Agenda Packets - Board - 2002-01-10. 16
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COSTA MESA
SANITARY DISTRICT
Greg Woodside
Vice President
Jim Ferryman
Director
AGENDA
Arlene Schafer
President
Art Perry
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 ll).
Regular Meeting - January 10, 2002
BOARD OF DIRECTORS MEET 2ND THURSDAY OF EACH MONTH - 77 Fair Drive
RECOMMENDED
ACTION
CALL TO ORDER — 6:00 p.m. — Conference Room 5A
II. PLEDGE OF ALLEGIANCE — Director Ferryman
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, staff, or the public 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 — December 10, 2001
2. Regular Meeting — December 11, 2001
COSTA MESA SANITARY DISTRICT January 10, 2002
AGENDA Page 2
® RECOMMENDED
ACTION
Manager's Reports
3. Refunds No Refunds
Occupancy Report and payment to Costa Mesa Disposal — January 2002 Approve
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Engineer's Reports
5. Project Status Report Receive and File
Treasurer's Reports
6. Financial Report as of December 31, 2001 Accept Report
7. Report of Monies on Deposit as of December 31, 2001 Receive and File
8. Warrant Register for January 2002 in the amount of $557,062.30 Approve Payment
--------------------------------------------- END OF CONSENT CALENDAR- ------------------------------------- - - - - --
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WRITTEN COMMUNICATIONS
VII.
PUBLIC COMMENTS
VIII.
NAGER'S REPORTS
A. Anti- Scavenging and Screening of Trash Containers Enforcement Reports
Consider
B. CMSD Strategic Plan
1. Review of First Year Action Items
a) Item 4.1 — Public Outreach Program
(1) Circle of Service Award for Nate Reade
Consider
2. Development of Strategic Plan
a) February 6, 2002 Study Session and February 15 and 16, 2002
Consider
Workshop Draft Agenda
zC. Costa Mesa Disposal Field Update Occupancy Report
Consider Final Report
of
D. Recycling Reports
✓1. Waste Diversion Report — November 2001
Receive and File
-v'12. Waste Diversion Report — December 2001
Receive and File
X. TREASURER'S REPORTS
/A.. Investment Oversight Committee Meeting — January 10, 2002 Accept Report
B. Financial Statements for Year Ended June 30, 2001 Receive and File
XI. /ATTORNEY'S REPORTS
XII. L � CAL MEETINGS �� /� � �_p_ _
A. Orange County Sanitation District � 1
1. Regular Meeting — December 19, 2001 Consider
2. Monthly Board Letter Update Consider
B. Santa Ana River Flood Protection Agency Consider
• C. Independent Special Districts of Orange County (ISDOC) S
1. Quarterly Meeting — Wednesday, January 30, 2002 Consider Attendance
COSTA MESA SANITARY DISTRICT
January 10, 2002
AGENDA
Page 3
•
RECOMMENDED
ACTION
/ E.
Contract Payment to CR Transfer for recycling
Approve Subject to
services and disposal for December 2001
Verification of Diversion
Report by Staff
SDRMA — Information
Receive and File
A.
Recycling Committee — January 8, 2002 — 9:30 a.m.
Director Worthington and Director Woodside
�1. Standardized Container Program
Accept Report
2. Telephone Book Recycling Program
Accept Report
3. Christmas Tree Recycling
Accept Report
4. Greeting Card Recycling
Accept Report
IX. NGINEER'S REPORTS
/A.
Emergency Work
Ratify Actions
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Control Waste
By Manager
Update
B.
Santa Ana Regional Water Quality Board
Discharge Requirements ( S WU, ( k4,1cWvw pcv%.&L Wt* Di/i�p£,s
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C.
Project No. 155 — Master Plan Update
Progress Report
X. TREASURER'S REPORTS
/A.. Investment Oversight Committee Meeting — January 10, 2002 Accept Report
B. Financial Statements for Year Ended June 30, 2001 Receive and File
XI. /ATTORNEY'S REPORTS
XII. L � CAL MEETINGS �� /� � �_p_ _
A. Orange County Sanitation District � 1
1. Regular Meeting — December 19, 2001 Consider
2. Monthly Board Letter Update Consider
B. Santa Ana River Flood Protection Agency Consider
• C. Independent Special Districts of Orange County (ISDOC) S
1. Quarterly Meeting — Wednesday, January 30, 2002 Consider Attendance
COSTA MESA SANITARY DISTRICT
AGENDA
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D. Local Agency Formation Commission (LAFCO) /� s' Vim"
1. Costa Mesa and Newport Beach Annexations
E. Water Advisory Committee of Orange County (WACO)
F. Orange County Council of Governments (OCCOG)
G Chamber of Commerce Legislation Committee
H. CSDA
XIII. OLD BUSINESS
A. Special District Institute Governance Seminar – February 27 to
March 2, 2002 – San Diego (first in series of three)
XIV. NEW BUSINESS
A. CSDA Seminar "Practicalities 2002 - Governing Together'-
January 24 -25, 2002 – Palm Springs
XV. ORAL COMMUNICATIONS
XVI. ADJOURNMENT
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January 10, 2002
Page 4
RECOMMENDED
ACTION
Consider
Consider
Consider
Consider
Consider
Consider
Consider Attendance
Consider Attendance
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COSTA MESA SANITARY DISTRICT
MINUTES OF RECYCLING COMMITTEE MEETING
DECEMBER 10, 2001
The Costa Mesa Sanitary District Recycling Committee met at 9:30 a.m. in conference
room 5A at the Civic Center, 77 Fair Drive, Costa Mesa.
Directors Present: Dan Worthington, Jim Ferryman
Staff Present: Rob Harriers, Tom Fauth, Joan Revak
STANDARDIZED CONTAINER PROGRAM
DISTRIBUTION PROGRESS REPORT
Mr. Fauth provided a matrix on the status of container orders to Roto Industries and
reported as of December 3, 2001, containers have been ordered and invoiced as
follows:
7,900
90 gallon
$410,010.00
17,400
60 gallon
$781,260.00
475
35 gallon
$ 18,881.25
25,775
Total
$1,210,151.25
Director Worthington reported delivery is currently at 60 percent.
Mr. Fauth reviewed the matrix depicting the Roto orders and delivery figures. The
matrix reflects the figures at 50 percent delivery and has used a total of 48 percent of
the funds budgeted.
PUBLIC RELATIONS CAMPAIGN
Mr. Fauth reported the fact that some drivers are not picking up bagged trash sitting
outside the standardized containers. Mr. Fauth will contact Costa Mesa Disposal to
request all bags be picked up. Many homeowners have gardening services that leave
the bagged clippings at the curbside instead of placing it in the standardized container.
Director Worthington suggested residents be advised to have their gardening service
place clippings in the standardized container instead of leaving them at the curb.
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Costa Mesa Sanitary District
Minutes of Recycling Committee Meeting
December 10, 2001
Page 2
Mr. Harriers suggested requesting Code Enforcement Officer Ron Shef to place a
notice on all clipping bags placed at the curb before trash collection day advising the
resident that the trash was placed curbside too early.
PRESS RELEASE
Mr. Fauth presented a press release announcing the delivery of Route 16 standardized
containers to take place in the month of December.
MARKING ON CONTAINERS
Ms. Revak reported Staff is looking at various types of tags to be affixed to the
standardized containers to assist residents in identifying their containers.
Staff has ordered the matching spray paint to cover any graffiti markings on containers
and Mr. Shef will be testing the paint to verify its effectiveness.
TELEPHONE BOOK RECYCLING PROGRAM
Ms. Revak reported 8,225 telephone books have been collected as of December 5,
2001. A press release was sent to local newspapers to elicit greater participation in the
final weeks of the program.
GREASE PREVENTION PRODUCTS AND E -WASTE
The Committee discussed the District's current policy of requesting homeowners place
grease in a container to be put into the trash instead of pouring it down the drain.
CRT SUMMIT WORKSHOP — THURSDAY, NOVEMBER 15, 2001
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Director Worthington and Ms. Revak attended the CRT Summit Workshop on
November 15, 2001, hosted by the County of Orange Integrated Waste Management
Department. Director Worthington reported the meeting was very informative with
discussion on the formulation of drop off locations where residents would pay a fee to
dispose of their computer monitors and television sets. is
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Costa Mesa Sanitary District
Minutes of Recycling Committee Meeting
December 10, 2001
Page 3
Director Worthington reported a projection of 6 million monitors and old television sets
will be thrown out next year with no definitive answer as to their proper disposal. There
is a facility near Fresno set up to receive CRTs, but the items are bulky, resulting in a
costly transportation fee.
Ms. Revak advised that Representatives from various charities were in attendance at
the meeting .and reported they are currently overwhelmed with monitors and television
sets and are not desirous of any more a -waste donations. The next meeting is
scheduled for February 2002.
CHRISTMAS TREE RECYCLING
Ms. Revak presented the Christmas Tree Recycling Flyer and reported Mr. Shef has
been distributing the flyers to Christmas tree lots and grocery stores to advise the public
of the December 26, 2001 to January 5, 2002 recycling program.
Mr. Fauth reported the Christmas Tree Recycling Program will be conducted differently
than in previous years where a dedicated truck delivered the trees to the Orange County
Fair Grounds for mulching. The current program will consist of the trees being picked up
during the regular trash collection with CR Transfer separating out the trees for recycling.
The meeting was adjourned at 10:48 a.m.
Secretary
President
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COSTA MESA SANITARY DISTRICT
MINUTES OF BOARD OF DIRECTORS REGULAR MEETING
DECEMBER 11, 2001
The Board of Directors of the Costa Mesa
CALL TO ORDER Sanitary District met in regular session on
December 11, 2001, at 12:00 noon in Room
5 -A of the Civic Center, 77 Fair Drive, Costa
Mesa.
President Schafer called the meeting to order at 12:00 noon.
Director Worthington led the Pledge of Allegiance.
President Schafer gave the invocation.
ROLL CALL
DIRECTORS PRESENT: Arlene Schafer, Art Perry, James Ferryman,
Dan Worthington
DIRECTORS ABSENT: Greg Woodside, absent and excused
STAFF PRESENT: Robin Hamers, Manager /Engineer; Alan
Burns, Legal Counsel; Tom Fauth, Assistant
Manager; Joan Revak, Clerk of the District;
Dawn Schmeisser, Assessment Specialist;
Marc Puckett, Treasurer, Ron Shef, District
'Ordinance Enforcement Officer
Others Present:
None
. ............................... CONSENT CALENDAR . ...............................
President Schafer called the Board's attention to the revised Trash Occupancy
Report, requesting they replace the one previously distributed in the Board
packet.
® The Consent Calendar was unanimously approved.
COSTA MESA SANITARY DISTRICT '
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a ° MINUTES OF BOARD OF DIRECTORS REGULAR MEETING
DECEMBER 11, 2001
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REPORTS
MINUTE APPROVAL
Recycling Committee The Minutes for the Recycling Committee Meeting of
Meeting, November 6, 2001, were approved as distributed.
November 6, 2001
Investment Oversight The Minutes for the Investment Oversight Committee
Committee Meeting Meeting of November 8, 2001, were approved as
November 8, 2001 distributed.
Minutes of Regular The Minutes for the Regular Meeting of November 8,
Meeting, 2001, were approved as distributed.
November 8, 2001
MANAGER'S REPORTS
REFUNDS No refunds were requested.
OCCUPANCY REPORT •
Occupancy Report and The Trash Occupancy Count documented an
Payment of increase of 21 units in the occupancy report for solid
$172,629.41 to Costa waste collection as of December 1, 2001. Therefore,
Mesa Disposal — the total for December is 21,006. Board directed Staff
December 2001 to prepare a warrant for $172,629.41 to Costa Mesa
Disposal on January 1, 2002, for payment for
December trash collection based on the December
count of 21,006.
ENGINEER'S REPORTS
Project Status Report The Project Status Report dated December 2001,
was accepted as submitted.
TREASURER'S REPORTS
Financial report as of The Financial Report for November 30, 2001 was
November 30, 2001 received and filed.
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DECEMBER 11, 2001
PAGE 3
Report of Monies on The Report of Monies on Deposit as of November 30,
Deposit as of 2001, was received and filed.
November 30, 2001
Warrant 2002 -6 for Warrant Resolution #CMSD 2002 -6 was approved,
December 2001 in the authorizing the President and Secretary to sign the
amount of $598,535.27 warrant and instructing the Finance Department to
draw a warrant from the Costa Mesa Sanitary District
General Fund in the amount of $598,535.27
.......................... END OF CONSENT CALENDAR ..........................
WRITTEN COMMUNICATIONS
Mr. Hamers reported receipt of a Christmas card from the Midway City Sanitary
District.
PUSLIC.COMMENTS
There were no public comments, no public in attendance
MANAGER'S REPORTS
ANTI - SCAVENGING AND SCREENING OF TRASH CONTAINERS ENFORCEMENT
REPORTS
POLICE REPORT
Mr. Hamers presented a memorandum providing the statistics for the month
of November 2001. The number of calls for service for scavenging is as
follows:
Location Calls for Service Cite /Arrest
Area 1
1
3
Area II
1
1
Area III
1
0
Area IV
0
0
TOTAL
3
4
DISTRICT ORDINANCE ENFORCEMENT OFFICER REPORT
Mr. Shef presented the ordinance enforcement summary report for the five -
week period beginning October 22, 2001 and ending November 25, 2001.
COSTA MESA SANITARY DISTRICT
L MINUTES OF BOARD OF DIRECTORS REGULAR MEETING
DECEMBER 11, 2001
PAGE 4 •
Mr. Shef was assisted by Mr. Johnson Wang during this period with
distribution of posters and flyers regarding the telephone book recycling
program. Mr. Wang also assisted Mr. Shef in verification of addresses for
the finalization of the occupancy report.
Director Worthington inquired as to the process for adding new development
homes to the standardized container program. Ms. Schmeisser gave a brief
overview of the process, reporting the containers are delivered out of the
regular cycle of distribution.
CMSD STRATEGIC PLAN
DEVELOPMENT OF STRATEGIC PLAN
FEBRUARY 6, 2002 STUDY SESSION AND FEBRUARY 15 AND 16, 2002
WORKSHOP
Ms. Revak reported the dates for the Strategic Planning Workshop of
February 15 and 16, 2002, have been confirmed with Mr. Bob Rauch.
Ms. Revak will contact each Director to schedule their one -hour
interview to be held on February 15. The Board will meet at the
Community Center on February 16 for the Workshop.
Ms. Revak reminded the Board there will be a meeting on February 6,
2002, to discuss the Strategic Planning Workshop.
REVIEW OF FIRST YEAR ACTION ITEMS
ITEM 4.1 - PUBLIC OUTREACH PROGRAM
CIRCLE OF SERVICE AWARD FOR NATE READE
Ms. Revak reported the Parks, Recreation Facilities and Parkways
Commission met on November 5, 2001, and unanimously
recommended Nate Reade for induction into the "Circle of Service."
The Agenda Report goes to the City Council on December 17, 2001,
and, if approved, induction will occur in February 2002.
RETIREMENT OF JIM MORRISON, CENTRAL SERVICES MANAGER
Ms. Revak reported staff prepared a Proclamation for Mr. Jim
Morrison, Central Services Manager, expressing appreciation for Jim's
valuable service over the past 30 years. The Proclamation will be
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COSTA MESA SANITARY DISTRICT
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"s MINUTES OF BOARD OF DIRECTORS REGULAR MEETING
DECEMBER 11, 2001
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presented to Mr. Morrison at a City Retirement Potluck Luncheon on
December 12, 2001.
Secretary Perry motioned to ratify the Proclamation for Mr. Jim
Morrison, Central Services . Manager. Director Ferryman seconded.
Motion carried unanimously.
ITEM 5.1 — OFFICE STAFFING /RESOURCES
Mr. Fauth reported Staff re- released the Employment Opportunity
advertisement to restart the selection process for the position of Permit
Processing Specialist. Personnel released the advertisement on
November 14, 2001, with a closeout application date of December 7,
2001. Interviews are projected to be completed in January 2002. Staff
will continue using Apple One's temporary, Denise Gilbert, until the
selection process is completed.
COSTA MESA DISPOSAL FIELD UPDATE OF OCCUPANCY REPORT
Mr. Hamers reported Costa Mesa Disposal logs the addresses for
residences serviced as they drive each route. The Costa Mesa Sanitary
District determines residences by assessor parcel numbers. A plan to
reconcile the two databases is being formulated. Mr. Fauth will be
providing the results of the Field Update at the January 2002 meeting.
RECYCLING REPORTS
WASTE DIVERSION REPORT — OCTOBER 2001
The Waste Diversion Report for October showing a diversion rate of 50.11
percent was received and filed.
WASTE DIVERSION REPORT — NOVEMBER 2001
The Waste Diversion Report for November has not yet been received.
CONTRACT PAYMENT TO CR TRANSFER FOR RECYCLING SERVICES AND DISPOSAL
FOR NOVEMBER 2001
Director Ferryman motioned to approve contract payment to CR Transfer for
recycling services and disposal for the month of November 2001 in the
amount of $148,193.34, pending verification of diversion report by Staff.
Secretary Perry seconded. Motion carried unanimously.
COSTA MESA SANITARY DISTRICT
MINUTES OF BOARD OF DIRECTORS REGULAR MEETING
DECEMBER 11, 2001
PAGE 6
RECYCLING COMMITTEE - DECEMBER 10, 2001 - 9:30 A.M. DIRECTOR
WORTHINGTON AND DIRECTOR FERRYMAN
STANDARDIZED CONTAINER PROGRAM
DISTRIBUTION PROGRESS REPORT
Director Worthington reported delivery is currently at 60 percent.
Mr. Fauth reviewed the matrix depicting the Roto orders and delivery
figures. The matrix reflects the figures at 50 percent delivery and has
used a total of 48 percent of the funds budgeted.
PUBLIC RELATIONS CAMPAIGN
Mr. Worthington reported the Committee discussed the fact that some
drivers are not picking up bagged trash sitting outside the standardized
containers. Mr. Fauth will contact Costa Mesa Disposal to request all
bags be picked up.
Mr. Shef reported many homeowners have gardening services that leave
the bagged clippings at the curbside instead of placing it in the
standardized container.
Director Worthington suggested residents be advised to have their
gardening service place clippings in the standardized container instead of
leaving them at the curb.
Mr. Hamers suggested Mr. Shef place a notice on all clipping bags placed
at the curb before trash collection day advising the resident that the trash
was placed curbside too early.
PRESS RELEASE
Director Worthington presented a press release sent out December 5,
2001, announcing the next scheduled delivery of standardized containers
for Route 16 with a listing of the affected streets.
MARKING ON CONTAINERS
Director Worthington reported Staff is looking at various types of tags to
distribute to help residents identify their standardized containers.
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COSTA MESA SANITARY DISTRICT
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MINUTES OF BOARD OF DIRECTORS REGULAR MEETING
DECEMBER 11, 2001
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Mr. Shef will be receiving the matching spray paint to cover any graffiti
markings on containers.
TELEPHONE BOOK RECYCLING PROGRAM
Ms. Revak reported 8,225 telephone books have been collected as of
December 5, 20.01. A press release was sent to local newspapers to elicit
greater participation in the final weeks of the program.
GREASE PREVENTION PRODUCTS
Director Worthington reported the Committee discussed the District's
current policy of requesting homeowners place grease in'a container to be
put into the trash instead of pouring it down the drain.
President Schafer suggested an article be put in the newsletter advising
homeowners of the products available for grease absorption.
CRT SUMMIT WORKSHOP — THURSDAY, NOVEMBER 15, 2001
Director Worthington and Ms. Revak attended the CRT Summit Workshop
on November 15, 2001, hosted by the. County of Orange Integrated Waste
Management Department. Director Worthington reported the meeting was
very informative and they,discussed the formulation of drop off locations
where people would pay a fee to dispose of their monitor and television
set.
Director Worthington reported a projection of 6 million monitors and old
television sets will be thrown out next year with no definitive answer as to
their proper disposal. There is a facility near Fresno set up to receive
CRTs, but the items are bulky, resulting in a costly transportation fee.
Ms. Revak advised that Representatives from various charities were in
attendance at the meeting and reported they are currently overwhelmed
with monitors and television sets and are not desirous of any more e-
waste donations. The next meeting is scheduled for February 2002.
CHRISTMAS TREE RECYCLING
Ms. Revak reported Mr. Shef has been distributing the Christmas Tree
Recycling flyer to Christmas tree lots and grocery .stores to advise the
public of the December 26, 2001 to January 5, 2002 recycling program.
��S.SAM /fj *,Q COSTA MESA SANITARY DISTRICT
MINUTES OF BOARD OF DIRECTORS REGULAR MEETING
DECEMBER 11, 2001
PAGES •
Mr. Fauth reported the Christmas Tree Recycling Program will be
conducted differently than in previous years where a dedicated truck
delivered the trees to the Orange County Fair Grounds for mulching. The
current program will consist of the trees being picked up during the regular
trash collection with CR Transfer separating out the trees for recycling.
CMSD ANNUAL COUNTYWIDE TRASH COLLECTION PROGRAM SURVEY
Ms. Revak presented the CMSD Annual Countywide Trash Collection
Program Survey, reporting three new cities were incorporated since the
last survey, Aliso Viejo, Laguna Woods, and Rancho Santa Margarita.
However, data was unattainable for the new cities.
The survey, conducted annually by the District Clerk, showed an increase
of an average of $.83 a month in 20 cities /districts for single - family
residence trash rates; 15 reported an increase in their diversion rate; 8
reported offering residents additional special programs.
ENGINEER'S REPORTS
EMERGENCY WORK
PUMPING STATION TELEMETRY SYSTEM
Mr. Hamers reported the telemetry system became inoperable on October
5, 2001, and a consultant, Technology Resource Center (TRC), was hired
to work through the weekend to repair the system. Subsequent to the
temporary repairs made, it was determined the system needed immediate
thorough repairs or would continue to malfunction, thereby possibly
causing sewer backups because of inadequate pumping station reporting.
Because the system was in jeopardy, the Manager /District Engineer
awarded an emergency repair contract to TRC. The Manager attempted
to contact other consultants, but none were available and none had
sufficient knowledge to work on the District's system. To date, TRC has
completed 70 percent of its work including programming the three new
computers and having them ready for the start up. Upon receipt of the last
software program from the District, the new equipment will be installed
and the transition to the new equipment completed.
Director Ferryman motioned to ratify Mr. Hamers' actions in the
emergency repair of the telemetry system. Director Worthington
seconded. Motion carried unanimously. 0
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DECEMBER 11, 2001
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SANTA ANA REGIONAL WATER QUALITY CONTROL BOARD WASTE DISCHARGE
REQUIREMENTS
Mr. Hamers provided an update report and presented a copy of the
Orange County Sanitation District ocean outfall report by Ernesto Munoz,
Assistant City Engineer of Costa Mesa.
As results of the ocean water testing become available, the District may
have a study session to determine if the District should take a position on
the issue.
PROJECT NO. 155 - MASTER PLAN UPDATE
Mr. Hamers reported the Sewer Master Plan will be prepared with three
main sections: a Capacity Analysis, the Sewer System Management Plan,
and the Emergency Response Program. The proposed plan will be
presented in a three -ring binder to allow updates and changes to the plan..
President Schafer suggested the plan be presented at a special study
session after the Strategic Planning Workshop. Mr. Hamers stated he is
prepared to present the draft in its entirety or in sections, one at a time, for
the Board's review.
TREASURER'S REPORTS
Mr. Puckett reported he is working on the draft of the financial statement and
will be finalizing the report in approximately a week. Mr. Puckett reported the
finished report will be posted to the District's website as well as be made
available to other agencies.
ATTORNEY'S REPORTS
ORDINANCE NO. 39 - ESTABLISHING A LOCAL CLAIMS PROCEDURE
Mr. Burns presented Ordinance No. 30 — AN ORDINANCE OF THE BOARD
OF DIRECTORS OF THE COSTA MESA SANITARY DISTRICT
ESTABLISHING A LOCAL CLAIMS PROCEDURE. Mr. Burns reported the
Ordinance supplements the State claims - presentation requirements by
mandating that additional types of claims be presented to the Board of
Directors before a lawsuit can be filed.
Secretary Perry motioned to adopt Ordinance No. 39. Director Ferryman
seconded. Motion carried unanimously.
COSTA MESA SANITARY DISTRICT
' MINUTES OF BOARD OF DIRECTORS REGULAR MEETING
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DECEMBER 11, 2001
PAGE 10
ADDENDUM NO. 3 TO AGREEMENT WITH COSTA MESA DISPOSAL TO PROVIDE
ANNUAL OCCUPANCY COUNT AND ROTO INDUSTRIES TO PROVIDE ADDITIONAL
YEAR OF CONTAINER MAINTENANCE
Mr. Burns presented Addendum No. 3, an agreement with Costa Mesa
Disposal to provide annual occupancy count and Roto Industries to provide
additional year of container maintenance.
Secretary Perry motioned to approve Addendum No. 3. Director Worthington
seconded. Motion carried unanimously.
LOCAL MEETINGS
ORANGE COUNTY SANITATION DISTRICT
REGULAR MEETING — NOVEMBER 21, 2001
Director Ferryman attended a committee meeting on November 21, 2001.
• Crow Winthrop filed for dismissal of case.
Extended time to do due diligence in Colton for bio- solids plant.
MONTHLY BOARD LETTER UPDATE
The Monthly Board Letter was provided in the Board packets.
SANTA ANA RIVER FLOOD PROTECTION AGENCY
Director Ferryman attended the Santa Ana River Flood Protection agency
and reported the budget was approved.
INDEPENDENT SPECIAL DISTRICTS OF ORANGE COUNTY (ISDOC)
President Schafer attended the December 4th Executive Board Meeting
and chaired half the meeting. President Schafer reported the Executive
Board expressed concern with representatives to LAFCO from ISDOC.
They requested information on the Technical Advisory Committee to
LAFCO.
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MINUTES OF BOARD OF DIRECTORS REGULAR MEETING
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LOCAL AGENCY FORMATION COMMISSION ( LAFCO)
President Schafer reported the next LAFCO meeting will be held
December 12, 2001. There will be an Orange County Leadership
Symposium in Arrowhead "Leading Our Communities" — UCLA
Conference Center.
WATER ADVISORY COMMITTEE OF ORANGE COUNTY (WACO)
President Schafer reported Adam Ortega, Vice President, Metropolitan
Water District of Southern California, spoke on the Palos Verdes Land
Fallowing Program. Bill Vardoulis, President, BV Engineering, spoke on
the Cleveland Tunnel Transportation Utilities Corridor. The tunnel project
is estimated to cost 3 billion dollars and would charge a $2 to $3 fee.
ORANGE COUNTY COUNCIL OF GOVERNMENTS (OCCOG)
President Schafer did not attend the meeting but provided the agenda and
information for the Board's perusal.
® CHAMBER OF COMMERCE LEGISLATION COMMITTEE
President Schafer reported the Chamber of Commerce Legislation
Committee is dark in December.
CSDA
President Schafer attended the Annual Planning Meeting for the year.
The meeting was an evaluation wrap up and focused on goals and
planning for 2002. An orientation manual was presented. President
Schafer presented the agenda and membership survey for the Board's
perusal.
President Schafer was appointed to two committees: The Education
Committee and Membership and Recruitment Committee.
SDRMA — NOMINATION OF DIRECTOR WORTHINGTON
ACCEPTANCE OF NOMINATION AND INTERVIEW
Director Worthington attended the interview and reported he was
® interviewed for approximately half an hour.
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MINUTES OF BOARD OF DIRECTORS REGULAR MEETING
DECEMBER 11, 2001 A
PAGE 12
SPECIAL DISTRICT INSTITUTE GOVERNANCE SEMINAR - FEBRUARY 27 TO MARCH
2, 2002 - SAN DIEGO (FIRST IN SERIES OF THREE)
President Schafer reported the Special District Institute Governance
Seminar at the Catamaran Resort in San Diego is the first in a series of
three and highly recommended. President Schafer will attend as well as
Directors Perry, Ferryman, Worthington, and the District Clerk, Ms. Revak.
OLD BUSINESS
There was no old business.
NEW BUSINESS
CSDA MEMBERSHIP DUES FOR 2002 IN THE AMOUNT OF $2,184.00
Director Ferryman motioned to authorize payment of membership dues for CSDA
for 2002 in the amount of $2,184.00. Secretary Perry seconded. Motion carried
unanimously.
ORAL COMMUNICATIONS
There were no oral communications.
ADJOURNMENT
At 1:38 p.m., President Schafer adjourned the meeting.
SECRETARY
PRESIDENT
•
•
Costa Mesa Sanitary District
PROJECT STATUS REPORT
January 2002
Project 1112100 -128 Mesa /Birch Sewer Realignment
Construction is complete. District is awaiting final billing statements from the County of
Orange.
Project 1112100 -129 Bristol Street Pumping Station
The Amendment to the Three Party Agreement has been approved and the
redesign is 90% complete. The Board formalized the position of remaining as
sewer service and trash collection provider for Santa Ana Heights, including
owning the Bristol Street Pumping Station, at the June 14, 2001, regular meeting.
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.
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.
r
Project 1112100 -152 Televising Sewer Lines
The project is continuing.
Project 1112100 -155 Sewer Master Plan Update
The project is continuing.
Project 1112100 -159 Televising Sewer Lines Program Years 98- 99,99 -2000
Areas around the District with known problems were televised on July 18 -19,
2001.
Protect 1112100 -161 Construct Water Services to Pumping Stations
The plans have been submitted to the Water Districts for signature.
Project 1112100 -162 Pilot Program -Use of Enzymes to Control Grease and
Odors
The first enzyme system, by Ennix, was tested and was successful. Products
from other manufacturers are being tested.
Project 1112100 -165 Rehabilitate Canyon Pumping Station Force Main
The design phase is continuing.
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 -169 Telemetry System Upgrade
Because the entire system broke down and became inoperable, the repairs are being
accomplished through emergency work authorized by the Manager.
•
•
.7
District Equity:
•
COSTA MESA SANITARY DISTRICT
BALANCE
SHEET
4,706,828.65
0.00
0.00
4,706,828.65
4,706,828.65
AS OF
DECEMBER 31, 2001
0.00
0.00
0.00
0.00
0.00
Reserved for Capital Outlay
SEWER
FACILITIES
ACTUAL TOTALS
481,000.00
3,650,922.06
SOLID WASTE
LIQUID WASTE
CONSTRUCTION
REVOLVING
191,175.39
1,747,350.53
12,324,179.25
FUND
FUND
FUND
FUND
Combined Funds
Fiscal Year
ACCOUNT NAME
594
595
592
593
As of December 31, 2001
2000-2001
Current Assets:
Cash and Investments
2,427,988.58
6,048,155.76
195,016.26
1,990,533.68
10,661,694.28
$10,080,554.01
Accounts Receivable
0.00
2,181.87
0.00
0.00
2,181.87
7,899.43
Returned
0.00
0.00
0.00
0.00
0.00
0.00
Taxes Receivable
0.00
0.00
0.00
0.00
0.00
105,167.07
Interest Receivable
0.00
0.00
0.00
0.00
0.00
110,442.74
Solid Waste Receivable
0.00
0.00
0.00
0.00
0.00
0.00
Liquid Waste Receivable
0.00
0.00
0.00
0.00
0.00
0.00
Grant Receivable
0.00
0.00
0.00
0.00
0.00
0.00
Due From Other Governments
0.00
0.00
0.00
(810.00)
(810.00)
8,821.56
Prepaid items(Insurance)
0.00
0.00
0.00
0.00
0.00
0.00
Total Current Assets
2,427,988.58
6,050,337.63
195,016.26
1,989,723.68
10,663,066.15
10.312,884.81 "
Property, Plant & Equip:
Property Rights
0.00
4,025.00
0.00
0.00
4,025.00
4,025.00
Buildings and Structures
0.00
346,520.00
0.00
0.00
346,520.00
346,520.00
Subsurface Lines
0.00
19,466,045.50
0.00
316,420.90
19,782,466.40
19,782,466.40
Other Equipment
0.00
458,725.19
0.00
0.00
458,725.19
458,725.19
Construction in Progress
0.00
309,160.52
0.00
0.00
309,160.52
192,905.09
Total Prop., Plant, & Equip.
0.00
20,584,476.21
0.00
316,420.90
20,900,897.11
20,784,641.68
Acc. Depreciation
0.00
(9,953,624.75)
0.00
(15,821.04)
(9,969,445.79)
(9,969,445.79)
Net Property, Plant & Equip
0.00
10,630,851.46
0.00
300,599.86
10,931,451.32
10,815,195.89
Total Assets
2,427,988.58
16,681,189.09
195,016.26
2,290,323.54
21,594,517.47
$21,128,080.70
Liab. and District Equity
Current Liabilities:
Accounts Payable
86.49
86.48
0.00
45.00
217.97
570,704.07
Payroll Tax Payables
0.00
9.83
0.00
0.00
9.83
0.00
Other Payables
0.00
0.00
0.00
0.00
0.00
0.00
CMSD Development Deposits
0.00
0.00
0.00
0.00
0.00
0.00
Sales and Use Tax Payable
370.45
29.78
0.00
0.00
400.23
400.23
Due to City of Costa Mesa
0.00
0.00
0.00
0.00
0.00
0.00
Due to Other Governments
0.00
2,108.15
0.00
0.00
2,108.15
(49,940.87)
Unallocated Interest
0.00
(163.12)
0.00
0.00
(163.12)
0.00
Deferred Revenue
0.00
0.00
0.00
0.00
0.00
0.00
Total Current Liabilities
456.94
2,071.12
0.00
45.00
2,573.06
521,163.43
District Equity:
Contributed Capital
0.00
4,706,828.65
0.00
0.00
4,706,828.65
4,706,828.65
Res for Trash Assessment Rfnd
0.00
0.00
0.00
0.00
0.00
0.00
Reserved for Capital Outlay
0.00
3,169,922.06
0.00
481,000.00
3,650,922.06
3,650,922.06
Unreserved
2,231,216.03
8,154,437.30
191,175.39
1,747,350.53
12,324,179.25
12,005,426.49
Current Earnings
196,315.61
647,929.96
3,840.87
61,928.01
910,014.45
243,740.07
Total Retained Earnings
2,427,531.64
16,679,117.97
195,016.26
2,290,278.54
21,591,944.41
20,606,917.27
Total District Equity
2,427,531.64
16,679,117.97
195,016.26
2,290,278.54
21,591,944.41
20,606,917.27
Total Liab. & Dist. Equity
2,427,988.58
16.681,189,09
195,016.26
2,290,323.54
21,594,517.47
$21,128,080.70
COSTA MESA SANITARY DISTRICT
STATEMENT OF REVENUES AND EXPENSES
AS OF DECEMBER 31, 2001
Nonoperating Revenue (Expenses):
SEWER
FACILITIES
ACTUAL TOTALS
Investment Earnings
SOLID WASTE
LIQUID WASTE
CONSTRUCTION
REVOLVING
Combined Funds
Fiscal Year
Account Name
FUND
FUND
FUND
FUND
As of 12/31/01
2000.2001
Operating Revenues:
0.00
2,290.00
0.00
0.00
2,290.00
8,150.00 ,
Solid Waste Charges
1,839,251.16
0.00
0.00
0.00
1,839,251.16
3,676,199.49
Liquid Waste Charges
0.00
375,154.00
0.00
0.00
375,154.00
1,508,150.36
Permits & Inspection Fees
0.00
5,760.00
0.00
0.00
5,760.00
13,295.00
O.C.S.D. Fees -CMSD Share
0.00
1,399.79
0.00
22,920.00
24,319.79
83,265.47
Other Charges for Services
30.00
125.50
0.00
0.00
155.50
240.20
Sale of Maps and Publ.
0.00
35.00
0.00
0.00
35.00
70.00
Orange County Bankruptcy Reimb.
0.00
0.00
0.00
0.00
0.00
0.00
Other Reimbursements
0.00
419.94
0.00
0.00
419.94
107,515.44
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
1,839,281.16
382,894.23
0.00
22,920.00
2,245,095.39
5,388,735.96
Operating Expenses:
0.00
0.00
0.00
0.00
0.00
(286.61)
Payroll Expenses:
0.00
0.00
0.00
0.00
0.00
0.00
Salaries & Wages
1,014.97
1,014.81
0.00
0.00
2,029.78
0.00
Unemployment
12.24
12.24
0.00
0.00
24.48
0.00
Solid Waste Disposal:
196,315.61
647,929.96
3,840.87
61,928.01
$912,068.71
$243,740.07
Trash Hauler
1,035,250.91
0.00
0.00
0.00
1,035,250.91
2,018;941.56
Large Item Pick -Up
9,114.34
0.00
0.00
0.00
9,114.34
8,026.05
Contractual Services - General
0.00
0.00
0.00
0.00
0.00
181,679.07
Contract Code Enforcement
12,570.62
0.00
0.00
0.00
12,570.62
.23.143.52
Liquid Waste Disposal:
Sewer Repairs and Maintenance
0.00
32,959.77
0.00
0.00
32,959.77
95,133.37
Contractual Services - Liquid
0.00
0.00
0.00
0.00
0.00
1,043,495.45
Dump Charges:
-
Recycling and Disposal
721,643.17
0.00
0.00
0.00
721,643.17
1,666,618.55
General & Administration:
Transcription Services
1,245.64
1,245.61
0.00
0.00
2,491.25
5,268.65
Board Member Fees
7,395.00
7,395.00
0.00
0.00
14,790.00
28,145.00
Election Expense
0.00
0.00
0.00
0.00
0.00
19,681.56
General Liability
18,790.90
18,695.40
0.00
0.00
37,486.30
110$00.45
Public Info /Edu & Com Prom
387.00
212.00
0.00
0.00
599.00
7,719.83
Manager /Engineer
7,172.00
66,067.00
0.00
0.00
73,239.00
155,112.50
Special Program Costs
17,696.14
0.00
0.00
0.00
17,696.14
40,881.47
Attorney
7,317.00
7,317.00
0.00
0.00
14,634.00
27,825.00
Travel & Meetings
2,716.39
2,716.37
0.00
0.00
5,432.76
6,354.20
Professional Organizations -Dues
7,413.93
7,413.92
0.00
0.00
14,827.85
3,939.00
Photocopy Supplies
0.00
0.00
0.00
0.00
0.00
0.00
Multimedia Prom/Subsc & Postage
576.61
1,178.28
0.00
0.00
1,754.89
1,288.98
Auditing Services
1,250.00
1,250.00
0.00
0.00
2,500.00
4,294.00
Professional Services
4,286.27
3,690.88
0.00
0.00
7,977.15
14,257.54
Office Equipment
0.00
0.00
0.00
0.00
0.00
1,658.28
Strategic Planning
268.75
268.75
0.00
0.00
537.50
16,708.94
Depreciation
0.00
0.00
0.00
0.00
0.00
448,747.94
Total Operating Expenses
1,856,121.88
151,437.03
0.00
0.00
2,005,504.65
5,929,720.91°
OPERATING INCOME(LOSS)
(16 840.72)
231 457.20
0.00
22,920.00
239,590.74
(540,984.95)
Nonoperating Revenue (Expenses):
Investment Earnings
30,758.95
109,151.55
3,840.87
39,008.01
182,759.38
670,091.18
Taxes
27,977.72
305,663.95
0.00
0.00
333,641.67
151,424.85
Sewer Permits
0.00
2,290.00
0.00
0.00
2,290.00
8,150.00 ,
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
2,016.00
ERAF Reimbursement AB1661
0.00
0.00
0.00
0.00
0.00
2.67
Other State Grants
0.00
0.00
0.00
0.00
0.00
1,744.16
Other Governmental Agencies
0.00
0.00
0.00
0.00
0.00
4,865.78
Contributions
0.00
0.00
0.00
0.00
0.00
26,821.50
Loan Proceeds
1,054,392.80
0.00
0.00
0.00
1,054,392.80
0.00
Gain (LossyDisposal of Assets
0.00
0.00
0.00
0.00
0.00
1.81
Nonoperating Income - Other
0.00
0.00
0.00
0.00
0.00
75,305.47
Gain (Loss) on Investments
0.00
0.00
0.00
0.00
0.00
0.00
Nonoperating Expenses- Other
(899,973.14)
(632.74)
0.00
0.00
(900,605.88)
(155,411.79)
Trustee Fees
0.00
0.00
0.00
0.00
0.00
(286.61)
Professional Services - Other
0.00
0.00
0.00
0.00
0.00
0.00
Capital Replacement Reserve
0.00
0.00
0.00
0.00
0.00
0.00
Total Nonoperating Rev (Exp)
213,156.33
416,472.76
3,840.87
39,008.01
672,477.97
784,725.02
NET INCOME (LOSS)
196,315.61
647,929.96
3,840.87
61,928.01
$912,068.71
$243,740.07
STATEMENT OF REVENUES AND EXPENSES
BUDGET VS ACTUAL
SOLID WASTE FUND(594)
FOR THE SIX MONTHS ENDED DECEMBER 31, 2001
VARIANCE:
FAVORABLE
2000 -2001
ACCOUNT NAME
BUDGET
ACTUALS
(UNFAVORABLE)
ACTUALS
Operating Revenues:
Solid Waste Charges
$3,874,265.00
$1,839,251.16
(2,035,013.84)
$3,676,199.49
Other Charges for Services
200.00
30.00
(170.00)
132.10
Other Reimbursements
0.00
0.00
0.00
17,980.02
Orange County Bankruptcy Reimb.
0.00
0.00
0.00
0.00
Reimbursement -Of Mandated Costs
0.00
0.00
0.00
0.00
Special Assessments
1,500.00
0.00
(1,500.00)
0.00
Total Operating Revenues
3,875,965.00
1,839,281.16
(2,036,683.84)
3,694,311.61
Operating Expenses:
Solid Waste Disposal:
Trash Hauler
2,076,482.00
1,035,250.91
1,041,231.09
2,018,941.56
Large Item Pick -Up
8,000.00
9,114.34
(1,114.34)
. 8,026.05
Contractual Services - General
184,637.00
0.00
184,637.00
181,679.07•'
Contract Code Enforcement
30,000.00
12,570.62
17,429.38
23,143.52
Recycling and Disposal
1,710,406.00
721,643.17
988,762.83
1,666,618.55
General & Administration
Salaries & Wages
0.00
1,014.97
(1,014.97)
0.00
Unemployment
0.00
12.24
(12.24)
0.00
Transcription Services
4,400.00
1,245.64
3,154.36
2,634.33'
Board Member Fees
17,500.00
7,395.00
10,105.00
14,250.00
Election Expense (Legal Notices)
0.00
0.00
0.00
9,840.78
General Liability
18,841.00
18,790.90
50.10
55,400.23
Public Info /Edu & Com prom
4,500.00
387.00
4,113.00
4,626.59
Manager /Engineer
20,000.00.
7,172.00
12,828.00
17,640.00
Special Program Costs
39,500.00
17,696.14
21,803.86
40,881.47
Attorney
25,000.00
7,317.00
17,683.00
13,912.50
Travel & Meetings
5,500.00
2,716.39
2,783.61
3,073.04
Professional Organizations -Dues
7,875.00
7,413.93
461.07
1,969.50
Photocopy Supplies
250.00
0.00
250.00
0.00
Multimedia Prom /Subsc & Postage
2,500.00
576.61
. 1,923.39
228.53
US Postage Service
250.00
0.00
250.00
0.00
Auditing Services
2,300.00
1,250.00
1,050.00
2,147.00
Professional Services - Employment
10,000.00
4,286.27
5,713.73
7,128.66
Strategic Planning
2,500.00
268.75
2,231.25
8,661.97
Depreciation
0.00
0.00
0.00
0.00
Total Operating Expenses
4,170,441.00
1,856,121.88
2,314,319.12
4,080,803.35
OPERATING INCOME(LOSS)
(294,476.00)
(16,840.72)
(4,351,002.96)
(386,491.74)
Nonoperating Revenue (Expenses):
Investment Earnings
135,000.00
30,758.95
(104,241.05)
147,736.76
Taxes
128,950.00
27,977.72
(100,972.28) .
75,712.37
Annexation Fees
750.00
0.00
(750.00)
0.00
EFAF Reimbursements
0.00
0.00
0.00
1.34
Other State Grants
0.00
0.00
0.00
1,744.16
Other Government Agencies
0.00
0.00
0.00
0.00
Contributions
26,500.00
0.00
(26,500.00)
26,821.50
Loan Proceeds
0.00
1,054,392.80
1,054,392.80
0.00
Gain (Loss) /Disposal of Assets
0.00
0.00
0.00
0.00
Nonoperating Income - Other
0.00
0.00
0.00
50.15
Gain (Loss)/ Investments
0.00
0.00
0.00
0.00
Nonoperating Expenses - Other
(1,000.00)
(899,973.14)
(898,973.14)
(155,331.88)
Trustee Fees -
0.00
0.00
0.00
(143.30)
Professional Services - Other
0.00
0.00
0.00
0.00
Debt Service
(284,251.00)
0.00
284,251.00
0.00
Capital Replacement Reserve
0.00
0.00
0.00
0.00
Total Nonoperating Rev (Exp)
5,949.00
213,156.33
207,207.33
96,591.10
NET INCOME (LOSS)
(288,527.00)
196,315.61
(4,143,795.63)
(289,900.64)
STATEMENT OF REVENUES AND EXPENSES
BUDGET VS ACTUAL
LIQUID WASTE FUND(595)
FOR THE SIX MONTHS ENDED DECEMBER 31, 2001
VARIANCE:
FAVORABLE
2000 -2001
ACCOUNT NAME
BUDGET
ACTUALS
(UNFAVORABLE)
ACTUALS
Operating Revenues:
Liquid Waste Charges
1,502,745.00
375,154.00
(1,127,591.00)
1,508,150.36
Permits & Inspection Fees
11,000.00
5,760.00
(5,240.00)
13,295.00
O.C.S.D. Fees
9,000.00
1,399.79
(7,600.21)
15,502.14
Other Charges for Services
200.00
125.50
(74.50)
108.10
Other Reimbursements
0.00
419.94
419.94
89,535.42
Orange County Bankruptcy Reimb.
0.00
0.00
0.00
0.00
Reimbursement -Of Mandated Costs
0.00
0.00
0.00
0.00
Sales of Maps
100.00
35.00
(65.00)
70.00
Special Assessment
1,500.00
0.00
(1,500.00)
0.00
Total Operating Revenues
1,524,545.00
382,894.23
(1,141,650.77)
1,626,661.02
Operating Expenses:
Liquid Waste Disposal:
Sewer Repairs and Maintenance
30,000.00
32,959.77
(2,959.77)
95,133.37
Contractual Services - Liquid
857,603.00
0.00
857,603.00
1,043,495.45
Contract Code Enforcement
8,000.00
0.00
8,000.00
0.00
General & Administration
Salaries & Wages
0.00
1,014.81
(1,014.81)
0.00
Unemployment
0.00
12.24
(12.24)
0.00
Transcription Services
4,400.00
1,245.61
3,154.39
2,634.32
Board Member Dues
17,500.00
7,395.00
10,105.00
. 13,895.00
Election Expense
0.00
0.00
0.00
9,840.78
General Liability
18,841.00
18,695.40
145.60
55,400.22
Public Info /Edu & Com Prom
4,500.00
212.00
4,288.00
3,093.24
Manager /Engineer
154,400.00
66,067.00
88,333.00
137,472.50
Attorney
25,000.00
7,317.00
17,683.00
13,912.50
Travel & Meetings
5,500.00
2,716.37
2,783.63
3,281.16
Professional Organizations -Dues
7,875.00
7,413.92
461.08
1,969.50
Photocopy Supplies
250.00
0.00
250.00
0.00
Multimedia Prom /Subscrip & Post
2,500.00
1,178.28
1,321.72
1,060.45
Auditing Services
2,300.00
1,250.00
1,050.00
2,147.00
US Postage
250.00
0.00
250.00
0.00
Professional Services
10,000.00
3,690.88
6,309.12
7,128.88
Office Equipment
0.00
0.00
0.00
1,658.28
Strategic Planning
2,500.00
268.75
2,231.25
8,046.97
Depreciation
0.00
0.00
0.00
443,474.26
Total Operating Expenses
1,151,419.00
151,437.03
999,981.97
1,843,643.88
OPERATING INCOME(LOSS)
373,126.00
231,457.20
(2,141,632.74)
(216,982.86)
Nonoperating Revenue (Expenses):
Investment Earnings
205,000.00
109,151.55
(95,848.45)
374,298.48
Taxes
0.00
305,663.95
305,663.95
75,712.48
Sewer Permits
5,000.00
2,290.00
(2,710.00)
8,150.00
Annexation Fees
750.00
0.00
(750.00)
0.00
Excessive Effluent Discharge
5,000.00
0.00
(5,000.00)
2,016.00
EFAF Reimbursement
0.00
0.00
0.00
1.33
Other State Grants
0.00
0.00
0.00
0.00
Other Governmental Agencies
0.00
0.00
0.00
.4,865.78
Gain (Loss) /Disposal of Assets
0.00
0.00
0.00
1.81
Nonoperating Income - Other
0.00
0.00
0.00
17,197.31
Gain (Loss) on Investments
0.00
0.00
0.00
0.00
Nonoperating Expenses - Other
(1,000.00)
(632.74)
367.26
(79.91)
Trustee Fees
0.00
0.00
0.00
(143.31)
Professional Services -Other
0.00
0.00
0.00
0.00
Capital Replacement Reserve
0.00
0.00
0.00
0.00
Total Nonoperating Rev (Exp)
214,750.00
416,472.76
201,722.76
482,019.97
NET INCOME (LOSS)
587,876.00
647,929.96
(1,939,909.98)
265,037.11
CAPITAL
PROG #
990001
990020
990023
990027
990007
990008
990009
990017
990001
990002
990003
990004
990005
990019
990020
990021
990023
990024
990025
990026
990027
990029
990030
990031
CAPITAL REPLACEMENT RESERVE
COSTA MESA SANITARY DISTRICT
CONSTRUCTION IN PROGRESS'
FOR THE SIX MONTHS ENDED DECEMBER 31, 2001
CUMULATIVE
PRIOR YEARS'
BUDGET ENCUMBRANCES ACTUALS EXPENDITURES BALANCE
CURRENT YEAR PROJECTS
0.00
0.00
71,973.00
(65,446.00)
131,487.00
#149- Sinking Fd /Swr Replm
125,000.00
0.00
0.00
0.00
125,000.00
#156- EarthQuake/ Major Emergency Sewer Recons
123,000.00
0.00
26,510.00
0.00
96,490.00
#159 -Small Televising
18,000.00
0.00
2,531.25
0.00
15,468.75
#164 -Misc. Sewer Unknown
75,000.00
0.00
91,511.68
0.00
(16,511.68)
#168 - Tustin Pump station Remodel (Mesa Dr /Irvine
206,838.00
0.00
0.00
0.00
206,838.00
#169 - Telemetry System Upgrade
50,000.00
0.00
0.00
0.00
50,000.00
Current Year Sub -Total
597,838.00
0.00
120,552.93
0.00
477,285.07
PRIOR YEARS' PROJECTS
#128 - Mesa /Birch Swr Reign
#129 - Bristol St. Pump Stn. .
#135- Reconst.FrcMn Eldenll
#147 - Update Early Wrn Sys
#149- Sinking Fd /Swr Replm
#150 - Update Pump Stn Alrm(FD BAL)
#151 - Reconst. Var Swr Lns
#152- Televising Swr Lines
#153- Swr Lat Root Study
#155 -Swr Master Plan
#156 -Major Emerg Swr Lines
#157 - Televising Swr Lines
#159 - Televising Swr Lines
#161 - Constr Water Svc, 11 Stns
#162 -Pilot Prog,Use of Enzymes
#163 - Upgrade Emerg Response Sys
#164- Misc.Swr Work/Manhole
#165- Rehab.Canyon Pumping Stn(CRR)
#166 - Manhole & Dump Stn Coating(CRR)
#167 - Emerson St. Sewer Reloc(CRR)
Total Operating Expenses
TOTAL CAP.REPLACEMENT RSRV
6,527.00
0.00
0.00
71,973.00
(65,446.00)
131,487.00
0.00
19,341.00
127,188.91
(15,042.91)
130,201.18
0.00
0.00
0.00
130,201.18
98,225.41
0.00
0.00
9,681.91
88,543.50
1,145,805.00
0.00
0.00
0.00
1,145,805.00
16,858.29
0.00
0.00
8,369.77
8,488.52
361,303.00
0.00
0.00
369,035.61
(7,732.61)
15,236.00
0.00
0.00
11,234.00
4,002.00
14,055.00
0.00
0.00
2,394.00
11,661.00
18,000.00
0.00
4,662.00
5,481.00
7,857.00
873,827.01
0.00
0.00
6,435.00
867,392.01
17,000.00
0.00
0.00
0.00
17,000.00
35,000.00
0.00
0.00
17,649.06
17,350.94
70,000.00
0.00
1,347.00
5,591.36
63,061.64
60,000.00
0.00
0.00
16,436.76
43,563.24
134,758.07
0.00
0.00
0.00
134,758.07
162,960.00
0.00
0.00
63,944.52
99,015.48
240,000.00
0.00
2,772.00
3,717.00
233,511.00
340,000.00
0.00
0.00
9,954.00
330,046.00
110,000.00
0.00
5,816.00
1,134.00
103,050.00
3,981,242.96
0.00
33,938.00
730,219.90
3,217,085.06
$4,579,080.96 $0.00 $154,490.93 $730,219.90 $3,694,370.13
CONSTRUCTION IN PROGRESS: REVOLVING FUND 593 ACCT #500000
990007 #128- Mesa /Birch Swr Reign $221,000.00 0.00 0.00 0.00 $221,000.00
TOTAL CAP. IMPROVEMENT RSRV
GRAND TOTAL
'Preliminary Financial Statement
221,000.00 0.00 0.00 0.00 221,000.00
$4,800,080.96 $0.00 $154,490.93 $730,219.90 $3,915,370.13
i
January 8, 2002
• RECEIVED.
CITY OF COSTA MESA JAIN - 9 2002
CALIFORNIA 9262 8-1200 P.O. BOX 1200
_ COSTA MESA SANITARY DISTRICT
FROM THE OFFICE OF THE CITY MANAGER
Mr. Blake P. Anderson
General Manager
Orange County Sanitation District
P.O. Box 81 -27
Fountain Valley, California 92728 -8127
SUBJECT: CITY OF COSTA MESA RESOLUTION OPPOSING 301(h) WAIVER
Dear Mr. Anderson:
First of all, I would like to express my appreciation for your distribution of the Board
Letter to those of us not represented on the Orange County Sanitation District Board as
member agencies. Even though much of the material is focused on service areas not
within our City's scope of responsibility, there is a lot of interesting, informational
material provided. I had a particular interest in the item "Costa Mesa passes resolution
aga; -.st the 301(h) waiver" in your November 20, 2001 Board Letter. While the article
was only three sentences in length, somehow two of the three managed to make
incorrect statements that I am sure you would like to correct for your Board Members.
In the report prepared for the City Council and provided to your staff in advance of the
November 19, 2001 meeting, City staff included a great deal of information taken
directly from material produced by the District and its scientists. Indeed, we made a
very concerted effort to include as much information from not only the Orange County
Sanitation District but also from those materials prepared by the cities of Newport
Beach, Huntington Beach and Seal Beach to provide as well rounded a report as
possible. Staff of the City's Engineering Division were in contact with Nick Arhontes,
Lisa Murphy and David A. Ludwin of your staff specifically on this issue. Additionally, all
were advised in advance of the placement of this item on our City Council Agenda and
were faxed advance copies of the staff report. While we cannot affirm whether or not
any representatives from the Orange County Sanitation District were in attendance at
the meeting, certainly no one from the District spoke when this item was presented to
the City Council.
I very much appreciate the fact that the 301(h) Waiver is a very complex subject
involving a great deal of scientific research and cost analysis surrounded on all sides by
77 FAIR DRIVE . • (714) 754 -5327 FAX (714) 7545330 TOO (714) 754 -5244
strong public opinion. While recognizing this fact, I do take exception to the manner in
which you characterized our staff efforts in your Board Letter based upon the preceding
information.
Very truly yours,
Allan L. Roeder
City Manager
ALR /df
C: Public Services Director Bill Morris
Assistant City Engineer Ernesto Munoz
/Costa Mesa Sanitary District Manager Rob Hamers