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Agenda Packets - Board - 2006 ?? - Strategic Plan WorkshopCosta Mesa Sanitary District Agenda for Strategic Plan Workshop I Welcome II Expectations III Report on Interviews IV Develop Agenda of Key issues V Develop the Strategic Action Plan o Discuss forest versus trees approach o Develop Issue by issue plan 1. Define the ISSUE 2. Define the STRATEGIC OBJECTIVE for each issue 3. Decide WHAT to do 4. Decide WHEN action is due 5. Decide WHO is responsible 6. Identify RESOURCES 7. TEST against strategic Objective VI Consider Developing Integrated Strategic Plan o Mission, vision goals, etc o Samples VII Test Results Against Expectations Costa Mesa Sanitary District Issues from Strategic Planning Interviews Sewer • Eliminate Pump Stations • Increased Maintenance and Upgrades of Sewer System • Meet WDR • Assist with Laterals • Implement Asset Management Approach -- Quantify Needs, Costs, Etc • Respond to Odor Control Concerns • Emergency Response: Who? How? Personnel • Code Enforcement Officer and Maintenance Supervisor. Overworked, Need Backup, and Eventual Successor. • Ensure Transfer of Institutional Memory from Key Employees • Decide on Field Crew: Employee, Contract Or Both. Financial and Operational Issues to Consider with Field Crew Finances • Ensure Adequate Reserves • Increase Sewer CIP Funding • Increase Sewer Rates • Increase Fixture Fees • Develop Financial Master Plan Relationships • Public Reaction To Perceived Negative Solid Waste Issues: "Free Cans ", Cans Must be Closed, Extra Charge for Extra Cans, Etc • What is the Public View of District Overall? • Possible Survey to Understand Public View and Test Messages • Improve Relationship With City Yard • Pros and Cons Own Property Versus Lease With County Fair. Consider Possible Single Space For Administration Plus Field Yard. Consider Financial and Long Term Service Pros and Cons Strategic Plan • Consider Expanding Current Strategic Action Plan Into Integrated Strategic Plan 4w-f, d�J�Ars` 11�Zf�f J_AP'<6✓ l' aW lYmo, . cx�sfs *z z Lwlvly Wyc IN 6 � �� L On S/J -- CC �e 15b 0 tAfff ArL - /� b p Si��£ of i��. To CLOTS M b"W (Zi 0 �4CVUC= ly Z /ANN tW L v tv, 6 mow �m (Kdm ­ (OIL WN Air- Infi c SI-D( W Gn/ �_Rv Cif v/% l U Pc A3d 'c,, OS --� 7 CARO 'rs wz ffiwe (JquJ. a )qgo(� S5 FW N PL441 SAMPLE GOALS The following are the permanent goals of Castaic Lake Water Agency. Taken together, they accomplish the Agency's Mission. 1.0 COMMUNICATION Castaic Lake Water Agency will maintain open communication and develop positive relationships with stakeholders in the region. 2.0 ENVIRONMENT Castaic Lake Water Agency will be a steward of the environment. 3.0 FINANCE Castaic Lake Water Agency will maintain a long- range, well - planned and stable financial condition. 4.0 LEADERSHIP Castaic Lake Water Agency will coordinate, facilitate and support efficient and effective water management practices and activities. 5.0 OPERATIONS Castaic Lake Water Agency will conduct its operations and plan, build and maintain its facilities cost effectively and efficiently. 6.0 ORGANIZATION Castaic Lake Water Agency will employ a high quality workforce that provides the core competencies it needs. 7.0 WATER MANAGEMENT Castaic Lake Water Agency will provide its expertise and services to willing partners in the Santa Clarita Valley. Goal 3: Operations Conduct the District's technical and administrative operations in an efficient and businesslike manner, meeting all regulatory requirements, while optimizing operational effectiveness and efficiency. Objective 3.1: Take advantage of advanced technology, equipment and processes, where appropriate, to improve operations and increase cost effectiveness. Action 3.1.1: Perform a detailed needs assessment regarding potential implementation of Geographic Information System (GIS) technology. Action 3.1.1.1: Implement an appropriate and cost effective GIS System. Action 3.1.2: Perform a detailed needs assessment regarding potential implementation of a Computerized Maintenance Management System (CMMS). Action 3.1.2.1: Implement an appropriate and cost effective CMMS. Action 3.1.3: Quarterly report to the Board progress on administrative and operational technological enhancements as identified and overseen by the Computer Committee. Objective 3.2: Optimize efficiency and costs of administrative and technical internal operations. Include in -house versus outside decisions. Action 3.2.1: Develop benchmark studies of operations at similar agencies and within the industry to help establish and /or validate operational Objectives for the District. Action 3.2.2: Evaluate the District's current practices of outsourcing selected operations and services. Objective 3.3: Maintain an understanding and knowledge of current and future applicable regulatory requirements affecting the District. Action 3.3.1: Communicate with regulatory agencies and industry groups with expertise regarding the regulatory environment. Objective 3.4: Maintain an optimum and appropriate workforce for the long -term. Action 3.4.1: Complete a workforce needs assessment. Action 3.4.2: Complete evaluation of non -core outsource opportunities. Action 3.4.3: Update workforce succession plan. Objective 3.5: Maintain the District's Emergency Response Plan and security arrangements. Action 3.5.1: Review and update the Emergency Response Plan. Action 3.5.2: Conduct adequate employee emergency response training. Action 3.5.3: Collaborate and integrate District plans with regional agencies. Objective 3.6: Develop, upgrade, and maintain in excellent operating condition the required water and wastewater infrastructure to meet our customers' needs. Action 3.6.1: Update the District's major planning documents on an appropriate schedule to assure that they remain up -to -date and relevant. Establish a timetable for review and update of each facility planning document. Include the following: • Strategic Plan • Water and Sewer Facilities Master Plan • Urban Water Management Plan • Infrastructure Vulnerability Assessment • Emergency Response Plan • Asset Management Plan • Capital Facilities Refurbishment and Replacement Plan • Sewer System Management Plan • Related regional plans Action 3.6.1.1: Implement each of the plans appropriately to assure that District facilities continue to be available, reliable and current. 3.0 FINANCE Castaic Lake Water Agency will maintain a long range, well planned and stable financial condition. 3.1 Financial decisions will be based on a long -term perspective, and follow the general guidance of a financial master plan. 3.1.1 Develop a long -term financial forecast. [Administration) 3.2 Costs will be applied to those who benefit from an expenditure; existing and future users will each pay their fair share. 3.2.1 Implement an annexation policy that responds to legislative and regulatory requirements, and that takes due regard for the needs of existing residents [ongoing]. {Management} 3.3 Operations should be financially self sustaining (i.e., pay for themselves). 3.3.1 Assess the cost allocation and work order system, and update as needed [ongoing]. 1 Administration 1 3.4 Rates, charges and fees will reflect actual costs wherever possible, and not be in appropriately subsidized. 3.4.1 Analyze and adjust as appropriate the wholesale water rate structure [6/04]. 1 Administration) 3.4.2 Complete review and adjust as appropriate retail water rates [12/03]. {Retail Division} 3.5 Investment of Agency reserves will follow the priorities of safety, liquidity and yield, in that order, consistent with the Agency's Investment Policy. 3.5.1 Provide and submit quarterly Investment Reports in a timely manner [6/04]. 1 Administration 1 3.6 No subsidization is allowed between the wholesale and retail operations of the Agency. 3.6.1 Maintain separate budget and financial records for the Retail Division [ongoing]. {Administration/Retail Division} 3.6.2 Properly account for any shared resources such as the Administrative Services Manager, Human Resources/Risk Management Supervisor, payroll system and equipment [ongoing]. {Administration/Retail Division) EXAMPLE OF QUESTIONS USED TO DEVELOP OBJECTIVES Operations Issues Are the District's operations really as efficient as it is believed? What is the best means to measure the efficiency of the District's operations? 2. Is the District fully taking advantage of the most up -to -date computer technology and other technological advances, such as GIS (Geographic Information System)? 3. How ready is the District for emergencies and catastrophic events? 4. Has the District updated business and administrative operations for top efficiency? 5. Security —are the District's facilities really safe? Personnel Issues 6. Has the District developed adequate succession plans to accommodate future staff retirements? 7. Has the District developed and implemented policy /guidelines to facilitate decisions about when to effectively outsource services inclusive of professional consultant services. Finance Issues Generally, does the District have adequate revenues to meet its future needs? 9. What is the appropriate rate structure that meets the District's financial needs yet does not unduly impact its customers 1.0. Are the charges for wastewater service appropriate and competitive? 11. Has the District adequately accommodated the post retirement employee benefits to which it is committed? Regional Issues 12. Consider the District's role in the regional need for additional water storage 13. Is the District maximizing community of interest opportunities with neighboring water agencies in particular with the Moulton Niguel, Irvine Ranch and Santa Margarita Water Districts? Objective 3.0 Operations Conduct the District's technical and administrative operations in an efficient and businesslike manner, meeting all regulatory requirements, while optimizing operational effectiveness and efficiency. Ob_lective 3.1 Take advantage of advanced technology, equipment and processes, where appropriate, to improve operations and increase cost effectiveness. Action 3.1.1 Action 3.1.1.1 Action 3.1.2 Action 3.1.2.1 DEPT STAFF DATE Perform a detailed needs assessment regarding potential implementation of Geographic Information Eng System (GIS) technology. (1) DPC Jun -07 Implement an appropriate and cost effective GIS System. (1) Eng DPC Jun -10 Perform a detailed needs assessment regarding potential implementation of a Computerized Maintenance Eng Management System (CMMS). (1) DPC Jun -07 Implement an appropriate and cost effective CMMS. (1) Eng DPC Jun -10 i v' COSTA MESA SAA99ARVDISTRICT Memorandum To: Board of Directors From: Marc Davis, District Treasurer Date: January 22, 2007 Subject: 2006 -07 Mid -Year Budget Review ... an Independent Special District This report represents a review of the status of the District's budget as of December 31, 2006. For analysis purposes, only the District's trash and sewer funds were reviewed. The mid -year review for each fund is as follows. Trash Fund The Trash Fund is expecting to have budgetary savings totaling approximately $150,000. Attachment A documents the details of the mid -year budget review of this fund. Explanations of significant variances are as follows. Revenues: • Other revenue should exceed the budget by approximately $51,000 resulting from gains on sales of assets ($10,700), implementation of trash container fees ($3,400), general property taxes ($30,000) and penalties on delinquent payment of taxes ($6,600). Expenses: • Salaries and wages are projected to exceed the budget by $5,500 as a result of greater overtime ($1,300) and the hiring of the Receptionist and Accounting Assistant ($4,200). • Professional services are projected to be under budget by approximately $9,100 resulting from fewer hours incurred by the District Manager ($7,200) and savings of $1,900 by hiring the Accounting Assistant as a part -time employee. 1 • Recycling /disposal costs are projected to be under budget by $115,000 due to a reduction in tonnage. • Interest costs will exceed the budget by approximately $19,000. The interest costs represent payment of interest on the lease of the trash containers. When the lease was fully paid, a final interest payment was due. Future years' budgets will not include this line item since the lease has been paid -off. Sewer Fund The Sewer Fund is expecting to have budgetary savings totaling approximately $69,000. Attachment B documents the details of the mid -year budget review of this fund. Explanations of significant variances are as follows. Revenues: • Other revenues are projected to fall short of estimates by approximately $64,000. This is primarily attributable to a reduction in plan check fees and sewer charges 'billed directly. Expenses: • Salaries and wages are projected to exceed the budget by approximately $51,000 as a result of greater overtime ($20,000) and the hiring of the Receptionist and Accounting Assistant ($31,000). • .Professional services are projected to be under budget by approximately $55,000 resulting from fewer hours incurred by the District Manager ($15,000), a reduction in plan checks ($25,000) and savings of $15,000 by hiring the Accounting Assistant as a part -time employee. • Sewer maintenance is expected to be less than budget by approximately $133,000. This is primarily attributable to savings in the contracted pump station and sewer maintenance contracts ($145,000). This was the first year in which these contracts were let. Prior to fiscal year 2006 -07, the District contracted with the City for these services. These savings were partially offset by increased overtime incurred for pump station failures ($12,000). 2 COSTA MESA SANITARY DISTRICT Mid -Year Budget Review Fiscal Year 2006 -07 Revenue: Trash charges Other revenue Total revenue Expenses: Salaries and wages Professional services Trash hauler Recycling /disposal Election expense Building /equipment maintenance Office expense Public information Dues and memberships Staff development Liability insurance Utilities Interest Special programs Contingency Total expenses Trash Fund Estimated Budget Actual ATTACHMENT A Variance Favorable/ (Unfavorable) $ 5,070,000 5,070,000 - 126,500 177,739 51,239 5,196,500 5,247,739 51,239 131,171 136,723 (5,552) 112,790 103,677 9,113 2,350,000 2,350,000 - 2,415,000 2,300,000 115,000 20,000 20,000 - 3,230 3,520 (290) 11,400 11,400 - 11,000 11,000 - 10,000 10,000 - 2,099 2,099 - 6,000 6,161 (161) 2,250 2,360 (110) 24,728 43,941 (19,213) 65,500 65,719 (219) 34,800 34,800 - 5,199,968 5,101,400 98,568 Revenue over (under) expenses $ (3,4U146,339 149,807 '? .r . COSTA MESA SANITARY DISTRICT Mid -Year Budget Review Fiscal Year 2006 -07 Revenue: Sewer charges Other revenue Total revenue Expenses: Salaries and wages Professional services Election expense Building /equipment maintenance Office expense Public information Dues and memberships Staff development Liability insurance Utilities Non - operating expense Sewer maintenance C I P 06 -07 Contingency Total expenses Sewer Fund Estimated Budget Actual ATTACHMENT B Variance Favorable/ (Unfavorable) $ 2,525,000 2,525,000 - 571,000 506,915 (64,085 3,096,000 3,031,915 (64,085) 526,151 577,435 (51,284) 410,312 355,711 54,601 25,000 25,000 - 23,500 23,900 (400) 33,200 35,200 (2,000) 11,500 11,500 - 32,371 32,371 - 26,491 26,491 - 55,000 58,145 (3,145) 23,000 21,201 1,799 115,000 115,000 - 1,012,642 879,506 133,136 775,000 775,034 (34) 23,200 23,200 - 3,092,367 2,959,694 132,673 Revenue over (under) expenses $ 3,633 72,221 68,588 121 a Costa Mesa Sanitary District Adopted Liquid Waste Budget Fiscal Year 2006 -07 Adopted 100% Increase Maintenance & Operations Professional Services Bud-get FY2007 -08 Revenue 55,770 58,559 Investment Earnings 250,000 250,000 Sewer Permits 10,000 10,000 Charges for Services 50,000 50,000 Permits /Inspection Fees 50,000 50,000 New Trash Container Fees - - From. Other Agencies 10,000 10,000 Other Charges for Services 150,000 200,000 Spec Assessment Charges 2,505,071 5,081,644 Contributions - _ Other Reimbursements 1,000 1,000 Other Financing Sources - - Total Revenue 3,026,071 5,652,644 Expenditures 8,000 8,400 Salaries & Benefits 12,000 12,600 Regular Salaries 299,888 314,883 Part-Time Salaries 6,448 6,770 Board Salaries 49,572 52,051 Overtime 32,396 34,015 Special Pays 3,113 3,268 Jury Duty Leave - - Medicare - Employer 6,515 6,841 FICA - Employer 3,073 3,227 PERS - Employer 47,478 49,852 PERS - Employee 21,661 22,745 Deferred Medical - RHS 2,999 3,149 Benefits Admin Costs - - Unemployment - - Workers' Compensation 5,782 6,071 Total Salary & Benefits 512,351 537,969 Maintenance & Operations Professional Services 33,400 35,070 District Manager 55,770 58,559 Legal Services 44,880 47,124 Fiscal Services 63,375 66,544 Engineering /Architectural Service 16,100 16,905 Plan Ck/Inspection- Inside 95,000 99,750 Plan Ck/Inspection- Outside 50,000 52,500 Medical /Employment Services - - Contract Services 16,497 17,322 County Collection Fee 7,490 7,865 Sewer Contracts 1,800 1,890 Election Expense 25,000 26,250 Building Maintenance 81500 8,925 Equipment Maintenance 15,000 15,750 Office Supplies 8,000 8,400 Multimedia/Blueprint/Copies /Sub 12,000 12,600 Postage 12,300 12,915 Costa Mesa Sanitary District Adopted Liquid Waste Budget Fiscal Year 2006 -07 Adopted 100% Increase Budget FY2007 -08 Public Info /Ed /Community Promo 11,500 12,075 Small Tools /Equipment 700 735 Materials & Supplies - - Prof Membership /Dues 32,371 33,990 Staff Development 7,291 7,656 Travel /Meals /Lodging 19,200 20,160 Mileage Reimbursement 200 210 Liability Insurance 55,000 57,750 Telephone 5,000 5,250 Cellular Service 9,000 9,450 Gas - Building 500 525 Water - Building 1,500 1,575 Electric - Building 7,000 7,350 Water - Pump 950 998 Electric - Pump 79,000 82,950 Non - Operating Expense 25,000 30,000 Total Maintenance & Operations 719,324 759,041 Special Programs Sewer Maint 932,692 979,326 Other Financing Uses Contingency 50,000 150,000 CIP 800,000 3,200,000 Total Special Programs 1,782,692 4,329,326 Total Expenditures 3,014,367 5,626,335 Excess (Deficiency) of Revenues Over Expenditures 11,704 26,309 COSTA MESA SANITARY DISTRICT Adopted Sewer Rate Calculation Fiscal Year 2006 -2007 Single Family Residence Multi- Family Residence Commercial (no FSEs) Commercial (Cold Food FSEs) Commercial (Hot Food FSEs) Industrial Other FY 06 -07 Adopted Rate 37.64 28.99 21.90 /1000 sq ft. 21.90 A 000 sq ft. 21.90 /1000 sq ft. 64.51 /1000 sq ft. 19.40 /1000 sq ft. Proposed Sewer Rates 75.28 57.98 43.80 /1000 sq ft. 43.80 /1000 sq ft. 43.80 /1000 sq ft. 129.02 /1000 sq ft. 38.80 /1000 sq ft. Maintenance & Operations Professional Services 33,400 35,070 36,824 38,665 District Manager Costa Mesa Sanitary District 58,559 61,486 64,561 Adopted Liquid Waste Budget 44,880 47,124 49,480 Fiscal Year 2006 -07 Fiscal Services 63,375 66,544 06 -07 20% Increase 20% Increase 20% Increase 16,905 Adopted FY2007 -08 FY2008 -09 FY2009 -10 Revenue 104,738 109,974 Plan Ck/Inspection- Outside 50,000 Investment Earnings 250,000 250,000 250,000 250,000 Sewer Permits 10,000 10,000 10,000 10,000 Charges for Services 50,000 50,000 50,000 50,000 Permits /Inspection Fees 50,000 50,000 50,000 50,000 New Trash Container Fees - - Election Expense - From Other Agencies 10,000 10,000 10,000 101000 Other Charges for Services 150,000 150,000 150,000 150,000 Spec Assessment Charges 2,505,071 3,006,085 3,607,302 4,328,762 Contributions Other Reimbursements 1,000 1,000 -1,000 1,000 Other Financing Sources - - - Total Revenue 3,026,071 3,527,085 4,128,302 4,849,762 Expenditures Salaries & Benefits Regular Salaries 299,888 314,883 330,627 347,158 Part -Time Salaries 6,448 6,770 7,109 7,464 Board Salaries 49,572 52,051 54,653 57,386 'Overtime 32,396 34,015 35,716 37,502 Special.Pays 3,113 3,268 3,432 3,603 Jury Duty Leave - - _ Medicare - Employer 6,515 6,841 7,183 7,542 FICA - Employer 3,073 3,227 .3,388 3,558 PERS - Employer 47,478 49,852 52,344 54,961 PERS - Employee 21,661 22,745 23;882 25,076 Deferred Medical - RHS 2,999 3,149 3,306 3,472 Benefits Admin Costs - - _ - Unemployment - - _ - Workers' Compensation 5,782 6,071 6,375 6,693 Total Salary & Benefits 512,351 537,969 564,867 593,110 Maintenance & Operations Professional Services 33,400 35,070 36,824 38,665 District Manager 55,770 58,559 61,486 64,561 Legal Services 44,880 47,124 49,480 51,954 Fiscal Services 63,375 66,544 69,871 73,364 Engineering /Architectural Service 16,100 16,905 17,750 18,638 Plan Ck/Inspection- Inside 95,000 99,750 104,738 109,974 Plan Ck/Inspection- Outside 50,000 52,500 55,125 57,881 Medical /Employment Services - - - - Contract Services 16,497 17,322 18,188 19,097 County Collection Fee 7,490 7,865 8,258 8,671 Sewer Contracts 1,800 1,890 1,985 2,084 Election Expense 25,000 26,250 27,563 28,941 r Building Maintenance 8,500 8,925 9,371 9,840 Equipment Maintenance 15,000 15,750 16,538 17,364 Office Supplies 8,000 8,400 8,820 9,261 Multimedia /Blueprint/Copies /Sub 12,000 12,600 13,230 13,892 Postage 12,300 12,915 13,561 14,239 Public Info /Ed /Community.Promo 11,500 12,075 12,679 13,313 Small Tools /Equipment 700, 735 772 810 Materials & Supplies - - - - Prof Membership /Dues 32,371 33,990 35,689 37,474 Staff Development 7,291 7,656 8,038 8,440 Travel /Meals /Lodging 19,200 20,160. 21,168 22,226 Mileage Reimbursement 200 210 221 1 232 Liability Insurance 55,000 57,750 60,638 63,669 Telephone 5,000 5,250 5,513 5,788 Cellular Service 9,000 9,450 9,923 10,419 Gas - Building 500 525 551 579 Water - Building 1,500 1,575 1,654 1,736 Electric - Building 7,000 7,350 7,718 8,103 Water - Pump 950 998 1,047 1,100 Electric - Pump 79,000 82,950 87,098 91,452 Non - Operating Expense 25,000 30;000 30,000 50,000 Total Maintenance & Operations 719,324 759,041 795,493 853,767 Special Programs Sewer Maint 932,692 979,326 1,028,292 1,079,707 .Other Financing Uses Contingency 50,000 50,000 50,000 50,000 CIP 800,000 1,200,000 1,690;000 2,200,000 Total Special Programs 1,7821-692 212290326 2,768,292 3,329,707 Total Expenditures 3,014,367 3,526,335 4,128,652 4,776,584 Excess (Deficiency) of Revenues Over Expenditures 11,704 750 (350) 73,178