Agenda Packets - Board - 2004-03-110
C
�S�,SRFtIPg�9 T
h�n me aoJoa � � s
o _mA Sa Costa Mesa an -A I
... an Independent Special District
`y�'Ofla'�p
AGENDA
Arlene Schafer
President
Greg Woodside
Vice President
Art Perry
Director
rJ
� _ a � AltNlV P3t3Y `l+
Jim Ferryman
Secretary
Dan Worthington
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.
In compliance with ADA, contact Joan Revak, (714) 754 -5087, 48 hours prior to meeting if assistance is
needed (28 CFR 35.102.35.104 ADA Title II).
• Regular Meeting - Thursday, March 11, 2004
RECOMMENDED
ACTION
I. CALL TO ORDER — 6:00 p.m. — Conference Room 1A - Costa Mesa City Hall
II. PLEDGE OF ALLEGIANCE — Director Perry
III. INVOCATION — Director Woodside
IV. ROLL CALL
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. Recycling Committee Meeting — February 9, 2004
• 2. Regular Meeting — February 12, 2004
3. Special Meeting — February 23, 2004
ftotecting our community's health 6y providing solid waste and sewer collection services.
costamesasanitarydistrict. org
Costa Mesa Sa-n7tarS District March 11, 2004
AGENDA Page 2
RECOMMENDED
ACTION
Manager's Reports
4. Refunds Approve
5. Occupancy Report and payment to Costa Mesa Disposal — February 2004 Approve
6. Monthly Spill Report to Regional Water Quality Control Board (RWQCB) Receive and File
Engineer's Reports
7. Project Status Report Receive and File
Treasurer's Reports
8 Financial Report as of February 29, 2004 Accept Report
9. Report of Monies on Deposit as of February 29, 2004 Receive and File
10. Warrant Register for March 2004 in the amount of $653,912.59 Approve Payment
11. Directors' Compensation and Reimbursement of Expenses for the Ratify Expenses
10 Month of February 2004
-------------------------------------- - - - - -- -END OF CONSENT CALENDAR--------------------------------------- - - - - --
VI. WRITTEN COMMUNICATIONS
VII. PUBLIC COMMENTS
VIII. MANAGER'S REPORTS
A. Anti - Scavenging and Screening of Trash Containers Enforcement Reports
B. CMSD Strategic Plan
1. Year 2003/2004 Action Items
2. Separation of Administrative Staff from City
C. Recycling Reports
1. Waste Diversion Report — February 2004
D. Contract Payment to CR Transfer for recycling
• services and disposal
Consider
Receive and File
Consider Follow Up
Action to 3/8/04 Special
Meeting
Receive and File
1. Payment for February 2004 Services Approve Subject to
Verification of Diversion
Report by Staff
Protecting our community's health by providing solid waste and sewer collection senvices.
costamesasanitarydistrict. orb
Costa Mesa SG(nit ar-Y District
AGENDA
l�J
IX.
X.
rX
0
L
I
G
H
3- �s - pm*"//O�)o -
.3 - 9 �- �@&ZV4//ffo
Costa Mesa Disposal Request or Fully -Au mated Service and
Presentation of Master Plan �i � M,
City of Costa Mesa /CMSD /MCWD Liaison Meeting
Closed Session with Real Property Negotiators Pursuant to Government
Code Section 54956.8:
Property: 628 W. 19th Street, Costa Mesa, California
Agency Negotiators May Include: Arlene Schafer, Jim Ferryman,
Rob Hamers, Tom Fauth, Joan Revak
Negotiating Parties: Cheong Lee Family LLC
Under Negotiation: Price and Terms of Purchase
March 11, 2004
Page 3
RECOMMENDED
ACTION
'M M:eting_Schecl.uled
Reschedule Meeting
r
7OG '70
T30 0
Property: 1914 Meyer Place, Costa Mesa, California
Agency Negotiators May Include: Arlene Schafer, Jim Ferryman, Dolt
Rob Hamers, Tom Fauth, Joan Revakii
Negotiating Parties: Gene LaBlanc�,
Under Negotiation: Price and Terms of Purchase
4 - -/
Recycling Committee — Tuesday, March 9, 2004 — 9:00 a.m., CR -1A Q
(Directors Worthington and Perry)
1. Strategic Planning 2003 -2004 - Public Outreach — Classroom
Recycling Projects
2. 2003 School Telephone Book Recycling Program
3. Greeting Card Recycling Program
ENGINEER'S REPORTS
A. Waste Discharge Requirements (WDR) l41 ac
1. General Update
TREASURER'S REPORTS
Consider
Report on Presentations
Accept Report
Verbal Report from
Manager and Attorney
ATTORNEY'S REPORTS
���F_ 41
A. 433 Walnut Place — Agreement with Property Owner L�,A (�,�'� Consider
7y/._Ar� cmyv .,&, -4 jva,4tt,� I I �u com/10.1 4'�
Protecting our community's health by providing solid waste and sewer collection services.
costamesasanitarydiistric t. org
Costa mesa SaY1.7ta -t, N District March 11, 2004
AGENDA Page 4
r RECOMMENDED
ACTION
XII. LOCAL MEETINGS
A. Orange County Sanitation District (OCSD) 44447#�r AjVwl.
1. Regular Me in February 25, 2004 (Director Ferryman) Accept Report
lb
B. Independent Sp ial Districts of Orange County (ISDOC) aq -a°��•
4A16N
zz 1. Membership Duel for 20 4 -2005 in the am Approve Payment
C. Local Agency Formation Commission (LAFCO) � o suede '�
D. California Special Districts Association (CSDA) Accept Report
XIII. OLD BUSINESS
XIV
XV
�1
•
NEW BUSINESS
ORAL COMMUNICATIONS AND DIRECTOR COMMENTS
ADJOURNMENT
Protecting our community's health by providing solid waste and sewer collection services.
costamesasanitarydistric t. org
COSTA MESA SANITARY DISTRICT
MINUTES OF RECYCLING COMMITTEE MEETING
FEBRUARY 9, 2004
The Costa Mesa Sanitary District Recycling Committee met at 9:00 a.m. in
conference room 5A at the Civic Center, 77 Fair Drive, Costa Mesa.
Directors Present: Dan Worthington, Arlene Schafer
Staff Present: Rob Hamers, Tom Fauth, Joan Revak
Director Worthington called the meeting to order at 9:00 a. m.
STRATEGIC PLANNING 2004 - PUBLIC OUTREACH - CLASSROOM RECYCLING PROJECTS
® Director Worthington reported a presentation at Killybrooke School was cancelled.
A presentation is scheduled for February 23, 2004 at Adams Elementary School.
C
COSTAMAZING - DISTRICT PARTICIPATION
Ms. Revak reported the CostaMazing event went very well. Pepper Tree packets,
District brochures, promotional materials and videotapes were distributed at the
District's booth. Representing the District at the event were Directors Woodside,
Perry and Ferryman as well as Staff members Rob Hamers, Tom Fauth, Joan
Revak and Denise Gilbert.
2003 SCHOOL TELEPHONE BOOK RECYCLING PROGRAM
Ms.. Revak presented the final report on the 2003 School Telephone Book
Recycling Program. It was another successful year in the program with a total of
16,155 books (32.31 tons) collected. Kline school won for the elementary category,
TeWinkle won for middle school, and Estancia won again for the high school
competition. A total of $10,239 will be distributed to the schools.
Ms. Revak reported a total of 125,000 books (250 tons) have been collected since
the inception of the program in 1996 with schools receiving awards from the District
totaling $71,000.
omecting our community s health 6y providing soCud waste and sewer collection services.
costamesasanitarydutrict. org
��5 SANIt�R�O� Costa Mesa Sanitary District
y�,mo Minutes of Recycling Committee Meeting
' Y February 9, 2004
Page 2 •
04PORA'��,9
2003 CHRISTMAS TREE RECYCLING PROGRAM
Ms. Revak presented a final report on the 2003 Christmas Tree Recycling Program,
reporting that 9,126 trees (118.63 tons) were collected for recycling.. The City of
Costa Mesa reimbursement request totaled $5,913.70.
RECYCLING DRY CELL BATTERIES
Director Worthington reported CR Transfer currently separates batteries from the
trash with their magnetic system. Since a large percentage of batteries are
currently being removed from the waste stream, Costa Mesa Sanitary District will
not pursue a program at this time.
PUBLIC COMMENTS
There were no public comments.
The meeting was adjourned at 9:57 a.m.
Secretary
•
President
P-.�
Protecting our community's heafth 6y prong solid waste and sewer collection services.
costamesasanitarydfistrict. org
COSTA MESA SANITARY DISTRICT
MINUTES OF BOARD OF DIRECTORS REGULAR MEETING
FEBRUARY 12, 2004
CALL TO ORDER The Board of Directors of the Costa Mesa
Sanitary District met in regular session on
February 12, 2004, at 6:00 p.m. in Room 1 -A
of the Civic Center, 77 Fair Drive, Costa Mesa.
President Schafer called the meeting to order
at 6:00 p.m.
PLEDGE OF ALLEGIANCE Director Ferryman led the Pledge of Allegiance
INVOCATION . Director Woodside gave the invocation.
ROLL CALL
DIRECTORS PRESENT: Arlene Schafer, Greg Woodside, Art Perry,
James Ferryman, Dan Worthington
DIRECTORS ABSENT: None
STAFF PRESENT: Robin Hamers, Manager /Engineer; Alan
Burns, Legal Counsel; Tom Fauth, Assistant
Manager; Joan Revak, Clerk of the District;
Marc Puckett, Treasurer; Bobby Young,
Finance; Ron Shef, District Ordinance
Enforcement Officer; Debbie Bjornson, Permit
Processing Specialist; Denise Gilbert, Permit
Processing Specialist
OTHERS PRESENT: None
. ............................... CONSENT CALENDAR ..............................
Ms. Revak reported an addition to the expense reimbursement report for Directors.
Director Perry attended a meeting on January 28, 2004 at the Orange County Sanitation
District.
+�S *SANIt��,N COSTA MESA SANITARY DISTRICT .'
MINUTES OF BOARD OF DIRECTORS REGULAR MEETING
s a
FEBRUARY 12, 2004
PAGE 2
Director Worthington suggested directing Staff to modify the expense report to provide
room to document all the activities each Director participates in on the District's behalf,
not just items where a stipend is received.
Director Ferryman motioned to approve the Consent Calendar as corrected. Director
Woodside seconded. Motion carried 5 -0.
REPORTS
MINUTE APPROVAL
Minutes of Recycling The Minutes of the Recycling Committee Meeting of
Committee Meeting, January 6, 2004, were approved as distributed.
January 6, 2004
Minutes of Investment The Minutes of the Investment Oversight Committee
Oversight Committee Meeting of January 8, 2004, were approved as
Meeting, distributed.
January 8, 2004
Minutes of Regular The Minutes of the Regular Meeting of January 8,
Meeting, 2004, were approved as distributed.
January 8, 2004
Minutes of Special The Minutes of the Special Meeting of January 15,
Meeting, 2004, were approved as distributed.
January 15, 2004
MANAGER'S REPORTS
Refunds In accordance with Resolution No. 96 -584, adopted by
the Costa Mesa Sanitary District on April 17, 1996, the
following refunds were granted subsequent to receiving
a signed statement from the applicants:
Refund request by Refund to: Mark Michael Severns
Mark Michael Severns Parcel Address: 201 E. 16th Street
of $1,557.02 Assessor's Parcel Number: 425 - 334 -04
Trash Refund: $1,557.02
Number of Units on Parcel: 4
Reason for Request: Owner using private trash service
Refund for years: 2002/2003, 2003/2004
• +�y'y "Nry,,��o COSTA MESA SANITARY DISTRICT
s ^=' MINUTES OF BOARD OF DIRECTORS REGULAR MEETING
=s FEBRUARY 12, 2004
�roNARa` PAGE 3
Occupancy Report and The Revised Trash Occupancy Count documented no
Payment of $181,890.29 increase or decrease for the occupancy report for solid
to Costa Mesa Disposal — waste collection as of February 1, 2004. Therefore, the
February 2004 total for February is 21,077.
Board directed Staff to prepare a warrant for
$181,890.29 to Costa Mesa Disposal on March 1, 2004,
for payment for February trash collection based on the
February count of 21,077.
Monthly Spill Report to The Monthly Spill Report to the Regional Water Quality
Regional Water Quality Control Board (RWQCB) for January 2004 was
Control Board (RWQCB) accepted as submitted.
ENGINEER'S REPORTS
Project Status Report
TREASURER'S REPORTS
Financial Report as of
January 31, 2004
Report of Monies on
Deposit as of
January 31, 2004
The Project Status Report dated February 2004, was
accepted as submitted. .
The Financial Report as of January 31, 2004, was
accepted as submitted.
The Report of Monies on Deposit as of January 31,
2004, was received and filed.
Warrant 2004 -08 for Warrant Resolution #CMSD 2004 -08 was approved,
February 2004 in the authorizing the President and Secretary to sign the
amount of $664,376.43 warrant and instructing the Treasurer to draw a warrant
from the Costa Mesa Sanitary District General Fund in
the amount of $664,376.43.
Directors Expenses for the Director Expenses for the Month of January 2004 were
Month of January 2004 ratified as follows:
Director Ferryman: $510.00
Director Perry: $1020.00
President Schafer: $1020.00 + $63.98
Vice President Woodside: $680.00
Director Worthington: $1020.00 + $135.61
COSTA MESA SANITARY DISTRICT
MINUTES OF BOARD OF DIRECTORS REGULAR MEETING
"s a
FEBRUARY 12, 2004
PAGE 4
.......................... END OF CONSENT CALENDAR .........................
WRITTEN COMMUNICATIONS
Ms. Revak reported Director Worthington and Mr. Fauth received a letter from Mr. Guy
Erskine, Newport-Mesa Unified School District, dated January 16, 2004, thanking them
for the vermicomposting presentation at Rea Elementary School. The package
contained letters individually written by all Nature Center students. A representative
letter was provided to the Board.
PUBLIC COMMENTS
There were no public comments made, no public in attendance.
MANAGER'S REPORTS
ANTI - SCAVENGING AND SCREENING OF TRASH CONTAINERS ENFORCEMENT REPORTS
POLICE REPORT
Mr. Hamers resented a memorandum providing the scavenging statistics for
p P
January 2004 as follows:
I nr_ntinn Calls for Service Cite /Arrest
Area 1
0
0
Area II
1
0
Area III
3
0
Area IV
0
0
TOTAL
4
0
DISTRICT ORDINANCE ENFORCEMENT OFFICER REPORT
Mr. Hamers presented the ordinance enforcement summary report for the five -
week period beginning December 22, 2003 and ending January 25, 2004.
Mr. Shefs summary report contained the following information:
• 25 flyers given to residents and 5 containers oversprayed and ID tagged.
• Visited two multifamily dwelling sites — one to ascertain feasibility of CMSD
standardized containers and the other to determine whereabouts of existing
CMSD standardized containers from the complex slated for demolition.
Letters being generated and sent to residents with two or more courtesy
notices to serve as a final notification prior to issuance of citation.
0-mik-, COSTA MESA SANITARY DISTRICT
MINUTES OF BOARD OF DIRECTORS REGULAR MEETING
V FEBRUARY 12, 2004
0 '� PAGE 5
CMSD STRATEGIC PLAN
YEAR 2004/2004 ACTION ITEMS
Mr. Hamers presented the 2003/2004 Strategic Planning Action Items.
SEPARATION OF ADMINISTRATIVE STAFF FROM CITY
Mr. Hamers reported a special meeting is scheduled for February 23, 2004 at
6:00 p.m. and confirmed attendance.
Director Woodside motioned to receive and file the Strategic Plan. Director Perry
seconded. Motion carried 5 -0.
RECYCLING REPORTS
WASTE DIVERSION REPORT - JANUARY 2004
The Waste Diversion Report for January showing a diversion rate of 50.11 was
presented to the Board.
Director Ferryman motioned to receive and file the Waste Diversion Reports for
January. Director Woodside seconded. Motion carried 5 -0.
CONTRACT PAYMENT TO CR TRANSFER FOR RECYCLING SERVICES AND DISPOSAL
PAYMENT FOR JANUARY 2004 SERVICES
Director Ferryman motioned to approve contract payment to CR Transfer for
recycling services and disposal for the month of January 2004, in the amount of
$163,965.36. Director Woodside seconded. Motion carried 5 -0.
COSTA MESA DISPOSAL REQUEST FOR FULLY - AUTOMATED SERVICE AND PRESENTATION
OF MASTER PLAN
Mr. Hamers reported he received a letter from CR & R proposing fully- automated
service. Mr. Hamers suggested a special meeting to discuss the proposal and
Master Plan.
A special meeting was set for Monday, March 29, 2004 at 6:00 p.m.
("'.' MIl���Q COSTA MESA SANITARY DISTRICT
a MINUTES OF BOARD OF DIRECTORS REGULAR MEETING
FEBRUARY 12, 2004
IV PAGE 6
PURCHASE OF ADDITIONAL STANDARDIZED CONTAINERS
Mr. Fauth discussed the purchase of additional standardized containers. The
existing inventory is nearly depleted and requires replenishment to service the
needs of residents. Mr. Fauth recommended the purchase of 300 90- gallon units
and 300 60- gallon units. The cost will be $31,581.
Discussion was held regarding the future charge to residents for additional
containers. Mr. Fauth reported new developers are being charged for containers.
The Board requested an accounting of fees paid by developers for new containers.
Mr. Hamers recommended that, as part of the Master Plan, the variable rate
structure that will be discussed by Costa Mesa Disposal is one of the steps that
needs to be taken. Director Ferryman suggested discussion regarding residents
upgrading to larger sized containers.
Director Ferryman motioned to approve the purchase of additional standardized
containers, not to exceed $31,581. Director Woodside seconded. Motion carried
5 -0.
CITY OF COSTA MESA/CMSD /MCWD LIAISON MEETING
Mr. Hamers reported the liaison meeting with the City of Costa Mesa, Costa
Mesa Sanitary District, and MCWD has been cancelled numerous times recently.
Significant staff time is involved in setting up the meetings. President Schafer
suggested setting the meetings with the understanding that the meeting will be
held, even if some participants cannot attend.
CLOSED SESSION WITH REAL PROPERTY NEGOTIATORS PURSUANT TO GOVERNMENT
CODE SECTION 54956.8
PROPERTY: 628 W. 19th Street, Costa Mesa, California
AGENCY NEGOTIATORS MAY INCLUDE: Arlene Schafer, Jim Ferryman, Rob
Hamers, Tom Fauth, Alan Burns, Joan Revak, and Mark Puckett
NEGOTIATING PARTIES: Cheong Lee Family LLC
UNDER NEGOTIATION: Price and Terms of Purchase
Mr. Burns suggested the topic be moved to the end of the meeting.
•
•
Director Ferryman motioned to move the closed session to the end of the meeting. .
Director Perry seconded. Motion carried 5 -0.
COSTA MESA SANITARY DISTRICT
MINUTES OF BOARD OF DIRECTORS REGULAR MEETING
FEBRUARY 12, 2004
• PAGE 7
RECYCLING COMMITTEE - MONDAY, FEBRUARY 9, 2004 - 9:00 A.M., CR -5A DIRECTORS
WORTHINGTON AND PRESIDENT SCHAFER
STRATEGIC PLANNING 2004 - PUBLIC OUTREACH - CLASSROOM RECYCLING
PROJECTS
Director Worthington reported a presentation at Killybrooke School was
cancelled. Director Worthington hopes to schedule additional presentations for
the year.
COSTAMAZING - DISTRICT PARTICIPATION
Ms. Revak reported the CostaMazing event went very well. Pepper Tree packets
and videotapes were distributed at the event.
Ms. Revak gave some Pepper Tree packets to the Historical Society.
2003 SCHOOL TELEPHONE BOOK RECYCLING PROGRAM
Director Worthington reported the 2003 School Telephone Book Recycling
Program has ended with another successful collection. A total of 16,155 books
(32.31 tons) were collected. Kline school won for the elementary category,
TeWinkle won for middle school, and Estancia won again for the high school
competition. A total of $10,239 will be distributed to the schools.
There has been a total of 125,000 books, (250 tons) collected since the inception
of the program in 1996 with schools receiving a total of $71,000.
2003 CHRISTMAS TREE RECYCLING PROGRAM
Director Worthington reported the 2003 Christmas Tree Recycling Program
recycled 9,126 trees (118.63 tons). The City of Costa Mesa reimbursement
request totaled $5,913.70.
RECYCLING DRY CELL BATTERIES
Director Worthington reported CR Transfer currently separates batteries from the
trash with their magnetic system. Since a large percentage of batteries are
currently being removed from the waste stream, Costa Mesa Sanitary District will
not pursue a program at this time.
•
COSTA MESA SANITARY DISTRICT
a MINUTES OF BOARD OF DIRECTORS REGULAR MEETING
I% FEBRUARY 12, 2004
PAGE 8
ENGINEER'S REPORTS
WASTE DISCHARGE REQUIREMENTS — (WDR)
GENERAL UPDATE
Mr. Hamers provided a brief report on the current status.
Mr. Burns reported the model grease ordinance is nearly ready for distribution.
RECONSTRUCTION OF 19TH STREET SEWER MAIN
DEPOSIT OF A MAXIMUM OF $20,000 TO CITY OF COSTA MESA FOR INCLUSION OF
WORK WITH CITY PROJECT
Mr. Hamers reported the City of Costa Mesa requested and was given a set of
construction plans to lower the sewer line at 191h Street west of Anaheim Avenue
to avoid interference with a new storm drain line the City is designing on
Anaheim Avenue.
Director Perry motioned to ratify the work done by the District Engineer in
preparation of the construction plans for the City and approve a deposit to the
City of Costa Mesa for inclusion of work with City project, not to exceed $20,000.
Deposit to be held until the City delay has been resolved. Director Ferryman
seconded. Motion carried 5 -0.
PROGRESS REPORT — PROJECT #101 WESTSIDE PUMPING STATION ABANDONMENT
Mr. Hamers provided an update as requested by Director Woodside at the
January 2004 regular meeting. The project goal is to abandon six Westside
Costa Mesa Sanitary District pumping stations. The project was reprioritized by
OCSD due to the bankruptcy and change in management personnel.
Director Ferryman spoke to OCSD Manager, Blake Anderson, and received a
commitment to reconsider the project.
District Staff met with OCSD Staff on two occasions to discuss the improvement.
The current estimate of cost to OCSD is $2 million.
Both OCSD and the Costa Mesa Sanitary District are exchanging sewer plans
and atlas sheets to further study the College Pump Station. After completion of
their independent work, the two Staffs will meet again to discuss both projects
and come closer to a staff recommendation for each agency.
•
C
•
•
+�S'yAXIlA., ' • COSTA MESA SANITARY DISTRICT
MINUTES OF BOARD OF DIRECTORS REGULAR MEETING
- a FEBRUARY 12, 2004
�rouri°`� PAGE 9
Director Woodside motioned to accept the report. Director Perry seconded. Motion
carried 5 -0.
TREASURER'S REPORTS
STATE BUDGET UPDATE
Mr. Puckett provided an update on the State Budget and it's potential impact on the
Costa Mesa Sanitary District. Mr. Puckett provided a number of handouts to the
Board and will provide additional reports as more information is gathered.
ATTORNEY'S REPORTS
433 WALNUT PLACE AGREEMENT — AGREEMENT WITH PROPERTY OWNER
Mr. Burns reported no agreement was reached regarding the indemnification of the
District. Mr. Burns reported it would not be in the District's best interest to agree to
the terms the property owner is requesting.
Director Perry directed Mr. Burns and Mr. Hamers to reconfirm the District's position
regarding the 433 Walnut Place Agreement and to respond as deemed proper for
protection of the District. Director Woodside seconded. Motion carried 5 -0.
RESOLUTION NO. 2004 -679 ORDERING THAT PUBLICATION OF ORDINANCE NO. 44
AMENDING THE DISTRICT'S OPERATIONS CODE WITH RESPECT TO SEWER AND TRASH
CHARGE EXEMPTIONS AND REFUNDS HAS OCCURRED
Mr. Burns introduced Resolution No. 2004 -679, A RESOLUTION OF THE BOARD
OF DIRECTORS OF THE COSTA MESA SANITARY DISTRICT ORDERING THAT
PUBLICATION OF ORDINANCE NO. 44 AMENDING THE DISTRICT'S
OPERATIONS CODE WITH RESPECT TO SEWER AND TRASH CHARGE
EXEMPTIONS AND REFUNDS HAS OCCURRED.
Director Woodside motioned to adopt Resolution No. 2004 -679. Director Ferryman
seconded. Motion carried 5 -0.
COSTA MESA SANITARY DISTRICT
s ° MINUTES OF BOARD OF DIRECTORS REGULAR MEETING
'pro" "no`,s FEBRUARY 12, 2004
PAGE 10
LOCAL MEETINGS
ORANGE COUNTY SANITATION DISTRICT (OCSD)
REGULAR MEETING — JANUARY 28, 2004 (DIRECTOR FERRYMAN
Director Ferryman attended the January 28, 2004 meeting and reported the
following:
• Recommendation requested regarding undercharging /overcharging
• Director Ferryman went to Washington D.C. with Jim Silva to ask the
Congressional Delegation to request $10 million for secondary treatment
facilities
• Picture of Costa Mesa town center skyline presented to Congressman
Dana Rohrabacher
SANTA ANA RIVER FLOOD PROTECTION AGENCY
MEETING — JANUARY 22, 2004 •
Director Perry and Director Ferryman attended the January 22, 2004 Santa Ana
River Flood Protection Agency and reported they discussed funding for the Prado
Dam. Director Ferryman distributed photographs of the completion to date.
Director Ferryman stated the project required $25 million and only $18 million
was received. Additional funds were borrowed from other projects, but there isn't
enough to continue the project for the entire year. Director Ferryman projected
the project has an additional 3 months of funding.
Director Ferryman reported they discussed Prado Dam funding while in
Washington D.C. and stated no one wants to see the project stop.
INDEPENDENT SPECIAL DISTRICTS OF ORANGE COUNTY ( ISDOC)
President Schafer reported the Executive Board meeting was held on February
3, 2004, and they discussed the following:
• CSDA update
• Legislation in Sacramento involving Special Districts
• General ISDOC meeting will be April 29, 2004
• Ken Lee from LAFCO will make an update presentation on MSR's
•
COSTA MESA SANITARY DISTRICT
MINUTES OF BOARD OF DIRECTORS REGULAR MEETING
- FEBRUARY 12, 2004
PAGE 11
LOCAL AGENCY FORMATION COMMISSION ( LAFCO)
President Schafer attended the February 11, 2004, LAFCO meeting and reported
they will discuss the following:
• Dana Smith resignation
• Search for new Executive Officer
• Bob Aldrich interim Executive Officer
CHAMBER OF COMMERCE
MEMBERSHIP INVESTMENT FOR 04/01/04 TO 04/01/05 IN THE AMOUNT OF $380
Director Woodside motioned to pay membership fees to the Costa Mesa
Chamber of Commerce in the amount of $380. Director Perry seconded. Motion
carried 5 -0.
CALIFORNIA SPECIAL DISTRICTS ASSOCIATION (CSDA)
President Schafer reported her recent involvement with CSDA has occurred via e-
mail. President Schafer provided a list of legislative bills for the Board's perusal. A
conference call is scheduled for Friday, February 13, 2004 for CSDA board
members.
President Schafer reported receiving a thank you letter from Catherine Smith,
Executive Director, California Special Districts Association, for the $250 financial
contribution to assist in offsetting the costs associated with formulating, drafting, and
research efforts for a statewide ballot initiative.
SPECIAL DISTRICT GOVERNANCE ACADEMY
President Schafer introduced the brochure for the upcoming Special District
Governance Academy. Discussion was held regarding attendance.
Director Worthington requested Ms. Revak check which sessions he has
attended to date.
CALIFORNIA ASSOCIATION OF SANITATION AGENCIES (CASA)
CONFERENCE - JANUARY 21 -24, 2004 IN PALM SPRINGS ATTENDED BY PRESIDENT
SCHAFER AND DIRECTOR WORTHINGTON
President Schafer and Director Worthington attended the CASA conference in
Palm Springs, January 21 -24, 2004, at the Hilton Palm Springs Hotel. Director
COSTA MESA SANITARY DISTRICT
MINUTES OF BOARD OF DIRECTORS REGULAR MEETING
FEBRUARY 12, 2004
PAGE 12
•
Worthington reported the meeting was very informative and was impressed with
how much information could be gathered from the organization.
MEMBERSHIP IN CASA
Mr. Puckett suggested inquiring as to the term the membership covers and
requesting prorating of dues, if applicable. Ms. Revak will inquire.
Director Woodside motioned to approve membership in California Association of
Sanitation Agencies (CASA) in the amount not to exceed $2,870.77, with memo
written by Staff to inquire about prorating the dues. Director Ferryman seconded.
Motion carried 5 -0.
Director Worthington reported the next meeting will be in May in Squaw Valley
and the final for the year in August in Monterey.
OLD BUSINESS
Mr. Fauth reported on the citation issued to 174 The Masters Circle for resistance to
comply with Costa Mesa Sanitary District trash collection ordinances. The arraignment
has been postponed to March 4, 2004. Mr. Burns reported a deputy district attorney ,
has been assigned to the case.
NEW BUSINESS
There was no new business discussed.
ORAL COMMUNICATIONS AND DIRECTOR COMMENTS
There were no oral communications.
President Schafer convened the meeting to Closed Session at 7:54 p.m.
r1
COSTA MESA SANITARY DISTRICT
s $
MINUTES OF BOARD OF DIRECTORS REGULAR MEETING
FEBRUARY 12, 2004
PAGE 13
CLOSED SESSION
CLOSED SESSION WITH REAL PROPERTY NEGOTIATORS PURSUANT TO GOVERNMENT
CODE SECTION 54956.8
PROPERTY: 628 W. 19th Street, Costa Mesa, California
AGENCY NEGOTIATORS INCLUDE: Arlene Schafer, Jim Ferryman, Rob Hamers, Tom
Fauth, Alan Burns, Joan Revak, and Mark Puckett
NEGOTIATING PARTIES: Cheong Lee Family LLC
UNDER NEGOTIATION: Price and Terms of Purchase
The meeting reconvened at 9:03 p.m.
The team was given authority to negotiate.
ADJOURNMENT
At 9:05 p.m., President Schafer adjourned the meeting.
SECRETARY
PRESIDENT
V � y
f
. yC�4PORK��`9
COSTA MESA SANITARY DISTRICT
MINUTES OF BOARD OF DIRECTORS SPECIAL MEETING
FEBRUARY 23, 2004
The Board of Directors of the Costa Mesa Sanitary District attended a duly noticed
Special Meeting on February 23, 2004 at 6:00 p.m., in Conference Room 1A at the
Civic Center, 77 Fair Drive, Costa Mesa.
Directors Present: Arlene Schafer, Greg Woodside, James Ferryman, Arthur Perry
Dan Worthington
Staff Present: Robin B. Hamers, Manager /District Engineer; Thomas A. Fauth,
Assistant Manager; Joan Revak, Clerk of the District; Alan
Burns, Legal Counsel; Marc Puckett, District Treasurer; Bobby
Young, Accounting Supervisor
Others Present: Donald E. Gregg, Curtis & Associates Commercial &
Residential Real Estate Services, 3187 Airway Avenue, Suite F,
Costa Mesa
Public Comments
There were no public comments made.
II. City's Response to the District's Draft City /District Agreement
A response from the City of Costa Mesa was not received. Mr. Puckett advised
that the City Manager, City Attorney, Public Services Director and himself have a
meeting scheduled for Wednesday, February 25, 2004.
CLOSED SESSION
President Schafer adjourned the meeting to closed session at 6:10 p.m.
III. Closed Session with Real Property Negotiators Pursuant to Government
Code Section 54956.8
President Schafer returned to the Special Meeting at 7:11 p.m. Agency negotiators
were given authority to negotiate for the properties at 628 W. 19th Street and 1914
Meyer Place, Costa Mesa, CA.
Costa Mesa Sanitary District Page 2
Minutes of Special Meeting Held February 23, 2004
IV. Consider Approval in Concept of Proposed CMSD Benefit Package •
Mr. Fauth summarized activities, documents and benefits prepared by Staff to
assist in transition to a new facility and operations independent of the City of
Costa Mesa. The Board of Directors discussed the proposed CMSD benefit
package.
V. Consider Employment Issues
A. Treasurer's Analysis of Cost of City Services as Described in City's
Proposal to Provide Technical Support Services (Finance and Field
Crews)
Mr. Puckett provided a revised contractual services proposal dated February
20,2004. The Board of Directors accepted the report.
B. CLOSED SESSION
President Schafer adjourned the meeting to closed session at 8:32 p.m.
Pursuant to Government Code Section 54957.6 to review outside contractor
rates and to give authority to its labor negotiator, the District Manager, to
negotiate with the District Treasurer, Assistant Manager, District Clerk, Permit
Processing Specialists and Field Crew Members.
2. To consider parameters of employer /employee relations for purposes of
negotiation with respect to the above prospective employees and to discuss
its position with the District's labor negotiator, the District Manager.
President Schafer returned to the Special Meeting at 9:39 p.m. No action was taken at
the closed session.
President Schafer adjourned the meeting at 9:40 p.m.
Secretary
President
•
Protecting our community's health 6y providting solid waste and sewer coQection semi=.
costamesasanitarydi trict org
•
Costa Mesa Sanitary District
PROJECT STATUS REPORT
March 2004
Project 1112100 -101 West Side Pumping Station Abandonment Study
District Staff has met with OCSD and CNB Staff to review the project on a number of
occasions. CMSD Staff has requested OCSD Staff to consider an OCSD commitment of
approximately $2 million to make possible the desired option.
Project 1112100 -129 Bristol Street Pumping Station
The County of Orange plans on widening Irvine Avenue, which will cause
relocation of the CMSD Tustin 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 and the Sanitary District
is preparing a new three party agreement reflecting these findings.
Project 1112100 -135 Reconstructing Force Main for Elden Pumping Station (Phase II)
Construction is complete. The District and City of Costa Mesa are awaiting
comments from the State on the easement and rights -of -way documents
submitted. A reminder letter was sent to the O.C. Fairgrounds to continue
consideration of the easements.
Project 1112100 -147 Update Early Warning System Protecting Pumps
Installation of heat and moisture sensors has been completed in seven pumping
stations. Four other stations will have heat and moisture sensors when new
pumps are installed when the old pumps reach their life expectancy.
Project 1112100 -159 Televising_ Sewer Lines Program Years 98 -99, 99 -2000
The Back Bay Gardens area consisting of Rue De Cannes, Napoli Way, Monaco
Terrace, etc. was televised in September 2003 and a small segment of main line
replaced.
Project 1112100 -162 Pilot Program -Use of Enzymes to Control Grease and
Odors
The District retested the Ennix �
enz me bacteria in the W. 19`h Street sewer
enzyme/
where grease accumulates from all the restaurants. The results were submitted
for inclusion in the countywide grease control study.
Project 1112100 -165 Rehabilitate Canyon Pumping Station Force Main
The project is on hold due to revitalization of the West Side Pumping Station
abandonment.
Project 1112100 -166 Manhole & Pump Station Coating & Miscellaneous Work
The design phase is continuing.
Project 1112100 -167 Emerson Street Sewer Relocation
The design phase is continuing.
Project 1112100 -168 Tustin Pumping Station Remodel or Relocation
The design phase is on hold until the County of Orange continues with the Irvine Avenue
� P tY g
widening project.
Project 1112100 -169 Telemetry System Upgrade
The system is checked monthly in accordance with the service agreement with the
consultant.
Project 1112100 -172 Waste Discharge Requirements O�MR -Part I
The Board approved a consultant agreement at the July 2003 regular meeting to begin an
analysis of how fats, oils, and grease (FOG) from restaurants in the District is causing "hot
spots ", backups, and sanitary sewer overflows (SSO's). The project is approximately 60%
complete.
1
•
ACCOUNT NAME
Current Assets:
Cash and Investments
Accounts Receivable
Returned
Taxes Receivable
Interest Receivable
Solid Waste Receivable
Liquid Waste Receivable
Grant Receivable
Due From Other Governments
Prepaid items(Insurance)
Total Current Assets
Property, Plant & Equip:
Property Rights
Buildings and Structures
Subsurface Lines
Other Equipment
Construction in Progress
Total Prop., Plant, & Equip.
Acc. Depreciation
Net Property, Plant & Equip
Total Assets
Liab. and District Equity
Current Liabilities:
Accounts Payable
11 Tax Payables
Payables
D Development Deposits
Sales and Use Tax Payable
Community Services Donations
Due to City of Costa Mesa
Due to Other Governments
CMSD Trash Container Lease Payable
Unallocated Interest
Deferred Revenue
Total Current Liabilities
District Equity:
Contributed Capital
Res for Trash Assessment Rfnd
Reserved for Capital Outlay
Unreserved
Current Earnings
Total Retained Earnings
Total District Equity
Total Liab. & Dist. Equity
is
1,680,599.09 7,697,443.23 210,888.82 2,284,058.34 11,872,989.48 11,456,894.32
0.00
COSTA MESA SANITARY DISTRICT
0.00
0.00
4,025.00
BALANCE SHEET
0.00
346,520.00
0.00
0.00
AS OF FEBRUARY 29, 2004
346,520.00
0.00
19,597,725.50
0.00
SEWER
FACILITIES
ACTUAL TOTALS
2,291,359.65
SOLID WASTE
LIQUID WASTE CONSTRUCTION
REVOLVING
2,750,084.84
2,796,401.57
FUND
FUND FUND
FUND
Combined Funds
Fiscal Year
594
595 5M
593
As of 02/29/04
2002 -2003
1,660,063.19
7,697,335.33 210,888.82
2,284,058.34
11,872,345.68
$11,348,715.85
535.90
0.00 0.00
(10,567,055.06)
535.90
.507.00
0.00
0.00 0.00
0.00
0.00
0.00
0.00
0.00 0.00
0.00
0.00
107,671.47
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
107.90 0.00
0.00
107.90
0.00
0.00
0.00 0.00
0.00
0.00
0.00
1,680,599.09 7,697,443.23 210,888.82 2,284,058.34 11,872,989.48 11,456,894.32
0.00
4,025.00
0.00
0.00
4,025.00
4,025.00
0.00
346,520.00
0.00
0.00
346,520.00
346,520.00
0.00
19,597,725.50
0.00
316,420.90
19,914,146.40
19,914,146.40
2,291,359.65
458,725.19
0.00
0.00
2,750,084.84
2,796,401.57
0.00
521,790.59
0.00
0.00
521,790.59
482,452.67
2,291,359.65
20,928,786.28
0.00
316,420.90
23,536,566.83
23,545,545.64
(146,200.65)
(10,844,962.59)
0.00
(26,368.40)
(11,017,531.64)
(10,567,055.06)
2,145,159.00
10,083,823.69
0.00
290,052.50
12,519,035.19
12,978,490.58
3,825,758.09
17,781,266.92
210,888.82
2,574,110.84
24,392,024.67
$24,435,384.90
42.50
42.50
0.00
0.00
85.00
492,660.64
0.00
(1,432.56)
0.00
0.00
(1,432.56)
2,635.35
31,720.00
0.00
0.00
0.00
31,720.00
0.00
0.00
2,867.00
0.00
0.00
2,867.00
2,867.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
200.00
0.00
0.00
0.00
0.00
0.00
1,000.00
0.00
560,230.07
0.00
0.00
560,230.07
306,675.63
1,934,153.11
0.00
0.00
0.00
1,934,153.11
2,113,529.00
0.00
0.00
0.00
0.00
0.00
22,240.28
0.00
0.00
0.00
0.00
0.00
0.00
1,965,915.61 561,707.01 0.00 0.00 2,527,622.62 2,941,807.90
0.00 4,706,828.65 0.00 0.00 4,706,828.65 4,706,828.65
0.00
0.00
0.00
0.00
0.00
0.00
0.00
5,489,988.82
0.00
- 0.00
5,489,988.82
5,028,765.56
1,876,549.49
6,422,529.34
207,944.89
2,488,837.54
10,995,861.26
11,393,829.77
(16,707.01)
600,213.10
2,943.93
85,273.30
671,723.32
364,153.02
1,859,842.48
17,219,559.91
210,888.82
2,574,110.84
21,864,402.05
21,493,577.00
1,859,842.48
17,219,559.91
210,888.82
2,574,110.84
21,864,402.05
21,493,577.00
3,825,758.09
17,781,266.92
210,888.82
2,574,110.84
24,392,024.67
$24,435,384.90
COSTA MESA SANITARY DISTRICT
STATEMENT OF REVENUES AND EXPENSES
AS OF FEBRUARY 29, 2004
n
SEWER FACILITIES ACTUAL TOTALS •
Operating Expenses:
SOLID WASTE
LIQUID WASTE
CONSTRUCTION
REVOLVING
Combined Funds
Fiscal Year
Account Name
FUND
FUND
FUND
FUND
As of 02/29104
2002 -2003
Operating Revenues:
793.43
79320
0.00
0.00
1,586.63
3,225.26
Solid Waste Charges
2,611,823.68
0.00
0.00
0.00
2,611,823.68
4,105,544.21
Liquid Waste Charges
0.00
1,020,919.64
0.00
0.00
1,020,919.64
1,642,254.70
Permits & Inspection Fees
0.00
13,120.00
0.00
53,485.00
66,605.00
72,948.02
O.C.S.D. Fees -CMSD Share
0.00
20,492.63
0.00
0.00
20,492.63
26,838.26
Other Charges for Services
0.00
898.00
0.00
0.00
898.00
15.00
Sale of Maps and Publ.
0.00
14.00
0.00
0.00
14.00
262.20
Orange County Bankruptcy Reimb.
0.00
0.00
0.00
0.00
0.00
0.00
Other Reimbursements
0.00
77,284.00
0.00
0.00
77,284.00
2,955.86
Reimb. Of Mandated costs
0.00
0.00
0.00
0.00
0.00
0.00
Special Assessments
0.00
0.00
0.00
0.00
0.00
0.00
Total Operating Revenues
2,611,823.68
1,132,728.27
0.00
53,485.00
3,798,036.95
5,850,818.25
Operating Expenses:
Payroll Expenses:
22,268.29
107,909.11
2,943.93
31,788.30
164,909.63
318,057.99
Salaries & Wages
793.43
79320
0.00
0.00
1,586.63
3,225.26
Unemployment
0.00
0.00
0.00
0.00
0.00
0.00
Solid Waste Disposal:
0.00
0.00
0.00
0.00
0.00
0.00
Trash Hauler
1,275,056.64
0.00
0.00
0.00
1,275,056.64
2,136,114.47
Large Item Pick -Up
6,742.19
0.00
0.00
0.00
6,742.19
9,364.35
Contractual Services - General
54,051.46
0.00
0.00
0.00
54,051.46
185,739.32
Contract Code Enforcement
20,374.75
0.00
0.00
0.00
20,374.75
34,712.25
Liquid Waste Disposal:
11,781.00
0.00
0.00
0.00
11,781.00
3,757.00
Sewer Repairs and Maintenance
0.00
5,186.50
0.00
0.00
5,186.50
0.00
Contractual Services - Liquid
0.00
429,446.86
0.00
0.00
429,446.86
906,596.24
Dump Charges:
0.00
0.00
0.00
0.00
0.00
0.00
Recycling and Disposal
1,188,593.03
0.00
0.00
0.00
1,188,593.03
1,927,050.39
General & Administration:
0.00
0.00
0.00
0.00
0.00
0.00
Transcription Services
924.57
2,773.68
0.00
0.00
3,698.25
6,370.50
Board Member Fees
10,375.40
10,386.20
0.00
0.00
20,761.60
42,269.50
Election Expense
0.00
0.00
0.00
0.00
0.00
24,805.84
General Liability
12,203.50
36,610.56
0.00
0.00
48,814.06
0.00
Public Info /Edu & Com Prom
1,050.84
4,325.52
0.00
0.00
5,376.36
6,286
Manager /Engineer
15,855.00
110,540.00
0.00
0.00
126,395.00
224,500.0
Special Program Costs
20,035.84
0.00
0.00
0.00
20,035.84
33,765.28
Attorney
9,357.88
28,073.62
0.00
0.00
37,431.50
40,589.50
Travel & Meetings
1,092.64
2,972.30
0.00
0.00
4,064.94
11,391.07
Professional Organizations -Dues
4,802.38
10,841.44
0.00
0.00
15,643.82
15,745.82
Photocopy Supplies
0.00
557.07
0.00
0.00
557.07
116.26
Multimedia Prom /Subsc & Postage
553.90
1,510.31
0.00
0.00
2,064.21
5,597.29
Auditing Services
1,109.50
3,324.50
0.00
0.00
4,434.00
3,794.00
Professional Services
3,500.00
3,500.00
0.00
0.00
7,000.00
12,000.00
Office Equipment
0.00
0.00
0.00
0.00
0.00
0.00
Strategic Planning
0.00
0.00
0.00
0.00
0.00
5,281.12
Depreciation
0.00
0.00
0.00
0.00
0.00
0.00
Total Operating Expenses
2,626,472.95
650,841.76
0.00
0.00
3,277,314.71
5,635,315.12
OPERATING INCOME(LOSS)
(14,649.27)
481,886.51
0.00
53,485.00
520,722.24
215,503.13
Nonoperating Revenue (Expenses):
Investment Earnings
22,268.29
107,909.11
2,943.93
31,788.30
164,909.63
318,057.99
Taxes
87,184.73
0.00
0.00
0.00
87,184.73
165,347.21
Sewer Permits
0.00
11,660.00
0.00
0.00
11,660.00
11,540.00
Annexation Fees
0.00
0.00
0.00
0.00
0.00
0.00
Excessive Effluent Discharge
0.00
0.00
0.00
0.00
0.00
0.00
ERAF ReimbursementAB1661
0.00
0.00
0.00
0.00
0.00
0.00
Other State Grants
0.00
0.00
0.00
0.00
0.00
0.00
Other Governmental Agencies
0.00
0.00
0.00
0.00
0.00
0.00
New Trash Container Fees
11,781.00
0.00
0.00
0.00
11,781.00
3,757.00
Contributions
25,535.90
0.00
0.00
0.00
25,535.90
30,128.13
Loan Proceeds
0.00
0.00
0.00
0.00
0.00
0.00
Gain (Loss) /Disposal of Assets
0.00
0.00
0.00
0.00
0.00
0.00
Nonoperating Income - Other
0.00
0.00
0.00
0.00
0.00
0.00
Gain (Loss) on Investments
0.00
0.00
0.00
0.00
0.00
0.00
NonoperatingExpenses - Other
(194.91)
(1,242.52)
0.00
0.00
(1,437.43)
(98,998.44)
Lease Payments
0.00
0.00
0.00
0.00
0.00
0.00
Trustee Fees
0.00
0.00
0.00
0.00
0.00
0.00
Professional Services - Other
0.00
0.00
0.00
0.00
0.00
0.00
Debt Service
(148,632.75)
0.00
0.00
0.00
(148,632.75)
(281,182
Capital Replacement Reserve
0.00
0.00
0.00
0.00
0.00
0.0
Total Nonoperating Rev (Exp)
(2,057.74)
118,326.59
2,943.93
31,788.30
151,001.08
148,649.89
NET INCOME (LOSS)
(16,707.01)
600,213.10
2,943.93
85,273.30
$671,723.32
$364,153.02
1 STATEMENT OF REVENUES AND EXPENSES.
f
BUDGET VS ACTUAL
SOLID WASTE FUND (594)
FOR NINE MONTHS ENDED FEBRUARY 29, 2004
ACCOUNTNAME
Operating Revenues:
Solid Waste Charges
Other Charges for Services
Other Reimbursements
Orange County Bankruptcy Reimb.
Reimbursement -Of Mandated Costs
Special Assessments
Total Operating Revenues
$4,410,970.00
210.00
2,100.00
0.00
5,250.00
1,050.00
VARIANCE:
FAVORABLE 2002 -2003
(UNFAVORABLE) ACTUALS
$2,611,823.68 (1,799,146.32)
$4,105,544.21
0.00 (210.00)
0.00
0.00 (2,100.00)
2,331.55
0.00
0.00
(5,250.00)
0.00
(1,050.00)
0.00
19,580.00 2,611,823.68 (1,807,756.32) 4,107,875.76
Operating Expenses:
Solid Waste Disposal:
Trash Hauler
2,210,422.00
1,275,056.64
935,365.36
2,136,114.47
Large Item Pick -Up
12,500.00
6,742.19
5,757.81
9,364.35
Contractual Services - General
229,058.00
54,051.46
175,006.54
185,739.32
Contract Code Enforcement
37,028.00
20,374.75
16,653.25
34,712.25
Recycling and Disposal
1,951,115.00
1,188,593.03
762,521.97
1,927,050.39
General & Administration
Salaries & Wages
993.00
793.43
199.57
1,612.84
Unemployment
0.00
0.00
0.00
Transcription Services
2,255.00
924.57
1,330.43
2,928.75
Board Member Fees
11,475.00
10,375.40
1,099.60
21,109.75
Election Expense (Legal Notices)
0.00
0.00
0.00
12,402.93
General Liability
12,154.00
12,203.50
(49.50)
0.00
Public Info /Edu & Com prom
4,095.00
1,050.84
3,044.16
2,184.58
Manager/Engineer
10,250.00
15,855.00
(5,605.00)
26,355.00
Special Program Costs
45,500.00
20,035.84
25,464.16
33,765.28
Attorney
12,815.00
9,357.88
3,457.12
19,710.87
•
Travel & Meetings
4,095.00
1,092.64
3,002.36
4,626.04
Professional Organizations -Dues
8,663.00
4,802.38
3,860.62
7,172.91
Photocopy Supplies
263.00
0.00
263.00
62.53
Multimedia Prom/Subsc & Postage
2,232.00
553.90
1,678.10
752.69
US Postage Service
131.00
0.00
131.00
0.00
Auditing Services
1,239.00
1,109.50
129.50
948.00
Professional Services - Employment
5,125.00
3,500.00
1,625.00
6,000.00
Strategic Planning
1,355.00
0.00
1,355.00
2,640.56
Depreciation
0.00
0.00
0.00
0.00
Total Operating Expenses
4,562,763.00
2,626,472.95
1,936,290.05
4,435,253.51
OPERATING INCOME(LOSS)
(143,183.00)
(14,649.27)
128,533.73
(327,377.75)
Nonoperating Revenue (Expenses):
Investment Earnings
86,100.00
22,268.29
(63,831.71)
51,306.74
Taxes
145,058.00
87,184.73
(57,873.27)
150,275.44
Annexation Fees
525.00
(525.00)
0.00
EFAF Reimbursements
0.00
0.00
0.00
Other State Grants
0.00
0.00
0.00
Other Government Agencies
0.00
0.00
0.00
New Trash Container Fees
25,000.00
11,781.00
(13,219.00)
3,757.00
Contributions
5,250.00
25,535.90
20,285.90
30,128.13
Loan Proceeds
0.00
0.00
0.00
Gain (Loss) /Disposal of Assets
0.00
0.00
0.00
Nonoperating Income - Other
0.00
0.00
0.00
Gain (Loss)/ Investments
0.00
0.00
0.00
Lease Payment
0.00
0.00
0.00
0.00
Nonoperating Expenses - Other
(1,000.00)
(194.91)
805.09
(98,817.24)
Trustee Fees
0.00
0.00
0.00
Professional Services - Other
0.00
0.00
0.00
Debt Service
(281,182.00)
(148,632.75)
132,549.25
(281,182.00)
Capital Replacement Reserve
(25,000.00)
25,000.00
0.00
Total Nonoperating Rev (Exp)
(45,249.00)
(2,057.74)
43,191.26
(144,531.93)
NET INCOME (LOSS)
(188,432.00)
(16,707.01)
171,724.99
(471,909.68)
Operating Expenses:
Liquid Waste Disposal
Sewer Repairs and Maintenance
STATEMENT OF REVENUES AND EXPENSES
5,186.50
36,599.50
0.00
Contractual Services - Liquid
BUDGET VS ACTUAL
429,446.86
515,535.14
906,596.24
Contract Code Enforcement
LIQUID WASTE FUND(595)
0.00
9,844.00
0.00
General & Administration
FOR NINE MONTHS ENDED FEBRUARY 29, 2004
11,660.00
7,985.00
11,540.00
Salaries & Wages
2,946.00
793.20
2,152.80
•
Unemployment
0.00
VARIANCE:
0.00
0.00
Transcription Services
6,765.00
FAVORABLE
2002 -2003
ACTUALS
3,441.75
ACCOUNT NAME
Operating Revenues:
BUDGET ACTUALS (UNFAVORABLEI
10,386.20
24,038.80
21,159.75
Liquid Waste Charges
1,656,776.00 1,020,919.64
(635,856.36)
1,642,254.70
12,402.91
Permits & Inspection Fees
12,600.00 13,120.00
520.00
29,865.52
0.00
O.C.S.D. Fees
11,550.00 20,492.63
8,942.63
26,838.26
4,102.08
Other Charges for Services
105.00 898.00
793.00
15.00
198,145.00
Other Reimbursements
0.00 77,284.00
77,284.00
624.31
20,878.63
Orange County Bankruptcy Reimb.
0.00
0.00
0.00
6,765.03
•
Reimbursement -Of Mandated Costs
0.00
0.00
0.00
8,572.91
Sales of Maps
105.00 14.00
(91.00)
262.20
53.73
Special Assessment
1,050.00
(1,050.00)
0.00
4,844.60
Total Operating Revenues
1,682,186.00 1,132,728.27
(549,457.73)
1,699,859.99
2,846.00
Operating Expenses:
Liquid Waste Disposal
Sewer Repairs and Maintenance
41,786.00
5,186.50
36,599.50
0.00
Contractual Services - Liquid
944,982.00
429,446.86
515,535.14
906,596.24
Contract Code Enforcement
9,844.00
0.00
9,844.00
0.00
General & Administration
3,675.00
11,660.00
7,985.00
11,540.00
Salaries & Wages
2,946.00
793.20
2,152.80
1,612.42
Unemployment
0.00
0.00
0.00
Transcription Services
6,765.00
2,773.68
3,991.32
3,441.75
Board Member Dues
34,425.00
10,386.20
24,038.80
21,159.75
Election Expense
0.00
0.00
0.00
12,402.91
General Liability
36,460.00
36,610.56
(150.56)
0.00
Public Info /Edu & Com Prom
12,285.00
4,325.52
7,959.48
4,102.08
Manager /Engineer
175,398.00
110,540.00
64,858.00
198,145.00
Attorney
38,435.00
28,073.62
10,361.38
20,878.63
Travel & Meetings
12,285.00
2,972.30
9,312.70
6,765.03
•
Professional Organizations -Dues
16,958.00
10,841.44
6,116.56
8,572.91
Photocopy Supplies
1,313.00
557.07
755.93
53.73
Multimedia Prom /Subscrip & Post
20,108.00
1,510.31
18,597.69
4,844.60
Auditing Services
3,717.00
3,324.50
392.50
2,846.00
US Postage
394.00
0.00
394.00
0.00
Professional Services - Employment
15,375.00
3,500.00
11,875.00
6,000.00
Office Equipment
0.00
0.00
0.00
0.00
Strategic Planning
5,628.00
0.00
5,628.00
2,640.56
Depreciation
0.00
0.00
0.00
0.00
Total Operating Expenses
1,379,104.00
650,841.76
728,262.24
1,200,061.61
OPERATING INCOME(LOSS)
303,082.00
481,886.51
178,804.51
499,798.38
Nonoperating Revenue (Expenses):
Investment Earnings
262,500.00
107,909.11
(154,590.89)
198,491.39
Taxes
0.00
0.00
15,071.77
15,071.77
Sewer Permits
3,675.00
11,660.00
7,985.00
11,540.00
Annexation Fees
0.00
0.00
0.00
Excessive Effluent Discharge
2,100.00
(2,100.00)
0.00
EFAF Reimbursement
0.00
0.00
0.00
Other State Grants
0.00
0.00
0.00
Other Governmental Agencies
0.00
0.00
0.00
Gain (Loss) /Disposal of Assets
0.00
0.00
0.00
Nonoperating Income - Other
0.00
0.00
0.00
Gain (Loss) on Investments
0.00
0.00
0.00
Nonoperating Expenses - Other
(1,076.00)
(1,242.52)
(166.52)
(181.20)
Trustee Fees
0.00
0.00
0.00
Professional Services -Other
0.00
0.00
0.00
Capital Replacement Reserve
0.00
0.00
0.00
Total Nonoperating Rev (Exp) 267,199.00 118,326.59 (133,800.64) 224,921.96
NET INCOME (LOSS) 570,281.00 600,213.10 45,003.87 724,720.34 •
COSTA MESA SANITARY DISTRICT
CONSTRUCTION IN PROGRESS
FOR NINE MONTHS ENDED FEBRUARY 29, 2004
•
•
CUMULATIVE
CAPITAL REPLACEMENT RESERVE
PRIOR YEARS'
CAPITAL
BUDGET ENCUMBRANCES
ACTUALS
EXPENDITURES
BALANCE
PROJ #
CURRENT YEAR PROJECTS
990001
#149 - Sinking FD/ Future Sewer Repic.
100,000.00
0.00
0.00
0.00
100,000.00
990023
#159 - Televising Swr Lines
18,000.00
0.00
5,793.69
0.00
12,206.31
990027
#164- Misc. Swr. Work/ Manhole Adj.
90,000.00
0.00
34,355.38
0.00
55,644.62
990035
#172 -Waste Discharge Req. (WDR) Phase 1
250,000.00
0.00
49,486.20
0.00
200,513.80
990036
#173- SC Plaza Pump Station Force Main Replace
190,000.00
0.00
0.00
0.00
190,000.00
0.00
0.00
Current Year Sub -Total
648,000.00
0.00
89,635.27
0.00
558,364.73
PRIOR YEARS' PROJECTS
990008
#129 - Bristol St. Pump Stn.
131,487.00
0.00
0.00
177,004.91
(45,517.91)
990017
#147 - Update Early Wrn Sys
98,225.41
0.00
0.00
9,681.91
88,543.50
990001
#149 - Sinking Fd /Swr Replm
1,395,805.00
0.00
0.00
0.00
1,395,805.00
990020
#156-- EarthQuake/ Major Emergency Sewer Reco
1,000,000.00
0.00
0.00
0.00
1,000,000.00
990023
#159 - Televising Swr Lines
71,000.00
0.00
0.00
39,635.63
31,364.37
990024
#161 - Constr Water Svc,11 Stns
0.00
0.00
320.47
0.00
(320.47)
990025
#162 -Pilot Prog,Use of Enzymes
60,000.00
0.00
0.00
35,021.26
24,978.74
990027
#164- Misc.Swr Work/Manhole
327,960.00
0.00
0.00
237,483.65
90,476.35
990029
#165 - Rehab. Canyon Pumping Stn(CRR)
240,000.00
0.00
0.00
12,909.50
227,090.50
990030
#166 - Manhole & Pump Stn Coating(CRR)
540,000.00
0.00
1,701.00
12,411.00
525,888.00
990031
#167- Emerson St. Sewer Reloc(CRR)
110,000.00
0.00
0.00
6,950.00
103,050.00
990033
#168 - Tustin Pump station Remodel (Mesa Dr /Irvin
1,140,000.00
0.00
0.00
4,340.00
1,135,660.00
990032
#169 - Telemetry System Upgrade
50,000.00
0.00
0.00
39,610.00
10,390.00
4
#170 - Emergency Response Plan for Pumping Stati
26,600.00
0.00
0.00
0.00
26,600.00
Emergency Capital Replacement Reserve
317,616.01
Total Operating Expenses
5,191,077.41
0.00
2,021.47
575,047.86
4,931,624.09
TOTAL CAP.REPLACEMENT RSRV
$5,839,077.41
$0.00
$91,656.74
$575,047.86
$5,489,988.82
•