations. 4.Unless used during traffic control conditions, engines SHALL BE stopped and ignition keys removed when parking or leaving District vehicles and/or heavy equipment, unless parked within an enclosed garage. 5.Individuals not employed by the District are NOT PERMITTED as passengers in fleet vehicles unless authorized by the Operations Manager or General Manager. If the Operations Manager or General Manager is not sure of an acceptable deviation of the policy, they should consult with District Counsel or Risk Management/Human Resources to determine acceptable risk levels. 6.While fueling fleet vehicles and/or heavy equipment: a.Smoking is PROHIBITED while fueling. b.Engines SHALL BE turned OFF during the fueling operation. Leaving the vehicle unattended while fueling is PROHIBITED. c.Using an object to “lock the nozzle” on a fuel pump nozzle while fueling is PROHIBITED. d.Fuel leaks and/or spills (diesel fuel, and hydraulic oil) shall be immediately absorbed and cleaned up by using materials from the District provided “spill kit”. Spills over one gallon SHALL BE reported immediately to the Maintenance Supervisor. 7.Report any fleet vehicle and heavy equipment mechanical problems immediately. NEVER drive a fleet vehicle and/or operate heavy equipment that does not appear safe. 8.Heavy equipment SHALL BE properly maintained and inspected prior to each use. 9.Employees SHALL BE properly trained and certified on specialty and heavy equipment prior to its use. 10.Employees ARE NOT ALLOWED to tamper, over-ride or disconnect any manufacturer installed safety features and devices. 11.Vehicle interiors are to be kept clean and free of rubbish. 112 12.Smoking in vehicles is NOT PERMITTED. F. DRIVER ORIENTATION AND TRAINING. Orientation and training must supplement the employee’s trial period to assure thatall employees have the knowledge and skills necessary to perform the job in the manner expected, as well as to review the District’s policies and practices with each employee. The orientation and the type and amount of training that is needed will vary directly with the complexity of the job assignments, and the knowledge and experience level of the employee. The Maintenance Supervisor is responsible for orienting and training both new and current employees regarding the proper use, maintenance and operation of District vehicles and heavy equipment. The following components shall be thoroughly covered during the employee’s orientation/trial period. 1.Vehicle Safety Rules, Policies, Procedures and Practices Employee will be instructed before using the vehicles and/or heavy equipment for the first time on the following: -Approved uses of District vehicles -Vehicle accident procedures -Maintenance repair reporting process, procedures and mandatory forms -Vehicle and/or heavy equipment field breakdown procedures -Proper storage and parking procedures -Fueling practices and mandatory forms -Drug Free Workplace Policy -Fleet safety driving rules and best practices 2.Vehicle Operation (Off Road) Employees will be instructed on the proper use of vehicles and/or heavy equipment off road and the following: -Proper use of the vehicle and/or heavy equipment’s controls, features and attachments -Procedures for operating vehicles or heavy equipment on the roadway -Required inspection techniques -Completing the mandatory pre-trip inspection form -Proper use of safety features and equipment -Cargo loading, unloading, and tie-down practices -Backing procedures and use of spotters In addition, the District will provide ongoing in-service training programs which address the knowledge and skills necessary for all employees to perform in a satisfactory and safe manner. 113 G.VEHICLE AND HEAVY EQUIPMENT MAINTENANCE AND CARE. It is the responsibility of the Operations Manager and Maintenance Supervisor to ensure that all District owned or leased vehicles and heavy equipment assigned to their respective employees are in proper working condition at all times. The Operations Manager and Maintenance Supervisor shall ensure that an orientation and training programis developed for vehicles and heavy equipment. The Operations Manager and Maintenance Supervisor are accountable for the District assigned vehicles and heavy equipment. This accountability includes instruction of employees in the proper operation and preventative maintenance procedures and ensuring that routine vehicle inspections are performed on a pre-use basis and that inspection forms are completed and submitted in accordance with the established procedure. H. VEHICLE EMERGENCY BREAKDOWN PROCEDURE. Employees are responsible for following the breakdown procedures whenever a vehicle becomes disabled in a public roadway: 1.Get completely off the traveled roadway. Avoid curves, hills or places where the view may be obstructed. 2.Shut down the vehicle. 3.Set the parking brake to prevent movement. 4.Turn on the 4-way flashers. If reflective triangles are available, set them near the vehicle and at approximately 100’ to warn approaching traffic. 5.Call for assistance (911, maintenance supervisor,operations, manager, repair shop supervisor, etc.) 6. Stay in and with the vehicle. I.EMERGENCY EQUIPMENT AND SUPPLIES. Maintenance Supervisor and employees are required to maintain and ensure that all commercial vehicles are carrying the following emergency equipment: 1.Reflective triangles; 2.Basic first aid kit; 3.Small multi-purpose dry fire extinguisher; and the 4.Proof of Insurance and vehicle registration cards. 114 RULE 22 –TECHNOLOGY LOAN AND PROCUREMENT CARD Section 22.1: TECHNOLOGY LOAN PROGRAM . A.PURPOSE. To elevate technology competency of eligible employees, by encouraging and assisting the purchase of technology equipment and software for use in employees home by granting interest free loan from the District. Technology competency on the part of eligible District employees will increase productivity in the workplace through new applications and increased use of District technology equipment in daily organization activities. All regular District employees who have completed their initial probationary period with the District are eligible for this benefit. B.LOAN TERMS. 1.The minimum loan amount under this program shall be $200 and the maximum is $2,500. The employee has the option of financing all or part of the purchase price of the equipment and materials purchased up to the maximum. 2.The loan amount shall be specified in a promissory note from the employee to the District. 3.The loan shall be repaid by the employee through payroll deduction and the deduction period shall not exceed 24 months (52 pay periods). There shall be no interest charged. Repayment in full is accepted without penalty. 4.The loan shall become immediately due and payable upon separation of employment with the District. If there are insufficient funds available in the final paycheck, remaining balance shall be paid by check orcash at the time of separation. If a balance remains at the time of separation, the amount owed will be converted to a loan with a 10% interest rate billed monthly, if balance not paid in full by check or cash within 30 days of separation from the District. 5.Each employee will be limited to receiving one technology loan in a one fiscal year period and cannot obtain a loan if the employee still has an outstanding loan with the District. 6.Employee agrees not to sell, trade, or otherwise dispose of the equipment or software until the loan has been paid in full. The employee also agrees the usage of the equipment and software will be limited to the employee's own use and that of his/her immediate family. Any reassignment or transfer of the equipment or software or the Promissory Note will result in the loan being recalled. 115 7.Employees should ensure that their home or renter's insurance policy provides adequate protection of their equipment from theft, fire, flood, and lightning. The District does not assume any liability for damage or theft of equipment. C.TYPE OF EQUIPMENT. 1.Technology equipment ordered under this program is for the employee's personal use and for work-related activities. It is intended that the purchased equipment be compatible with the District's computing equipment. 2.Computers purchased under this program must be IBM PC compatible. Exceptions may be made to purchase a Mac system if a Mac system is required in the performance of the employee's District job and a Mac system is provided by the District for the employee's position. Any configuration of computer peripheral equipment and software is limited to the following (subject to the approval of the General Manager): CPU with operating system and windows software, other internal and external devices, such as drives, monitor, keyboard, mouse, speakers, modem, scanner, and printer. Shipping, handling fees and sales tax are also eligible for reimbursement, within the established limits. 3.The equipment is subject to warranty terms and conditions of the manufacturer. Each employee is solely responsible for arranging for maintenance service, installation, training, extended warranty or other services at his/her own expense and is not included in the loan amount. D.PROCEDURE. 1.The District can obtain government rates through its authorized technology purchasing vendor, CDW. Employees can search the equipment and software he/she desiresby visiting www.cdw.com. Print a listing of the hardware and software, including price quote, tax and delivery. 2.Complete a Personal Technology Loan Program -Loan Request form, which may be obtained from the Finance Department. This requires the employee to list the type of equipment to be purchased, the purchase price, the loan amount and repayment plan requested. Submit this to the Finance Department and finally to the General Manager to ensure loan approval. 3.After the loan is approved in writing, a Promissory Note outlining the terms of the loan must be completed and signed by the employee. 4.After the loan request form and Promissory Note is signed by the employee, the District’s Finance Department will purchase the equipment and/or software from CDW on behalf of the employee using District appropriated funds. The equipment and/or software will be shipped to District Headquarters at 628 W. 19th Street. 116 5.Payroll deductions (per pay period) will begin at the beginning of the first pay period following employee receipt of equipment and/or software at District Headquarters. E.IRS/TAXES. Questions regarding tax consequences of participation in this plan should be directed to a reputable tax advisor. F.LIMITATIONS. 1.The District assumes no liability against loss, damage or equipment abuse. 2.The District reserves the right to terminate the Technology Loan Program at any time. G.TECHNOLOGY LOAN REQUEST FORM. All employees who wish to obtain a technology loan must complete the District’s Employee Technology Loan Request Form. Section 22.2:PROCUREMENT CARD PROGRAM . A.OBJECTIVES. The Procurement Card Program objectives are as follows: 1.To provide for faster delivery service of low dollar items. 2.To reduce paper and postage expense for mailed warrants by consolidating vendor payments. 3.To provide a tool to Staff to review procurement card statements for repetitive purchases and consolidate into new price agreements and contracts with volume discount prices. B.POLICY. The Finance Manageris the administrator of the Procurement Card Program (CMSD Operations Code 3.01.090) and responsible for the following: 1.Determine who needs a Procurement Card, to be issued in the cardholder’s name. 2.Establish flexible Procurement Card limits. 3.Establish Procurement Card Cardholder Procedures. 117 4.Reviewing the cardholder’s charges on the Procurement Card and ensuring that the purchases are appropriate and within budget constraints, and proper documentation is included. C.DEFINITIONS. The Finance Manageris the administrator of the Procurement Card Program (CMSD Operations Code 3.01.090) and responsible for the following: 1.“Procurement Card Bank” is the bank card contractor who will issue the Procurement Card to the District. 2.“Cardholder” is a District employee who is issued a District Procurement Card. Determine who needs a Procurement Card, to be issued in the cardholder’s name. D.PROCEDURE. The Cardholder shall be responsible for the following: 1.Complying with Procurement Card Cardholder Procedures. 2.Ensuring the bank card is used appropriately and that all purchases are within the approved dollar limits and budgeted. 3.Ensuring the security of the Procurement Card while in his/her possession. If the card is lost or stolen, the Cardholder shall immediately notify the Procurement Card bank, the Finance Managerand the Personnel Manager. 4.The bank card is not to be used for the cardholder’s personal purchases. Improper and unauthorized use of the Procurement Card shall result in disciplinary action, and, where theft is suspected, the Cardholder shall refer the matter to the pertinent law enforcement agency for investigation and possible prosecution. The Finance Manager, with the approval of the GeneralManager, has the option to terminate the Cardholder’s right to use the Procurement Card at any time and for any reason. The Cardholder shall agree to return the Procurement Card to the District immediately upon request or upon separation of employment. RULE 23 –INJURY, ILLNESS, HEAT ILLNESS PREVENTION AND EMPLOYEE ASSISTANCE PROGRAMS Section 23.1: INJURY & ILLNESS PREVENTION PROGRAM . It is the policy of the District to provide equal employment opportunity to all persons. A.POLICY. 118 It shall be the policy of the District that every employee is entitled to a safe and healthful place in which to work. Every reasonable effort will be made in the interest of accident prevention, fire protection and health preservation. B.RESPONSIBILITIES. 1.General Manager –The General Manager is responsible for ensuring the IIPP is implemented. Duties include, but are not limited to: a.Ensuring all managers actively support the IIPP. b.Providing the funding necessary to maintain an effective and compliant safety program. 2.Managers & Supervisors –Managers & Supervisors have the responsibility of providing a safe place to work including facilities, equipment, standards and procedures, adequate supervision and recognition for a job done properly. They areresponsible for training all of their employees to perform their jobs properly and safely. They teach, demonstrate, observe and enforce compliance with established safety standards. 3.IIPP Administrator –The IIPP Administratoris the Administrative Services Manager, whohas the responsibility for the implementation, maintenance and update of the Program. 4.Employees –Employees have the responsibility of performing their tasks properly and safely. They are to assure themselves that they know how to do the job properly, and ask for additional training or assistance when they feel there is a gap in their ability, knowledge, or training. They should never undertake any task, job or operation unless they are able to perform it safely. C.COMPLIANCE. 1.Management Responsibility –Management is responsible for ensuring organizational safety and health policies are clearly communicated and understood by employees. Managers and supervisors are expected to enforce the rules fairly and uniformly. 2.Employee Responsibility –All employees are responsible for using safe work practices, following directives, policies and procedures, and for assisting in maintaining a safe work environment. 3.Performance Evaluations a.As part of manager and supervisor regular performance evaluations, they are evaluated on what they have done to ensure 119 a safe workplace for their respective employees. They are also evaluated on their positive or negative loss results. b.As part of employee regular performance reviews, they are evaluated on their compliance with safe work practices. 4.Recognition –Managers, supervisors and employees who make a significant contribution to the maintenance of a safe workplace, as determined by their superiors, receive written acknowledgment maintained in their personnel files. 5.Employee Training –Employees are trained and retrained on the correct safety and health procedures. 6.Employee Correction –Employees who fail to follow safe work practices and/or procedures, or who violate organizational rules or directives, are subject to disciplinary action, up to and including termination in accordance with the organization's personnel-related policies and procedures. Managers and supervisors correct safety violations in a manner considered appropriate by organizational management. D.COMMUNICATION. 1.Two-Way Communication –Management recognizes open, two- way communication between management and staff on health and safety issues is essential to an injury-free and productive workplace. 2.The Organization's System of Communication –The following system of communication is designed to facilitate a continuous flow of safety and health information between management and staff in a readily understandable form. a.An orientation program is given to all new employees and includes a review of the Injury & Illness Prevention Program and a discussion of policy and procedures the employee is expected to follow. b.The organization has safety meetings where safety is freely and openly discussed by all present. Field tailgate safety meetings are held monthly. Office safety meetings are held quarterly. All employees are expected to attend their respective meetings and are encouraged to participate in discussion. c.From time to time, safetynotifications may be sent via e-mail to office employees. Copies of such e-mails would be distributed to employees who do not have computers. 120 d.Other methods of communicating pertinent health and safety information are used as they are identified. 3.Safety Suggestions and Hazard Reporting a.All employees are encouraged to inform their supervisors or other management personnel of any matter which they perceive to be a workplace hazard or a potential workplace hazard. They are also encouraged to report suggestions for safety improvement. This reporting can be done orally or preferably in writing. If done in writing, the notification may be given directly to the supervisor, the IIPP Administrator or other management personnel, or placed in a suggestion box. b.If an employee wishes to report anonymously, a hazard, safety suggestion or other safety problem he or she can complete an Employee Report Form, and not indicate his/her name. c.No employee shall be retaliated against for reporting hazards or potential hazards, or for making suggestions related to safety. d.Management reviews all suggestions and hazard reports. e.If employees provide their names in regard to the notification, they shall be informed of what is being done within five working days of receipt. E.HAZARD IDENTIFICATION AND EVALUATION. Inspection of the workplace is our primary tool used to identify unsafe conditions and practices. While we encourage all employees to continuously identify and correct hazards and poor safety practices, certain situations require formal evaluation and documentation. 1.Safety Inspections –Internal safety inspections are conducted on a monthly basis for all shop and maintenance facilities. Safety inspections are conducted for all office areas at least annually. Hazards found are corrected on the spot or recommendations are submitted for future corrections. 2.Additional Inspections –Inspections are also conducted in accordance with Cal-OSHA requirements: a.Whenever new substances, processes, procedures or equipment present a new safety or health hazard. 121 b.Whenever management/supervision become aware of a new or previously unrecognized hazard, either independently or by receipt of information from an employee. c.Whenever it is appropriate to conduct an unannounced inspection. F.CORRECTION OF HAZARDS. When a hazard exists it is corrected on a timely basis based on the severity of the hazard. If imminent danger exists to any employees, management and supervision remove these employees from the danger at once, and personnel who are provided with the necessary safeguards correct the hazard. G.TRAINING. 1.Orientation -New Employees –The Administrative Manager or designee conducts the initial orientation on general safety within the first two days the new employee is on the job. All employees are provided with a copy of the IIPP. 2.Initial On-The-Job Training –When an employee first starts to work, a manager/supervisor trains the employee in all aspects of safety for the purpose of educating the new employee on the hazards of the work environment and the required safety procedures to mitigate those hazards. The manager/supervisor conducts this training and documents it by using the New Employee Training Checklist. The manager/supervisor and the employee sign the Checklist when the training is completed. The Checklist then becomes a permanent part of the employee's personnel file. All new hires are given a copy of the organization's Injury & Illness Prevention Program and those rules and regulations (Code of Safe Practices) applying their work environment. The New Employee Training Checklist is filled out during the employee's initial on-the-job training. 3.Specific Organization-Wide Training a.Emergency Action Plan–This training includes what the employee is to do under specific circumstances, such as fire, earthquake, medical emergency and bomb threat. b.First Aid, CPR and Blood bornePathogen Training Designated employees receive first aid, CPR and blood borne pathogen training in accordance with the American Red Cross and/or American Heart Association requirements. 122 c.Defensive Driver Training –All employees who may drive on organization business receive defensive driver training not less than every three years. Driving on organization business includes driving organization vehicles as well as personal vehicles. d.Ergonomics –All employees receive ergonomic training for their specific jobs. At minimum, each employee receives training on proper lifting techniques and, if necessary, computer workstation design. 4.Retraining –Reasons for retraining include change of job assignment, change of operations or materials, observation of poor work habits, or update of training methods. Managers and supervisors perform retraining: a.When an existing employee changes job functions. b.On at least an annual basis as a refresher program. Such training includes general workplace safety, job-specific hazards and/or hazardous materials, as applicable. 5.Specialized Training a.Supervisors are trained in their responsibilities for the safety and health of their employees. Such training includes both safety management and technical subjects. b.Supervisors are trained in the hazards and risks faced by the employees under their immediate direction. c.Managers, supervisors and the IIPP Administrator: i.Determine safety-training needs. ii.Implement new training programs. iii.Evaluate the effectiveness of these programs. d.In addition, training is provided whenever: i.New substances, processes, procedures or equipment pose a new hazard and there is a lack of skill or knowledge to deal with the situation. ii.Management, supervision or the IIPP Administrator become aware of a previously unrecognized hazard and there is a lack of skill or knowledge to deal with the hazard. 123 H.RECORD KEEPING. In coordination with other CMSD management, the IIPP Administrator is responsible for maintaining all documentation relating to the implementation of the IIPP: 1.For the purpose of displaying a tracking history of occupational safety and health programs and activities, all documents are maintained for a minimum of one year plus the current year, unless otherwise stated. For example, at the end of each year,the prior year’s documents are removed from the files. During the next year, current year documents are maintained along with the just-past year’s documents. 2.Specific records are maintained for each of the topics within the IIPP to include, but not be limited to: a.Employee recognition and correction b.Safety meetings and other safety communication c.Safety suggestions and hazard reporting d.Hazard identification and correction e.Occupational injury & illness investigations f.Training Section 23.2: REPORTING ON-THE-JOB INJURIES . A.Employees shall report personal injuries sustained or injuries suffered by other incapacitated employees immediately to their supervisor. The supervisor shall ensure necessary medical treatment is provided by either referring the employee to the District’s Company Nurse program or calling the District’s Company Nurse on the employee’s behalf. The Company Nurse will provide the employee with the necessary treatment options available to him/her and provide instructions for any follow-up care. The Supervisor willalsoconduct an investigation of the injury and document such. Documentation shall be reported on a “Supervisor’s Accident Investigation Report” and the injured employee shall complete an “Employee’s Claim for Workers Compensation Benefits”, form DWC-1. The supervisor shall submit the documents to the Personnel Manager within one working day of receipt of the completed DWC-1 form from the employee, as required by law. B.In the event of life periling injuries, or hospitalization of the employee, the PersonnelManager shall be notified immediately by phone. The Personnel Manager shall review and evaluate the events leading to an on-the-job injury for remedial action. 124 C.Whenever a supervisor is advised byan employee that a medical condition may be work related in the employee’s opinion, the supervisor shall immediately advise the employee of the right to file a worker’s compensation claim and provide the DWC-1 form to the employee. The PersonnelManager shall investigate all claims for determination of whether the medical condition is work related, as provided under worker’s compensation law. Section 23.3:HEAT ILLNESS PREVENTION PROGRAM . A.SYMPTOMS OF HEAT ILLNESS. 1.Fainting (heat syncope) –a worker who is not accustomed to hot environments and who stands still in the heat may faint. Preventive/Response Measure Upon lying down in a cool place, the worker should soon recover. By moving around and drinking plenty of water, the worker can prevent further fainting. 2.Heat Cramps –Heat cramps are painful spasms of the muscles that occur among those who sweat profusely in heat, drink large quantities of water, but do not adequately replace the body's salt loss. The drinking of large quantities of water tends to dilute the body's fluids, while the body continues to lose salt. Shortly thereafter, the low salt level in the muscles causes painful cramps. The affected muscles may be part of the arms, legs, or abdomen, but tired muscles (those used in performing the work) are usually the ones most susceptible to cramps. Preventive/Response Measure Drink electrolyte solutions such as Gatorade or plenty of water during the day and try eating more fruits such as bananas to help the body hydrate during hot weather. 3.Heat Exhaustion –Heat exhaustion includes several symptoms, which may resemble the early signs of heat stroke. Heat exhaustion is caused by the loss of large amounts of fluid by sweating, sometimes with excessive loss of salt. A worker suffering from heat exhaustion still sweats but experiences extreme weakness or fatigue, giddiness, nausea, or headache. In more serious cases, the victim may vomit or lose consciousness. The skin is clammy and moist, the complexion is pale or flushed, and the body temperature is normal or only slightly elevated. Preventive/Response Measure The employee suffering these symptoms should be moved to a cool location such as shaded area or air-conditioned building. Have the worker lie 125 down with his/her feet slightly elevated. Loosen his/her clothing, apply cool, wet cloths or fan him/her. Have him/her drink water or electrolyte drinks. Try to cool him/her down and have him/her checked by medical personnel. Victims of heat exhaustion should avoid strenuous activity for at least a day, and they should continue to drink water to replace lost body fluids. 4.Heat Stroke –Heat stroke is the most serious of health problems associated with working in hot environments. It occurs when the body's temperature regulatory system fails and sweating becomes inadequate. The body's only effective means of removing excess heat is compromised with little warning to the worker that a crisis stage has been reached. A heat stroke victim's skin is hot, usually dry, red or spotted. Body temperature is usually 105ºF or higher, and the worker is mentally confused, delirious, perhaps in convulsions or unconscious. Unless the worker receives quick and appropriate treatment, death can occur. Preventive/Response Measure Any worker with signs or symptoms of heat stroke requires immediate hospitalization. However, first aid should be immediately administered. This includes removing the worker to a cool area, thoroughly soaking the clothing with water, and vigorously fanning the body to increase cooling. Further treatment at a medical facility should be directed to the continuation of the cooling process and the monitoring of complications, which often accompany the heat stroke. Early recognition and treatment of heat stroke are the only means of preventing permanent brain damage or death. B.RECOGNIZING HEAT ILLNESS RISK FACTORS. As noted earlier, environmental risk factors for heat illness include air temperature, relative humidity, radiant heat from the sun and other sources, conductive heat sources such as the ground, air movement, workload severity and duration, protective clothing and personal protective equipment worn by employees. Personal risk factors for heat illness include age, degree of acclimatization, general health, water consumption, and use of medications, caffeine, or alcohol, which can affect the body’s water retention or other physical response to heat. The following are the responsibilities for every District employee to recognize heat illness risk factors. 1.General Manager or His/Her Designated Representative –Issuing Heat Stroke Alert as indicated in the Heat Illness Index Chart, which is attached to this Employee Handbook hereto as Attachment “C”. 2.Administrative Service Manager –Ensuring employees who are working in hot environments take necessary precautions as outlined in the Heat Conditions Table, which is attached to this Employee Handbook hereto as Attachment “D”, as well as determining what activities can be performed during a danger period. 126 3.Maintenance Supervisor –Maintenance Supervisor must evaluate work conditions before sending employees to perform outdoor work in hot conditions. Typically, temperature above 90ºF, especially with heavy physical work activities, would represent conditions where there is a risk of heat illness. Other factors, such as high humidity or work activities that restrict the body’s ability to cool itself, such as protective clothing, could result in a risk of heat illness at lower temperatures. Maintenance Supervisor must also: a.Establish a schedule for work and rest periods during hot days. b.Go over with his/her staff how to recognize signs and symptoms of heat illness and be prepared to give first aid if necessary. c.Annual training of his/her staff who work inhigh heat areas. d.Use the Heat Illness Index Chart to assess the environmental risk of heat illness, based on temperature and relative humidity. Provision of water and shade should be implemented whenever the Heat Index exceeds 90ºF. e.Realize individual employees vary in their tolerance to heat stress conditions. 4.Employees –Employees must attend training on the environmental risk of heat illness and follow the instructions given. They are also responsible for monitoring themselves for signs and symptoms of heat illness as outlined in the Heat Conditions Table. Employees must also: a.Pace the work, taking adequate rest periods in shade or cooler environment b.Keep shaded from direct heat where possible by wearing a hat and applying sunscreen. c.Drink plenty of water. In hot environments the body requires more water than it takes to satisfy thirst. Drink before you are thirsty. Electrolyte drinks are encouraged but not necessary, plain water works well. C.ACCLIMATIZATION. Employees need time for their bodies to adjust to working in the heat. This “acclimatization” is particularly important for employees returning to work after a prolonged absence, recent illness, moving from a cool to a hot climate, or working during the beginning stages of a heat wave. For heavy work under extremely hot conditions, a period of four to ten days of progressively increasing work time, starting 127 with about two hours work per day is required under this program. For less severe conditions at least the first two to three days of work in the heat must be limited to two to four hours. The Maintenance Supervisor will monitor his/her staff closely for signs and symptoms of heat illness, particularly when they have not been working in the heat for the last few days or when a heat wave occurs. D.WATER. Clean, fresh, and cool potable water shall be readily available to employees. Whenever environmental risk factors for heat illness exist, drinking water will be provided in sufficient quantities to provide one quart per employee per hour for the entire shift (at least two gallons per employee for an eight-hour shift). The Maintenance Supervisor is responsible to ensure that his/her staff has an adequate supply of drinking water. Employees are encouraged to drinkwater frequently. E.SHADE. A shaded area will be provided that employees may use when they are suffering from heat illness or believe they need a recovery period to prevent heat illness. The shaded area shall be open to the air or ventilated and cooledand access shall be permitted at all times. Canopies, umbrellas or other temporary structures may be used to provide shade, provided they block direct sunlight. The Maintenance Supervisor is responsible to ensure that his/her staff has access to a shaded area. F.RESPONDING TO HEAT ILLNESS. The following procedures must be followed if the supervisor recognizes signs or symptoms of heat illness in his/her staff or an employee recognizes symptoms in himself/herself: 1.Move to a shaded area or air-conditioned building for a recovery period of at least five minutes. 2.Drink plenty of water. 3.If the condition appears to be severe or the employee does not recover, then emergency medical care is needed. Emergency medical care shall be provided by the following method: 4.Thoroughly soaking the clothing with water, and vigorously fanning the body to increase cooling. 5.Call 911. Be ready to provide emergency response personnel with directions to work location 6.If necessary, transport employee to oneof the following facilities to receive immediate medical care: 128 a.Costa Mesa Fire Department, Station 1, 2803 Royal Palm Drive b.Costa Mesa Fire Department, Station 2, 800 Baker Street c.Costa Mesa Fire Department, Station 3, 1865 Park Avenue d.Costa Mesa Fire Department, Station 4, 2300 Placentia Avenue e.Costa Mesa Fire Department, Station 5, 2450 Vanguard Way f.Costa Mesa Fire Department, Station 6, 3350 Sakioka Drive g.Hoag Hospital, One Hoag Drive, Newport Beach Regardless of the employee’s protest, no employee with any of the symptoms of possible serious heat illness noted in this program should be sent home or left unattended without medical assessment and authorization. G.TRAINING. All employees who may work outdoors in conditions where there are environmental risk factors for heat illness shall be provided training on the proper measures to protect themselves and their colleagues. The training will include the following information: 1.Why it is important to prevent heat illness; 2.Procedures for acclimatization; 3.The need to drink water frequently; 4.The need to take breaks out of the heat; 5.How to recognize symptoms of heat illness; 6.How to contact emergency services and how to effectively report the work location to 911; and 7.The importance of choosing water instead of soda or other caffeinated beverages, and avoiding alcoholic beverages altogether during high heat. Section 23.4: EMPLOYEE ASSISTANCE PROGRAM . A.POLICY 129 This policy establishes a confidential Employee Assistance Program (EAP) for District employees and their immediate families through Employee Support Systems Company (ESSCO). All District employees are valuable members of the District team of professionals serving the community. Sometimes problems arise which may be difficult for employees to solve alone. The EAP is designed to assist the employee and family members in resolving problems affecting physical and emotional well-being and job performance. It is a completely confidential employee benefit. The District provides for and fully funds this confidential benefit for all employees and their immediate families as it provides the following services: 1.Private and confidential assessment and referral counseling. 2.24-hour, 7-days-per-week emergency telephone counseling. 3.EAP consultation with licensed or certified counselors. 4.Appointments outside of work hours. 5.Coverage extends to family members and significant others. 6.No charge to the employee or family member for the EAP counseling. 7.Bilingual counseling in Spanish. Arrangements for other languages can be made in advance of the scheduled appointment. Counselors in several other languages are readily available. 8.Referrals to community social services and self-help groups. 9.Referrals to licensed outpatient and inpatient treatment facilities often at contracted, reduced rates. 10.Follow-up and case management on all persons using the EAP. 11.Group debriefing when a traumatic incident occurs. 12.Coordination with other employee benefit plans provided by your employer. B.Employees are encouraged to use this benefit as needed by calling ESSCO at 1- 800-221-0945 or its successor. RULE 24–TRAVEL AND PER DIEM Section 24.1:TRAVEL REIMBURSEMENT . A.SCOPE. 130 It isthe intent of the District to reimburse District personnel for all reasonable expenses incurred whenever they are required to travel on business for the District. “Business for the District” shall include expenses incurred in connection with approved official representation of the District from which the District will derive a specific benefit such as: attendance at training, seminars, symposia, conferences, hearings, conventions or other meetings. B.TRAVEL AUTHORIZATION. When it is necessary for District staff to attend meetings or training away from the District or to travel outside the District to conduct District business, various modes of transportation, lodging accommodations and meal alternatives are available. The associated costs vary considerably. In an effort to control costs and to compensate personnel for reasonable expenses, the following policy shall be adhered to for all District travel: 1.All travel requests shall be submitted with the annual budget requests. 2.District staff may not attend out-of-state conferences unless approved by the Board of Directors. 3.District staff may attend in-state conferences. The General Manager must approve all travel, provided sufficient monies have been previously budgeted. 4.The General Managermay authorize the attendance of additional District personnel if deemed appropriate and travel funds are available. 5.Arrangements must be made sufficiently in advance to take advantage of available discounts for registration, air fareand lodging. C.TRANSPORTATION. 1.For travel outside the Southern California area, employees are expected to travel by air. If traveling by private vehicle, departure and arrival times shall be based on air travel time. Departure shall not be earlier than that which would allow the District personnel to arrive within a reasonable amount of time to attend the first scheduled event of the conference, seminar, etc.; in turn, the same reasonable time period shall apply to departure from the event when returning and shall allow District personnel to return at the earliest reasonable time possible. Reasonable amount of time shall be determined in one-half day increments, subject to General Manager or Personnel Manager approval, i.e.: -If the conference begins at 9:00 a.m.,Tuesday in San Francisco, the employee may leave Costa Mesa Monday evening after the work day. 131 -If the conference begins at Noon Tuesday in San Francisco, the District personnel may depart from Costa Mesa (or home) early Tuesday morning. -If the firstscheduled event begins at 5:00 p.m. on Tuesday in San Francisco, District personnel may depart from Costa Mesa late Tuesday morning or early Tuesday afternoon. 2.Departures and subsequent arrival practices will be contingent upon flight schedules and fare discounts. 3.If District personnel wish to deviate from the reasonable arrival or departure time period for personal reasons or if alternative transportation is involved, any excess time (that which is above the time required to fly) shall be charged as vacation leave time and will require General Manager approval in advance. This practice shall apply to District personnel driving personal vehicles. Permission to drive shall not be construed to mean “on District time”. Any additional expenses, including meal and lodging costs, resulting from excess travel time will be at the individual’s own expense. 4.Use of a private car (if authorized in advance) will be reimbursed at approved rates in effect at the time of travel. A copy of the employee’s proofof automobile insurance must remain on file with the Personnel Manager. In cases where more than one person is attending the same event, they will be strongly encouraged to travel together and mileage reimbursement would be for one vehicle only. In instances where this is not possible, advance approval by the Personnel Manager will be necessary. Mileage reimbursement will be based on actual miles driven, from the District office. The maximum paid for transportation to areas outside Southern California shall not exceed the equivalent cost of “coach fare” airline transportation plus the cost of other necessary ground transportation at the destination. 5.Payment for travel reservations should be made far enough in advance (generally 14 to 21 days) to take advantage of discounts. Staff is required to make their own travel arrangements, but are encouraged to use the local travel agencies or the internet (depending upon which is least expensive) to make travel arrangements. D.CAR RENTALS. When traveling,the use of rental cars is discouraged. Airportshuttle service, buses, or taxis should be utilized between airports and hotels or meeting locationsif within 30 miles. Staff should check availability and cost, and make their own car rental arrangements.When renting a car, insurance and other extras should not be requested. Before returning the car, the District personnel are to make sure the car is 132 returned with the same amount of gas as when rented, usually a full tank. The District personnel may then claim reimbursement for the gas with the proper receipt. E.LODGING. 1.Receipts for lodging must be submitted to obtain reimbursement. Lodging reimbursement may be requested when traveling outside of Orange Countyor when attendance at events is fortwo or more consecutive days. Lodging reimbursement for the night prior to the beginning of an event may be allowed only if time and/or travel schedules prohibit travel at reasonable hours on the first day of a conference. Generally, reimbursement wouldbe allowed if the event begins before 9:00 a.m. (and is outsideof Orange County) or is out of the state. Note: No lodging decisions should be made based on where an employee’s residence is located (i.e. an employee who commutes 50 miles to work each dayshould be held to the same standard for lodging purposes that would be applied to an individual who commutes five miles to work). No lodging reimbursement will be allowed for the night following the event, except under circumstances beyond the control ofthe District personnel (i.e. flight canceled). 2.Lodging reimbursement will not be approved for travel within Orange County regardless of the length of the event. Note: This applies to all events attended by any District Official or District Staff, since it is inappropriate to use District funds for unnecessary and frivolous purposes. An exception will be made if on site lodging is a requirement of the event and it is approved in advance by the Board of Directors, or if the event is structured to go later into the evening than a normal conference (typically past 8:00 p.m.). 3.Lodging shall be obtained at the most economical rate available for good quality. Lavish or oversized accommodations are not justified. Conference headquarters hotels are encouraged, when not unnecessarily expensive. Reservations made through the convention and/or housing bureaus (usually offered through conference literature) are encouraged. If the convention or housing bureaus are not used, and if more than one place of lodging is available, the prevailing rate for a single occupancy room will be allowed. In the absence of group or special rates, District personnel should request a “government rate” discount. 4.Advance payment may be made by check requisition or the District’s credit card. Check requisition forms may request the check being mailed to the lodging provider. For all travel advances paid either directly to the individual or a third-party, a supporting schedule detailing the type of expenditures being advanced must be attached to the check requisition. This will allow the Accounting Department to determine if the expenditures requested for advance are eligible for reimbursement prior to those costs being incurred. Receipts are to be kept and attached to the 133 employee’s travel form and submitted to Accounting immediately after the conclusion of the event. F.MEALS. 1.The meal allowance is $65.00 per day including taxes and tips. All meal reimbursements will be completed after an itemized receipt is submitted to Accounting. In instances where District personnel will be purchasing less than a full day of meals (i.e., less than three meals per day), the per diem, including tip, will be on a per meal basis as follows: breakfast $13.00 lunch $17.00 dinner$35.00 Reimbursement for an evening meal on the night prior to the beginning of an event may be allowed if the event begins at 9:00 a.m. or earlier the following day and the amount of time required to travel to the location does not provide fordinner at a regular hour. Per diem may not be claimed for meals which are already included in the conference registration fee. Any claiming of per diem for meals that have been provided or paid for by other parties shall be considered inappropriate and subject to disciplinary action. 2.The per diem meal breakdown summarized above will be adhered to in all instances, examples are as follows: a.If breakfast and lunch are included with a conference an individual may claim a maximum of $35.00 for dinner–not the $65.00 daily allowance. b.An employee will not be reimbursed per diem amounts if alternate meals are purchased when meals have been included with the conference (i.e. an employee decides to skip the lunch banquet and eat at a nearby restaurant-an individual may elect to eat elsewhere, but at the employee’s expense). c.All receipts must be kept and submitted when seeking reimbursement for meals purchased for individuals other than the claimant and shall indicate the date, participating parties and purpose of the meeting. d.The employee, who picks up the check for a group of employees, will not be reimbursed for more than a single per diem. 3.The following are examples of how per diem may be claimed: 134 a.Per diem for breakfast may be claimed if District personnel are in travel status prior to 7:00 a.m. and breakfast is not provided; b.Per diem for lunch may be claimed if District personnel are attending an out-of-town conference through the lunch hour, and lunch is not provided. c.Commuter courses (i.e. travel within Orange County) meals will be reimbursed to a maximum of $8.00 for each employee. d.Per diem for dinner may be claimed if District personnel are required to stay overnight, and dinner is not provided. G.UNAUTHORIZED EXPENSES. 1.Items of a personal nature are not reimbursable including: alcoholic beverages, movies, entertainment, premium television services, snacks, dry-cleaning, spas, gyms, barber, magazines, shoeshine, travel insurance, supplemental insurance on rentalcars, toiletries, loss of tickets, fines or traffic violations, excess baggage, lecture tapes or books, the incremental cost for spouse or guest accommodations or other items of a personal nature. Business calls to the District work sites will be reimbursed in full. Telephone, FAX and e-mail charges will be allowed for official calls, including Internet access. 2.If unauthorized expenses have been paid by the District (i.e., via District credit card or petty cash), the individual will be responsible for immediate reimbursement to the District by personal check (or a payroll deduction if necessary). . H.OUT OF POCKET COSTS. All conference and meeting attendance must be authorized by the General Manager. Requests should be made far enough in advance to take advantage of all available discounts and to take into consideration normal processing requirements. A Check Requisition form made out to the sponsor with the proper supporting registration forms should be forwarded to Accounting for payment and mailing. Registration must be included on a regular warrant register and will not be processed on a “pre-issued manual” basis. If registration is paid upon arrival at said conference by the District personnel, an original receipt must be submitted for reimbursement and in some instances a copy of the employee’s cancelled check may be requested to support the amount claimed. I.REIMBURSEMENT AND ADVANCE PAYMENT PROCEDURES. 1.The Monthly Mileage & Expenses Report form is used to request reimbursement for one day commuter activities such as: seminars, professional association lunch meetings, mileage, etc. Mileage amounts 135 are reimbursed on an actual miles traveled basis, while other expenditures (i.e. the cost of a lunch meeting) are reimbursed on an actual out-of-pocket basis. Monthly Mileage & Expense Report must be submitted within 10 days after the end of the month, with all original receipts attached. 2.It is the policy of the District that the standard forms provided by the District be used to document travel and business expenses and in support of request for reimbursement. All expenses must be listed on a single form. Original receipts (not photo copies) are required and must be submitted with all expense reports. It is the responsibility of the individual incurring the expense to see that documentation for business and travel expenses is complete and submitted in a timely and accurate manner. 3.Persons with delinquent expense reports (a report not filed within 10 days of the trip return date) will not be allowed to obtain a future travel advance until their delinquent expense reports are filed. J.EXCEPTIONS. It is the District’s desire to generally adhere to these policies. Nevertheless, there may be occasions when District personnel are unableto comply with them. It is the responsibility of the individual to prepare a written, signed statement as to why an exception/s should be approved. The District is under no obligation to provide reimbursement without original receipts. The General Manager or designee may Approve of exceptions to these policies. There may also be instances where the General Manager determines it to be in the best interest of the District, primarily due to budgetary constraints to limit the amount of meal per diem or require the sharing of lodging accommodations at conferences. In these situations the individual cannot be required to attend. Section 24.2: EXPENSE REIMBURSEMENT . A.Employees will be reimbursed for their out-of-pocket expenses incurred while conducting official District business. District employees who use their private vehicle while conducting District business will be reimbursed at the rate described in CMSD Operations Code section 3.01.030. All other expenses not related to conferences, meetings and/or use of a private vehicle will be reimbursed by means of the petty cash fund. Original receipts are required for all expenses including meals. B.An employee must sign his/her expense claim and obtain General Manager approval to be reimbursed for expenses.All claims for expenses must be submitted within 10 days after the end of the calendar month in which expenses were incurred. Expenses totaling $100.00 or less shall be reimbursed from the District petty cash fund. Expenditures totaling more than $100.00 shall be reimbursed by means of a District warrant. RULE 25–EQUAL EMPLOYMENT OPPORTUNITY 136 Section 25.1: GENERAL POLICY .It is the policy of the District to provide equal employment opportunity to all persons. All Districtrecruitment, hiring, training, promoting and transferring shall be done without regard to race, color, religion, national origin, sex, maritalstatus, political affiliation, age, or physical or mental disabilities not constituting bona fide occupational qualifications. All personnelpolicies, procedures and practices shall beadministered accordingly. The Districtrecognizes its moral and legal responsibility to provide equalemployment opportunity, to take affirmative and direct action at all levels of special district government regarding job classifications, salaries, training, fringe benefits, and other personnel policies,and to improve employment and career opportunities for minority group persons and women according to affirmative action principles. The GeneralManager is responsible for implementation of all equal employment opportunities and affirmative action programs adopted by the District.Supervisorsare required to assure that equal employment opportunity concepts aresupported by their organizations. Employee organizations must support and comply with adopted programs and the Personnel Manager shall maintain appropriaterecords and prepare status reports on implementation. RULE 26-SERVICE AWARDS Section 26.1: Purpose. The purpose of Service Awards is to recognize employees for their services to the District and the Community. Service awards shall be presented to employees in the classified service for five years of service and at each five year interval thereafter. For purposes of this Rule, the term "years of service" as applied to employees in the classified service shall be defined as the accumulated total of all periods of full-time service, excepting therefrom any periods of leave of absence at no pay exceeding 30 calendar days. The provisions of this Rule shall apply also to the District’sBoard of Directors. 137