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Agenda Packets - Board - 2009-03-20• Costa Mesa Samta-y,,�p Dist-rictt ... an Independent Special District Robert Ooten Vice President James Ferryman Director Arlene Schafer President Gary Monahan Secretary Arthur ferry Director Regular Meeting — Friday, March 20, 2009 RECOMMENDED ACTION CALL TO ORDER — 11:45 a. M. — 628 W. 19th Street, Costa Mesa II. PLEDGE OF ALLEGIANCE — Director Ooten III. INVOCATION — Thomas Fauth IV. ROLL CALL (If absences occur, consider whether to deem those absences excused based on facts presented for the absence — such determination shall be the permission required by law.) V. CONSENT CALENDAR - All matters listed under the Consent Calendar are considered to be routine and will be enacted in one motion in the form listed below. There will be no separate discussion on these items prior to the time the Board votes on the motion, unless members of the Board request specific items to be removed from the Consent Calendar for discussion, in which event the item will be removed from the Consent Calendar and considered in its normal sequence on the agenda. Reports Minute Approval 1. Sewer System Committee Meeting — February 11, 2009 2. Special Meeting — February 19, 2009 Protecting our community's Health by providing sofuf waste and sewer collection services. www.crosdca.ov 'Costa Mesa Samtayr q District AGENDA 0 3. Recycling Committee Meeting — February 23, 2009 4, Investment Oversight Committee Meeting — February 26, 2009 5. Regular Meeting — February 26, 2009 Manager's Reports 6. Refunds 7. Occupancy Report and payment to Costa Mesa Disposal — March 2009 8. Monthly SSO Report to State Water Resources Control Board 9. CMSD Staff Human Resources Meeting — February 25, 2009 10. Waste Diversion Report— March 2009 11. Contract Payment to CR Transfer for Recycling Services & Disposal for March 2009 12. Ordinance Enforcement Officer's Report Engineer's Reports 13. Project Status Report Treasurer's Reports 14. Financial Reports as of February 28, 2009 15. Treasurer's Reports as of February 28, 2009 16. Warrant Register for the month of February 2009 in the amount of $685,180.19 17. Directors' Compensation and Reimbursement of Expenses for the Month of February 2009 VI. WRITTEN COMMUNICATIONS VII. PUBLIC COMMENTS VIII. MANAGER'S REPORTS March 20, 2009 .Page 2 RECOMMENDED ACTION No Refunds Approve Receive & File Receive & File Receive & File Ratify Payment Receive & File Receive & File Approve Approve Ratify Payments Approve Compensation & Ratify Expenses ND OF CONSENT CALENDAR -------------------------------------------- A. CLOSED SESSION 1. To provide Authority to the District's Labor Negotiator, Robin Hamers, Regarding Compensation, but not limited to the CalPERS Retirement Formula, for all Unrepresented Employees (Government Code § 54957.6) (Refer to CMSD HR Meeting Minutes dated February 25, 2009) Protecting our community's health by providing solid waste and sewer collection sen*xs. ,qov Costa Mesa SGImtGl.q District AGENDA March 20, 2009 Page 3 RECOMMENDED ACTION B. District Yard — 174 W. Wilson Street — CMSD #187 1. Selection of Contractor Award Contract C. Strategic Planning Workshop for 2009 -2010 — Friday, April 3, 2009 Accept Report 8:30 a.m. — 3:00 p.m. — Neighborhood Community Center — Hamilton Room D. Grant Research Accept Report E. Sewer System Committee 1. Report on meeting held March 11, 2009 Accept Report 2. Transfer of Sewers from OCSD to CMSD Accept Report 3. Project #186 Sewer Lateral Assistance Program Update F. Interim Sewer Line Maintenance Cleaning Agreement with Approve Interim Agreement National Plant Services G. CMSD Web Site Update Accept Report H. 2009 Winter Newsletter Accept Report I. Recycling Committee — Monday, March 23, 2009, 12:00 p.m., CMSD Board Room, 628 W. 19'" Street, Costa Mesa (Directors Ooten and Monahan) 1. Recycling Committee Goals for 2009 -2010 Update 2. Orange Coast College Recycling Center Accept Report Guest: Mike Carey 3. Orange County Waste & Recycling Sub - Regional Meetings and Accept Report Grant Program 4. California Integrated Waste Management Board Accept Report 5. Disposal of Residential Grease in CMSD Trash Collection Program Accept Report 6. Tours of CR &R and Frank L. Bowerman Landfill Accept Report a. UCI Students — Thursday, March 5, 2009 7. Presentations a. Plastics Presentation at Paularino School — March 26, 2009 Accept Report b. Waste -Free Lunch Day at Christ Lutheran School — April 20 Accept Report ® and April; 22, 2009 8. Report on Other CMSD Recycling Programs Accept Report Protecting our community's health by providing solid waste and sewer collection sen4ces. wurw.crosdca.gov Costa Mesa $anitarYq District March 20, 2009 AGENDA Page 4 RECOMMENDED . ACTION ENGINEER'S REPORTS A. Waste Discharge Requirements (WDR) Update B. Proposal to Begin Project #182 — Analysis of CCTV Results Approve Proposal X. TREASURER'S REPORTS A. Budget Adjustment — Inspection and Plan Check Accept Report XI. ATTORNEY'S REPORTS A. Claim by Back Bay Center, Ltd. For Property at 2651 -2675 Irvine Avenue Status Report (CMSD Project #168 — Irvine Pump Station Relocation) B. Resolution No. 2009 -763 Authorizing the Assistant Manager to Sign Adopt Resolution and File for on Behalf of the Costa Mesa Sanitary District a Financial Assistance Application for a Loan /Grant from the State Water Resources Control Board XII. LOCAL MEETINGS (Includes Reports by all Directors Representing CMSD) A. Orange County Sanitation District (OCSD) (Director Ferryman) Accept Report B. Santa Ana River Flood Protection Agency (SARFPA) Accept Report (Director Perry) C. Independent Special Districts of Orange County (ISDOC) Accept Report (Director Schafer) D. Local Agency Formation Commission (LAFCO) Accept Report E. California Special Districts Association (CSDA) Accept Report (Director Schafer) F. California Association of Sanitation Agencies (CASA) Accept Report 1. CASA 2009 Spring Conference — April 29 — May 2, 2009 Consider Attendance G. Other Meetings Qualifying for Reimbursement under CMSD Report on Matters Ordinance No. 55, Operations Code Section 3.01.030 Pertaining to CMSD XIII. OLD BUSINESS XIV. NEW BUSINESS A. CWEA Conference in Palm Springs — April 28 - May 1, 2009 Approve Attendance • (SLA Presentation by CMSD Assistant Manager NOT part of Conference) Protecting our community's health by providing solid waste and sewer collection sen *.es. www.crosdcaAov CAsta. Mess Sanita-q District March 20, 2009 AGENDA Page 5 RECOMMENDED ACTION B. Change of Dates for Regular Board Meetings Consider April 2009 2. September 2009 3. November 2009 XV. ORAL COMMUNICATIONS AND DIRECTOR COMMENTS XVI. ADJOURNMENT • C] Protecting our community's health by providing solid waste and sewer collection services. wrvw.crosdea.gov Friday, March 20, 2009 11:45 a.m. Monday, March 23, 2009 12:00 p.m. Friday, April 3, 2009 8:30 a.m. to 3:30 p.m. Wednesday, April 8, 2009 10:30 a.m. Monday, April 20, 2009 12:00 p.m. Monday, April 27, 2009 11:30 a.m. Friday, May 8, 2009 11:45 a.m. Wednesday, May 13, 2009 10:30 a.m. Monday, May 18, 2009 12:00 p.m. Wednesday, May 20, 2009 11:45 a.m. Wednesday, June 10, 2009 10:30 a.m. Monday, June 22, 2009 12:00 p.m. Thursday, June 25, 2009 5:30 p.m. UPCOMING MEETING DATES Regular Board Meeting Recycling Committee Meeting (Directors Ooten and Monahan Strategic Planning Workshop (Neighborhood Community Center) Sewer System Committee Meeting (Directors Monahan, Ferryman & Ooten) Recycling Committee Meeting (Directors Ooten and Perry) Regular Board Meeting Budget Meeting Sewer System Committee Meeting (Directors Monahan, Ferryman & Ooten) Recycling Committee Meeting (Directors Ooten and Ferryman) Regular Board Meeting Sewer System Committee Meeting (Directors Monahan, Ferryman & Ooten) Recycling Committee Meeting (Directors Ooten and Schafer) Regular Board Meeting COSTA 5VEs.A SANiTAXY DisTRicT Memorandum ... an Independent Special District To: Board of Directors From: Thomas A. Fauth, Assistant Manager j6gjr4l- Date: March 18, 2009 Subject: CMSD Interim Main Line Maintenance Cleaning Proposal BACKGROUND: CMSD implemented the Orange County Sanitation District (OCSD) Grant funded CCTV project (Project #175) and Pre -CCTV Sewer Line Cleaning (sewer line maintenance account 4320) in January 2006 and it is scheduled to be completed by the end of March 2009. The Board authorized approving two extensions to the original completion date of December 2007 due to the need for unanticipated heavy line cleaning. The industry standard for maintenance line cleaning is approximately once every three years. DISCUSSION: The linear feet (LF) cleaned for the period January — June 2006 totaled 236,400LF. These areas were primarily residential 8 inch diameter VCP main lines. District Staff and Field Crewmen later classified these lines as needing cleaning on a basis of every one, two or three years depending on the evaluation of the videos, still photos and project reports for each line segment. Staff assigned the majority of these main lines cleaned during this time frame to the once- every- three- years category and it has now been three years. To keep the lines cleaned within the industry standard of every three years as a minimum, Staff recommended spending a portion of the available FY08 -09 funds remaining from the CCTV Project #175 and sewer line cleaning maintenance account, totaling $162,000, to clean the 236,400LF at a cost of $.38 /LF, as quoted from Dennis Keene, the President of National Plant Service, Inc. (NPSI). The NPSI performance has been excellent. This translates to a total estimated cost of $89,832 to be expended during the April- May -June 2009 time frame and keep the District within the Industry Standard for line maintenance cleaning. A full new agreement beginning on July 1, 2009 is proposed to be forwarded to the Board for a multi -year line maintenance cleaning agreement with NPSI at the June 25, 2009 Regular Board Meeting. RECOMMENDATION: Staff recommends Board Approval for Staff to negotiate, prepare and implement a three -month Interim line maintenance cleaning agreement with NPSI for the April- May -June 2009 time frame to clean 236,400LF of primarily 8 inch diameter main line at a not -to- exceed cost of $100,000, subject to final contract language ass approved by CMSD legal counsel. 0 CR Transfer To: Joan Revak From: CR Transfer Inc. Jurisdiction: Costa Mesa Sanitary District (9) MonthNear: Feb -09 Recycling Report " Note: This material includes food / small particulate and inert material. Total Tonnage Recycled Tonnage Landfill Tonnage County & Newport Bch. TOTAL 2626.28 146.33 2772.61 1324.02 74.35 1398.37 1302.26 71.98 1374.24 Recycle Tons Commodity Percentage Recycled Newspaper 7.88% 206.96 Cardboard 6.42% 168.53 Mixed Paper 5.13% 134.64 Glass 2.80% 73.52 PET 0.59% 15.43 HDPE 0.45% 11.8 Aluminum Cans 0.33% 8.77 Non - Ferrous Metal 0.44% 11.5 Tin /Metal 0.65% 16.94 Greenwaste 9.78% 256.88 Organic/ Fines-** 12.67% 332.82 Wood 1.41% 36.91 Concrete /Asphalt 1.88% 49.32 Drywall 0.00% 0 Totals 50.41% 1324.02 " Note: This material includes food / small particulate and inert material. Total Tonnage Recycled Tonnage Landfill Tonnage County & Newport Bch. TOTAL 2626.28 146.33 2772.61 1324.02 74.35 1398.37 1302.26 71.98 1374.24 CR Transfer To: Joan Revak From: CR Transfer Inc. Jurisdiction: Costa Mesa Sanitary District Santa Ana Heights (11) MonthNear: Feb -09 Recycling Report *' Note: This material includes food / small particulate and inert material. Total Tonnage 146.33 Recycled Tonnage 74.35 Landfill Tonnage 71.98 • 0 • Recycle Tons Commodity Percentage Rec cled Newspaper 10.19% 14.9 Cardboard 6.65% 9.74 Mixed Paper 7.63% 11.16 Glass 3.30% 4.82 PET 0.78% 1.14 HDPE 0.44% 0.65 Aluminum Cans 0.51% 0.74 Non - Ferrous Metal 0.27% 0.4 Tin /Metal 0.96% 1.41 Greenwaste 1.30% 1.9 Organic / Fines 11.67% 17.07 Wood 5.17% 7.57 Concrete/Asphalt 1.95% 2.85 Drywall 0.00% 0 Totals 1 50.81%1 74.35 *' Note: This material includes food / small particulate and inert material. Total Tonnage 146.33 Recycled Tonnage 74.35 Landfill Tonnage 71.98 • 0 • 0 0 is Total Tonnage .0 1.684.51 1,743.50 3,088.57 3,452.14 3,259.28 2,772.61 27,262.85 City 3.813,49 3.341.31 3,458.31 3,36918 2,920.85 3,25846 3.103.26 2.626.28 County 219.51 13372 160.16 194.57 167.72 193.68 156.02 146.33 City 1,922.56 1.684.51 1,743.50 1.698.57 1.472.52 1.642.75 1.564.51 1,324.02 County 111.56 67.95 81.39 98.85 85.24 98.44 79.25 74.35 Landfilled Tonnage 1,99&88 1,722.57 1,793.58 1,766.33 1,530.81 1,710.95 0: City 1,890.93 1,656.80 1.714.81 1,670.61 1,448,33 1.615.71 1,538.75 1,302.26 County 107.95 65.77 7877 9572 82.48 95.24 7617 71.98 •A composite recycling percentage for City & County based on new characterization studies completed by CRT. Waste Diversion FY-08/09/jr 03/11 t09 0 0 1* Total Tonnage 3,259.28 2,772.61 City 3,103.26 2,626.28 County 156.02 146.33 City 1,564.51 1,324.02 County 79.25 74.35 Landfilled Tonnage 1,615.52 1,374.24 City 1,538.75 1,302.26 County 76.77 71.98 Recycled % 50.43% 50.44% 'A composite recycling percentage for City & County based on new characterization studies completed by CRT. Waste Diversion 2009 /jr 03,'11/09 Costa Mesa a.n -ta q District ... an Independent Special District Robert Ooten Vice President James Ferryman Director Arlene Schafer President Gary Monahan Secretary Arthur ferry Director Public Comments. Any member of the public may address the Board. Speakers on agenda items should identify themselves to the Clerk before the meeting so that their input can be provided at the time the item is considered. Speakers on non - agenda items will be heard under Public Comments. Pursuant to State law, the Board may not discuss or take action on non - agenda items except under special circumstances. Speakers must limit their remarks to three minutes or as decided upon by the Presiding Officer. The Presiding Officer reserves the right to declare any speaker out of order. Obtaining Agenda Materials: The public is entitled to copies of all documents that are made part of the agenda packet. If any document or other writing pertaining to an agenda item is distributed to all or a majority of the Board after the packet is prepared, a copy of that writing may be obtained at the District offices at 628 W. 19'n Street, Costa Mesa, California. The Clerk of the District may be contacted at (949) 645 -8400, ext. 223. In Compliance with ADA: Contact Joan Revak, (949) 645 -8400, 48 hours prior to meeting if assistance is needed (28 CFR 35.102.35.104 ADA Title II). Regular Meeting — Friday, March 20, 2009 RECOMMENDED ACTION I. CALL TO ORDER —11:45 a. M. — 628 W. 19th Street, Costa Mesa II. PLEDGE OF ALLEGIANCE — Director Ooten III. INVOCATION — Thomas Fauth IV. ROLL CALL (If absences occur, consider whether to deem those absences excused based on facts presented for the absence — such determination shall be the permission required by law.) V. CONSENT CALENDAR - All matters listed under the Consent Calendar are considered to be routine and will be enacted in one motion in the form listed below. There will be'no separate discussion on these items prior to the time the Board votes on the motion, unless members of the Board request specific items to be removed from the Consent Calendar for discussion, in which event the item will be removed from the Consent Calendar and considered in its normal sequence on the agenda. Reports Minute Approval 1. Sewer System Committee Meeting — February 11, 2009 2. Special Meeting — February 19, 2009 Protecting our community's health. by providing solid waste and sewer collection sen4ces. www.crosdcagov Costa. Mesa Sam.- Itar{r District AGENDA 3. Recycling Committee Meeting — February 23, 2009 4, Investment Oversight Committee Meeting — February 26, 2009 5. Regular Meeting — February 26, 2009 Manager's Reports 6. Refunds 7. Occupancy Report and payment to Costa Mesa Disposal — March 2009 8. Monthly SSO Report to State Water Resources Control Board 9. CMSD Staff Human Resources Meeting — February 25, 2009 10. Waste Diversion Report— March 2009 11. Contract Payment to CR Transfer for Recycling Services & Disposal for March 2009 12. Ordinance Enforcement Officer's Report Engineer's Reports 13. Project Status Report Treasurer's Reports 14. Financial Reports as of February 28, 2009 15. Treasurer's Reports as of February 28, 2009 16. Warrant Register for the month of February 2009 in the amount of $685,180.19 17. Directors' Compensation and Reimbursement of Expenses for the Month of February 2009 VI. WRITTEN COMMUNICATIONS Alarch 20, 2009 .Page 2 RECOMMENDED ACTION No Refunds Approve Receive & File Receive & File Receive & File Ratify Payment Receive & File Receive & File Approve Approve Ratify Payments Approve Compensation & Ratify Expenses END OF CONSENT CALENDAR---------------- - - - - -- VII. PUBLIC COMMENTS VIII. MANAGER'S REPORTS A. CLOSED SESSION 1. To provide Authority to the District's Labor Negotiator, Robin Hamers, Regarding Compensation, but not limited to the CalPERS Retirement Formula, for all Unrepresented Employees (Government Code § 54957.6) (Refer to CMSD HR Meeting Minutes dated February 25, 2009) !protecting our community's hearth by providing solid waste and sewer collection sen&a. www.crosdca.00v Costa -Mesa SaHitar-,V District. AGENDA March 20, 2009 Page 3 RECOMMENDED ACTION B. District Yard — 174 W. Wilson Street — CMSD #187 1. Selection of Contractor Award Contract C. Strategic Planning Workshop for 2009 -2010 — Friday, April 3, 2009 Accept Report 8:30 a.m. — 3:00 p.m. — Neighborhood Community Center — Hamilton Room D. Grant Research Accept Report E. Sewer System Committee 1. Report on meeting held March 11, 2009 Accept Report 2. Transfer of Sewers from OCSD to CMSD Accept Report 3. Project #186 Sewer Lateral Assistance Program Update F. Interim Sewer Line Maintenance Cleaning Agreement with Approve Interim Agreement National Plant Services G. CMSD Web Site Update Accept Report H. 2009 Winter Newsletter Accept Report I. Recycling Committee — Monday, March 23, 2009,12:00 p.m., CMSD Board Room, 628 W. 19'h Street, Costa Mesa (Directors Ooten and Monahan) 1. Recycling Committee Goals for 2009 -2010 Update 2. Orange Coast College Recycling Center Accept Report Guest: Mike Carey 3. Orange County Waste & Recycling Sub - Regional Meetings and Accept Report Grant Program 4. California Integrated Waste Management Board Accept Report 5. Disposal of Residential Grease in CMSD Trash Collection Program Accept Report 6. Tours of CR &R and Frank L. Bowerman Landfill Accept Report a. UCI Students — Thursday, March 5, 2009 7. Presentations a. Plastics Presentation at Paularino School — March 26, 2009 Accept Report b. Waste -Free Lunch Day at Christ Lutheran School — April 20 Accept Report and April; 22, 2009 8. Report on Other CMSD Recycling Programs Accept Report Protecting our community's health by providing sofid waste rand sewer coffection services. ,qov costa mesa. sa itca it "r District March 20, 2009 AGENDA Page 4 RECOMMENDED ACTION iX. ENGINEER'S REPORTS A. Waste Discharge Requirements (WDR) Update B. Proposal to Begin Project #182 — Analysis of CCTV Results Approve Proposal X. TREASURER'S REPORTS A. Budget Adjustment — Inspection and Plan Check Accept Report XI. ATTORNEY'S REPORTS A. Claim by Back Bay Center, Ltd. For Property at 2651 -2675 Irvine Avenue Status Report (CMSD Project #168 — Irvine Pump Station Relocation) B. Resolution No. 2009 -763 Authorizing the Assistant Manager to Sign Adopt Resolution and File for on Behalf of the Costa Mesa Sanitary District a Financial Assistance Application for a Loan /Grant from the State Water Resources Control Board XII. LOCAL MEETINGS (includes Reports by all Directors Representing CMSD) A. Orange County Sanitation District (OCSD) (Director Ferryman) Accept Report B. Santa Ana River Flood Protection Agency (SARFPA) Accept Report (Director Perry) C. Independent Special Districts of Orange County (ISDOC) Accept Report (Director Schafer) D. Local Agency Formation Commission (LAFCO) Accept Report E. California Special Districts Association (CSDA) Accept Report (Director Schafer) F. California Association of Sanitation Agencies (CASA) Accept Report 1. CASA 2009 Spring Conference — April 29 — May 2, 2009 Consider Attendance G. Other Meetings Qualifying for Reimbursement under CMSD Report on Matters Ordinance No. 55, Operations Code Section 3.01.030 Pertaining to CMSD XIII. OLD BUSINESS XIV. NEW BUSINESS A. CWEA Conference in Palm Springs — April 28 - May 1, 2009 Approve Attendance (SLA Presentation by CMSD Assistant Manager NOT part of Conference) Protecting our community's heath by providing solid waste and sewer collection services. wzuw.crosdcaAov Costa -Mesa. Sa Pvtar,� District. AGENDA B. Change of Dates for Regular Board Meetings April 2009 2. September 2009 3. November 2009 XV. ORAL COMMUNICATIONS AND DIRECTOR COMMENTS XVI. ADJOURNMENT March 20, 2009 Page 5 RECOMMENDED ACTION Consider Protecting our community's health by providing sold waste and sewer collection services. www.crosdca.,qov COSTA MESA SANITARY DISTRICT RECYCLING COMMITTEE AGENDA March 23, 2009 12:00 p.m. Costa Mesa Sanitary District 628 W. 19" Street Costa Mesa, California (Directors Ooten and Monahan) I. Recycling Committee Goals for 2009 -2010 II. Orange Coast College Recycling Center — Guest: Mike Carey III. Orange County Waste & Recycling Sub - Regional Meetings and Grant Program IV. California Integrated Waste Management Board V. Disposal of Residential Grease in CMSD Trash Collection Program. VI. Tours of CR &R and Frank L. Bowerman Landfill A. UCI Students — Thursday, March 5, 2009 VII. Presentations A. Plastics Presentation at Paularino School — March 26, 2009 B. Waste -Free Lunch Day at Christ Lutheran School VIII. Report on Other CMSD Recycling Programs IX. Public Comments Dated: March 11, 2009 qu-a� pe'� Clerk of the District Protecting our community's health by providing solid waste and sewer collection senviees. www.crosdcaAov COSTA MESA SANITARY DISTRICT MINUTES OF SEWER SYSTEM COMMITTEE MEETING FEBRUARY 11, 2009 CALL TO ORDER Board members of the Costa Mesa Sanitary District met in Committee session on February 11, 2008 at 10:30 a.m. at 628 W. 19th Street, Costa Mesa. Director Monahan called the meeting to order at 10:30 a.m. DIRECTORS PRESENT: James Ferryman; Gary Monahan; Bob Ooten DIRECTORS ABSENT: STAFF PRESENT: Robin Hamers, Manager /District Engineer; Thomas A. Fauth, Assistant Manager; Joan Revak, Board Secretary, /Program Manager/ Clerk of the District; Sherry Kallab, Management Analyst; Karl Dulake, Maintenance Supervisor; Janel Jackson, Office Specialist II; Debbie Bjornson, Permit Processing Specialist; Paul Guzman, Inspector. OTHERS PRESENT: None MONTHLY SSO STATISTICS Mr. Fauth presented the Sanitary Sewer Overflow (SSO) January 2009 statistics. Four spills occurred since the January Committee meeting. Two spills were FOG related. One spill was caused by a SCADAIarm issue, a repeat from January 11, 2009 at the Irvine Pump Station. Mr. Dulake reported the UPS failed to re -start after power interruption. Mr. Dulake met with an electrician and determined the alarm can be re- routed through the UPS so in the event of failure Staff will be notified. Mr. Hamers reported on the January 16, 2009 spill caused by ductile iron pipe corrosion decreasing the inside diameter of the pipe. Mr. Hamers provided plans to Sancon to review for a future project. The maintenance frequency at the site has been increased until the project goes forward. Director Ooten inquired how much ductile iron pipe is in the District system. Staff provided the amount of footage following the meeting. Director Ooten questioned the SCADAIarm budget. Mr. Fauth advised the budget includes maintenance funds for the system. Staff has a proposal from TRC, the current District COSTA MESA SANITARY DISTRICT MINUTES OF BOARD OF DIRECTORS SEWER SYSTEM COMMITTEE MEETING FEBRUARY 11, 2009 PAGE 2 0 SCADAIarm System Contractor, for system upgrade. Staff hopes to secure grant funds or include the upgrade costs in the FY09 -10 budget. Director Ooten noted there are many good SCADAIarm consultants available and recommended obtaining additional proposals. The Committee discussed the repeat spill from the Moon River Massage Parlor septic tank. The Committee directed Staff to send a letter to the owner and collect backcharges. Director Ferryman questioned if there are District incentives to encourage the owner to connect to the CMSD main line. Mr. Hamers explained the majority of District fees involved with sewer connections are a small percentage of the total costs. CMSD LINE CLEANING AFTER CCTV PROJECT COMPLETION Mr. Hamers reported the CCTV project is scheduled for completion mid -June. Mr. Fauth referred the committee to item XI.F. noting as of January 31, 2009 92.7% was complete. Only 10,947.14 LF was completed in January compared to the previous cleaning averages of approximate 20,000LF per month. With 82,056.8 LF remaining 16,411.36 LF will have to be completed each month to finish by June. Mr. Fauth recommended establishing a meeting with Dennis Keen, of National Plant, regarding the OCSD Grant June 2009 completion requirement. INFILTRATION AND INFLOW (1 &1) Mr. Hamers discussed an infiltration occurrence in the CMSD sewer line. The Committee viewed a video of the infiltration in the sewer line located in the parkway at the intersection of Walnut Place and Irvine. A portion of the line is concrete encased. In addition, the line is located under an eleven foot wide concrete box storm drain culvert making it almost impossible to replace and repair. The Committee discussed possible solutions. At the April 10, 2009 Liaison Committee Meeting the City of Costa Mesa Storm Drain Staff plans to present a new "Master Plan Storm Drain Plan ". Director Ferryman, Director Ooten and Mr. Hamers met with OCSD Staff to discuss I &I in the OCSD Fairview and Dover trunk lines. OCSD has a current budget of $10 million for I &I projects. CMSD Staff donated time at the next Liaison Committee meeting to allow OCSD to share a presentation detailing the effects of surface water flowing in though manhole covers. CMSD Staff is plugging manhole covers and attending to I &I problems to assist with the &I issue. Mr. Hamers noted storm drain design as detailed in the photographs in the Committee packet would reduce the amount of inflow through manhole covers, but at a much greater cost than plugging the manhole covers. PROJECT #182: ANALYSIS OF CCTV DATA Mr. Hamers informed the Committee Project #182 will analyze the data from the CCTV results to provide a roadmap for future District sewer main line improvements. The is project will begin after CCTV completion in the next few months. COSTA MESA SANITARY DISTRICT a MINUTES OF BOARD OF DIRECTORS SEWER SYSTEM COMMITTEE MEETING FEBRUARY 11, 2009 PAGE 3 COST ACCOUNTING METHOD OF CONSTRUCTION BIDDING (PUMP STATIONS, MANHOLE REHAB, OFFSETS) Mr. Hamers outlined the cost accounting method of construction bidding. The method allows up to $30,000.00 for a negotiated contract or purchase order or up to $125,000.00 for informal bidding. Using the cost accounting method allows for less costly and more timely repair work to be completed. The item is on the agenda for the upcoming February 26, 2009 Board meeting for adoption consideration. Previously, Fountain Valley adopted the method. SMART COVER Staff discussed the "Smart cover" brochure. Mr. Hamers reported a couple of regional agencies are using it in specific circumstances. For example, El Toro Water District has a sewer line running beside a creek. The elected officials said a spill into the creek was not allowable. Smart covers are being installed on manholes located beside the creek as an added precaution. Another agency installed a smart cover in an area experiencing vandalism. The sensor is triggered when the cover is lifted. The smart cover also works well in a combined sewer storm drain. The District has primary and secondary sensors in place to provide protection at 20 pump stations. ' Mr. Flamers also noted the Smart 10 Cover is expensive and has ongoing costs. Director Ooten added the Smart Cover could help prevent large spills at high risk locations. MANHOLE COVER PANS Staff demonstrated a sample manhole cover pan and associated issues — the pans do not fit the Alhambra. manhole covers and rings. Mr. Dulake described how the cover is installed; removing the manhole cover and dropping the pan onto the manhole ring. The cover is then placed back on top of the pan. Mr. Dulake is concerned once the pan is full of water, there is a potential for a mosquito problem to develop. A possible solution is to bore a small hole in the pan to allow the water to slowly drain. JURISDICTION OF ON -SITE PRIVATE SEWER LATERALS Staff attended a Costa Mesa City Council Study Session February 10, 2009 and reported jurisdiction of on -site private sewer laterals has been turned over to CMSD. An MOU is on the table regarding the issue. Mr. Fauth presented the District's Sewer Lateral And Clean Out Financial Assistance Program to the City Council. Mr. Hamers complimented Mr. Fauth on the presentation. Director Monahan reported the City is working on a tree root policy providing for either City removal of a tree within 20 feet of a sewer lateral line or providing a one -time payment to the resident for cleaning of the roots from the line. An • indemnification agreement releasing the City of future liability would also be included. The indemnification will be attached to the property. The issue will go to the Council for approval. Director Monahan recommended Staff prepare a short video of tree roots in a COSTA MESA SANITARY DISTRICT MINUTES OF BOARD OF DIRECTORS SEWER SYSTEM COMMITTEE MEETING FEBRUARY 11, 2009 PAGE 4 • lateral line for presentation to the Council. Mr. Hamers informed the Committee of a situation at The Lab where a City inspector gave a restaurant owner incorrect information regarding CMSD grease interceptor requirements. This led to the agreement CMSD has jurisdiction (not responsibility) over FOG interceptors both in and outside of a building and all sewer lines outside of a building. Any lines in or under the building are building sewer lines and remain under the City's jurisdiction. TRANSFER OF SEWER LINES FROM OCSD TO CMSD Staff is waiting on a draft from OCSD Counsel. NO CHANGE DISTRICT YARD - CONTRACTOR SELECTION PROCESS /SCHEDULE Mr. Fauth referred to a handout in the Committee packet showing the timeline for the contractor selection. There was an extension until February 9, 2009 for bid submissions. Bids were opened publically at 2:00 pm on February 9th. Staff provided a spreadsheet comparing the costs and total bid amounts. The bids have not been evaluated by Staff. Staff had estimated costs to be around $1.4 to $1.5 million and the lowest bid received was $1.9 million. Staff will meet with the design team February 12, 2009 at 10:30 to review the bids. 10 PROJECT #129 BRISTOL STREET SEWER; UPDATE ON DESIGN PHASE Mr. Hamers reported the project is moving along. The intent is not to put a pump station at the Bristol Street location but to replace the pipe to increase the line volume. The Irvine Pump Station was sized for the economic growth of the Bristol area. NO CHANGE PROJECT #164 MISCELLANEOUS SEWER WORK Mr. Dulake reported sensors and components have been installed in the last two stations — all 20 pump stations are upgraded. The crew implemented the maintenance schedule of turning pump station valves at regular intervals. NO CHANGE #168 IRVINE PUMPING STATION RELOCATION - UPDATE ON CONSTRUCTION & DAMAGE TO ADJOINING PROPERTY Project is complete. The party's attorneys are addressing the Damage to the parking lot issue. NO CHANGE • L.] • • COSTA MESA SANITARY DISTRICT St�#1p \1 MINUTES OF BOARD OF DIRECTORS SEWER SYSTEM COMMITTEE MEETING FEBRUARY 11, 2009 ^" PAGE 5 PROJECT #170 PREPARE EMERGENCY RESPONSE PLANS for PUMPING STATIONS Joe Sinicori and Paul Guzman are working on emergency response plans for all 20 pump stations. The project will take at least another 6 months to complete. NO CHANGE PROJECT #171 IRVINE PUMP STATION FORCE MAIN REHABILITATION Mr. Guzman reported the design and timing are being reviewed for replacement of an additional 2000 ft section all the way to the Elden pump station, with 450 ft currently completed. NO CHANGE PROJECT #175 OCSD GRANT - TELEVISING CMSD SEWER LINES A total of 10,947.14 LF of main line CCTV and inspection occurred in January 2009. As of January 31, 2009, televising is 92.7% complete (1,047,363.2.11-17/1,129,4201-F) with an estimated project completion date of June 2009. PROJECT #183 - SYSTEM WIDE SEWER REPAIR - FAIR AT HARBOR Mr. Guzman reported 330 ft of main line from manhole to manhole is repaired with chain flinging and relining, including 270 feet of VCP and 63 feet of DIP. The project is completed. PROJECT #186 - SEWER LATERAL ASSISTANCE PROGRAM Mr. Fauth reported the updated number of applicants completed and in process as well as the dollars expended by fiscal year. Director Ooten requested Staff continue to plot the number of program requests on a quarterly basis. PROJECT #187 - DISTRICT YARD UPDATE - LEED GOLD STANDARD The District is currently at 52 credits with 3 additional pending and will keep us in the platinum rating but the CMSD Yard is definitely in the gold credit rating as a minimum. Mr. Fauth reported the District is currently renting the vacant lot to a Mesa Consolidated Water District (MCWD) contractor as a staging ground to store equipment while working on a MCWD project for the period February 3, 2009 through March 31, 2009 at the rate of $20 /day. COSTA MESA SANITARY DISTRICT MINUTES OF BOARD OF DIRECTORS SEWER SYSTEM COMMITTEE MEETING FEBRUARY 11, 2009 PAGE 6 NEXT MEETING The next meeting is scheduled for March 11, 2009 at 10:30 am. PUBLIC COMMENTS There were no public comments. ADJOURNMENT Director Monahan adjourned the meeting at 11 :35 a.m. SECRETARY PRESIDENT • • r� f� I 9 COSTA MESA SANITARY DISTRICT MINUTES OF SPECIAL MEETING FEBRUARY 19, 2009 The Costa Mesa Sanitary District held a Special Meeting with Midway City Sanitary District at 6:00 p.m. on Thursday, February 19, 2009 at 628 W. 19`" Street, Costa Mesa. Directors Present: Arlene Schafer, Bob Ooten, Gary Monahan, James Ferryman Directors Absent: Art Perry Staff Present: Robin B. Hamers, Manager /District Engineer; Tom Fauth, Assistant Manager; Joan Revak, Board Secretary/Program Manager /Clerk of the District; •Midway City Sanitary District Directors Present: Joy Neugebauer, Al Krippner, Grace Epperson, Tyler Diep; Margie Rice Staff Present: Greg Nordbak, General Manager; Ken Robbins, Assistant General Manager; Nancy Gilbert, Board Clerk President Arlene Schafer called the meeting to order at 6:00 p.m. I, Midway City Sanitary District's Directors' Benefits Midway City Sanitary District (MCSD) Directors and Staff reported on benefits provided to Directors by MCSD: Directors receive $257.40 per day for each day's attendance at Board meetings or for each day's service rendered as a Director at the Board's request, plus any expenses incident thereto with a maximum of six days in any calendar month. MCSD Directors are paid a per diem rate of $50 per day for travel expenses. MCSD Directors are entitled to the same health benefits available to MCSD employees ($1,070 per mont) and have the opportunity to join CalPERS. The CalPERS formula is "3% at 60" with MCSD paying 100% of employees' share. MCSD also provides retiree • medical coverage after five years. Minutes of Special Meeting February 19, 2009 Page 2 • II. Document Retention /Destruction Policy MCSD requested information on CMSD's policy on document retention and destruction policy. Ms. Revak reported the Sanitary District policy falls under Government Code Section 60200 that provides District records may be destroyed under certain conditions with the authorization of the Board of Directors. Government Code 60222 states "The legislative body of any special district may authorize at any time the destruction or disposition of any duplicate record, paper, or document, the original or a permanent photographic record of which is in the files of any officer or department of the district." The CMSD Board of Directors authorizes such disposition by means of a Resolution. III CASA's Pending Private Sewer Lateral Legislation MCSD provided a 2/13/09 Draft of "Revised Legislative Framework for Ordinances Requiring Inspection and Repair of Private Sewer Laterals ". Director Ooten reported the proposed legislation would clarify the authority of public wastewater collection and treatment agencies to pass ordinances requiring property owners to inspect and maintain their private sewer laterals. Discussion was held on the proposed legislation. IV. CMSD Formula for Setting Rates • Mr. Hamers provided information on CMSD rate setting. The CMSD sets rates annually for both sewer and trash service in accordance with the procedures of Proposition 218. Sewer charges are variable by category of use, including low density residential, high density residential, commercial, industrial and other, and are based on the potential maximum sewer flow from each use. A fats, oils and grease component is also added in. Trash rates are level for residences using two containers, with the third container being charged an additional $8.00 per month. V. CMSD LEED Gold Yard Mr. Hamers reported on the new Yard to house its sewer system operations. With the assistance of a progressive design team utilizing advanced architectural, engineering and landscape design, the District designed the new Yard facility, consisting of a 5,200 square foot building on a 17,220 square foot site, to the "Gold" accreditation level of the Leadership in Energy and Environmental Design (LEED) program of the United States Green Building Council (USGBC). The building and site will be constructed from local resources that are easily renewed and combines energy efficiency through architectural design and energy efficient systems. 11 oil r Minutes of Special Meeting Page 3 February 19, 2009 0 VI. PowerPoint Presentation on CMSD's Sewer Lateral Assistance Program • • Mr. Fauth gave a PowerPoint presentation on the CMSD's Sewer Lateral Assistance Program. The program assists and encourages residents to regularly clean and maintain their sewer lateral. The CMSD contributes 50% of the resident's costs up to a maximum of $1,800 total per residential parcel. Between the dates of September 2007 and February 2009, CMSD reimbursements to residents total $196,418. VII. Public Comments There was no public present. ADJOURNMENT President Schafer adjourned the meeting at 8:40 p.m. Secretary 3 President • COSTA MESA SANITARY DISTRICT MINUTES OF RECYCLING COMMITTEE MEETING February 23, 2009 The Costa Mesa Sanitary District Recycling Committee met at 12:00 p.m. at 628 W. 19th Street, Costa Mesa. Directors Present: Robert Ooten, Arlene Schafer Staff Present: Rob Hamers, Tom Fauth, Joan Revak, Sherry Kallab, Denise Gilbert Director Ooten called the meeting to order at 12:00 p.m. I. Recycling Committee Goals for 2009 -2010 Staff reviewed the Recycling Committee Goals for 2009 -2010. Director Ooten 40 suggested dates for accomplishing the tasks be included in the Goals and Staff will incorporate dates into the document. II. 2008 School Telephone Book Recycling Program Ms. Revak provided a copy of the letter sent to the 17 schools that did not qualify for a monetary award in the 2008 Telephone Book Recycling Program. Dates for presentations of the awards to qualifying schools are being scheduled. Director Ooten requested he and Director Monahan be assigned to present the check to Kline School. III. Orange County Waste and Recycling Sub - Regional Meetings and Grant Program Mr. Fauth presented the OC Waste & Recycling Quarterly Grant Status Report, outlining the program goals and status. As the District has expended over $12,000 of the $20,000 grant from OC Waste & Recycling, Mr. Fauth will request funds from the $20,000 amount awarded to the City of Costa Mesa through the Grant. A letter from OC Waste & Recycling was presented, communicating steps in the process of negotiating new Waste Disposal, Agreements (WDAs). The new WDAs include a disposal rate of $29.95 per ton, adjusted annually by CPI for a 10 -year term beginning July 1, 2010. This represents the first change to the disposal rate since 1997. Protecting our community's health by providing solid waste and sewer collection sen&a. www.crosdca. 0 Costa Mesa Sanitary District Minutes of Recycling Committee Meeting February 23, 2009 Page 2 IV. Disposal of Residential Grease in CMSD Trash Collection Program Discussion was held on the disposition of residential grease in the CMSD trash collection program. Mr. Fauth will work with Mike Carey of the OCC Recycling Center on details to enable the Center to collect grease from residents. V. Tours of CR &R and Frank L. Bowerman Landfill CMSD Staff will present a tour of CR &R and the Frank L. Bowerman Landfill to students of UCl on Thursday, March 5, 2009. The tour of CR &R and the Frank L. Bowerman Landfill for the General Manager and Directors of the Mesa Consolidated Water District is scheduled for Thursday, March 12, 2009. District Directors and Staff will participate in the tour as well as a few Costa Mesa residents. VI. Sewer Science Program at TeWinkle School Director Ooten reported on the week long program run by OCSD. Director Ooten will advise the Committee if additional dates are selected. VII. Plastics Presentations at Charles TeWinkle Intermediate School CMSD Staff presented six "Plastics Presentations" to science classes at Charles TeWinkle Intermediate School on February 4, 2009. A total of 150 students attended the presentations. The District's "Working for You" video was presented and prizes were given to students who answered questions after the video. VIII. Report on Other CMSD Recycling Programs A "Waste Free Lunch Day" is scheduled during Earth Week at Christ Lutheran School and a "Recycling" presentation is scheduled for Paularino School on March 26, 2009. Mr. Fauth will contact Mike Carey at the OCC Recycling Center requesting the College update their web site to include collection of batteries at the Recycling Center. IX. Public Comments There was no public present at the meeting. Director Ooten adjourned the meeting at 12:40 p.m. Secretary President Protecting our community's health by providing solid' waste and sewer collection services. www.crosdcagov • • :7 COSTA MESA SANITARY DISTRICT MINUTES OF INVESTMENT OVERSIGHT COMMITTEE MEETING February 26, 2009 CALL TO ORDER The meeting was called to order at 5:18 p.m. by Treasurer /Finance Director Marc Davis ROLL CALL Committee Members Present: Director Arthur Perry (rotating committee member) Director James Ferryman (rotating committee member) Director Gary Monahan (rotating committee member) arrived at 5:22 p.m. Staff Members Present: Mr. Marc Davis, Treasurer /Finance Director Mr. Thomas Fauth, Assistant Manager Ms. Joan Revak, Board Secretary/Program Manager /Clerk of the District Ms. Sherry Kallab, Management Analyst Ms. Teresa Gonzalez, Accountant NEW BUSINESS Review of Treasurer's Report Mr. Davis reported that the District's portfolio was earning approximately 2.0% as of January 31, 2009, compared to LAIF earning approximately 2.05 %. Between the period of December to January, $3 million in securities were called, with $2 million being called in January. The securities had been expected to be called because they had earnings of approximate 3.5 to 4% and when the economic downturn happened US Treasury notes and US government agency notes were down as low as 1 %. In February Mr. Davis reported that he placed $2 million back in the securities market and obtained yields close to 3.0 %, which will boost the total investment yield in the month of February. As of the end of January, $2 million remained invested in the. sweep account. Director Ferryman asked if the money in the sweep account was insured. Mr. Davis responded that for public agencies, funds in sweep accounts are insured up to $100,000 and the remaining balance is collateralized up to 110% of its value. Director Perry asked if the annual interest rate earnings are anticipated to average about 3.0% and Mr. Davis confirmed. Mr. Davis made reference to the structure of the portfolio and pointed out that roughly 75% of the funds in the portfolio mature in less than six months. This is a result of a lot amount of money coming in to LAIF from the first allocation of property tax. Mr. Davis plans to invest in longer term investments of one to two years duration and to time the maturities for the period that we are cash flow short. MINUTES OF INVESTMENT OVERSIGHT COMMITTEE MEETING PUBLIC COMMENTS ADJOURNMENT Approved by: February 26, 2009 Page 2 Director Perry inquired about the status of the collection of the tax assessments and Mr. Davis responded that it remains to be seen as to what is going to be collected in this current fiscal year, given the current state of the economy and bankruptcies. A short discussion then followed regarding the Teeter and non - Teeter plans for general property taxes. Mr. Davis continued on to explain the Treasurer's Report's yield curve chart as of January 31, 2009 and reported that the fall off of the District's yield was due to the calls of several securities with 4% rates. He predicts that with the investment of the new securities in the 3% rates we will see an upgrade. Audit Services Contract Option A request to exercise the second option year and approve an engagement letter with Diehl, Evans & Company, LLP to perform the District's annual audit for the year ending June 30, 2009 will be brought to the Board at tonight's regular Board meeting. The original contract was a three year contract with two one -year options. The proposed audit fee is $9,970, which is still below the bids received from five years ago. We are requesting for extension of the audit services because of the low fee proposal and because we are very happy with the audit services received during the past audits. The plan for next year is to put out to bid for audit services and to enter into agreement with the audit firm under the District attorney's agreement. Director Perry asked if there is a legal requirement that we change auditors. Mr. Davis responded that he did not know of a legal requirement, but that he would review the District's operation code to see if it has a requirement to change auditors after a certain time period. There were no items discussed under public comments. The meeting adjourned at 5:30 p.m. Secretary, Costa Mesa Sanitary District Board of Directors President, Costa Mesa Sanitary District Board of Directors LJ • COSTA MESA SANITARY DISTRICT MINUTES OF BOARD OF DIRECTORS REGULAR MEETING FEBRUARY 26, 2009 CALL TO ORDER The Board of Directors of the Costa Mesa Sanitary District met in regular session on February 26, 2009, at 5:30 p.m. at 628 W. 19th Street, Costa Mesa. Vice President Ooten called the meeting to order at 5:30 p.m. PLEDGE OF ALLEGIANCE Director Monahan led the Pledge of Allegiance. INVOCATION Mr. Fauth gave the invocation. ROLL CALL DIRECTORS PRESENT: Art Perry, Arlene Schafer, Bob Ooten James Ferryman, Gary Monahan DIRECTORS ABSENT None. STAFF PRESENT: Robin B. Hamers, Manager /District Engineer; Alan Burns, Legal Counsel; Tom Fauth, Assistant Manager; Joan Revak, Board Secretary/Program Manager /Clerk of the District; Marc Davis, Treasurer; Teresa Gonzales, Accountant; Sherry Kallab, Management Analyst; Denise Gilbert, Public Outreach Coordinator; Debbie Bjornson, Permit Processing Specialist; Janel Jackson, Office Specialist II; Kaitlin Tran, Accounting Specialist I; Karl Dulake, Maintenance Supervisor; Ron Shef, Ordinance Enforcement Officer OTHERS PRESENT: None Minutes of CMSD Regular Meeting — February 26, 2009 CONSENT CALENDAR Page 2 Director Monahan motioned to approve the Consent Calendar. Director Perry seconded. Motion carried 4 -0. (President Schafer not yet in attendance.) REPORTS MINUTE APPROVAL Minutes of Sewer System The Minutes of the Sewer System Committee Committee Meeting -- Meeting of January 14, 2009, were approved as January 14, 2009 distributed. Minutes of Recycling The Minutes of the Recycling Committee Meeting Committee Meeting -- of January 20, 2009, were approved as distributed. January 20, 2009 Minutes of Special The Minutes of the Special Meeting of January 26, Meeting — January 26, 2009, were approved as distributed. 2009 Minutes of Regular The Minutes of the Regular Meeting of January 28, Meeting -- January 2009, were approved as distributed. 28, 2009 MANAGER'S REPORTS REFUNDS There were no refunds for the month of February 2009. Monthly Spill Report to The Monthly Spill Report to the State Water State Water Resources Resources Control Board (SWRCB) for February Control Board 2009 was accepted as submitted. Waste Diversion Report The Waste Diversion Report dated February 2009 was accepted as submitted. Contract Payment of The contract payment of $162,052.24 to CR $162,052.24 to CR Transfer for recycling services and disposal for the Transfer — February 2009 month of January was ratified as submitted. Minutes of CMSD Regular Meeting — February 26, 2009 • Contract Payment of $8,147.37 to CR Transfer — Santa Ana Heights/ Newport Beach — January 2009 Ordinance Enforcement Officer's Report ENGINEER'S REPORTS Project Status Report TREASURER'S REPORTS Financial Report as of January 31, 2009 Treasurer's Report as of January 31, 2009 Page 3 The contract payment of $8,147.37 to CR Transfer for recycling services and disposal for Santa Ana Heights /Newport Beach for the month of January 2009 was ratified as submitted. The Ordinance Enforcement Officer's Report dated February 15, 2009 was accepted as submitted. The Project Status Report dated February 2009 was accepted as submitted. The Financial Report as of January 31, 2009 was accepted as submitted. The Treasurer's Report as of January 31, 2009 was accepted as submitted. Warrant 2009 -08 for Warrant Resolution #CMSD 2009 -08 was January 2009 in the approved, authorizing the President and Secretary amount of $819,771.34 to sign the warrant ratifying the payment of certain claims and demands, and specifying the funds out of which the same were paid in the amount of $819,771.34. Directors Expenses for the Director Compensation and Expense Month of January 2009 Reimbursements for the Month of January 2009 were approved and ratified as follows: President Schafer: $1,326.00 + $236.50 Vice President Ooten: $1,326.00 + $179.06 Director Perry: $1,105.00 Director Ferryman: $1,326.00 + $8.25 Director Monahan: $663.00 END OF CONSENT CALENDAR • Minutes of CMSD Regular Meeting — February 26, 2009 Page 4 WRITTEN COMMUNICATION Mr. Hamers presented a written communication from John Pastore requesting CMSD to join SCAP following a free one -year membership. Mr. Hamers recommended not joining due to CMSD's memberships in other similar organizations. Director motioned to deny the request to continue the membership. Director Ferryman seconded. Motion carried 4 -0. (President Schafer not yet in attendance.) Ms. Revak stated she would send a letter to SCAP declining the membership offer. Ms. Revak presented CMSD's ad placed in the Costa Mesa Community News & Recreation Review, March — June 2009. PUBLIC COMMENTS There were no public comments made. President Schafer arrived at 5:48 p.m. MANAGER'S REPORTS DISTRICT YARD — 174 W. WILSON STREET — CMSD #187 UPDATE ON CONTRACTOR SELECTION PROCESS Mr. Hamers reported the contractor selection process is underway. Mr. Fauth reported on February 12, 2009 Staff opened the following bids: DPR, $2.4 million; Wright, $2.1 million; and Oltmans, $1.9 million. Mr. Hamers informed the Board the three contractors were selected for bidding due to the design team's conclusion the contractors have the ability to properly construct the building and improvements in accordance with the LEED provisions and proceeding with other bidders may jeopardize achieving the LEED accreditation. Director Monahan stated his preference for using a well- experienced contractor for the project. Mr. Hamers recommended two Board Directors attend a design team meeting to discuss bid information from Wright. Vice President Ooten and Director Ferryman will attend the meeting. Director Monahan inquired as to background checks and other projects completed by Wright, DPR and Oltmans. Minutes of CMSD Regular Meeting — February 26, 2009 Page 5 Vice President Ooten suggested taking the fuel tank out of the project to reduce costs. Mr. Burns stated CMSD is not treating this as a public works bidding project because it is non -sewer work. President Schafer suggested the issue be discussed further at next month's meeting. Directors Ooten and Ferryman will meet with the design team to further discuss the bids and avenues to reduce costs. STRTEGIC PLANNING FOR 2009-2010 Ms. Revak reported the Strategic Planning interviews with each of the Directors and staff personnel are scheduled. GRANT RESEARCH Ms. Kallab reported the District Yard Project has been added to the State Water Resources Control Board's list of "shovel ready' projects to be reviewed for possible grant funds from the Economic Stimulus Bill. Ms. Kallab reported Staff is in the process of filling out the financial assistance application form for the project. Ms. Kallab also submitted applications for the SCADA Preliminary Update and the Irvine Pump Station Force Main Rehab with the State Water Resource Control Board. Ms. Kallab reported being in contact with the project managers. CITY COUNCIL STUDY SESSION HELD ON FEBRUARY 10, 2009 Mr. Harriers reported attending the City Council Study Session held on February 10, 2009 with Mr. Fauth and Ms. Jackson and Mr. Fauth gave a Power Point presentation on the Sewer Lateral Assistance Program and Staff answered questions. Director Monahan reported several issues were discussed including tree root policies and the status of the City /District MOU. Mr. Burns reported being in contact with Mr. Hamers regarding the MOU. Mr. Burns will'be drafting a letter to the City Attorney to accompany the MOU. SEWER SYSTEM COMMITTEE REPORT ON MEETING HELD ON FEBRUARY 10, 2009 Director Monahan reported the Sewer System Committee met on February 10, 2009 and gave a brief overview and update of the meeting. Minutes of CMSD Regular Meeting — February 26, 2009 Page 6 TRANSFER OF SEWERS FROM OCSD TO CMSD Director Monahan reported no new information regarding the Transfer of Sewers from OCSD to CMSD. PROJECT #186 SEWER LATERAL ASSISTANCE PROGRAM Director Monahan reported no new information regarding the Project #186 Sewer Lateral Assistance Program. Mr. Hamers reported Ms. Jackson is doing an excellent job with the program. SPECIAL DISTRICTS LEADERSHIP FOUNDATION (SQLF) Mr. Hamers reported dates are being considered regarding his attendance at a governance class. .JOINT MEETING WITH MIDWAY CITY SANITARY DISTRICT HELD FEBRUARY 19, 2009 The Board of Directors of the Costa Mesa Sanitary District met with Midway City Sanitary District on February 19, 2009. Ms. Revak reported the Minutes outlining exchanged information between the two entities will be placed on next month's agenda for approval. RECYCLING COMMITTEE — MONDAY FEBRUARY 23 2009 — 12:00 P.M. CMSD BOARDROOM, 628 W. 19TH STREET, COSTA MESA (PRESIDENT SCHAFER AND VICE PRESIDENT OOTEN) RECYCLING COMMITTEE GOALS FOR 2009 -2010 Vice President Ooten reported the Recycling Committee Meeting was held on February 23, 2009 in which the goals were reviewed and revisions were requested and will be incorporated by staff. 2008 SCHOOL TELEPHONE BOOK RECYCLING PROGRAM Vice President Ooten reported a letter was sent to schools that did not qualify for a monetary award in the 2008 Telephone Book Recycling Contest. No feedback has been received from the schools. 00 • Minutes of CMSD Regular Meeting — February 26, 2009 Page 7 w ORANGE COUNTY WASTE & RECYCLING SUB - REGIONAL MEETINGS AND GRANT PROGRAM Vice President Ooten reported on discussions involving making signs for public awareness regarding locations of facilities that accept E- waste, batteries and bulbs and placing them in high- traffic locations. DISPOSAL OF RESIDENTIAL GREASE IN CMSD TRASH COLLECTION PROGRAM Mr. Fauth reported being in communication with Mike Carey of the OCC Recycling Center regarding contractors providing drums for grease disposal at the site at no cost. Mr. Fauth will provide updates to the Board as they are received. TOURS OF CR &R AND FRANK L. BOWERMAN LANDFILL UCI STUDENTS -THURSDAY, MARCH 5, 2009 The Tours of CR &R and Frank L. Bowerman Landfill for UCI students have been scheduled for March 5, 2009. MESA CONSOLIDATED WATER DISTRICT GENERAL MANAGER AND DIRECTORS - THURSDAY, MARCH 12, 2009 The Tours of CR &R and Frank L. Bowerman Landfill for General Manager and Directors of Mesa Consolidated Water District have been scheduled for March 12, 2009. SEWER SCIENCE PROGRAM AT TEWINKLE SCHOOL Vice President Ooten helped teach a Sewer Science Program at TeWinkle School. Vice President Ooten is in communication with Huntington Beach High School and Estancia High School for possible programs. PLASTICS PRESENTATIONS AT TEWINKLE SCHOOL Vice President Ooten reported due to the number of students attending the Plastics Presentations and their interaction, a modification to the presentations was made. Vice President Ooten reported Staff is proposing a Recycling presentation at Paularino Elementary School. 0 Minutes of CMSD Regular Meeting — February 26, 2009 Page 7 is ORANGE COUNTY WASTE & RECYCLING SUB - REGIONAL MEETINGS AND GRANT PROGRAM Vice President Ooten reported on discussions involving making signs for public awareness regarding locations of facilities that accept E- waste, batteries and bulbs and placing them in high- traffic locations. DISPOSAL OF RESIDENTIAL GREASE IN CMSD TRASH COLLECTION PROGRAM Mr. Fauth reported being in communication with Mike Carey of the OCC Recycling Center regarding contractors providing drums for grease disposal at the site at no cost. Mr. Fauth will provide updates to the Board as they are received. TOURS OF CR&R AND FRANK L. BOWERMAN LANDFILL UCI STUDENTS -THURSDAY, MARCH 5, 2009 The Tours of CR &R and Frank L. Bowerman Landfill for UCI students have been scheduled for March 5, 2009. 0 MESA CONSOLIDATED WATER DISTRICT GENERAL MANAGER AND DIRECTORS - THURSDAY, MARCH 12, 2009 The Tours of CR &R and Frank L. Bowerman Landfill for General Manager and Directors of Mesa Consolidated Water District have been scheduled for March 12, 2009. SEWER SCIENCE PROGRAM AT TEWINKLE SCHOOL Vice President Ooten helped teach a Sewer Science Program at TeWinkle School. Vice President Ooten is in communication with Huntington Beach High School and Estancia High School for possible programs. PLASTICS PRESENTATIONS AT TEWINKLE SCHOOL Vice President Ooten reported due to the number of students attending the Plastics Presentations and their interaction, a modification to the presentations was made. Vice President Ooten reported Staff is proposing a Recycling presentation at Paularino Elementary School. 00 Minutes of CMSD Regular Meeting — February 26, 2009 Page 8 • REPORT ON OTHER CMSD RECYCLING PROGRAMS There were no reports on other CMSD Recycling Programs. ENGINEER'S REPORTS WASTE DISCHARGE REQUIREMENTS (WDR) Mr. Hamers reported hosting a seminar presented by Sancon Engineering, Inc., on February 19, 2009 in Garden Grove and gave a brief overview of other WDR Education Topics. TREASURER'S REPORTS MID -YEAR BUDGET REVIEW Mr. Davis reported the District's Solid Waste and Liquid Waste Funds were reviewed. Mr. Davis reported the Solid Waste Fund is projected to have a budgetary savings totaling approximately $637,610.00 and the Liquid Waste Fund is projected to have a budgetary savings totaling approximately $441,420.00. The Budget Study Session has been rescheduled for Friday, May 8, 2009 at 11:45 a.m. 2008/2009 THIRD QUARTER REVENUE FROM CR &R Mr. Davis reported Staff has calculated the amount due to CR &R for Fiscal Year 2007- 08 and the first six months of Fiscal Year 2008 -09 to be approximately $28,200.00. Mr. Davis reported Staff will process this amount for payment in March 2009. BUDGET ADJUSTMENT FOR STRATEGIC PLAN Mr. Davis recommended the Board of Directors approve the Budget Adjustment in the amount of $14,000.00 to provide adequate funding for completion of the Strategic Plan. Vice President Ooten motioned for approval of the Budget Adjustment for the Strategic Plan. Director Perry seconded. Minutes of CMSD Regular Meeting — February 26, 2009 Page 9 0 Motion carried as follows: Ayes: Schafer, Ooten, Perry, Ferryman Noes: Monahan EXERCISE OPTION YEAR #2 FOR AUDIT SERVICES Mr. Davis recommended the Board of Directors exercise the second option year and approve an engagement letter with Diehl, Evans & Company, LLP to perform the District's annual audit for the year ending June 30, 2009 in the amount of $9,970.00, subject to final approval as to form by the District's Counsel. INVESTMENT OVERSIGHT COMMITTEE MEETING HELD FEBRUARY 26, 2009 Mr. Davis reported on the Investment Oversight Committee Meeting held on February 26, 2009 in which the review of the Treasurer's Report as of January 31, 2008 and the Audit Services Contract Option were discussed. ATTORNEY'S REPORT Is COST ACCOUNTING METHOD OF CONSTRUCTION Mr. Burns reported Staff will propose an alternative method to bid public works projects, known as the "Uniform Cost Accounting Method." Mr. Burns presented a memo as an early alert to the subject before a proposed ordinance is presented. Mr. Burns reported the benefits to the process allows many projects to be bid from pre- determined lists and reduces the preparation costs of formal plans and specifications and also shortens the time to have construction performed. Mr. Burns reported the disadvantage is the Board gives up some control over projects and any "force account" work done by District employees has to be accounted for using the accounting system that forces a government agency to obtain a true comparison of having employees perform the work versus contract labor. REVIEW OF CMSD OPERATIONS CODE, ADMINISTRATIVE RULES & REGULATIONS AND PERSONNEL RULES Mr. Burns reported on the request to review CMSD's Operations Code, Administrative Rules & Regulations and Personnel Rules. Mr. Burns reported on a checklist of minor things but concluded CMSD is in substantial compliance. Mr. Burns reported CMSD is eligible for a premium decrease based on his certification. Minutes of CMSD Regular Meeting -- February 26; 2009 Page 10 Mr. Hamers recommended Board f ded th a oa d o Directors accept the certification by legal counsel subject to his comments. Mr. Burns suggested the verbiage "There are no material or legal deficiencies that came to our attention." Director Ferryman motioned for approval of the certification by Legal Counsel with wording as stated by Mr. Burns. Vice President Ooten seconded. Motion carried 5 -0. 2009/2010 STRATEGIC PLANNING AGREEMENT Mr. Burns presented a draft letter with attached Agreement for Consultant Services to be sent to BHI Management Consulting regarding the proposed Costa Mesa Sanitary District 2009/2010 Strategic Plan. Mr. Burns recommended the Board of Directors approve the 2009/2010 Strategic Planning Agreement. Director Ferryman motioned for approval of the 2009/2010 Strategic Planning Agreement with BHI Management Consulting. Vice President Ooten seconded. Motion carried as follows: Ayes: Schafer, Ooten, Perry, Ferryman Noes: Monahan LICENSE AGREEMENT FOR SHORT TERM USE OF REAL PROPERTY AT 174 WILSON STREET WITH D. M. KISLING CONSTRUCTION Mr. Burns recommended the Board of Directors ratify the License Agreement for Short Term Use of Real Property at 174 Wilson Street with D. M. Kisling Construction. Vice President Ooten motioned to ratify the License Agreement. Director Ferryman seconded. Motion carried 5 -0. • Minutes of CMSD Regular Meeting — February 26, 2009 Page 10 Mr. Hamers recommended the Board of Directors accept the certification by legal counsel subject to his comments. Mr. Burns suggested the verbiage "There are no material or legal deficiencies that came to our attention." Director Ferryman motioned for approval of the certification by Legal Counsel with wording as stated by Mr. Burns. Vice President Ooten seconded. Motion carried 5 -0. 2009/2010 STRATEGIC PLANNING AGREEMENT Mr. Burns presented a draft letter with attached Agreement for Consultant Services to be sent to BHI Management Consulting regarding the proposed Costa Mesa Sanitary District 2009/2010 Strategic Plan. Mr. Burns recommended the Board of Directors approve the 2009/2010 Strategic Planning Agreement. Director Ferryman motioned for approval of the 2009/2010 Strategic Planning Agreement with BHI Management Consulting. Vice President Ooten seconded. Motion carried as follows: Ayes: Schafer, Ooten, Perry, Ferryman Noes: Monahan LICENSE AGREEMENT FOR SHORT TERM USE OF REAL PROPERTY AT 174 WILSON STREET WITH D. M. KISLING CONSTRUCTION Mr. Burns recommended the Board of Directors ratify the License Agreement for Short Term Use of Real Property at 174 Wilson Street with D. M. Kisling Construction. Vice President Ooten motioned to ratify the License Agreement. Director Ferryman seconded. Motion carried 5 -0. • 0 Minutes of CMSD Regular Meeting — February 26, 2009 Page 11 LOCAL MEETINGS (INCLUDES REPORTS BY ALL DIRECTORS REPRESENTATING CMSD) ORANGE COUNTY SANITATION DISTRICT (OCSD) (DIRECTOR FERRYMAN) Director Ferryman reported Orange County Sanitation District is considering selling farmland in Kings County and is actively marketing the property. Director Ferryman reported on a meeting with the City of San Jose and Santa Clara Valley Water District regarding the ground water replenishment system. SANTA ANA RIVER FLOOD PROTECTION AGENCY (SARFPA) (DIRECTOR PERRY There was no meeting in February. INDEPENDENT SPECIAL DISTRICTS OF ORANGE COUNTY (ISDOC) (PRESIDENT SCHAFER) President Schafer attended the January 6, 2009 ISDOC meeting and reported on legislation updates. President Schafer also gave an update on Sacramento and OCSD and answered questions. President Schafer discussed the luncheon for ISDOC held on January 29, 2009 and gave an update regarding CSDA, LAFCO and Sacramento. LOCAL AGENCY FORMATION COMMISSION (LAFCO) (PRESIDENT SCHAFER ) ` There was no meeting in January 2009. President Schafer reported LAFCO's Best Practices Meeting will be held on March 27, 2009 and MSRs and boundary changes will be discussed. President Schafer will be unable to attend the March 27, 2009 meeting. CALIFORNIA SPECIAL DISTRICTS ASSOCIATION (CSDA) (PRESIDENT SCHAFER President Schafer flew to Sacramento to attend a CSDA meeting and gave a brief overview. I's Minutes of CMSD Regular Meeting — February 26, 2009 Page 12 CALIFORNIA ASSOCIATION OF SANITATION AGENCIES (CASA) 0 President Schafer reported on the CASA Conference held in Indian Wells and gave a written report on the conference, meetings and workshops attended. OTHER MEETINGS QUALIFYING FOR REIMBURSEMENT UNDER CMSD ORDINANCE N. 55, OPERATIONS CODE SECTION 3.01.030 Vice President Ooten attended the OCSD Operations Committee meeting and reported on the budget assumptions that were enacted. Vice President Ooten presented Mr. Hamers a copy of the budget assumptions. Director Monahan attended a City Council meeting and a League of Cities meeting two weeks ago and reported on the discussion of the stimulus package and the state budget resolution. CHAMBER OF COMMERCE President Schafer attended the January 7, 2009 Chamber of Commerce meeting and reported all representatives gave updates from Chamber, Gas, Edison, City, State and Federal. President Schafer gave an update on the District, LAFCO and CSDA. OCCOG President Schafer did not attend the meeting. WACO President Schafer was unable to attend the January 9, 2009 meeting. President Schafer attended the January 20, 2009 planning meeting for WACO and gave CSDA and LAFCO reports. Vice President Ooten attended the last WACO meeting and reported John Lewis was the speaker on the state of water in Orange County. Mr. Lewis conducted a survey of conservation awareness. OLD BUSINESS There was no old business discussed. • r: Minutes of CMSD Regular Meeting — February 26, 2009 Page 13 NEW BUSINESS INVOICE FROM COUNTY OF ORANGE FOR 11/4/08 GENERAL ELECTION IN THE AMOUNT OF $58,285.54 Vice President Ooten motioned to ratify payment for the Invoice from County of Orange for 11/4/08 General Election in the amount of $58,285.54. Director Ferryman seconded. Motion carried 5 -0. ISDOC MEMBERSHIP DUES FOR 2009 IN THE AMOUNT OF $50.00 Director Ferryman motioned to ratify payment for ISDOC Membership Dues for 2009 in the amount of $50.00. Director Monahan seconded. Motion carried 5 -0. COSTA MESA CHAMBER OF COMMERCE ANNUAL MEMBERSHIP INVESTMENT FOR 04/01/2009 TO 04/01/2010 IN THE AMOUNT OF $440.00 Director Monahan motioned to ratify payment for Costa Mesa Chamber of Commerce Annual Membership Investment for 04/01/2009 to 04/01/2010 in the amount of $440.00. Vice President Ooten seconded. Motion carried 5 -0. CITY CLERKS ASSOCIATION OF CALIFORNIA (CCAC) ANNUAL CONFERENCE APRIL 22 -24, 2009 IN SONOMA COUNTY Ms. Revak requested the Board of Directors approve attendance by the District Clerk to the City Clerks Association of California (CCAC) Annual Conference, April 22 -24, 2009 in Sonoma County. Vice President Ooten motioned for approval for attendance by the District Clerk. Director Ferryman seconded. Motion carried 5 -0. ORAL COMMUNICATIONS AND DIRECTOR COMMENTS Vice President Ooten added to his Recycling Committee report by stating OC Waste & Recycling entered into negotiations with representatives of Orange County cities and special districts for new Waste Disposal Agreements in which a proposed increase in disposal rates from $22.00 per ton to $29.95 per ton adjusted annually by CPI for a 10- year term beginning July 1, 2010 was discussed. Director Perry stated resident Dan Worthington has "no soliciting" signs available for the Mesa Verde homeowners. Director Perry reported the signs state, "Dan Worthington of the Costa Mesa Sanitary District." Vice President Ooten plans to attend the next meeting to address issues regarding the signs created by Mr. Worthington. Minutes of CMSD Regular Meeting — February 26, 2009 Page 14 ADJOURNMENT President Schafer adjourned the Regular Meeting at 7:43 p.m. Secretary President • • • SANITgJf h CosriM Mz5a SANIT3W �i E yc�+4p0RA'1�.� DisTRiCT • ... an Independent Special District Memorandum To: Board of Directors From: Debbie Bjornson Date: March 1, 2009 Subject: REFUND REQUEST FOR BOARD APPROVAL There are no refund requests for the month of February 2009. 6bbie Bjornson Permit Processing Specialist Protecting our community's health by providing solid waste and sewer collection services costamesasanitarydistrict.org ShNI Costa ODD Mesa R SamitarN D _ let Board of'I)irectors .Arlene Schafer Robert Ooten Gary Monahan Arthur Perry Janes Ferryina.rt Stq f f Robin B. Hamers Manager District Engineer (949) 637 -1731 March 1, 2009 Board of Directors Costa Mesa Sanitary District 628 W. 19`'' Street Costa Mesa, CA 92627 -2716 SUBJECT: TRASH OCCUPANCY COUNT Dear Board of Directors: Thomas A. Fauth There has been an increase of 1 unit for the occupancy report for solid waste Assistant Nlanrnget. collection as of March 1, 2009; therefore, the total occupancy count for March is 21,474. Joan Revak. W oard Secreiar); Staff recommends the following: � 'rann Manager Clerk of'the Distr•icl 1. The Board of Directors accepts the occupancy count as presented using 21,474 as the correct number of units. Alan R. Burris Lego Cola"sel Marc,es D. Danis I'rcasurerlDirector of finance Phone (949) 645 -5400 Fax (949) 650 -2253 Address 625 VV. 19th Street Costa Mesa, CA 92627 -2716 �.I Ca Printed on Recycled Paper 2. The Board of Directors directs staff to prepare a warrant to Costa Mesa Disposal for March collection based on this occupancy report so long as the contractor fulfills the obligations of the agreement. Said payment in the amount of $196,603.05 to be ratified on the April 2009 warrant list. Sincerely, Thomas A. Fauth Assistant Manager cc: Costa Mesa Disposal Debbie Bjornson Permit Processing Specialist Protecting our communitV's health 62o provibing so[ib waste anb sewer co[fection services. www.crosbca.gov OCCUPANCY CHANGES February, 2009 EXISTING A.P.N. No. ADDRESS STATUS CHANGE NEEDED CHANGED OCCUPANCY 439 - 332 -51 256 Santa Isabel new service I unit using curbsid Febniary, 2009 1 Total for February 2009 • s • WDR Reported Spill Data OCCURRENCE REPORT SUMMARY 12130/2008 Sanitary Sewer Overflow Occurrence Report Summary, CY2008 SSO EVENT ID Private District Est Total Spill Completely Uncontained Est # Private Gallons Spilled Uncontained Est # Public Gallons Spilled Date Event Line Line # Gallons Contained ? into Storm drain into Storm drain 1/2/2008 PRIVATE Pump Station Failure,151 Kalmus Dr, Copper Tree Bus Park; 80025 2,000 N 1600 1/20/2008 Sea Bluff PS Air Bubbler Failure; 30 Sea Terrace Lane 80575 113 N 113 1/28/2008 Roots Blocked Main Line, CCM Cleaned Site, 1939 Sanderlin Ctr; 81341 20 Y 2/7/2008 FOG Blocked Main Line Siphon on Paularino, 3012 -3036 Enterprise; 81171 55 N 5 2/26/2008 Debris & Roots Blocked Main Line, 2040 President Place; 81613 450 Y 3/18/2008 Grease blocked PRIVATE Lateral - Yardhouse - 1875A Newport Blvd 82152 2,100 N 1800 3/18/2008 Roots/Debris Blocked PRIVATE Lateral, 700 W 16th St 82153 37 N 37 4/3/2008 President PS -SCE Transformer, 2034 President PI, PS MH to Park 82546 360 Y 5/5/2008 PRIVATE Above Ground Clean Out Broken - AMTEK 960 W 16th St 83276 20 N 20 7/25/2008 Roots Blocked PRIVATE Lateral - Uncapped CO - 674 Park Drive 85433 20 N 10 7/26/2008 Grease /Debris Blocked PRIVATE Lateral 3400 Ave of Arts-Heritage 85463 100 N 10 8/22/2008 PRIVATE Pump Station Failure, 151 Kalmus Dr, Copper Tree Bus Park; Repeat; 86141 85 Y 9/4/2008 Roots/Debris - PRIVATE SSO - Uncapped CO - 1010 Valencia St 86477 1,050 N 52 10/24/2008 FOG & Rock Debris in Private Lateral - The Camp 2937 Bristol St 87699 1,275 N 75 12/23/2008 FOG Blocked Main Line Drop Manhole, 2752 San Juan Lane 89101 30 Y 12/26/2008 FOG Blocked Lateral Line - May Gardens - 1400 Bristol St; Repeat; 89158 690 Y 12/30/2008 Unknown Debris Blocked Main Line - 1895 Swan Circle 89253 10 Y KEY: GREASE 6 4 2 ROOTS 5 3 1 2 PUMP STN 2 2 OTHER 4 3 1 TOTALS 17 10 7 Total # Gallons 8,415 4,693 3,604 118 Percentages 100.00% 55.77% 42.83% 1.40% 1/30/2009 Sanitary Sewer Overflow Occurrence Report Summary, CY2009 SSO EVENT ID Private District Est Total Spill Completely Uncontained Est # Private Gallons Spilled Uncontained Est # Public Gallons Spilled Date Event I Line Line # Gallons Contained ? into Storm drain into Storm drain 1/11/2009 Irvine PS Failure /SW - SCADAIarm Did Not Call - 2149 Anniversary Lane; 90244 100 N 100 1/16/2009 FOG Debris Blocked Main - Increased Hots of -1 /mo; Bristol St & 55 Freeway; 90383 86 N 86 1/26/2009 FOG Blocked Main Line near 2831 Bristol St; Italian Restaurant Upstream; 90785 10 Y 1/29/2009 Irvine PS Failure /SW - SCADAIarm Did Not Call - 2149 Anniversa% Lane; 90922 50 Y 1/30/2009 Private Septic Tank Failed -Moon River Massage Parlor -2138 Newport B 90919 20 Y KEY: GREASE 2 2 ROOTS 0 PUMP STN 2 2 OTHER 1 1 TOTALS 51 1 4 Total # Gallons 266 80 0 186 Percentages 1 100.00% 30.08% 1 0.00% 1 essz% 3/11/2009 X: \CMSD Doc uments \Priorities \Priorities - Occurrences 1.30 -09 CMSD Staff: 949 - 645 -8400 1 of 1 • COSTA MESA SANITARY DISTRICT MINUTES OF HUMAN RESOURCES MEETING FEBRUARY 25, 2009 The Costa Mesa Sanitary District Staff met at 11:00 a.m. at 628 W. 19th Street, Costa Mesa. Staff Present: Rob Flamers, Tom Fauth, Joan Revak, Sherry Kallab, Teresa Gonzalez, Kaitlin Tran, Debbie Bjornson, Denise Gilbert, Karl Dulake CMSD Staff met to discuss personnel issues. Assistant Manager's Personnel Memo Regarding "CMSD EE Benefits Thoughts" Mr. Fauth distributed documents he prepared with regard to employee benefits and, in particular, the CalPERS retirement formula, and discussion ensued. Mr. Hamers pointed out the Board of Directors' position is to wait until the end of calendar year 2009 when the actuarial will be provided by CaIPERS and the Board will have a clear picture of the cost increases to the existing plan and the cost of increasing the CalPERS retirement formula for the plan the employees propose. Mr Fauth noted employees are grateful for current benefits. The need to establish a competitive and attractive environment to replace aging employees with high quality individuals is critical. Mr. Fauth expressed his continued frustration to address this situation, noting the Board would not establish an ad -hoc committee to discuss potential changes to the CalPERS retirement formula. Mr. Fauth stated the Board has treated CMSD employees unfairly by not allowing Mr. Fauth to present the employees' case to the Directors, noting the Board refused to entertain the agendized topic regarding employees' benefits in March 2008. Since then the Board insisted the Manager /District Engineer was to be the negotiating individual for the Board with the unrepresented employees (non- union). Mr. Fauth explained the Board insisted on multiple "closed sessions" in which the Assistant Manager was not allowed to participate, as the Board only wanted to interface with the CMSD Manager /District Engineer. Further, the Board continued to refuse to establish a • friendly CalPERS ad -hoc committee to enable Staff to express ideas. Mr. Fauth plans to strongly state in the strategic planning session to the Board they should honor employee requests for an ad -hoc committee now to open communication channels and ''��dSP SAkf tgFy \,, z` Costa Mesa Sanitary District Minutes of HR Meeting February 25, 2009 Page 2 understand the Staff /employee position and comprehend real associated costs, instead of the Board relying on misleading data. Mr. Fauth noted the Board continued to rely on political, economic and election status `reasons' as to why the Board refused to consider hearing Staff concerns, as the Board members repeatedly stated. Mr. Fauth stated this appears to be a recurring theme indicating the topic will never be addressed. Mr. Fauth stated `establishing an ad -hoc committee to open the lines of communication and documenting a roadmap to the future is paramount to resolving the situation', all things considered. Ms. Revak stated due to the difficult economic times and the good jobs enjoyed by her and Staff, she will decline any part in statements to the Board regarding an ad -hoc committee at this time. Ms. Kallab stated the request for the ad -hoc committee was the first time the Board had turned down a request from staff, previously having approved a 9/80 work schedule and the requested increase in the flexible benefit account. Topics Staff Would Like Addressed during the Strategic Planning Interviews Mr. Fauth plans to bring the CalPERS retirement formula issue to the Board's attention during the strategic planning session process. Ordinance Enforcement Officer Transition: CMSD /MCWD Approach Mr. Fauth reported Staff is finalizing the advertisement to fill the Ordinance Enforcement Officer (OEO) position as Mr. Shef is scheduled to retire as of June 30, 2009. The selection process will occur between April 15 -30, 2009 with interviews scheduled during the April 6 -15 time period. Mr. Fauth has contacted Mesa Consolidated Water District (MCWD) to determine whether they are prepared to commit to funding extra hours for the OEO to work under their direction as previously stated. Mr. Fauth proposed the selected candidate begin on May 15, 2009 to allow for on -the- job training with Mr. Shef and possibly MCWD. The meeting was adjourned at 12:42 p.m. Protecting our community's health by providing solid waste and sewer codection services. crosdca pov 0 • • A • • CR Transfer To: Joan Revak From: CR Transfer Inc. Jurisdiction: Costa Mesa Sanitary District (9) Month/Year: Feb -09 Recycling Report "' Note: This material includes food / small particulate and inert material. Total Tonnage 2626.28 Recycled Tonnage 1324.02 Landfill Tonnage 1302.26 County & Newport Bch. TOTAL 146.33 2772.61 74.35 1398.37 71.98 1374.24 Rec cle Tons Commodity Percentage Recycled Newspaper 7.88% 206.96 Cardboard 6.42% 168.53 Mixed Paper 5.13% 134.64 Glass 2.80% 73.52 PET 0.59% 15.43 HDPE 0.45% 11.8 Aluminum Cans 0.33% 8.77 Non - Ferrous Metal 0.44% 11.5 Tin /Metal 0.65% 16.94 Greenwaste 9.78% 256.88 Organic / Fines 12.67% 332.82 Wood 1.41% 36.91 Concrete /Asphalt 1.88% 49.32 Drywall 0.00% 0 Totals 50.41%1 1324.02 "' Note: This material includes food / small particulate and inert material. Total Tonnage 2626.28 Recycled Tonnage 1324.02 Landfill Tonnage 1302.26 County & Newport Bch. TOTAL 146.33 2772.61 74.35 1398.37 71.98 1374.24 CR Transfer To: Joan Revak From: CR Transfer Inc. Jurisdiction: Costa Mesa Sanitary District Santa Ana Heights (11) MonthNear: Feb -09 Recycling Report " Note: This material includes food / small particulate and inert material. Total Tonnage 146.33 Recycled Tonnage 74.35 Landfill Tonnage 71.98 A • • Recycle Tons Commodity Percentage Recycled Newspaper 10.19% 14.9 Cardboard 6.65% 9.74 Mixed Paper 7.63% 11.16 Glass 3.30% 4.82 PET 0.78% 1.14 HDPE 0.44% 0.65 Aluminum Cans 0.51% 0.74 Non - Ferrous Metal 0.27% 0.4 Tin /Metal 0.96% 1.41 Greenwaste 1.30% 1.9 Or anic / Fines 11.67% 17.07 Wood 5.17% 7.57 Concrete/Asphalt 1.95% 2.85 Drywall 0.00% 0 Totals 1 50.81%1 74.35 " Note: This material includes food / small particulate and inert material. Total Tonnage 146.33 Recycled Tonnage 74.35 Landfill Tonnage 71.98 A • • 9 0 0 Total Tonnage 4,033.00 3,475.03 3,618.47 3,563.75 3,088.57 3,452.14 3,259.28 2,654.00 27,144.24 City 3.813,49 3.341.31 3,458.31 3,369.18 2.920.85 3.258.46 3.103.26 2.626.00 County 219.51 133.72 160.16 194.57 167.72 193.68 156.02 28.00 Recycled Tonnage 2,034.12 1,752.46 1,824.89 1,797.42 1,557.76 1,741.19 1,643.76 1,398.37 13,749.97- City 1,922.56 1.684.51 1,743.50 1,698.57 1,472.52 1,642.75 1,564.51 1,324.02 County 111.56 67.95 81.39 98,85 85.24 98.44 79.25 74.35 Landfilled Tonnage 1,998.88 1,722.57 1,793.58 1,76633 1,530.81 1,710.95 1,564.51 1,374.24 12,087.63 City 1,890.93 1,656.80 1.714.81 1,670.61 1,448.33 1,615.71 1,538.75 1,302.26 County 107.95 65.77 78.77 95.72 82.48 95.24 76.77 71.98 Recycled % 50.44 50.43 1 1 1 .44 50.44 50.43 16 to composite recycling percentage for City & County based on new characterization studies completed by CRT. Waste Diversion FY- 08/09 /jr 03/11/09 City 3.103.26 2,626.28 County 156.02 146.33 City 1,564.51 1,324.02 County 79.25 74.35 City 1,538.75 1,302.26 County 76.77 71.98 Recycled % 50.43% 50.44% 'A composite recycling percentage for City & County based on new characterization studies completed by CRT. Waste Diversion 2009/jr 03/11/09 CR TRANSFER, INC. DATE INVOICE • TO: TOTAL 2/02/09 RESIDENTIAL WASTE 19 149.70`-' MRITRANPAYMENT SFER, INC. 2/03/09 RESIDENTIAL WASTE 19 P. O. BOX 125 52.220 7,343.70 2/04/09 STANTON, CA 90680 -0125 CR o 52.220 6,023.58 INCpgpOpRA RESIDENTIAL WASTE 18 TERMS: NET 10 DAYS • 09 40013402 ORE CEIVE® 7,574.51 TO PAY BY CREDIT CARD, RESIDENTIAL WASTE !i J MAR 1if1 R 0 5 2009 116.46 PLEASE FILL IN INFORMATION ON BACK OF REMITTANCE 6,081.54 2/09/09 INVOICE #: INVOICE DATE: 163.22 COSIL, ",ta! 13402 3/01/09 BILL TO: 17 126.79 ✓ 52.220 6,620.97 0/09 COSTA MESA SANI DIST AREA 9 COSTA MESA SANI DIST AREA 9 P.O. BOX 1200 628 W 19TH ST COSTA MESA CA 92627 COSTA MESA CA 92627 2/12/09 CUSTOMER #: 14 118.33,/ 52:220 09- 9 2 PREVIOUS AMOUNT DUE PAYMENTS CURRENT CHARGES TOTAL DUE 110.58vl 52.220 5,774.49 162,052.24 162,052,247 137,144.34 127.79 137,144.34 6,673.19 2/17/09 _���__ _ ���_ ���__ ��Pleasedetachhereandreturnwith��ur .eaYment �_���� ^�� ^!�^ CHECK# _—_' CR TRANSFER, INC. DATE DESCRIPTION • • TOTAL 2/02/09 RESIDENTIAL WASTE 19 149.70`-' 52.220 7,817.33 2/03/09 RESIDENTIAL WASTE 19 140.63 52.220 7,343.70 2/04/09 RESIDENTIAL WASTE 13 115.35 52.220 6,023.58 2/05/09 RESIDENTIAL WASTE 18 145.05 52.220 7,574.51 2/06/09 RESIDENTIAL WASTE 15 116.46 52.220 6,081.54 2/09/09 RESIDENTIAL WASTE 20 163.22 52.220 8,523.35 2210/09 RESIDENTIAL WASTE 17 126.79 ✓ 52.220 6,620.97 0/09 ADJ TKT 1283181 SB 09355. (7..44 52.220 388.52- 22 11/09 RESIDENTIAL WASTE 14 110':14 52.220 5,751.51 2/12/09 RESIDENTIAL WASTE 14 118.33,/ 52:220 6,179.19 2/13/09 RESIDENTIAL WASTE 12 110.58vl 52.220 5,774.49 2/16/09 RESIDENTIAL WASTE 14 127.79 52.220 6,673.19 2/17/09 RESIDENTIAL WASTE 15 129.04 ✓ 52.220 6,738.47 2/18/09 RESIDENTIAL WASTE 15 110.86 52.220 5,789.11 2/19/09 RESIDENTIAL WASTE 14 118.99-/ 52.220 6,213.66 2/20/09 RESIDENTIAL WASTE 15 120.86,/ 52.220 6,311.31 2/23/09 RESIDENTIAL WASTE 19 177.90 52.220 9,289.94 2/24/09 RESIDENTIAL WASTE 18 148.99 52.220 7,780.26 2/25/09 RESIDENTIAL WASTE 16 130.30 52.220 6,804.27 2/26/09 RESIDENTIAL WASTE 16 141.92 52:22.0 7,411.06 2/27/09 RESIDENTIAL WASTE 17 130.8 -2 ✓ 52.220 6,831.42 IF YOU HAVE ANY QUESTIONS REGARDING ANY PART OF THIS INVOICE, PLEASE CALL: (714)' 8 2 6 - 9 04 9 PRWJPUSAMOUNTDUE PAYMENTS CURRENT CHARGES TOTAL DUE INVOICE TOTAL 1,37144 �4 CUSTOMER #: 0 9- 9 2 INVOICE # 13402 �J r P.O. BOX 1200 OVERDUE AMOUNTS SUBJECT TO FINANCE CHARGE ® Printed on Recycled Paper I RAN `FER 500134030 BILL TO: INVOICE COSTA MESA SANI DIST -SA HGT 628 W 19TH ST COSTA MESA CA 92627 MAIL PAYMENT TO: CR TRANSFER, INC. P. O. BOX 125 STANTON, CA 90680 -0125 TERMS: NET 10 DAYS 40 TO PAY BY CREDIT CARD, PLEASE FILL IN INFORMATION ON BACK OF REMITTANCE INVOICE #: INVOICE DATE: 13403 3/01/09 COSTA MESA SANI DIST -SA HGT P.O. BOX 1200 COSTA MESA CA 92627 CUSTOMER #: 09- 11 8 PREVIOUS AMOUNT DUE PAYMENTS CURRENT CHARGES TOTAL DUE F7871 8,147.37 F77, 7,641.35 _Please detach here and return with�our�aYm. ......... _ _ _ CHECK # CR TRANSFER, INC. •• DESCRIPTION LOADS • • 2/03/09 RESIDENTIAL WASTE 1 8.01 / 52.220 418.28 2/04/09 RESIDENTIAL WASTE 3 27.90 52.220 1,456.94 2/11/09 RESIDENTIAL WASTE 4 33.83 ✓ 52.220 1,766.60 2/17/09 RESIDENTIAL WASTE 1 6.28'/ 52.220 327.94 2/18/09 RESIDENTIAL WASTE 4 33.28' 52.220 1,737.88 2/25/09 RESIDENTIAL WASTE 4 37.03 52.220 1,933.71 0 7,641.35 IF YOU HAVE ANY QUESTIONS REGARDING ANY PART OF THIS INVOICE, PLEASE CALL: ( 714 ) 826-904y PREVIOUS AMOUNT DUE PAYMENTS CURRENT CHARGES TOTAL DUE INVOICE TO 7 7,64 7641.351 CUSTOMER #:09 - 11 8 INVOICE# 13403 P.O. BOX 1200 OVERDUE AMOUNTS SUBJECT TO FINANCE CHARGE 0 Printed on Ruvcled PaPe TO: Costa Mesa Sanitary District Board of Directors FROM: Ron Shef, Ordinance Enforcement Officer DATE: March 12, 2009 SUBJECT: ORDINANCE ENFORCEMENT SUMMARY REPORT This report is for the monthly period of February 2009. Several days of rain prevented residential monitoring during this period. In addition, the Monday holiday of Presidents Day confused some residents whether collection was delayed one day during the week. Collection was normal that week, but it was noticed that some residents placed containers out one day late and these containers were not emptied. The Ordinance Enforcement Officer stopped at these homes and explained to those residents, if at home, what had occurred. The last two weeks of the month was used in monitoring a large portion of the Mesa Verde area in response to an ongoing complaint from a resident. An in depth effort was made to follow up and document the homes that were in non- compliance with our ordinances. Through photos, personal contact and close to fifty letters sent to these specific residents, an immediate improvement has been noticed. Staff has also responded to the complaint with email and complimentary response. The Ordinance Enforcement Officer will continue to monitor this area in order to ensure compliance. • • "R COSTA MESA SANITA-WY X PROJECT STATUS REPORT February 2009 Project 1112100-101 West Sode Pumping Station Abandonment Directors Ferryman and Ooten along with Manager /District Engineer Rob Hamers, Assistant Manager Tom Fauth and Inspector Paul Guzman met with OCSD General Manager Jim Ruth and executive engineering staff on March 29, 2007 to discuss OCSD's participation in the project. It was agreed that the two agencies would work together to determine an approximate project cost for a regional facility and then meet again to discuss the feasibility. The cost estimate has been prepared and is being considered by both agencies. The CMSD updated its costs of the local sewer lines and confirmed the ability to fund the projects. A letter was sent to OCSD requesting the regional facility become a formal OCSD project and the letter was favorably received. The project appears in OCSD's planning documents. Project 1112100 -129 Bristol Street Sewer The County of Orange plans on widening Irvine Avenue from Bristol Street to University Drive, which will cause relocation of the CMSD Irvine Pumping Station. The District can upgrade the station to a level able to serve the redevelopment of the area. The upgrade alleviates the need for the Bristol Street Pump Station and the project can be reduced to construction of a new gravity sewer only. These findings were submitted to the Orange County Development Agency (OCDA) and as requested the Sanitary District prepared a new three party agreement reflecting these findings. The agreement has been signed by the Sanitary District, the City of Newport Beach, and OCDA. The design phase is nearing completion. Proiect 1112100 -135 Reconstructing Force Main for Elden Pumping Station Phase II Construction was completed in 1995 and the State Department of General Services (DGS) transmitted the sewer easement. The easement has been recorded and distributed to all parties. Project 1112100 -159 Televising Sewer Lines Areas are televised as needed, particularly for the fats, oils, and grease (FOG) program. Protect our community's heafth by providing solid waste and sewer collection services. www.ansdca.gov Proiect 1112100-168 Irvine Pumping Station Relocation Construction of the pumping station is 100% complete although the adjacent parking lot asphalt paving, wall, and slope were damaged by the contractor during construction. Once the repair is resolved, the project will be completed. Proiect 1112100-170 Prepare Emergency Response Plans for Pumping Stations Now that the location of the District Yard has been resolved as well as the makeup of the CMSD field crews, the emergency response plans may be completed. Work is progressing. Proiect 1112100 -171 Irvine Pumping Station Force Main Rehabilitation -Phase 1 The Board of Directors awarded Phase I construction consisting of 450 linear feet at the June 2008 regular meeting. Construction is now complete. Proiect 1112100 -175 OCSD Cooperative Projects Grant - Televising CMSD Sewer Lines The televising is continuing and is scheduled for completion by June 30, 2009. Proiect 1112100 -180 WDR Grease Control Program The project is continuing. Proiect 1112100-183 System -Wide Sewer Repair The Board of Directors authorized the District Engineer to begin design of the second project under this program; the Bristol Street Sewer n/o Randolph, Project #183 -2. The sewer contains three sags and is a hot spot requiring increased maintenance by the CMSD field crews. Construction cannot begin until late 2009 when the City of Costa Mesa street cut moratorium is lifted. Proiect 1112100-186 Sewer Lateral Assistance Program The project is continuing into its second fiscal year and is very popular with the residents in the District. Proiect 1112100 -187 New Corporate Yard at 174 W. Wilson Street The construction plans are approved and ready for permits. The contractor selection process has been tailored to finding an experienced contractor in LEED construction and was approved by the Board at the December 2008 regular meeting. The process is in progress. • Protecting our community's Health by provi� sold waste and sewer collection services. wwwcrosdcagov �J General Ledger Balance Sheet User: tgonzalez Printed: 03/02/2009 - 2:37 P Period Ending 8 Fiscal Period 8, 2009 ARTOISTRICT - - - an Independent Special- District Description Amount Solid Waste Fund Assets Cash in Bank 3,263,003.47 Accounts Receivable 8,482.15 Charges /Taxes Receivable 92,056.75 Total Assets Liabilities Accounts Payable Compensated Absences Payable Deferred Revenue Total Liabilities Fund - Balance Reserved for Life Insurance Reserve for Operating Unreserved Undesignated RE Total Fund - Balance Retained Earnings: Total Fund Balance and Retained Earnings: Total Liabilities, Fund - Balance and Retained Earnings: 3,363,542.37 22,516.06 5,569.98 15,545.13 43,631.17 25,000.00 1,352,000.00 1,916,626.57 3,293,626.57 26,284.63 3,319,911.20 3,363,542.37 GL - Balance Sheet ( 03/02/2009 - 2:37 PM ) Page 1 Description Amount Liquid Waste Fund is Assets Cash In Bank 5,438,574.26 Petty Cash /Change Funds 700.00 Accounts Receivable 1,292.70 Charges /Taxes Receivable 38,670.68 Due From Other Governments 310,591.00 Land 77,964.00 Property Rights 4,025.00 Building & Structures 1,340,797.29 Subsurface Sewer Lines 24,026,497.53 Office Furniture & Equipment 299,853.45 Machinery & Equipment 618,203.35 Vehicles 182,275.00 Construction In Progress 2,322,856.65 Accumulated Deprec - Vehicles (49,066.28) Accumulated Deprec - Buildings (415,571.51) Accum Deprec - Subsurface Line (12,077,709.86) Accumulated Deprec - Office Eq (59,970.63) Accumulated Deprec - Equipment (298,046.12) Total Assets 21,761,936.51 Liabilities Accounts Payable Compensated Absences Payable Retention's Payable PERS Medical Life /AD &D Insurance Long -Term Disability Dental Insurance Employee Insurance Due to OCSD Total Liabilities Fund - Balance Reserved for Capital Outlay Investment in Fixed Assets Reserve for Operating Unreserved Undesignated RE Total Fund - Balance 1,122.66 42,557.36 122,086.72 5,670.91 330.00 299.96 188.40 1,433.17 2,377.55 176,066.73 3,939,067.02 15,972,107.87 618,400.00 607,813.10 21,137,387.99 GL - Balance Sheet ( 03/02/2009 - 2:37 PM ) Page 2 • • Description Amount Retained Earnings: 448,481.79 Total Fund Balance and Retained Earnings: 21,585,869.78 Total Liabilities, Fund - Balance and Retained Earnings: 21,761,936.51 GL - Balance Sheet ( 03/02/2009 - 2:37 PM ) Page 3 Description Amount Sewer Construction Fund • Assets Cash and Investments 100,000.00 Total Assets 100,000.00 Liabilities Deposits Payable 100,000.00 Total Liabilities 100,000.00 Retained Earnings: 0.00 Total Fund Balance and Retained Earnings: 0.00 Total Liabilities, Fund - Balance and Retained Earnings: 100,000.00 r� �J • GL - Balance Sheet ( 03/02/2009 - 2:37 PM ) Page 4 Description Amount Facilities Revolving Fund Assets Cash and Investments 2,060,871.15 Land 901,691.41 Construction In Progress 167,160.90 Total Assets 3,129,723.46 Fund - Balance Reserved for Capital Outlay 96,905.69 Investment in Fixed Assets 1,068,852.31 Secured Retained Earnings 1,992,285.28 �J • Total Fund- Balance 3,158,043.28 Retained Earnings: (28,319.82) Total Fund Balance and Retained Earnings: 3,129,723.46 Total Liabilities, Fund - Balance and Retained Earnings: 3,129,723.46 GL - Balance Sheet ( 03/02/2009 - 2:37 PM ) Page 5 GenerILed e r 0 Expenses vs. Budget COSTX 9YESA SAWITART 1)IST ICT ... an Independent Specia6 oistrics User: tgonzalez Printed: 03/02/2009 - 2:39 P Period 8, 2009 Account Number Description Budgeted Amount Period Amount YTD Amount YTD Var Encumbered Amt Available % Available 10 Solid Waste Fund 10- 100000 Solid Administration E01 Salary & Benefits 10- 100000 -4001 Regular Salaries 86,800.00 6,485.59 52,711.10 34,088.90 0.00 34,088.90 39.27 10- 100000 -4002 Part-Time Salaries 53,300.00 2,611.49 23,892.23 29,407.77 0.00 29,407.77 55.17 10- 100000 -4003 Board Salaries 7,200.00 574.60 3,602.30 3,597.70 0.00 3,597.70 49.96 10- 100000 -4005 Overtime 4,500.00 120.77 1,059.39 3,440.61 0.00 3,440.61 76.45 10- 100000 -4040 Compensated Absences 1,100.00 0.00 0.00 1,100.00 0.00 1,100.00 100.00 10- 100000 -4100 Cafeteria Plan 10,600.00 958.80 7,260.51 3,339.49 0.00 3,33949 31.50 10- 100000 -4105 Medicare - Employer 2,500.00 153.71 1,275.27 1,224.73 0.00 1,224.73 48.98 10- 1000004110 FICA - Employer 750.00 35.62 223.31 526.69 0.00 526.69 70.22 10- 100000 -4115 PERS - Employer 19,700.00 1,231.58 10,378.37 9,321.63 0.00 9,321.63 47.31 10- 100000 -4120 PERS - Employee 10,200.00 636.77 5,354.50 4,845.50 0.00 4,845.50 47.50 10- 100000 -4125 Deferred Medical - RHS 850.00 64.84 527.31 322.69 0.00 322.69 37.96 10- 100000 -4130 Benefits Admin Costs 250.00 20.20 177.42 72.58 0.00 72.58 29.03 10- 100000 -4135 Unemployment 0.00 0.00 0.00 0.00 0.00 0.00 0.00 10- 100000 -4140 Workers' Compensation 2,000.00 0.00 1,620.35 379.65 0.00 379.65 18.98 Salary & Benefits 199,750.00 12,893.97 108,082.06 91,667.94 0.00 91,667.94 45.89 E03 Professional Services 10- 100000 -4200 Professional Services 9,250.00 362.52 809.27 8,440.73 0.00 8,440.73 91.25 10- 100000 -4205 District Manager 30,000.00 2,159.06 13,919.07 16,080.93 0.00 16,080.93 53.60 10- 100000 -4210 Legal Services 20,000.00 1,306.82 9,614.36 10,385.64 0.00 10,385.64 51.92 10- 100000 -4220 Fiscal Services 35,840.00 2,25810 14,186.20 21,653.80 0.00 21,653.80 60.41 10- 100000 -4225 Medical/Employment Services 100.00 0.00 5.10 94.90 0.00 94.90 94.90 10- 100000 -4300 Contract Services 3,500.00 0.00 1,452.41 2,047.59 0.00 2,047.59 58.50 10- 100000 -4320 Container Collection Costs 20,000.00 0.00 0.00 20,000.00 0.00 20,000.00 100.00 Professional Services 118,690.00 6,086.60 39,986.41 78,703.59 0.00 78,703.59 66.31 E05 Recycling & Disposal 10-100000-4310 Trash Hauler 2,400,000.00 196,593.90 1,572,677.97 827,322.03 0.00 827,322.03 34.47 10- 100000 -4315 Recycling/Disposal 2,368,000.00 170,199.61 1,278,876.71 1,089,123.29 0.00 1,089,123.29 45.99 GL - Expenses vs Budget ( 03/02/2009 - 2:39 PM) Page 1 Account Number Description Budgeted Amount Period Amount YTD Amount YTD Var Encumbered Amt Available % Available 0.00 Recycling & Disposal 4,768,000.00 366,793.51 2,851,554.68 1,916,445.32 E10 Other Contract Services 27.14 0.00 382.86 28.36 10- 100000 -4305 County Collection Fee 15,500.00 0.00 0.00 15,500.00 10- 100000 -4325 Election Costs 28,000.00 20,399.94 20,399.94 7,600.06 10- 100000 -4330 Building Maintenance 1,350.00 172.24 967.14 382.86 10- 100000 -4335 Equipment Maintenance 2,470.00 49.21 2,170.56 299.44 0.00 Other Contract Services 47,320.00 20,621.39 23,537.64 23,782.36 E15 Materials & Supplies 47.72 0.00 667.96 39.29 10- 100000 -4400 Office Supplies 1,500.00 66.73 900.51 599.49 10- 100000 -4405 MultiMed/Blueprint/Copies /Sub 1,000.00 4.24 638.39 361.61 10- 100000 -4410 Postage 7,900.00 50.00 134.10 7,765.90 10- 100000 -4420 Public Info /Ed/Community Prom 16,700.00 0.00 7,313.59 9,386.41 10- 1000004425 Small Tools /Equipment 500.00 0.00 4.04 495.96 10- 1000004430 Materials & Supplies 0.00 0.00 0.00 0.00 Materials & Supplies 27,600.00 120.97 8,990.63 18,609.37 E20 Professional Development 10- 1000004500 Prof Membership /Dues 8,800.00 298.25 8,420.55 379.45 10- 1000004505 Staff Development 1,200.00 4.70 627.35 572.65 10- 100000 -4510 Travel /Meals /Lodging 1,700.00 60.21 1,032.04 667.96 10- 100000 -4520 Mileage Reimbursement 1,500.00 0.00 783.55 716.45 Professional Development 13,200.00 363.16 10,863.49 2,336.51 E25 Liability Insurance 10- 1000004550 Liability Insurance 6,500.00 0.00 6,035.69 464.31 Liability Insurance 6,500.00 0.00 6,035.69 464.31 E30 Utilities 10- 100000 -4600 Telephone 750.00 63.53 450.97 299.03 10- 100000 -4605 Cellular Service 650.00 76.93 297.25 352.75 10- 100000 -4610 Gas - Building 75.00 8.47 21.51 53.49 10-100000-4615 Water - Building 175.00 21.25 109.03 65.97 10- 100000 -4620 Electric - Building 900.00 46.01 393.35 506.65 Utilities 2,550.00 216.19 1,272.11 1,277.89 0.00 1,916,445.32 40.19 0.00 15,500.00 100.00 0.00 7,600.06 27.14 0.00 382.86 28.36 0.00 299.44 12.12 0.00 23,782.36 50.25 0.00 599.49 39.96 0.00 361.61 36.16 0.00 7,765.90 98.30 0.00 9,386.41 56.20 0.00 495.96 99.19 0.00 0.00 0.00 0.00 18,609.37 67.42 0.00 379.45 4.31 0.00 572.65 47.72 0.00 667.96 39.29 0.00 716.45 47.76 0.00 2,336.51 17.70 0.00 464.31 7.14 0.00 464.31 7.14 0.00 299.03 39.87 0.00 352.75 54.26 0.00 53.49 71.32 0.00 65.97 37.69 0.00 506.65 56.29 0.00 1,277.89 50.11 GL - Expen0 Budget ( 03/02/2009 - 2:39 PM) Page 2 GL - Expenses vs Budget ( 03/02/2009 - 2:39 PM ) Page 3 r Account ser Description Budgeted Amount Period AA*t YTD Amount YTD Var Encumbered Amt AvailableAvailable E40 Fixed Assets 10- 100000 -4700 Depreciation 0.00 0.00 0.00 0.00 0.00 0.00 0.00 10- 100000 -4750 Gain /Loss Disposal of Asset 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Fixed Assets 0.00 0.00 0.00 0.00 0.00 0.00 0.00 E45 Debt Service 10- 100000 -4800 Principal Payment 0.00 0.00 0.00 0.00 0.00 0.00 0.00 10- 100000 -4850 Interest Payment 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Debt Service 0.00 0.00 0.00 0.00 0.00 0.00 0.00 E50 Other Financing Uses 10- 100000 -4900 Other Financing Uses 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Other Financing Uses 0.00 0.00 0.00 0.00 0.00 0.00 0.00 E55 Non Operating - Other 10- 100000 -4950 Non - Operating Expense 0.00 0.00 0.00 0.00 0.00 0.00 0.00 10- 100000 -4990 Contingency 118,350.00 0.00 0.00 118,350.00 0.00 118,350.00 100.00 Non Operating - Other 118,350.00 0.00 0.00 118,350.00 0.00 118,350.00 100.00 10- 100000 Totals: 5,301,960.00 407,095.79 3,050,322.71 2,251,637.29 0.00 2,251,637.29 42.46 10- 100001 Sharps Program E60 Special Programs 10- 100001 -4300 Sharps Program 20,000.00 1,129.93 8,719.02 11,280.98 0.00 11,280.98 56.40 10- 100001 -4430 Sharps Program - Material/Supp 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Special Programs 20,000.00 1,129.93 8,719.02 11,280.98 0.00 11,280.98 56.40 10- 100001 Totals: 20,000.00 1,129.93 8,719.02 11,280.98 0.00 11,280.98 56.40 10- 100002 Household Hazardous Waste E60 Special Programs 10- 100002 -4300 Household Hazardous Waste 32,000.00 1,581.60 7,611.79 24,388.21 0.00 24,388.21 76.21 GL - Expenses vs Budget ( 03/02/2009 - 2:39 PM ) Page 3 Account Number Description Budgeted Amount Period Amount YTD Amount YTD Var Encumbered Amt Available % Available Special Programs 32,000.00 1,581.60 7,611.79 24,388.21 0.00 24,388.21 76.21 10- 100002 Totals: 32,000.00 1,581.60 7,611.79 24,388.21 0.00 24,388.21 76.21 10- 100003 Telephone Book Recycling E60 Special Programs 10- 100003 -4420 Telephone Bk Recycling Progra 17,000.00 5,900.00 6,104.73 10,895.27 0.00 10,895.27 64.09 Special Programs 17,000.00 5,900.00 6,104.73 10,895.27 0.00 10,895.27 64.09 10- 100003 Totals: 17,000.00 5,900.00 6,104.73 10,895.27 0.00 10,895.27 64.09 10- 100004 Large Item Pick -up E60 Special Programs 10-100004-4310 Large Item Pick -up 5,000.00 0.00 0.00 5,000.00 0.00 5,000.00 100.00 10- 100004 -4420 Large Item Pick -up Promo 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Special Programs 5,000.00 0.00 0.00 5,000.00 0.00 5,000.00 100.00 10- 100004 Totals: 5,000.00 0.00 0.00 5,000.00 0.00 5,000.00 100.00 10- 100005 Used Tire Roundup E60 Special Programs 10- 100005 -4300 Used Tire Roundup 1,200.00 0.00 306.00 894.00 0.00 894.00 74.50 Special Programs 1,200.00 0.00 306.00 894.00 0.00 894.00 74.50 10- 100005 Totals: 1,200.00 0.00 306.00 894.00 0.00 894.00 74.50 10- 100006 Christmas Tree Recycling E60 Special Programs 10- 100006 -4310 Christmas Tree Recycling 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Page 4 GL - Expen0 Budget ( 03/02/2009 - 2:39 PM) Account *er Description Budgeted Amount Period Aet YTD Amount YTD Var Encumbered Amt Available Available GL - Expenses vs Budget ( 03/02/2009 - 2:39 PM) Page 5 Special Programs 0.00 0.00 0.00 0.00 0.00 0.00 0.00 10- 100006 Totals: 0.00 0.00 0.00 0.00 0.00 0.00 0.00 10- 100007 Greeting Card Recycling E60 Special Programs 10- 100007 -4410 Greeting Card Recycling 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Special Programs 0.00 0.00 0.00 0.00 0.00 0.00 0.00 10- 100007 Totals: 0.00 0.00 0.00 0.00 0.00 0.00 0.00 10- 100008 Educational Tours E60 Special Programs 10- 100008 -4420 Educational Tours 2,500.00 0.00 0.00 2,500.00 0.00 2,500.00 100.00 Special Programs 2,500.00 0.00 0.00 2,500.00 0.00 2,500.00 100.00 10- 100008 Totals: 2,500.00 0.00 0.00 2,500.00 0.00 2,500.00 100.00 10 Totals: 5,379,660.00 415,707.32 3,073,064.25 2,306,595.75 0.00 2,306,595.75 42.87 20 Liquid Waste Fund 20- 200000 Liquid Administration E01 Salary & Benefits 20- 200000 -4001 Regular Salaries 459,000.00 34,662.41 280,907.43 178,092.57 0.00 178,092.57 38.80 20- 200000 -4002 Part-Time Salaries 6,000.00 290.16 5,152.92 847.08 0.00 847.08 14.11 20- 200000 -4003 Board Salaries 64,500.00 5,171.40 32,420.70 32,079.30 0.00 32,079.30 49.73 20- 200000 -4005 Overtime 29,300.00 1,086.94 9,534.73 19,765.27 0.00 19,765.27 67.45 20- 200000 -4040 Compensated Absences 6,300.00 0.00 0.00 6,300.00 0.00 6,300.00 100.00 20- 200000 -4100 Cafeteria Plan 56,600.00 5,433.20 40,761.86 15,838.14 0.00 15,838.14 27.98 20- 200000 -4105 Medicare - Employer 9,500.00 643.87 5,128.16 4,371.84 0.00 4,371.84 46.01 20- 200000 -4110 FICA - Employer 6,500.00 320.63 2,010.13 4,489.87 0.00 4,489.87 69.07 20-200000-4115 PERS - Employer 62,000.00 5,365.19 43,970.48 18,029.52 0.00 18,029.52 29.08 20- 200000 -4120 PERS - Employee 32,100.00 2,446.72 19,985.08 12,114.92 0.00 12,114.92 37.74 20- 200000 -4125 Deferred Medical - RHS 4,300.00 346.64 2,809.29 1,490.71 0.00 1,490.71 34.66 GL - Expenses vs Budget ( 03/02/2009 - 2:39 PM) Page 5 Account Number Description Budgeted Amount Period Amount YTD Amount YTD Var Encumbered Amt Available % Available 20- 200000 -4130 20- 200000 -4135 20- 200000 -4140 E03 20- 200000 -4200 20- 200000 -4205 20- 200000 -4210 20- 200000 -4215 20- 200000 -4216 20- 200000 -4217 20- 200000 -4220 20- 200000 -4225 20- 200000 -4300 20- 200000 -4320 E10 20- 2000004305 20- 200000 -4325 20- 200000 -4330 20- 200000 -4335 E15 20- 200000 -4400 20- 200000 -4405 20- 200000 -4410 20- 200000 -4420 20- 200000 -4425 20- 200000 -4430 E20 20- 200000 -4500 20- 200000 -4505 20- 200000 -4510 20- 200000 -4520 Benefits Admin Costs Unemployment Workers' Compensation Salary & Benefits Professional Services Professional Services District Manager Legal Services Engineering/Architectual Sery Plan Ck/Inspection- Inside Plan Ck/Inspection- Outside Fiscal Services Medical /Employment Services Contract Services Sewer Contracts Professional Services Other Contract Services County Collection Fee Election Costs Building Maintenance Equipment Maintenance Other Contract Services Materials & Supplies Office Supplies MultiMed/Blueprints /Copies /Su Postage Public Info /Ed /Community Prom Small Tools /Equipment Material & Supplies Materials & Supplies Professional Development Prof Membership /Dues Staff Development Travel /Meals /Lodging Mileage Reimbursement 3,000.00 181.62 0.00 0.00 4,000.00 0.00 743,100.00 55,948.78 40,750.00 3,262.48 59,200.00 4,009.69 72,000.00 8,937.78 18,000.00 1,400.00 100,000.00 19,065.00 25,000.00 362.50 66,480.00 4,193.80 500.00 0.00 6,500.00 148.00 0.00 0.00 388,430.00 41,379.25 13,800.00 0.00 52,000.00 37,885.60 12,150.00 1,550.12 23,530.00 442.83 101,480.00 39,878.55 12,000.00 494.29 9,000.00 38.16 14,700.00 4,450.00 19,400.00 250.00 1,500.00 0.00 56,600.00 5,232.45 33.690.00 536.75 6,800.00 42.30 26,800.00 2,086.41 250.00 0.00 1,597.03 1,402.97 0.00 1,402.97 0.00 0.00 0.00 0.00 3,078.67 921.33 0.00 921.33 447,356.48 295,743.52 0.00 295,743.52 16,218.64 24,531.36 0.00 24,531.36 25,849.68 33,350.32 0.00 33,350.32 42,535.24 29,464.76 0.00 29,464.76 9,800.00 8,200.00 0.00 8,200.00 120,595.00 (20,595.00) 0.00 (20,595.00) 8,757.50 16,242.50 0.00 16,242.50 26,345.80 40,134.20 0.00 40,134.20 369.20 130.80 0.00 130.80 5,571.34 928.66 0.00 928.66 0.00 0.00 0.00 0.00 256,042.40 132,387.60 0.00 132,387.60 0.00 13,800.00 0.00 13,800.00 37,885.60 14,114.40 0.00 14,114.40 8,583.10 3,566.90 0.00 3,566.90 19,676.11 3,853.89 0.00 3,853.89 66,144.81 35,335.19 0.00 35,335.19 7,997.97 4,002.03 0.00 4,002.03 5,680.15 3,319.85 0.00 3,319.85 5,214.96 9,485.04 0.00 9,485.04 4,977.47 14,422.53 0.00 14,422.53 269.74 1,230.26 0.00 1,230.26 0.00 0.00 0.00 0.00 24,140.29 32,459.71 0.00 32,459.71 31,312.20 2,377.80 0.00 2,377.80 1,868.51 4,931.49 0.00 4,931.49 10,044.96 16,755.04 0.00 16,755.04 108.79 141.21 0.00 141.21 46.76 0.00 23.03 39.79 60.20 56.33 40.92 45.55 (20.59) 64.97 60.37 26.16 14.28 0.00 34.08 100.00 27.14 29.35 16.37 34.82 33.35 36.88 64.52 74.34 82.01 0.00 57.34 7.05 72.52 62.51 56.48 GL - Expen0 Budget ( 03/02/2009 - 2:39 PM) Page 6 1 1 Account *er Description Budgeted Amount Period A*1 t YTD Amount YTD Var Encumbered Amt AvailabeAvailable 67,540.00 Professional Development E25 Liability Insurance 20- 200000 -4550 Liability Insurance 35.83 Liability Insurance E30 Utilities 20- 200000 -4600 Telephone 20- 200000 -4605 Cellular Service 20- 200000 -4610 Gas - Building 20- 200000 -4615 Water - Building 20- 200000 -4620 Electric - Building 22.39 Utilities E40 Fixed Assets 20- 200000 -4700 Depreciation 20- 200000 -4750 G/L On Disposal of Fixed Asset 7,000.00 Fixed Assets E50 Other Financing Uses 20- 200000 -4900 Other Financing Uses 29.68 Other Financing Uses E55 Non Operating - Other 20- 200000 -4950 Non Operating Expense 20- 200000 -4990 Contingency 2,000.00 Non Operating - Other 981.28 20- 200000 Totals: 20- 200001 Sewer Maint E25 Liability Insurance 20- 200001 -4550 Swr Liability Insurance 67,540.00 2,665.46 43,334.46 24,205.54 0.00 24,205.54 35.83 70,000.00 0.00 54,321.25 15,678.75 0.00 15,678.75 22.39 70,000.00 0.00 54,321.25 15,678.75 0.00 15,678.75 22.39 6,500.00 571.70 4,058.40 2,441.60 0.00 2,441.60 37.56 7,000.00 685.22 4,922.40 2,077.60 0.00 2,077.60 29.68 500.00 76.24 193.59 306.41 0.00 306.41 61.28 2,000.00 191.25 981.28 1,018.72 0.00 1,018.72 50.93 7,000.00 414.14 4,312.11 2,687.89 0.00 2,687.89 38.39 23,000.00 1,938.55 14,467.78 8,532.22 0.00 8,532.22 37.09 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 282,000.00 0.00 0.00 282,000.00 0.00 282,000.00 100.00 2,650.00 0.00 0.00 2,650.00 0.00 2,650.00 100.00 284,650.00 0.00 0.00 284,650.00 0.00 284,650.00 100.00 1,734,800.00 147,043.04 905,807.47 828,992.53 0.00 828,992.53 47.78 10,000.00 0.00 8,980.40 1,019.60 0.00 1,019.60 10.19 GL - Expenses vs Budget ( 03/02/2009 - 2:39 PM ) Page 7 Account Number Description Budgeted Amount Period Amount YTD Amount YTD Var Encumbered Amt Available % Available E41 20- 200001 -4001 20- 200001 4002 20- 200001 -4005 20- 200001 4040 20- 200001 -4100 20- 200001 -4105 20-200001-4115 20- 200001 -4120 20- 200001 -4125 20- 200001 -4130 20- 200001 -4135 20- 200001 -4140 E42 20- 200001 -4300 20- 200001 -4305 20- 200001 -4320 20- 200001 -4335 20- 200001 -4350 20- 200001 -4405 20- 200001 -4425 20- 200001 -4430 20- 200001 -4505 20- 200001 -4510 20- 200001 -4625 20- 200001 -4630 E65 20- 200001 -4995 Liability Insurance Sewer Maint - Salary/Benefit Swr Maint - Regular Salaries Swr Maint - PT Salaries Swr Maint - Overtime Compensated Absences Swr Maint - Cafeteria Plan Swr Maint - Medicare ER Swr Maint - PERS ER Swr Maint - PERS EE Swr Maint - Def Medical RHS Benefit Administration Swr Maint - Unemployment Swr Maint - Workers Comp Sewer Maint - Salary/Benefit Sewer Maint Operations Sewer Maint - Claims Sewer Maint -Pump Stn Contract Sewer Maint -Sewer Line Maint Sewer Maint - Equipment Maint Sewer Maint - Property Lease Sewer Maint- MultiMed/Blueprin Sewer Maint -Small Tools /Eq Sewer Maint - Material /Supplies Sewer Maint -Staff Development Sewer Maint- Travel /Meals Sewer Maint- Water Pumps Sewer Maint - Electric Pumps Sewer Maint Operations Capital Improvement Program Capital Outlay Capital Improvement Program 20- 200001 Totals: 10,000.00 0.00 8,980.40 1,019.60 0.00 1,019.60 10.19 175,200.00 14,124.79 111,108.55 64,091.45 0.00 64,091.45 36.58 0.00 0.00 0.00 0.00 0.00 0.00 0.00 19,000.00 2,024.22 9,728.06 9,271.94 0.00 9,271.94 48.80 1,600.00 0.00 0.00 1,600.00 0.00 1,600.00 100.00 28,800.00 2,397.00 18,516.82 10,283.18 0.00 10,283.18 35.70 3,400.00 245.38 1,852.80 1,547.20 0.00 1,547.20 45.50 25,400.00 2,115.27 16,543.25 8,856.75 0.00 8,856.75 34.86 13,200.00 988.74 7,898.30 5,301.70 0.00 5,301.70 40.16 1,800.00 135.78 1,105.66 694.34 0.00 694.34 38.57 500.00 23.48 181.38 318.62 0.00 318.62 63.72 0.00 0.00 0.00 0.00 0.00 0.00 0.00 14,700.00 0.00 11,504.50 3,195.50 0.00 3,195.50 21.73 283,600.00 22,054.66 178,439.32 105,160.68 0.00 105,160.68 37.08 0.00 0.00 0.00 0.00 0.00 0.00 0.00 125,000.00 4,341.15 31,636.89 93,363.11 0.00 93,363.11 74.69 450,000.00 97,773.75 339,927.89 110,072.11 0.00 110,072.11 24.46 62,500.00 783.45 32,899.59 29,600.41 0.00 29,600.41 47.36 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 20,000.00 282.29 2,179.45 17,820.55 0.00 17,820.55 89.10 44,000.00 2,239.33 20,109.53 23,890.47 0.00 23,890.47 54.29 4,500.00 75.00 225.00 4,275.00 0.00 4,275.00 95.00 500.00 0.00 0.00 500.00 0.00 500.00 100.00 1,800.00 89.87 637.49 1,162.51 0.00 1,162.51 64.58 90,000.00 6,507.48 48,419.50 41,580.50 0.00 41,580.50 46.20 798,300.00 112,092.32 476,035.34 322,264.66 0.00 322,264.66 40.36 40,000.00 0.00 36,136.19 3,863.81 0.00 3,863.81 9.66 40,000.00 0.00 36,136.19 3,863.81 0.00 3,863.81 9.66 1,131,900.00 134,146.98 699,591.25 432,308.75 0.00 432,308.75 38.19 GL - ExpenIs Budget ( 03/02/2009 - 2:39 PM ) 0 • Page 8 Budgeted Available Account laer Description Amount Period AAkt YTD Amount YTD Var Encumbered Amt Availabgk 20- 200100 Capital Outlay E65 Capital Improvement Program 20- 200100 -4995 Capital Outlay 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Capital Improvement Program 0.00 0.00 0.00 0.00 0.00 0.00 0.00 20- 200100 Totals: 0.00 0.00 0.00 0.00 0.00 0.00 0.00 20- 200429 Bristol Pump Station E65 Capital Improvement Program 20- 200429 -4300 Bristol St Pump - Contract Labor 0.00 0.00 10,356.59 (10,356.59) 0.00 (10,356.59) 0.00 Capital Improvement Program 0.00 0.00 10,356.59 (10,356.59) 0.00 (10,356.59) 0.00 20.200429 Totals: 0.00 0.00 10,356.59 (10,356.59) 0.00 (10,356.59) 0.00 20- 200449 Sinking Fd/Future Sewer Lines E65 Capital Improvement Program 20- 200449 -4300 Sinking Fund #149 /Swr -Contr Sv 1,895,805.00 0.00 0.00 1,895,805.00 0.00 1,895,805.00 100.00 Capital Improvement Program 1,895,805.00 0.00 0.00 1,895,805.00 0.00 1,895,805.00 100.00 20- 200449 Totals: 1,895,805.00 0.00 0.00 1,895,805.00 0.00 1,895,805.00 100.00 20- 200456 Earthquake/Major Emer Swr Rep E65 Capital Improvement Program 20- 200456 -4300 Earthquake /Emergency -Contr Sv 1,000,000.00 0.00 0.00 1,000,000.00 0.00 1,000,000.00 100.00 Capital Improvement Program 1,000,000.00 0.00 0.00 1,000,000.00 0.00 1,000,000.00 100.00 20- 200456 Totals: 1,000,000.00 0.00 0.00 1,000,000.00 0.00 1,000,000.00 100.00 20- 200459 Televising Swr Lines E65 Capital Improvement Program 20- 200459 -4300 Televising Swr#159 -Contr Svc 52,224.00 5,610.00 5,610.00 46,614.00 0.00 46,614.00 89.25 Page 9 GL - Expenses vs Budget ( 03/02/2009 - 2:39 PM) Account Number Description Budgeted Amount Period Amount YTD Amount YTD Var Encumbered Amt Available % Available Capital Improvement Program 52,224.00 5,610.00 5,610.00 46,614.00 0.00 46,614.00 89.25 20- 200459 Totals: 52,224.00 5,610.00 5,610.00 46,614.00 0.00 46,614.00 89.25 20- 200464 Misc. Swr Work/Manhole Adj. E65 Capital Improvement Program 20- 200464 -4300 Misc Swr Wk #164 -Cunt Svc 194,806.00 7,382.09 153,204.26 41,601.74 30,642.39 10,959.35 5.62 Capital Improvement Program 194,806.00 7,382.09 153,204.26 41,601.74 30,642.39 10,959.35 5.62 20- 200464 Totals: 194,806.00 7,382.09 153,204.26 41,601.74 30,642.39 10,959.35 5.62 20- 200468 Tustin Pump Stn Remodel E65 Capital Improvement Program 20- 200468 -4300 Irvine/Tustin Pump Stn #168 -Con 4,478.00 0.00 0.00 4,478.00 0.00 4,478.00 100.00 Capital Improvement Program 4,478.00 0.00 0.00 4,478.00 0.00 4,478.00 100.00 20- 200468 Totals: 4,478.00 0.00 0.00 4,478.00 0.00 4,478.00 100.00 20- 200470 Emerg Response Plan Pump Stn E65 Capital Improvement Program 20- 200470 -4300 Emerg Pump Plan -Contr Svc 24,200.00 0.00 0.00 24,200.00 0.00 24,200.00 100.00 Capital Improvement Program 24,200.00 0.00 0.00 24,200.00 0.00 24,200.00 100.00 20- 200470 Totals: 24,200.00 0.00 0.00 24,200.00 0.00 24,200.00 100.00 20- 200471 Irvine PS Free Main #171 E65 Capital Improvement Program 20- 200471 -4300 Irvine PS Free Main# 17 1 -Contr 455,640.00 0.00 167,728.20 287,911.80 0.00 287,911.80 63.18 Capital Improvement Program 455,640.00 0.00 167,728.20 287,911.80 0.00 287,911.80 63.18 Page 10 GL - Expen0 Budget ( 03/02/2009 - 2:39 PM) Aer YTD Var Available Account Description Budgeted Amount Period Alett YTD Amount Encumbered Amt Availabal 20- 200471 Totals: 0.00 287,911.80 63.18 167,728.20 0.00 287,911.80 455,640.00 20- 200473 SC Plaza Stn Force Main Replac E65 Capital Improvement Program 20- 200473 -4300 SC Plaza Pump# 173 -Contr Svc 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Capital Improvement Program 0.00 0.00 0.00 0.00 0.00 0.00 0.00 20- 200473 Totals: 0.00 0.00 0.00 0.00 0.00 0.00 0.00 20- 200575 OCSD Grant E65 Capital Improvement Program 20- 200575 -4215 OCSD Grant #175 - Eng Svc 0.00 0.00 0.00 0.00 0.00 0.00 0.00 20- 200575 -4300 OCSD Grant #175 - Cont Svc 259,708.00 5,705.00 52,737.52 206,970.48 0.00 206,970.48 79.69 Capital Improvement Program 259,708.00 5,705.00 52,737.52 206,970.48 0.00 206,970.48 79.69 20- 200575 Totals: 259,708.00 5,705.00 52,737.52 206,970.48 0.00 206,970.48 79.69 20- 200601 Westside Abandonment #101 E65 Capital Improvement Program 20- 200601 -4300 Westside Aband #101 -Copt Svc 499,941.00 0.00 0.00 499,941.00 0.00 499,941.00 100.00 Capital Improvement Program 499,941.00 0.00 0.00 499,941.00 0.00 499,941.00 100.00 20- 200601 Totals: 499,941.00 0.00 0.00 499,941.00 0.00 499,941.00 100.00 20- 200676 WDR Phase III #176 E65 Capital Improvement Program 20- 200676 -4300 WDR Ph III #176 - Contr Svc 17,404.00 0.00 0.00 17,404.00 0.00 17,404.00 100.00 Capital Improvement Program 17,404.00 0.00 0.00 17,404.00 0.00 17,404.00 100.00 GL - Expenses vs Budget ( 03/02/2009 - 2:39 PM) Page 11 Account Number Description Budgeted Amount Period Amount YTD Amount YTD Var Encumbered Amt Available % Available 20- 200676 Totals: 0.00 0.00 17,404.00 0.00 17,404.00 100.00 17,404.00 20- 200677 Capital Facility Aq #177 E65 Capital Improvement Program 20- 200677 -4300 Capital Fac Aq #177 -Contr Svc 97,737.00 0.00 1,100.13 96,636.87 0.00 96,636.87 98.87 Capital Improvement Program 97,737.00 0.00 1,100.13 96,636.87 0.00 96,636.87 98.87 20- 200677 Totals: 97,737.00 0.00 1,100.13 96,636.87 0.00 96,636.87 98.87 20- 200678 Replace Sewer Bypass # 178 E65 Capital Improvement Program 20- 2006784300 Rep Swr Bypass #178 -Contr Svc 26,723.00 0.00 0.00 26,723.00 0.00 26,723.00 100.00 Capital Improvement Program 26,723.00 0.00 0.00 26,723.00 0.00 26,723.00 100.00 20- 200678 Totals: 26.723.00 0.00 0.00 26,723.00 0.00 26,723.00 100.00 20- 200679 Building/Grounds Fund #179 E65 Capital Improvement Program 20- 200679 -4300 Bid /Grds Fund #179 -Contr Svc 3,753.00 0.00 0.00 3,753.00 0.00 3,753.00 100.00 Capital Improvement Program 3,753.00 0.00 0.00 3,753.00 0.00 3,753.00 100.00 20- 200679 Totals: 3,753.00 0.00 0.00 3,753.00 0.00 3,753.00 100.00 20- 200780 Fog #180 E65 Capital Improvement Program 20- 200780 -4300 Fog Program #180 - Contract Svc 236,096.00 9,341.50 47,492.99 188,603.01 0.00 188,603.01 79.88 Capital Improvement Program 236,096.00 9,341.50 47,492.99 188,603.01 0.00 188,603.01 79.88 20- 200780 Totals: 236,096.00 9,341.50 47,492.99 188,603.01 0.00 188,603.01 79.88 Page 12 GL - Expert Budget ( 03/02/2009 - 2:39 PM) Account Aer Description Budgeted Amount Period Aot YTD Amount YTD Var Encumbered Amt Availablo Available 20- 200781 Newp /19th Swr #181 E65 Capital Improvement Program 20- 2007814300 Newp /1 9th Swr #181Contr Svc 48,658.00 0.00 47.09 48,610.91 0.00 48,610.91 99.90 Capital Improvement Program 48,658.00 0.00 47.09 48,610.91 0.00 48,610.91 99.90 20- 200781 Totals: 48,658.00 0.00 47.09 48,610.91 0.00 48,610.91 99.90 20- 200882 Analysis of CCTV Results # 182 E65 Capital Improvement Program 20- 200882 -4300 Analysis of CCTV Results # 182 125,000.00 0.00 0.00 125,000.00 0.00 125,000.00 100.00 Capital Improvement Program 125,000.00 0.00 0.00 125,000.00 0.00 125,000.00 100.00 20- 200882 Totals: 125,000.00 0.00 0.00 125,000.00 0.00 125,000.00 100.00 20- 200883 System Wide Repair Prog #183 E65 Capital Improvement Program 20- 200883 -4300 Systm Wide Repair Program #18 700,000.00 52.57 260,162.32 439,837.68 0.00 439,837.68 62.83 Capital Improvement Program 700,000.00 52.57 260,162.32 439,837.68 0.00 439,837.68 62.83 20- 200883 Totals: 700,000.00 52.57 260,162.32 439,837.68 0.00 439,837.68 62.83 20- 200886 Sewer Lateral Program #186 E65 Capital Improvement Program 20- 200886 -4300 Sewer Lateral Program #186 186,894.00 8,371.00 88,305.53 98,588.47 0.00 98,588.47 52.75 Capital Improvement Program 186,894.00 8,371.00 88,305.53 98,588.47 0.00 98,588.47 52.75 20- 200886 Totals: 186,894.00 8,371.00 88,305.53 98,588.47 0.00 98,588.47 52.75 20 Totals: 8,695,767.00 317,652.18 2,392,143.35 6,303,623.65 30,642.39 6,272,981.26 72.13 GL - Expenses vs Budget ( 03/02/2009 - 2:39 PM) Page 13 Account Number Description Budgeted Amount Period Amount YTD Amount YTD Var Encumbered Amt Available % Available 21 Sewer Construction Fund 21- 200000 Liquid Administration E55 Non Operating - Other 21- 200000 -4995 Residual Fund Transfer 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Non Operating - Other 0.00 0.00 0.00 0.00 0.00 0.00 0.00 21- 200000 Totals: 0.00 0.00 0.00 0.00 0.00 0.00 0.00 21 Totals: 0.00 0.00 0.00 0.00 0.00 0.00 0.00 30 Facilities Revolving Fund 30- 200887 District Yard E65 Capital Improvement Program 30- 200887 -4300 District Yard 96,906.00 1,264.62 72,635.34 24,270.66 0.00 24,270.66 25.04 Capital Improvement Program 96,906.00 1,264.62 72,635.34 24,270.66 0.00 24,270.66 25.04 30- 200887 Totals: 96,906.00 1,264.62 72,635.34 24,270.66 0.00 24,270.66 25.04 30 Totals: 96,906.00 1,264.62 72,635.34 24,270.66 0.00 24,270.66 25.04 Report Totals: 14,172,333.00 734,624.12 5,537,842.94 8,634,490.06 30,642.39 8,603,847.67 60.70 GL - Expenso Budget ( 03/02/2009 - 2:39 PM) Page 14 Genera L Ge e a edge r Revenue Analysis COSTA 9YESA S ITART 1OISTRICT an Independent Specia6 oistrict User: tgonzalez Printed: 03/02/2009 - 2:39 P Period 8, 2009 Account Number Description Budgeted Revenue Period Revenue YTD Revenue Uncollected Balance Percent Received 10 Solid Waste Fund 10- 000000 -3000 Charges for Services 5,000.00 89.03 876.39 4,123.61 17.53 10- 000000 -3001 Secured Property Tax 0.00 0.00 105,850.10 (105,850.10) 0.00 10- 000000 -3002 Unsecured Property Tax 0.00 0.00 7,282.39 (7,282.39) 0.00 10- 000000 -3003 Supplemental Property Tax 0.00 235.01 2,404.12 (2,404.12) 0.00 10- 000000 -3004 Homeowner Taxes 0.00 0.00 0.00 0.00 0.00 10- 000000 -3005 Misc- Delq/Penalty/PY Tx 0.00 325.04 7,901.09 (7,901.09) 0.00 10- 000000 -3006 Public Utility 0.00 0.00 0.00 0.00 0.00 10- 000000 -3007 Customer Refunds 0.00 0.00 0.00 0.00 0.00 10- 000000 -3100 Licenses & Permits 0.00 0.00 0.00 0.00 0.00 10- 000000 -3300 Investment Earnings 60,000.00 (1,746.09) 37,486.48 22,513.52 62.48 10- 000000 -3310 Fair Market Value Adjustment 0.00 0.00 232.94 (232.94) 0.00 10- 000000 -3400 From Other Agencies 0.00 0.00 0.00 0.00 0.00 10- 000000 -3405 Grants 0.00 1,328.60 9,409.67 (9,409.67) 0.00 10- 000000 -3510 Additional Container Charge 150,000.00 40,614.33 40,614.33 109,385.67 27.08 10- 000000 -3525 Other Charges for Services 0.00 0.00 0.00 0.00 0.00 10- 000000 -3600 Annual Charge 5,140,100.00 1,463.96 2,856,856.77 2,283,243.23 55.58 10- 000000 -3700 Contributions 25,000.00 0.00 28,374.60 (3,374.60) 113.50 10- 000000 -3725 Other Reimbursements 0.00 120.00 2,060.00 (2,060.00) 0.00 10 Totals: 5,380,100.00 42,429.88 3,099,348.88 2,280,751.12 57.61 20 Liquid Waste Fund 20- 000000 -3000 Charges For Services 10,000.00 0.00 16,712.06 (6,712.06) 167.12 20- 000000 -3007 Customer Refund 0.00 0.00 0.00 0.00 0.00 20- 000000 -3100 Sewer Permits 5,000.00 550.00 4,785.00 215.00 95.70 20- 000000 -3300 Investment Earnings 147,000.00 0.00 68,620.52 78,379.48 46.68 20- 000000 -3310 Fair Market Adjustment 0.00 0.00 396.79 (396.79) 0.00 20- 000000 -3400 From Other Agencies 0.00 0.00 0.00 0.00 0.00 20- 000000 -3500 Permits /Inspection Fees 25,000.00 320.00 3,840.00 21,160.00 15.36 20- 000000 -3505 OCSD Fees -CMSD Share 0.00 85.95 3,009.78 (3,009.78) 0.00 20- 000000 -3515 Sale of Maps & Publications 0.00 0.00 0.00 0.00 0.00 20- 000000 -3525 Other Charges for Services 0.00 0.00 0.00 0.00 0.00 GL - Revenue Analysis ( 03/02/2009 - 2:39 PM ) Page I Account Number Description 20- 000000 -3600 20- 000000 -3700 20- 000000 -3725 21 21- 000000 -3300 21- 000000 -3310 30 30- 000000 -3210 30- 000000 -3220 30- 000000 -3300 30- 000000 -3310 30- 000000 -3340 30- 000000 -3525 Annual Charge Contributions Other Reimbursements 20 Totals: Sewer Construction Fund Investment Earnings Fair Market Value Adj 21 Totals: Facilities Revolving Fund Fixture Fees Sewer Connection Fees Investment Earnings Fair Market Value Adjustment Rental Revenue Other Charges for Services 30 Totals Report Totals: Budgeted Revenue Period Revenue YTD Revenue Uncollected Balance Percent Received 4,570,500.00 0.00 0.00 4,757,500.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 10,137,600.00 378.05 2,588,891.99 0.00 0.00 0.00 154,369.00 1,334.00 2,840,625.14 0.00 0.00 0.00 0.00 0.00 0.00 1,072.50 11,062.52 0.00 0.00 0.00 31,217.27 0.00 155.73 1,140.00 1,880.00 0.00 0.00 1,981,608.01 0.00 (154,369.00) 1,916,874.86 0.00 0.00 0.00 (11,062.52) 0.00 (31 ,217.27) (155.73) (1,880.00) 0.00 2,212.50 44,315.52 (44,315.52) 45,976.38 5,984,289.54 4,153,310.46 56.64 0.00 0.00 59.71 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 59.03 GL - Revefnalysis ( 03/02/2009 - 2:39 PM ) 0 0 Page 2 COSTA 9VESA SA9qUART(DISTRICT Memorandum To: Board of Directors ... an Independent SpeciafDistrict From: Marc Davis, Treasurer /Director of Finance -c Date: March 5, 2009 Subject: Treasurer's Report for the Month of February 2009 Attached is the Treasurer's Report for the month of February 2009. As required by the District's Statement of Investment Policy, the Treasurer's report delineates all investment activity during the month. This report lists the types of securities held in the District's portfolio, the institutions from which the securities were purchased, maturity dates and interest rates as of February 28, 2009.. The District's investments are in compliance with the Statement of Investment Policy adopted by the Board at the June 23, 2008 regular meeting, as well as the California Government Code. The market values in this report were provided by our third party custodian, Bank of New York, except for the Local Agency Investment Fund (LAIF). The market value of LAIF was provided by the State Treasurer's Office. It does not represent the value of the underlying securities within the pool, but rather the par or cost amount, which is the amount the District is entitled to withdraw. This reporting practice is consistent with industry standard practices for similar funds. The weighted average stated rate of return (current yield) for the District's investment portfolio as of February 28, 2009, was 2.438 %. The yield to maturity of the portfolio was 2.436 %. The District's weighted average interest rate was 57 basis points (0.569 %) above the daily effective yield of LAIF, which was 1.869% as of February 28, 2009. The weighted average number of days to maturity for the District's total portfolio was 585 days (1.60 years). The average duration of the underlying securities in LAIF as of February 28, 2009, which is the most current information available, was 205 days. Protecting our community's health 6y providing solid waste and sewer collection services. crosdca.gov 1 Compliance Reporting The District's investment portfolio is in compliance with its liquidity limitations, which requires that a minimum of 20% of the portfolio must mature within one year. The percentage of the portfolio maturing in less than one year as of February 28, 2009 was 54.71 %. As of February 28, 2009, the District has adequate operating reserves necessary to meet its obligations for the next six months. • • 2 COSTA MESA SANITARY DISTRICT Treasurer's Report of Pooled Cash and Investments as of February 28, 2009 Active Accounts Bank Balance Bank of America $ 94,720.62 Reconciling Items - Total Active Accounts 94,720.62 Investments Market Value Local Agency Investment Fund $ 5,966,887.37 Money Market/Sweep Account 87,581.85 Federal Agency Securities 5,011,250.00 Total Investments 11,065,719.22 Total Pooled Cash & Investments $ 11,160,439.84 CMSD Solid Waste Activities CMSD Liquid Waste Activities Total Pooled Cash & Investments • Deposits Outstanding In Transits Checks 286, 740.96 Book Balance $ (192,020.34) 286,740.96 (192,020.34) Market Adiustment Increase Decrease 11,250.00 11,250.00 - $ 297,990.96 Costa Mesa Sanitary District Pooled Cash and Investments by Fund as of February 28, 2009 Marcus D. Davis Treasurer /Director of Finance 47 .1 /; /, 5 Date Cost $ 5,966,887.37 87,581.85 5,000,000.00 11,054,469.22 $ 10,862,448.88 $ 3,263,003.47 7,599,445.41 $ 10,862,448.88 COSTA MESA SANITARY DISTRICT Investment Activity Summary as of February 28, 2009 Total investments outstanding as of January 31, 2009 $ 11,474,452.65 Additions: Gain on Sale of Investment: Investment Purchases: 2,000,000.00 Deductions: Investment Maturity /Sale Proceeds: - Loss on Sale of Investment: - Investments Called: - Net increase (decrease) in Sweep Account (1,999,983.43) Net increase (decrease) in LAIF (420,000.00) . Total investments outstanding as of February 28, 2009 $ 11,054,469.22 • 4 COSTA MESAONITARY DISTRICT Investment and Investment Earnings as of February 28, 2009 "Represents the LAIF daily rate at 2/28/09 5 7 Comments Interest CUSIP Purchase Maturity Coupon Investment Earned at Number Investment Date Date Rate Cost 02/28/09 n/a Local Agency Investment Fund n/a n/a 1.869% $ 5,966,887.37 n/a ** n/a Bank of New York -Sweep Acct n/a n/a 0.010% 87,581.85 n/a 3133XRGF1 Federal Home Loan Bank 06/16/08 09/16/10 3.320% 1,000,000.00 6,916.66 3133XRGZ7 Federal Home Loan Bank 06/24/08 06/24/11 3.550% 1,000,000.00 6,606.94 31331GKJ7 Federal Farm Credit Bank 01/21/09 01/21/14 3.000% 1,000,000.00 3,333.33 3133XSWG9 Federal Home Loan Bank 02/05109 02/05/14 2.875% 1,000,000.00 2,076.38 3133XT2W5 Federal Home Loan Bank 02/26/09 02/26/13 3.050% 1,000,000.00 423.61 $ 11,054,469.22 $ 19,356.92 "Represents the LAIF daily rate at 2/28/09 5 7 Comments COSTA MESA SANITARY DISTRICT Summary of Policy Limitations as of February 28, 2009 Description U.S. Treasury Bills U.S. Treasury Notes Federal Agency Issues: FICB FLB FHLB FHLMC FNMA FFCB Other Banker's Acceptances Certificates of Deposit Negotiable Certificates of Deposits Commercial Paper Medium Term Corporate Notes LAIF (Local Agency Investment Fund) Money Market/Mutual Funds (Sweep Acct) Total • of portfolio maturing under one year • of portfolio maturing over one year Current % of Market Value 02/28/09 Maximum % 0.00% UNLIMITED 0.00% UNLIMITED 0.00% UNLIMITED 0.00% UNLIMITED 36.34% UNLIMITED 0.00% UNLIMITED 0.00% UNLIMITED 8.95% 0.00% UNLIMITED 0.00% 25%(1) 0.00% 25% 0.00% 25%(1) 0.00% 25%(1) 0.00% 25%(1) 53.92% 40,000,000.00 0.79% 10% per fund (2) 100.00% 54.71% no less than 20% 45.29% 100.00% (1) Further limited to 10% in any single issuer (2) Also limited to 20% in total. *These securities are not considered for purchases: SBA, GNMA, TVA and SALLIEMAE 0 • • "Represents the LAIF daily rate at 2/28109 7 7 Comments POOL SWEEP FFCB FHLB FHLB FHLB FHLB COSTA MESA SANITARY DISTRICT Schedule of Investments by Instrument Type as of February 28, 2009 Purchase Maturity Coupon Investment % of Market % of Description Broker /Dealer Date Date Rate Cost Portfolio Value Portfolio State Treasurer's Pool LAIF n/a Continuous 1.869% $ 5,966,887.37 $ 5,966,887.37 5,966,887.37 53.98% 5,966,887.37 53.92% Money Market Mutual Fund Bank of New York n/a Continuous 0.010% 87,581.85 87,581.85 87,581.85 0.79% 87,581.85 0.79% Federal Farm Credit Bank Union Banc 01/21/09 01/21/14 3.000% 1,000,000.00 990,312.50 1,000,000.00 9.05% 990,312.50 8.95% Federal Home Loan Notes & Bonds Morgan Stanley 06/24/08 06124/11 3.550% 1,000,000.00 1,027,187.50 Federal Home Loan Notes & Bonds Union Banc 06/16/08 09/16/10 3.320% 1,000,000.00 11006,250.00 Federal Home Loan Notes & Bonds Union Banc 02/05109 02/05/14 2.875% 1,000,000.00 986,250.00 Federal Home Loan Notes & Bonds Union Banc 02/26/09 02/26/13 3.050% 1,000,000.00 1,001,250.00 4,000,000.00 36.18% 4,020,937.50 36.34% Total Investments 100.00% $ 11,054,469.22 100.00% $ 11,065,719.22 "Represents the LAIF daily rate at 2/28109 7 7 Comments POOL SWEEP FFCB FHLB FHLB FHLB FHLB Broker /Dealer Local Agency Investment Fund Bank of New York Union Banc Morgan Stanley Union Banc Union Banc Union Banc Total Investment Portfolio Total Portfolio Weighted Avg Interest Rate Weighted Avg Yield to Maturity Weighted Avg Days to Maturity COSTA MESA SANITARY DISTRICT Investment Portfolio as of February 28, 2009 Investment Purchase Maturity Days to Coupon Yield to Investment Type Date Date Maturity Rate Maturity Cost Pool 1 1.869% '* 1.869% $ 5,966,887.37 Sweep 1 0.010% 0.010% 87,581.85 FHLB 06/16/08 09/16/10 565 3.320% 3.320% 1,000,000.00 FHLB 06/24/08 06/24/11 846 3.550% 3.550% 1,000,000.00 FFCB 01/21/09 01/21/14 1,788 3.000% 2.978% 1,000,000.00 FHLB 02/05/09 02/05/14 1,803 2.875% 2.875% 1,000,000.00 FHLB 02/26/09 02/26/13 1,459 3.050% 3.050% 1,000,000.00 ' *Represents the LAIF daily rate at 2/28/09 2.438% 2.436% 585 Days 1.60 Years $ 11,054,469.22 0 0 8 0 9 9 COSTA MESA SANITARY DISTRICT For all Maturities with Market Values as of February 28, 2009 Purchase Maturity Intuition Investment Accrued Coupon Investment Date Date Broker /Dealer Type Par Rate Cost n/a Continuous LAIF POOL $ 5,966,887.37 1.869% *' 5,966,887.37 n/a Continuous Bank of New York SWEEP 87,581.85 0.010% 87,581.85 01/21/09 01/21/14 Union Banc FFCB 1,000,000.00 3.000% 1,000,000.00 06/16/08 09/16/10 Union Banc FHLB 1,000,000.00 3.320% 1,000,000.00 06/24/08 06/24/11 Morgan Stanley FHLB 1,000,000.00 3.550% 1,000,000.00 02/05/09 02/05/14 Union Banc FHLB 1,000,000.00 2.875% 1,000,000.00 02/26/09 02/26/13 Union Banc FHLB 1,000,000.00 3.050% 1,000,000.00 Total Investments $ 11,054,469.22 11,054,469.22 "Represents the LAIF daily rate at 2/28/09 0 9, * Net Market Accrued Gain /(Loss) Value Interest If Sold 5,966,887.37 - - 87,581.85 - - 990,312.50 3,333.33 (9,687.50) 1,006,250.00 6,916.66 6,250.00 1,027,187.50 6,606.94 27,187.50 986,250.00 2,076.38 (13,750.00) 1,001,250.00 423.61 1,250.00 11,065, 719.22 19,356.92 11,250.00 COSTA MESA SANITARY DISTRICT Call Schedule as of February 28, 2009 Type of Purchase Maturity Coupon Investment Date Date Rate Par Value FFCB 01/21/09 01/21/14 3.000% 1,000,000.00 FHLB 06/16/08 09/16/10 3.320% 1,000,000.00 FHLB 06/24/08 06/24/11 3.550% 1,000,000.00 FHLB 02/05/09 02/05/14 2.875% 1,000,000.00 FHLB 02/26/09 02/26/13 3.050% 1.000.000.00 $ 5,000,000.00 Investment Cost Call Features 1,000,000.00 Callable 4/21/09 and anytime after w/7 days notice. 1,000,000.00 Callable 6/16/09 w/ 5 days notice. 1,000,000.00 Callable 6/24/10 w/ 5 days notice. 1,000,000.00 Callable 2/5/10 and anytime after w/5 days notice. 1,000,000.00 Callable 2/26/10 and anytime after w/5 days notice. 5,000,000.00 0 0 11 COSTA MESA SANITARY DISTRICT - MATURITIES DISTRIBUTION as of February 28, 2009 70% .. ----- - - - - -- --------------------------- - ---------------------------------------------- - - - - -- Cost 60% " In Thousands 7% - - -- 50% " - - -- ------------------------------------- - - - - -- 1 - 180 Days $ 6,054 - - -- --------------------------- - - - - -- ------------------- - - - - -- -- - - - - -- 181 - 365 Days - 40% 1 - 2 Years 1,000 ' ---------------- - ------- - - - - -30% 2 - 3 Years 1,000 18.09% 20% '' ------------------------------------------------ 3 - 4 Years 1,000 9.05% 9.05% 9.05% ------------ - - - - -- --------------------------------------- --- 4 - 5 Years - 10% "" 0.00% TOTAL $ 9,054 0% 1 -180 181 -365 1 -2 2 -3 3 -4 4 -5 Days Days Years Years Years Years 11 4.50% 4.00% 3.50% 3.00% 2.50% 2.00% 1.50% 1.00% 0.50% 0.00% Costa Mesa Sanitary District Yield Curve Data as of February 28, 2009 o� o� o�' o� o� o� o' o� o� o� o� o� o� o� o0 0� o� o� o% 0°' yo yo yo �o �o yo yo �o yo �yo �o yo yo �yo do yo �o do yo ,yo yo �o yo yo �yo do yo tio 12 •• .. —3 month T -Bill — 6 month T -Bill 2 year T -Note 3 year T -Note 5 year T -Note CMSD- monthly —LAIF- monthly OC Pool- monthly • • • COSTA MESA SANITARY DISTRICT Warrant Resolution No. CMSD 2009 -09 A RESOLUTION OF THE COSTA MESA SANITARY DISTRICT RATIFYING THE PAYMENT OF CERTAIN CLAIMS AND DEMANDS, AND SPECIFYING THE FUNDS OUT OF WHICH THE SAME WERE PAID. THE BOARD OF DIRECTORS OF THE COSTA MESA SANITARY DISTRICT DOES HEREBY ORDER AND RESOLVE AS FOLLOWS: Section 1. That the attached claims and demands totaling $685,180.19 have been audited as required by law and that the same were paid out of respective funds as hereinafter set forth. Section 2. That the Clerk of the District shall certify to the adoption of this Resolution and shall retain a certified copy thereof in her own records. PASSED AND ADOPTED this 20th day of March 2009. ATTEST: Secretary STATE OF CALIFORNIA ) COUNTY OF ORANGE ) ss COSTA MESA SANITARY DISTRICT ) President I, JOAN REVAK, Clerk of the Costa Mesa Sanitary District, hereby certify that the foregoing Warrant Resolution No. CMSD 2009 -09 was duly adopted by the Costa Mesa Sanitary District at a regular meeting held on the 20th day of March 2009. IN WITNESS WHEREOF, I have hereunto set my hand and affixed the Seal of the Costa Mesa Sanitary District on this 20th day of March 2009. Clerk of the Costa Mesa Sanitary District Accounts Payable Checks for Approval User: tgonzalez Printed: 03/02/2009 - 9:58 AM COSZ4 5WEsA SjWI 4RT(DISTRlCT --- an Independent Specui[ district Check Number Check Date Fund Name Account Name Vendor Name Amount 0 02/04/2009 Liquid Waste Fund Federal Withholding Taxes Federal Taxes 185.90 0 02/04/2009 Liquid Waste Fund FICA - Employee Federal Taxes 287.75 0 02/04/2009 Liquid Waste Fund FICA - Employee Federal Taxes 287.75 0 02/04/2009 Liquid Waste Fund Medicare - Employee Federal Taxes 67.30 0 02/04/2009 Liquid Waste Fund Medicare - Employee Federal Taxes 67.30 Check Total: 896.00 0 02/01/2009 Liquid Waste Fund Life/AD &D Insurance co 330.00 0 02/01/2009 Liquid Waste Fund Long -Term Disability co 236.60 0 02/01/2009 Solid Waste Fund Benefits Admin Costs co 0.50 0 02/01/2009 Liquid Waste Fund Benefits Admin Costs co 4.50 Check Total: 571.60 0 02/06/2009 Liquid Waste Fund PERS Medical Cal PERS 6,089.50 0 02/06/2009 Solid Waste Fund Benefits Admin Costs Cal PERS 2.74 0 02/06/2009 Liquid Waste Fund Benefits Admin Costs Cal PERS 24.66 Check Total: 6,116.90 0 02/11/2009 Liquid Waste Fund Federal Withholding Taxes Federal Taxes 4,292.02 0 02/11/2009 Liquid Waste Fund Medicare - Employee Federal Taxes 473.85 0 02/11/2009 Liquid Waste Fund Medicare- Employee Federal Taxes 357.55 0 02/11/2009 Liquid Waste Fund Medicare - Employee Federal Taxes 116.30 Check Total: 5,239.72 0 02/11/2009 Liquid Waste Fund State Withholding Taxes State of Cal Emp Dev Dept 1,210.77 Check Total: 1,210.77 AP - (if- for Approval ( 03/02/2009 - 9:58 AM ) 0 0Page 1 Check Ober Check Date Fund Name Account Name! Vendor Name • Amount 0 02/11/2009 Liquid Waste Fund PERS Retirement Cal Pers Employee Ret System 107.15 0 02/11/2009 Liquid Waste Fund PERS Retirement Cal Pers Employee Ret System 32.89 0 02/11/2009 Liquid Waste Fund PERS Retirement Cal Pers Employee Ret System 207.20 0 02/11/2009 Liquid Waste Fund PERS Retirement Cal Pers Employee Ret System 63.60 0 02/11/2009 Liquid Waste Fund PERS Retirement Cal Pers Employee Ret System 1,530.54 0 02/11/2009 Liquid Waste Fund PERS Retirement Cal Pers Employee Ret System 2,960.05 0 02/11/2009 Liquid Waste Fund PERS Survivor Benefit Cal Pers Employee Ret System 11.16 0 02/11/2009 Liquid Waste Fund PERS Retirement Cal Pers Employee Ret System 469.82 0 02/11/2009 Liquid Waste Fund PERS Retirement Cal Pers Employee Ret System 908.62 0 02/11/2009 Liquid Waste Fund PERS - Employer Cal Pers Employee Ret System 0.02 Liquid Waste Fund PERS Retirement Cal Pers Employee Ret System Check Total: 6,291.05 0 02/15/2009 Solid Waste Fund investment Earnings Bank of America 262.66 Check Total: 262.66 0 02/25/2009 Liquid Waste Fund Federal Withholding Taxes Federal Taxes 4,545.43 0 02/25/2009 Liquid Waste Fund Medicare - Employee Federal Taxes 485.79 0 02/25/2009 Liquid Waste Fund Medicare - Employee Federal Taxes 356.71 0 02/25/2009 Liquid Waste Fund Medicare - Employee Federal Taxes 129.08 Check Total: 5,517.01 02/25/2009 Liquid Waste Fund State Withholding Taxes State of Cal Emp Dev Dept 1,249.41 Check Total: 1,249.41 0 02/25/2009 Liquid Waste Fund PERS Retirement Cal Pers Employee Ret System 108.72 0 02/25/2009 Liquid Waste Fund PERS Retirement Cal Pers Employee Ret System 36.33 0 02/25/2009 Liquid Waste Fund PERS Retirement Cal Pers Employee Ret System 210.23 0 02/25/2009 Liquid Waste Fund PERS Retirement Cal Pers Employee Ret System 70.25 0 02/25/2009 Liquid Waste Fund PERS Retirement Cal Pers Employee Ret System 1,552.95 0 02/25/2009 Liquid Waste Fund PERS Retirement Cal Pers Employee Ret System 3,003.37 0 02/25/2009 Liquid Waste Fund PERS Survivor Benefit Cal Pers Employee Ret System 11.16 0 02/25/2009 Liquid Waste Fund PERS Retirement Cal Pers Employee Ret System 518.92 0 02/25/2009 Liquid Waste Fund PERS Retirement Cal Pers Employee Ret System 1,003.58 0 02/25/2009 Liquid Waste Fund PERS - Employer Cal Pers Employee Ret System 0.03 Check Total: 6,515.54 6047 02/12/2009 Solid Waste Fund Building Maintenance 949 Storage 16.00 6047 02/12/2009 Liquid Waste Fund Building Maintenance 949 Storage 144.00 AP - Checks for Approval ( 03/02/2009 - 9:58 AM ) Page 2 Check Number Check Date Fund Name Account Name Vendor Name Amount 6048 02/12/2009 Solid Waste Fund 6049 02/12/2009 Liquid Waste Fund 6050 02/12/2009 Solid Waste Fund 6050 02/12/2009 Liquid Waste Fund 6051 02/12/2009 Solid Waste Fund 6052 02/12/2009 Solid Waste Fund 6052 02/12/2009 Liquid Waste Fund 6052 02/12/2009 Liquid Waste Fund 6052 02/12/2009 Solid Waste Fund 6052 02/12/2009 Solid Waste Fund 6052 02/12/2009 Liquid Waste Fund 6052 02/12/2009 Liquid Waste Fund 6053 02/12/2009 Solid Waste Fund 6053 02/12/2009 Liquid Waste Fund 6054 02/12/2009 Solid Waste Fund Legal Services Legal Services Legal Services Legal Services Legal Services Legal Services Legal Services Alan R. Burns Alan R. Burns Alan R. Burns Alan R. Burns Alan R. Burns Alan R. Burns Alan R. Burns Check Total: Check Total: Prof Membership /Dues California Association of Purchasing Off Prof Membership /Dues California Association of Purchasing Off Check Total: Other Reimbursements Bill Carlson 1,500.00 457.93 4,121.37 1,810.00 579.20 269.69 2,427.21 579.20 10,244.60 13.00 117.00 130.00 20.00 Check Total: 20.00 6055 02/12/2009 Liquid Waste Fund Sewer Lateral Program #186 Carrol Kennedy 1,800.00 Check Total: 1,800.00 AP - Chor Approval ( 03/02/2009 - 9:58 AM) age 3 Check Total: 160.00 Telephone Bk Recycling Program Adams School 300.00 Check Total: 300.00 Employee Insurance AFLAC 922.22 Check Total: 922.22 Building Maintenance Bay Alarm 18.10 Building Maintenance Bay Alarm 162.92 Check Total: 181.02 Investment Earnings Bank of New York 1,500.00 Legal Services Legal Services Legal Services Legal Services Legal Services Legal Services Legal Services Alan R. Burns Alan R. Burns Alan R. Burns Alan R. Burns Alan R. Burns Alan R. Burns Alan R. Burns Check Total: Check Total: Prof Membership /Dues California Association of Purchasing Off Prof Membership /Dues California Association of Purchasing Off Check Total: Other Reimbursements Bill Carlson 1,500.00 457.93 4,121.37 1,810.00 579.20 269.69 2,427.21 579.20 10,244.60 13.00 117.00 130.00 20.00 Check Total: 20.00 6055 02/12/2009 Liquid Waste Fund Sewer Lateral Program #186 Carrol Kennedy 1,800.00 Check Total: 1,800.00 AP - Chor Approval ( 03/02/2009 - 9:58 AM) age 3 Check *ber Check Date . Fund Name Account Name Vendor Name ' l s Amount 6056 02/12/2009 Solid Waste Fund Fiscal Services CBIZ ATA Orange County LLC 1,971.20 6056 02/12/2009 Liquid Waste Fund Fiscal Services CBIZ ATA Orange County LLC 3,660.80 Check Total: 51632.00 6057 02/12/2009 Solid Waste Fund Prof Membership /Dues Costa Mesa Chamber of Commerce 220.00 6057 02/12/2009 Liquid Waste Fund Prof Membership /Dues Costa Mesa Chamber of Commerce 220.00 Check Total: 440.00 6058 02/12/2009 Solid Waste Fund Recycling /Disposal CR Transfer, Inc. 162,052.24 6058 02/12/2009 Solid Waste Fund Recycling/Disposal CR Transfer, Inc. 8,147.37 Check Total: 170,199.61 6059 02/12/2009 Solid Waste Fund Prof Membership /Dues Cal Soc of Muni Finance Office 11.00 6059 02/12/2009 Liquid Waste Fund Prof Membership /Dues Cal Soc of Muni Finance Office 99.00 Check Total: 1 10.00 6060 02/12/2009 Solid Waste Fund Telephone Bk Recycling Program Davis School 600.00 Check Total: 600.00 6061 02/12/2009 Solid Waste Fund Telephone Bk Recycling Program Davis School 300.00 Check Total: 300.00 6062 02/12/2009 Solid Waste Fund Fiscal Services Diehl, Evans & Company LLP 287.00 6062 02/12/2009 Liquid Waste Fund Fiscal Services Diehl, Evans & Company LLP 533.00 Check Total: 820.00 6063 02/12/2009 Liquid Waste Fund Fog Program #180 - Contract Svc Environmental Engr & Cont, Inc 9,341.50 Check Total: 9,341.50 6064 02/12/2009 Solid Waste Fund Telephone Bk Recycling Program Estancia High School 700.00 Check Total: 700.00 6065 02/12/2009 Solid Waste Fund Travel/Meals /Lodging Jim Ferryman 0.83 6065 02/12/2009 Liquid Waste Fund Travel/Meals/Lodging Jim Ferryman 7.42 AP - Checks for Approval ( 03/02/2009 - 9:58 AM) Page 4 Check Number Check Date Fund Name Account Name Vendor Name Amount 6066 02/12/2009 Solid Waste Fund 6066 02/12/2009 Liquid Waste Fund 6067 02/12/2009 Liquid Waste Fund 6067 02/12/2009 Liquid Waste Fund 6067 02/12/2009 Liquid Waste Fund 6067 02/12/2009 Liquid Waste Fund 6067 02/12/2009 Liquid Waste Fund 6067 02/12/2009 Liquid Waste Fund 6067 02/12/2009 Solid Waste Fund 6067 02/12/2009 Liquid Waste Fund 6068 02/12/2009 Solid Waste Fund Gas - Building Gas - Building Engineering/Architectual Sery Plan Ck/Inspection- Inside Plan Ck/Inspection- Outside Plan Ck/Inspection- Inside Plan Ck/Inspection- Outside OCSD Grant #175 - Cont Svc District Manager District Manager The Gas Company The Gas Company Robin B. Hamers & Assoc., Inc. Robin B. Hamers & Assoc., Inc. Robin B. Hamers & Assoc., Inc. Robin B. Hamers & Assoc., Inc. Robin B. Hamers & Assoc., Inc. Robin B. Hamers & Assoc., Inc. Robin B. Hamers & Assoc., Inc. Robin B. Hamers & Assoc., Inc. Telephone Bk Recycling Program Harper Preschool Center Check Total: Check Total Check Total 8.25 8.47 76.24 84.71 1,400.00 9,435.00 212.50 9,630.00 150.00 5,705.00 2,159.06 4,009.69 32,701.25 800.00 Check Total: 800.00 6069 02/12/2009 Solid Waste Fund Office Supplies Home Depot Credit Services 11.82 6069 02/12/2009 Liquid Waste Fund Sewer Maint- Material /Supplies Home Depot Credit Services 193.84 Check Total: 205.66 6070 02/12/2009 Solid Waste Fund Benefits Admin Costs Horizon Health EAP 1.40 6070 02/12/2009 Liquid Waste Fund Benefits Admin Costs Horizon Health EAP 12.60 Check Total: 14.00 6071 02/12/2009 Liquid Waste Fund Sewer Maint -Pump Stn Contract Jimni Systems, Inc 4,077.15 Check Total: 4,077.15 6072 02/12/2009 Liquid Waste Fund Sewer Lateral Program #186 Joan Thomas 1,800.00 Check Total: 1,800.00 6073 02/12/2009 Liquid Waste Fund Sewer Lateral Program #186 John Francis 1,171.00 AP - ChjWr Approval ( 03/02/2009 - 9:58 AM) age 5 Check Aker Check Date Fund Name Account Name Vendor Name r r Amount Check Total: 1,171.00 6074 02/12/2009 Solid Waste Fund Telephone Bk Recycling Program Kaiser Elementary School 300.00 Check Total: 300.00 6075 02/12/2009 Solid Waste Fund Telephone Bk Recycling Program Kline School 1,500.00 Check Total: 1,500.00 6076 02/12/2009 Solid Waste Fund Building Maintenance Lloyd Pest Control 7.00 6076 02/12/2009 Liquid Waste Fund Building Maintenance Lloyd Pest Control 63.00 Check Total: 70.00 6077 02/12/2009 Liquid Waste Fund Misc Swr Wk#164 -Cont Svc Manhole Adjusting Inc. 1,950.00 Check Total: 1,950.00 6078 02/12/2009 Solid Waste Fund Telephone Bk Recycling Program Mariners Christian School 300.00 Check Total: 300.00 6079 02/12/2009 Liquid Waste Fund Sewer Maint- Water Pumps Mesa Consolidated Water Dist 15.00 6079 02/12/2009 Liquid Waste Fund Sewer Maint- Water Pumps Mesa Consolidated Water Dist 17.50 6079 02/12/2009 Liquid Waste Fund Sewer Maint- Water Pumps Mesa Consolidated Water Dist 17.50 6079 02/12/2009 Liquid Waste Fund Sewer Maint- Water Pumps Mesa Consolidated Water Dist 15.00 Check Total: 65.00 6080 02/12/2009 Liquid Waste Fund Sewer Maint -Staff Development Municipal Equiqment Maintenanc 75.00 Check Total: 75.00 6081 02/12/2009 Liquid Waste Fund Sewer Maint -Sewer Line Maint National Plant Services, Inc. 660.00 6081 02/12/2009 Liquid Waste Fund Sewer Maint -Sewer Line Maint National Plant Services, Inc. 52,203.75 Check Total: 52,863.75 6082 02/12/2009 Solid Waste Fund Building Maintenance Nikki Flags 6.01 6082 02/12/2009 Liquid Waste Fund Building Maintenance Nikki Flags 54.11 AP - Checks for Approval ( 03/02/2009 - 9:58 AM.) Page 6 Check Number Check Date Fund Name 6083 02/12/2009 Solid Waste Fund 6083 02/12/2009 Liquid Waste Fund 6084 02/12/2009 Liquid Waste Fund 6085 02/12/2009 Solid Waste Fund 6085 02/12/2009 Liquid Waste Fund 6085 02/12/2009 Solid Waste Fund 6085 02/12/2009 Liquid Waste Fund 6085 02/12/2009 Solid Waste Fund 6085 02/12/2009 Liquid Waste Fund 6085 02/12/2009 Solid Waste Fund 6085 02/12/2009 Liquid Waste Fund 6085 02/12/2009 Solid Waste Fund 6085 02/12/2009 Liquid Waste Fund 6086 02/12/2009 Solid Waste Fund 6086 02/12/2009 Liquid Waste Fund 6087 02/12/2009 Solid Waste Fund 6088 02/12/2009 Solid Waste Fund 6088 02/12/2009 Liquid Waste Fund 6089 02/12/2009 Solid Waste Fund Account Name Vendor Name Amount Check Total: Election Costs County of Orange Auditor -Cont Election Costs County of Orange Auditor -Cont Check Total: Due to OCSD Orange County Sanitation Distr Check Total: Office Supplies Office Depot Office Supplies Office Depot Office Supplies Office Depot Office Supplies Office Depot Office Supplies Office Depot Office Supplies Office Depot Office Supplies Office Depot Office Supplies Office Depot Office Supplies Office Depot Office Supplies Office Depot Travel /Meals /Lodging Bob Ooten Travel /Meals /Lodging Bob Ooten Telephone Bk Recycling Program Paularino School Building Maintenance Pacific Building Care, Inc. Building Maintenance Pacific Building Care, Inc. Telephone Bk Recycling Program Port Mesa Christian School Check Total: 60.12 20,399.94 37,885.60 58,285.54 885.40 885.40 5.81 52.33 5.81 52.33 5.13 46.20 5.70 51.28 5.86 52.73 283.18 17.91 161.15 Check Total: 179.06 300.00 Check Total: 300.00 45.38 408.37 Check Total: 453.75 300.00 Check Total: 300.00 AP - Chjor Approval ( 03/02/2009 - 9:58 AM Page 7 Check Ober Check Date Fund Name Account Name* Vendor Name � Amount 6090 02/12/2009 Solid Waste Fund Telephone Quest 0.47 6090 02/12/2009 Liquid Waste Fund Telephone Quest 4.25 Check Total: 4.72 6091 02/12/2009 Liquid Waste Fund Sewer Lateral Program #186 Richard Cardenas 1,800.00 6092 02/12/2009 Liquid Waste Fund 6092 02/12/2009 Liquid Waste Fund 6093 02/12/2009 Liquid Waste Fund 6094 02/12/2009 Solid Waste Fund 6094 02/12/2009 Liquid Waste Fund 6095 02/12/2009 Solid Waste Fund 6095 02/12/2009 Liquid Waste Fund 6096 02/12/2009 Solid Waste Fund 6097 02/12/2009 Solid Waste Fund 6098 02/12/2009 Solid Waste Fund 6098 02/12/2009 Liquid Waste Fund 6098 02/12/2009 Solid Waste Fund 6098 02/12/2009 Liquid Waste Fund Systm Wide Repair Program #183 Santa Ana Blue Print Misc Swr Wk#164 -Cont Svc Santa Ana Blue Print Sewer Lateral Program #186 Electric - Building Electric - Building Travel/Meals/Lodging Travel/Meals /Lodging Sandy Whiteside Southern California Edison Southern California Edison Arlene Schafer Arlene Schafer Telephone Bk Recycling Program St.Joachim School Telephone Bk Recycling Program St John The Baptist School Building Maintenance Trimco Landscape Building Maintenance Trimco Landscape Building Maintenance Trimco Landscape Building Maintenance Trimco Landscape Check Total: Check Total: Check Total: Check Total: Check Total: 1,800.00 52.57 32.09 84.66 1,800.00 1,800.00 46.01 414.14 460.15 23.65 212.85 236.50 800.00 Check Total: 800.00 300.00 Check Total: 300.00 18.10 162.90 11.40 102.60 Check Total: 295.00 AP - Checks for Approval ( 03/02/2009 - 9:58 AM) Page 8 Check Number Check Date Fund Name Account Name Vendor Name Amount Building Maintenance American Fire Protection 126.00 6099 02/12/2009 Liquid Waste Fund Contract Services Underground Service Alert/SC 148.00 13.83 6111 02/26/2009 Liquid Waste Fund Telephone Check Total: 148.00 6100 02/12/2009 Solid Waste Fund Postage USPS- Hasler 50.00 6100 02/12/2009 Liquid Waste Fund Postage USPS - Hasler 450.00 6101 02/12/2009 Liquid Waste Fund 6102 02/12/2009 Liquid Waste Fund 6102 02/12/2009 Liquid Waste Fund 6102 02/12/2009 Liquid Waste Fund 6103 02/12/2009 Solid Waste Fund 6103 02/12/2009 Solid Waste Fund 6103 02/12/2009 Liquid Waste Fund 6109 02/26/2009 Liquid Waste Fund Deferred Compensation - 457 VantagePoint Transfer Agents Deferred Medical -RHS- Employee VantagePoint Transfer Agents Deferred Medical -RHS- Employee VantagePoint Transfer Agents Deferred Medical -RHS- Employee VantagePoint Transfer Agents Cellular Service Cellular Service Cellular Service Misc Swr Wk #164 -font Svc Verizon Wireless Verizon Wireless Verizon Wireless AAA Septic Pumping Check Total: Check Total: Check Total: Check Total: 500.00 305.00 305.00 271.73 204.61 67.12 543.46 40.50 36.43 685.22 762.15 200.00 Check Total: 200.00 6110 02/26/2009 Solid Waste Fund Building Maintenance American Fire Protection 14.00 6110 02/26/2009 Liquid Waste Fund Building Maintenance American Fire Protection 126.00 Check Total: 140.00 6111 02/26/2009 Solid Waste Fund Telephone AT &T 13.83 6111 02/26/2009 Liquid Waste Fund Telephone AT &T 124.44 6111 02/26/2009 Solid Waste Fund Telephone AT &T 5.84 6111 02/26/2009 Liquid Waste Fund Telephone AT &T 52.54 6111 02/26/2009 Solid Waste Fund Telephone AT &T 43.39 6111 02/26/2009 Liquid Waste Fund Telephone AT &T 390.47 Check Total: 630.51 AP - Ch *r Approval ( 03/02/2009 - 9:58 AM) 41 age 9 Check aer Check Date Fund Name Account Name* Vendor Name • Amount 6112 02/26/2009 Solid Waste Fund Building Maintenance Bay Alarm 14.40 6112 02/26/2009 Liquid Waste Fund Building Maintenance Bay Alarm 129.60 Check Total: 144.00 6113 02/26/2009 Liquid Waste Fund Sewer Maint -Small Tools/Eq Bank of America 282.29 6113 02/26/2009 Solid Waste Fund TraveUMeals /Lodging Bank of America 18.73 6113 02/26/2009 Liquid Waste Fund Travel/Meals /Lodging Bank of America 168.45 6113 02/26/2009 Solid Waste Fund Staff Development Bank of America 1.50 6113 02/26/2009 Liquid Waste Fund Staff Development Bank of America 13.50 6113 02/26/2009 Solid Waste Fund Travel/Meals /Lodging Bank of America 7.01 6113 02/26/2009 Liquid Waste Fund Travel /Meals/Lodging Bank of America 63.09 6113 02/26/2009 Liquid Waste Fund Sewer Maint - Equipment Maint Bank of America 150.00 6113 02/26/2009 Solid Waste Fund Travel/Meals/Lodging Bank of America 42.18 6113 02/26/2009 Liquid Waste Fund Travel/Meals /Lodging Bank of America 379.59 6113 02/26/2009 Liquid Waste Fund Sewer Maint - Equipment Maint Bank of America 150.00 6113 02/26/2009 Liquid Waste Fund Sewer Maint- Equipment Maint Bank of America - 100.89 6113 02/26/2009 Solid Waste Fund Travel /Meals/Lodging Bank of America 27.22 6113 02/26/2009 Liquid Waste Fund Travel/Meals/Lodging Bank of America 244.98 6113 02/26/2009 Liquid Waste Fund Sewer Maint - Equipment Maint Bank of America 58.65 6113 02/26/2009 Liquid Waste Fund Sewer Maint - Material /Supplies Bank of America 164.65 6113 02/26/2009 Solid Waste Fund Travel/Meals/Lodging Bank of America 21.15 6113 02/26/2009 Liquid Waste Fund Travel/Meals/Lodging Bank of America 190.40 6113 02/26/2009 Liquid Waste Fund Sewer Maint - Material /Supplies Bank of America 161.52 6113 02/26/2009 Liquid Waste Fund Sewer Maint - Material /Supplies Bank of America 16.86 6113 02/26/2009 Liquid Waste Fund Travel/Meals /Lodging Bank of America 763.62 6113 02/26/2009 Liquid Waste Fund Travel/Meals /Lodging Bank of America 781.01 6113 02/26/2009 Liquid Waste Fund Sewer Maint- Equipment Maint Bank of America 113.14 6113 02/26/2009 Liquid Waste Fund Sewer Maint - Equipment Maint Bank of America 109.15 6113 02/26/2009 Liquid Waste Fund Sewer Maint- Equipment Maint Bank of America 85.12 6113 02/26/2009 Liquid Waste Fund Sewer Maint - Equipment Maint Bank of America 87.02 6113 02/26/2009 Liquid Waste Fund Sewer Maint- Equipment Maint Bank of America 66.86 6113 02/26/2009 Liquid Waste Fund Sewer Maint- Equipment Maint Bank of America 64.40 6113 02/26/2009 Solid Waste Fund Building Maintenance Bank of America 21.85 6113 02/26/2009 Liquid Waste Fund Building Maintenance Bank of America 196.62 6113 02/26/2009 Solid Waste Fund Travel/Meals /Lodging Bank of America 5.64 6113 02/26/2009 Liquid Waste Fund Travel/Meals /Lodging Bank of America 50.79 6113 02/26/2009 Solid Waste Fund Travel/Meals/Lodging Bank of America 1.50 6113 02/26/2009 Liquid Waste Fund Travel/Meals /Lodging Bank of America 13.50 6113 02/26/2009 Solid Waste Fund Office Supplies Bank of America 10.29 6113 02/26/2009 Liquid Waste Fund Office Supplies Bank of America 92.59 6113 02/26/2009 Liquid Waste Fund Sewer Maint - Material /Supplies Bank of America 47.14 Check Total: 4,571.12 AP - Checks for Approval ( 03/02/2009 - 9:58 AM) Page 10 Check Number Check Date Fund Name Account Name Vendor Name Amount 6114 02/26/2009 Liquid Waste Fund Public Info /Ed/Community Promo City of Costa Mesa 250.00 Check Total: 250.00 6115 02/26/2009 Liquid Waste Fund Sewer Maint- Water Pumps City of Newport Beach 9.87 Check Total: 9.87 6116 02/26/2009 Solid Waste Fund Trash Hauler Costa Mesa Disposal 196,593.90 Check Total: 196,593.90 6117 02/26/2009 Solid Waste Fund Prof Membership /Dues California Municipal Treasurer 54.25 6117 02/26/2009 Liquid Waste Fund Prof Membership /Dues California Municipal Treasurer 100.75 Check Total: 155.00 6118 02/26/2009 Liquid Waste Fund Dental Insurance CoPower 630.63 Check Total: 630.63 6119 02/26/2009 Liquid Waste Fund Sewer Maint -Pump Stn Contract C &R Drains 88.00 6119 02/26/2009 Liquid Waste Fund Sewer Maint -Pump Stn Contract C &R Drains 176.00 Check Total: 264.00 6120 02/26/2009 Solid Waste Fund Staff Development Cal Soc of Muni Finance Office 3.20 6120 02/26/2009 Liquid Waste Fund Staff Development Cal Soc of Muni Finance Office 28.80 Check Total: 32.00 6121 02/26/2009 Solid Waste Fund Household Hazardous Waste Curbside, Inc. 1,328.60 6121 02/26/2009 Solid Waste Fund Household Hazardous Waste Curbside, Inc. 253.00 Check Total: 1,581.60 6122 02/26/2009 Liquid Waste Fund Sewer Maint- Material /Supplies Golden Bell Products, Inc. 1,481.56 Check Total: 1,481.56 6123 02/26/2009 Liquid Waste Fund Sewer Maint- Water Pumps Irvine Ranch Water District 7.50 6123 02/26/2009 Liquid Waste Fund Sewer Maint- Water Pumps Irvine Ranch Water District 7.50 AP - Ch *r Approval ( 03/02/2009 - 9:58 AM) age 11 Check Ater Check Date Fund Name Account Name Vendor Name . Amount 6124 02/26/2009 Liquid Waste Fund 6124 02/26/2009 Liquid Waste Fund 6125 02/26/2009 Solid Waste Fund 6125 02/26/2009 Liquid Waste Fund 6125 02/26/2009 Solid Waste Fund 6125 02/26/2009 Liquid Waste Fund 6126 02/26/2009 Liquid Waste Fund 6127 02/26/2009 Solid Waste Fund 6127 02/26/2009 Liquid Waste Fund 6128 02/26/2009 Liquid Waste Fund 6128 02/26/2009 Liquid Waste Fund 6129 02/26/2009 Solid Waste Fund 6129 02/26/2009 Liquid Waste Fund 6130 02/26/2009 Solid Waste Fund 6130 02/26/2009 Liquid Waste Fund 6131 02/26/2009 Liquid Waste Fund Check Total: 4,000.00 AP - Checks for Approval ( 03/02/2009 - 9:58 AM) Page 12 Check Total: 15.00 Misc Swr Wk #164 -Copt Svc Mike Kilbride, LTD 6,200.00 Misc Swr Wk#164 -Cont Svc Mike Kilbride, LTD - 1,000.00 Check Total: 5,200.00 Equipment Maintenance Konica Minolta Bus Sol U.S.A., 3.32 Equipment Maintenance Konica Minolta Bus Sol U.S.A., 29.87 Equipment Maintenance Konica Minolta Bus Sol U.S.A., 45.89 Equipment Maintenance Konica Minolta Bus Sol U.S.A., 412.96 Check Total: 492.04 Sewer Maint - Material /Supplies Lab Safety Supply Inc. 173.76 Check Total: 173.76 Water - Building Mesa Consolidated Water Dist 21.25 Water - Building Mesa Consolidated Water Dist 191.25 Check Total: 212.50 Televising Swr#159 -Contr Svc National Plant Services, Inc. 5,610.00 Sewer Maint -Sewer Line Maint National Plant Services, Inc. 44,910.00 Check Total: 50,520.00 MultiMed/Blueprint/Copies /Sub The Orange County Register 4.24 MultiMed/Blueprints /Copies /Sub The Orange County Register 38.16 Check Total: 42.40 Office Supplies Office Depot 16.31 Office Supplies Office Depot 146.83 Check Total: 163.14 Postage United States Postmaster 4,000.00 Check Total: 4,000.00 AP - Checks for Approval ( 03/02/2009 - 9:58 AM) Page 12 Check Number Check Date Fund Name Account Name Vendor Name Amount 6135 02/26/2009 Liquid Waste Fund Professional Services Technology Resource Cntr, Inc. 815.62 6132 02/26/2009 Facilities Revolving Fund District Yard Robert Thorton Architects, Inc 1,514.62 6135 02/26/2009 Liquid Waste Fund Professional Services Check Total: 1,514.62 6133 02/26/2009 Liquid Waste Fund Sewer Maint - Electric Pumps Southern California Edison 311.22 6133 02/26/2009 Liquid Waste Fund Sewer Maint - Electric Pumps Southern California Edison 983.74 6133 02/26/2009 Liquid Waste Fund Sewer Maint - Electric Pumps Southern California Edison 223.74 6133 02/26/2009 Liquid Waste Fund Sewer Maint - Electric Pumps Southern California Edison 304.96 6133 02/26/2009 Liquid Waste Fund Sewer Maint- Electric Pumps Southern California Edison 83.43 6133 02/26/2009 Liquid Waste Fund Sewer Maint - Electric Pumps Southern California Edison 37.57 6133 02/26/2009 Liquid Waste Fund Sewer Maint - Electric Pumps Southern California Edison 56.81 6133 02/26/2009 Liquid Waste Fund Sewer Maint - Electric Pumps Southern California Edison 305.50 6133 02/26/2009 Liquid Waste Fund Sewer Maint- Electric Pumps Southern California Edison 439.96 6133 02/26/2009 Liquid Waste Fund Sewer Maint - Electric Pumps Southern California Edison 841.29 6133 02/26/2009 Liquid Waste Fund Sewer Maint - Electric Pumps Southern California Edison 68.47 6133 02/26/2009 Liquid Waste Fund Sewer Maint - Electric Pumps Southern California Edison 79.35 6133 02/26/2009 Liquid Waste Fund Sewer Maint - Electric Pumps Southern California Edison 122.41 6133 02/26/2009 Liquid Waste Fund Sewer Maint - Electric Pumps Southern California Edison 40.75 6133 02/26/2009 Liquid Waste Fund Sewer Maint - Electric Pumps Southern California Edison 576.90 6133 02/26/2009 Liquid Waste Fund Sewer Maint - Electric Pumps Southern California Edison 437.32 6133 02/26/2009 Liquid Waste Fund Sewer Maint- Electric Pumps Southern California Edison 1,146.65 6133 02/26/2009 Liquid Waste Fund Sewer Maint - Electric Pumps Southern California Edison 74.31 6133 02/26/2009 Liquid Waste Fund Sewer Maint - Electric Pumps Southern California Edison 373.10 Check Total: 6,507.48 6134 02/26/2009 Solid Waste Fund Sharps Program Stericycle 203.88 6134 02/26/2009 Solid Waste Fund Sharps Program Stericycle 195.14 6134 02/26/2009 Solid Waste Fund Sharps Program Stericycle 291.71 6134 02/26/2009 Solid Waste Fund Sharps Program Stericycle 313.81 6134 02/26/2009 Solid Waste Fund Sharps Program Stericycle 125.39 Check Total: 1,129.93 6135 02/26/2009 Solid Waste Fund Professional Services Technology Resource Cntr, Inc. 90.63 6135 02/26/2009 Liquid Waste Fund Professional Services Technology Resource Cntr, Inc. 815.62 6135 02/26/2009 Solid Waste Fund Professional Services Technology Resource Cntr, Inc. 90.63 6135 02/26/2009 Liquid Waste Fund Professional Services Technology Resource Cntr, Inc. 815.62 6135 02/26/2009 Solid Waste Fund Professional Services Technology Resource Cntr, Inc. 90.63 6135 02/26/2009 Liquid Waste Fund Professional Services Technology Resource Cntr, Inc. 815.62 6135 02/26/2009 Solid Waste Fund Professional Services Technology Resource Cntr, Inc. 90.63 6135 02/26/2009 Liquid Waste Fund Professional Services Technology Resource Cntr, Inc. 815.62 AP - ChjWr Approval ( 03/02/2009 - 9:58 AM Page 13 Check NQer Check Date Fund Name Account Name ® Vendor Name 14 • Amount Report Total: 685,180.19 AP - Checks for Approval ( 03/02/2009 - 9:58 AM } Page 14 Check Total: 3,625.00 6136 02/26/2009 Liquid Waste Fund Deferred Compensation - 457 VantagePoint Transfer Agents 305.00 Check Total: 305.00 6137 02/26/2009 Liquid Waste Fund Deferred Medical -RHS- Employee VantagePoint Transfer Agents 275.53 6137 02/26/2009 Liquid Waste Fund Deferred Medical -RHS- Employee VantagePoint Transfer Agents 206.87 6137 02/26/2009 Liquid Waste Fund Deferred Medical -RHS- Employee VantagePoint Transfer Agents 68.66 Check Total: 551.06 Report Total: 685,180.19 AP - Checks for Approval ( 03/02/2009 - 9:58 AM } Page 14 7 . Expense "rttbtirSement Form for Directors acr� Neetdc 4. 1. Anach all receOW CWII - - 'Ctn w us-ad Fw p owa awo as vrev as t"i' tirno a,r.+ a+ lam :3 — k --,> "6 C 61 Ct + IL Calculation 3 .,1�- o ,5 ` rr►iles ofS.O�ents per milt -- x-4-0 G iC1v+9t1 atne] Tc9a.1 mpnK n X 3. �_ days attendarco at Per day jPW Bnwo PAr.v) r 4. meerm ff + 5L Othef CorriarencetEvent 7 Loc�artion: i Per OrAirnanoe No. 55, "Board mombere airil provide brief rVtrrts on mamMgs attended at public expeme 84 the rKM r%pL r Board vpmv*9�- (Operadm" ccKa Sew n 3.M _M5) � I` �-n A F"ENI9E i - . . Tate = Sj sp>tlf kart points Foamed of bervefM to # e Dktrict arrd its noepayw1s; Dkoctor Sigoekwe. In n- --I cc r 1 rl n; N tD Q v CD N N m CD 0 m s: f� r t Experme Re mbursement Form for Mors W w •2 -I - L Attach all recaiuts. `Gw W used fw p vW8 auba as vrel as I-,M *no and ai tare. t � �61 ct/ C.--- ` I C `S 1) H F It Calcu[afian t) 1. { miles at 55.0 Cents per rnilk3 — �-' IGr,ew Qafe; 2 TC421 maFIK r 3. days attendwvd a at $ Z21M Per day - u W-F B,wd F-4 z 4- r, _r = Conforance&vew. a 3 Per ordinance its,. 55, "Board members shall provide brief ruts on axotings attanded at pubic a"wwms al the next f§Wtar Hawd wwWA ... (OpsrsOmw Coda, Section a0l -Ri5) 53.75 Total = $ Si gatf karrt points *arr --d of beri M to five MstrM and its ralepaY&M �e•• ,,' D" ct cr Big 4 47 a a. cl ct H a Costa Mesa Sanitary District ® Expense Reimbur -4ent Form for Directors Name Rober J Ooten I. Attach all receipts. C11 DATE OF EVENT PURPOSE OR OCCASION LOCATION TRAVEL' MEAL EXPENSE OTHER U �cr� rS — I-nju 1 �z c�C a 2 0 a u t- � �, C t�. S -- -can oe usea for private auto as well as taxi, limo ano air tare. II. Calculation 1. miles at 55 cents per mile (Current Rate) 2. Total meals 3. days attendance at $ 221.00 per day (per Board policy) 4. Meeting 5. Other Conference /Event: Location: MI Total= $ k Significant points learned of benefit to the District and its ratepayers: 0O ti C C,S Per Ordinance No. 55, "Board members shall provide brief "A - V `"1 °1`Q0 "k rye co r reports on meetings attended at public expense at the next W c Q regular Board meeting.. "{ (Operations Code, Section 3.01.035) �C 0. �L i \ �.Zw —tom a� i ci p� u 2�•� V �i- T iru _ Director Signature_ (rev. tios) G c�3 tJ) no.0 '_ p, t n n r� Costa Mesa Sanitary District Expense Reimbursement Form for Directors Name Rober J Ooten I. Attach all receipts. DATE OF EVENT PURPOSE OR OCCASION LOCATION TRAVEL* MEAL EXPENSE OTHER ( 6r 16 Cl ` J C�� l�tC:c���c t CC C, Z 1 1 b lo' Can be used for private auto as well as taxi, limo and air fare. II. Calculation 1. 1 miles at 55 cents per mile (Current Rate) 2. Total meals 3. days attendance at $ 221.00 per day (per Board policy) 4. Meeting 5. Other Conference /Event: Location: Per Ordinance No. 55, "Board members shall provide brief reports on meetings attended at public expense at the next regular Board meeting." (Operations Code, Section 3.01.035) (rev. 2106) • = $ -� - -T-? Total= $ I " Significant points learned of benefit to the District and its ratepayers: n is jNv cp-- - c Y Director Signature: ��-A-" �=' ti } vvvac4 nIcvw vcunam 7 vR .Pu rva Expense Reimburs ent Form for Directors Name: k I. Attach all receipts. DATE OF EVENT PURPOSE OR OCCASION LOCATION TRAVEL* MEAL EXPENSE OTHER 9111 S-1 'jC w .y ' \A - l� Z. (— 'ec, ' c� i t <•c S AfCt?x , �rb�I Q r� 7 -�- LP C 'Can be used for private auto as well as taxi, limo and air fare. II. Calculation lo- 1. 34miles at 55.0 cents per mile (Current Rate) 2. Total meals 3. 1. _ days attendance at $ 221.00 per day (per B and pol'cy) 4. Meeting 5. Other Conference /Event: Location: Per Ordinance No. 55, "Board members shall provide brief reports on meetings attended at public expense at the next regular Board meeting." (Operations Code, Section 3.01.035) _ $ Total= $ .$g Significant points learned of benefit to the District and its ratepayers: (rev. 1/1/09) Director Signature: I? %0VOLO rvIWaa a01nRar y viau ILL Expense Reimbursement Form for Directors Name: C—S,, r �, L" I. Attach all receipts. DATE OF EVENT PURPOSE OR OCCASION LOCATION TRAVEL* MEAL EXPENSE OTHER h Wt uan oe usea Tor private auto as Well as taxi, limo ano air tare. II. Calculation6N-- 1. 3�miles at 55.0 cents per mile (Current Rate) 2. Total meals 3. days attendance at $ 221.00 per day (per B and policy) 4. Meeting 5. Other Conference /Event: Location: Per Ordinance No. 55, "Board members shall provide brief reports on meetings attended at public expense at the next regular Board meeting." (Operations Code, Section 3.01.035) (rev. 1/7 109) = $ f �j 70 Total= $ ,M 7 0 Significant points learned of benefit to the District and its ratepayers: Director Signatu _I 1h -' Costa Mesa SAY blstrict C _ f �j Z Z Expense Reimbursement Form for Directors �.Y L� J � Name: a I. Attach all receipts. In DATE OF EVENT PURPOSE OR OCCASION LOCA710N TRAVEL• t1EAL EXPENSE OTHER 6: - 'Cc1a 'Can be used for private auto ar, %yell 4s taxi. Jim and rrir fare. 11. Calculation 1. miles at 55.0 cents per mile Ul (Current Ae1e) Q 2. Total meals Q 3. days attendance at $ 221,00 per day (per Board poky) Y 4. Meeting Cr u, 5. Other O U t E a Conference/Event: LL Ul) Location: Per Ordinance No, 55, "Board members shall provide brief reports on meetings attended at public expense at the next regular Board `�� meeting." (Operations Code, Section 3.01.035) � N r I m LL = $ Total _ $ Significant points learned of benefit to the District and Its ratepayers: Director Signature: m U) r7 o-� M OD N v 0� L.J iU f cv w w LL �i =sta �fiasr� artt�� �i;rtrt�t Expense Relmbursabnt. Form for Director e i i. Attach all receipts. i u L Y I C 7 1 J i DATE OF EST PURPOSE OR OCCASION LOCkTf N TRAVEL* MEAL EXPENSE OTf3ER 4 G emc c-'e -cz C, 574 Al; b n� gLtu- 'Gan be used for prtvale auto ss W91i as taxi, limo and air fare. lt. CalcuFatfon �. MIles at 55,0 csnts par mile (Current Reis) 2. Total meats 3. _ days attendance at $_Z21.00 per dap (Aar Ekw d Poky) d. Meeting 5, Other Conferert **vent: Ltcation: Per Ordinance No. 55, "Board members shelf provide grief reports on cgs attended at public expense at the next regular Board Cresting," (Operations Cade, Section 3,01.035) Total= $ Significant paints learned of benefit to the District and its ratepayars., ('s'. W09i Director Signature; m t� c� C- m COST .A 911ESASANr7ARr(DisTRIcz" Memorandum ... an Independent Specia( District To: Board of Directors From: Sherry Kallab, Management Analyst 6I Date: March 11, 2009 Subject: District Yard — Contractor Selection Process BACKGROUND: CMSD Directors Ferryman and Ooten and Staff scheduled to meet to review the three contractor bids to build the District Yard Facility (174 W Wilson St) to meet USGBC Leadership in Energy and Environmental Design (LEED) Gold -to- Platinum standards. District Counsel verified the District Yard project is a public construction project and not a public works project. It therefore is not required to be awarded to the lowest responsible bidder. Staff tailored the standard Department of Industrial Relations (DIR) contractor pre - qualification process due to the specific building standards required to be used for Gold- Platinum rating in the LEED system for the District Yard facility. DISCUSSION: Staff and the design team architect tailored the DIR "Pre- Qualification of Contractors seeking to bid on a Public Construction Project" document to address the District's specific needs. District Counsel reviewed and approved the modified pre - qualification document. Nine contractors received the pre - qualification packet. Of the nine contractors five completed and returned the packet. District Staff and the design team architect independently scored the five pre - qualification documents. The three highest scoring Contractors were selected to receive an invitation to bid. Lower scores were mainly attributable to lack of experience in the "LEED" section of the pre - qualification questionnaire. Staff also ranked potential contractors on the number of Requests for Information (RFIs) submitted and noted the subjective quality of the bidder and the proposed costs for each as follows: Bidder Quality # RFIs Pre -Qual Score #Certified LEED Bid Oltmans B 50 141 3 $1.91M Howard Wright A 2 151 38 $2.15M DPR A+ 0 138 260 + 32 $2.41 M Staff and the design team met on February 12, 2009 to review the bids and rate the contractors. The Committee focused on the number of completed LEED projects and the number of accredited LEED professionals employed by each company. The CMSD Board was leaning towards Howard Wright, but wished to lower the price and still achieve the Gold- Platinum LEED standard. After further discussion, the Board decided to form an ad -hoc Committee to review the proposals and recommend award to the full Board. The Board confirmed this approach at the February 26, 2009 Regular Board Meeting. The ad hoc committee also needs to address the timing for award to earn possible American Revitalization and Recovery Act (ARRA) Grant funds which could translate to a construction start date in August or September 2009. RECOMMENDATION: Board members and Staff continue to meet as an ad -hoc committee to reduce costs and still meet the Gold- Platinum LEED standard. • 0 COSTA 5WEs.A SANiTANY DisTRicT Memorandum To: Board of Directors ... an Independent Special District From: Joan Revak, Board Secretary, Program Manager, Clerk of the District Date: March 11, 2009 Subject: STRATEGIC PLANNING WORKSHOP The Strategic Planning Workshop will be held on Friday, April 3, 2009 from 8:30 a.m. to 3:00 p.m. at the Neighborhood Community Center in the Hamilton Room. A light breakfast will be served and lunch will be provided. Protecting our community's Health by providing solid waste and sewer collection services crosdcagov • COST,A WESASAWI7ART�DlsTRrcr Memorandum To: Board of Directors ... an Independent Specia[ District From: Sherry Kallab, Management Analyst 6i:� Date: March 11, 2009 Subject: Grant Update The State Water Board is considering a proposed resolution to implement federal economic recovery legislation for the Clean Water State Revolving Fund (CWSRF) Program at their March 17, 2009 board meeting. Guidance from the United States Environmental Protection Agency requires projects receiving American Recovery and Reinvestment Act (ARRA) funds be under contract to begin construction one year (on or before February 16, 2010) after ARRA's enactment. Twenty percent (20 %) of ARRA's funds must be used as subsidy funds, to the extent there are eligible applications, for "green infrastructure, water or energy efficiency improvements and other environmentally innovative activities ". The Financial Assistance Division is recommending small disadvantaged communities ( <20,000 population and <80 percent of statewide median household income) receive priority for subsidy funds over other communities, if subsidy funds become limited. Additions to the State Revolving Fund priority list are being considered in order to add projects eligible for ARRA funds. The 2008/09 State Revolving Fund Priority list reflected recommendations submitted by all nine Regional Water Quality Boards (Regional Water Boards) and State Water Board Staff. The list was posted for review on the State Water Board website to allow for additions, deletions and modifications by the public and interested parties. Staff recommends providing Board members of the Santa Ana Regional Water Quality Board with information regarding our project in the event their input is considered for additions to the priority list. State Water Resource Control Board ( SWRCB) Staff continue to encourage the CMSD's pursuit of ARRA funds. Staff recommends adoption of Resolution 2009- 763 required for SWRCB grant funding. SEWER SYSTEM COMMITTEE AGENDA March 11, 2009, 10.30 a.m. Costa Mesa Sanitary District 628 W. 19"' Street Costa Mesa, California Dated: March 4, 2006 Clerk of the District Directors Monahan, Ooten and Ferryman 1. Monthly Spill Statistics lt. CMSD Line Cleaning After CCTV Project Completion Ill. Infiltration & Inflow (I &I) A. Coolidge Avenue Sever (video) B. Presentation at April 10, 2009 Liaison Committee Meeting iv, Project 4162: Analysis of CCTV data V. Uniform Construction Cost Accounting Act Bidding (Pump Stations, Manhole Rehab, offsets) Vl. Big Dipper it`ll. San Francisco SSOs vlll, 19. Video Update - Liquid Waste (Module Development of the CIP Budget X. Final National Clay Pipe institute (1•ICPI) Report - Laguna Bench Cliffs Photo rtl. Transfer of Seaver Lines from CCSD to CMSD xil, District yard - Contractor Selection Process/Schedule xlll. CMSD Projects; A. Project #129 - Bristol Street Seaver; Update on Design Phase B. Project #164 — Miscellaneous Sewer Work. C. Project #166 — Irvine Pumping Station Relocation — Update on Damage to Adjoining Property D. Project #170 — Prepare Emergency Response Plans for Pumping Stations E. Project 4171 -- Irvine Pumping Station Force Main Rehabilitation F. Project #175 — OCSD Grant — Televising CKgSD Seaver Lines — 06/09 Completion; 2 -26 -09 Status = 93.6% (1,057,549.75LF/1,129,4201-F); 10.166.55LF Inspected in February 2009; 71,670.25LF Remain (6.4 %); Run -Out date of 177967.561-F/iifo a Completion By Ensf -of-,tune 2OV9 G. Project #163 - Systern -Wide Sewer Repair - New Project on Bristol Street H. Project #166 - Sever Lateral Assistance Program -- Update L Project #167 - District Yard Update - LEED Gold Standard kiV, Other XV, Next Meeting: April 8, 2009 XVl, Public Comments Dated: March 4, 2006 Clerk of the District Pa 9 eV SEWER LATERAL AND CLEAN OUT FINAIQCIAL ASSISTANCE PROGRAM - CMSD #186 2008 -2009 Fiscal Year Apdated: 03/11/09 Work Performed: 46 291 Esther Street Deanna Rankin 9/422 -4776 10/14/2008 Completed T, RC, V, R $ 462.50 10/22/2008 47 2803 Portola Drive Robert Goldin 7/641 -9210 10/17/2008 Completed T, CO, V $ 187.65 11/20/2008 48 20431 Cypress St., S.A.H. James Candelmo 9/370 -8699 10/21/2008 Completed T, RC, CO, V $ 1,800.00 10/23/2008 49 2002 Baltra Place Stanley Rodriguez 7/557 -5170 10/20/2008 Com leted T, C, CO, SR $ 852.50 11/6/2008 50 1662 Iowa Street 20121 Orchid Street 20382 Cypress St., N.B. 2317 Col ate Drive Stephen Foster Chris Jenkins Mike Moinfar Robert Ashton 7/662 -0858 7/345 -9371 619/572 -6561 7/850 -0211 10/21/2008 10/21/2008 10/21/2008 10/22/2008 Completed In Progress In Progress Completed IT, T, RC, CO, V, R, NL C, RC, V $ 1,800.00 $ 484.19 11/6/2008 11/20/2008 51 52 53 54 368 Genoa Lane Heinz Borisch 9/650 -6063 10/23/2008 lCompleted IT, 3232 Clay Street Jack Bailey 7/968 -5518 10/28/2008 In Progress 271 Lilac Lane (Gina Shafonsky 19/212 -1588 110/28/2008 lCompleted 180 E. 19th Street John Snedegar 9/500 -1220 10/30/2008 Waiting for review, video 2812 Europa Roger Ransom 9/632 -0943 10/30/2008 ICompleted C, SR $ 600.00 1T, C, RC, CO, V $ 1,623.86 & recpts. T, V $ 156.69 11/6/2008 11/20/2008 11/6/2008 55 56 57 58 59 1065 Tulare Drive James Herrin 7/549 -7903 11/3/2008 ICompleted T, C, CO, V, R $ 1,800.00 11/20/2008 60 443 Flower Street Barbara Beck 9/548 -6393 11/3/2008 ICompleted T, C, CO, V, R $ 1,800.00 11/20/2008 61 2384 Cornell Drive 2234 Orange Avenue 964 W. 19th Street Jean Femling James Thomas Suzi Wexler - Agent 7/549 -2493 9/646 -0459 7/915 -1899 11/4/2008 11/6/2008 11/10/2008 ICompleted In Progress ICompleted T, C, CO, V T, CO, V, NL $ 1,162.50 $ 1,800.00 12/4/2008 12/4/2008 62 63 64 287 Cabrillo St. tri- plex Richard or David Kalish 818/957 -0050 11/10/2008 lCompleted T, V, NL $ 1,173.00 1/29/2009 65 283 Flower Street John Hoffman 9/645 -7323 11/1212008 lCompleted T, C, V, R $ 1,800.00 12/18/2008 66 282 Knox Hal Schlegel 7/283 -1414 11/12/2008 1 Completed T, C, RC, CO, V, R $ 1,800.00 12/4/2008 1992 Orange Avenue Thomas Fox 9/200 -7401 11/17/2008 In Progress 539 Hamilton Street Margo Sanchez 7/381 -8884 11/19/2008 In Progress 2301 Anniversary Lane Jill Lindsay 7/269 -1234 11/20/2008 In Progress 3166 Barbados Place Sherry Eaton 17/437 -7365 11/25/2008 Completed IT, C, RC, CO, V $ 1,344.88 1/15/2009 900 Joann Street 'Tim Sandefer 9/548 -0503 11/25/2008 Completed IT, C, RC, V, R i $ 1,800.00 1/29/2009 925 Paularino Ave. Julie Thomas 7/540 -1781 12/8/2008 in Progress 2649 Orange Ave. Nick Amoroso 17/840-1700 112/11/2008 (Completed T, C, V, NL $ 1,800.00 1/6/2009 110 Lexington Lane Georgia Fox 7/878 -6309 12/10/2008 In Progress 340 Villa Nova Road Alfredo Juan 9/278 -1110 12/11/2008 !Completed 1T C RC, V $ 507.50 1/6/2009 67 68 69 70 71 72 73 74 1 75 76 1610 Baker Street Jeff Urbaniec 7/540 -0353 12/12/2008 ICompleted IT, C, CO, V $ 1,141.50 1/6/2009 2087 Balmoral PI. Antoinette Winders 9/646 -9171 12/16/2008 In Progress 1135 Aviemore Terrace IC.B. Nanda 17/920 -8810 112/18/2008 1Completed 1T, C, RC $ 256.25 1/6/2009 1201 McCormack Lane Susan Hayworth 341 - 660 -7262 12/22/2008 In Progress 1910, 12, 14 Fullerton Ave. Marilyn Alexander 9/675 -7009 12/22/2008 In Progress 920 Cedar Place Ijeannette Bond 9/632 -6371 12/23/2008 (Completed IT, RC, CO, V, NL $ 1,800.00 1/15/2009 1661 Oahu Place Doug Stewart 7/393 -0345 12/29/2008 In Progress 2290 Waterman Way Jay Adler 9/645 -7468 12/30/2008 Completed IT, C, CO, V $ 1,750.00 1/29/2009 77 78 79 80 81 82 83 84 341 Bordeaux Lane I Deboah Patterson 7/655 -3963 12/30/2008 1 Completed IT, C, CO, V $ 1,171.38 1/29/2009 85 2728 San Juan Lane I James Doody 7/504 -0420 12/31/2008 'Completed IT, C, RC, V $ 422.50 1/29/2009 2126 Westminster Ave. Frank Krieg 9/200 -9038 1/6/2009 In Progress 1976 Fullerton Ave. Bruce McAllister 1909/730 -1238 11/7/2009 Completed IT, C, RC, V, NL $ 1,800.00 1/29/2009 3141 Bray Lane Angela O'Connor 9/350 -7681 1/8/2009 In Progress 508 Orange Ave. Randy Strode[ 9/645 -4820 1/8/2009 In Progress 2749 Gannet Drive Frank Gratton 7/444 -1325 1/8/2009 In Progress (T) Televised, (C) Cleaning, (RC) Root Cutting, (CO) Clean out Installed, (V) Video Provided to CMSD, (R) Rehab, (SR) Spot Repair, (NL) New Lateral 86 87 19890 Page 1 SEWER LATERAL AND CLEAN OUT FINANCIAL ASSISTANCE PROGRAM - CMSD #186 Last Updated: 2008 -2009 Fiscal Year 03/11/09 0 1 2184 Rural Place Gary Monahan 9/548 -0099 6/10/2008 Completed T, C, CO, V $ 375.00 7/31/2008 2 923 Cedar Place Terri Gist - Queener 9/646 -4048 6/26/2008 Completed C, RC, CO, SP $ 1,800.00 7/15/2008 3 929 Cedar Place Terri Gist - Queener 9/646 -4048 7/3/2008 Completed C, SR $ 387.50 7/15/2008 4 3036 Garfield Avenue Ran Malouf 909 - 374 -8640 7/3/2008 Completed T, CO, V, SR $ 1,325.00 7/31/2008 5 2379/2381 Elden Avenue Elden Street Partners LP 9/230 -5426 7/8/2008 Completed T, C, RC, V $ 830.00 7/31/2008 6 1035 Presidio Drive Kamal Pepic 7/957 -2983 7/8/2008 Completed T, C, V $ 326.42 7/31/2008 257 E. 16th Place John Steed 9/697 -5652 7/14/2008 In Progress 3144 Sicily Avenue Christopher Oeding 7/751 -2008 7/16/2008 In Progress 20232 Spruce Avenue Brad Larkins 19/244 -3465 7/21/2008 ICompleted IT, C, CO, V $ 1,750.00 See Teresa 341 Cherry Tree Ln. Brien Bohler 7/349 -2960 7/23/2008 In Progress 2170 Pacific Avenue A,B,C jDavid D. Coe 9/548 -5131 7/23/2008 C IT, C, RC, CO, V $ 1,800.00 8/28/2008 7 8 9 10 11 12 327 E. 21st Street Leslie Mader 7/545- IT, C, RC, CO, V, SR $ 1,800.00 9/25/2008 13 820 Towne Street 974 W. 19th Street 360 Ramona Way Brad Edwards Alfredo Maciel Jill Johnson 9/874 -9212 9/548 -0600 9/887 -4145 7/28/2008 7/31/2008 7/31/2008 Completed In Progress ICompleted IT, CO, V, NL IT, C, RC, V, R $ 1,471.00 $ 1,800.00 11/20/2008 10/22/2008 14 15 16 2229 -2231 Orange Ave. I Brad Allred 7/580 -6058 8/4/2008 ICompleted T, RC, V, R $ 1,800.00 1 8/28/2008 17 2905 Redwood Avenue 776 Joann Street 1916 Sumba Circle lWayne Distro Allyson Ebert IFerne Young 7/557 -4084 9/945 - 8578 7/556 -0049 8/4/2008 ICompleted IT, C, RC, V 8/5/2008 In Progress 8/6/2008 lCompleted T, C, RC, CO, V $ 160.00 1 $ 690.00 1 9/11/2008 8/28/2008 18 19 20 2382 Azure, N.B. Joseph Bell 9/852- 9569 818/2008 Completed T, C, CO, V, R $ 1,800.00 9/25/2008 21 234 Hanover Drive Richard Al quire 7/549 -1075 8/12/2008 Completed T, C, RC, V, SR $ 725.73 8/28/2008 22 2962 Ceylon Drive Richard Mithoff 7/641 -7002 8/12/2008 Completed T, C, V, NL $ 1,800.00 9/25/2008 23 300 Cutter Way Robert Kaessner 9/294 -5663 8/14/2008 Completed 2030 Pomona Avenue Mark Hardt 7/654 -4270 8/18/2008 In Progress 2563 Oxford Lane Dave Doyle 7/319 -2522 8/18/2008 Completed T, C, RC, CO, SR $ 1,800.00 T, RC, CO, V, SR $ 1,251.00 10/22/2008 9/25/2008 24 25 2613148 Sumatra Place Brian Leung 7/754 -1133 8/19/2008 1 Completed T, C, RC, CO, V $ 1,471.50 10/22/2008 27 979 Congress Street Margarita Garcia 9/548 - 7805 8/21/2008 Com leted T, C, RC, CO, V $ 1,075.00 10/9/2008 28 804 Congress Wes Courvoisier 9/646 -1832 8/25/2008 Com feted T, C, RC, CO, V $ 800.00 911112008 29 2291 Elden Avenue 338 Cherry Tree Lane N.B. 1721 Paloma Dr., N.B. Debbe Haug Jeff Tanner Bruce Gray 9/200 -9916 7/308 -8114 9/294 -0534 8/27/2008 Completed T, C, CO, V, R 8/28/2008 In Progress 9/2/2008 Completed IT, C, V $ 1,800.00 $ 352.00 9/11/2008 9/11/2008 30 31 32 447 Elmhurst Lane Cara Carlton 19/350- IT, CO, V $ 1,400.00 12/18/2008 1956 Pomona Ave 664 Surf Avenue 3097 Yukon Avenue 352 Princeton Drive David Bartholomew Kate Medina George Berg Barbara Davia 9/510 -4462 9/642 -0782 7/557 -7785 7/751 -7472 9/8/2008 9/8/2008 9/10/2008 9/15/2008 Completed In Progress In Progress ICompleted T, CO, V, NL T, C, RC, CO, V, SR $ 1,048.35 $ 1,507.74 10/9/2008 1/15/2009 135 37 443 Elmhurst Lane Jeff re Gray 7/608 -0404 9/16/2008 1 Completed T, C, CO, V $ 1,250.00 9/25/2008 38 236 Walnut Street Lori Connolly 9/646 -3577 9/17/2008 Com leted T, C, RC, V, SR $ 925.00 10/9/2008 39 1723 Samar Drive Lloyd Bennett 7/979 -6906 9/17/2008 Com feted T, RC, CO, V $ 525.00 10/22/2008 40 2227 Holly Lane 150 Rochester 2070 Federal Street 2725 Gannet Drive Brian Weiss John Steed John Uffelman liames Bo osian 9/933 -7011 9/697 -5652 9/650 -7949 310- 463 -3593 9/18/2008 Completed 9/24/2008 In Progress 9/28/2008 In Progress 10/7/2008 lCompleted T, CO, V, NL $ 1,800.00 IT, V, NL $ 1,475.00 10/22/2008 11/20/2008 41 42 43 44 1929 Federal Street jDavid Martinez 9/642 -8506 10/13/2008 lCompleted IT, C, RC, CO, V, R $ 1,800.00 10/22/2008 2245 Heather Lane - N.B. David Fletcher 9/433 -8433 10/13/2008 In Progress T Televised, C Cleanin , RC Root Cutting, CO Clean out Installed, (V ) Video Provided to CMSD, R Rehab, ko R Spot Repair, (NL) New Lateral 45 0 Page 'o SEWER LATERAL AND CLEAN OUT FINAIRAL ASSISTANCE PROGRAM - CMSD #186 2008 -2009 Fiscal Year Lalidated: 03/11/09 Work Performed: 91 136 Monte Vista Carrol Kennedy 7/342 -6383 1/12/2009 Completed T, RC, CO, V, NIL $ 1,800.00 2/12/2009 92 545 W. Hamilton Richard Cardenas 9/233 -2874 1/13/2009 Completed T, C, CO, V, R $ 1,800.00 2/12/2009 93 1965 Tustin Don Hunt 9/548 -9519 1/16/2009 Completed T, C, RC, V, R $ 1,800.00 1/29/2009 94 2449 Na oli Wa John Francis 9/271 -5121 1/20/2009 Com Ieted T, C, CO, V $ 1,171.00 2/12/2009 95 2862 Stromboli Road 1824 1/2 Viola Place 3018 Samoa 970 Governor iJoan Thomas (Rebel Ely) Lee Naqvi Robin Leffler Robin Leffler 917/617 6995 9/642 -1793 7/546 -1452 7/546 -1452 1/20/2009 Completed 1/21/2009 In Progress 1/21/2009 In Progress 1/21/2009 !Completed T, CO, V, NL $ 1,800.00 IT, RC, V $ 276.25 2/12/2009 See Teresa 96 97 98 99 371 W. Wilson Predrag Vasiljevic 9/874 -6560 1/23/2009 Completed IT, C, V, R $ 1,800.00 See Teresa 700 W. 20th A, B, C David Bartholomew 9/510 -4462 1/26/2009 In Progress 100 101 1 185 Dorset Lane Todd Brown 7/556 -0703 1/27/2009 In Progress - T.I. 102 2010 Baltra Place Annamaria Kovacs 7/957 -1376 1/28/2009 In Progress 103 1790 Crestmont Place John Foreman 9/631 -4578 1/28/2009 In Progress 104 3483 Santa Clara Circle Javier Orozco 7/481 - 0072 2/1/2009 In Progress 105 661 Cove Street Rick Nasca 9/631 - 1449 2/3/2009 In Progress 106 2321 Holly Lane James Lepak - Contractor 7/715- 5744 2/3/2009 In Progress - T.I. 107 20352 S.W. Cypress Richard Lehn 9/706 -3034 2/512009 In Progress - T.I. 108 654 W. 18th Street, Unit A Shawn Chang 626/395 -0600 2/9/2009 In Progress 109 3254 Washington Avenue Scott Terpstra 9/294- 0761 2/17/2009 In Progress 110 1841 Orange Avenue Fred Revely 7/596 - 5395 2/18/2009 In Progress 111 344 E. 16th Street Eric Beach 9/300- 3342 2/26/2009 In Progress 379 Santa Isabel IKen & Christine Ryder 17/384 -4311 12/26/2009 Completed IT, V, NL $ 1,179.66 See Teresa 112 113 2846 Tabago Place Bob Ooten 7/338 -9896 3/2/2009 In Progress 114 269 20th Street Lisa Stanton 9/650 -7447 3/3/2009 In Progress 115 1386 Galway Lane Mary Humphrey 7/557 -1656 3/3/2009 In Progress 116 380 University Michael Steiner 9/642 -9666 3/6/2009 In Progress 117 870 Congress Noemy Serpas 9/910 -0888 3/10/2009 In Progress Lateral Assistance Reimbursements Total: $ 85,645.05 Completed (No fill) 68 In Progress 49 Waiting for Review 0 117 (T) Televised, (C) Cleaning, (RC) Root Cutting, (CO) Clean out Installed, (V) Video Provided to CMSD, (R) Rehab, (SR) Spot Repair, (NQ New Lateral Page 10 SEWER LATERAL AND CLEAN OUT FINAIAL ASSISTANCE PROGRAM - CMSD #186 2007 -2008 Fiscal Year Apdated 02/17/09 1 1620 Sandalwood St. lJohn Hum hre 9/27/2007 Completed Work Performed: IT, C, RC, V $ 246.88 2/28/2008 2 398 Universit Warren Caves 9/721 -1969 10/17/2007 Completed IT, C, RC, V, R 1 $ 1,800.00 12/6/2007 3 363 Ravello Lane IMonaWamel 9/645 -6964 10/22/2007 Completed IT, C, RC, CO, V, R 1 $ 1,800.00 11/7/2007 452 Swarthmore Lane Ken Martinez 11/9/2007 In Progress 1535 Orange Ave. Matthew Dabney 11/13/2007 In Progress 2074 Monrovia Ave. Jerry Randall 11/14/2007 In Progress - Returned video 1/15 1588 Redlands Place Charles Gleason 11/15/2007 In Progress 2064 Federal Ave John Uffelman 9/650 -7949 11/15/2007 ICompleted IT, C, CO, V, SR I $ 1,577.88 11/20/2008 4 5 6 7 8 Oregon Ave. 724 W. 19th St. 2178 Placentia Ave. Paula Fowler Young Yu/Bobby IThomas Schworer 7/546 -4323 7/906 -9701 7/545 -7983 11/16/2007 ;Completed 11/19/2007 In Progress 11/26/2007 ICompleted T & C T, C, CO, V $ 219.50 $ 1,800.00 12/6/2007 1/2/2008 A 103206 1212208 Placentia Ave. Thomas Schworer 7/545 -7983 11/26/2007 Completed T, C, RC, V $ 649.38 1/17/2008 13 1034 Valencia St. Thomas Schworer 7/545 -7983 11/26/2007 Completed T, C, RC, V $ 1,258.82 12/20/2007 14 1040 Valencia St. Thomas Schworer 7/545 -7983 11/26/2007 Completed T, C, RC, V $ 886.25 12/20/2007 15 2019 So. Capella Court 1190 Gleneagles Terr. 20111 Riverside Dr. Thomas Schworer Robert Heckrotie Patricia Sanders 7/545 -7983 7/557 -6088 12/26/2007 12/5/2007 12/6/2007 Completed In Progress -Rcv'd video 12/18 iCompleted T, V $ 216.36 1/31/2008 C, RC - No video $ 77.00 1/17/2008 16 17 18,616 Center Street Andre Ferriera 7/728 -0458 11 2/6/2007 Com leted - Returned videos T, C, V $ 325.00 3/27/2008 19 344 E. 16th Street Eric Beach 9/300 -3342 12/6/2007 Com leted T, C, RC, V $ 263.75 1/3/2008 20 2576 Fairway Drive 815 Sonora Road 223 & 223 1/2 Santa Isabel Jeff Butcher Jeffrey Frei Philip Cadenhead 9/422 -1108 9/361 -2332 12/10/2007 12/10/2007 12/11/2007 ICompleted In Progress Completed - 2 laterals T, C, RC, CO, V T, CO, V, R $ 1,239.00 $ 3,600.00 1/17/2008 1/31/2008 21 22 23 2682 Santa Ana Ave. Gary Hill 9/675 -0740 12/11/2007 Completed T, C, RC, V $ 587.50 1/31/2008 24 337 Esther Marlene Heck 9/650 -5050 12/11/2007 Completed T, C, V $ 310.63 2/28/2008 25 243 E. 20th Street Mark Schley 7/366 -6126 12/14/2007 Completed front lateral T, C, RC, CO, V, SR $ 1,800.00 1/31/2008 26 243 E. 20th Street Mark Schley 7/366 -6126 12/14/2007 Completed rear lateral T, C, CO $ 1,175.00 3/12/2008 27 1136 Carson Matt Montoya 7/501 -7258 12/14/2007 Completed T, CO, V, SR $ 975.00 1/17/2008 28 1845 Illinois Street Marc Mason 7/350 -0914 12/18/2007 Completed iT, C, CO, V $ 509.19 1/5/2009 29 684 W. 18th Street Barbara Griffith 9/230 -0873 12/18/2007 Completed IV, R, NL $ 1,800.00 1/17/2008 30 2147 Aster Place 2237 Raleigh Ave. Illinois Street Laurene Keane Dehra Iverson Damontoth Carillo 9/646 -6686 7/437 -1147 12/24/2007 12/26/2007 12/31/2007 Completed In Progress Completed IT, CO, R T, V $ 1,800.00 $ 151.77 1/17/2008 1/31/2008 31 32,1849 3312848 Boa Vista Drive Aram Solomonian 7/546 -5013 12/31/2007 Completed T, C, R $ 1,800.00 1/17/2008 34 403 Walnut Place Kevin Pfeif 9/650 -5897 1/7/2008 Completed T, CO, V, NL $ 1,800.00 1/17/2008 35 324 Esther St. Edward Newland 9/642 -7083 1/7/2008 Completed T, C, V $ 587.50 2/14/2008 36 1858 Boa Vista Circle John Pfaff man 9/548 -9164 1/8/2008 Completed T, C, CO, V $ 550.00 1/31/2008 37 843 Congress St. Diane Taylor 9/548 -7879 1/9/2008 Completed T, C, V $ 1,099.08 1/17/2008 38 1019 Linden Place Charles Weir 9/394 -2715 1/9/2008 Completed T, CO, V, SR $ 1,188.25 3/12/2008 39 526 Traverse Drive Raymond Grissom 71751 -1046 111012008 Completed T, C, RC, V $ 705.00 2/14/2008 4011010 Grove Place Jeff Dawkins 7/345 -8471 1/10/2008 Completed T, C, RC, CO, V $ 1,796.81 3/27/2008 41 3020 Capri Lane George Matacek 7/546 -5395 1/10/2008 Completed T, C, CO, R $ 1,800.00 1/31/2008 42 839 Congress St. Diana Taylor 9/548 -7879 11 /11/2008 Completed T, V $ 175.00 1/17/2008 43 923 W. Wilson Street 379 La Canada Way 1681 Gisler Ave. Diana Taylor Julia Brown Nikolaos Charidas 9/548 -7879 9/395 -3940 7/241 -8829 1/11/2008 1/15/2008 1/16/2008 Completed In Progress Completed T, C, CO, V T, V $ 1,150.00 $ 390.63 1/31/2008 2/14/2008 44 45 46 237 Costa Mesa St. Al Nowocinski 7/968 -2769 1/17/2008 Completed T, V $ 175.00 1/31/2008 47,237 Costa Mesa St. Al Nowocinski 7/968 -2769 1/17/2008 Completed 2nd Reimbursement T, V, NL $ 1,625.00 3/27/2008 48 2857 Europa Drive Dr. Anthony Smart 7/754 -1870 1/22/2008 Completed T, R $ 1,800.00 2/14/2008 49 3050 Madison Ave. Mina Cummins 7/850 -1009 1/22/2008 Completed T, C, RC, CO, V $ 1,800.00 4/24/2008 50 2575 Greenbriar Lane Wendy Ellis 7/546 -7069 1/24/2008 Completed T, C RC, CO, V, SR $ 1,137.50 2/28/2008 51 2227 E. 16th Street Ellie Wra 9/646 -2388 1/24/2008 Completed T, CO, V, R $ 1,800.00 2/14/2008 52 2958 Milbro Street Brian Valles 7/865 -9761 1/24/2008 1 In Progress v VHS back 2/25 T, C, COV, SR $ 1,800.00 6/19/2008 53 2298 La Linda Ct. jAmy Peters 9/400 -3363 1/24/2008 lCompleted IT, CO V SR 1 $ 1,197.50 2/28/2008 Page 2 SEWER LATERAL AND CLEAN OUT FINANCIAL ASSISTANCE PROGRAM - CMSD #186 Last Updated 2007 -2008 Fiscal Year 02/17/09 54 2407 Margaret - N,B. Steve Hufford 9/548 -5380 1/30/2008 In Progress 234 Santa Isabel I Kris Mungo 19/673 -9054 11/31/2008 ICompleted IT, CO, V, R $ 1,800.00 12/28/2008 2804 Boa Vista Michael Odell 7/751 -2001 2/4/2008 In Progress 731 Shalimar Drive Susan Hubbard 9/275 -5152 2/4/2008 Gave video back - 2/13 T, C, R, CO, V $ 912.50 2/14/2008 55 56 57 58 837 Saint Clair Milton Sellers 7/544 -7365 2/5/2008 Completed T, V $ 1,800.00 3/12/2008 59 3285 Minnesota Ave. Clint Knox 7/556 -8112 2/6/2008 Completed T, CO, V, SR $ 1,800.00 2/14/2008 60 289 Rose Lane Lynn Newton 9/673 -6204 2/6/2008 Completed T, R $ 1,800.00 2/28/2008 61 2001 Kornat Drive Eileen Monta na 7/540 -3601 2/6/2008 Completed T, C, CO, SR $ 974.08 2/28/2008 62 2193 & 2195 Orange 2833 Francis Lane 358 Ralcam Place Dana Laine Chris Boxer Maria Herrera 7/557 -9632 909/2088914 9/5480923 2/8/2008 2/11/2008 2/11/2008 Completed In Progress Completed T, C, CO, V T, C, RC, V $ 702.50 $ 611.34 2/28/2008 2/28/2008 63 64 65 2172 Pacific Avenue William Gilbert 9/6457090 2/11/2008 Com leted T, C, RC, V $ 776.25 3/12/2008 66 329 Cabrillo St. #D Edmond Lishka 9/548 -2765 2/11/2008 Completed T, C, V $ 190.00 2/28/2008 6711641 Labrador Drive Sandra Rios 7/345 -2101 2/11/2008 Completed T, C, RC, CO, V $ 1,464.98 3/12/2008 68 879 Governor Doris Lynott 9/646 -5483 2/13/2008 Completed T, V, R $ 1,800.00 3/12/2008 69 328 Alva Lane Dave Griscom 9/646 -8791 2/14/2008 Completed T, C, CO, V, R $ 1,800.00 3/12/2008 70 1023 Linden Place Doris Muhonen 9/548 -8804 2/14/2008 Completed T, CO, V, SR $ 1,063.50 3/12/2008 71 964 Lansing Lane Michael Moroso 7/540 -0826 2/19/2008 Completed T, CO, $ 950.00 2/28/2008 72 1796 Pitcairn Douglas Storlee 9515322922 2/19/2008 Completed T, C, CO, V, SR $ 975.00 2/28/2008 73 2199 & 2197 Orange Ave. Dana Laine 7/557 -9632 2119/2008 Completed T, C $ 95.00 3/12/2008 74 2303 Redlands Drive Shizue Hirahara 9/548 -9479 2/20/2008 Completed IT C, RC, CO, V, R, SR $ 1,800.00 3/12/2008 75 390 La Perle Lane 379 23rd, N.B. 357 Ocile Street #B Ryan Price Chris McLaughlin Lori Connoll 9/836 -3313 9/355 -2817 9/646 -3577 2/21/2008 2/21/2008 2/21/2008 ICompleted In Progress I Com feted IT, V IT, CO, V, SR $ 175.00 I $ 900.00 3/12/2008 2/28/2008 76 77 78 599 Stur eon Drive Carl Westerlund 7/966 -6650 2/22/2008 Completed IT, C, CO, V, R 1 $ 1,800.00 3/12/2008 79 212 Loyola Road 1421 Shamrock Lane 361 Ogle Edward Brownson 7/549 -2554 Sarah Morel! 7/957 -1577 David Prickett 9/644 -2071 2/26/2008 3/5/2008 3/6/2008 Completed In Progress - Gv VHS back 3/11 Completed IT, C, RC, CO, V T, C, RC, CO, V 1 $ 1,449.26 $ 924.08 4/24/2008 3/12/2008 80 81 82 225 16th Place Wade Tift 9/514 -0556 3/6/2008 Completed T, C, RC, V $ 462.50 3/12/2008 83 3154 Barbados Place Kevin Collins 7/287 -8580 3/7/2008 Completed T, C, CO, V, R $ 1,800.00 3/27/2008 84 371 La Perle Lane Emily Tygart 91646 -8758 3/11/2008 Completed T, V, SR $ 1,800.00 3/27/2008 85 1731 Orchard Drive 2620 Westminster Place 221 Knox Street Davis Stiev Scot Lindsay James Westlin 9/278 -1174 9/646 -7625 7/396 -2822 3/12/2008 3/17/2008 3/18/2008 Completed In Progress - Est. Reimb. $1800 Com leted T, V, R T, CO, V, SR $ 1,800.00 $ 1,800.00 3/27/2008 3/27/2008 86 87 88 353 Ramona Way Gerald Ta ami 9/548 -2813 3/18/2008 Completed T, C, RC, CO, V, SR $ 1,800.00 3/27/2008 89 1009 Grove Place Loreen Stro a 7/960 -7447 3/19/2008 Completed T. V $ 200.00 3/27/2008 90 2568 Westminster Ave. Dan DeBassio 7/448 -3825 3/21/2008 Completed T, RC, V, R $ 1,800.00 4/24/2008 91,1872 Monrovia, B5 -8 Fred Bockmiller 9/697 -9712 3/2112008 Completed Reimbursement #1 T, CO, V, R $ 1,800.00 4/10/2008 92 1872 Monrovia, A5 -8, B1 -4 Fred Bockmiller 9/697 -9712 3/21/2008 Completed T, V, R $ 1,800.00 6/30/2008 93 390 E. 18th Street Scott Harris 9/939 -0733 3/25/2008 Completed T. CO (2). V. SR $ 1,800.00 4/10/2008 94 2736 De Soto Ave. Jennifer Pomeroy 9/910 -7325 3/26/2008 Completed T, C, RC, CO, V $ 1,437.50 4/2412008 95 255 Albert Place John Hart 9/645 -9127 3/26/2008 Completed T, V, SR $ 1,800.00 5/8/2008 96 2212 Donnie Road Joan Ricketts 9/645 -3984 3/27/2008 Completed - Gv video back 3/31 T, C, RC, V $ 867.00 4/24/2008 97 200 Lillian Place Phil Taormina 9/612 -7053 4/1/2008 In Pro ress - Gv video back 4/16 T, C, RC, V $ 835.00 6/19/2008 98 215 Rose Lane Kenneth Matheis 9/548 -2629 4/4/2008 ICom leted T, C, RC, CO, V $ 997.50 4/24/2008 99 100 101 2216 Donnie Road 2172 -74 Biscayne Springs 470 Flower Street 209 Pauline Place Robert Johnston Scott Beam Jerry Tucker Andrew Ter stra 9/631 -3604 9/916 -7611 9/645 -2422 9/735 -7551 4/10/2008 4/10/2008 4/14/2008 4/14/2008 ICompleted In Progress In Progress - ROB HAS FILE ICompleted T, C, RC, V IT, V, NL $ 861.50 $ 1,800.00 4/24/2008 7/3/2008 102 103 125 Flower Street Bunny Bowers 9/903 -0597 4/22/2008 ICompleted IT, C, RC, CO, V $ 1,800.00 5/8/2008 104 105 106 2219 Avalon Street Ludwig Sorge 695 Center Street GET Development 953 Union Avenue Robert Leyva 9/903 -5211 4/28/2008 7/466 -0216 511/2008 7/323 -5820 5/2/2008 ICompleted In Progress iCompleted IT, C, RC, CO, V $ 1,125.00 ICO, SR, Pictures $ 750.00 5/8/2008 6/5/2008 107 3119 Gibraltar I RoV Steadman 7/437 -7140 5/2/2008 Completed IT, V 1 $ 132.50 5/8/2008 40 wl- A M Page'0 SEWER LATERAL AND CLEAN OUT FINAINAL ASSISTANCE PROGRAM - CMSD #186 2007 -2008 Fiscal Year Apdated 02/17/09 108 3136 Sumatra Place Sandy Whiteside 7/915 -1684 5/8/2008 Completed T, C, RC, CO, V, Ni- $ 1,800.00 See Teresa 109 2175 Pacific Ave - HOA Searid a of CM 9/716 -3998 5/12/2008 Completed T, C, V $ 825.00 1/29/2009 110 303 22nd Street William Tosh 9/646 -2820 5/12/2008 Completed T, C, RC, CO, V, SR $ 1,628.49 5/22/2008 111 281 Rochester Street Jeff Deisner 9/515 -9602 5/15/2008 Completed T V $ 137.50 6/5/2008 112 1043 W. Wilson - Unit B Michael Stout 7/960 -4513 5/19/2008 Completed T C V, SR $ 1,800.00 6/5/2008 113 259 Brentwood Jay Allen 9/228 -3960 5/21/2008 Completed T, C, RC, CO, V, SR $ 1,200.00 6/19/2008 114 2557 Columbia Dr. Philip Mock 7/444 -4689 5/28/2008 Completed T, C, V $ 344.30 7/3/2008 11512285/2289 Santa Ana Ave. David Bartholomew 9/510 -4462 5/29/2008 Completed T, CO, V, NIL $ 1,800.00 10/9/2008 116 1952 Pomona Ave David Bartholomew 9/510 -4462 5/29/2008 Completed T, C, RC, V $ 427.50 7/3/2008 117 3090 Trinity Drive Brigitte Hartman 7/557 -7452 6/4/2008 Completed T, C, CO, V, NL $ 1,800.00 7/3/2008 119 379 E. 23rd. Street Christine McLaughlin 9/230 -4555 6/11/2008 Completed T, C, RC, V $ 687.50 7/3/2008 120 3108 Sumatra Place Ashley Burke 9/643 -5740 6/12/2008 Completed T, C, CO, R $ 1,800.00 7/3/2008 121 2215 Golden Circle N.B. Wayne Hauser 9/645 -9553 6/18/2008 Completed T, C, RC, CO, V $ 1,244.00 7/3/2008 Lateral Assistance Reimbursements Total: $ 120,7 2.46 Completed (No fill) 103 In Progress 18 Waiting for Review 0 T Televised, C Cleaning, RC Root Cutting, CO Clean out Installed, V Video Provided to CMSD, R Rehab, SR Spot Repair, (NL) New Lateral • COSTA MESA SANITARY DISTRICT RECYCLING COMMIT'T'EE AGENDA March 23, 2009 12:00 p.m. Costa Mesa Sanitary District 628 W. 19" Street Costa Mesa, California (Directors Ooten and Monahan) I. Recycling Committee Goals for 2009 -2010 II. Orange Coast College Recycling Center — Guest: Mike Carey III. Orange County Waste & Recycling Sub - Regional Meetings and Grant Program IV. California Integrated Waste Management Board V. Disposal of Residential Grease in CMSD Trash Collection Program VI. Tours of CR &R and Frank L. Bowerman Landfill A. UCI Students — Thursday, March 5, 2009 VII. Presentations A. Plastics Presentation at Paularino School — March 26, 2009 B. Waste -Free Lunch Day at Christ Lutheran School VIII. Report on Other CMSD Recycling Programs IX. Public Comments Dated: March 11, 2009 Clerk of the District Protecting our community's health by providing solid waste and sewer colfection services. www.crosdca.gov 0 Recycling Committee Goals for '` and 2010 Years I. Encourage Recycling Projects by Non - Profit Organizations a page Ad in City of Costa Mesa Publication ® $100 awards given to non - profit organizations that complete recycling projects ® Utilize $500 Recycling Support from Costa Mesa Disposal Create two projects in 2009 and 2010 Contact Girls Club and Boys and Girls Scouts Past Participants include: Girl Scouts, Boy Scouts, Cub Scouts, Boys and Girls Club Potential Participants include: Schools, Sports Teams Status: II. Research Food Recycling ® Continue Research from 2007 -2008 Consider CR &R Wet Recycling Method ® Provide updates to Board in late 2009 and 2010 III. Participate in special days and events: such as: ® National Environmental Education Week - April 12 -18 Earth Day - April 22 m International Composting Awareness Week - May 3 -9 Kids Day - August 2 California Coastal Clean -Up Day - September 19 America Recycles Day - November 15 Waste Free Lunch Day (any day) Status: IV. New District Video ® Discuss Distribution Strategy Status: V. Educate Residents Educate Residents on One- Container Mixed Trash Recycling Program ® Include articles in newsletter and other publications ® Educate Residents on Achieving 85% Recycling rate 0 Educate Residents on HHW and other proper disposal. 0 CRT- Conducted Seminars ® Junk Mail Alternatives . 0 Signs for OCC Recycling Center i Concept of Zero Waste 0 Disposal of Residential Grease 0 Utilize all opportunities 0 Create "New Resident" packages w /recycling and source reduction information Status: 0 • Protecting the Environment iy Increasing Recycling andAwareness • www.crosdca K X. Invite the following individuals to Recycling Committee meetings: • Mike Carey, OCC Recycling Center (March 2007 meeting) • Melanie Eustice, City of Costa Mesa Management Analyst & Mike Salliet • Maria Kokutani, CIWMB Status: XI. Pursue Grant Funding Pursue OC Waste and Recycle Grants Other Grants Provide monthly reports on regular meeting agenda Status: XII. Other Recycling Programs and Events a Used Tire Roundup ® Emergency Services Expo 0 Sharps Program Increase Pharmacy participation ® Add one pharmacy in 2009 and one in 2010 subject to budget limitations 0 Status: is • Protecting the Environment by Increasi rhng andAwareness Uflaw. 03103109 • • r � U �i k a V,h NEW S ,FACTS & FIGURES 111 BY CHRIS CARLSON Hasta La Vista? ...................................................................... ............................... Gov. Schwarzenegger wants to terminate the California Integrated Waste Management Board. ........................... ..................... I .,...................... harged with solving the state's reported budget deficit of $41 billion, California Gov. Arnold Schwarzenegger has proposed slashing spending by reorganizing, consolidat- ing and eliminating certain areas of state government in order to increase efficiency and ultimately balance the budget. Included in the Governor's Reorganization Plan (GRP), released in January, is the elimination of the Cali- BIGGER BANK After expanding its services to more than 90 municipalities and 210,000 households last year from 35 munici- palities and more than 100,000 homes in 2007, fornia Integrated Waste Management Board ( CIWMB).. "It's a knee-jerk reaction to a growing feeling of being fed up with California's Political environment in general," says Evan Edgar, regulatory affairs engineer for the California Refuse Recycling Council (CRRC) and one of the board's major stakeholders. Edgar claims the boards' biggest critics don't fully under- stand how the board operates and the Philadelphia -based Recy- cleBank has announced it expects to double its size in 2009. "[Last year] was a big year for us because over 1,000 rewards partners participated in the RecycleBank Rewards Program," said Morley Ivers, chief rewards officer of RecycleBank, in a press release. "We took forward to welcom- ing our next thousand Partners as we continue to inspire households to recycle." 6 WasteAge.COM FEBRUARY 2009 integral part it has played in environ- mental initiatives like recycling and greenhouse gas emission reductions. Since it was created in 1989, the CIWMB has increased the statewide recycling rate to 58 percent; regulated tire, used oil and electronics recycling; handed out more than $100 million to recycling enterprises; and distributed more than $41 million in grants for edu- cation and market development. Under the governor's proposal, the board would be eliminated, and non- recycling aspects of the board would be transferred to the Department of Toxic Substances Control, which would be renamed the Department of Toxics and Waste Management. The recycling aspects of the board would be moved to the Division of Recycling at the Depart- ment of Conservation, which is within the state's Natural Resource Agency. These moves would save the state approximately $3 million each year, according to the proposal. In January, the proposal was submit- ted to the state's Little Hoover Commis- sion, which has up to 60 days to issue a recommendation to the state legisla- ture. Thirty days after its submission to the Little Hoover Commission, the plan also is submitted to the state's Senate and Assembly. Those bodies must either allow it to pass or initiate a resolution to 4 - � Ship Shape 8 ............. Rough Road 10 .... I ...................... Scrap Trap 12 ............ . .......... Dut of Gas 14 ........................... RecycleBank provides a recycling program that tracks the amount of recyclables for a com- munity and rewards its residents with points that can be redeemed at hundreds of local and national retailers. The company claims to have doubled the recycling rates of every city that uses its program. In all, the program has diverted more than 60 million pounds of recyctables from communities' waste streams. --CC • w • Recycling Expert Presents Strong. Case For Maintaining California's Waste Board. Truly Integrated Board Is Not A Waste By Evan W.R. Edgar With overflowing landfills and a garbage barge lost at sea, the California Integrated Waste Management Board was created in 1989 to divert 50% of garbage from landfills by the year 2000, and to ensure safe landfill capac- ity. Twenty years later, having successfully achieved a 58% re- cycling rate in 2007 and securing . 35 years of sage permitted landfill capacity, the Board is on the chop- ping block against a back drop of a $41 billion state budget shortfall, with a false perception that the Board members are just plum ap- pointees. The Governor wants to "Blow Up The Boxes ", and edito- rials throughout California news- papers, including the.Sacramento Bee, are calling for the elimina- tion of this `obscure' Board. Within this budget crisis, the Governor sees opportunity to make government more efficient, and is giving new life to some of the recommendations of the Cali- fornia Performance. Review that was published in 2004. A more modest version is being promoted today, recommending consoli- dating and realigning recycling, including the elimination of the Board into a Department. The Board structure was designed to deliver good government with a blend . of transparent state over- sight and local control on per- mits and recycling. A full -time independent Board with the open stakeholder public process for all of their activity maintains.a thoughtful public participation process for the, general public, local government, environmen- talists, and industry advocates, where a Department that is stall driven is not connected to the re- alities of the world.. The unheralded Board has cleaned up 1,000 old burn dumps and illegal dump sites and en- sured proper funding for landfill post closure maintenance. The Board increased the diversion of used tires to 74 %, and managed the used oil recycling program. The Board has successfully reg- ulated the recycling of 500 mil- lion pounds of electronic waste and has funded over $3 million per year in household hazardous grants to local governments. The Board has loaned over $300 mil- lion to 120 recycling enterprises and has provided over $41 million in grants to 600 entities for edu- cation and market development. The Board has enforced minimum recycled- content laws on plas- tic containers ' and newspapers, and collaborated on ocean clean- up programs to Deep California Beautiful! On climate change is- sues, the Board has accelerated the landfill gas capture program and passed policies to divert 50% of the methane - generating or- ganic waste from landfill by 2020. The Board has been the leader in the state on green, building stan- dards, green procurement policies and promoting extended producer responsibility. This self - funded Board has maintained an entre- preneurial spirit, which is rare in government, to propel businesses to think green and inspire an in- dustry to be green. The. landfill disposal amount in California has decreased from 42 million tons in 1990 to 36 million tons today as the population grew and business expanded. With the amount of disposal decreasing, so does the state fee of $1.40 per ton of waste disposed of in landfills, which in 2008 alone has already resulted in a savings of over $5 million in state fees, and millions more in local fees. Blowing up the boxes is projected to cut $2 to $3 million per year in user fees, but may cost the state so much more in accountability and responsive- ness to the green businesses that depend on an active entrepreneur- ial Board for market development and sustainability policies. . California's recycling industry now accounts for 85,000 jobs. It generates $4 billion annually in salaries and wages, and produces $10 billion worth of goods and services annually. Recycling has become a viable, mainstream in- dustry that equivalent to the size of the motion picture industry in California, and is guided by the Board.. As the economy suf- fers and jobs are either lost, or outsourced, there need to. be pro- grams to create new jobs in Cali- fornia from our waste by- =prod- ucts. The adopted State Plan to reduce greenhouse gases to 1990 levels by 2020 depends upon the production of green low carbon transportation fuels and green energy to drive California toward energy independence. These green energy products can be de- rived from the 36 million tons of solid waste still being disposed .of today. The Board has already reduced the amount of garbage from. 1990 levels, and is poised to implement the State Plan to as- sist in reducing greenhouse gases to 1990 levels while creating do- mestic green collar jobs. The Board has been success- ful over the last 20 years and has transformed itself to be engaged in the larger mission of providing greenhouse gas reduction strat- egies using the 36 million tons of garbage for conversion into green energy products produced by emerging sustainable busi- nesses in California. The Board's open and transparent process, coupled with the vision to build upon ' today's recycling facilities for tomorrows climate change so- lutions, need to be preserved and not eliminated. Evan W.R. Edgar is a Professional Civil Engineer for Edgar & Associates, Inc. located in Sacramento and is the Regulatory Affairs Director for the California Refuse Recycling Council on recycling, waste, water; air;-toxics, and greenhouse gas issues. 0 COSTA 9�E;SA SAN, TAjZyDjSq 'I� IC7 Memorandum To: Board of Directors & Staff From: Janel Jackson & Kaitlin Tran Date: March 6, 2009 ... an Independent Speciaf District Subject: Japanese Student Tour of Frank R. Bowerman Landfill Janel Jackson and Kaitlin Tran hosted the Costa Mesa Sanitary District tour of the Frank R. Bowerman Landfill with 15 Japanese students from Shibaura Institute of Technology in Tokyo on March 5, 2009. The students study several different fields of engineering at University of California at Irvine, including materials science, applied chemistry, information technology, and mechanical, electrical, and civil engineering. During their one month here, they will also study English and American infrastructure. They graduated Friday, March 6, 2009 from UCI. Upon arrival at the landfill, we were greeted by Mr. Ray Hull, Administrative Manager and Mrs. Weena Dalby, Environmental Engineering Specialist, who directed us into the conference room for a short briefing. Mrs. Dalby discussed the underground lining, the collection of leachate water and how the methane gasses turn into liquid fuel. Mr. Hull and Mrs. Dalby conducted the tour and directed us to the landfill cell, where we stopped, watched the trucks empty the trash, and listened to the explanation of the landfill process. Japan is very stringent on recycling since it is such a small island nation, so the students were visually excited to see how Orange County recycles and the end life of trash. a LC a a t �1��4 N ROBIN B. HAMERS & ASSOC., INC. RBCIVIL ENGINEERS • PLANNERS • SURVEYORS ... since 1981 March 10, 2009 BOARD OF DIRECTORS Costa Mesa Sanitary District 628 W. 19th Street Cost Mesa, CA 92627 RE: Proposal to Begin Project Project #182 — Analysis of CCTV Results Dear Board Members: 234 E. 17TH ST., SUITE 205 COSTA MESA, CA 92627 Phone 949/548 -1192 Fax 949/548 -6516 The televising of CMSD sewer lines under the OCSD Cooperative Projects Program is scheduled to be completed by July 2009 at which time the results will be formulated into a long range repair plan. The repair plan will be the foundation for insuring the sewer system reaches its maximum life expectancy. Attached is the project description as included in the 2006 -2007 Capital Improvement Program. The expected work under the repair plan includes joint reworking, stabilizing sections of pipe that have cracks, reducing inflow and infiltration (I /I), and manhole rehabilitation. Being able to view the pipeline problems on a computer screen will allow for effective repair work. Should time exist in the project, a list of residences with roots protruding from their lateral will be formulated and the residents notified. The project budget includes approximately $15,000 for the purchase of additional hardware and software to manage the large data base. The data consists of 229 miles of District main lines and will exist on the computer system of the headquarters building and the computer system at the Manager /District Engineer's office. Viewing the video and preparation of the report will occur at the Manager /District Engineer's office. Therefore, it is proposed to complete the project at the standard hourly rate as shown below. Engineer $85.00/hr Sincerely, .4." RO IN B. HAMERS Registered Civil Engineer RCE 31720 Not to Exceed $125,000 (less any hardware or software purchased by the CMSD) Project #182 - Analysis of CCTV Results $125,000 As of June 2007, the District -wide closed circuit televising (CCTV) project is 50% complete with an expected completion date of June 2008. The CCTV project is being completed under the Orange County Sanitation District's (OCSD) Cooperative Projects Program and OCSD is funding 50% of the televising. OCSD's goal is to identify sources and decrease the volume of inflow and infiltration (1 /1) at the treatment plants. The televising was originally scheduled for completion in November 2006 but was extended with the approval of OCSD due to finding significant amounts of debris in the system. Inflow is surface water that finds its way into the sewer system through manhole covers or illegal storm drain connections and infiltration is water that enters the system underground through misaligned joints and cracks in the line. OCSD's flow doubles from 240 million gallons per day (MGD) to 480 MGD during significant storm events. All 1.2 million feet of the CMSD sewer mains are being televised by National Plant Services (NPS) and graded using the NAASCO PACP grading system. This project proposes to analyze the results and formulate a rehabilitation program. The grading system places a 5 on sewer lines that are in need of immediate repair and a 4 on lines that much be watched closely. The analysis may also include identifying sewer lateral connections to the main line that have root masses and then notifying the corresponding property owner. The analysis of CCTV Results will begin with comparing all the 5 scores and then ranking them for the forthcoming repair program. A yearly rehabilitation project is included in the 5 -year CIP beginning with the 2008 -2009 fiscal year. Included in the proposed appropriation is the purchase of the specialized software Wincam and extra hard drive space that is needed to manage the data in the approximate amount of $15,000. The project is expected to last at least six months and cannot be completed until after all the lines have been televised. Proposed appropriation $125,000 14 • • CosTA MEsA SANiTA_,ky D Memorandum ... an Independent Special District To: Board of Directors From: Marc Davis, Treasurer /Director of Finance Date: March 12, 2009 Subject: Budget Adjustment for Plan Check and Inspection Costs Recommended Action Approve budget adjustment in the amount of $100,000 to provide adequate funding for additional plan check and inspection costs for the fiscal year ending June 30, 2009. Executive Summary Included in the adopted budget for fiscal year 2008 -09 is an appropriation in the amount of $100,000 for plan check and inspection costs in the Sewer Fund. With the success of the sewer lateral program, the plan check and inspection costs required for the fiscal year are projected to exceed the budget. A budget adjustment is necessary to provide adequate finding for the increase in plan check and inspections related to the sewer lateral program. The proposed budget adjustment to provide adequate funding for plan check and inspections is as follows: Account Account Number Increase Decrease Plan Check/Inspection — Inside 20- 200000 -4216 $100,000 Non - Operating Expense 20- 200000 -4950 $100,000 Protecting our community's health by providing solid waste and sewer coffection services. crosdcagov RESOLUTION NO. 2009 -763 A RESOLUTION OF THE BOARD OF DIRECTORS OF THE COSTA MESA SANITARY DISTRICT AUTHORIZING THE ASSISTANT MANAGER TO SIGN AND FILE FOR ON BEHALF OF THE COSTA MESA SANITARY DISTRICT A FINANCIAL ASSISTANCE APPLICATION FOR A LOAN /GRANT FROM THE STATE WATER RESOURCES CONTROL BOARD BE IT RESOLVED by the Costa Mesa Sanitary District Board of Directors that the Costa Mesa Sanitary District Assistant Manager is hereby authorized and directed to sign and file, for and on behalf of the Costa Mesa Sanitary District a Financial Assistance Application for a loan /grant from the State Water Resources Control Board in the amount not to exceed Two Million Six Hundred Twenty Thousand Dollars , for the planning, design, and construction of the Costa Mesa Sanitary District "LEED" Yard Project and; BE IT RESOLVED that the Costa Mesa Sanitary District hereby agrees and further does authorize the aforementioned representative or his /her designee to certify that the Agency has and will comply with all applicable state and federal statutory and regulatory requirements related to any federal and state loan /grants received, and; BE IT FURTHER RESOLVED that the Assistant Manager or his /her designee of the Costa Mesa Sanitary District is hereby authorized to negotiate and execute a loan /grant contract and any amendments or change orders thereto and certify loan /grant disbursements on behalf of the Costa Mesa Sanitary District. PASSED and ADOPTED on this 20th day of March 2009. Secretary, Costa Mesa Sanitary District Board of Directors • President, Costa Mesa Sanitary District Board of Directors STATE OF CALIFORNIA ) COUNTY OF ORANGE } SS CITY OF COSTA MESA ) I, Joan Revak, Clerk of the Costa Mesa Sanitary District, hereby certify that the above and foregoing Resolution No. 2009 -763 duly and regularly passed and adopted by said Board of Directors at a regular meeting thereof held on the 20th day of March 2009. IN WITNESS WHEREOF, I have hereunto set my hand and affixed the seal of the Costa Mesa Sanitary District, this day of 2009. Clerk of the Costa Mesa Sanitary District .7 • V $1 A 4r-, CALIFORNIA WATER ENVIRONMENT ASSOCIATION