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Agenda Packets - Board - 2010-02-25• Costa j_j_tis&flct 4 ... an Independent Special District Robert ® ®ten Vice President James Ferryman Director Arlene Schafer President Gary Monahan Secretary Arthur Perry 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 J. eir input;can be provided "at the time the,item is considered.. Speakers on 'non- agenda items will be heard under Public` Comments. Pursuant tolState`law, the Board"maypot 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 Qfficerreserves the right to declare any speaker out of order." Obtaining- Agenda Materials: The,,public.is entitled to copies of all documents that `'are made -part of the agenda packeit. If any document or other writing pertaining to an "agenda item is distributed to all or a majority of the- Board "after the packet is prepared, a copy of that,;writing may be "obtained at the District offices at 628V 19th Street, Costa Mesa, California. The Clerk of the District may.beccontacted at (949).645 - 8400: ext. 221 In Compliance with ADA: Contact Joan Revak, (949) 645 -8400, 48 hours prior to meeting if assistance is needed (28`CFR 35.102.35.104 ADA Title II):: Regular Meeting — Thursday, February 25, 2010 I. CALL TO ORDER — 5:30 p. M. — 628 W. 19th Street, Costa Mesa II. PLEDGE OF ALLEGIANCE — Director Monahan III. INVOCATION — Thomas Fauth IV. ROLL CALL (If absences occur, consider whether to deem those absences excused based on facts presented for the absence — such determination shall be the permission required by law.) V. CONSENT CALENDAR - All matters listed under the Consent Calendar are considered to be routine and will be enacted in one motion in the form listed below. There will be no separate discussion on these items prior to the time the Board votes on the motion, unless members of the Board request specific items to be removed from the Consent Calendar for discussion, in which event the item will be removed from the Consent Calendar and considered in its normal sequence on the agenda. • RECOMMENDED ACTION Protecting our community's health by providing, solid waste and sewer eo!leetion services. wwu%crosdcaAov Costa Mesa Samtayq District AGENDA n • Reports A. Minute Approval 1. Sewer System Committee Meeting —January 19, 2010 2. Recycling Committee Meeting —January 25, 2010 3. Regular Board of Directors Meeting —January 28, 2010 4. Special Closed Session Meeting — February 2, 2010 February 25, 2010 Page 2 RECOMMENDED ACTION B. Operations Manager's Report 1. Refunds No Refunds 2. Occupancy Report and payment to Costa Mesa Disposal — January 2009 Approve 3. Monthly SSO Report to State Water Resources Control Board Receive & File 4. Waste Diversion Report — December 2009 5. Contract Payment to CR Transfer for Recycling Services & Disposal for January 2010 6. Ordinance Enforcement Officer's Report 7. Costa Mesa Community Run C. Engineer's Reports 1. Project Status Report 2. Howard S. Wright Contractors Invoice in the amount of $89,661.80 D. Treasurer's Reports 1. Financial Reports as of January 31, 2010 2. Treasurer's Reports as of January 31, 2010 3. Warrant Register for the month of January 2010 in the amount of $1,052,312.51 4. Directors' Compensation and Reimbursement of Expenses for the Month of January 2010 ----------------------- - - - - -- -END OF CONSENT CALENDAR 0 WRITTEN COMMUNICATIONS VII. PUBLIC COMMENTS Receive & File Ratify Payment Receive & File Approve Receive & File Ratify Payment Approve Approve Ratify Payments Approve Compensation & Ratify Expenses Protecting our community's health and the environment by providing sold waste and sewer collection services. ,gov Costa Mesa Sanitary District AGENDA 0 VIII. MANAGER'S REPORTS » X. • XI. • A. Standby Policy Recycling Committee A. Monday, February 22, 2009, 12:00 p.m., CMSD Board Room, 628 W. 19th Street, Costa Mesa (Director Ooten and President Schafer) February 25, 2 010 Page 3 Note: The Recycling Committee will meet on the above date and time to discuss the matters on a separate agenda which is posted and made a part of this agenda. Members of the public should refer to that separate agenda for the items discussed and to be discussed. The Board may take action on any of those items on this agenda. ENGINEER'S REPORTS RECOMMENDED ACTION Approve Policy Accept Report A. Closed Session -Project #129 Bristol Street Sewer The Board will meet with District Counsel to Discuss Anticipated Litigation Related to Project No. 129 pursuant to Government Code Section 54956.9 Status of Construction 2. Status of Change Orders 3. OCDA Position on Completion of Project B. Project #101 — Westside Pumping Station Update C. Project #182 — Analysis of CCTV Results SEWER SYSTEM COMMITTEE A. Tuesday, February 16, 2010 CMSD Board Room, 628 W. 19th Street, Costa Mesa (Directors Monahan, Ooten and Perry) Accept Report Discussion Accept Report Accept Report Discussion of Project Report Accept Report Note: The Sewer System Committee will meet on the above date and time to discuss the matters on a separate agenda which is posted and made a part of this agenda. Members of the public should refer to that separate agenda for the items discussed and to be discussed. The Board may take action on any of those items on this agenda. Protecting our community's health and the environment by providing solo! waste andsewer collection sevlces. www.crosdcagov Costs Mesa Sanitary District .February 25, 2010 AGENDA Page 4 RECOMMENDED is ACTION XII. TREASURER'S REPORTS A. Investment Oversight Committee Accept Report B. Budget Adjustment for District Yard for $5,000 Accept Report C. Budget Calendar for Fiscal Year 2010 -2011 Accept Report and Accept Dates for Meetings D. Grant Budget Adjustment Approve XIII. ATTORNEY'S REPORTS A. Claim by Back Bay Center, Ltd. For Property at 2651 -2675 Irvine Avenue Status Report (CMSD Project #168 — Irvine Pump Station Relocation) B. Ordinance Enforcement Officer — Proposed MOU Verbal Update C. Adoption of County's Version of Conflict of Interest Code to Adopt Resolution Allow Electronic Filing — CMSD Resolution No. 2010 -775 CMSD Resolution No. 2010 -775, Adopting a Conflict of Interest Code which Supersedes all Prior Conflict of Interest Codes and Amendments Previously Adopted XIV. LOCAL MEETINGS (REMINDER: In accordance with AB 1234 (Gov. Code § 53232.5), a report is required to be given by a Director for any meeting for which expense reimbursement of any kind is provided. Note: For meetings for which the per diem compensation is sought, the Operations Code provides that such compensation is authorized for each day's service rendered as a Director at the request of the Board (not to exceed six days in one month), and certain meetings are specified as being eligible as set forth in District Operations Code § 3.01.030. For meetings not so listed, the Board must approve the service for it to be eligible for the per day compensation.) A. Orange County Sanitation District (OCSD) (Director Ferryman) Accept Report B. Santa Ana River Flood Protection Agency (SARFPA) Accept Report (Director Perry) C. Independent Special Districts of Orange County (ISDOC) Accept Report (President Schafer) D. Local Agency Formation Commission (LAFCO) Accept Report (President Schafer) E. California Special Districts Association (CSDA) Accept Report (President Schafer) F. California Association of Sanitation Agencies (CASA) Accept Report Protecting our community's health and the environment by providing solid waste and'sewer collection services. ,qov Costa Mesa Sanita -q D stY Gt AGENDA • G. Other Meetings Qualifying for Reimbursement under CMSD Ordinance No. 55, Operations Code Section 3.01.030 XV. OLD BUSINESS A. Orange County Fairgrounds XVI. NEW BUSINESS XVII. ORAL COMMUNICATIONS AND DIRECTOR COMMENTS XVIII. ADJOURNMENT • n U February 25, 2010 Page 5 RECOMMENDED ACTION Report on Matters Pertaining to CMSD Accept Report Protecting our community's health and the environment by providing solod waste and sewer collection services. www.crosdcagov, t • Meeting Date I Item Number 02/25/10 1 V. A. 1. COSTA MESA SANITARY DISTRICT MINUTES OF SEWER SYSTEM COMMITTEE MEETING JANUARY 19, 2010 CALL TO ORDER Board members of the Costa Mesa Sanitary District met in Committee session on January 19, 2010 at 10:30 a.m. at 628 W. 19'h Street, Costa Mesa. Director Monahan called the meeting to order at 10:38 a.m. DIRECTORS PRESENT: Jim Ferryman, Bob Ooten, Art Perry STAFF PRESENT: Scott Carroll, General Manager, Thomas A. Fauth, Operations Manager; Sherry Kallab, Administrative Manager; Rob Hamers, District Engineer; Karl Dulake, Maintenance Supervisor; Joe Limon, Inspector; Paul Guzman, Inspector OTHERS PRESENT: MONTHLY SSO STATISTICS Mr. Fauth reported no spills occurred since October 20, 2009. Staff recommends not reporting private spills entering the public right of way but contained before entering the storm drain. There is no legal requirement to report private property spills. Director Ooten questioned if the change in spill reporting could be implemented before submittal to the State of the Sewer System Management Plan (SSMP). Mr. Hamers explained under the 2006 Waste Discharge Requirements (WDR) (State Water Resources Control Board Monitoring and Reporting Program No 2006 - 003 -DWQ (As Revised by Order No W @Q 2008 -0002 Exec)): All private lateral sewage discharges that meet the criteria for Private Lateral sewage discharges (caused by blockages or other problems within a privately owned lateral) may be reported to the Online SSO Database based upon the Enrollee's discretion; reports are not required to private sewer spills. Mr. Fauth recommended re- submitting the SSMP to the Board for approval once the changes in spill reporting requirements are complete. SEWER SYSTEM MANAGEMENT PLAN (SSMP) UPDATE Mr. Carroll advised he reviewed the plan and made some minor revisions. The revised document was provided in the Committee packet. The revisions reflect Mr. Carroll's desire to be more involved in sewer system management. In addition, Mr. Carroll recommended the District work towards having its own Emergency Operation Center (EOC) rather than relying on the City of COSTA MESA SANITARY DISTRICT MINUTES OF BOARD OF DIRECTORS SEWER SYSTEM COMMITTEE MEETING 'T X" JANUARY 19, 2010 '- PAGE 2 Costa Mesa. Mr. Carroll's concern is the District's paperwork for reimbursement might fall through the cracks in the event of a catastrophic emergency. Director Ferryman recommended. the plan go back to the full Board for approval. The Committee complimented Mr. Hamers for his excellent work in developing a comprehensive document. Mr. Fauth will develop a checklist to monitor the District's compliance to the plan requirements. COUNTYWIDE AREA SPILL (CASC) PROGRAM - MOU Mr. Hamers reported a MOU has been sent to Alan Burns, CMSD General Counsel, for review. OCSD, the County of Orange and the Orange County Flood Control District worked together to have a permitted contractor on call to go into flood control channels and recover spills. The MOU states the District agrees to pay for services provided by the contractor in the event a District spill enters the flood control channel. Additional discharges are included in the MOU mixing storm drain programs with sewer programs and there is some concern in regards to the mixing of the two programs. Director Ooten questioned if there is a fee involved and Staff advised there is no fee. OCSD OFFER OF AREA 7 SEWERS UPDATE & MAP Area 7 will be a topic of discussion when Mr. Carroll meets with Jim Ruth, OCSD General Manager, next week. Mr. Carroll stated it is his understanding the City of Tustin is interested in taking over the sewer lines within the City's jurisdiction, but not the unincorporated area. Mr. Fauth advised there are approximately 150 miles of line in the unincorporated area. Director Ooten added a financial analysis prepared by OCSD's Finance Director indicated it would not be cost effective for other entities to take over the unincorporated area due to additional work required. Director Ferryman agreed the lack of sewer lines and the known needed repairs in the unincorporated area are greater than in the incorporated areas. In addition, the parcel lots are larger and would not generate as much revenue. CMSD INFLOW REDUCTION PROGRAM Mr. Hamers reported Staff sealed 650 manholes this month with 1250 manholes sealed year to date. Data was not available on the number of inches of rainfall yesterday. Mr. Fauth provided a report detailing pump station run time comparisons before and after heavy rainfall. Mr. Hamers noted manhole sealing looks like the best bet for the District to reduce inflow. Director Monahan questioned if the floating manhole covers discussed in the local newspaper were the District's. Staff advised they were City of Costa Mesa storm drain covers not District manhole covers. Staff provided photographs of flooded streets at the 18th and Whittier intersection. Mr. Dulake reported Hamilton, portions of 19th Street, Victoria and Placentia were rivers. Mr. Carroll thanked Mr. Dulake for keeping him updated on the situation. Staff prepared ahead for the storm making sure all pump stations were clean and all equipment fully operational. Staff plans to analyze the data from the latest storm at their next meeting. Staff met with Orange County Fairgrounds representatives and requested they eliminate three open areas contributing to the inflow problem. The representatives will provide a letter stating how they plan to address the issue. Staff has divided the District into three areas with one Staff member responsible for each area. Staff plans to meet with large offenders to discuss inflow issues. Mr. Hamers prepared a draft authorization letter to property owners allowing Staff on their property to seal manhole covers. Alan Burns is in the process of reviewing the letter. COSTA MESA SANITARY DISTRICT tMal rte. MINUTES OF BOARD OF DIRECTORS SEWER SYSTEM COMMITTEE MEETING JANUARY 19, 2010 w PAGE 3 y °PtndSk%<, Mr. Hamers reported the WDR forum was determined to be the best place to compel member agencies to reduce inflow and infiltration. The forum will provide a questionnaire to member agencies asking what they have done to reduce inflow and infiltration. The District will provide assistance and recommendations based on our own program. Mr. Hamers noted he assisted OCSD in drafting the OCSD Member Agency Questionnaire on Infiltration & Inflow. Mr. Hamers will complete the questionnaire for CMSD and present it at the next CMSD Sewer System Committee in February. CMSD MAP UPGRADES /GEOLOGICAL INFORMATION SYSTEM (GIS) - UPDATE Mr. Fauth provided a funding chart to clarify how the three phases of the GIS agreement correlates to the next three fiscal year's budgets. EEC provided 30 of 75 maps to Staff for quality control check - 10 sheets are complete to date. CMSD CLEANING PROGRAM - UPDATE Mr. Fauth informed the Committee Joe Sinicori, alternate District Engineer, provided information to allow the District line cleaning program direction until the mapping is completed through the GIS agreement. Addendum two of the National Plant Services, Inc. line cleaning contract will be sent to Alan Burns for review. National Plant Services, Inc. will be plugging manholes as • requested at no additional cost. Director Ferryman asked if Mesa Consolidated or the City would be interested in buying into the District's GIS system. Staff will follow up with Mesa. The City has their own GIS system. SARBS -CWEA COLLECTIONS TRAINING SEMINAR 1 -21 -10 Staff provided a handout for the SARBS training January 21, 2010. Five Staff members and Director Ooten will attend the training seminar, "Private Property Sewer Laterals" panel. Mr. Hamers will be part of the panel. Mr. Hamers requested 125 copies of the District's Sewer Lateral Assistance Program documents for the seminar. NO MORE WIPES IN THE SEWER SYSTEM — STATE ASSEMBLYMAN JARED HUFFMAN (MARIN COUNTY) Mr. Fauth reviewed two articles. The first article, more an advertisement, previewed the "Franklin Miller Super Shredder" used to pre -shred wipes before they enter the pump systems to be processed. The second article discussed the difficulty in the breakdown of Charmin bath tissue. Mr. Fauth noted there are no industry standards for what constitutes a flushable wipe. Staff recommended encouraging legislation to set standards such as Assemblyman Jared Huffman is promoting. Mr. Hamers explained grinder pumps are expensive and are not adaptable to every pump station location. Mr. Dulake stated the District has upgraded from the C to N pump style. The N pump is a cutter pump and helps to alleviate the problem. OCSD has a couple of grinder pumps and noted they require high maintenance. i 0 • L] COSTA MESA SANITARY DISTRICT MINUTES OF BOARD OF DIRECTORS SEWER SYSTEM COMMITTEE MEETING JANUARY 19, 2010 PAGE 4 CMSD PROJECTS: PROJECT #182 — CCTV RESULTS Director Ooten requested a task plan for the CCTV results project. PROJECT #187 - DISTRICT YARD UPDATE Mr. Harriers reported the District Yard Project is progressing. The Committee discussed Staff's concern the two percent contingency set up for construction costs is going to be inadequate. Additional costs have been incurred to Southern Cal Edison, the Gas Company and for special inspection costs. Director Ferryman stated five percent would be a more realistic contingency. Mr. Hamers recommended the Board address the contingency at a regular Board meeting and make an adjustment. Mr. Harriers also reported the contract with Howard S. Wright does not include any provision for rain delays. At some point the Board may be requested to consider compensation for rainy days. Mr. Dulake reminded the Committee the project was delayed two and a half months by Howard S. Wright. Mr. Carroll agreed the contingency is too low noting he has normally seen a contingency of twenty percent. Mr. Carroll recommended to the contractor approving the change orders on a case by case basis. Mark ups on change orders have been minimal so far. Regarding the rain delay provision, Mr. Carroll stated Howard S. Wright's attorneys did review the contract twice. Director Ferryman noted the half a billion Ground Water Replenishment Contract came in under five percent contingency. OTHER — CSC PowerPoint Presentation — Roots in Sewers 11 -4 -09 Mr. Fauth provided a PowerPoint presentation created by WDR Steering Committee member, Bob Craig, on how roots make their way into sewers. SSC MEETING SCHEDULE The next meeting is scheduled for Tuesday, February 16, 2009 at 10:30 a.m. PUBLIC COMMENTS There were no public comments. ADJOURNMENT Director Ferryman adjourned the meeting at 11:45 p.m. SECRETARY PRESIDENT • Meeting Date Item Number 1 02/25/1 Q 1 COSTA MESA SANITARY DISTRICT MINUTES OF RECYCLING COMMITTEE MEETING January 25, 2010 The Costa Mesa Sanitary District Recycling Committee met at 12:00 p.m. at 628 W. 19th Street, Costa Mesa. Directors Present: Robert Ooten and Jim Ferryman Staff Present: Tom Fauth, Teresa Gonzalez, AJ Cully Others Present: Trisha Throop, Community Relations Recycling Coordinator CR &R Director Ooten called the meeting to order at 12:00 p.m. I. Recycling Committee Goals for 2009 -2010 Staff reviewed the Recycling Committee Goals for 2009 -2010 with no recommended changes. The Board of Directors will consider "Recycling Goals" at the Strategic Planning session in 2010. II. Orange County Waste and Recycling Sub - Regional Meetings and Grant Program The Recycling Coordinators meeting held on January 21, 2009 was attended by Jocelyn Schamber of the City of Costa Mesa and Trisha Troop of CR &R. Ms. Troop reported that at the meeting information about the new Waste Free OC was provided. Waste Free OC is a public education and outreach campaign sponsored by the County of Orange. The purpose of the campaign is to save room in local landfills by providing suggestions and local resources on waste reduction, reuse and recycling. Information can be obtained at the newly launched website www.wastefreeoc.org. Also at the meeting, information was provided for a 2011 exhibition at the Discovery Science Center that will focus on a trash sorting exhibition. With regard to the 2007 -08 Grant, Mr. Fauth informed the Committee that he is working on preparing and submitting the December '09 OC Waste & Recycling Quarterly Grant Status Report due by the end of January. Mr. Fauth reported that a check from the County in the • amount of $142,256 was received for the 2008 -09 Grant. This is a cooperative grant for the Costa Mesa Sanitary District, the City of Costa Mesa and the City of Huntington Beach. Protecting our communit s health try pravi,- i'Vi 'Ww. Cml sEfca. q av AA Costa Mesa Sanitary District Minutes of Recycling Committee Meeting January 25, 2010 Page 2 The funds are intended for public outreach, education, composting, and vermicomposting, and to provide earth machines for local schools. A large portion of the funds will go toward purchasing of the earth machines for local schools and a portion of the grant will fund presentations at the schools by Pat McNelly. The school presentations are being planned as mass presentations and the consultant, Pat McNelly, is working on developing strategies to ensure sustainability of the earth machines at the schools. IV. 2009 Telephone Book Recycling Program Ms. Revak provided the final report on the 2009 Telephone Book Recycling Program and the Weekly Collection Data 2009 chart. All 20 participating schools met the '/2 book per student requirement and therefore, qualify for a participation award of $300. Staff also recommends a grand prize award in the amount of $400 to one school in each category, elementary, middle and high school and those schools are Kline Elementary, TeWinkle Middle School and Estancia High School. An extra award in the amount of $500 is recommended for schools collecting 10 -20 lbs. per student (St. John the Baptist) and an Exceptional Effort award of $800 to schools collecting over 20 lbs. per student (Harper Preschool Center, Kline School and St. Joachim School). Ms. Revak also provided charts related to the school program that originated in 1996 along with a history of the program through 2009. Both Director Ooten and Director Ferryman were very pleased with the schools' participation and commented that the modifications to the program have put the Telephone Book Recycling Program back on track. Board approval of the Awards will be requested at the regular January 28, 2010 meeting. V. Greeting Card Program with St. Jude's Ranch Mr. Fauth gave a brief history of the District's past participation in the Greeting Card Program. The District participated in the Greeting Card Program about five years ago but stopped the program when informed by St. Jude's Ranch that they were inundated with cards and did not have the need for the District to continue providing cards. St Jude's Ranch has informed the District that they have resumed the program and will accept cards through February 28, 2010 and will start accepting them once again in November 2010. Collection of greeting cards in the past was achieved by placement of collection boxes at different locations such as at City Hall, Senior Center and several fire stations. The greeting cards were bundled and mailed to St. Jude's Ranch with postage paid by the District. The decision to participate in this program will be revisited in the Fall, before St. Jude's Ranch collection cycle begins. rot:erting our coo t2uni't v's hea6 h by :7YL"G,"IIni+ .1uL";4 „,Y 4e d '. t, se F � .- 00'Ect io -, si't"vwes. lL'Lt- '%t,'. C1JISc7i :7.�0 t 0 • a :7 VI. Waste -Free Lunch Costa Mesa Sanitary District Minutes of Recycling Committee Meeting January 25, 2010 Page 3 Ms. Cully reported on the three "Waste Free Lunch Day" presentations given to Davis Magnet School on January 5, 2010. The students were very enthusiastic and the school is very committed to improving the environment due to its active participation in the "Green up our Schools Program ". It was observed that a large number of students purchase school lunches and therefore, it is difficult for those students to control their personal level of waste. To encourage full participation recommendations were made to the school principal. Staff is scheduled to return to the school on January 26`h to conclude the "Waste Free Lunch Day ". VII. CR &R Report on Other Agencies Recycling Programs Ms. Troop of CR &R requested District Staff to approve the brochures prepared for CMSD residents and to provide a tentative date for mailing. A couple of changes were requested which were, to include the large item pickup dates and to remove the street address of the Orange Coast College Recycling Center. The mailing date was agreed to be during the week of May 3rd Ms. Troop reported on the Christmas tree collection running from December 28, 2009 through January 15, 2010. Information and collection dates were advertised in the City's quarterly newsletter "One Person's Trash ". According to Mr. Fauth the collection period was extended from two weeks to three weeks as a result of CR &R's annual evaluation and its extension was documented in the annual evaluation as well. The extension caused some confusion with CR &R's operations team, as they were not made aware of the one week extension. Ms. Troop and Director Ferryman recommended additional coordination between the District and CR &R for next year's Christmas tree collection. VIII. Report on Other CMSD Recycling Programs Mr. Fauth reported that the City of Costa Mesa Code Enforcement Officers have begun placing hanging notices on containers notifying residents of the rules on removing containers from public view in a timely manner. About two hundred notices have been disbursed by the Code Enforcement Officers. Mr. Fauth reported that only one negative response has been received from a resident disliking the notice on his trash container. Mr. Fauth provided a copy of the City's newsletter "One Person's Trash ". The newsletter included several District articles. A lot of interest has been received from the community and residents regarding the composting and vermicomposting article. Mr. Fauth also provided information that stated that legislation for the push to charge for shopping bags has been shelved and an invitation to the San Diego Zero Waste Conference. No plans for attendance to the conference were made. Protecting our community's health &y grac4ding soUd waste and sewer colrection services. u,ww. crosdca.Rov Costa Mesa Sanitary District A. Minutes of Recycling Committee Meeting January 25, 2010 Page 4 VIII. Public Comments There was no public present at the meeting. Director Ooten adjourned the meeting at 12:55 p.m. Secretary President • • Trotecting our community's heaftn' 61; 1" , soul !T a,--, 111-f J nzi'se-u,�(-v -, Ay! io �J • • Meeting Date I Item Number 02/25/10 1 V. A. 3. COSTA MESA SANITARY DISTRICT MINUTES OF BOARD OF DIRECTORS REGULAR MEETING JANUARY 28, 2010 CALL TO ORDER The Board of Directors of the Costa Mesa Sanitary District met in regular session on January 28, 2010 at 5:30 p.m. at 628 W. 19th Street, Costa Mesa. PLEDGE OF Director Perry led the Pledge of Allegiance. ALLEGIANCE INVOCATION Mr. Fauth gave the invocation. ROLL CALL DIRECTORS PRESENT: Arlene Schafer, Robert Ooten, James Ferryman, Art Perry DIRECTORS ABSENT: Gary Monahan STAFF PRESENT: Scott Carroll, General Manager; Robin B. Hamers, District Engineer; Alan Burns, Legal Counsel; Tom Fauth, Operations Manager; Sherry Kallab, Administration Manager; Marc Davis, Treasurer OTHERS PRESENT President Schafer requested General Manager Scott Carroll to give an overview of changes made to the agenda and Board packet. Mr. Carroll stated the agenda staff report format was changed to demonstrate accountability. All staff reports will indicate Scott's name along with financial and legal review, as required. COSTA MESA SANITARY DISTRICT MINUTES OF THE BOARD OF DIRECTORS REGULAR MEETING HELD JANUARY 28, 2010 CONSENT CALENDAR PAGE 2 General Manager Carroll requested items 11 and 14 on the Consent Calendar be pulled. Director Perry moved to approve the Consent Calendar with the exception of items 11 and 14. Director Ooten seconded. Motion carried 4 -0. General Manager Carroll explained item 11, the Project Status Report, was pulled as it did not include the most up -to -date information. Director Ooten requested the Project Status Report reflect the actual status of each project as many projects are listed when in fact they are completed. Mr. Carroll will meet with Mr. Hamers in an effort to present a more accurate accounting of the status of projects. Mr. Davis reported Item 14, the Treasurer's Report, was pulled at the request of Director Ooten. Director Ooten requested the Treasurer's Report as of December 31, 2009 include a graph with a more thorough explanation of the Treasurer's Report. Mr. Davis agreed to provide such. Director Ferryman also questioned Item 15, the Warrant Register, and the cost of inspections appeared to be higher than normal. Mr. Hamers explained the cost was higher as he has inspectors, professional engineers working on projects and there can be as many as nine personnel working on one project. Director Ferryman expressed his concern on the cost of inspections covering a one month period. Director Ooten moved to accept Items 11, 14 and 15 of the Consent Calendar. Director Perry seconded the motion. Motion passed 4 -0. REPORTS MINUTE APPROVAL Minutes of Sewer System Committee Meeting — December 8, 2009 Minutes of Recycling Committee Meeting — December 14, 2009 Minutes of Investment Oversight Committee Meeting — December 17, 2009 The Minutes of the Sewer System Committee Meeting of December 8, 2009 were approved as distributed. The Minutes of the Recycling Committee Meeting of December 14, 2009 were approved as distributed. The Minutes of the Investment Oversight Committee Meeting — December 17, 2009 were approved as distributed. is • COSTA MESA SANITARY DISTRICT MINUTES OF THE BOARD OF DIRECTORS REGULAR MEETING HELD JANUARY 28, 2010 Minutes of Regular Meeting — December 17, 2009 Refunds PAGE 3 The Minutes of the Regular Meeting of December 17, 2009 were approved as distributed. There were no refund requests for the month of December 2009. Occupancy Report and Payment of The Trash Occupancy Count documented $196,859.41 to Costa Mesa Disposal — no increase for the occupancy report for January 2010 solid waste collection as of January 1, 2010. Therefore, the total for December is 21,502. Monthly Spill Report to State Water Resources Control Board The Monthly Spill Report to the State Water Resources Control Board (SWRCB) for January 2010 was accepted as submitted. Waste Diversion Report for December The Waste Diversion Report dated • 2009 December 2009 was accepted as submitted. Contract Payment of $162,048.60 to The contract payment of $162,048.60 to CR CR Transfer — December 2009 Transfer for recycling services and disposal for the month of December 2009 was ratified as submitted. Contract Payment of $12,990.78 The contract payment of $12,990.78 to CR to CR Transfer — Santa Ana Transfer for recycling services and disposal Heights /Newport Beach — December for Santa Ana Heights /Newport Beach for the 2009 month of December 2009 was ratified as submitted. Ordinance Enforcement Officer's The Ordinance Enforcement Officer's Report Report dated January 21, 2010 was accepted as submitted. ENGINEER'S REPORTS Project Status Report The Project Status Report dated January 0 2010 was accepted as submitted. COSTA MESA SANITARY DISTRICT PAGE 4 MINUTES OF THE BOARD OF DIRECTORS REGULAR MEETING HELD JANUARY 28, 2010 Howard S. Wright Contractors Invoice The Howard S. Wright Invoice for work in the amount of $186,300.00. performed through December 31, 2009 in the amount of $186,300.00 was ratified as submitted. Howard S. Wright Contractors Invoice The Howard S. Wright Invoice for Permit in the amount of $8,997.86 for Permit Reimbursement in the amount of $8,997.86 Reimbursement was ratified as submitted. TREASURER'S REPORTS Financial Report as of December 31, 2009 Treasurer's Report as of December 31, 2009 Warrant Register for the month of January 2010 in the amount of $922,308.27 Directors Compensation & Reimbursement of Expenses for the month of December 2009. The Financial Report as of December 31, 2009 was accepted as submitted. The Treasurer's Report as of December 31, 2009 was accepted as submitted. Warrant Resolution #CMSD 2010 -07 was approved, authorizing the President and Secretary to sign the warrant ratifying the payment of certain claims and demands, and specifying the funds out of which the same were paid in the amount of $922,308.27. Director Compensation and Expense Reimbursements for the month of November 2009 were approved and ratified as follows: President Schafer: $1,105.00 + $11.17 Vice President Ooten: $1,326.00 + $11.55 Director Monahan - $221.00 Director Ferryman: $442.00 Director Perry: $1,105.00 END OF CONSENT CALENDAR WRITTEN COMMUNICATIONS There were no written communications. PUBLIC COMMENTS President Schafer noted there were no public present and, therefore, no public comments. • • 0 COSTA MESA SANITARY DISTRICT PAGE 5 MINUTES OF THE BOARD OF DIRECTORS REGULAR MEETING HELD JANUARY 28, 2010 MANAGER'S REPORTS STANDBY POLICY Mr. Carroll requested the Standby Policy be continued to the February 28, 2010 regular Board meeting. Director Perry moved to continue the "Standby Policy" item to the February 28, 2010 meeting. Director Ferryman seconded the motion. Motion carried 4 -0. STRATEGIC PLANNING SESSION SCHEDULED FOR FEBRUARY 20, 2010 Mr. Carroll voiced a reminder of the Strategic Planning Session scheduled for February 20, 2010 from 8:30 a.m. to 3:00 p.m. at CMSD Headquarters. Mr. Carroll reported Staff attendees will be himself, Ms. Revak, Ms. Kallab, Mr. Fauth, and Mr. Hamers. Mr. Dulake will be requested to attend a portion of the session. Should other Staff members desire to attend, they may, however, there will be no overtime paid for their attendance. RECYCLING COMMITTEE - MONDAY, JANUARY 25, 2010 Director Ooten reported on the Recycling Committee meeting held January 24, 2009. Director Ooten provided a report on the Grant from the Regional Recycling and Waste • Diversion Grant program. A check from the County for $142,256 grant was received from the County. Three agencies are involved, the City of Costa Mesa, the City of Huntington Beach and the CMSD and the bulk of the funds will be used for public outreach, education, composting and vermicomposting and to provide earth machines for local schools. Consultant, Pat McNelly is working on developing strategies to ensure sustainability of the earth machines at the schools. Director Ooten referred to the final report by Ms. Revak in the Board packet on the School Telephone Book Recycling Program. New requirements for receiving awards were instituted in the 2009 program, requiring a minimum of one -half book per student in order to qualify for the minimum $300 participation award. All participating schools met the requirement and the results of the 2009 telephone book recycling program were presented. Staff recommended a grand prize in the amount of $400 be awarded to TeWinkle, Estancia High School and Kline Elementary School. A $500 award to St. John the Baptist School was recommended for collecting 10 -20 lbs. per student. An Exceptional Effort Award was recommended for Harper Preschool Center, Kline School and St. Joachim Schools. Director Ferryman moved to approve the telephone book recycling contest awards for 2009 in the amount of $10,100.00. Director Ooten seconded the motion. Motion carried 4 -0. Ms. Revak will set up the award presentations at the schools and will coordinate with the Directors. COSTA MESA SANITARY DISTRICT PAGE 6 MINUTES OF THE BOARD OF DIRECTORS REGULAR MEETING HELD JANUARY 28, 2010 0 Discussion was held on the "Greeting Card Recycling Program" held in previous years with St. Jude's Ranch. This program was sponsored by the CMSD several years ago, however, the Ranch became so inundated with cards they requested no more cards be collected. It came to Staff's attention the Ranch was again collecting cards and Ms. Revak contacted the Ranch and learned their time frame for collecting cards is November through the month of February of the following year. This item will be continued and Staff will revisit in the fall of 2010. Mr. Fauth reported the City of Costa Mesa Code Enforcement Officers and Isidro Gallardo have begun placing hanging notices on containers notifying residents on the rules of removing containers from public view in a timely manner. Director Ooten reported on the CR &R brochure prepared for CMSD residents presented by Ms. Troop of CR &R.. The Committee suggested a few modifications and the mailing date was agreed to be during the week of May 3, 2010. ENGINEER'S REPORTS WASTE DISCHARGE REQUIREMENTS (WDR) Mr. Hamers reported on the next Waste Discharge Requirements education seminar • scheduled for February 18, 2010; with the subject of construction inspection. PROJECT #129 BRISTOL STREET SEWER CONSTRUCTION UPDATE Mr. Hamers provided the Board with an update on the capital improvement project to upsize the existing 8" VCP sewer to 15" VCP sewer to handle the increase in flows from the rezoning of the east Santa Ana Heights area. Construction is nearly complete with the remaining item being restoration of golf course property used to store equipment. The Contractor, Paulus Engineering, and the CMSD are in disagreement over the change orders submitted by Paulus Engineering. Change orders totaling over $280,000 were submitted by Paulus Engineering, which were generally rejected by letter written by District Counsel and the District Engineer. The CMSD offered, in writing, to settle a portion of the change orders and the District is awaiting a response from Paulus Engineering. Further, the District is awaiting word from the Orange County Development Agency (OCDA) as to whether they will approve an amendment to the 3 -Party Agreement in order to fund design and construction of the remaining 1/3 of the sewer line upsizing. As the water line records did not indicate the true location of the line, the project had to be halted due to the close proximity of an IRWD water line to the sewer line. • • COSTA MESA SANITARY DISTRICT MINUTES OF THE BOARD OF DIRECTORS REGULAR MEETING HELD JANUARY 28, 2010 PAGE 7 Mr. Hamers reported a provision in the 3 -Party Agreement allows OCDA to obligate the District to fund change orders in excess of 5% of the base contract bid which is $38,752. However, Mr. Hamers stated meetings have been held with OCDA staff and Paulus Engineering's practice of submitting excessive change orders is occurring in other OCDA contracts so there is a possibility OCDA may agree to fund the final change order amount. After District Counsel and Staff determine a possible agreeable settlement amount, the District Engineer plans on submitting a request to OCDA to fund the change order amount. INFLOW REDUCTION PROGRAM Mr. Hamers reported on the State Water Resources Control Board and the Orange County Sanitation District require agencies to develop programs that prevent Infiltration and Inflow (1 /1) from entering sewer systems, and gave an update on the District's 1/1 Program. Mr. Hamers explained infiltration is ground water entering into sewer lines through cracks and /or separated joints. After recently televising the District's system, the system was found to be in good condition with no measureable infiltration. Further, inflow is surface water entering from manholes or from illegal connections. The District's Inflow Reduction • Program is an attempt to reduce the amount of surface water entering the sewer system. Staff believes plugging sealing manholes is the best course of action to prevent inflow; however, not all manholes will be plugged and sealed in order to allow the sewer system to function properly. To date, Staff has plugged and sealed an additional 650 manholes bringing the total to approximately 1,250 manholes sealed out of approximately 4,650 manholes District wide. Mr. Hamers reported Staff met with Fairgrounds Staff on January 6, 2010 and requested elimination of the three remaining sewer drains open to the sky (sheep wash down, horse wash down, and maintenance area) and also requested ceasing draining flooded parking areas by opening private manholes. Fairground Staff agreed to cooperate with the request. Mr. Hamers explained the District is an agency proactively reducing 1/1 and believes the experience may assist other agencies. Additionally, the District Engineer agrees with OCSD Engineers that 1/1 reduction should be regular subject matter for the OC Waste Discharge Requirements (WDR) General Group. The District Engineer and WDR Chairman will use a questionnaire to ascertain the progress of member agency II reductions. Mr. Hamers provided a copy of the first draft questionnaire for the Orange County WDR Steering Committee. Director Ferryman commented the subject was discussed at the Orange County Sanitation District Board Steering Committee meeting at a meeting on January 27, 2010. They were amazed at how low the flows are and gave the CMSD credit for its responsibility in the matter. COSTA MESA SANITARY DISTRICT PAGE 8 MINUTES OF THE BOARD OF DIRECTORS REGULAR MEETING HELD JANUARY 28, 2010 0 CONVERSION OF SEWER ATLAS TO GIS Mr. Hamers reported an update on the conversion of the Sewer Atlas to GIS. The District entered into an agreement on October 26, 2009, with Environmental Engineering & Contracting (EEC) to convert the District's Sewer Atlas to GIS. This will greatly enhance access to and use of sewer information. EEC provided all 75 atlas sheets with certain base information for CMSD Staff review. Converting the Sewer Atlas to GIS and using a Computerized Maintenance Management System (CMMS) requires on -going support, experience and expertise. This will require Staff to be trained on how to operate the CMMS and update the GIS atlas. In the very near future, the District will need to consider these factors. Staff will bring this issue back to the Board for future discussion. It is estimated the District will require one - quarter to one -half full time equivalent employee to maintain and operate the programs. Director Ferryman stated this cost should have been brought to the Board's attention before considering conversion of Sewer Atlas to GIS. Director Ferryman requested an accounting of what this conversion will actually cost, including the day -to -day maintenance of the program. Staff will provide all of this information during the 2010 -11 budget process. Project #186 Sewer Lateral Assistance Program 0 Mr. Hamers provided an update of the District's Sewer Lateral Assistance Program. Since the last update, Staff has learned of the necessity for a two -way clean out construction standard. Mr. Hamers stated the program is continuing successfully but the necessity for a two -way clean out construction standard has arisen. When an agency determines a particular construction practice or standard should be followed, the agency adopts a standard and includes it with their standard plans and specifications. This alleviates each and every plan submitter from having to draw the detail while also allowing District inspectors the ability to hand the detail to plumbers and contractors rather than having to explain the desired arrangement. Mr. Hamers provided an updated spreadsheet showing fiscal year activity to date as well as draft two -way clean out standards. Mr. Hamers reported Project #186 was budgeted $150,000 for FY 2009 -10 and received a carry forward from FY 2008 -09 of $32,205 for a total of $182,205. Expenditures to date total $84,579.73. Staff estimates 16 -24 hours are needed to draft written construction standards for construction of a two -way cleanout at a cost of $1,544 to $2,316. Hot Spot Abatement Program Mr. Hamers provided an update on the District's "Hot Spot" Abatement Program. Mr. Hamers explained the District standard for cleaning the sewer system is once a year for certain areas, once every two years for certain areas, and once every three years for other areas. Between once a year and once every three years is the industry standard for • COSTA MESA SANITARY DISTRICT PAGE 9 MINUTES OF THE BOARD OF DIRECTORS REGULAR MEETING HELD JANUARY 28, 2010 agencies with comprehensive sewer maintenance programs like the District's program. Areas needing more frequent cleaning, which are known as hot spots, are cleaned as frequently as necessary. For example, the inverted siphons that run under flood control channels or commercial areas with multiple restaurants are considered hot spots. Maintaining hot spot locations is expensive and time consuming. Staff estimates approximately 92 hot spot locations exist within the District of which 10 have been successfully eliminated through this program. Mr. Hamers informed the Board the District will be constructing sewer improvements under Project #183 -2 Bristol Street Sewer to eliminate another hot spot. This project is located north of Randolph and is currently in the design phase. This project entails the removal of three large sags from one section of line. Staff meets periodically to review hot spots followed by designing repairs to eliminate the hot spots. Mr. Hamers suggested it is appropriate to schedule another meeting of the Sewer System Sub - Committee. The cost to maintain the hot spots is approximately $132,420 a year. This cost includes staffing (salaries and benefits) and equipment costs. The total project cost is estimated at $158,017 with construction costs estimated at $93,437.50. The civil engineering design cost is $15,440. • A meeting of the Sewer System Sub - Committee was scheduled for Friday, February 19, 2010 at 10:00 a.m. PUMPING STATION SCADA UPGRADE Mr. Hamers provided the Board with an update of the SCADA system for District pumping stations. Mr. Hamers reported the District entered into an agreement with TRC to upgrade the District's SCADA system on August 27, 2009. SCADA (Supervisory Control and Data Acquisition) is responsible for notifying staff when there is a pump station failure. The improvements being installed by TRC such as converting from cell phone transmitting technology to more reliable radio frequency transmitting technology along with upgrading computer hardware will minimize electronic problems and provide more secure and uninterrupted reporting. This will eliminate SSOs resulting from electronic failures. The upgrades are expected to be completed by March 31, 2010. Mr. Hamers advised the Board the upgrade cost is $160,202.00 and is expected to be completed within budget. Discussion was held on the timeline and costs involved in maintaining the upgrade and Director Ferryman requested an accounting of the total costs of the SCADA upgrade is including maintenance of the system. This item will be included in the Strategic Planning Session on February 20, 2010. COSTA MESA SANITARY DISTRICT PAGE 10 MINUTES OF THE BOARD OF DIRECTORS REGULAR MEETING HELD JANUARY 28, 2010 0 ORANGE COUNTY SANITATION DISTRICT (OCSD) OFFER OF AREA 7 SEWERS Mr. Carroll reported meeting with Mr. Jim Ruth of OCSD, along with his Assistant General Manager and Director of Finance where he learned the City of Tustin is interested in taking over the 51-1/2 miles in Area 7. OCSD Staff performed a financial feasibility study and determined majority of the revenue comes from the City of Tustin area and they believe the larger part of the area would not be economically feasible for the CMSD. Director Ferryman stated he talked to Dave Davert of OCSD and was provided with the same information. DISTRICT YARD - 174 W. WILSON STREET - CMSD #187 Status of Construction Mr. Hamers reported construction is currently on schedule for completion by May 2010. On January 6, 2010, Staff met with the Contractor to discuss change order mark ups and indirect costs. The contract stipulates change orders are limited to direct costs only. The contractor contends that under the Public Works Construction "Greenbook" certain . unforeseen and /or unanticipated change orders are eligible for mark up costs in addition to its direct costs. The contractor Indicated they have seven change orders that meet the Greenbook guidelines. When the contractor was asked for the total mark up cost for the seven change orders, he indicated the total markup was approximately $3,500. Staff tentatively approved the seven change orders with their mark ups, but indicated to the contractor change orders with markups will be reviewed and approved on a case by case basis. Mr. Hamers stated Staff does not desire to set a precedent of approving large mark up costs. The contractor informed Staff if markups are not approved they will finish the work under protest and when the Yard is completed they will submit a claim against the District. The total budget for the District Yard Project is $2,505,349 with expenditures of $337,728.68 to date. SEWER SYSTEM COMMITTEE -TUESDAY, JANUARY 19, 2010 Director Monahan, Chairman of the Sewer System Committee, was not in attendance and Director Ooten provided the report on the meeting held on January 19, 2010. Staff presented the Sewer System Management Plan (SSMP). Director Ooten moved to ratify the revised Sewer System Management Plan. Director Ferryman seconded the motion. Motion passed 4 -0. • COSTA MESA SANITARY DISTRICT PAGE 11 MINUTES OF THE BOARD OF DIRECTORS REGULAR MEETING HELD JANUARY 28, 2010 LJ Updates on monthly SSO statistics and the SSMP were provided at the meeting. Director Ooten reported on a Staff report on the CMSD Inflow Reduction Program. 650 manholes were sealed this month with 1250 manholes sealed year to date. Director Ooten reported on a PowerPoint presentation created by a WDR Steering Committee member on how roots make their way into sewers. The next meeting of the Sewer System Committee is scheduled for Tuesday, February 16, 2009 at 10:30 p.m. TREASURER'S REPORTS BUDGET ADJUSTMENT FOR STRATEGIC PLANNING Mr. Davis reported a budget adjustment in the total amount of $3,500 is required to provide adequate funding for completion of the Strategic Plan for the District. Mr. Davis explained funding for completion of a Strategic Plan for the District was not included in the budget for fiscal year 2009 -10. Funding for this Plan was included as part of the prior year's budget, but funding lapsed at the end of the prior fiscal year. The Plan was not completed during the prior fiscal year as a result of the District reorganization and subsequent recruitment for a General Manager. In order to provide adequate funding for BHI to continue its work on the Plan, meet with Board and Staff, and to develop a measurable set of goals and objectives, an increase of $1,225 in professional services is required in the Solid Waste Fund with a decrease in the contingency account in the amount of $1,225. An increase in the Liquid Waste Fund of $2,275 for professional services and a decrease in retained earnings in the amount of $2,275 is required. Mr. Davis explained the portion of the budget adjustment applicable to the Solid Waste Fund can be funded from remaining contingency funds budgeted for fiscal year 2009 -10. No contingency funds are available in the Liquid Waste Fund, thus a new appropriation from retained earnings is required. Director Ooten moved to approve the budget adjustment. Director Ferryman seconded the motion. Motion passed 4 -0. • COSTA MESA SANITARY DISTRICT PAGE 12 MINUTES OF THE BOARD OF DIRECTORS REGULAR MEETING HELD JANUARY 28, 2010 0 ATTORNEY'S REPORTS CLAIM BY BACK BAY CENTER, LTD. FOR PROPERTY AT 2651 -2675 IRVINE AVENUE (CMSD PROJECT #168 - IRVINE PUMP STATION RELOCATION Mr. Burns gave an update on the Back Bay lawsuit. The Board was previously provided with a confidential memo on the subject. The parties involved have not come any closer to an agreement. ORDINANCE ENFORCEMENT OFFICER - PROPOSED MOU Mr. Burns reported receiving a request from Kim Barlow, Attorney for the City of Costa Mesa for backup documents and District Staff provided those documents to Ms. Barlow. SELECTED LAWS ALL PUBLIC OFFICERS SHOULD KNOW Mr. Burns presented a review of Selected Laws all Public Officers Should Know. The laws included the Brown Act, the Political Reform Act of 1974, Government Code Section 844308, the Contractual Conflict of Interest Prohibition, Incompatibility of Office, Misuse of Government Property, Misuse of Office for Political Influence, Gift Limit, Honoraria Prohibition, Passes and Discounts from Transportation Companies, Ethics Training and Expense Reimbursement, Penal Code Sections 85 and 86 — Trading of Votes & Government Coercion to Obtain Votes Illegal and a Crime, Miscellaneous Federal Laws, Revolving Door Limits, Gifts to an Agency, Directing Charitable Contributions. Mr. Burns encouraged the Board of Directors to contact him for greater elaboration. LOCAL MEETINGS ORANGE COUNTY SANITATION DISTRICT (OCSD) Director Ferryman reported the OCSD Board has created a department called "Asset Management ". The focus has been on re -doing the plant, going to full secondary treatment, building the GWRS with the Orange County Water District and to be more construction /facility oriented. Asset Management is more of a maintenance mode re- focusing on that activity. Rob Thompson will be heading that division. Also, odor and erosion control is being moved into a different area and place a lot more emphasis on that. Director Ferryman reported it is the time of year where leadership of OCSD Steering Committee changes with new Directors. • COSTA MESA SANITARY DISTRICT PAGE 13 MINUTES OF THE BOARD OF DIRECTORS REGULAR MEETING HELD JANUARY 28, 2010 • Director Ferryman reported the Orange County Sanitation District will be asking the Federal government for $3M to upgrade critical infrastructure and bring OCSD to full secondary treatment as dictated under Federal Consent Decree. OCSD is also requesting support of project assistance through the Department of Energy to build fuel cell power generation. This unique project converts a wastewater byproduct, digester gas, into clean energy powered by a renewable fuel. OCSD has requested individual Board members to endorse their position by having each individual Board member write letters to Senators Boxer and Feinstein and Congressmen Campbell and Rohrabacher in support of OCSD's request for federal funds. Director Ooten moved to bring up a non - agenda item because the need arose after the agenda was posted and action needs to be taken prior to the next Board meeting because of the urgency of the legislative delegation going to Washington DC. Motion was seconded by Director Perry. Motion carried 4 -0. Director Ferryman moved to have individual letters prepared for all five Board members to send to Senators Boxer and Feinstein and Congressmen Campbell and Rohrabacher in support of OCSD's request for federal funds. Director Ooten seconded the motion. Motion passed 4 -0. • SANTA ANA RIVER FLOOD PROTECTION AGENCY (SARFPA) Director Ferryman reported on a meeting of the Santa Ana River Flood Protection Agency on January 28, 2010. The Seven Oaks Dam is filled up to the depth of 112 feet behind the dam which translates into about 4,000 acres of water. The Agency is trying to get authorization from the federal government for the Westminster Watershed Project to be attached to the Santa Ana River Watershed. Cost of that project is estimated at $360,000,000 in Westminster, Garden Grove and Fountain Valley. Also, they have begun work on the SARI line relocation. The FEMA flood maps are out and Director Ferryman requested copies of the map for distribution. County officials report the map in this area did not expand too much but includes northern parts of Costa Mesa. INDEPENDENT SPECIAL DISTRICTS OF ORANGE COUNTY ( ISDOC) President Schafer attended the January 5, 2010 meeting and gave a report on matters pertaining to CSDA and LAFCO. Director Ferryman moved to approve ISDOC membership dues for 2010 for ISDOC. Motion was seconded by Director Perry. Motion passed 4 -0. • COSTA MESA SANITARY DISTRICT PAGE 14 MINUTES OF THE BOARD OF DIRECTORS REGULAR MEETING HELD JANUARY 28, 2010 • LOCAL AGENCY FORMATION COMMITTEE ( LAFCO) Director Schafer attended the January 13, 2010 meeting of LAFCO. General Manager Scott Carroll attended as well. A public hearing was held for consideration of the Ortega/La Pata Annexation to the City of San Juan Capistrano and the annexation was approved. Discussion was held on Draft Guidelines for Evaluation of LAFCO proposals, unincorporated Islands, Fiscal Model, O. C. website and a discussion on Cal- LAFCO. A decision was made that LAFCO will not pay Cal - LAFCO dues as there is not fair representation for Orange County.Election of new officers for 2010 was held and the new Chair is Peter Herzog and Vice Chair is John Moorlach. ORANGE COUNTY COUNCIL OF GOVERNMENTS President Schafer had nothing to report on OCCOG. CHAMBER OF COMMERCE President Schafer reported on the Chamber of Commerce Legislative Committee meeting held on January 6, 2010. Reports were given on new State of California legislation. Assemblyman Van Tran is working on AB1590 for stopping sale of • Orange County Fairgrounds. Tony Cardenas, Regional Manager of California League of Cities spoke on petition protecting local government. President Schafer has petitions to put matter of the State ballot; one million signatures are needed by April to qualify for ballot. CALIFORNIA SPECIAL DISTRICTS ASSOCIATION (CSDA) President Schafer attended a CSDA Finance Corporation meeting on January 14 and 15, 2010. Director Schafer reported on the CSDA meeting at Lake Tahoe where Brent Ives was the facilitator. Goals and objectives were discussed. President Schafer reported she will be the Vice Chair of the Legislation Committee and the Chair of the Education Committee. President Schafer will also be the Chair of the 2010 Annual Conference at the Marriott Hotel in Newport Beach. President Schafer reported Legislative Days are May 11 and 12, 2010 in Sacramento at the Sheraton Hotel. President Schafer, Director Ferryman and General Manager Carroll plan to attend and Ms. Revak will make the reservations. President Schafer attended an Education meeting in Sacramento on January 29, 2010. President Schafer is serving CSDA in the following capacities: Vice Chair of Legislative Committee; Vice Chair Finance Committee; Past President of the • CSDA Executive Board; Member of Fiscal Committee; Education Committee in charge of Workshops and Annual Conference in Newport Beach; Liaison between CSDA and CRWA. • COSTA MESA SANITARY DISTRICT PAGE 15 MINUTES OF THE BOARD OF DIRECTORS REGULAR MEETING HELD JANUARY 28, 2010 CALIFORNIA ASSOCIATION OF SANITATION AGENCIES (CASA) CASA Mid -Year Conference - January 13 -15, 2010, Palm Desert President Schafer presented a written report on the conference. Director Ooten attended the session on pension benefits. A representative from CalPERS and another speaker reported on how agencies are dealing with. employee benefits. Director Perry reported CalPERS took a 25% loss on their portfolio. Director Ferryman reported on the presentation on fuel cells and featured the Orange County Sanitation District as an example. It was an informative and thorough report and affirmed that OCSD is once again leading the way and doing the right thing with alternative fuels. Director Ferryman provided the CASA Annual Report for perusal. All attendees agreed it was an excellent conference and very worthwhile. WACO President Schafer provided an update on CSDA at the January 8, 2010 WACO meeting. The program was "An Update on Long -Term Climate Change and the Impact on California Water and what is Happening this Winter presented by Dr. Glen MacDonald, UC Presidential Chair and Director of the University of California, Los Angeles Institute of the Environment. General Manager Scott Carroll attended and gave a detailed report on the CMSD. President Schafer also reported on a WACO Planning meeting held on January 19, 2010. The January 8, 2010 program was critiqued and members desire to invite Dr. MacDonald back in the future. The Committee is working on a program entitled, The Environmental Perspective on Water. MESA CONSOLIDATED WATER DISTRICT Directors Perry and Ooten attended the MCWD five -year rate increase hearing and reported there were 55 written protests against the increase and 13 speakers against the increase and two for the increase. The increase is up to 5% a year for five years. The Mayor of Costa Mesa was in attendance and spoke against the increase. Their justification for the 5 -year increase is the savings in not having to send the yearly postcard notification required. OLD BUSINESS There was no old business to discuss. COSTA MESA SANITARY DISTRICT PAGE 16 MINUTES OF THE BOARD OF DIRECTORS REGULAR MEETING HELD JANUARY 28, 2010 . NEW BUSINESS Initiative to Prevent State from taking Funds from Local Agencies President Schafer presented a petition for an initiative measure to be submitted directly to the voters that prohibits the state from taking funds used for transportation or local government projects and services — Initiative Constitutional Amendment. A million signatures are required to place the measure on the ballot. Director Ferryman motioned to adopt a resolution backing the initiative. Director Ooten seconded the motion. Motion passed 4 -0. A resolution will be prepared for approval at the next regular Board of Directors meeting. ORAL COMMUNICATIONS AND DIRECTOR COMMENTS Mr. Fauth reported a potential SSO and discussed what occurred and came to the conclusion it was only a "wet spot" and it is not a reportable event. Secondly, Mr. Fauth reported the City of Costa Mesa is sponsoring a Community Run on April 23 and 24, 2010. Mr. Fauth will provide a memo on how the District can participate. • ADJOURNMENT President Schafer adjourned the meeting at 7:49 p.m. Secretary President • i r� U Meeting Date Item Number 02/25110 V. A. 4. COSTA MESA SANITARY DISTRICT MINUTES OF BOARD OF DIRECTORS SPECIAL MEETING FEBRUARY 2, 2010 The Board of Directors of the Costa Mesa Sanitary District held a duly- noticed Closed Session on Tuesday, February 2, 2010 at 11:45 a.m. in the Board Room of the Costa Mesa Sanitary District at 628 W. 19th Street, Costa Mesa, California 92627 to discuss the goals and objectives of the General Manager pursuant to Government Code Section 54967, Directors Present: Arlene Schafer, Robert Ooten, Gary Monahan, Arthur Perry, James Ferryman Staff Present: Scott Carroll, General Manager The Board of Directors adjourned to closed session at 11:50 a.m. I. Establishment of Goals and Objectives for the General Manager The Board reconvened to open session at 1:33 p.m. and announced goals and objectives for the General Manager were established. III. Public Comments There were no members of the public present and no public comments made. President Schafer adjourned the meeting at 1:35 p.m. Secretary President Protecting our community's health by providing solid waste and sewer collection services. costamesasanitarydistrict.org Memorandum Meeting Date_ Item Number 02125/10 V. B. V.Wfia� ... an Independent Special District To: Board of Directors Via: Scott Carroll, General Manager From: Thomas A. Fauth, Operations Manager Date: February 25, 2010 Subject: Operations Manager's Report Summary This report summarizes major points for seven operations topics covering Refunds, Occupancy, Sanitary Sewer Overflows, Waste Diversion, CR Transfer Contract Payment, CMSD Ordinance Enforcement Officer's Report and the Costa Mesa Community Run. Staff Recommendation The Board of Directors takes the following action: • Approves Items B.2 and B.7. • Ratify Item B.5. • Receive and file Items B.3, B.4, and B.6 Analysis 1. Refunds: No Refunds for January 2010. 2. Occupancy Report and payment to Costa Mesa Disposal — February 2010: Trash Occupancy Count totals 21,494 for February 2010, a reduction of 8 from January 2010. The rate of $9.1554 per unit results in a payment of $196,786.16 to be ratified on the March 2010 warrant list. 3. Monthly SSO Report to State Water Resources Control Board: There have not been any SSOs in CMSDD from January 1, 2010 to date. The total is number of SSOs for CY 2009 remained at 10. The last SSO occurred on Protecting our community's health and the environment by providing solid waste and sewer collection services. www.ctnsdcagov I/ Iq Board of Directors February 25, 2010 Page 2 of 3 October 20, 2009 when 300 gallons spilled from a private sewer lateral grease interceptor. 4. Waste Diversion Report — January 2010: Of 3,182.05 Total Tonnage CR &R collected from the City of Costa Mesa, part of Newport Beach and unincorporated areas of Orange County within the District, 1,604.97 tons (50.44 %) were diverted (recycled) and 1,577.08 tons were landfilled. You will notice that the diversion rate stayed consisted throughout the year. a- Contract Payment to CR Transfer for Recycling Services & Disposal for January 2010: Payment of $52.22/Ton for 3,182.05 Total Tonnage collected from the District results in a Total Payment of $166,166.65 for January 2010. The total tonnage of refuse collected in January 2010 represents a decrease of 169.91 tons from the 3,351.96 collected in December 2009, 6. Ordinance Officer's Report: Isidro Gallardo continued enforcing proper trash container storage along with the City of Costa Mesa Code Enforcement Officers support which began December 28, 2009. Staff designed, printed and delivered new `door hanger' notices to the City for distribution. Isidro drafted a Courtesy Notice Letter urging non - compliant residents to comply with District rules. District Counsel will have an update to the Board regarding the MOU with the City of Costa Mesa. 7. Costa Mesa Community Run: The third annual Costa Mesa Community Run is set for Saturday morning at 8 a.m., April 24, 2010. The proceeds benefit the Foundations of TeWinkle Middle School, Costa Mesa Middle School, Estancia High School and Costa Mesa High School. CMSD participated in last year's event with a manned public outreach booth on both the Friday evening before and Saturday morning during the run. CMSD Staff has met several times with the planning committee. Please note the following specifics: ICI a. The $500 CMSD sponsorship fee is waived. b. Up to four CMSD Staff and family members may run either the 2K or 5K course for free. c. CR &R agreed to provide a static flatbed display touting the many aspects of recycled bales of plastics, aluminum cans and cardboard. A count the cans contest will be held awarding 4 $25 gift certificates to the closest guesses, similar to the Safety EXPO. d. CR &R will provide disposable trash cans for the event. e. Approximately nine hours of overtime will be required for each of two Staff members to man the CMSD public outreach booth. f. The CMSD logo will be added to the flyer for the next printing and will be distributed at the CMSD HO counter. is g. The Friday evening agenda includes recognizing veterans, the Marines 1S Battalion, 5t Marines, a presentation of the colors and several bands. I 0 • Board of Directors February 25, 2010 Page 3of3 Legal Review None Financial Review Expenditures and Encumbrances, including overtime, are within the Approved FY 2009/10 Budget. Committee Recommendation Topics 1, 2, 4, 5, 6 and 7 are ongoing solid waste operations topics and are now reviewed at the Recycling Committee Meeting scheduled for February 22, 2010. Topic c. is reviewed at the monthly Sewer System Committee scheduled for February 16, 2010. Staff will report to the Board of the decisions the Committees made on these items. Public Notice Process Copies of this report are on file with the entire agenda packet at District Headquarters. Alternative Actions 1. Refer the matter back to Staff for more information. Financial Reviewed by: --� 4- - Sherry Kallab Administrative Manager Meeting Date Item Number 02/25/10 V. 8.1 a�S�gANITq� f i COSTA MESA. SANITANY y ORA'f�� DiffAicT %A ... an Independent Special District Memorandum To: Board of Directors From: Debbie Bjornson Date: February 1, 2010 Subject: REFUND REQUEST FOR BOARD APPROVAL There are no refund requests for the month of January 2010. • Debbie Bjornson Permit Processing Specialist Protecting our community's Health by providing sol'uf waste and sewer coffection services costamesasanitarydi strict.org Board of Directors Arlene Schafer Robert Ooten Gary Monahan Arthur Perry .Tames Ferryman Staff Scott C. Carroll General Manager Robin B. Hamers District Engineer (949) 631 -1731 Joan Revak Qffice Manager rk of the District Alan R. Burns Legal Counsel February 1, 2010 Board of Directors Costa Mesa Sanitary District 628 W. 19`h Street Costa Mesa, CA 92627 -2716 SUBJECT: TRASH OCCUPANCY COUNT Dear Board of Directors: There has been a decrease of 8 units for the occupancy report for solid waste collection as of February 1, 2010; therefore, the total occupancy count for February is 21,494. Staff recommends the following: 1. The Board of Directors accepts the occupancy count as presented using 21,494 as the correct number of units. 2. The Board of Directors directs staff to prepare a warrant to Costa Mesa Marcus D. Davis Disposal for February collection based on this occupancy report so Treasurer long as the contractor fulfills the obligations of the agreement. Said payment in the amount of $196,786.16 to be ratified on the March 2010 warrant list. Phone (949) 645 -8400 Fax (949) 650 -2253 Address 628 W. 19th Street Costa Mesa, CA 92627-2716 l�J Sincerely, C?4 40CIZA#- Thomas A. Fauth Operations Manager cc: Costa Mesa Disposal _0 C..0 Debbie Bjornson Permit Processing Specialist s t® a Printed on P►ntectrng our cori mw6tlJ' rs Gfealth and O environment by prauiding sobdwaste and sewer a& cb un services. Recycled Paper www.crosbca.gov OCCUPANCY CHANGES January, 2010 EXISTING A.P.N. No. ADDRESS STATUS CHANGE NEEDED CHANGED OCCUPANCY 139 - 203 -06 2984 Royal Palm Dr. change to bin service 4 units Jan -10 4 139 - 203 -07 2988 Royal Palm Dr. change to bin service 4 units Jan -10 4 Total for January -8 0 OPR: CMSD, Thomas A. Fauth 714 - 393 -4433 • CMSD Occurrences FY00 -10 • Prepared 10 -22 -09 1213012008 Date Sanitary Sewer Overflow Occurrence Report Summary, CY2008 SSO EVENT ID Private District Est Total Spill completely Event Line Line # Gallons Contained ? Uncontained Est # Private Gallons Spilled into Storm drain Uncontained Est # Public Gallons Spilled into Storm drain 1/2/2008 PRIVATE Pump Station Failure,151 Kalmus Dr, Copper Tree Bus Park: 80025 90244 2,000 N 1600 100 1/20/2008 Sea Bluff PS Air Bubbler Failure; 30 Sea Terrace Lane; 80575 113 N 113 1/28/2008 Roots Blocked Main Line, CCM Cleaned Site, 1939 Sanderlin Ctr; 81341 20 Y 2!712008 FOG Blocked Main Line Siphon on Paularino, 3012 -3036 Enterprise, 81171 55 N 5 2/26/2008 Debris & Roots Blocked Main Line, 2040 President Place; 90919 81613 450 Y 3/18/2008 Grease blocked PRIVATE Lateral - Yardhouse - 1875A Newl>ort Blvd 82152 2,100 N 1800 3/18/2008 Roots/Debris Blocked PRIVATE Lateral, 700 W 16th St 82153 37 N 37 413/2008 President PS -SCE Transformer, 2034 President Pi, PS MH to Park 93619 82546 360 Y 510 5/5/2008 PRIVATE Above Ground Clean Out Broken - AMTEK, 960 W 16th St 83276 20 N 20 7/25/2008 Roots Blocked PRIVATE Lateral - Uncapped CO - 674 Park Drive 85433 20 N 10 7/26/2008 Grease /Debris Blocked PRIVATE Lateral 3400 Ave of Arts-Heritage 85463 100 N 10 8/22/2008 PRIVATE Pump Station Failure, 151 Kalmus Dr, Copper Tree Bus Park: Repeat 86141 85 Y 9/4/2008 Roots/Debris - PRIVATE SSO - Uncapped GO - 1010 Valencia St 86477 2 1,050 N 52 10/24/2008 FOG & Rock Debris in Private Lateral - The Camp 2937 Bristol St 87699 1,275 N 75 12/23/2008 FOG Blocked Main Line Drop Manhole, 2752 San Juan Lane: 89101 30 Y 12/26/2008 FOG Blocked Lateral Line - May Gardens - 1400 Bristol St; Repeat; 89158 690 Y 12/30/2008 Unknown Debris Blocked Main Line - 1895 Swan Circle 6 89253 10 Y Total # Gallons 1.476 760 530 186 ]Percentages KEY: 51.49% 35.91% 12.60% GREASE 6 4 2 ROOTS 5 3 2 PUMP STN 2 2 OTHER 4 3 1 TOTALS 17 10 7 Total # Gallons 8,415 4,693 3,604 118 Percenta es 100.00% 55.77% 42.83% 1.40 i 10/2012009 Date Sanitary Sewer Overflow Occurrence Report Summary, CY2009 SSO EVENT ID Private District Est Total Spill Completely Event Line I Line # Gallons Contained ? Uncontained Est # Private Gallons Spilled into Storm drain Uncontained Est # Public Gallons Spilled into Storm drain 1/11/2009 Irvine PS Failure /SW - SCADAlann Did Not Call - 2149 Anniversary Lane: 90244 100 N 100 1/16/2009 FOG Debris Blocked Main- Increased Hots pot -1 /mo: Bristol St & 55 Freeway. 90383 86 N 86 1/26/2009 FOG Blocked Main Line near 2831 Bristol $t: Italian Restaurant Upstream: 90785 10 Y 1/29/2009 Irvine PS Failure /SW - SCADAlarm Did Not Call - 2149 Anniversary Lane; 90922 50 Y 1/30/2009 PRIVATE Septic Tank Failed -Moon River Massage Parlor -2138 Newport Blvd; 90919 20 Y 3/31/2009 PRIVATE CO - Chicken Koop Restaurant - Sal: 91645 -6086 - 432 Hamilton St; 92681 90 Y 4/21/2009 FOG blocked PRIVATE Lateral - Clean Out - FSE Strip Mall - 570 W Wilson St: 93618 10 Y 4/2112009 Diaper & Debris blocked PRIVATE lateral - 327 West Wilson St; 93619 510 N 510 7/11/2009 Paper Products blocked PRIVATE lateral - 3190 Harbor Blvd - Chevron Station 94946 300 N 20 10/20/2009 Grease Blocked GI at 7-11, RoundTable. FlameBroiler - 204 E 17th St 97151 300 Y KEY: GREASE 4 2 2 ROOTS 1 1 PUMP STN 2 2 OTHER 3 3 TOTALS 101 6 1 4 Total # Gallons 1.476 760 530 186 ]Percentages 100.00% 51.49% 35.91% 12.60% 1 of 1 0 1 � 0 t7 fD m3 to Z ' C 3 ' a 0 CR Transfer • • To: Joan Revak From: CR Transfer Inc. Jurisdiction: Costa Mesa Sanitary District (9) MonthNear: Jan -10 Recycling Report '" Note: This material includes food / small particulate and inert material. Total Tonnage 3002.68 Recycled Tonnage 1513.79 Landfill Tonnage 1488.89 County & Newport Beach TOTAL 179.37 3182.05 91.18 1604.97 88.19 1577.08 Meeting Date I Item Number 02/25/10 V. B. 4. Recycle Tons Commodity Percentage Recycled Newspaper 7.88% 236.62 Cardboard 6.42% 192.68 Mixed Paper 5.13% 153.94 Glass 2.80% 84.06 PET 0.59% 17.64 HDPE 0.45% 13.49 Aluminum Cans 0.33% 10.03 Non - Ferrous Metal 0.44% 13.15 Tin /Metal 0.65% 19.37 Greenwaste 9.78% 293.7 Organic/ Fines *` 12.67% 380.52 Wood 1.41% 42.2 Concrete/Asphalt 1.88% 56.39 Drywall 0.00% 0 Totals 50.41% 1513.79 '" Note: This material includes food / small particulate and inert material. Total Tonnage 3002.68 Recycled Tonnage 1513.79 Landfill Tonnage 1488.89 County & Newport Beach TOTAL 179.37 3182.05 91.18 1604.97 88.19 1577.08 Meeting Date I Item Number 02/25/10 V. B. 4. 0 CR Transfer • To: Joan Revak From: CR Transfer Inc. Jurisdiction: Costa Mesa Sanitary District Santa Ana Heights (11) MonthNear: Jan -10 Recycling Report ** Note: This material includes food / small particulate and inert material. Total Tonnage 179.37 Recycled Tonnage 91.18 Landfill Tonnage 88.19 Meeting Date Item Number 02125/10 1 V. B. 4. Recycle Tons Commodity Percentage Recycled Newspaper 10.19% 18.27 Cardboard 6.65% 11.94 Mixed Paper 7.63% 13.69 Glass 3.30% 5.91 PET 0.78% 1.4 HDPE 0.44% 0.8 Aluminum Cans 0.51% 0.91 Non - Ferrous Metal 0.27% 0.49 Tin /Metal 0.96% 1.73 Greenwaste 1.30% 2.33 Organic / Fines 11.67% 20.93 Wood 5.17% 9.28 Concrete/Asphalt 1.95% 3.5 Drywall 0.00% 0 Totals 1 50.81%1 91.18 ** Note: This material includes food / small particulate and inert material. Total Tonnage 179.37 Recycled Tonnage 91.18 Landfill Tonnage 88.19 Meeting Date Item Number 02125/10 1 V. B. 4. 0 0 0 9 3JC t•3fl 9d3719o90 gymm 9 Jmft,% qx@A 9� off.'. 9AW _ o 9S1 C City 1.720.52 1.598.79 1,583.84 1.539.80 1.481.91 1,564.47 1.513.79 County 126.29 72.31 126.45 83.65 94.55 126.41 91.18 9,[3 &% 9MM 9ARI& TAMM 990 %a9m 9�M City 1.692.20 1.572.52 1,557.77 1,514.48 1.457.53 1.538.72 1,488.89 County 122.25 70.00 122.35 80.96 91.51 122.36 88.19 'A composite recycling percentage for City & County based on new characterization studies completed by CRT. Waste Diversion FY- 09 /10jr 02111/10 City 3 3.412.72 3 3.171.31 3 3.141.61 3 3,054.28 2 2.939.44 3 3,103.19 3 3.002.68 County 2 248.54 1 142.31 2 248.80 1 164.61 1 186.06 2 248.77 1 179.37 gymm 9 Jmft,% qx@A 9� off.'. 9AW _ o 9S1 C City 1.720.52 1.598.79 1,583.84 1.539.80 1.481.91 1,564.47 1.513.79 County 126.29 72.31 126.45 83.65 94.55 126.41 91.18 9,[3 &% 9MM 9ARI& TAMM 990 %a9m 9�M City 1.692.20 1.572.52 1,557.77 1,514.48 1.457.53 1.538.72 1,488.89 County 122.25 70.00 122.35 80.96 91.51 122.36 88.19 'A composite recycling percentage for City & County based on new characterization studies completed by CRT. Waste Diversion FY- 09 /10jr 02111/10 9,[3 &% 9MM 9ARI& TAMM 990 %a9m 9�M City 1.692.20 1.572.52 1,557.77 1,514.48 1.457.53 1.538.72 1,488.89 County 122.25 70.00 122.35 80.96 91.51 122.36 88.19 'A composite recycling percentage for City & County based on new characterization studies completed by CRT. Waste Diversion FY- 09 /10jr 02111/10 'A composite recycling percentage for City & County based on new characterization studies completed by CRT. Waste Diversion FY- 09 /10jr 02111/10 0 0 0 VGM VainigOD LMM City 3.002.68 County 179.37 MW o 0 0 0 0 0 0 0 0 0 9 City 1,513.79 County 91.18 9.UF of E3'e e o 0 0 0 o e o e o 9�drt3 City 1,488.89 County 88.19 qb b t A composite recycling percentage for City & County based on new characterization studies completed by CRT. Waste Diversion 2010/jr 02/11/10 0 09 9500151382 BILL TO: COSTA MESA SANI DIST 628 W 19TH ST COSTA MESA CA 92627 INVOICE AREA 9 R- ECE1VED Meeting Date Item Number 02/25/10 V. B. 5. FEB0 5 2010 401 TO PAY BY CREDIT v`z nn CARD, PLEASE FILL COSTA MESA SANJARY DISTRILI N INFORMATION BACK OF REMITTANCNC E INVOICE #: INVOICE DATE: 15138 2/01/10 COSTA MESA SANI DIST AREA 9 P.O. BOX 1200 COSTA MESA CA 92627 09- CUSTOMERR #2 PREVIOUS AMOUNT DUE PAYMENTS CURRENT CHARGES TOTAL DUE 162,048.60 162,048.60 156,799.95 156,799.95 Please detach here and return with your payment CHECK # CR TRANSFER, INC. ■• DESCRIPTION'.,,,, • ■ • TOTAL 1/02/10 RESIDENTIAL WASTE 15 133.70 52.220 6,981.81 1/04/10 RESIDENTIAL WASTE 15 162.01 52.220 8,460.16 1/05/10 RESIDENTIAL WASTE 15 143.95 52.220 7,517.07 1/06/10 RESIDENTIAL WASTE 15 134.98 52.220 7,048.66 1/07/10 RESIDENTIAL WASTE 15 150.91 52.220 7,880.52 1/08/10 RESIDENTIAL WASTE 15 134.62 52.220 7,029.86 /10 RESIDENTIAL WASTE 16 16B.9,2 52.220 8,821.00 �11 /12/10 RESIDENTIAL WASTE �,15�1�3�b38x��532�220r7, ,�,2" ctrl"h �, 121.76 1/13/10 RESIDENTIAL WASTE 15}5 ;7; r22 »2Ov.7, 079.47 1/14/10 I t,k5' RESIDENTIAL WASTE Y` 15340:45 -� h?f� 7, 334.30 1/15/10 RESIDENTIAL WASTE 15 141.25 „522:20 52.220 7,376.08 1/18/10 RESIDENTIAL WASTE.. 16 ., 15,2- .05 ,.,.n.,. 5,2 22,_0 7, 940.05 1/19/10 ZH"'�xss..t�d�s RESIDE TIAL WASTES 15 '131..86 52 220 , 6,885.73 1/20/10 RESIDENTFIkL WASTE 13 .127 .';86,, 5,2 220 6, 676.85 1/21/10 REST =DENTIAL WASTE'` x'15 134.13 5-2 X20 7,004.27 1/22/10 .__ ... RES °IDENTIAL "WASTE ;.. 12 :12001 52.:220_' 6, 266 . 92 1/25/10 RESIDENTIAL WASTE :16'':W186:41 52.220 9,734.33 1/26/10 RESIDENTIAL WASTE 15 148.84 52.220 7,772.42 1/27/10 RESIDENTIAL WASTE 14 125.03 52.220 6,529.07 1/28/10 RESIDENTIAL WASTE 15 151.02 52 22.0 7,886.26 1/29/10 RESIDENTIAL WASTE 13 14'2 73 52 22'0 7,453.36 q ¢ . APPMW By wpim-0 By LA C L AW oot V TOTALS 310 3002.68 156,799.95 IF YOU HAVE ANY QUESTIONS REGARDING ANY PART OF THIS INVOICE, PLEASE CALL: *IOUS AMOUNT DUE PAYMENTS CURRENT CHARGES TOTAL DUE 162,048.60 162,048.60 156,799.95 F156,799.95 CUSTOMER #: 0 9- 9 2 INVOICE # 15138 P.O. BOX 1200 OVERDUE AMOUNTS SUBJECT TO FINANCE CHARGE ('/14) 626 -yU4y INVOICE TOTAL 156799.95 INVOICE �FER- 09 000151393 BILL TO: COSTA MESA SANI DIST -SA HGT 628 W 19TH ST COSTA MESA CA 92627 DECEIVED FEB 0 5 2010 PM 93 WARI DISTRICT INVOICE #: 15139 MAIL PAYMENT TO: C em Number P. V. B. 5. STANTON, CA 90680 -0125 TERMS: NET 10 DAYS TO PAY BY CREDIT =VIA CARD, PLEASE FILL IN INFORMATION ON BACK OF REMITTANCE INVOICE DATE: .2/01/10 COSTA MESA SANI DIST -SA HGT P.O. BOX 1200 COSTA MESA CA 92627 09- CUSTOMER #8 PREVIOUS AMOUNT DUE PAYMENTS CURRENT CHARGES TOTAL DUE 12,990.78 12,990.78 9,366.70 9,366.70 Please detach here and return with your payment CHECK # CR TRANSFER, INC. DATE O e e • 1/06/10 RESIDENTIAL WASTE 4 46.73 52.220 2,440.24 1/12/10 RESIDENTIAL WASTE 1 7.78 52.220 406.27 1/13/10 RESIDENTIAL WASTE 3 29.50 52.220 1,540.49 1/19/10 RESIDENTIAL WASTE 1 9.85 52.220 514.37 1/20/10 RESIDENTIAL WASTE 4 38.68 52.220 2,019.87 1/26/10 RESIDENTIAL WASTE 1 7.01 52.220 366.06 1/27/10 RESIDENTIAL WASTE 4 39 82 52.220 2,079.0 t `� , z g GL _ 431 "LAW TOTALS 18 179.371 9,366.70/ IF YOU HAVE ANY QUESTIONS REGARDING ANY PART OF THIS INVOICE, PLEASE CALL. PREVIOUS AMOUNT DUE PAYMENTS CURRENT CHARGES TOTAL DUE 12,990.78 h 12,990.78 9,366.70 9,366.7 CUSTOMER #: 0 9 - 11 8 INVOICE # 15139 P.O. BOX 1200 OVERDUE AMOUNTS SUBJECT TO FINANCE CHARGE � /14) bzt -yU4� INVOICE TO 707 \Tl Pnnir,i �� G +r�rlari 4':,nei �3prd nn01 4K Fun Meeting Date Item Number 2/25/10 V. B. 7. KELM Pancake Breakfast & Expo • 7 -10 am at Estancia High The run is through scenic Fairview Park, with the start and finish at Jim Scott Stadium. Contact Karen Barloon (949) 515 -6545 or kbarloon @nmusd.us Online at CostaMesaCommunityRun.com or active.com Current Sponsors ��- ORANIiE C.UASG —�� T W. p h-IP ro- 9.1 Costa Mesa • . 1. • .. ,.••,•••• •,• �•,,• •. ��-. %0t T11(*0 %,ST 111:TIt0 C A R B Kiwanis' 7IL"g A40ULAVCETERVtC,- costa Mesa THETUtEISNOVG' � Entry form Costa Mesa Community Run April 24, 2010 FIRST NAME ADDRESS PHONE EMAIL LAST NAME SEX AGE ON RACE DAY CITY STATE ZIP HOW DID YOU HEAR ABOUT THIS EVENT? Waiver and Assumption of Risk (must be signed) In consideration of this entry for acceptance, I hereby for myself, my heirs, executors, and administrators, waive any and all rights of claims for damages against the City of Costa Mesa, the ,O ewport Unified School District, USTAF, the event organizer, Estancia/Tewinkle /Costa Mesa school undations, Costa Mesa Community Foundation, and all their sponsors, or any organization or Idividual associated with the above for any and all injuries sustained by me in this event. I will additionally permit the free use of my name and pictures in newspapers, broadcasts, telecasts, etc. I further attest and verify that I am physically fit and have sufficiently trained for the competition of this race and that my condition has been verified by a licensed doctor. SIGNATURE OF ATHLETE (Parent if under 18 years of age) DATE T -shirt Size (please circle) Adult: S M L XL XXL Youth: YL Early Registration After 4/20 5K $ 25.00 $ 30.00 2K $ 20.00 $ 25.00 5K Teams (5 runners) $ 100.00 $ 150.00 Team Name: Each runner is required to sign a registration form. Please return all 5 in one envelope. T -shirt Only (non - runner) $10.00 ea. x = $ Pancake Breakfast $ 5.00 ea. x = $ Donation $ Costa Mesa Community Run Total $ c/o Costa Mesa Community Foundation P.O. Box 10268, Costa Mesa, CA 92627 Please make check payable to Costa Mesa Community Foundation and send to the address above. For credit card payment please pay online at Active.com /active. • itCOSTA MESA NITARY DISTRICT CAPITAL IMPROVEMENT PROGRAM 2009-2010 PROJECT: -3 Update SCADASystem----.------ __L83 T� PROJECT MANAGER: Jorn Fauth, Operations Manager DESCRIPTION: Upgrade telemetry reporting system at ali 20 pumping stations to increase relability and avoid SSOs. START DATE: 27 Aug -09 COMPLETION DATE: 31-Mar-10 STATUS REPORT: As of 2/25/10, installation and reprogramming is approximately 61% complete. FINANCIAL STATUS: Account Number -----Expenditures Encumbrances-IT- Budget Balance 1 160,202 145,994 l 208 #183-3 20� Total 160,202 j 1 145,994 14,208 • _0 og � Y MQTaR�LA • ::' T Costa Mesa Sanitary District ESN System Status Report 2/8/2010 Project Completion 61% • • • • • f j 1 E i E c 1( 11 1� 1` 1e 1E 1E i1 1E 1f 2( 21 2. 2' 2e 2`. 2E 27 2E 2f 1 Costa Mesa Status Report 2/8110 Start C;mmnlata 6n_76% Costa 7/16/09 2/9/10 3Mesa r. < >.g... Pro j. kickoff meetings 9/16/09 9/16/09 100% Functional Specification Dev. 9/16/09 12/22109 90% Walk Down Sites 9/14/09 9/16/09 100% Radio Survey 9/16/09 12/15/09 100% Equipment z: z s:96% Order Equipment 10/10/09 10/10/09 100% Order Software 10/10/09 10/10/09 100% Order Communication Equipment 10/10/09 1/10/10 100% Receive Equipment 10/30/09 2/9/10 100% Stage Equipment In -house 10/30/09 12/29/09 100% Test E ui ment/ r . In -house 10/30/09 2/12101 75% Integration Create 1/0 List 9/14/09 9/16/09 100% Dev. Code 9/14/09 10/15/09 100% Dev. Interface 9/14/09 2/12/01 90% Report Generation 10/14/09 3/14/01 60% Test simulate logic 10/15/09 2/12/01 75% Test Interface to HMI 10/15/09 2/12/01 75% Test complete system In house 10/15/09 2/12/01 75% Installation 3 - r''JO% Ship hardware 11/4/09 2/17/01 0% Install Radio Equipment 11/4/09 2/17/01 0% Install Antennas Main Facility 11/4/09 2/17/01 0% Field tests stem 11/4/09 3/14/01 0% Asbuitt Documents L max' Program documentation 9/14/09 3/14/01 50% System documentation 9/14/09 3/14/01 50% System Test Plan 9/14/09 3/14/01 1 50% System Training 11/25/09 3/14/01 0% Antenna Move to New Building 20% Field tests stem 0% Jsing current System as a Templete and adding the new uctionallity to the Specification Ne did site surveys and Maintenance on the Moscad's in 'repeoration of the new ;ommunications install Domplete Dnce the Radio Survey is complete and we are satisfied with the results .hen we can order the ommunications Staging Radios in Shop. Testing )peration Delayed due to Radio interface. This has been resolved Ne are using the Current 1/0 listing Code is developed but will be modified for the Radio at each site. Tied in a set of new radios - modified the code for the radio :elementry Ne will be field testing during the - onversion of stations Depends on Timing with Customer Met with Karl at new Building - came to an agreement on the antenna Location Be fore we start the site conversion we will install the central antenna as soon as 2/17/01 e is • Meeting Date Item Number 02/25/10 V. C. 2. HOWARD S. WRIGHT CONSTRUCTORS GENERAL CONTRACTORS 1901 Nancita Circle Placentia, CA 92870 INVOICE Costa Mesa Sanitary District 626 W. 19th Street Costa Mesa, CA 92627 CMSD Corporate Yard New Bldg & Site Imp 174 W. Wilson Street Costa Mesa, CA 92627 Billing for work performed through Contrail Amount C. O. Amount Total Contract Amount Work Completed To Date Less Retention Q 5% Less Previously Wed TOTAL AMOUNT DUE Date: 1/25/2010 Invoice: 68519 -005 HSWCC Job #: 68519 January 31, 2010 2,161,546.00 22,164.28 ✓/ 2,183,710.28 ✓ 567,511.37 28,375.57 539,135.80 f 449,474.00 89,661.80 CIH5r -> -d Ely DOW a BY oL aoot a.Acot- COSTA MESA SANITARY DISTRICT CAPITAL IMPROVEMENT PROGRAM 2009-2010 PROJECT: ! #183 -2 Bristol Street Sewer Improvements n/o Randolph PROJECT MANAGER: IRob Hamers, District Engineer DESCRIPTION: The p roj ect is art of the District's Hot Spot Abatement Program and will remove --1three large sags from a section of 8" sewer main on Bristol Street that serves the i Camp and Lab developments START DATE: !Fall 2010 COMPLETION DATE: Late 2010 STATUS REPORT: _2 2/25/10 - Existing Gas Company and Southern California Edison company lines have been found extremely close to the existing sewer, which is scheduled for removal and replacement due to three large sags in the line. Meetings are being arranged with the utilities to discuss options for sewer construction. FINANCIAL STATUS through 1/31/10: Account Number Budget Expenditures j f Encumbrances j Balance #183-2 158,017 1 58,017 201 ,Total 158,017 158,017 9 E COSTA MESA AITARY DISTRICT CAPITAL IMPROVEMENT PROGRAM 2009-2010 PROJECT: #187 District Yard PROJECT MANAGER: Rob Hamers, District Engineer DESCRIPTION: START DATE: Construction of new District Yard at 174 W. Wilson Street, Costa Mesa of May 2010 ii . L ----------- ---------- COMPLETION DATE: JEnd STATUS REPORT: As of 2/25/10, construction is approximately 50% complete. Howard S. Wright superintendent and project managers provide detailed advanced review of aill items thereby insuring continuing successful progress. FINANCIAL STATUS through 1/31110: I I Expenditures Encumbrances­ Balance l--- __J Account Number Bud et 187 - 3O 3 Total 2,505,349 2,605.,344-9 —S3-5,089 1,970,260 1,970,260 i COSTA MESA SANITARY DISTRICT CAPITAL IMPROVEMENT PROGRAM 2009-2010 PROJECT: i# 188 Coversion of Sewer Atlas to GIS PROJECT MANAGER: !Rob Hamers, District Engineer ----------- DESCRIPTION: ,Conversion of hand-drawn sewer atlas to electronic GIS format; preparation of sewer �cleaning maps and schedule- preparation of Computerized Maintenance Management '!Systern (CMMS); and preparation of Hydraulic Modeling program. --- --- ------ - START DATE: '26-Oct-09 COMPLETION DATE: 30- Sep -11 STATUS REPORT: As of 2/25/10, 100% of the GIS sewer asset data has been updated/corrected based on CMSD's lateral atlas; 40% of the data has been QA/QCd by CMSD; 100% of the wastewater drainage water sheds have been created; and 100% of the pipe segments have been updated with their appropriate cleaning frequency. Laterals are currently being created in the GIS. FINANCIAL STATUS throuqh 1/31/10: Account Number Budget Ex penditures Encumbrances Balance I #188 194875 194,875-1 20i Total 194,875 0 0 is Meeting Date Item Number j 02125/10 V. D. 1. COSTA X\ 1. ... an .Independent Specia[ District To: Board of Directors Via: Scott Carroll, General Manager From: Sherry Kallab, Administration Manager 4 Date: February 25, 2010 Subject: Financial Reports as of January 31, 2010 Summary Staff is providing the Board with the Financial Reports as of January 31, 2010. ® Staff Recommendation Staff recommends the Board approve and accept the Financial Reports as of January 31, 2010 as submitted. Analysis The financial highlights for the month of January 2010 are as follows: Revenues During the month of January grant funds in the amount of $142,256 for.the OC Waste & Recycling 2008 -09 Grant were received. Expenditures As of January 31, 2010 the solid waste fund had expenditures of $2,657,267 leaving 47.87 %, or $2,440,043 of the $5,097,310 budget available. As of January 31, 2010 the liquid waste fund operations and maintenance expenditures were $1,247,960 leaving 62.89 %, or $ 2,114,859 of the $3,362,819 budget available. The transfer out in the amount of $463,790 from the Liquid Waste Fund to the Facilities Revolving Fund remains outstanding. Legal Review None. Protecting ourcommunity's health by providing sof:dwaste andsewercoffection services crosdca.gov Board of Directors January 28, 2010 Paqe 2 of 2 Financial Review With five months left in the fiscal year, the District has a remaining cash balance in the following funds Solid Waste: $ 4,511,903 Liquid Waste: $ 8,426,005 Sewer Construction: $ 100,000 Facilities Revolving: $ 1,570,938 Committee Recommendation Not applicable Public Notice Process Copies of this report are on file with the entire agenda packet at District Headquarters. Alternative Actions 1. Refer the matter back to staff Attachments 1. Balance Sheet as of January 31, 2010 2. Revenue Analysis Report for the period of January 2010 3. Expense vs. Budget Report for the period of January 2010 • • General Ledger Balance Sheet COSTA 9WE5A SAXITARTOISTRICT 19 - - -an Independent Speciid oistrict User; tgonzalez Printed: 02/02/2010 - 1:09 P Period Ending 7 Fiscal Period 7, 2010 Description Amount Solid Waste Fund Assets Cash in Bank 4,511,902.75 Charges/Taxes Receivable 83,793.59 Total Assets 4,595,696.34 Liabilities Compensated Absences Payable 6,378.06 Deferred Revenue 8,926.67 l � �J Total Liabilities 15,304.73 Fund - Balance Reserved for Life Insurance 25,000.00 Reserve for Operating 807,000.00 Unreserved Undesignated RE 3,181,511.48 Total Fund - Balance 4,013,511.48 Retained Earnings: 566,880.13 Total Fund Balance and Retained Earnings: 4,580,391.61 Total Liabilities, Fund - Balance and Retained Earnings: 4,595,696.34 GL - Balance Sheet ( 02/02/2010 - 1:09 PM ) Page 1 Description Amount Liquid Waste Fund to Assets Cash In Bank 8,426,004.53 Petty Cash /Change Funds 700.00 Accounts Receivable 104,855.88 Charges /Taxes Receivable 51,912.18 Land 77,964.00 Property Rights 4,025.00 Building & Structures 1,340,797.29 Subsurface Sewer Lines 26,632,870.05 Office Furniture & Equipment 299,853.45 Machinery & Equipment 618,203.35 Vehicles 216,313.81 Construction In Progress 345,941.74 Accumulated Deprec - Vehicles (76,757.25) Accumulated Deprec - Buildings (445,945.06) Accum Deprec - Subsurface Line (12,411,864.34) Accumulated Deprec - Office Eq (76,988.29) Accumulated Deprec - Equipment (324,613.55) Total Assets 24,783,272.79 Liabilities Accounts Payable 822.09 Compensated Absences Payable 51,759.11 Retention's Payable 122,086.72 PERS Medical 6,053.18 Dental Insurance 687.5 Vision Insurance 22.0 Employee Insurance 737.43 Total Liabilities 182,168.14 Fund - Balance Reserved for Capital Outlay 1,294,514.00 Reserved for Sinking Fund 1,895,805.00 Reserved for Earthgke/Emergncy 1,000,000.00 Rsrvd for Impvmnt to Tmsf Swr 1,300,000.00 Investment in Fixed Assets 16,199,800.20 Reserve for Operating 287,000.00 Unreserved Undesignated RE 626,420.27 Total Fund - Balance 22,603,539.47 GL - Balance Sheet ( 02/02/2010 - 1:09 PM ) Page 2 Description 0 Retained Earnings: • Total Fund Balance and Retained Earnings: Total Liabilities, Fund - Balance and Retained Earnings: Amount 1 ,997,565.18 24,601,104.65 24,783,272.79 GL - Balance Sheet ( 02/02/2010 - 1:09 PM ) Page 3 Description Amount Sewer Construction Fund Assets Cash and Investments 100,000.00 Total Assets 100,000.00 Liabilities Deposits Payable 100,000.00 Total Liabilities 100,000.00 Retained Earnings: 0.00 Total Fund Balance and Retained Earnings: 0.00 Total Liabilities, Fund - Balance and Retained Earnings: 100,000.00 • • GL - Balance Sheet ( 02/02/2010 - 1:09 PM ) Page 4 0 Description Amount • Facilities Revolving Fund Assets Cash and Investments 1,570,938.27 Land 901,691.41 Construction In Progress 248,570.34 Total Assets 2,721,200.02 Fund - Balance Reserved for Capital Outlay 38,196.56 Investment in Fixed Assets 1,150,261.75 Secured Retained Earnings 2,056,526.07 Total Fund - Balance 3,244,984.38 Retained Earnings: (523,784.36) Total Fund Balance and Retained Earnings: 2,721,200.02 Total Liabilities, Fund - Balance and Retained Earnings: 2,721,200.02 0 GL - Balance Sheet ( 02/02/2010 - 1:09 PM ) Page 5 • 0 i General Ledger Revenue Analysis COSTA WESA SiWITARTDISTRICT are Independent SpeeiaCoistrict User: tgonzalez Printed: 02/02/2010 - 1:09 P Period 7, 2010 Account Number Description Budgeted Revenue Period Revenue YTD Revenue Uncollected Balance Percent Received 10 Solid Waste Fund 10- 000000 -3000 Charges for Services 3,000.00 0.00 1,177.69 1,822.31 39.26 10- 000000 -3001 Secured Property Tax 0.00 7,127.52 98,733.53 (98,733.53) 0.00 10- 000000 -3002 Unsecured Property Tax 0.00 2,759.30 7,507.91 (7,507.91) 0.00 10- 000000 -3003 Supplemental Property Tax 0.00 238.46 955.40 (955.40) 0.00 10- 000000 -3004 Homeowner Taxes 0.00 0.00 0.00 0.00 0.00 10- 000000 -3005 Misc- Delq/Penalty/PY Tx 0.00 1,428.65 7,348.59 (7,348.59) 0.00 10- 000000 -3006 Public Utility 0.00 0.00 0.00 0.00 0.00 10- 000000 -3007 Customer Refunds 0.00 0.00 0.00 0.00 0.00 10- 000000 -3100 Licenses & Permits 0.00 0.00 0.00 0.00 0.00 10- 000000 -3300 Investment Earnings 45,000.00 2,465.86 16,740.20 28,259.80 37.20 10- 000000 -3310 Fair Market Value Adjustment 0.00 0.00 (11,977.62) 11,977.62 0.00 10- 000000 -3400 From Other Agencies 0.00 0.00 0.00 0.00 0.00 10- 000000 -3405 Grants 0.00 142,143.69 156,192.06 (156,192.06) 0.00 10- 000000 -3510 Additional Container Charge 115,000.00 0.00 29,875.91 85,124.09 25.98 10- 000000 -3525 Other Charges for Services 0.00 0.00 0.00 0.00 0.00 10- 000000 -3600 Annual Charge 5,140,000.00 126,689.15 2,889,478.94 2,250,521.06 56.22 10- 000000 -3700 Contributions 25,000.00 0.00 25,855.00 (855.00) 10142 10- 000000 -3725 Other Reimbursements 0.00 240.00 2,260.00 (2,260.00) 0.00 10 Totals: 5,328,000.00 283,092.63 3,224,147.61 2,103,852.39 60.51 20 Liquid Waste Fund 20- 000000 -3000 Charges For Services 10,000.00 0.00 18,106.49 (8,106.49) 181.06 20- 000000 -3007 Customer Refund 0.00 0.00 0.00 0.00 0.00 20- 000000 -3100 Sewer Permits 10,000.00 220.00 2,280.00 7,720.00 22.80 20- 000000 -3300 Investment Earnings 85,000.00 9,440.32 41,887.51 43,112.49 49.28 20- 000000 -3310 Fair Market Adjustment 0.00 0.00 (18,751.24) 18,751.24 0.00 20- 000000 -3400 From Other Agencies 1,147,125.00 0.00 534.50 1,146,590.50 0.05 20- 000000 -3500 Permits /Inspection Fees 25,000.00 0.00 3,520.00 21,480.00 14.08 20- 000000 -3505 OCSD Fees -CMSD Share 0.00 0.00 1,468.73 (1,468.73) 0.00 20- 000000 -3515 Sale of Maps & Publications 0.00 0.00 10.00 (10.00) 0.00 20- 000000 -3525 Other Charges for Services 0.00 0.00 0.00 0.00 0.00 GL - Revenue Analysis ( 02/02/2010 - 1:09 PM ) Page l Account Number Description Budgeted Revenue Period Revenue YTD Revenue Uncollected Balance Percent Received 20- 000000 -3600 Annual Charge 4,994,000.00 144,286.86 2,857,724.46 2,136,275.54 57.22 20- 000000 -3700 Contributions 0.00 0.00 1,300,000.00 (1,300,000.00) 0.00 20- 000000 -3725 Other Reimbursements 0.00 0.00 500.00 (500.00) 0.00 20- 000000 -3995 Transfer In 0.00 0.00 0.00 0.00 0.00 20 Totals: 6,271,125.00 153,947.18 4,207,280.45 2,063,844.55 67.09 21 Sewer Construction Fund 21- 000000 -3300 Investment Earnings 0.00 0.00 0.00 0.00 0.00 21- 000000 -3310 Fair Market Value Adj 0.00 0.00 0.00 0.00 0.00 21 Totals: 0.00 0.00 0.00 0.00 0.00 30 Facilities Revolving Fund 30- 000000 -3210 Fixture Fees 0.00 0.00 4,192.50 (4,192.50) 0.00 30- 000000 -3220 Sewer Connection Fees 0.00 0.00 0.00 0.00 0.00 30- 000000 -3300 Investment Earnings 0.00 2,497.21 13,255.11 (13,255.11) 0.00 30- 000000 -3310 Fair Market Value Adjustment 0.00 0.00 (6,143.29) 6,143.29 0.00 30- 000000 -3340 Rental Revenue 0.00 0.00 0.00 0.00 0.00 30- 000000 -3525 Other Charges for Services 0.00 0.00 0.00 0.00 0.00 30- 000000 -3995 Transfer In 463,790.00 0.00 0.00 463,790.00 0.00 30 Totals: 463,790.00 2,497.21 11,304.32 452,485.68 2.44 Report Totals: 12,062,915.00 439,537.02 7,442,732.38 4,620,182.62 61.70 GL - Revenue *sis ( 02/02/2010 - 1:09 PM ) 0 0 Page 2 i • 0 General Ledger Expenses vs. Budget COSTA 9YE,S14 SJW1TJgRT )ISTXICT M Independent Special District User: tgonzalez Printed: 02/02/2010 - 1:09 P Period 7, 2010 Account Number Description Budgeted Amount Period Amount YTD Amount YTD Var Encumbered Amt Available % Available 10 Solid Waste Fund 10- 100000 Solid Administration E01 Salary & Benefits 10- 100000 -4001 Regular Salaries 88,900.00 4,737.56 37,442.07 51,457.93 0.00 51,457.93 57.88 10- 100000 -4002 Part-Time Salaries 40,500.00 1,395.00 12,263.64 28,236.36 0.00 28,236.36 69.71 10- 100000 -4003 Board Salaries 8,000.00 419.90 3,138.20 4,861.80 0.00 4,861.80 60.77 10- 100000 -4005 Overtime 4,700.00 0.00 533.06 4,166.94 0.00 4,166.94 88.65 10- 100000 -4007 Auto Allowance 0.00 18.46 18.46 (18.46) 0.00 (18.46) 0.00 10- 100000 -4008 Cell Phone Allowance 0.00 92.29 350.70 (350.70) 0.00 (350.70) 0.00 10- 100000 -4040 Compensated Absences 1,600.00 0.00 0.00 1,600.00 0.00 1,600.00 100.00 10- 100000 -4100 Cafeteria Plan 11,600.00 599.25 4,819.57 6,780.43 0.00 6,780.43 58.45 10- 100000 -4105 Medicare - Employer 2,300.00 103.18 837.19 1,462.81 0.00 1,462.81 63.60 10-100000-4110 FICA - Employer 500.00 116.64 598.28 (98.28) 0.00 (98.28) (19.65) 10-100000-4115 PERS - Employer 17,500.00 597.20 5,377.07 12,122.93 0.00 12,122.93 69.27 10- 100000 -4120 PERS - Employee 9,700.00 331.62 2,986.25 6,713.75 0.00 6,713.75 69.21 10- 100000 -4125 Deferred Medical - RHS 900.00 47.40 368.38 531.62 0.00 531.62 59.06 10- 100000 -4130 Benefits Admin Costs 300.00 4.97 57.19 242.81 0.00 242.81 80.93 10- 100000 -4135 Unemployment 0.00 0.00 0.00 0.00 0.00 0.00 0.00 10- 100000 -4140 Workers' Compensation 2,000.00 0.00 1,041.87 958.13 0.00 958.13 47.90 Salary & Benefits 188,500.00 8,463.47 69,831.93 118,668.07 0.00 118,668.07 62.95 E03 Professional Services 10- 100000 -4200 Professional Services 7,125.00 0.00 3,149.30 3,975.70 0.00 3,975.70 55.79 10- 100000 -4205 District Manager 39,000.00 1,232.00 35,805.00 3,195.00 0.00 3,195.00 8.19 10- 100000 -4210 Legal Services 35,500.00 3,534.36 17,837.01 17,662.99 0.00 17,662.99 49.75 10- 100000 -4220 Fiscal Services 35,890.00 4,325.30 10,762.50 25,127.50 0.00 25,127.50 70.01 10- 100000 -4225 Medical /Employment Services 100.00 3.20 12.20 87.80 0.00 87.80 87.80 10- 100000 -4300 Contract Services 4,900.00 0.00 208.69 4,691.31 0.00 4,691.31 95.74 10- 100000 -4320 Container Collection Costs 16,100.00 0.00 4,182.63 11,917.37 0.00 11,917.37 74.02 Professional Services 138,615.00 9,094.86 71,957.33 66,657.67 0.00 66,657.67 48.08 E05 Recycling & Disposal 10-100000-4310 Trash Hauler 2,362,000.00 393,700.51 1,377,622.17 984,377.83 0.00 984,377.83 41.67 GL - Expenses vs Budget ( 02/02/2010 - 1:09 PM ) Page 1 Account Number Description Budgeted Amount Period Amount YT,D Amount YTD Var Encumbered Amt Available % Available 10- 100000 -4315 Recycling /Disposal 2,158,000.00 175,039.38 1,047,594.36 1,110,405.64 0.00 1,110,405.64 51.45 Recycling & Disposal 4,520,000.00 568,739.89 2,425,216.53 2,094,783.47 0.00 2,094,783.47 46.34 E10 Other Contract Services 10- 100000 -4305 County Collection Fee 15,400.00 0.00 15,428.68 (28.68) 0.00 (28.68) (0.18) 10- 100000 -4325 Election Costs 0.00 0.00 0.00 0.00 0.00 0.00 0.00 10- 100000 -4330 Building Maintenance 1,450.00 180.35 951.06 498.94 0.00 498.94 34.41 10-100000-4335 Equipment Maintenance 2,670.00 81.65 1,895.35 774.65 0.00 774.65 29.01 Other Contract Services 19520.00 262.00 18,275.09 1,244.91 0.00 1,244.91 6.37 E15 Materials & Supplies 10-100000-4400 Office Supplies 2,000.00 41.96 442.07 1,557.93 0.00 1,557.93 77.89 10- 100000 -4405 MultiMed /Blueprint /Copies /Sub 1,210.00 4.47 161.57 1,048.43 0.00 1,048.43 86.64 10-100000-4410 Postage 7,960.00 7.72 6,179.70 1,780.30 0.00 1,780.30 22.36 10- 100000 -4420 Public Info /Ed /Community Prom 22,725.00 412.57 15,030.29 7,694.71 0.00 7,694.71 33.86 10- 100000 -4425 Small Tools /Equipment 1,000.00 0.00 0.00 1,000.00 0.00 1,000.00 100.00 Materials & Supplies 34,895,00 466.72 21,813.63 13,081.37 0.00 13,081.37 37.48 E20 Professional Development 10- 100000 -4500 Prof Membership /Dues 9,310.00 111.00 8,059.40 1,250.60 0.00 1,250.60 13.43 10- 100000 -4505 Stal'I'Development 1,030.00 9.70 572.19 457.81 0.00 457.81 44.44 10-100000-4510 Travel /Meals /Lodging 2,390.00 50.44 748.27 1,641.73 0.00 1,641.73 68.69 10- 100000 -4520 Mileage Reimbursement 1,500.00 629.15 1,371.37 128.63 0.00 128.63 8.57 Professional Development 14,230.00 800.29 10,751.23 3,478.77 0.00 3,478.77 24.44 E25 Liability Insurance 10- 100000 -4550 Liability Insurance 6,500.00 0.00 5,751.75 748.25 0.00 748.25 11.51 Liability Insurance 6,500.00 0.00 5,751.75 748.25 0.00 748.25 11.51 E30 Utilities 10-100000-4600 Telephone 750.00 100.73 378.29 371.71 0.00 371.71 49.56 10- 100000 -4605 Cellular Service 650.00 0.00 56.44 593.56 0.00 593.56 91.31 10- 100000 -4610 Gas - Building 75.00 4.56 12.49 62.51 0.00 62.51 83.34 10-100000-4615 Water - Building 200.00 19.00 64.35 135.65 0.00 135.65 67.82 10- 100000 -4620 Electric - Building 900.00 42.52 449.54 450.46 0.00 450.46 50.05 Utilities 2,575.00 166.81 961.11 1,613.89 0.00 1,613.89 62.67 GL - Expenses 0dget ( 02/02/2010 - 1:09 PM ) • 0 Page 2 GL - Expenses vs Budget ( 02/02/2010 - 1:09 PM ) Page 3 Amt Available *ailable Account Nu* Description Budgeted Amount Period Amos YTD Amount YTD Var Encumbered E40 Fixed Assets 10- 100000 -4700 Depreciation 0.00 0.00 0.00 0.00 0.00 0.00 0.00 10- 100000 -4750 Gain /Loss Disposal of Asset 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Fixed Assets 0.00 0.00 0.00 0.00 0.00 0.00 0.00 E45 Debt Service 10- 100000 -4800 Principal Payment 0.00 0.00 0.00 0.00 0.00 0.00 0.00 10- 100000 -4850 Interest Payment 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Debt Service 0.00 0.00 0.00 0.00 0.00 0.00 0.00 E50 Other Financing Uses 10- 1000004900 Other Financing Uses 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Other Financing Uses 0.00 0.00 0.00 0.00 0.00 0.00 0.00 E55 Non Operating - Other 10- 100000 -4950 Non - Operating Expense 0.00 0.00 0.00 0.00 0.00 0.00 0.00 10- 100000 -4990 Contingency 97,775.00 0.00 0.00 97,775.00 0.00 97,775.00 100.00 Non Operating - Other 97,775.00 0.00 0.00 97,775.00 0.00 97,775.00 100.00 10- 100000 Totals: 5,022,610.00 587,994.04 2,624,558.60 2.398,051.40 0.00 2,398,051.40 47.74 10- 100001 Sharps Program E60 Special Programs 10- 100001 -4300 Sharps Program 24,000.00 1,738.53 14,944.57 9,055.43 0.00 9,055.43 37.73 Special Programs 24,000.00 1,738.53 14,944.57 9,055.43 0.00 9,055.43 37.73 10- 10000 1 Totals: 24,000.00 1,738.53 14,944.57 9,055.43 0.00 9,055.43 37.73 10- 100002 Household Hazardous Waste E60 Special Programs 10- 100002 -4300 Household Hazardous Waste 25,000.00 727.50 15,270.93 9,729.07 0.00 9,729.07 38.91 GL - Expenses vs Budget ( 02/02/2010 - 1:09 PM ) Page 3 Account Number Description Budgeted Amount Period Amount YTD Amount VTD Var Encumbered Anrt Available % Available GL - Expenses 0get ( 02/02/2010 - 1:09 PM ) 727.50 Special Programs 25,000.00 0.00 10- 100002 Totals: 25.000.00 10- 100003 Telephone Book Recycling 9,729.07 E60 Special Programs 9,729.07 10- 100003 -4420 Telephone Bk Recycling Progra 17,000.00 14,831.22 Special Programs 17,000.00 14,831.22 10- 100003 Totals: 17,000.00 10- 100004 Large Item Pick -up E60 Special Programs 87.24 10-100004-4310 Anti- scavenging 5,000.00 Special Programs 5,000.00 87.24 10- 100004 Totals: 5,000.00 10- 100005 Used Tire Roundup 0.00 E60 Special Programs 0.00 10- 100005 -4300 Used Tire Roundup 1,200.00 0.00 Special Programs 1,200.00 0.00 10- 100005 Totals: 1,200.00 10- 100008 Educational Tours 5,000.00 E60 Special Programs 324.60 10- 100008 -4420 Educational Tours 2,500.00 875.40 Special Programs 2,500.00 GL - Expenses 0get ( 02/02/2010 - 1:09 PM ) 727.50 15,270.93 9,729.07 0.00 9,729.07 38.91 727.50 15,270.93 9,729.07 0.00 9,729.07 38.91 0.00 2,168.78 14,831.22 0.00 14,831.22 87.24 0.00 2,168.78 14,831.22 0.00 14,831.22 87.24 0.00 2,168.78 14,831.22 0.00 14,831.22 87.24 0.00 0.00 5,000.00 0.00 5,000.00 100.00 0.00 0.00 5,000.00 0.00 5,000.00 100.00 0.00 0.00 5,000.00 0.00 5,000.00 100.00 0.00 324.60 875.40 0.00 875.40 72.95 0.00 324.60 875.40 0.00 875.40 72.95 0.00 324.60 875.40 0.00 875.40 72.95 0.00 0.00 2,500.00 0.00 2,500.00 100.00 0.00 0.00 2,500.00 0.00 2,500.00 100.00 • 0 Page 4 Account Nue Description Budgeted Amount Period Amoo YTD Amount YTD Var Encumbered Amt Available Saflable GL - Expenses vs Budget ( 02/02/2010 - 1:09 PM ) Page 5 10- 100008 Totals: 2,500.00 0.00 0.00 2,500.00 0.00 2,500.00 100.00 10 Totals: 5,097,310.00 590,460.07 2,657,267.48 2,440,042.52 0.00 2,440,042.52 47.86 20 Liquid Waste Fund 20- 200000 Liquid Administration E01 Salary & Benefits 20- 200000 -4001 Regular Salaries 542,900.00 42,638.37 258,721.75 284,178.25 0.00 284,178.25 52.34 20- 200000 -4002 Part-Time Salaries 15,700.00 155.00 4,937.56 10,762.44 0.00 10,762.44 68.55 20- 200000 -4003 Board Salaries 71,700.00 3,779.10 28,243.80 43,456.20 0.00 43,456.20 60.60 20- 200000 -4005 Overtime 12,900.00 0.00 4,797.72 8,102.28 0.00 8,102.28 62.80 20- 200000 -4007 Auto Allowance 2,160.00 166.16 166.16 1,993.84 0.00 1,993.84 92.30 20- 200000 -4008 Cell Phone Allowance 5,000.00 461.51 1,938.34 3,061.66 0.00 3,061.66 61.23 20- 200000 -4040 Compensated Absences 12,300.00 0.00 0.00 12,300.00 0.00 12,300.00 100.00 20- 200000 -4100 Cafeteria Plan 72,300.00 5,393.25 33,436.55 38,863.45 0.00 38,863.45 53.75 20- 200000 -4105 Medicare - Employer 10.300.00 740.39 4,682.78 5,617.22 0.00 5,617.22 54.53 20- 2000004110 FICA - Employer 5,400.00 244.37 2,017.65 3,382.35 0.00 3,382.35 62.63 20- 2000004115 PERS - Employer 73,300.00 6,024.74 36,220.31 37,079.69 0.00 37,079.69 50.58 20- 200000 -4120 PERS - Employee 40,700.00 2,984.70 17,848.42 22,851.58 0.00 22,851.58 56.14 20- 2000004125 Deferred Medical - RNS 5,500.00 426.33 2,540.74 2,959.26 0.00 2,959.26 53.80 20- 200000 -4130 Benefits Admin Costs 3,420.00 44.78 514.29 2,905.71 0.00 2,905.71 84.96 20- 2000004135 Unemployment 0.00 0.00 0.00 0.00 0.00 0.00 0.00 20- 200000 -4140 Workers' Compensation 4,000.00 0.00 1,979.56 2,020.44 0.00 2,020.44 50.51 Salary & Benefits 877,580.00 63,058.70 398,045.63 479,534.37 0.00 479,534.37 54.64 E03 Professional Services 20- 200000 -4200 Professional Services 64,375.00 0.00 31,398.68 32,976.32 0.00 32,976.32 51.22 20- 200000 -4205 District Manager 72,000.00 2,288.00 66,495.00 5,505.00 0.00 5,505.00 7.64 20- 200000 -4210 Legal Services 100,000.00 8,986.64 58,776.09 41,223.91 0.00 41,223.91 41.22 20- 200000 -4215 Engineering/Architectual Sery 90,000.00 7,383.00 44,780.50 45,219.50 0.00 45,219.50 50.24 20- 200000 -4216 Plan Ck /Inspection- Inside 102,000.00 11,441.75 48,426.00 53,574.00 0.00 53,574.00 52.52 20- 200000 -4217 Plan Ck /Inspection- Outside 10,000.00 498.75 7,445.00 2,555.00 0.00 2,555.00 25.55 20- 2000004218 Plan Ck/Inspection -Swr Lateral 40,000.00 1,160.50 17,786.25 22,213.75 0.00 22,213.75 55.53 20- 200000 -4220 Fiscal Services 46,580.00 8,032.70 19,987.50 26,592.50 0.00 26,592.50 57.09 20- 2000004225 Medical/Employment Services 500.00 28.80 109.80 390.20 0.00 390.20 78.04 20- 200000 -4300 Contract Services 3,100.00 108.50 1,195.56 1,904.44 0.00 1,904.44 61.43 Professional Services 528,555.00 39,928.64 296,400.38 232,154.62 0.00 232,154.62 43.92 E10 Other Contract Services 20- 2000004305 County Collection Fee 15,000.00 0.00 15,285.53 (285.53) 0.00 (285.53) (1.90) 20- 200000 -4325 Election Costs 0.00 0.00 0.00 0.00 0.00 0.00 0.00 GL - Expenses vs Budget ( 02/02/2010 - 1:09 PM ) Page 5 Account Number Description Budgeted Amount Period Amount YTD Amount YTD Var Encumbered Amt Available % Available 20- 200000 -4330 Building Maintenance 13,050.00 1,622.97 8,559.05 4,490.95 0.00 4,490.95 34.41 20- 200000 -4335 Equipment Maintenance 24,030.00 734.77 18,841.97 5,188.03 0.00 5,188.03 21.59 Other Contract Services 52,080.00 2,357.74 42,686.55 9,393.45 0.00 9,393.45 18.03 E15 Materials & Supplies 20- 200000 -4400 Office Supplies 1 6,000.00 377.41 3,978.13 12,021.87 0.00 12,021.87 75.13 20- 200000 -4405 MultiMed /Blueprints /Copies /Su 5,840.00 732.87 2,218.73 3,621.27 0.00 3,621.27 62.00 20- 200000 -4410 Postage 15,640.00 5,069.49 6,652.69 8,987.31 0.00 8,987.31 57.46 20- 200000 -4420 Public Info /Ed /Community Prom 18,375.00 0.00 2,373.54 16,001.46 0.00 16,001.46 87.08 20- 200000 -4425 Small Tools /Equipment 2,000.00 0.00 0.00 2,000.00 0.00 2,000.00 100.00 Materials & Supplies 57.855.00 6,179.77 15,223.09 42,631.91 0.00 42,631.91 73.68 E20 Professional Development 20- 200000 -4500 Prof Membership /Dues 36,360.00 6,776.00 29,524.86 6,835.14 0.00 6,835.14 18.79 20- 2000004505 Staff Development 9,270.00 87.30 4,659.56 4.610.44 0.00 4,610.44 49.73 20-200000-4510 Travel /Meals /Lodging 36,110.00 2,565.76 11,485.11 24,624.89 0.00 24,624.89 68.19 20- 200000 -4520 Mileage Reimbursement 250.00 69.90 205.68 44.32 0.00 44.32 17.72 Professional Development 81,990.00 9,498.96 45,875.21 36,114.79 0.00 36.114.79 44.04 E25 Liability Insurance 20- 200000 -4550 Liability Insurance 56,000.00 0.00 49,401.13 6,598.87 0.00 6.598.87 11.78 Liability Insurance 56,000.00 0.00 49,401.13 6,598.87 0.00 6,598.87 11.78 E30 Utilities 20- 200000 -4600 Telephone 6,500.00 906.54 3,404.67 3,095.33 0.00 3,095.33 47.62 20- 200000 -4605 Cellular Service 1,500.00 0.00 938.67 561.33 0.00 561.33 37.42 20- 2000004610 Gas - Building 500.00 41.19 112.52 387.48 0.00 387.48 77.49 20- 200000 -4615 Water- Building 2,000.00 171.00 579.15 1,420.85 0.00 1,420.85 71.04 20- 200000 -4620 Electric - Building 7,000.00 382.72 4,045.82 2,954.18 0.00 2,954.18 42.20 Utilities 17,500.00 1,501.45 9,080.83 8,419.17 0.00 8,419.17 48.11 E40 Fixed Assets 20- 200000 -4700 Depreciation 0.00 0.00 0.00 0.00 0.00 0.00 0.00 20- 200000 -4750 G/L On Disposal of Fixed Asset 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Fixed Assets 0.00 0.00 0.00 0.00 0.00 0.00 0.00 E50 Other Financing Uses GL - Expenses *get ( 02/02/2010 - 1:09 PM ) 0 0Page 6 GL - Expenses vs Budget ( 02/02/2010 - 1:09 PM ) Page 7 Aaflable Account Nus Description Budgeted Amount Period Amoo YTD Amount YTD Var Encumbered Amt Available 20- 200000 -4900 Other Financing Uses 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Other Financing Uses 0.00 0.00 0.00 0.00 0.00 0.00 0.00 E55 Non Operating - Other 20- 200000 -4950 Non Operating Expense 0.00 0.00 0.00 0.00 0.00 0.00 0.00 20- 200000 -4990 Contingency 0.00 0.00 0.00 0.00 0.00 0.00 0.00 20- 200000 -4995 Transfer Out 463,790.00 0.00 0.00 463,790.00 0.00 463,790.00 100.00 Non Operating - Other 463,790.00 0.00 0.00 463,790.00 0.00 463,790.00 100.00 20- 200000 Totals: 2,135,350.00 122,525.26 856,712.82 1,278,637.18 0.00 1,278,637.18 59.88 20- 200001 Sewer Maint E25 Liability Insurance 20-200001-4550 Swr Liability Insurance 10,000.00 468.46 9,223.90 776.10 0.00 776.10 7.76 Liability Insurance 10,000.00 468.46 9,223.90 776.10 0.00 776.10 7.76 E41 Sewer Maint - Salary/Benefit 20- 200001 -4001 Swr Maint - Regular Salaries 187,600.00 14,094.58 103,585.16 84,014.84 0.00 84,014.84 44.78 20- 200001 -4002 Swr Maint - PT Salaries 0.00 0.00 0.00 0.00 0.00 0.00 0.00 20- 200001 -4005 Swr Maint - Overtime 20,300.00 1,393.66 10,087.88 10,212.12 0.00 10,212.12 50.30 20- 200001 -4040 Compensated Absences 3,700.00 0.00 0.00 3,700.00 0.00 3,700.00 100.00 20-200001-4100 Swr Maint - Cafeteria Plan 28,800.00 2,397.00 15,987.99 12,812.01 0.00 12,812.01 44.48 20- 200001 -4105 Swr Maint- Medicare ER 3,300.00 238.88 1,737.64 1,562.36 0.00 1,562.36 47.34 20-200001-4115 Swr Maint - PERS ER 25,300.00 1,970.04 14,125.19 11,174.81 0.00 11,174.81 44.16 20- 200001 -4120 Swr Maint - PERS EE 14,100.00 986.64 7,074.21 7,025.79 0.00 7,025.79 49.82 20- 200001 -4125 Swr Maint - Def Medical RHS 1,900.00 140.96 1,010.68 889.32 0.00 889.32 46.80 20- 200001 -4130 Benefit Administration 500.00 0.00 74.34 425.66 0.00 425.66 85.13 20- 200001 -4135 Swr Maint - Unemployment 0.00 0.00 0.00 0.00 0.00 0.00 0.00 20- 200001 -4140 Swr Maint - Workers Comp 14,700.00 0.00 7,397.28 7,302.72 0.00 7,302.72 49.67 Sewer Maint - Salary/Benefit 300,200.00 21,221.76 161,080.37 139,119.63 0.00 139,119.63 46.34 E42 Sewer Maint Operations 20- 200001 -4300 Sewer Maint-Claims 0.00 0.00 0.00 0.00 0.00 0.00 0.00 20- 200001 -4305 Sewer Maint -Pump Stn Contract 100,000.00 176.00 7,733.26 92,266.74 0.00 92,266.74 92.26 20- 200001 -4320 Sewer Maint -Sewer Line Maint 275,000.00 0.00 11,400.00 263,600.00 0.00 263,600.00 95.85 20- 200001 -4335 Sewer Maint - Equipment Maint 75,000.00 1,091.51 20,589.21 54,410.79 360.00 54,050.79 72.06 20- 200001 -4350 Sewer Maint - Property Lease 0.00 0.00 0.00 0.00 0.00 0.00 0.00 20- 2000014359 Sewer Maint -Sewer Line Tele 25,000.00 0.00 0.00 25,000.00 0.00 25,000.00 100.00 20- 2000014380 Sewer Maint -FOG Prog Contract 100,000.00 8,249.21 41,197.81 58,802.19 0.00 58,802.19 58.80 GL - Expenses vs Budget ( 02/02/2010 - 1:09 PM ) Page 7 Account Number Description Budgeted Amount Period Amount YTD Amount YTD Var Encumbered Amt Available % Available 20-200001-4405 Sewer Maint- MultiMed /Blueprin 0.00 0.00 0.00 0.00 0.00 0.00 0.00 20- 200001 -4425 Sewer Maint-Small Tools /Eq 40,000.00 235.80 2,175.98 37,824.02 0.00 37,824.02 94.56 20- 200001 -4430 Sewer Maint - Material /Supplies 40,000.00 3,332.30 12,954.12 27,045.88 0.00 27,045.88 67.61 20- 200001 -4505 Sewer Maint-Staff Development 5,400.00 50.00 408.00 4,992.00 0.00 4,992.00 92.44 20- 200001 -4510 Sewer Maint-Travel/Meals 500.00 0.00 50.00 450.00 0.00 450.00 90.00 20-200001-4625 Sewer Maint- Water Pumps 4,000.00 154.20 613.37 3,386.63 0.00 3,386.63 84.66 20-200001-4630 Sewer Maint- Electric Pumps 98.000.00 10.835.50 39,184.77 58,815.23 0.00 58,815.23 60.01 Sewer Maint Operations 762.900.00 24,124.52 136,306.52 626,593.48 360.00 626,233.48 82.08 E65 Capital Improvement Program 20- 200001 -4995 Capital Outlay 154,369.00 56,827.31 84,636.77 69,732.23 35,715.57 34,016.66 22.03 Capital Improvement Program 154,369.00 56,827.31 84,636.77 69,732.23 35,715.57 34,016.66 22.03 20- 200001 Totals: 1,227,469.00 102.642.05 391247.56 836.221.44 36,075.57 800,145.87 65.18 20- 200100 Capital Outlay E65 Capital Improvement Program 20- 200100 -4995 Capital Outlay 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Capital Improvement Program 0.00 0.00 0.00 0.00 0.00 0.00 0.00 20- 200100 Totals: 0.00 0.00 0.00 0.00 0.00 0.00 0.00 20- 200429 Bristol Pump Station E65 Capital Improvement Program 20- 2004294300 Bristol St Pump - Contract Labor 1. 147, 125.00 8,412.00 543,141.40 603,983.60 0.00 603.983.60 52.65 Capital Improvement Program 1,147,125.00 8,412.00 543,141.40 603,983.60 0.00 603,983.60 52.65 20- 200429 Totals: 1,147,125.00 8,412.00 543,141.40 603,983.60 0.00 603,983.60 52.65 20- 200449 Sinking Fd /Future Sewer Lines E65 Capital Improvement Program 20- 200449 -4300 Sinking fund #149 /Swr -Contr Sv 0.00 0.00 0.00 0.00 0.00 0.00 0.00 GL - Expenses v get ( 02/02/2010 - 1:09 PM) Page 8 0 Account Nue Description Budgeted Amount Period Amoulo YTD Amount YTD Var Encumbered Amt Available Aailable Capital Improvement Program 0.00 0.00 0.00 0.00 0.00 0.00 0.00 20- 200449 Totals: 0.00 0.00 0.00 0.00 0.00 0.00 0.00 20- 200456 Earthquake/Major Emer Swr Rep E65 Capital Improvement Program 20- 200456 -4300 Earthquake/Emergency -Contr Sv 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Capital Improvement Program 0.00 0.00 0.00 0.00 0.00 0.00 0.00 20- 200456 Totals: 0.00 0.00 0.00 0.00 0.00 0.00 0.00 20- 200459 Televising Swr Lines E65 Capital Improvement Program 20- 200459 -4300 Televising Swr#159 -Contr Svc 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Capital Improvement Program 0.00 0.00 0.00 0.00 0.00 0.00 0.00 20- 200459 Totals: 0.00 0.00 0.00 0.00 0.00 0.00 0.00 20- 200464 Misc. Swr Work/Manhole Adj. E65 Capital Improvement Program 20- 200464 -4300 Misc Swr Wk#164 -Cunt Svc 279,600.00 1,238.56 67,870.13 211,729.87 6,216.00 205,513.87 73.50 Capital Improvement Program 279,600.00 1,238.56 67,870.13 211,729.87 6,216.00 205,513.87 73.50 20- 200464 Totals: 279,600.00 1,238.56 67,870.13 211,729.87 6,216.00 205,513.87 73.50 20- 200468 Tustin Pump Stn Remodel E65 Capital Improvement Program 20- 2004684300 Irvine/Tustin Pump Stn #168 -Con 4,443.00 0.00 0.00 4,443.00 0.00 4,443.00 100.00 Capital Improvement Program 4,443.00 0.00 0.00 4,443.00 0.00 4,443.00 100.00 GL - Expenses vs Budget ( 02/02/2010 - 1:09 PM) Page 9 Account Number Description Budgeted Amount Period Amount YTD Amount YTD Var Encumbered Amt Available % Available GL - Expenses VOget ( 02/02/2010 - 1:09 PM ) 0.00 20- 200468 Totals: 4,443.00 20- 200470 Emerg Response Plan Pump Stn E65 Capital Improvement Program 5,080.00 20- 200470 -4300 Emcrg Pump Plan -Contr Svc 11,280.00 Capital Improvement Program 11,280.00 5,080.00 20- 200470 Totals: 11,280.00 20- 200471 Irvine PS Free Main #171 54.96 E65 Capital Improvement Program 6,200.00 20- 200471 -4300 Irvine PS Free Main #171 -Contr 721,122.00 54.96 Capital Improvement Program 721,122.00 721,122.00 20- 200471 Totals: 721.122.00 20- 200575 OCSD Grant 0.00 E65 Capital Improvement Program 0.00 20- 2005754300 OCSD Grant #175 - Cont Svc 10,000.00 0.00 Capital Improvement Program 10.000.00 0.00 20- 200575 Totals: 10,000.00 20- 200601 Wcstside Abandonment #101 2,402.58 E65 Capital Improvement Program 7,597.42 20- 200601 -4300 Wcstside Aband #101 -Cont Svc 749,941.00 2,402.58 Capital improvement Program 749,941.00 7,597.42 20- 200601 Totals: 749,941.00 GL - Expenses VOget ( 02/02/2010 - 1:09 PM ) 0.00 0.00 4,443.00 0.00 4,443.00 100.00 0.00 5,080.00 6,200.00 0.00 6,200.00 54.96 0.00 5,080.00 6,200.00 0.00 6,200.00 54.96 0.00 5,080.00 6,200.00 0.00 6,200.00 54.96 0.00 0.00 721,122.00 0.00 721,122.00 100.00 0.00 0.00 721,122.00 0.00 721,122.00 100.00 0.00 0.00 721,122.00 0.00 721,122.00 100.00 0.00 2,402.58 7,597.42 0.00 7,597.42 75.97 0.00 2,402.58 7,597.42 0.00 7,597.42 75.97 0.00 2,402.58 7,597.42 0.00 7,597.42 75.97 0.00 0.00 749,941.00 0.00 749,941.00 100.00 0.00 0.00 749,941.00 0.00 749,941.00 100.00 0.00 0.00 749,941.00 0.00 749.941.00 100.00 �age 10 GL - Expenses vs Budget ( 02/02/2010 - 1:09 PM ) Page 11 YTD Var Encumbered Amt Available "Aailable Account Nume Description Budgeted Amount Period Amoo YTD Amount 20- 200678 Replace Sewer Bypass #178 E65 Capital Improvement Program 20- 200678 -4300 Rep Swr Bypass #178 -Contr Svc 75,000.00 0.00 0.00 75,000.00 45,436.84 29,563.16 39.41 Capital Improvement Program 75,000.00 0.00 0.00 75,000.00 45,436.84 29,563.16 39.41 20- 200678 Totals: 75,000.00 0.00 0.00 75,000.00 45,436.84 29,563.16 39.41 20- 200679 Building/Grounds Fund #179 E65 Capital Improvement Program 20- 200679 -4300 Bld/Grds Fund #179 -Contr Svc 3,753.00 0.00 1,412.66 2,340.34 0.00 2,340.34 62.35 Capital Improvement Program 3,753.00 0.00 1,412.66 21340.34 0.00 2,340.34 62.35 20- 200679 Totals: 3,753.00 0.00 1,412.66 2,340.34 0.00 2,340.34 62.35 20- 200780 Fog #180 E65 Capital Improvement Program 20- 200780 -4300 Fog Program# 180 - Contract Svc 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Capital Improvement Program 0.00 0.00 0.00 0.00 0.00 0.00 0.00 20- 200780 Totals: 0.00 0.00 0.00 0.00 0.00 0.00 0.00 20- 200882 Analysis of CCTV Results #182 E65 Capital Improvement Program 20- 200882 -4300 Analysis of CCTV Results #182 125,000.00 12,495.00 82,487.26 42,512.74 0.00 42,512.74 34.01 Capital Improvement Program 125,000.00 12,495.00 82,487.26 42,512.74 0.00 42,512.74 34.01 20- 200882 Totals: 125,000.00 12,495.00 82,487.26 42,51174 0.00 42,512.74 34.01 20- 200883 System Wide Repair Prog #183 E65 Capital Improvement Program 20- 200883 -4300 Systm Wide Repair Program #18 1,035,223.00 28,499.33 172,681.13 862,541.87 0.00 862,541.87 83.31 GL - Expenses vs Budget ( 02/02/2010 - 1:09 PM ) Page 11 Account Number Description Budgeted Amount Period Amount YTD Amount YTD Var Encumbered Amt Available % Available Capital Improvement Program 1,035,223.00 0.00 862,541.87 28,499.33 862,541.87 172,681.13 83.31 20- 200883 Totals: 1,035,223.00 28,499.33 172,681.13 862,541.87 0.00 862,541.87 83.31 20- 200886 Sewer Lateral Program #186 E65 Capital Improvement Program 20- 200886 -4300 Sewer Lateral Program #186 182,205.00 9,377.39 86,679.73 95,525.27 0.00 95,525.27 52.42 Capital Improvement Program 182,205.00 9,377.39 86,679.73 95,525.27 0.00 95,525.27 52.42 20- 200886 Totals: 182,205.00 9,377.39 86,679.73 95,525.27 0.00 95,525.27 52.42 20- 200888 GIs System # 188 E65 Capital Improvement Program 20- 200888 -4300 GIs System #188 Contr Svc 194,875.00 0.00 0.00 194,875.00 0.00 194,875.00 100.00 Capital Improvement Program 194,875.00 0.00 0.00 194,875.00 0.00 194,875.00 100.00 20- 200888 Totals: 194,875.00 0.00 0.00 194,875.00 0.00 194,875.00 100.00 20 Totals: 7,902,386.00 285,189.59 2,209.715.27 5,692,670.73 87,728.41 5,604,942.32 70.92 21 Sewer Construction Fund 21- 200000 Liquid Administration E55 Non Operating - Other 21-200000-4995 Transfer Out 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Non Operating - Other 0.00 0.00 0.00 0.00 0.00 0.00 0.00 21- 200000 Totals: 0.00 0.00 0.00 0.00 0.00 0.00 0.00 GL - Expenses v get ( 02/02/2010 - 1:09 PM) age 12 Account Numb Description Budgeted Amount Period AmounOYTD Amount YTD Var Encumbered Amt Available % Qlable Report Totals: 15,505,045.00 1,085,168.16 5,402,071.43 10,102,973.57 GL - Expenses vs Budget ( 02/02/2010 - 1:09 PM ) 0.00 0.00 0.00 0.00 21 Totals: 0.00 0.00 0.00 0.00 30 Facilities Revolving Fund 78.64 0.00 1,970,260.32 78.64 30- 200887 District Yard E65 Capital Improvement Program 30- 200887 -4300 District Yard 2,505,349.00 209,518.50 535,088.68 1,970,260.32 Capital Improvement Program 2,505,349.00 209,518.50 535,088.68 1,970,260.32 30- 200887 Totals: 2,505,349.00 209,518.50 535,088.68 1,970,260.32 30 Totals: 2,505,349.00 209,518.50 535,088.68 1,970,260.32 Report Totals: 15,505,045.00 1,085,168.16 5,402,071.43 10,102,973.57 GL - Expenses vs Budget ( 02/02/2010 - 1:09 PM ) 0.00 0.00 0.00 0.00 1,970,260.32 78.64 0.00 1,970,260.32 78.64 0.00 1,970,260.32 78.64 0.00 1,970,260.32 78.64 87,728.41 10,015,245.16 64.59 Page 13 P _t To: Board of Directors Meeting Date Item Number 02/25/10 V. D. 2. =�Ej ... an Independent Special District Via: Scott Carroll, General Manager` _ From: Marc Davis, District Treasurer Date: February 25, 2010 Subject: Treasurer's Report for the Month of January 2010 ie Summary Attached is the Treasurer's Report for the month of January 2010. As required by the District's Statement of Investment Policy, the Treasurer's report delineates all investment activity during the month. Staff Recommendation That the Board of Directors approves the Treasurer's Report for the month of January 2010 Analysis This report lists the types of securities held in the District's portfolio, the institutions from which the securities were purchased, maturity dates and interest rates as of January 31, 2010. The District's investments are in compliance with the Statement of Investment Policy adopted by the Board at the July 23, 2009 regular meeting, as well as the California Government Code. The market values in this report were provided by our third party custodian, Bank of New York, except for the Local Agency Investment Fund (LAIF). The market value of LAW was provided by the State Treasurer's Office. It does not represent the value of the underlying securities within the pool, but rather the par or cost amount, which is the amount the District is entitled to withdraw. This reporting practice is consistent with industry standard practices for similar funds. Board of Directors February 25, 2010 Page 2 of 2 _ The weighted average stated rate of return (current yield) for the District's investment portfolio as of January 31, 2010, was 1.330 %. The yield to maturity of the portfolio was 1.332 %. The District's weighted average interest rate was 77 basis points (0.772 %) above the daily effective yield of LAIF, which was 0.558% as of January 31, 2010. The weighted average number of days to maturity for the District's total portfolio was 413 days (1.13 years). The average duration of the underlying securities in LAIF as of January 31, 2010, which is the most current information available, was 216 days. The District's investment portfolio is in compliance with its liquidity limitations, which requires that a minimum of 20.00% of the portfolio must mature within one year. The percentage of the portfolio maturing in less than one year as of January 31, 2010 was 62.36 %. As of January 31, 2010, the District has adequate operating reserves necessary to meet its obligations for the next six months. Legal Review Legal review is not required. Financial Review is The portfolio was budgeted to earn an average of 2.00% for the year ending June 30, 2010. The earnings on the portfolio fell below 2.00% in October 2009. As discussed with the Board in December 2009, total investment earnings are projected to fall short of the budget by approximately $8,000. Committee Recommendation The Investment Oversight Committee will review this Treasurer's Report at their meeting of February 25, 2010. Public Notice Process Copies of this report are on file with the entire agenda packet at District Headquarters. Alternative Actions 1. Refer the matter back to staff 0 • • COSTA MESA SANITARY DISTRICT Treasurer's Report of Pooled Cash and Investments as of January 31, 2010 Deposits Active Accounts Bank Balance In Transits Bank of America $ 418,196.69 - Reconciling Items - - Total Active Accounts 418,196.69 - 444,697.88 (26,501.19) Outstanding Checks Book Balance 444,697.88 $ (26,501.19) Market Adjustment Investments Market Value Increase Decrease Cost Local Agency Investment Fund $ 8,082,142.33 - $ 8,082,142.33 Money Market/Sweep Account 1,053,704.41 - 1,053,704.41 Federal Agency Securities 5,515,000.00 - 15,500.00 5,499,500.00 Total Investments 14,650,846.74 - 15,500.00 14,635,346.74 Total Pooled Cash & Investments $ 15,069,043.43 $ - $ 460,197.88 $ 14,608,845.55 Costa Mesa Sanitary District Pooled Cash and Investments by Fund as of January 31, 2010 CMSD Solid Waste Activities CMSD Liquid Waste Activities Total Pooled Cash & Investments Marcus D. Davis Treasurer /Director of Finance 3 February 12, 2010 Date $ 4,511,902.75 10,096,942.80 $ 14,608,845.55 COSTA MESA SANITARY DISTRICT Investment Activity Summary as of January 31, 2010 Total investments outstanding as of December 31, 2009 Additions: Gain on Sale of Investment: Investment Purchases: Deductions: Investment Maturity /Sale Proceeds: Loss on Sale of Investment: Investments Called: Net increase (decrease) in Sweep Account Net increase (decrease) in LAIF Total investments outstanding as of January 31, 2010 4 $ 15,178,958.80 (1,000,000.00) 1,008,128.34 (551,740.40) $ 14,635,346.74 • • COSTA MESA SANITARY DISTRICT Investment and Investment Earnings as of January 31, 2010 * *Represents the LAIF daily rate at 1/31/10 5 Comments Interest CUSIP Purchase Maturity Coupon Investment Earned at Number Investment Date Date Rate Cost 01/31/10 n/a Local Agency Investment Fund n/a n/a 0.558% $ 8,082,142.33 n/a "* n/a Bank of New York -Sweep Acct n/a n/a 0.010% 1,053,704.41 n/a 3133XRGZ7 Federal Home Loan Bank 06/24/08 06/24/11 3.550% 1,000,000.00 3,648.61 3133XSWG9 Federal Home Loan Bank 02/05/09 02/05/14 2.875% 1,000,000.00 14,055.55 3133XT2W5 Federal Home Loan Bank 02/26/09 02/26/13 3.050% 1,000,000.00 13,131.94 3133XUY56 Federal Home Loan Bank 10/09/09 10/09/13 2.700% 1,000,000.00 8,400.00 3133XWBA6 Federal Home Loan Bank 12/22/09 06/22/12 1.500% 999,500.00 1,625.00 3133XWCG2 Federal Home Loan Bank 12/24/09 12/24/13 2.550% 500,000.00 1,310.42 $ 14,635,346.74 $ 42,171.52 * *Represents the LAIF daily rate at 1/31/10 5 Comments COSTA MESA SANITARY DISTRICT Summary of Policy Limitations as of January 31, 2010 Description U.S. Treasury Bills U.S. Treasury Notes Federal Agency Issues: FICB FLB FHLB FHLMC FNMA FFCB Other Banker's Acceptances Certificates of Deposit Negotiable Certificates of Deposits Commercial Paper Medium Term Corporate Notes LAIF (Local Agency Investment Fund) Shares of Benefical Interest Money Market/Mutual Funds (Sweep Acct) Total % of portfolio maturing under one year % of portfolio maturing over one year Current % of Market Value 01/31/10 Maximum % 0.00% UNLIMITED 0.00% UNLIMITED 0.00% UNLIMITED 0.00% UNLIMITED 37.64% UNLIMITED 0.00% UNLIMITED 0.00% UNLIMITED 0.00% UNLIMITED 0.00% UNLIMITED 0.00% 25%(1) 0.00% 25% 0.00% 25%(1) 0.00% 25%(1) 0.00% 20%(1) 55.17% 40,000,000.00 0.00% 20% 7.19% 10% per fund (2) 100.00% 62.36% no less than 20% 37.64% 100.00% (1) Further limited to 10% in any single issuer (2) Also limited to 20% in total. 'These securities are not considered for purchases: SBA, GNMA, TVA and SALLIEMAE No • • * *Represents the LAIF daily rate at 1/31/10 7 COSTA MESA SANITARY DISTRICT Schedule of Investments by Instrument Type as of January 31, 2010 Purchase Maturity Coupon Investment % of Market % of Description Broker /Dealer Date Date Rate Cost Portfolio Value Portfolio Comments State Treasurer's Pool LAIF n/a Continuous 0.558% ** $ 8,082,142.33 $ 8,082,142.33 POOL 8,082,142.33 55.22% 8,082,142.33 55.17% Money Market Mutual Fund Bank of New York n/a Continuous 0.010% 1,053,704.41 1,053,704.41 SWEEP 1,053,704.41 7.20% 1,053,704.41 7.19% Federal Home Loan Bank Morgan Stanley 06/24/08 06/24/11 3.550% 1,000,000.00 1,012,812.50 FHLB Federal Home Loan Bank Union Banc 02/05/09 02/05/14 2.875% 1,000,000.00 1,000,312.50 FHLB Federal Home Loan Bank Union Banc 02/26/09 02/26/13 3.050% 1,000,000.00 1,001,875.00 FHLB Federal Home Loan Bank Union Banc 10/09/09 10/09/13 2.700% 1,000,000.00 1,003,125.00 FHLB Federal Home Loan Bank Union Banc 12/22/09 06/22/12 1.500% 999,500.00 999,062.50 FHLB Federal Home Loan Bank Union Banc 12/24/09 12/24/13 2.550% 500,000.00 497,812.50 FHLB 5,499,500.00 37.58% 5,515,000.00 37.64% Total Investments $ 14,635,346.74 100.00% $ 14,650,846.74 100.00% * *Represents the LAIF daily rate at 1/31/10 7 Broker /Dealer Local Agency Investment Fund Bank of New York Morgan Stanley Union Banc Union Banc Union Banc Union Banc Union Banc Total Investment Portfolio Total Portfolio Weighted Avg Interest Rate Weighted Avg Yield to Maturity Weighted Avg Days to Maturity Investment Type Pool Sweep FHLB "Represents the LAIF daily rate at 1/31/10 • FHLB FHLB FHLB FHLB FHLB COSTA MESA SANITARY DISTRICT Investment Portfolio as of January 31, 2010 Purchase Date 06/24/08 02/05/09 02/26/09 10/09/09 12/22/09 12/24/09 1.330% 1.332% 413 Days Maturity Date 06/24/11 02/05/14 02/26/13 10/09/13 06/22/12 12/24/13 Days to Maturit 1 1 509 1,466 1,122 1,347 873 1,423 1.13 Years Coupon Yield to Investment Rate Maturity Cost 0.558% 0.558% $ 8,082,142.33 0.010% 0.010% 1,053,704.41 3.550% 3.550% 1,000,000.00 2.875% 2.875% 1,000,000.00 3.050% 3.050% 1,000,000.00 2.700% 2.700% 1,000,000.00 1.500% 1.520% 999,500.00 2.550% 2.560% 500,000.00 $ 14,635,346.74 CJ Purchase Maturity Intuition Date Date Broker /Dealer n/a Continuous LAIF n/a Continuous Bank of New York 06/24/08 06/24/11 Morgan Stanley 02/05/09 02/05/14 Union Banc 02/26/09 02/26/13 Union Banc 10/09/09 10/09/13 Union Banc 12/22/09 06/22/12 Union Banc 12/24/09 06/24/13 Union Banc Total Investments 1,310.42 "Represents the LAIF daily rate at 1/31/10 • COSTA MESA SANITARY DISTRICT For all Maturities with Market Values as of January 31, 2010 Investment Type POOL SWEEP FHLB FHLB FHLB FHLB FHLB FHLB N Coupon Investment Par Rate Cost $ 8,082,142.33 0.558% 8,082,142.33 1,053,704.41 0.010% 1,053,704.41 1,000,000.00 3.550% 1,000,000.00 1,000,000.00 2.875% 1,000,000.00 1,000,000.00 3.050% 1,000,000.00 1,000,000.00 2.700% 1,000,000.00 1,000,000.00 1.500% 999,500.00 500,000.00 2.550% 500,000.00 $ 14,635,846.74 1,310.42 14,635,346.74 N Net Market Accrued Gain /(Loss) Value Interest If Sold 8,082,142.33 - - 1,053,704.41 - - 1,012,812.50 3,648.61 12,812.50 1,000,312.50 14,055.55 312.50 1,001,875.00 13,131.94 1,875.00 1,003,125.00 8,400.00 3,125.00 999,062.50 1,625.00 (437.50) 497,812.50 1,310.42 (2,187.50) 14,650,846.74 42,171.52 15,500.00 COSTA MESA SANITARY DISTRICT Call Schedule as of January 31, 2010 Type of Purchase Maturity Coupon 1,000,000.00 Investment Date Date Rate Par Value FHLB 06/24/08 06/24/11 3.550% 1,000,000.00 FHLB 02/05/09 02/05/14 2.875% 1,000,000.00 FHLB 02/26/09 02/26/13 3.050% 1,000,000.00 FHLB 10/09/09 10/09/13 2.700% 1,000,000.00 FHLB 12/22/09 06/22/12 1.500% 1,000,000.00 FHLB 12/24/09 12/24/13 2.550% 500,000.00 $ 5,500,000.00 Investment Cost Call Features 1,000,000.00 Callable 6/24/10 w/ 5 days notice. 1,000,000.00 Callable 2/5/10 and anytime after w/5 days notice. 1,000,000.00 Callable 2/26/10 and anytime after w/5 days notice. 1,000,000.00 Callable 4/9/10 and anytime after w/5 days notice. 999,500.00 Callable 3/22/10 and anytime after w/5 days notice. 500,000.00 Callable 6/24/10 and anytime after w/5 days notice. 5,499,500.00 10 COSTA MESA SANITARY DISTRICT - MATURITIES DISTRIBUTION as of January 31, 2010 - - - - - - - - - -- - - - - - - - - - - - - - - - - - - 70% ,' 17.08% 6.83% 6.83% 6.83% O OAT.. -� 1 -180 181- 1 -2 2 -3 3 -4 4 -5 Days 365 Years Years Years Years Days 11 Cost In Thousands 1 - 180 Days $ 9,136 181 - 365 Days - i - 2 Years 1,000 2 - 3 Years 999 3 - 4 Years 2,500 4 - 5 Years 2,000 TOTAL $ 15,635 3.00% 2.50% 2.00% 1.50% 1.00% 0.50% 0.00% 000 000 000 i • Costa Mesa Sanitary District Yield Curve Data as of January 31, 2010 12 • 3 month T -Bill 6 month T -Bill 2 year T -Note 3 year T -Note 5 year T -Note "'" "RCMSD- monthly -LAIF- monthly OC Pool- monthly • • �:' � I ` I I I � 1 � 12 • 3 month T -Bill 6 month T -Bill 2 year T -Note 3 year T -Note 5 year T -Note "'" "RCMSD- monthly -LAIF- monthly OC Pool- monthly • I • Meeting Date Item Number 02/25110 1 V. D. 3. COSTA MESA SANITARY DISTRICT Warrant Resolution No. CMSD 2010 -08 A RESOLUTION OF THE COSTA MESA SANITARY DISTRICT RATIFYING THE PAYMENT OF CERTAIN CLAIMS AND DEMANDS, AND SPECIFYING THE FUNDS OUT OF WHICH THE SAME WERE PAID. THE BOARD OF DIRECTORS OF THE COSTA MESA SANITARY DISTRICT DOES HEREBY ORDER AND RESOLVE AS FOLLOWS: Section 1. That the attached claims and demands totaling $1,052,312.51 have been audited as required by law and that the same were paid out of respective funds as hereinafter set forth. Section 2. That the Clerk of the District shall certify to the adoption of this Resolution and shall retain a certified copy thereof in her own records. PASSED AND ADOPTED this 25th day of February 2010. 0 ATTEST: • Secretary STATE OF CALIFORNIA ) COUNTY OF ORANGE ) ss COSTA MESA SANITARY DISTRICT ) President I, JOAN REVAK, Clerk of the Costa Mesa Sanitary District, hereby certify that the foregoing Warrant Resolution No. CMSD 2010 -08 was duly adopted by the Costa Mesa Sanitary District at a regular meeting held on the 25th day of February 2010. IN WITNESS WHEREOF, I have hereunto set my hand and affixed the Seal of the Costa Mesa Sanitary District on this 25th day of February 2010. Clerk of the Costa Mesa Sanitary District Accounts Payable Checks for Approval User: tgonzalez Printed: 02 /02/2010 - 1:15 PM CQSTj4 ,WE S.4 5,WITARTIDISTRICT ... an Independent Special' Oiswkt Check Number Check Date Fund Name Account Name Vendor Name Amount 0 01/07/2010 Liquid Waste Fund PERS Medical Cal PERS 5,331.88 0 01/07/2010 Solid Waste Fund Benefits Admin Costs Cal PERS 2.29 0 01/07/2010 Liquid Waste Fund Benefits Admin Costs Cal PERS 20.64 Check Total: 5,354.81 0 01/13/2010 Liquid Waste Fund Federal Withholding Taxes Internal Revenue Service 4,137.72 0 01/13/2010 Liquid Waste Fund FICA- Employee Internal Revenue Service 49.41 0 01/13/2010 Liquid Waste Fund FICA - Employee Internal Revenue Service 49.41 0 01/13/2010 Liquid Waste Fund Medicare - Employee Internal Revenue Service 462.00 0 01/13/2010 Liquid Waste Fund Medicare - Employee Internal Revenue Service 345.76 0 01/13/2010 Liquid Waste Fund Medicare - Employee Internal Revenue Service 116.24 Check Total: 5,160.54 0 01/13/2010 Liquid Waste Fund State Withholding Taxes State of Cal Emp Dev Dept 1,387.33 Check Total: 1,387.33 0 01/13/2010 Liquid Waste Fund PERS Retirement Cal Pers Employee Ret System 101.94 0 01/13/2010 Liquid Waste Fund PERS Retirement Cal Pers Employee Ret System 34.53 0 01 /1312010 Liquid Waste Fund PERS Retirement Cal Pers Employee Ret System 183.56 0 01/13/2010 Liquid Waste Fund PERS Retirement Cal Pers Employee Ret System 62.18 0 01/13/2010 Liquid Waste Fund PERS Retirement Cal Pers Employee Ret System 1,456.24 0 01/13/2010 Liquid Waste Fund PERS Retirement Cal Pers Employee Ret System 2,622.27 0 01/13/2010 Liquid Waste Fund PERS Survivor Benefit Cal Pers Employee Ret System 9.30 0 01/13/2010 Liquid Waste Fund PERS Retirement Cal Pers Employee Ret System 493.32 0 01/13/2010 Liquid Waste Fund PERS Retirement. Cal Pers Employee Ret System 888.31 0 01/13/2010 Liquid Waste Fund PERS - Employer Cal Per-, Employee Ret System 0.01 Check Total: 5,851.66 1 AP - Checks fc val ( 02/02/2010 - 1:15 PM) Par- Check Num► heck Date Fund Name Account Name. Vendor Name OT ount 0 01/15/2010 Solid Waste Fund Investment Earnings Bank of America 484.55 Check Total: 484.55 0 01/22/2010 Solid Waste Fund Equipment Maintenance Automatic Data Processing, Inc 5.52 0 01/22/2010 Liquid Waste Fund Equipment Maintenance Automatic Data Processing, Inc 49.73 Check Total: 55.25 0 01/27/2010 Liquid Waste Fund Federal Withholding Taxes Internal Revenue Service 5,025.98 0 01/27/2010 Liquid Waste Fund FICA - Employee Internal Revenue Service 51.27 0 01/27/2010 Liquid Waste Fund FICA - Employee Internal Revenue Service 51.27 0 01/27/2010 Liquid Waste Fund Medicare - Employee Internal Revenue Service 559.57 0 01/27/2010 Liquid Waste Fund Medicare - Employee Internal Revenue Service 436.93 0 01/27/2010 Liquid Waste Fund Medicare - Employee Internal Revenue Service 122.64 Check Total: 6,247.66 0 01/27/2010 Liquid Waste Fund State Withholding Taxes State of Cal Emp Dev Dept 1,849.83 Check Total: 1,849.83 0 01/27/2010 Liquid Waste Fund PERS Retirement Cal Pers Employee Ret System 130.21 0 01/27/2010 Liquid Waste Fund PERS Retirement Cal Pers Employee Ret System 34.53 0 01/27/2010 Liquid Waste Fund PERS Retirement Cal Pers Employee Ret System 234.46 0 01/27/2010 Liquid Waste Fund PERS Retirement Cal Pers Employee Ret System 62.18 0 01/27/2010 Liquid Waste Fund PERS Retirement Cal Pers Employee Ret System 1,860.08 0 01/27/2010 Liquid Waste Fund PERS Retirement Cal Pers Employee Ret System 3,349.48 0 01/27/2010 Liquid Waste Fund PERS Survivor Benefit Cal Pers Employee Ret System 10.23 0 01/27/2010 Liquid Waste Fund PERS Retirement Cal Pers Employee Ret System 493.32 0 01/27/201.0 Liquid Waste_Fund PERS, Retirement Cal Pers Employee Ret System 888.31 0 01/27/2010 Liquid Waste Fund PERS - Employer Cal Pers Employee Ret System 0.01 Check Total: 7,062.81 7003 01/04/2010 Solid Waste Fund Telephone AT &T 49.61 7003 01/04/2010 Liquid Waste Fund Telephone AT &T 446.49 Check Total: 496.10 7004 01/04/2010 Solid Waste Fund Fiscal Services CBIZ ATA Orange County LLC 1,535.80 7004 01/04/2010 Liquid Waste Fund Fiscal Services CBIZ ATA Orange County LLC 2,852.20 AP - Checks for Approval ( 02/02/2010 - 1:15 PM ) Page 2 Check Number Check ,Date Fund Name Account Name Vendor Name Amount Check Total: 2,758.00 7012 01/04/2010 Liquid Waste Fund Engineering /Arehitectual Sery Robin B. Hamers & Assoc., Inc. Check Total: 4,388.00 7005 01/04/2010 Liquid Waste Fund Sewer Maint- Water Pumps City of Newport Beach 7012 7.79 Liquid Waste Fund Plan Ck/Inspection- Inside Robin B. Flamers & Assoc., Inc. 2,702.00 7012 Check Total: 7.79 7006 01/04/2010 Solid Waste Fund Trash Hauler Costa. Mesa Disposal Liquid Waste Fund 196,841.10 Robin B. Hamers & Assoc., Inc. 434.25 7012 01/04/2010 Liquid Waste Fund Check Total: 196,841.10 7007 01/04/2010 Solid Waste Fund Sharps Program Curbside, Inc. Robin B. Hamers & Assoc., Inc. 75.00 7007 01/04/2010 Solid Waste Fund Household Hazardous Waste Curbside, Inc. 3,187.50 75.00 7007 01/04/2010 Solid Waste Fund Household Hazardous Waste Curbside, Inc. AP - Checks fr 226.00 0 Pa- 0 Check Total: 376.00 7008 01/04/2010 Liquid Waste Fund Sewer Lateral Program #186 Emelyn Faulkner 1,500.00 Check Total: 1,500.00 7009 01/04/2010 Liquid Waste Fund Sewer Lateral Program #186 Ernie Krueger 1,537.50 Check Total: 1,537.50 7010 01/04/2010 Solid Waste Fund Gas - Building The Gas Company 4.56 7010 01/04/2010 Liquid Waste Fund Gas - Building The Gas Company 41.19 Check Total: 45.75 7011 01/04/2010 Facilities Revolving Fund District Yard Geo -ETKA, Inc. 2,758.00 Check Total: 2,758.00 7012 01/04/2010 Liquid Waste Fund Engineering /Arehitectual Sery Robin B. Hamers & Assoc., Inc. 1,400.00 7012 01/04/2010 Liquid Waste Fund Engineering /Architectual Sery Robin B. Hamers & Assoc., Inc. 5,983.00 7012 01/04/2010 Liquid Waste Fund Plan Ck/Inspection- Inside Robin B. Flamers & Assoc., Inc. 2,702.00 7012 01/04/2010 Liquid Waste Fund Plan Ck /inspection - Inside Robin B. Hamers & Assoc., Inc. 8,997.75 7012 01/04/2010 Liquid Waste Fund Plan Ck/Inspection- Outside Robin B. Hamers & Assoc., Inc. 434.25 7012 01/04/2010 Liquid Waste Fund Plan Ck/Inspection -Swr Lateral Robin B. Hamers & Assoc., Inc. 193.00 7012 01/04/2010 Liquid Waste Fund Plan Ck/tnspection -Swr Lateral Robin B. Hamers & Assoc., Inc. 774.00 7012 01/04/2010 Liquid Waste Fund Bristol St Pump - Contract Labor Robin B. Flamers & Assoc., Inc. 3,187.50 7012 01/04/2010 Liquid Waste Fund Bristol St Pump - Contract Labor Robin B. Hamers & Assoc., Inc. 5,224.50 AP - Checks fr 0val ( 02/02/2010 - 1:15 PM ) 0 Pa- 0 Check Numt,sheck Date Fund Name Account Name Vendor Name 27.35 ,mount 7012 01/04/2010 Liquid Waste Fund Analysis of CCTV Results #182 Robin B. Hamers & Assoc., Inc. 7017 12,495.00 7012 01/04/2010 Facilities Revolving Fund District Yard Robin B. Hamers & Assoc., Inc. 01/04/2010 807.50 7012 01/04/2010 Facilities Revolving Fund District Yard Robin B. Hamers & Assoc., Inc. 2,040.00 7012 01/04/2010 Facilities Revolving Fund District Yard Robin B. Hamers & Assoc., Inc. 1,380.00 Check Total: 45,618.50 7013 01/04/2010 Liquid Waste Fund Capital Outlay ITT Water & Wastewater U.S.A. 10,638.47 7013 01/04/2010 Liquid Waste Fund Capital Outlay ITT Water & Wastewater U.S.A. 2,164.31 7013 01/04/2010 Liquid Waste Fund Capital Outlay ITT Water & Wastewater U.S.A. 712.53 7013 01/04/2010 Liquid Waste Fund Capital Outlay ITT Water & Wastewater U.S.A. 65.32 7013 01/04/2010 Liquid Waste Fund Capital Outlay ITT Water & Wastewater U, S.A. 8,089.19 7013 01/04/2010 Liquid Waste Fund Capital Outlay ITT Water & Wastewater U.S.A. 2,164.31 7013 01/04/2010 Liquid Waste Fund Capital Outlay ITT Water & Wastewater U.S.A. 71.2.53 7013 01/04/2010 Liquid Waste Fund Capital Outlay ITT Water & Wastewater U.S.A. 65.32 7013 01/04/2010 Liquid Waste Fund Capital Outlay ITT Water & Wastewater U.S.A. 5,377.69 7013 01/04/2010 Liquid Waste Fund Capital Outlay ITT Water & Wastewater U.S.A. 23,895.48 7013 01/04/2010 Liquid Waste Fund Capital Outlay ITT Water & Wastewater U.S.A. 2,164.31 7013 01/04/2010 Liquid Waste Fund Capital Outlay ITT Water & Wastewater U.S.A. 712.53 7013 01/04/2010 Liquid Waste Fund Capital Outlay ITT Water & Wastewater U.S.A. 65.32 Check Total: 56,827.31 7014 01/04/2010 Liquid Waste Fund Sewer Lateral Program #186 Jenny Schell 618.86 Check Total: 618.86 7015 01/04/2010 Liquid Waste Fund Sewer Lateral Program #186 Joan Williams 1,600.00 Check Total: 1,600.00 7016 01/04/2010 Liquid Waste Fund Sewer Lateral Program #186 Sherry Kallab 221.03 Check Total: 221.03 7017 01/04/2010 Solid Waste Fund Equipment Maintenance Konica Minolta Bus Sol U.S.A., 27.35 7017 01/04/2010 Liquid Waste Fund Equipment Maintenance Konica Minolta Bus Sol U.S.A., 246.12 7017 01/04/2010 Solid Waste Fund Equipment Maintenance Konica Minolta Bus Sol U.S.A., 4.58 7017 01/04/2010 Liquid Waste Fund Equipment Maintenance Konica Minolta Bus Sol U.S.A., 41.18 Check Total: 319.23 7018 01/04/2010 Solid Waste Fund Water - Building Mesa Consolidated Water Dist 19.00 AP - Checks for Approval ( 02/02/201 0 - 1:15 PM ) Page 4 Check Number Check Date Fund Name Account Name Vendor Name Amount 7018 01/04/2010 Liquid Waste Fund Water - Building Mesa Consolidated Water Dist 45.38 171.00 01/04/2010 Liquid Waste Fund Building Maintenance Pacific Building Care, Inc. 408.37 Check Total: 190.00 7019 01/04/2010 Solid Waste Fund MultiMed /Blueprint/Copies /Sub The Orange County Register 01/04/2010 4.47 7019 01/04/2010 Liquid Waste Fund MultiMed/Blueprints /Copies /Sub The Orange County Register Liquid Waste Fund 40.25 Southern California. Edison 280.24 7024 01/04/2010 Liquid Waste Fund Check Total: 44.72 7020 01/04/2010 Liquid Waste Fund Sewer Maint -FOG Prog Contract Orange County Sanitation Distr Southern California Edison 618.56 7024 01/04/2010 Liquid Waste Fund Sewer Maint- Electric Pumps Southern California Edison Check Total: 618.56 7021 01/04/2010 Solid Waste Fund Office Supplies Office Depot 7024 1.83 7021 01/04/2010 Liquid Waste Fund Office Supplies Office Depot 01/04/2010 16.44 7021 01/04/2010 Solid Waste Fund Office Supplies Office Depot Liquid Waste Fund 1.96 7021 01/04/2010 Liquid Waste Fund Office Supplies Office Depot Sewer Maint- Electric Pumps 17.60 726.43 7024 01/04/2010 Liquid Waste Fund Sewer Maint- Electric Pumps Check Total: 37.83 7022 01/04/2010 Solid Waste Fund Travel/Meals /Lodging Bob Ooten 82.48 1.16 7022 01/04/2010 Liquid Waste Fund Travcl/Meals /Lodging Bob Ooten 10.39 Check Total: 11.55 7023 01/04/2010 Solid Waste Fund Building Maintenance Pacific Building Care, Inc. 45.38 7023 01/04/2010 Liquid Waste Fund Building Maintenance Pacific Building Care, Inc. 408.37 Check Total: 453.75 7024 01/04/2010 Liquid Waste Fund Sewer Maint - Electric Pumps Southern California Edison 735.34 7024 01/04/2010 Liquid Waste Fund Sewer Maint- Electric Pumps Southern California. Edison 280.24 7024 01/04/2010 Liquid Waste Fund Sewer Maint - Electric Pumps Southern California Edison 202.84 7024 01/04/2010 Liquid Waste Fund Sewer Maint- Electric Pumps Southern California Edison 312.13 7024 01/04/2010 Liquid Waste Fund Sewer Maint- Electric Pumps Southern California Edison 75.58 7024 01/04/2010 Liquid Waste Fund Sewer Maint - Electric Pumps Southern California Edison 36.68 7024 01/04/2010 Liquid Waste Fund Sewer Maint - Electric Pumps Southern California Edison 65.58 7024 01/04/2010 Liquid Waste Fund Sewer Maint - Electric Pumps Southern California Edison 326.79 7024 01/04/2010 Liquid Waste Fund Sewer Maint - Electric Pumps Southern California Edison 449.94 7024 01/04/2010 Liquid Waste Fund Sewer Maint- Electric Pumps Southern California Edison 726.43 7024 01/04/2010 Liquid Waste Fund Sewer Maint- Electric Pumps Southern California Edison 80.69 7024 01/04/2010 Liquid Waste Fund Sewer Maint - Electric Pumps Southern California Edison 82.48 7024 01/04/2010 Liquid Waste Fund Sewer Maint- Electric Pumps Southern California Edison 128.45 AP - Checks fc Orval ( 02/02/2010 - 1:15 PM) Pa -� Check Numr.16heck Date Fund Name Account Name • Vendor Name Wm ount 7024 01/04/2010 Liquid Waste Fund Sewer Maint - Electric Pumps Southern California Edison 51.90 7024 01/04/2010 Liquid Waste Fund Sewer Maint - Electric Pumps Southern California Edison 346.39 7024 01104/2010 Liquid Waste Fund Sewer Maint - Electric Pumps Southern California Edison 545.15 7024 01/04/2010 Liquid Waste Fund Sewer Maint - Electric Pumps Southern California Edison 922.31 7024 01/04/2010 Liquid Waste Fund Sewer Maint - Electric Pumps Southern California Edison 70.99 7024 01/04/2010 Liquid Waste Fund Sewer Maint - Electric Pumps Southern California Edison 328.05 Check Total: 5,767.96 7025 01/04/2010 Solid Waste Fund Travel/Meals/Lodging Arlene Schafer 1.12 7025 01/04/2010 Liquid Waste Fund Travel/Meals/Lodging Arlene Schafer 10.05 Check Total: 11.17 7026 01/04/2010 Liquid Waste Fund Life/AD &D Insurance Spec Dist Risk Mgt Authority 135.18 7026 01/04/2010 Liquid Waste Fund Dental Insurance Spec Dist Risk Mgt Authority 533.13 7026 01/04/2010 Liquid Waste Fund Long -Term Disability Spec Dist Risk Mgt Authority 270.17 7026 01/04/2010 Solid Waste Fund Benefits Admin Costs Spec Dist Risk Mgt Authority 2.68 7026 01/04/2010 Liquid Waste Fund Benefits Admin Costs Spec Dist Risk Mgt Authority 24.14 7026 01/04/2010 Liquid Waste Fund Vision Insurance Spec Dist Risk Mgt Authority 7.34 Check Total: 972.64 7027 01/04/2010 Facilities Revolving Fund District Yard Structural Observation Group, 273.00 7027 01/04/2010 Facilities Revolving Fund District Yard Structural Observation Group, 195.00 Check Total: 468.00 7028 01/04/2010 Liquid Waste Fund Prof Membership/Dues SWRCB Fees 6,577.00 Check Total: 6,577.00 7029 01/04/2010 Liquid Waste Fund Deferred Compensation - 457 VantagePoint Transfer Agents 430.00 Check Total: 430.00 7030 01 /04/2010 Liquid Waste Fund Deferred Medical -RHS- Employee VantagePoint Transfer Agents 278.50 7030 01/04/2010 Liquid Waste Fund Deferred Medical - RHS - Employee VantagePoint Transfer Agents 208.02 7030 01/04/2010 Liquid Waste Fund Deferred Medical - RHS - Employee VantagePoint Transfer Agents 70.48 Check Total: 557.00 7031 01/14/2010 Liquid Waste Fund Employee Insurance AFLAC 565.50 AP - Checks for Approval ( 02/02/2010 - 1:15 PM ) Page 6 Check Number Check Date Fund Name Account Name Vendor Name Amount Check Total: 565.50 7032 01/14/2010 Solid Waste Fund Building Maintenance Alliance Fire Protection 14.00 7032 01/14/2010 Liquid Waste Fund Building Maintenance Alliance Fire Protection 126.00 Check Total: 140.00 7033 01/14/2010 Liquid Waste Fund Sewer Maint- Equipment Maint Bank of America 224.50 7033 01/14/2010 Solid Waste Fund Staff Development Bank of America 9.70 7033 01/14/2010 Liquid Waste Fund Staff Development Bank of America 87.30 7033 01/14/2010 Solid Waste Fund Public Info /Ed/Community Promo Bank of America 127.69 7033 01/14/2010 Liquid Waste Fund Sewer Maint- Equipment Maint Bank of America 109.95 7033 01/14/2010 Liquid Waste Fund Sewer Maint -Small Tools/Eq Bank of America 48.88 7033 01/14/2010 Solid Waste Fund Travel /Meals /Lodging Bank of America 9.56 7033 01/14/2010 Liquid Waste Fund Travel/Mcals /.Lodging Bank of America 86.02 7033 01/14/2010 Solid Waste Fund Equipment Maintenance Bank of America 26.35 7033 01/14/2010 Liquid Waste Fund Equipment Maintenance Bank of America 237.13 7033 01/14/2010 Solid Waste Fund Building Maintenance Bank of America 7.46 7033 01/14/2010 Liquid Waste Fund Building Maintenance Bank of America 67.11 7033 01/14/2010 Solid Waste Fund Travel/Meals /Lodging Bank of America 7.92 7033 01/14/2010 Liquid Waste Fund Travel /Meals/Lodging Bank of America 71.32 7033 01/14/2010 Liquid Waste Fund Sewer Maint- Equipment Maint Bank of America 75.00 7033 01/14/2010 Liquid Waste Fund Travel/Meals /Lodging Bank of America 105.00 7033 01/14/2010 Solid Waste Fund Travel/Meals /Lodging Bank of America 14.92 7033 01/14/2010 Liquid Waste Fund Travel /Mcals/Lodging Bank of America 134.28 7033 01/14/2010 Liquid Waste Fund Sewer Maint -Small Tools /Eq Bank of America 18.47 7033 01/14/2010 Liquid Waste Fund Sewer Maint- Material /Supplies Bank of America 101.27 7033 01/14/2010 Liquid Waste Fund Sewer Maint- Materi al /Supplies Bank of America 52.00 7033 01/14/2010 Liquid Waste Fund Sewer Maint- Equipment Maint Bank of America 68.00 7033 01/14/2010 Liquid Waste Fund Sewer Maint- Equipment Maint Bank of America 108.64 7033 01/14/2010 Solid Waste Fund Building Maintenance Bank of America 6.75 7033 01/14/2010 Liquid Waste Fund Building Maintenance Bank of America 60.72 7033 01/14/2010 Solid Waste Fund Travel/Meals/Lodging Bank of America 9.34 7033 01/14/2010 Liquid Waste Fund Travel/Mea.ls/Lodging Bank of America. 84.08 7033 01/14/2010 Liquid Waste Fund Travel /Meals /Lodging Bank of America 850.00 7033 01/14/2010 Liquid Waste Fund Travel /Meals /Lodging Bank of America 850.00 Check Total: 3,659.36 7034 01/14/2010 Solid Waste Fund Legal Services Alan R. Burns 2,610.02 7034 01/14/2010 Liquid Waste Fund Legal Services Alan R. Burns 4,847.18 7034 01/14/2010 Liquid Waste Fund Legal Services Alan R. Burns 3,330.40 7034 01/14/2010 Solid Waste Fund Legal Services Alan R. Burns 488.70 AP - Checks fc 0oval ( 02/02/2010 - 1:15 PM) Pa ^- 7 Check Num*heck Date Fund Name 7034 01/14/2010 Solid Waste Fund 7034 01/14/2010 Liquid Waste Fund 7034 01/14/2010 Solid Waste Fund 7034 01/14/2010 Liquid Waste Fund 7035 01/14/2010 Liquid Waste Fund 7036 01/14/2010 Solid Waste Fund 7036 01/14/2010 Solid Waste Fund 7037 01/14/2010 Solid Waste Fund 7037 01/14/2010 Liquid Waste Fund 7038 01/14/2010 Solid Waste Fund 7038 01/14/2010 Liquid Waste Fund 7039 01/14/2010 Solid Waste Fund 7039 01/14/2010 Liquid Waste Fund 7040 01/14/2010 Solid Waste Fund 7040 01/14/2010 Liquid Waste Fund 7041 01/14/2010 Solid Waste Fund Account Name ! Vendor Name Legal Services Alan R. Burns 430.78 Legal Services Alan R. Burns 800.02 Legal Services Alan R. Burns 4.86 Legal Services Alan R. Burns 9.04 Check Total: 12,521.00 Sewer Maint -Pump Stn Contract C &R Drains Inc. 176.00 Check Total: 176.00 Recycling/Disposal CR Transfer, Inc. 162,048.60 Recycling/Disposal CR Transfer, Inc. 12,990.78 Check Total: 175,039.38 Medical /Employment Services Department of Justice 3.20 Medical/Employment Services Department of Justice 28.80 Check Total: 32.00 Fiscal Services Diehl, Evans & Company LLP 2,789.50 Fiscal Services Diehl, Evans & Company LLP 5,180.50 Check Total: 7,970.00 Building Maintenance F.M. Thomas Air Condittioning, 35.98 Building Maintenance F.M. Thomas Air Condittioning, 323.80 Check Total: 359.78 Mileage Reimbursement Isidro Gallardo 629.15 Mileage Reimbursement Isidro Gallardo 69.90 Check Total: 699.05 Public Info/Ed/Community Promo Hana Gandi 100.00 Check Total: 100.00 7042 01/14/2010 Facilities Revolving Fund District Yard Geo -ETKA, Inc. 400.00 AP - Checks for Approval ( 02/02/2010 - 1:15 PM) Page 8 Check Number Check Date Fund Name 7043 01/14/2010 Liquid Waste Fund 7044 01/14/2010 Liquid Waste Fund 7044 01/14/2010 Liquid Waste Fund 7045 01/14/2010 Solid Waste Fund 7045 01/14/2010 Liquid Waste Fund 7046 01/14/2010 Solid Waste Fund 7046 01/14/2010 Liquid Waste Fund 7047 01/14/2010 Liquid Waste Fund 7047 01/14/2010 Liquid Waste Fund 7047 01/14/2010 Liquid Waste Fund 7048 01/14/2010 Liquid Waste Fund 7049 01/14/2010 Solid Waste Fund 7049 01/14/2010 Liquid Waste Fund 7049 01/14/2010 Solid Waste Fund 7049 01/14/2010 Liquid Waste Fund 7051 01/14/2010 Solid Waste Fund 7051 01/14/2010 Liquid Waste Fund Account Name Vendor Name Amount Check Total: Sewer Maint- Material /Supplies Golden Bell Products, Inc. Check Total: Sewer Maint -Small Tools /Eq Home Depot Credit Services Sewer Maint - Material /Supplies Home Depot Credit Services Check Total: District Manager Donald McIntyre District Manager Donald McIntyre Office Supplies Check Total: District Manager Donald McIntyre District Manager Donald McIntyre Electric - Building Check Total: Sewer Maint- Water Pumps Mesa Consolidated Water Dist Sewer Maint- Water Pumps Mesa Consolidated Water Dist Sewer Maint- Water Pumps Mesa Consolidated Water Dist Check Total: Due to OCSD Orange County Sanitation Distr Check Total: Office Supplies Office Depot Office Supplies Office Depot Office Supplies Office Depot Office Supplies Office Depot Check Total: Electric - Building Southern California Edison Electric - Building Southern California Edison 400.00 1,495.31 1,495.31 168.45 188.41 356.86 1,155.00 2,145.00 3,300.00 77.00 143.00 220.00 15.00 15.00 15.00 45.00 19,528.89 19,528.89 5.20 46.75 27.53 247.72 327.20 42.52 382.72 AP - Checks fo~ 0val ( 02/02/2010 - 1:15 PM) 0 Pap -0 Check Numiboheck Date Fund Name Account Name • Vendor Name *mount 7052 01/14/2010 Liquid Waste Fund 7053 01/14/2010 Liquid Waste Fund 7054 01/14/2010 Facilities Revolving Fund 7054 01/14/2010 Facilities Revolving Fund 7054 01/14/2010 Facilities Revolving Fund 7055 01/14/2010 Solid Waste Fund 7055 01/14/2010 Liquid Waste Fund Swr Liability Insurance Sewer Lateral Program #186 Check Total: Spec Dist Risk Mgt Authority Check Total: Steve Labbitt Check Total: District Yard Structural Observation Group, District Yard Structural Observation Group, District Yard Structural Observation Group, Check Total: Building Maintenance Trimco Landscape Building Maintenance Trimco Landscape AP - Checks for Approval ( 02/02/2010 - 1:15 PM 425.24 83.92 83.92 1,800.00 1,800.00 597.00 2,910.00 798.00 4,305.00 14.40 129.60 144.00 108.50 108.50 530.00 530.00 278.50 208.02 70.48 557.00 69.00 69.00 5,000.00 Page 10 Check Total: 7056 01/14/2010 Liquid Waste Fund Contract Services Underground Service Alert/SC Check Total: 7057 01/14/2010 Liquid Waste Fund Deferred Compensation - 457 VantagePoint Transfer Agents Check Total: 7058 01/14/2010 Liquid Waste Fund Deferred Medical -RHS- Employee VantagePoint Transfer Agents 7058 01/14/2010 Liquid Waste Fund Deferred Medical -RHS- Employee VantagePoint Transfer Agents 7058 01/14/2010 Liquid Waste Fund Deferred Medical- RHS - Employee VantagePoint Transfer Agents Check Total: 7059 01/14/2010 Liquid Waste Fund MultiMedBlueprints /Copies /Sub WasteAge Check Total: 7060 01/22/2010 Liquid Waste Fund Postage United States Postmaster AP - Checks for Approval ( 02/02/2010 - 1:15 PM 425.24 83.92 83.92 1,800.00 1,800.00 597.00 2,910.00 798.00 4,305.00 14.40 129.60 144.00 108.50 108.50 530.00 530.00 278.50 208.02 70.48 557.00 69.00 69.00 5,000.00 Page 10 Check Number Check Date Fund Name Account Name Vendor Name Amount Check Total: 5,000.00 7061 01/28/2010 Solid Waste Fund Building Maintenance 949 Storage 11.00 7061 01/28/2010 Liquid Waste Fund Building Maintenance 949 Storage 99.00 Check Total: 110.00 7062 01/28/2010 Liquid Waste Fund Employee Insurance AFLAC 119.10 Check Total: 119.10 7063 01/28/2010 Solid Waste Fund Telephone AT &T 51.12 7063 01/28/2010 Liquid Waste Fund Telephone AT &T 460.05 Check Total: 511.17 7064 01/28/2010 Solid Waste Fund Investment Earnings Bank of New York 1,500.00 Check Total: 1,500.00 7065 01/28/2010 Solid Waste Fund Trash Hauler Costa Mesa Disposal 196,859.41 Check Total: 196,859.41 7066 01/28/2010 Liquid Waste Fund MultiMed /Blueprints /Copies /Sub Consolidated Reprographics 623.62 Check Total: 623.62 7067 01/28/2010 Solid Waste Fund Travel/Meals /Lodging California Special Dist Assoc 6.42 7067 01/28/2010 Liquid Waste Fund Travel/Meals /Lodging California Special Dist Assoc 57.74 Check Total: 64.16 7068 01128/2010 Solid Waste Fund Prof Membership/Dues Cal Soc of Muni Finance Office 11.00 7068 01/28/2010 Liquid Waste Fund Prof Membership/Dues Cal Soc of Muni Finance Office 99.00 Check Total: 110.00 7069 01/28/2010 Solid Waste Fund Household Hazardous Waste Curbside, Inc. 189.00 7069 01/28/2010 Solid Waste Fund Household Hazardous Waste Curbside, Inc. 75.00 7069 01/28/2010 Solid Waste Fund Sharps Program Curbside, Inc. 95.00 7069 01/28/2010 Solid Waste Fund Household Hazardous Waste Curbside, Inc. -25.00 AP - Checks fr, oval (02/02/2010 - 1:15 PM) � Pa- i Numb *heck Date Fund Name Account Name • Vendor Name *mount Check 7069 01/28/2010 Solid Waste Fund Sharps Program Curbside, Inc. 100.00 7069 01/28/2010 Solid Waste Fund Sharps Program Curbside, Inc. 140.00 7069 01/29/2010 Solid Waste Fund Household Hazardous Waste Curbside, Inc. 112.50 7069 01/28/2010 Solid Waste Fund Household Hazardous Waste Curbside, Inc. 100.00 7069 01/28/2010 Solid Waste Fund Household Hazardous Waste Curbside, Inc. -25.00 7069 01/28/2010 Solid Waste Fund Sharps Program Curbside, Inc. 100.00 Check Total: 861.50 7070 01/28/2010 Liquid Waste Fund Sewer Maint -FOG Prog Contract Environmental Engr & Cont, Inc 7,630.65 Check Total: 7,630.65 7071 01/28/2010 Liquid Waste Fund Sewer Lateral Program #186 Emelyn Faulkner 300.00 Check Total: 300.00 7072 01/28/2010 Facilities Revolving Fund District Yard Enovity, Inc. 1,200.00 Check Total: 1,200.00 7073 01/28/2010 Liquid Waste Fund Travel/Meals/Lodging Jim Ferryman 137.63 Check Total: 137.63 7074 01/28/2010 Solid Waste .Fund Public Info/Ed/Community Promo Isidro Gallardo 184.88 Check Total: 184.88 7075 01/28/2010 Liquid Waste Fund Sewer Maint- Material/Supplies Golden Bell Products, Inc. 1,495.31 Check Total: 1,495.31 7076 01/28/2010 Solid Waste Fund Postage MailFinance Inc. 7.72 7076 01/28/2010 Liquid Waste Fund Postage MailFinance Inc. 69.49 Check Total: 77.21 7077 01/28/2010 Facilities Revolving Fund District Yard Howard S. Wright Constructors 186,300.00 7077 01/28/2010 Facilities Revolving Fund District Yard Howard S. Wright Constructors 8,997.86 Check Total: 195,297.86 AP - Checks for Approval ( 02/02/2010 - 1:15 PM ) Page 12 Check Number Check Date Fund Name 7078 01/28/2010 Liquid Waste Fund 7078 01/28/2010 Liquid Waste Fund 7079 01/28/2010 Solid Waste Fund 7079 01/28/2010 Liquid Waste Fund 7080 01/28/2010 Liquid Waste Fund 7081 01/28/2010 Liquid Waste Fund 7082 01/28/2010 Solid Waste Fund 7082 01/28/2010 Liquid Waste Fund 7082 01/28/2010 Solid Waste Fund 7082 01/28/2010 Liquid Waste Fund 7083 01/28/2010 Solid Waste Fund 7083 01/28/2010 Liquid Waste Fund 7084 01/28/2010 Liquid Waste Fund 7084 01/28/2010 Liquid Waste Fund 7084 01/28/2010 Facilities Revolving Fund 7084 01/28/2010 Facilities Revolving Fund 7084 01/28/2010 Facilities Revolving Fund 7085 01/28/2010 Liquid Waste Fund 7085 01/28/2010 Liquid Waste Fund Account Name Vendor Name Amount Sewer Maint- Water Pumps Irvine Ranch Water District 9.30 Sewer Maint- Water Pumps Irvine Ranch Water District 9.04 Check Total: 18.34 Prof Membership /Dues Independent Special Dist of OC 100.00 Prof Mcmbership/Dues Independent Special Dist of OC 100.00 Check Total: 200.00 Sewer Lateral Prograrn 4186 Joshua Roberson 1,800.00 Check Total: 1,800.00 Misc Swr Wk#164 -Cunt Svc Mike Kilbridc, LTD 375.00 Equipment Maintenance Equipment Maintenance Equipment Maintenance Equipment Maintenance Konica Minolta. Bus Sol U.S.A., Konica Minolta Bus Sol U.S.A., Konica Minolta Bus Sol U.S.A., Konica Minolta Bus Sol U.S.A., MultiMcd /Blueprint/Copics /Sub Martin & Chapman Co. MultiMed[Blueprints /Copies /Sub Martin & Chapman Co. Sewer Maint- Water Pumps Sewer Maint- Water Pumps District Yard District Yard District Yard Mesa Consolidated Water Dist Mesa Consolidated Water Dist Mesa Consolidated Water Dist Mesa Consolidated Water Dist Mesa Consolidated Water Dist Sewer Maint- Equipment Maint Nextruk Sewer Maint- Equipment Maint Nextruk Check Total: Check Total Check Total: Check Total: 375.00 16.14 145.27 1.71 15.34 178.46 2.66 2392 26.58 15.20 67.87 23.30 30.17 30.17 166.71 386.86 118.56 Check Total: 505.42 AP - Checks fc val ( 02/02/2010 - 1:15 PM) Pay- Check NumL Oeck Date Fund Name Account Name • Vendor Name •mount 7086 01/28/2010 Liquid Waste Fund Systm Wide Repair Program #183 County of Orange Auditor -Cont 28,499.33 Check Total: 28,499.33 7087 01/28/2010 Solid Waste Fund Office Supplies Office Depot 1.65 7087 01/28/2010 Liquid Waste Fund Office Supplies Office Depot 14.81 7087 01/28/2010 Solid Waste Fund Office Supplies Office Depot 3.14 7087 01/28/2010 Liquid Waste Fund Office Supplies Office Depot 28.21 7087 01/28/2010 Solid Waste Fund Office Supplies Office Depot 0.65 7087 01/28/2010 Liquid Waste Fund Office Supplies Office Depot 5.88 Check Total: 54.34 7088 01/28/2010 Solid Waste Fund Building Maintenance Pacific Building Care, Inc. 45.38 7088 01/28/2010 Liquid Waste Fund Building Maintenance Pacific Building Care, Inc. 408.37 Check Total: 453.75 7089 01/28/2010 Liquid Waste Fund Travel/Meals /Lodging Art Perry 169.25 Check Total: 169.25 7090 01/28/2010 Liquid Waste Fund Sewer Maint -Staff Development SARBS - CWEA 50.00 Check Total: 50.00 7091 01/28/2010 Liquid Waste Fund Sewer Maint- Electric Pumps Southern California Edison 698.80 7091 01/28/2010 Liquid Waste Fund Sewer Maint- Electric Pumps Southern California Edison 260.25 7091 01/28/2010 Liquid Waste Fund Sewer Maint - Electric Pumps Southern California Edison 159.84 7091 01/28/2010 Liquid Waste Fund Sewer Maint - Electric Pumps Southern California Edison 314.51 7091 01/28/2010 Liquid Waste Fund Sewer Maint- Electric Pumps Southern California Edison 79.91 7091 01/28/2010 Liquid Waste Fund Sewer Maint- Electric Pumps Southern California Edison 42.57 7091 01/28/2010 Liquid Waste Fund Sewer Maint - Electric Pumps Southern California Edison 67.05 7091 01/28/2010 Liquid Waste Fund Sewer Maint - Electric Pumps Southern California Edison 319.00 7091 01/28/2010 Liquid Waste Fund Sewer Maint - Electric Pumps Southern California Edison 333.24 7091 01/28/2010 Liquid Waste Fund Sewer Maint - Electric Pumps Southern California Edison 692.61 7091 01/28/2010 Liquid Waste Fund Sewer Maint - Electric Pumps Southern California Edison 75.33 7091 01/28/2010 Liquid Waste Fund Sewer Maint- Electric Pumps Southern California Edison 163.21 7091 01/28/2010 Liquid Waste Fund Sewer Maint- Electric Pumps Southern California Edison 239.62 7091 01/28/2010 Liquid Waste Fund Sewer Maint - Electric Pumps Southern California Edison 97.07 7091 01/28/2010 Liquid Waste Fund Sewer Maint - Electric Pumps Southern California Edison 734.38 7091 01/28/2010 Liquid Waste Fund Sewer Maint - Electric Pumps Southern California Edison 318.30 7091 01/28/2010 Liquid Waste Fund Sewer Maint - Electric Pumps Southern California Edison 73.05 7091 01/28/2010 Liquid Waste Fund Sewer Maint - Electric Pumps Southern California Edison 398.80 AP - Checks for Approval ( 02/02/2010 - 1:15 PM ) Page 14 Check Number Check Date Fund Name Account Name Vendor Name Amount Check Total: 5,067.54 7092 01/28/2010 Liquid Waste Fund Swr Liability insurance Spec Dist Risk Mgt Authority 304,01 36.76 7092 01/28/2010 Liquid Waste Fund Swr Liability insurance Spec Dist Risk Mgt Authority 7097 91.72 7092 01/28/2010 Liquid Waste Fund Swr Liability Insurance Spec Dist Risk Mgt Authority 01/28/2010 91.72 7092 01/28/2010 Liquid Waste Fund Swr Liability Insurance Spec Dist Risk Mgt Authority Liquid Waste Fund 37.70 7092 01/28/2010 Liquid Waste Fund Swr Liability Insurance Spec Dist Risk Mgt Authority 37.70 7092 01/28/2010 Liquid Waste Fund Swr Liability Insurance Spec Dist Risk Mgt Authority 46.41 7092 01/28/2010 Liquid Waste Fund Swr Liability Insurance Spec Dist Risk Mgt Authority 46.41 7092 01/28/2010 Liquid Waste Fund Swr Liability Insurance Spec Dist Risk Mgt Authority -3.88 Check Total: 384.54 7093 01/28/2010 Solid Waste Fund Sharps Program Stericycle 279.17 7093 01/28/2010 Solid Waste Fund Sharps Program Stericycle 267.35 7093 01/29/2010 Solid Waste Fund Sharps Program Stericycle 341.10 7093 01/28/2010 Solid Waste Fund Sharps Program Stericycle 340.91 Check Total: 1,228.53 7094 01/28/2010 Facilities Revolving Fund District Yard Structural Observation Group, 778.50 Check Total: 778.50 7095 01/28/2010 Liquid Waste Fund Deferred Compensation - 457 VantagePoint Transfer Agents 1,030.00 Check Total: 1,030.00 7096 01/28/2010 Liquid Waste Fund Deferred Medical -RHS- Employee VantagePoint Transfer Agents 336.19 7096 01/28/2010 Liquid Waste Fund Deferred Medical - RHS - Employee VantagePoint Transfer Agents 265.71 7096 01/28/2010 Liquid Waste Fund Deferred Medical- RHS- Employee VantagePoint Transfer Agents 70.48 Check Total: 672.38 7097 01/28/2010 Liquid Waste Fund Misc Swr Wk #164 -Cont Svc Walters Wholesale Electric Co. 304,01 7097 01/28/2010 Liquid Waste Fund Misc Swr Wk #164 -Cont Svc Walters Wholesale Electric Co. 371.81 7097 01/28/2010 Liquid Waste Fund Misc Swr Wk#164 -Cont Svc Walters Wbolesale Electric Co. 176.15 7097 01/28/2010 Liquid Waste Fund Misc Swr Wk#164 -font Svc Walters Wholesale Electric Co. -39.87 7097 01/28/2010 Liquid Waste Fund Misc Swr Wk#164 -Copt Svc Walters Wholesale Electric Co. 51.46 Check Total: 863.56 AP - Checks fe val ( 02/02/2010 - 1:15 PM) Pa -- ' s Check Numbleeck Date Fund Name Account Name • Vendor Name Report Total: 1,052,312.51 AP - Checks for Approval ( 02/02/2010 - 1:15 PM ) Page 16 i Meeting Date Item Number 02/25/10 1 V. D. 4. ...an Independent SpeciafDistrict To: Board of Directors Via: Scott Carroll, General Manage From: Sherry Kallab, Administration Manager Date: February 28, 2010 Subject: Directors' Compensation and Reimbursement of Expenses, January 2010 Summary Staff is providing the Board with the Directors' compensation and reimbursement of expenses for the month of January 2010. Staff Recommendation Staff recommends the Board approve and ratify the Directors' compensation and reimbursement of expenses for the month of January 2010. Analysis The Directors have submitted valid and supporting documentation for the following payments: Board Member Meetings Compensation Mileage President Shafer ISDOC $221 $5.00 WACO General Meeting $221 $5.00 CASA Conference (2) $442 $129.08 WACO Planning Meeting $221 $5.00 CSDA Finance $221 Corporation Vice President WACO General Meeting $221 $3.50 Ooten CASA Conference $221 $121.50 CMSD Sewer System $221 CMSD Recycling Meeting $221 Protecting our community's health by providing solid waste and sewer collection services crosdcagov • Board of Directors January 28, 2010 Page 2 of 2 Legal Review None. Financial Review The total reimbursements for the month of January 2010 is $4,221.89 Committee Recommendation Not applicable Public Notice Process Copies of this report are on file with the entire agenda packet at District Headquarters. Alternative Actions 1. Refer the matter back to staff OCSD Board Meeting $221 $3.50 CMSD Board Meeting $221 Director Monahan CMSD Sewer System $221 Director Monahan CMSD Board Meeting $221 Director CASA Conference (3) $663 137.63 Ferryman CMSD Sewer System $221 CMSD Recycling Meeting $221 SARBS Collection $221 Seminar Director Perry CM Planning Commission $221 CASA Conference (3) $663 169.25 CMSD Board Meeting $221 Legal Review None. Financial Review The total reimbursements for the month of January 2010 is $4,221.89 Committee Recommendation Not applicable Public Notice Process Copies of this report are on file with the entire agenda packet at District Headquarters. Alternative Actions 1. Refer the matter back to staff Costa Mesa S Itary District Expense Reimburse Form for Directors Name: I. Attach all receipts. . • . PURPOSE OR OCCASION �L °� • �"EV"I 0 ME MI I �■ `Gan be used for private auto as well as taxi, lirrloatid air fare., 0 C g b A CA>4� AC k e--S f� Pr Q 11. Calculation �1, ecents I _ S°��~ - 4 1. d Sy miles at pe r mile _ $ IA7, oe (currant Rate) 2 , bZ Total meals = 3. days attendance at $ 221.00 per day = (per Board policy) 4. Meeting 5. Other Total = $ l q!�- 4� Conference/Event. Significant points learned of benefit to the District and its Location: ratepayers: Per Ordinance No. 55, "Board members shall provide brief reports on meetings attended at public expense at the next regular Board meeting." (Operations Code, Section 3.01.035) (rev. Ili IM) Director Sign costa mesa Sannary uiswiim Expense Reimbursement Form for Directors `Gan be used for private auto as w II taxi, limo'a d air fare. - _ i'� S b{� � � �-S i� g- } II. Calculations 1. miles at $5.0 cents per mile - $ (Current Rate) 2 < �� Total meals 3. �_ days attendance at $ 221.00 per day (per Board mlicy) 4. Meeting 5. Other �• _ _ ` Total = $ Conference/Event: I u ( `�'`�t Significant points learned of benefit to the District and its Location: QQI& � LQ a M ratepayers: Per Ordinance No. 55, "Board members shall provide brief reports on meetings attended at public expense at the next regular Board meeting," (Operations Code, Section 3.01.035) <<� 111M) 0 0 Director SignatureuA- iU 0 LIJ, j • lip ■�� ■ `Gan be used for private auto as w II taxi, limo'a d air fare. - _ i'� S b{� � � �-S i� g- } II. Calculations 1. miles at $5.0 cents per mile - $ (Current Rate) 2 < �� Total meals 3. �_ days attendance at $ 221.00 per day (per Board mlicy) 4. Meeting 5. Other �• _ _ ` Total = $ Conference/Event: I u ( `�'`�t Significant points learned of benefit to the District and its Location: QQI& � LQ a M ratepayers: Per Ordinance No. 55, "Board members shall provide brief reports on meetings attended at public expense at the next regular Board meeting," (Operations Code, Section 3.01.035) <<� 111M) 0 0 Director SignatureuA- iU 0 LIJ, j • v v v Costa Mesa Sanitary District Expense Reimburstont Form for Directors Name Rober J Ooten ?a LD 1. Attach all receipts. T DATE OF EVENT PURPOSE OR OCCASION LOCATION TRAVEL* MEAL EXPENSE OTHER w k c 6 w t7 "7 i .. t Cp�t,� GoA-1 941A 22 t I 2d 10 Se 9 C %U S t 2 Uto I a Ow e— y„` S.cwt. N ills 2a tp �14 e—G C �-t 112 -1 'tuto CSp 't 1 17-9.1 ?OIL wl S 5 "Gan be used for private auto as well as taxi, limo and air tare. II. Calculation 1._ miles at 55 cents per mile (Current Rate) 2. Total meals 3. G days attendance at $ 221.00 per day (per Board policy) 4. Meeting 5. Other Conference /Event: Location: 19 Per Ordinance No. 55, "Board members shall provide brief reports on meetings attended at public expense at the next regular Board meeting." (Operations Code, Section 3.01.035) (ray. 2106) = $ %A ', ,�c o G a k."., Total = $ t-, 3 ala . o c Significant points learned of benefit to the District and its ratepayers: w -Nz v— )')A-* C o- O', AkAICI � e+-AA � w^ L 0a, ,,,._ Co to . Q t.► �- airy;,` Director Signature: 7�� Costa Mesa Sanitary District Expense Reimbursement Form for Directors Name Rober J Ooten 0 10 1. Attach all receipts. DATE OF EVENT PURPOSE OR OCCASION LOCATION TRAVEL* MEAL EXPENSE OTHER I, 10 U bL w T) 7 t�1'y !b C �a1S `z2� 17Co.. 5�a C�,��,. 6c 517 1 iZ1 lu 5 A t1. P) 5 Lo t�l C. &0 ltk 1a 1 �2� i Itz 6 -7 *Can be used for private auto as well as taxi, limo and air fare. i 7, 19. so II. Calculation SO = $ 1 miles at `*Kcents per mile _ (Current Rate) 2. Total meals 3. days attendance at $ 221.00 per day (per Board policy) _ 4. Meeting 5. Other Conference /Event: Cif% L\ Total= $ (� SD Significant points learned of benefit to the District and its ratepayers: Location: � � t �— �?("�``� r � • y+o�y \AO Per Ordinance No. 55, "Board members shall provide brief reports on meetings attended at public expense at the next regular Board meeting." (Operations Code, Section 3.01.035) Director Signature: (rev. 2/06) • Costa Mesa S Itary District Expense Reimbursert Form for Directors Name:Gary Monahan 1. Attach all receipts. DATE OF EVENT PURPOSE OR OCCASION LOCATION TRAVEL* MEAL EXPENSE OTHER 01/19/10 Sewer System Committee Meeting CMSD 01/28/10 Regular Board of Directors Meeting CMSD *Can be used for private auto as well as taxi, limo and air fare. 11. Calculation = $ 1. miles at 50.0 cents per mile (Current Rate) _ 2. Total meals 3. 2 days attendance at $ 221.00 per day (per Board policy) 4. Meeting 5. Other Conference /Event: Location: Per Ordinance No. 55, "Board members shall provide brief reports on meetings attended at public expense at the next regular Board meeting." (Operations Code, Section 3.01.035) 442.00 Total = $442.00 Significant points learned of benefit to the District and its ratepayers: Director Signature: (rev. 1/1/09) • Costa Mesaoitary District .Expense Reimbursement Form for Directors Name. 1. Attach all receipts. DATE OF EVENT PURPOSE OR OCCASION LOCATION TRAVEL* MEAL EXPENSE OTHER G PCB-, i� �'h ✓�n 95 �y� CY �+ l t C145A jt f1 "Can be used for private auto as well as taxi, limo and air fare. 11. Calculation 56.6 = $ 1. o- miles at MZ cents per mile _ (Current Rate) 2. ...LQJ� Total meals 3._ days attendance at $ 221.00 per day (Per Board policy) 4. Meeting _ G 0 5. Other `D �6 Conference /Event: C `4 A - �.� `,�• U�! S �;2 C/a Location: Per Ordinance No. 55, "Board members shall provide brief reports on meetings attended at public expense at the next regular Board meeting." (Operations Code, Section 3.01.035) Total= $_ 9A5__ Significant points learned of benefit to the District and its ratepayers: Director Signature: (mv MrM Costa Mesa Sanitary District Expense Reimbursement Form for Directors Name: I. Attach all receipts. DATE OF EVENT PURPOSE OR OCCASION LOCATION TRAVEL* MEAL EXPENSE OTHER 0 ���w c ✓ Co ill .tit 15 5 ti.,/�— c c�gS/s ,fir li c"v5A (c j r &A4 A-,19 -, *Can be used for private auto as well as taxi, limo and air fare. II. Calculation s6 _— _ $ .1 . miles at S8.r6 cents per mile �' ' � (Current Rate) 2. � Total meals 3. days attendance at $ 221.00 per day (Per Board policy) 4. Meeting 5. Other Conference /Event: C `A ) Location: Per Ordinance No. 55, "Board members shall provide brief reports on meetings attended at public expense at the next regular Board meeting." (Operations Code, Section 3.01.035) (rev. 2M) • [ O ,F, o o Total= $ A 1 4 S b'O Significant points learned of benefit to the District and its ratepayers: ,Director Signature_ Costa Mesa Sanitary Disot Expense Reimbursement Form for Directors lame: �` ✓� Attach all receipts. JLNfN qq% 2129 'Can be used for private auto as well as taxi, Grnu and alr tare, It. Calculation 1. miles at 50,0 cents per mile (Currant Rote) 2. Total meals 3. (q- days attendance at $221.0 per day (pet Soard puGcyl 4, Meeting 5. Other Conference /Event: Location: Per Ordinance No. 55, "Board members shall provide brief reports on meetings attended at public expense at the next regular Board. meeti►44j." (Operations Code,. Sectioo. 3AI -G3* (rev. Vi 4q) = /r 3.,26 . n o Tutal $ _ �;z 61 06 Significant points learned of benefit to the District and Its ratepayers: Director Signatu a �. cr m J Ln M m OD N m m C0 N N m w LL PURPOSE OR OCCASION J �� 'Can be used for private auto as well as taxi, Grnu and alr tare, It. Calculation 1. miles at 50,0 cents per mile (Currant Rote) 2. Total meals 3. (q- days attendance at $221.0 per day (pet Soard puGcyl 4, Meeting 5. Other Conference /Event: Location: Per Ordinance No. 55, "Board members shall provide brief reports on meetings attended at public expense at the next regular Board. meeti►44j." (Operations Code,. Sectioo. 3AI -G3* (rev. Vi 4q) = /r 3.,26 . n o Tutal $ _ �;z 61 06 Significant points learned of benefit to the District and Its ratepayers: Director Signatu a �. cr m J Ln M m OD N m m C0 N N m w LL 0 r� Q Y Costa Mesa Sanitary District ... Expense Reimbursement Form for Directors Name: 1. Attach all receipts. DATE OF EVENT PURPOSE OR OCCASION LOCATION TRAVEL' MEAL EXPENSE OTHER lfl�� 1 b 'Can be used for private aub as well as taxi, Ilmo and air fare. N. Calculation 1. ),00 miles at 50.0 cents per mile (Cumnt ft *m) 2. Total meals 3._ days attendance at $2giAo per day 4. Mee ing IVf"�VX rLW1 5, Other Other Conference/Event: Location: Per Ordinance No. 55, "Board members shall provide brief reports on meetings attended at pubNc expense at the next regular Board meeting." (Operations Code, Section 3.01.035) [nv.lno"s • 37..3 Total = $ I-q 17 ' 3 Significant points learned of benefit to the District and Its ratepayers: Director Signature: �J • TS LO N m Y m m Y 0 3 L� --I D 3 M z a 0 3 'D m m. Y Meetinq Date item Number 02/25/10. f VLIL AA 041:011"s "MW To: Board of Directors ... an Independent Specia(District Prom: Scott Carroll, General Manage Date: February 25, 2010 Subject: Standby Policy Summary Staff researched the possibility of revising the District's current standby policy. The results of our research are described in more detail below. Staff Recommendation That the Board of Directors approves repealing Rule 13, Section 2 of the District's Personnel Rules and Regulations and replacing it with the revised policy attached hereto. Analysis BACKGROUND Rule 13, Section 2 of the District's Personnel Rules and Regulations states: "If an employee is assigned to duty on a standby basis, he /she shall be paid at the rate of thirteen (13) hours at his /her regular rate of compensation for each week so assigned, plus compensation for each hour worked during such standby assignment. If a holiday falls .within the assigned standby week, an additional four (4) hours pay at his /her regular rate of compensation will be given to the person assigned to standby." Currently, C &R Drains is the District's first responder when an emergency arises such as a failed pump station or an SSO. C &R Drains has been in the sewer business for thirty years and they are located locally in Costa Mesa. Per the terms of the agreement, C &R Drains must respond immediately to after hour service calls and they must be on -site within thirty minutes or less after receiving the call. Because they have staff living in or near Costa Mesa, C &R Drains is able to meet this requirement of the contract. Last year, C &R Drains responded to 32 after hour service calls. This Protecting our community's health and the environment by providing sofid waste and sewer collection services. www.crosdcagov Board of Directors February 25, 2010 Paae 2 of 4 current fiscal year they have responded to 23 after hour service calls. The cost for C &R services is $175 an hour. Once on site, C &R Drains will assess the situation and take the following actions: 1. Public ROW SSO: After validating the SSO is not from a pump station fault, C &R Drains contacts National Plant Services to manage and resolve the SSO. a. If the SSO is caused by the pump station, C &R Drains contacts JIMNI Systems, Inc. b. If the SSO is flowing in the public ROW, C &R Drains will take corrective action until National Plants Services or JIMNI is on scene. Corrective action will include, but not limited to damming storm drains and containing the SSO. 2. Private Sewer Backup: After validating the District sewer main line is flowing free and clear, C &R Drains will discuss the situation and explain the District's Operation Code with the property owner. After determining there is not a District responsibility for the call, C &R Drains shall offer its services to resolve the backup at property owner cost. The District's Maintenance Supervisor is the secondary responder when C &R Drains cannot resolve after hour service calls. For instance, when a power outage occurs, C &R Drains will contact the supervisor because he is a licensed electrician. C &R Drains may also contact the supervisor for advice and /or directions in which the supervisor can resolve the issue over the phone and does not need to report to the site. When the supervisor is out on leave, C &R Drains will contact the Maintenance Operations Manager for advice and /or directions. The maintenance supervisor is not assigned to standby status because he is the secondary responder for after hour service calls. The District does not require any conditions on the supervisor such as staying in close proximity to Costa Mesa. FINDINGS Many organizations will have large pools of non - exempt personnel (hourly) who rotate being on standby every two weeks. For instance, the City of Costa Mesa has five employees who rotate being on standby. Claremont has six employees who rotated on standby. Generally, an organization will place restrictions on employees who are on standby status such as responding within 30 minutes, no consumption of alcohol, etc. The District has three non - exempt maintenance employees. One of our employees lives in Perris, which is 65 miles from Costa Mesa and too far to be on standby status. Another employee lives in Mission Viejo, which is less than 20 miles from Costa Mesa. However, he needs more experience working in the sewer industry and the skills and abilities to make quick decisions independently. The District's maintenance supervisor Board of Directors February 25, 2010 Page 3of4 is the only personnel that have the skills for maintaining sewer systems and experience making quick and independent decisions. If the District revises its Standby Policy I would then recommend specific conditions such as: • Employees will be assigned that exact dates and times to be on standby status. • Provide employees with either a pager or cell phone to facilitate contact. • Must be within 30 miles of District boundaries. • Cannot consume alcohol. • Cannot take prescription drugs without a doctor's consent. • If contact cannot be made with an employee who is on standby status or if that employee fails to perform the work required, that employee is ineligible for standby pay. However, enforcing the conditions mentioned above can create an unfair and inconsistent working condition because it will only affect one employee, the maintenance supervisor. It could also create a hardship because one employee is being required to be on standby status virtually forever. CONCLUSION The District is not a large enough organization to have a pool of standby employees. Enforcing the District's standby policy would create an unfair and inconsistent working condition and a possible hardship. In the future, there may become a time when the District has to assign an employee to be on standby status. For this reason, I am recommending revising the District's existing policy to reflect current industry standards and to ensure compliance with the Fair Labor Standards Act (FLSA). The District will continue with its current practice of using C &R Drains as its first responder for after hour service calls and the District's maintenance supervisor will continue to be the secondary responder. Legal Review This report along with the revised Standby Policy has been reviewed and approved by District Counsel. Financial Review In Fiscal Year 2008 -09, the District spent $10,026.29 on after hour service calls to C &R Drains. To date, the District has spent $5,678.55 on after hour service calls to C &R Drains. Employees responding to after hour service calls will receive overtime pay. • Board of Directors February 25, 2010 Paqe 4 of 4 Committee Recommendation N/A Public Notice Process Copies of this report are on file with the entire agenda packet at District Headquarters. Alternative Actions 1. Refer the matter back to staff 2. Do not approve the revised Standby Policy Attachment: Revised Standby Policy Financial Reviewed by: Sherry Kallab Administrative Manager Legal Reviewed by: al ��u Alan Burns District Counsel r • Costa Mesa Sanitary District Personnel Rules and Regulations Rule 13, Section 2 Date Board Approved SUBJECT: STANDBY POLICY PURPOSE: To establish procedures for personnel who are assigned standby status I. Purpose The purpose of this policy is to establish administrative and procedural guidelines and ensure compliance with Fair Labor Standards Act (FLSA) regulations regarding the compensation of classified (non- exempt) employees who are required to perform duties during non - scheduled, non regular hours. II. Scope This policy supersedes and replaces Rule 13, Section 2 of the District's Personnel Rules and Regulation and applies to all classified employees who are required to be on standby and are called out to work in order to respond to emergencies during non - regular work hours. III. Policy The District will compensate employees who are required by the District to respond to a call for service, which is received after normal working hours within a required response time. IV. Definitions A. FLSA Requirements According to FLSA employees who "...are not required to remain on their employer's premises, but are merely required to leave word at their home or with company officials where they may be reached, are not working ..." However, if employees are restricted and are effectively "engaged to wait" then compensation is required. Based on FLSA regulations, "...the requirement that an employee not report to work while under the influence of alcohol is a common requirement that does not trigger FLSA overtime." B. Standby Duty Classified employees who are responsible for responding to emergency locations that occur after regular normal working hours shall be considered on standby duty if memorialized in a writing or e-mail signed by the General Manager. If the General Manager is unavailable, the Operations Manager is authorized to approve standby duty status. Standby Policy Page 2 of 3 C] V. Procedure A. Scheduling 1. Special assignment (as determined by the employee supervisor or the General Manager) may be given to classified employees in order to make them available for work during non - regularly scheduled hours. 2. Standby personnel may trade scheduled standby time with other employees only with prior approval of their supervisor or the General Manager. B. Responsibilities 1. Standby personnel shall wear a cellular phone for District communication purposes during the entire standby period. 2. Standby personnel shall respond, once paged, as soon as possible to the location in need of service. 3. Standby personnel shall notify his /her supervisor of their arrival at the location. 0 4. Standby personnel must not consume alcohol and /or be on prescription and /or over the counter medication that would impair his /her ability to perform call out duties. If the employee is taking prescription medication(s), he /she will provide a doctor's note to his /her supervisor that releases the employee to work while taking the prescription medication. 5. Standby personnel must be located (while driving in District or private vehicle) no more than thirty miles outside of District boundaries while on standby duty VI. Compensation A. Standby Pay For each hour of standby duty assigned, the employee will be compensated at his /her flat hourly rate. If called out during the standby period, the employee receives "Call Out Pay' in lieu of Standby Pay B. Call Out Pay 1. If standby personnel are "called out" during a standby period, they will be compensated in accordance with overtime for the hours worked during Standby Policy Page 3 of 3 the "call out," with the clock starting at the time of the call out, if the employee is in a District vehicle. If the employee is in a private vehicle, the clock starts when they arrive at the District and clock in. 2. A minimum of two (2) hours of overtime will be paid for performing on -call emergency work. If more than two hours are worked, the employee will be compensated for those hours at his /her overtime hourly rate. 3. If contact cannot be made with an employee who is on standby status or if that employee fails to perform the work required, that employee is ineligible for standby pay. r� U • Meeting Date Item Number 02/25/10 Ix. A. COSTA MESA SANITARY DISTRICT RECYCLING COMMITTEE AGENDA Monday, February 22, 2010 12:00 p.m. Costa Mesa Sanitary District 628 W. 19th Street Costa Mesa, California (Directors Ooten and Schafer) I. Recycling Committee Goals for 2009 -2010 • II. Orange County Waste & Recycling Sub - Regional Meetings, Funding & Grant Program III. 2009 Telephone Book Recycling Program IV. Waste -Free Lunch V. CR &R Report on Other Agencies Recycling Programs VI. Report on Other CMSD Recycling Programs VII. Public Comments VIII. Next Meeting Date —March 22, 2010 Dated: February 16, 2010 Clerk of the District C. Meeting Date I Item Number 1. 02/25!10 X. A COST,9 9YES,9SA9N'zxARx�DrsTRTC7' Memorandum To: Board of Directors ... an Independent Special District Via: Scott Carroll, General Mana From: Alan R. Bums, District ounsel Date: February 25, 2010 Subject: Paulus Construction Claim CONFIDENTIAL: ATTORNEY - CLIENT Summary The District and Paulus are at loggerheads over change orders for the Bristol street job. Staff seeks guidance from the Board as to how to proceed. Staff Recommendation Staff recommends that we continue to negotiate, accept any amount as settlement as authorized by the Board, and seek OCDA funding for the change orders. Analysis The Newport/OCDA/CMSD Agreement The District entered into a contract with the City of Newport Beach and the Orange County Development Agency (the County's redevelopment arm) for the reconstruction of the Bristol Street sewer. The original agreement was to provide for additional sewer service for East Santa Ana Heights due to rezoning that occurred via a reconstructed pump station. However, due to the District's updated flow study and a new 15 gravity flow sewer line, as well as other improvements, the parties decided to provide said expanded service through a new line that was to be constructed in South Bristol Street and portions of Irvine Avenue. CMSD agreed to provide design services and to supervise the contract and to be the lead agency on the project. The District - estimated construction cost (including engineering and construction) was $1,147,125. The District was to be paid $114,712 for construction administration, including construction staking. If the contract exceeded that amount by 5 %, the OCDA had the discretion whether it would fund the additional money. CMSD was to administer the 0 Protecting our community's hearth and the environment 6y pro vidiing solid waste and sewer coffection services. www. crosdca.gov Board of Directors February 25, 2010 Paae 2 of 4 contract and provide progress payments, and OCDA was to reimburse CMSD. The new contract with Newport and the OCDA was signed around March of 2008. Award of the Construction Contract to Paulus In August of 2009, the District and Paulus entered into a contract for the construction of Project 129 — Bristol Street sewer replacement from Autoplex to Birch Street. The contract amount was for $775,048. The work began and problems were encountered almost from the beginning in October of 2009. Most importantly, an encroaching and undisclosed line forced the job to stop about 2/3 of the way along. The construction work was then stopped. However, the contractor, Paulus, has also asserted various extra work claims for conditions encountered. These include different soils conditions (wet), differing pavement and concrete conditions (necessitating greater removal efforts and costs) and underground lines that were not as depicted (causing related extra work). Paulus, who was to be paid for only a portion of the $775,048 amount because the job was shut down, has asserted $285,000 in change orders, which would bring the total amount owed to $781,578.86. The law on undisclosed conditions is provided in Public Contract Code Section 7104 as interpreted by Condon - Johnson v. Sacramento Utility District 57 Cal.Rptr.3d 849 (2007). That law provides that whenever a government entity requires excavation deeper than 4 feet, it must pay for extra work caused by undisclosed conditions encountered if those conditions were "indicated" in the contract. This case holds that this law will control over government disclaimers of liability unless the government is very clear that it is not "indicating a condition." We provide both specific descriptions of what is likely to be encountered along with disclaimers stating that the contractor must conduct his own investigation and that anything we provided must be confirmed from the bidders' own independent review of records. Not surprisingly, the contractor claims we "indicated" conditions, and when they turned out otherwise, he claims we owe him extra for that. An additional point of major contention is that we have specifically provided that in the event of damages caused by encountering undisclosed conditions that the contractor is limited to direct costs of performing the extra work and was not entitled to "overhead and profit" for the extra work. The contractor claims the contract does not say that and that it would be invalid if it did. He claims he is entitled to a 30% markup on everything based, not on the contract, but on his experience. That thirty percent is a large amount of this claim. There are about 16 change order claims, and they range in size from a few thousand to $88,000 each. A copy of relevant paragraphs of our contract, Paragraphs 15 and 36, are attached. The District has traded letters with the contractor and his attorney and has paid some smaller change orders we believed were justified. Paulus still contends that about $285,000 is owed. The General Manger and District Engineer have negotiated Paulus down to a total cost of completion to $720.000, but they are adamant that they will not take one penny lower and will litigate. 0 r Board of Directors February 25, 2010 Page 3 of 4 This claim, being under $375,000, would be subject to the Resolution of Construction Claims_ provisions of the Public Contract Code. The claimant would be required to participate in a meet and confer process, then mediation, and then arbitration before being entitled to a trial in court. The contract does provide for attorneys' fees, meaning the prevailing party is entitled to have the other side pay their reasonable attorneys' fees. That means the losing side pays for their own attorneys' fees and the other side's. The attorneys' fees in such a dispute could easily be $100,000 in a complex construction case. Additionally, Public Contract Code Section 20104.50 provides that interest runs unpaid on all undisputed amounts in a construction dispute. Separate from the legal dispute are efforts to have the OCDA pay for the change order amounts. The General Manager has been successful in tracking down the appropriate staff from OCDA. On February 9, 2009, the General Manager had a conference call with OCDA staff. We learned from OCDA staff that Orange County Board of Supervisor John Moorlach's office is involved with the funding of this project. OCDA staff indicated that the changer order amount the District is requesting would have to be approved by the Board of Supervisors. OCDA staff requested an e-mail from the District to formally request OCDA to fund the changer order amount and the final construction cost of $720,000. OCDA staff will distribute the District's correspondence along with other pertinent information regarding this project to Supervisor Moorlach's office. The General Manager sent the request to OCDA staff on February 9 along with another request to have OCDA fund the remaining 1/3 of the project for approximately $750,000 (includes design and construction cost). It is anticipated that the Board will be fully briefed by the General Manager on any new developments regarding this issue. Legal. Review This report was prepared by District Counsel. Financial Review Total cost to complete 2/3 of this project without change orders is $496,578.86. Paulus Engineering, is requesting an additional $285,000 in change orders, which will bring the total cost of completion to $781,578.86. District staff has successfully negotiated a reduction in the change order cost that will bring the total cost to $720,000. Paulus has indicated that if the Board of Directors denies this settlement, he will submit a public works claims for the full amount, as per California Public Contract Code, Section 20104 - 20104.6. As mentioned earlier, attorney fees for such a dispute could easily cost $100,000. That cost could double if we lose this claim. Board of Directors February 25, 2010 Page 4 of 4 Committee Recommendation Not applicable. Public Notice Process Copies of this report have not been provided publicly, because these are attorney - client communications to be discussed in closed session. Alternative Actions 1. Deny the settlement and require the claimant go through the dispute resolution process (meet and confer, mediation, arbitration, litigation) with decisions being made at each stage as to whether to go further. 2. Accept their last offer. 3. In conjunction with the above options, continue to pursue OCDA funding for the payment of change orders. Attachment Financial Reviewed by: Sherry Kallab Administrative Manager NOV -16 -2009 11:00 FROM COSTA MESA SAN DIST Costa Mesa Sanitary District CMS6 #129 Bristol Street Sewer Replacement TO ALAN BURNS P. 05/29 Construction Agreement -5 11. _Disputes Pertaining to Payment for Work Should any dispute arise respecting the true value of the work done, of any work omitted, of any extra work which CONTRACTOR may be required to do, or respecting the size of any payment to CONTRACTOR during the performance of this Contract, such dispute shall be decided pursuant to Section 20104 through 20104.8, Public Contracts Code, as the same is now in force and as the same may be amended from time to time, provided that the dollar amount of the dispute is within the statutory limits set forth therein. 12. Permits - Compliance With Law CONTRACTOR shall, at CONTRACTOR's expense, obtain all necessary permits and licenses for the construction of each improvement, give all necessary notices and pay all fees and taxes required by law. 13. Superintendence by CONTRACTOR • CONTRACTOR shall give personal superintendence to the work on said improvement or have a competent foreman or superintendent satisfactory to the DISTRICT Engineer on the work at all times during progress with authority to act for him. 14. Observance by DISTRICT CONTRACTOR shall at all times maintain proper facilities and provide safe access for observation by DISTRICT to all parts of the work and to the shops wherein the work is in preparation. 15. Extra and /or Additional Work or Changes Should DISTRICT at any time during the progress of said work request any alteration, deviations, additions, or omissions from said specifications or plans or other Contract Documents, it shall be at liberty to do so, and the same shall in no way affect or make void the Contract, but will be added to, or deducted from the amount of said contract Price, as the case may be, as provided in paragraph 36. • NOV -16 -2009 11:02 FROM COSTA MESA SAN DIST TO ALAN BURNS P.19i29 Costa Mesa Sanitary District Construction Agreement CMSD #]29 _ 19 Bristol Street Sewer Replacement 34. Governing Law This Contract and any dispute arising hereunder shall be governed by the law of the State of California. 35. Inte ration The parties agree that this document represents their entire agreement and that this AGREEMENT may not be subsequently modified unless said modification is made in writing and is signed by both parties. 36. Changes DISTRICT may, by written change notice, make changes in the work, changes in or addition to the specification, require additional work or services or direct the omission of • work or services covered by this AGREEMENT. If any such change or requirement causes any increase or decrease in the CONTRACTOR's cost of performance of this AGREEMENT, an equitable adjustment shall be made and the AGREEMENT modified in writing accordingly. No claim by CONTRACTOR for adjustment under this paragraph shall be valid unless asserted in writing by CONTRACTOR within thirty (30) days from the date of receipt of said written change notice signed by the DISTRICT's Engineer or the President and Secretary of the Board of Directors, as appropriate. CONTRACTOR shall make no additions, changes, alterations or omissions except upon the written change notice of the DISTRICT Engineer given before the work is to be done or before services are rendered. The DISTRICT Engineer shall only have authority to order changes when CuN4v4A 7�Ye the work is of ^value less than 10% of the contract amount or F/FTEENEN THOUSAND t NOV -16 -2009 11:02 FROM COSTA MESA SAN DIST TO ALAN BURNS P•20i29 Costa Mesa Sanitary District •CMSD # 129 Bristol Street Sewer Replacement 0 Construction Agreement -20 DOLLARS ($15,000.00) whichever is greater. All other changes must be approved by the Board of Directors. A. Extra Work Damages. Should CONTRACTOR encounter extra work due to the discovery of unforeseen conditions that CONTRACTOR should not have anticipated based in its own independent investigation, or due to changes in the project made by DISTRICT, CONTRACTOR shall immediately bring such condition to the attention of the DISTRICT's Engineer and shall submit a Request for Change Order within thirty (30) days in the form set forth in the Contract Documents. All such requests for extra compensation shall be subject to the approval of the Board of Directors unless within the authority of the DISTRICT Engineer, B. Limitation of Damages. CONTRACTOR shall be limited in the damages that it may recover under this Agreement. CONTRACTOR shall be limited to extra days for delay time and any direct costs related thereto, and to the direct costs of completing extra work. "Direct Costs" shall be those items defined in Section 33.2.2 Basis for Establishing Costs, Standard Specifications for Public Works Construction, 1997 edition. Excluded from direct costs shall be mark ups on materials, equipment rentals or other items or expenditures, so- called "Eichleay damages" including, but not limited to, home office overhead, lost bonding capacity, lost profits, and lost interest. r Meeting Date I Item Number 02/25/10 J X. B. To: Board of Directors ...ran Independent ,Specia(Distrzct Via: Scott Carroll, General Manager moo From: Robin B. Hamers, District Engineer Date: February 25, 2010 Subject: Project #101 West Side Pumping Station Abandonment Summary Staff is providing the Board with an update on this capital improvement project. The purpose of the project is to abandon six Costa Mesa Sanitary District pumping stations. Staff Recommendation The Board of Directors receives and files this report. Analysis Attached are documents from the Orange County Sanitation District (OCSD) stating OCSD intends to begin a two to three year design phase beginning July 1, 2010 followed by a two year construction schedule for the regional Southwest Costa Mesa Trunk Sewer. The trunk sewer will allow the CMSD to abandon six pumping stations, allow Newport Beach to abandon one pumping station, allow abandonment of one private pumping station, and alleviate the need for the north half of the Banning Ranch to contain a pumping station upon its development. Previous CMSD estimates disclose the CMSD requires approximately $2 -3 million to abandon its pumping stations. Project #101 West Side Pumping Station Abandonment receives a yearly contribution of $250,000 from the yearly capital improvement program and the 2010- 2011 fiscal year will be the 4th yearly contribution, giving the CMSD the approximate funds necessary for abandonment of the President Pumping station and the Canyon Pumping Station, the two largest pumping stations being abandoned. The 2010 -2011 Capital Improvement Program will also include a proposal to begin project coordination, easement acquisition, and conceptual design with OCSD and the various agencies and entities involved, including the City of Costa Mesa as owners of Canyon Park, the City of Newport Beach as owners of one of the pumping stations to be abandoned and as owner of the transmission sewers the CMSD desires to use for abandonment of the CMSD Board of Directors ' February 25, 2010 Page 2of2 19 Street Pumping Station, the County of Orange as owners of the land where the City of Newport Beach and CMSD sewers will connect to the OCSD trunk, and the County as owners of the land where the OCSD Southwest Costa Mesa Trunk Sewer will be located. It is anticipated the CMSD District Engineer will begin actual design of the abandonment construction plans on July 1, 2011. When the CMSD constructed the first leg of the abandonment sewer system in the City of Costa Mesa's Canyon Park, environmental review was required and Coastal Commission approval needed. Initial discussions with OCSD will include whether an EIR is required and the lengthy timeframe within which this will be accomplished. It is also possible resistance to the regional sewer may occur from environmental groups due to the raw land nature of the area as well as from the standpoint of bringing up arguments over whether the project is a precursor to extending 19th Street as it did when these regional sewers were first discussed in the 1980s. Legal Review None Financial Review Staff is preparing the design cost for abandonment construction plans and will have this proposal available to the Board during the Fiscal Year 2010 -11 Budget Review process. The total amount saved to date for the President Pumping and the Canyon Pumping Stations is $750,000. • Committee Recommendation The Sewer System Committee will be reviewing this item on February 16, 2010. Any recommendations from the committee will be presented to the Board at tonight's meeting. Public Notice Process Copies of this report are on file with the entire agenda packet at District Headquarters and on the District's website. Alternative Actions 1. Refer the matter back to staff. Attachment: Schedule and e -mails from OCSD Financial Reviewed by: n c� Sher K lab rY Administrative Manager Scott Carroll From: Scott Carroll Sent: Tuesday, January 26, 2010 3:34 PM 'Ghirelli, Robert' Object: RE: 6 -19 Southwest Costa Mesa Trunk Update (1- 26 -10) Thanks, Bob. I was a pleasure meeting you yesterday. I am looking forward to working with you too. Scott Carroll General Manager Costa Mesa Sanitary District 628 W. 19th Street Costa Mesa, CA 92627 (949) 645 -8400 scarroll @crosdca.gov From: Ghirelli, Robert [mailto:RGHIRELLI @OCSD.COM] Sent: Tuesday, January 26, 2010 8:56 AM To: Scott Carroll Subject: FW: 6 -19 Southwest Costa Mesa Trunk Update (1- 26 -10) Scott, here is status of the project you asked about at lunch yesterday. Project planning expected to start July 2010 with a 2 -3 year design phase, followed by a 2 year construction dtchedule. If you or your staff would like more detailed information about the project, please ntact Jim Burror, contact information listed below. Look forward to working with you in the future. :•7 Robert P. Ghirelli Assistant General Manager Orange County Sanitation District 714 - 593 -7400 (ph) 714 - 968 -4389 (fax) rghirelli(cDocsd.com Assistant, Gail Garrett - 714 - 593 -7101 www.ocsd.com From: Burror, Jim Sent: Tuesday, January 26, 2010 7:32 AM To: Ghirelli, Robert Cc: Fisher, Dean Subject: 6 -19 Southwest Costa Mesa Trunk Update (1- 26 -10) !I The OCSD Project 6 -19, Southwest Costa Mesa Trunk, is slated to start project development July 1, 2010. The project will likely have to 2 to 3 year design process followed by a 2 year construction period. Thanks 0 Jim Burror Engineering Supervisor Orange County Sanitation District 714 - 593 -7335 (W) / 714 - 962 -5018 (F) www.ocsd.com 10844 Ellis Avenue Fountain Valley, CA 92708 • n U 0 0 0 11-h Dne 10101010101 Ojolai C4CgQ1C4,4 0 101 Q1 C4 O Q Q 19 0 1 cq a] 01 a] alai Q1 0101 Q1 Acq Q1cq am 01 A 010101 Q1 01010 O 040 I c4 I alal 0 19 0 0101010 1 OM Q1 OM 01 OD F'bd ndba of corlWbtlai Z8 -May10 t10 : : : ^° '_.- - -.'•. '.,. -. 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OCSD ♦BaWAne Westone Capital Improvements Program Data BB Or 014r.o Major Milestone Report Page 14 o154 Meeting Date Item Number 02/25/10 1 X. C. To: Board of Directors ... an Independent Special District Via: Scott Carroll, General Manager woo From: Robin B. Harriers, District Enginee Date: February 25, 2010 Subject: Project #182 Analysis of CCTV Results Summary Staff is providing the Board with an update on this capital improvement project. The purpose of the project is to review the televising information and prepare a recommended District -wide sewer improvement plan. Staff Recommendation The Board of Directors discusses and accepts the project report. Analysis Attached is the project report resulting from analyzing the closed circuit television (CCTV) data acquired during the OCSD Cooperative Projects Grant Program (CMSD #170). The project report sets the stage for the yearly system wide repairs necessary to insure the system works eff iciently and reaches its life expectancy without experiencing significant and expensive failures. The CMSD sewer system includes 216 miles of sewer mains, all of which were televised. The report shows 239 reaches (manhole to manhole) each contained one or more Grade 5 structural ratings and another 34 reaches each contained one or more Grade 5 maintenance ratings thereby indicating 283 reaches are in need of immediate repair. Ratings vary from one to five (1 -5) and Grade 5 ratings are considered severe and in need of immediate repair. Grade 4 ratings indicate the need for monitoring and future repair. Board of Directors February 25, 2010 Page 2of2 Legal Review None Financial Review Cost estimates shown in the project report indicate the first 30 reaches with structural deficiencies plus the first 30 reaches with maintenance deficiencies can be repaired for a total of approximately $700,000 (exclusive of staff time). Committee Recommendation The Sewer System Committee will be reviewing this item on February 16, 2010. Any recommendations from the committee will be presented to the Board at tonight's meeting. Public Notice Process Copies of this report are on file with the entire agenda packet at District Headquarters and on the District's website. 40 Alternative Actions 1. Refer the matter back to staff. Attachment: Project Report Financial Reviewed by: Additional information regarding the estimated $700,000. cost will be reviewed and presented to the Board at the preliminary budget meeting. Sherry Kallab Administrative Manager • • CAPITAL IMPROVEMENT PROJECTS BASED ON CLOSED CIRCUIT TELEVISION (CCTV) INSPECTION VIDEOS AND REPORTS No. 182 Prepared By: Joseph P. Sinacori II, PE • Project Engineer Costa Mesa Sanitary District Robin B. Hamers, PE District Engineer Costa Mesa Sanitary District RC 31720 �EXP 2010 IVII �Q gTF0F CAIIF February 8, 2010 c: Capital Improvement Projects Based On SA N7P,\ CCTV Inspection Videos and Reports 1/I Project No. 182p - aj �RATQ Background The Costa Mesa Sanitary District (CMSD) first televised the District's sewer mains in four phases from 1989 -1992. The low bidder on all four phases was National Plant Services, Inc. (DIPS), and the closed circuit television (CCTV) results were used as a basis for the District -wide repair program. Structural repairs were made, pipe was reinforced with stainless steel sleeves (Link -Pipe from Canada), manholes were rehabilitated, and root cutting and foaming (to kill roots) were completed, all part of a yearly improvement program. In 2005, the District applied for and was awarded a Cooperative Projects Program grant from the Orange County Sanitation District (OCSD) for televising the 216 mile main line system in order to determine sources of Infiltration and Inflow (I/I). The District televised the system from January 2006 to March 2009. Infiltration is defined as rain water or other surface water seeping into the ground and entering the sewer system underground through cracks in the pipe, • misaligned joints, or through cracks in manhole walls. Inflow is rain water or other surface water that enters the sewer system at ground level through the vent holes in the manhole covers caused by flooded streets or through illegal connections such as homeowners or business owners relieving their on -site drainage problems by draining the water to the sewer system. I/1 causes severe strain on OCSD's treatment plants by introducing as much as 250 million gallons of water in one day to the already 211 million gallons of typical daily wastewater. Therefore, OCSD developed the Cooperative Projects Program to provide funding for Member Agencies (MAs) such as the CMSD to identify and reduce I/I from their service area. Based on the CCTV results inside the CMSD, only two isolated incidences of infiltration were occurring, and these were repaired immediately upon discovery. I/I occurs in significant amounts in the CMSD due to Inflow. Therefore, the CMSD created its Inflow Reduction Program and is actively working to seal manhole covers and cease all illegal i Page 2 of 6 • Capital Improvement Projects Based On /b^ ",�\ CCTV Inspection Videos and Reports Project No. 182 connections. The incidence of 1/1 is a violation of OCSD's ordinances and the State of California Water Resources Control Board's Waste Discharge Requirements, Order No. 2006 - 0003 -DWQ. In addition to the CCTV project identifying I /I, the results identified all the structural and maintenance problems within the system. This project, CMSD 4182 Analysis of CCTV Results, consists of a review of all the problems in the system and creation of a long -term repair program. The repairs are being funded by CMSD #183 District -Wide Sewer Repair at a yearly contribution of $700,000 beginning in fiscal year 2008 -2009. Means to An Effective Repair Program Statutory laws require sewer projects of $15,000 or greater to be formally placed out to bid with the Board of Directors making the award. However, the District has the option of adopting the Uniform Construction Cost Accounting Method (UCCAM) where projects of $125,000 or less may be awarded through informal bidding. The majority of the repair projects identified in this analysis project have construction costs less than $125,000. This is in addition to the majority of projects constructed in support of the Maintenance Supervisor's operations and maintenance program (O &M) being below $125,000. The UCCAM was previously introduced to the Board of Directors and approved for adoption. Because the analysis project is complete and repairs are soon to begin, it is recommended this method be formally adopted. Proiect Results The Costa Mesa Sanitary District (CMSD) prepared this capital improvement report based on closed circuit television (CCTV) inspection videos and reports. The CMSD contracted with National Plant Services to televise and provide inspection reports for all the gravity sewer mains in the system, which totals approximately 216 miles of pipe. National Plant Services utilized the Pipeline Assessment and Certificate Program (PACP) developed by the National Association of • Page 3 of 6 Capital Improvement Projects Based On *��T a, CCTV Inspection Videos and Reports ! `\ Project No. 182 ,`.��JQO`i i Sewer Service Companies (NASSCO) to analyze the sewer lines. The structural and maintenance problem areas were graded using the PACP system, which rates the problem areas from 1 to 5 depending on the severity of the problem as summarized in Table 1 below. An example of a structural grade 5 (S5) is a pipe with a large fracture that has created a hole in the pipe. An example of a maintenance grade 5 (M5) is a pipe with excessive roots or large sag. Table 1 PACP Gradrng Systemor5,5trtural & Ibeane, problems in Sewer Systems. ; Grade Category Description 1 Excellent Minor Defects 2 Good — -- -_... - -- Defects that have not begun to deteriorate ... - _ - - - -- — — - 3 _ Fair - _ -- _ Moderate defects that will continue to deteriorate 4 Poor Severe defects 5 Immediate Attention Ver severe defects re uirin immediate re air National Plant Services worked for approximately three (3) years from January 2006 to March 2009 televising the CMSD gravity sewer system. An inspection report was provided for each . reach of sewer, which typically consisted of a sewer line extending between two (2) manholes. The inspection reports were sorted based on the PACP quick grade rating. The PACP quick grade rating is a shorthand way of expressing the number of occurrences for the two highest severity grades. The quick grade rating is a four character score defined as follows: 1) The first character is the highest severity grade occurring along the pipe segment. 2) The second character is the total number of occurrences of the highest severity grade. If the total number of occurrences exceeds 9, then alphabetic characters are used to define the reach as follows: A = 10 to 14 occurrences, B = 15 to 19, C = 20 to 24, and D = 25 or greater. 3) The third character is the next highest severity grade occurring along the pipe length. 4) The fourth character is the total number of the second highest severity grade occurrences as defined in Item 2 above. An example of the quick grade rating is 3224 which indicates two grade 3 defects and four grade 2 defects. This rating also indicates that there were no grade 4 or 5 defects in the reach, If a pipe • Page 4 of 6 Capital Improvement Projects Based On A sir, . CCTV Inspection Videos and Reports Project No. 182 'PORA�j/ segment only has defects of one grade, the first two characters are the grade and quantity of defects, and the last two characters are 00 (two zeros) denoting no other defect grades. Note that a pipe segment with no defects would have a quick grade rating of 0000 (all zeros). The CMSD system was sorted by quick structural and quick maintenance ratings as provided in Appendix A and B to determine the worst structural and maintenance areas. There are 239 quick structural ratings with the highest severity grades equal to 5. There are 34 quick maintenance ratings with the highest severity grade equal to 5. It is recommended to begin the repair program by repairing the pipe segments with the top 30 of the highest quick structural ratings and the top 30 highest quick maintenance ratings as shown in Table 2 and 3. The engineer's cost estimate to repair each pipe section as shown is based on the particular problems encountered in each reach of sewer, and the unit costs for various types of repair are shown in Appendix C. The inspection reports for these pipe segments are located in Appendix D. 0 The total cost estimate to repair the pipe segments with the top 30 highest quick structural ratings and top 30 highest quick maintenance ratings is approximately $685,670, however, once the repair program begins, additional cost data on small repairs will become available to better forecast future costs. Traffic control and other contingencies may also affect costs as each repair is a project in itself. The cost estimates provided were based on previous cost data and information from contractors performing this type of work. The CMSD capital improvement budget for the repairs is $700,000 per year beginning in fiscal year 2008 -2009. It is noted there are numerous other pipe segments that need repair in the system with grade 4 and 5 ratings. It is recommended to repair these beginning upon completion of the repairs shown herein. The CMSD sewer system has performed exceptionally well over the years with one of the reasons being the continued repair of problem areas. The first televising project performed in 1989 -1992 was followed by years of large and small repair projects. The same dedication to the system is necessary today based on the CCTV data reviewed for this report. A grade 5 rating is indicative of a severe problem while a grade 4 rating requires monitoring and eventual repair as Page 5 of 6 Capital Improvement Projects Based On A sir, . CCTV Inspection Videos and Reports Project No. 182 'PORA�j/ segment only has defects of one grade, the first two characters are the grade and quantity of defects, and the last two characters are 00 (two zeros) denoting no other defect grades. Note that a pipe segment with no defects would have a quick grade rating of 0000 (all zeros). The CMSD system was sorted by quick structural and quick maintenance ratings as provided in Appendix A and B to determine the worst structural and maintenance areas. There are 239 quick structural ratings with the highest severity grades equal to 5. There are 34 quick maintenance ratings with the highest severity grade equal to 5. It is recommended to begin the repair program by repairing the pipe segments with the top 30 of the highest quick structural ratings and the top 30 highest quick maintenance ratings as shown in Table 2 and 3. The engineer's cost estimate to repair each pipe section as shown is based on the particular problems encountered in each reach of sewer, and the unit costs for various types of repair are shown in Appendix C. The inspection reports for these pipe segments are located in Appendix D. 0 The total cost estimate to repair the pipe segments with the top 30 highest quick structural ratings and top 30 highest quick maintenance ratings is approximately $685,670, however, once the repair program begins, additional cost data on small repairs will become available to better forecast future costs. Traffic control and other contingencies may also affect costs as each repair is a project in itself. The cost estimates provided were based on previous cost data and information from contractors performing this type of work. The CMSD capital improvement budget for the repairs is $700,000 per year beginning in fiscal year 2008 -2009. It is noted there are numerous other pipe segments that need repair in the system with grade 4 and 5 ratings. It is recommended to repair these beginning upon completion of the repairs shown herein. The CMSD sewer system has performed exceptionally well over the years with one of the reasons being the continued repair of problem areas. The first televising project performed in 1989 -1992 was followed by years of large and small repair projects. The same dedication to the system is necessary today based on the CCTV data reviewed for this report. A grade 5 rating is indicative of a severe problem while a grade 4 rating requires monitoring and eventual repair as Page 5 of 6 Capital Improvement Projects Based On CCTV Inspection Videos and Reports Project No. 182 OIJTBV/ well. A comprehensive preventative maintenance program consisting of small repairs now will alleviate larger more costly repairs at a later date, while also preventing sewer overflows, and will serve to increase the life expectancy of the overall system. • Page 6 of 6 • �� d' k'Tble� 5% afdlc ;iuctura�;rtlrToi'01�t�erte 5 Hitghest Seventy k =� ,., ..... , .. i t S M. :, -k k Gi SGYr.x^'•h, .::• ;i !C[ g 7L' A:9 4 F SS.i.n SECizon :; t >SD iA F .. N - v .• t. 5 ry." +Lostark N_uriiber ;Street : ,Description Stx raT Sewer Pipe Lengtli Recommended Repair Repair Rating . 3795 Santa Ana Ave. Rose Lane to 350' 5344 159 350' Root Cutting & Foaming and $17,500 Southwesterly Structural Lining 3427 Victoria St. Sterling to Pomona 5342 146 264' Root Cutting & Foaming and $13,200 Structural Lining 3891 Tustin Ave. Costa Mesa St. to 92' 5341 136 92' Remove & Replace 6' Section $10,000 Northeasterly 2487 Governor St. Esmt. Puente to 200' Westerly in 4 533B 146 200' Root Cutting & Foaming and $10,000 back yards Structural Lining 2754 17t' St. Superior to 342' Westerly 5300 152 342' Remove & Replace 6' Section $10,000 4072 Raymond Ave. 170' Northeasterly of 19`s to 524C 136 & 333' Remove & Replace 12' Section and $36,650 163' Southwesterly of 19'h 137 Structural Lining 4579 Mesa Dr. Irvine Ave. to Riverside 524A 164 270' Structural Lining $13,500 2912 Leila Ln. Diana Ln. to Dover Drive 5249 135 270' Root Cutting & Foaming and $13,500 Structural Lining 47 Baker St. 170' East of Andros to 515' 5244 187 345' Structural Lining $17,250 East of Andros 2717 17th St. Alley Westminister to 350' 5244 140 350' Root Cutting & Foaming and $17,500 (Sparks St.) Southerly Structural Lining 3478 Newport Blvd. 210' Southwest of Bay St. to 5243 149 280' Structural Lining $14,000 ' 490' Southwest of Bay St. 3624 Colleen Pl. Santa Ana Ave. to 272' 5243 160 272' Root Cutting & Foaming, Structural $16,100 Southeasterly Lining and Fix Manhole Base Remove & Replace 6' Section, Root 2136 191, St. Monrovia to 280' Easterly 5243 154 280' Cutting & Foaming, and $24,000 Structural lining 3457 Newport Blvd. Cecil to Albert 5242 159 329' Remove & Replace 6' Section and $26,450 Northbound Structural Lining 3167 Park Ave. 19`h Street to 250' Southerly 5242 150 250' Structural Lining $12,500 4590 21" St. 208' Southeast of Pump 5241 159 208' Structural Lining $10,400 Station No. 21 73727 Orange Ave. 265' Northeast of 23rd d t. t0 535' Northeast of 23 St. 5241 161 270' Structural Lining $13,500 97; jI* _ GStG @NI.S ° Table °'°MSD Qut�lS Nru ral RathiYt<i Top 34 of ihe'aiek5 ghest Seventy a Section 5 wer, Number Street Descrt tton p Stuctural Pr eLcn th P $ Recommende d Repair Rating Atlas Rpa�r�" 4605 Bristol St. 196' Northeast of Randolph to 5241 178 178' Structural Lining $8,900 374' Northeast of Randolph 3750 Brentwood St. 129' Southeast of Fairway to 5241 161 345' Structural Lining $ 17,250 474' Southeast of Fairway 2513 Industrial Way Superior to 323' Southeasterly, 5241 140 323' Structural Lining $16,150 2364 Bernard St. Charlie St, to 338' Westerly 5241 148 338' Remove & Replace 6' Section $10,000 4311 ,� 18 St. 262' East of Monrovia to 5241 154 252' Remove & Replace 6' Section $10,000 514' East of Monrovia 2611 Monrovia Ave. 265' North of 17'h St. to 5239 153 317' Remove & Replace 6' Section and $25,850 582' North of 17 St. Structural Lining 1984 City Hall Private Line 5237 168 334' Remove & Replace 6' Section and $26,700 Parking Lot Structural Lining 22nd St. to 330' northeasterly 3723 Orange Ave. to Virginia Pl. 5235 159 330 Structural Lining $16,500 3049 Rural Pl. Terminal manholey 175' 5233 159 175 Root Cutting & Foami g and $8,750 soulheasterl Structural Loring 480 Gisler Ave. Between College and Harbor 5232 196 206' Structural Lining .$10,300 ] 02031 Yorktown Lane Saratoga Way in 5200 169 Remove & Replace 6' Section and $10,000 Tract No. 5160 E352' Remove Obstructions From Lateral j 1418 Harbor Blvd. South of Sunflower 5200 196 Remove & Replace 6' Section $10,000 Easement Cost to Repair Quick Structural Ratings With Top 30 of the Grade 5 Highest Severity $446,450 • Based on estimated unit costs shown in Appendix C. 0 0 0 0 0 `t' _ t�' -:¢.: ;x:ir, t4ij. , - LLiRd1 ^,. 7 ` .44CSL"•+n _� '. p 3t a[ e 1 C141SI� ck 1Vi eEra- m i� "Top s o ems" rade S T ig1%e 5 erit3 ;Z—ANN, .:. .; ... ._,. .. ., .,....:�':. "......_. 0..A.., ..` -''' =. "i'_dAii.•.L.DeLolsn Section x:li! S1 Q Cost l ,. Number Street ::: Description Maintena $ewer. . ; 1P>pe Length Recommended Relfair Repau �. At as 4584 Pinecreek Complex Between Fairview Rd. and 582F 169 350' None $0 Vanguard Way 2624 Monrovia Ave. 17rh Street to 331' Southerly 5242 153 331' Root Cutting & Foaming and $16,550 Structural Lining 628 Coolidge Ave. Charlston Northerly to OCSD 5146 189 130' Already Fixed $0 Esmt. Red Hill Trunk 2926 Magnolia St. Alley Tustin to 339' Southerly 5143 137 339 Root Cutting & Foaming $3,390 4194 Placentia Avenue Estancia High School Lateral . 5143 157 148' Root Cutting Foaming and Remove $41,480 & Replace e 20' Section at Sag 4353 Irvine Ave. Esmt. 60' Southwesterly of Ester to 5142 136 80' Root Cutting & Foaming $800 140' Southwesterly of Ester # 1988 City Hall / Vanguard College Lateral 5142 168 280' Remove Pipe or Cable Obstruction and $24,000 Vanguard Esmt. Structural Lining 3322 Tustin Ave. Santa Isabel to 301' 5142 162 301' Root Cutting & Foaming and $15,050 Northeasterly . Structural Lining 2704 Clay St. Alley Alley between Orange / Bolsa from 15`s St. to Southwest 5142 139 120' Root Cutting &Foaming $1,200 1244 Nassau Road East & West of Andover 5141 170 342' Root Cutting & Foaming $3,420 Place 4491 W alnut PI. Esmt. Irvine Ave. Crossing Between 5141 136 62' Already Fixed $0 Cross Over Walnut i Costa Mesa St. 310 Northwesterly of Irvine Root Cutting &Foaming and 2925 Broadway Alley to 610' Northwesterly of 5141 137 300' Structural Lining $15,000 Irvine 2752 16 St. 2.55' West of Pomona to 5141 151 205' Root Cutting &Foaming $2,050 460' West of Pomona 1687 Tern Circle Esmt. On 2756 Tern Circle Property ` 5134 172 146' Root Cutting & Foaming $1,460 4268 Park Dr. Esmt 18'h Street to 248' Southerly 5133 150 248' Root Cutting & Foaming and $12,400 Structural Lining 982 Presidio Dr. Junipero Dr. to 322' Easterly 5132 176 322, Root Cutting & Foaming and $13,220 &177 Remove Obstruction in Lateral 147 Oregon Ave. 92' Southwest of California 5132 198 320' Root Cutting & Foaming and $16,000 St. to 320 Southerly Structural Lining zK '91) a " ui� ' '` S SF iina u s 2aax, `ao�' 5 - Ei st T'ab E�3 lCMQu e�ai11t47t `X`ce'katrn gs Wzfh� o 0 of the a 5* g , st Severity Section .. Q. m {; t✓ostFfb'' -> ' Street Descnption Maintena Sewer" Pipe L- ength T%ecommended Repair Repair Number ..nee Rating Atlas 94 Harbor Blvd. 175' South of Gisler Ave. to ! 5131 187 339' Heavy Cleaning $3,390 514' South of Gisler Ave. 2450 Sea Cove Terminal manhole to 5131 158 180' Root Cutting & Foaming $1,800 180' Westerly 97 Adams Ave. Shantar to 236' Westerly 512A 171 236' Heavy Cleaning $2,360 4048 Dawnview Ln. Heather Lane to 5124 162 299' Heavy Cleaning $2,990 Easement 160' Northwesterly 2887 Cabrillo St. Easement Southeast of 5123 141 136' Heavy Cleaning $1,360 Easement Newport Boulvard 1215/1216 Fair Dr. City Hall Parking Lot 5121/5123 168 350' Root Cutting & Foaming $3,500 Easement Entrance to 350' Wester! 1986 City Hall / City Hall Parking Lot 5121 168 157' Remove Pipe or Cable Obstruction and $17,850 Vanguard Esmt. Structural Lining 664 Randolph Ave. Baker Ave. to 330' Southerly: 5121 178 330' Remove Pipe or Cable Obstruction and $26,500 Structural Lining Terminal Manhole at 15th St. 2705 Clay St. Alley 5121 to 120' Southwesterly 139 120' Root Gutting & Foaming $1,200 3318 Grenoble Lane Cleanout at Monaco Terrace ! 5111 162 113' Root Cutting & Foaming $1,130 to 11.3' Northwesterly 3259/3265 Orchard Dr. Terminal Manhole at Acacia ~, 5111/5100 167 275' Root Cutting & Foaming $2,750 St. to 275 Southeasterly 3237 Mesa Dr. Bayview Ave. to 5111 167 115' Root Cutting & Foaming and $5,750 115' Southeasterly Structural Lining 4574 Fairview Rd. Private line from Arlington 5100 175 65' Heavy Cleaning $650 Dr. to 65' Southerly 2038 Yorktown Lane Terminal Manhole at Saratoga; 5100 169 197' Heavy Cleaning $1970 to 197' Southwesterly Cost to Repair Quick Maintenance Ratings With Top 30 of the Grade 5 Highest Severity $239,220 * Based on estimated unit costs shown in Appendix C. 0 9 0 • • SEWER SYSTEM COMMITTEE AGENDA February 16, 2010,10:30 a.m. Costa Mesa Sanitary District 628 W. 19th Street Costa Mesa, California Directors Monahan, Ooten and Ferryman Meeting Date Item Number 02/25/10 XI. A. I. Monthly Spill Statistics II. CMSD Inflow Reduction Program A. Update on Staff Efforts — District -Wide Area Investigation — Rainfall Data B. Orange County WDR Steering Committee Questionnaire (1/1) III. CMSD Map Upgrades /Geographical Information System (GIS)/CMMS — Update IV. SCADA Upgrade Status — Update V. CMSD Sewer Cleaning/CCTV Program — Update VI. Food Service Establishments Status — Update. VII. SARBS -CWEA Collections Training Seminar 1 -21 -10 — "Private Property Sewer Laterals" Panel VIII. CMSD Projects: A. Project #101 — Westside Pumping Station Abandonment B. Project #129 — Bristol Street Sewer C. Project #164 — Miscellaneous Sewer Work D. Project #171 — Irvine Pumping Station Force Main Rehabilitation E. Project #175 — OCSD Grant — Televising CMSD Sewer Lines F. Project #182 — Analysis of CCTV Results G. Project #183 — System -Wide Sewer Repair H. Project #186 — Sewer Lateral Assistance Program 1. 2 -Way Clean Out Standards I. Project #187 — District Yard IX. 5,000 Gallons of Sewage Spills Into Storm Drain — La Jolla — 1 -22 -10 X. Other XI. Next Meeting: 3-16-10,10:30 a.m. X11. Public Comments Dated: February 11, 2010 Clerk of the District • • 0 COSTA MESA SANITARY DISTRICT INVESTMENT OVERSIGHT COMMITTEE LOCATION: DATE AND TIME: CONTACT: Call to Order Conference Room Thursday, February 25, 2010 at 5:00 p.m. Marc Davis, Treasurer AGENDA 2. Roll Call A. President Schafer (rotating Committee member) B. Vice President Ooten (rotating Committee member) C. Scott Carroll, General Manager 3. New Business A. Review of Treasurer's Report as of January 10, 2010 B. Update on Receipt of Annual Charge 4. Public Comments 5. Adjournment Meeting Date Item Number 02/25/10 XII. A. It is the intention of the Costa Mesa Sanitary District to comply with California Government Code Section 54961 and the Americans with Disabilities Act ( "ADA ") in all respects. If as an attendee or participant at this meeting, you will need special assistance beyond what is normally provided, the Costa Mesa Sanitary District will attempt to accommodate you in every reasonable manner. Please contact Joan Revak, Clerk of the Sanitary District, (949) 645 -8400 ext. 223; at least forty -eight (48) hours prior to the meeting to inform us of your particular needs and to determine if accommodation is feasible. Please advise us at the time you will need accommodations to attend or participate in meetings on a regular basis." 4 Meeting Date Item Number 02125/10 1 XII. B. To: Board of Directors Via: Scott Carroll, General Manager From: Marc Davis, District Treasurer Date: February 25, 2010 ..an Independent Specia(Distda Subject: Budget Adjustment for District Yard Summary Additional funds in the amount of $283,142 are required for the construction of the District Yard. Staff Recommendation That Board of Directors approves the budget adjustment in the amount of $283,142 to provide adequate funding for construction completion of the District Yard. Analysis The Board of Directors approved the original budget for the construction of the District Yard in July 2009 in the total amount of $2,403,362. At the September 2009 Board meeting, a budget adjustment in the amount of $63,790 was approved increasing the total costs for construction of the District Yard to $2,467,152. Through this point in construction, additional funds are required for the following items: Line Item Kitchen table and chairs Plumbing fixtures Computers and printers Flag pole Gas line Description Actual costs will exceed budget Actual costs will exceed budget Actual costs will exceed budget Actual costs will exceed budget Not included in original budget Amount $ 1,500 512 2,000 1,392 45,000 Board of Directors February 25, 2010 Page 2 of 3 • Line Item Description Amount Construction contractor $13,500 for rainy days plus $22,164 $ 35,664 in change orders to date Architect Additional costs to respond to 12,583 requests for information from construction contractor Structural observation Not included in original budget 8,001 Contingency 10% of construction costs 176,490 Total additional costs $283,142 The original contingency budget was 2% of construction costs. A more realistic contingency is 10% of construction costs. The total new construction costs are included on the attached schedule. In order to fund these additional costs, a transfer from the Liquid Waste Fund is required as follows: Liquid Waste Fund: Account Account Number Increase Decrease • Transfers Out 10- 200000 -4995 $ 28,314 Transfers Out 20- 100000 -4995 $254,828 Retained Earnings 10- 000000 -2990 $ 28,314 Retained Earnings 20- 000000 -2990 $254,828 Fixture Fees Fund: Account Account Number Transfers In 30- 000000 -3995 District Yard 30- 300887 -4300 Legal Review Legal review is not required. Financial Review InrraacP $283,142 283,142 r1PrrPacP The additional costs for the construction of the District Yard are being funded through a transfer from the Liquid Waste Fund. With this transfer, the Liquid Waste fund will only have approximately $50,314 of unrestricted available funds for the balance of the fiscal year. 0 Board of Directors February 25, 2010 ® Page 3 of 3 Committee Recommendation Committee recommendation is not required. Public Notice Process Copies of this report are on file with the entire agenda packet at District Headquarters. Alternative Actions 1. Do not appropriate additional funds at this time 2. Refer the matter back to staff • • Meeting Date I Item Number 02/25/10 1 XII. C. r-v r COSTA M�� S-ANIT'�W D"ISTRICT ... an Independent Special Disti ict To: Board of Directors Via: Scott Carroll, General Manager From: Marc Davis, District Treasurer Date: February 25, 2010 Subject: Budget Calendar for Fiscal Year 2010 -11 Summary A budget calendar has been prepared to guide the budget process, from inception to the public hearing adopting the trash and sewer rates, for fiscal year 2010 -11. Staff will update the Board, if necessary, throughout the development of the budget. Staff Recommendation That the Board of Directors review the budget calendar for fiscal year 2010 -11 and set dates for a special meeting to discuss the preliminary budget, as well as the date of the public hearing to adopt the annual trash and sewer rates. Analysis The development of the budget is constrained by the date the annual charges are required to be transmitted to the County of Orange for placement on the tax roll. The charges must be transmitted no later than August 10, 2010. In order to meet this date, Staff has developed the following calendar for the preparation of the fiscal year 2010 -11 annual budget. Board of Directors February 25, 2010 Page 2 of 2 Action Item Department budgets due from staff February 2010 CPI released General Manager review of preliminary budget Survey of trash rates completed Preliminary budget distributed to Board Special meeting to review preliminary budget Budget adoption at regular Board meeting Notice of public hearing (postcard mailout) Public hearing to adopt sewer and trash charges Transmit sewer and trash charges to County Legal Review Legal review is not required. Financial Review Financial review is not required. Committee Recommendation Committee recommendation is not required. Public Notice Process Target Date February 19, 2010 March 19, 2010 March 25, 2010 April 2, 2010 April 22, 2010 TBD May 27, 2010 June 14 -18, 2010 July 26 -30, 2010 August 10, 2010 Copies of this report are on file with the entire agenda packet at District Headquarters. Alternative Actions 1. Defer the strategic planning process until next fiscal year 2. Elect not to complete the strategic planning process 3. Refer the matter back to staff • • Memorandum To: Board of Directors Meeting Date Item Number 02/25/10 XII. D. Z' 5M ... an Independent Special District Via: Scott Carroll, General Manage From: Marc Davis, District Treasurer Date: February 25, 2010 Subject: Budget Adjustment for Recycling Grant 0 Summary As previously reported to the Board, the District was successful in obtaining and Orange County Waste and Recycling Cooperative Grant in the amount of $142,256. Agencies participating with the District include the City of Costa Mesa and the City of Huntington Beach. The grant funds are to be used for public outreach, education composting, vermicomposting and to provide earth machines for local schools. Staff Recommendation That the Board of Directors approves the budget adjustment in the amount of $142,256 to recognize the grant and provide an appropriation for grant - related expenses Analysis The grant revenue and associated expenses will be reflected in the Solid Waste Fund. The budget adjustment required is as follows: Board of Directors February 25, 2010 Paae 2 of 2 Account Grants 2009 -10 Recycling Grant Legal Review Legal review is not required. Financial Review Account Number 10- 000000 -3405 NEW Increase $142,256 142,256 Decrease There is no impact on retained earnings in the Solid Waste Fund as a result of obtaining the grant and appropriate associated expenses. Committee Recommendation Committee recommendation is not required. Public Notice Process Copies of this report are on file with the entire agenda packet at District Headquarters. Alternative Actions 1. Do not appropriate grant funds at this time 2. Refer the matter back to staff is • e Meeting Date Item Number 02/25/10 1 XIII. & Cosh 9WES9SA.m?AR, 'DISqRICT Memorandum ...an Independent SpeciafTlistrict To: Board of Directors CONFIDENTIAL: ATTORNEY - CLIENT Via: Scott Carroll, General Manage From: Alan R. Bums, District Counsel Date: February 25, 2010 Subject: Back Bay Litigation Status Report Summary This is a progress report on the Back Bay litigation. There has been no breakthrough, and, in fact, the attorney handling our case has left the firm. Staff Recommendation Continue to monitor the progress, demand monthly progress reports and, when appropriate, provide input. Analysis On June 14, 2007, the District entered into an agreement with Vadnais to construct the Irvine Pumping Station relocation pursuant to District plans and after a competitive bid. The contract was awarded for $1,715,875. The construction was at the toe of the slope of the Back Bay business center (2651 -2675 Irvine Boulevard). During construction the slope area began to subside, causing cracking of the parking lot above. When we became aware of the problems, we withheld progress payments on the job and have a retention amount of $125,000 remaining that was not paid to Vadnais. The problem matured into a formal Government Code claim and then a lawsuit. We required that the contractor indemnify us from damage in the construction contract and name us as an additional insured. We notified Vadnais their attorney and insurance company and their performance bond company that we were tendering defense to those parties. The claim was filed on July 1, 2008 and asserted damages of $300,000. The lawsuit was filed on January 18, 2008. Jan Gladfelter, the insurance 0 (Protecting our community s health and the environment 6y pro viding solid waste and sewer coffection services. www.cmsdca.gov Board of Directors February 25, 2010 Page 2 of 3 is adjuster for Old Republic Insurance, accepted tender of defense. Gladfelter retained Attorney John Roddy to defend the District. He filed an answer on behalf of the District on April 27, 2009. The case has been inactive since then while the parties attempt to work out a settlement. Each side has a construction expert. Back Bay and our expert have been negotiating construction methods since July 2009. While originally there was some talk that this was a $75,000 case, it is now apparent that it will take quite a bit more to settle. Currently, Attorney Roddy and our expert desire that their method be adopted which will save $300,000 in construction costs. Back Bay's method would cost around $950,000 while our expert believes the cost to be around $650,000. The dispute involves the method of securing the slope. Plaintiffs counsel is currently reviewing the technical repair plan prepared by our construction expert and proposed contractor, and it reportedly has had some favorable review from Back Bay but it is not finally approved as this report is prepared. recently received a call from Attorney Patrick Naughton (a partner in the firm), who advised me that Attorney Roddy had left his firm. Attorney Roddy had been handling this case, so this is definitely a setback in the progress. According to Attorney Naughton, he is arranging a meeting between the experts to resolve remaining issues. That meeting is to occur in the next few weeks. Legal Review This report has been prepared by District Counsel. Financial Review As our tender of defense has been accepted, this should not cost the District any out - of- pocket money for our defense except for the costs of monitoring and urging the parties to resolve the matter. However, the District does have some damage to its own pump station caused by the subsidence (doors warping, etc.), so this damage and coverage is unknown. Committee Recommendation Not applicable. Public Notice Process This report should be considered attorney /client and not distributed to the public. Alternative Actions 1. Continue to monitor. 2. Become more involved in the process. Board of Directors • February 25, 2010 Page 3 of 3 Financial Reviewed by: Sherry Kallab Administrative Manager • • i Meeting Date _ Item Number 02/25/70 1 XIII. a. COSTA 9WESA SMTA�2'�DrsqRTCr Memorandum ... an Independent SpeciaCTlim ict To: Board of Directors Via: Scott Carroll, General Mana From: Alan R. Burns, District Counsel Date: February 25, 2010 Subject: MOU with the City of Costa Mesa for Code Enforcement and Jurisdictional Matters Summary The District and the City desires to explore if an MOU can be prepared for various subjects, including code enforcement and tree damage to District sewer lines. The following Is an update of the progress of those efforts. The short answer is there has been no progress since last month's report. Staff Recommendation The Board of Directors directs staff to continue negotiating the MOU with the City of Costa Mesa. Analysis In January of last year, the City and District began negotiating an MOU on sewer matters, including tree root damage to District sewer lines. The original draft recognized that the District had jurisdiction over sewer lines and appurtenances outside structures. The City was to assist owners whose sewer lines had been damaged by offering to remove the tree or by paying the approximate cost for the removal. The draft MOU was sent to the City Attorney in February. Around that time, the City Manager acknowledged in communications that the District had jurisdiction over sewers in an "informal blessing" e-mail dated February 3, 2009 (Home Gardens Sanitary District v. City of Corona 116 Cal.Rptr.2d 638 (2002) established this point so • ftotecting our community's heafth and the environment by providing soW waste andsewer coffection services. ururw. crosdca.gov t t • i Board of Directors February 25, 2010 Page 2 of 4 was not much agreement needed). On February 27, 2009, we proposed revisions to the MOU, but still had not received a response from the City Attorney or anyone else at the City. On April 13, 2009, 1 was informed that the City advised the District at the Liaison Committee Meeting that the City desired to separate tree roots from sewer jurisdiction. I advised the City Attorney that it was my understanding that the City would prepare the draft agreement. On July 23, 2009, the Interim General Manager received a letter from the City Manager in which he mentioned the sewer jurisdiction negotiations but indicated that the parties now desired to explore whether the City could provide code enforcement services. The outline of the agreement was to cover the following: Sewer laterals, plan check, permitting and inspection authority — The District was to be responsible for these items, and the City agreed to advise applicants of the District's jurisdiction. is Sewer laterals, maintenance responsibility — The District was to be responsible for video inspections and coordination with owners about laterals. The City was to cooperate with the District when parkway trees are a contributing factor in sewer damage. The City Manager stated something about • the limitation of City's liability (which became a point of discussion). • Code enforcement officer duties — The City was to assume responsibility for enforcing trash container placement laws, issuing citations and keeping logs of violations. The City was to amend it ordinance to do so. The duties were to be performed on a trial basis without charge for a 24 -month period, after which the parties would negotiate what was appropriate. The City Manager responded on July 30, 2009 that he did not intend to shift liability for parkway trees. He reaffirmed that parkway trees were the City's responsibility. On August 19, 2009, 1 provided the Interim General Manager and District Engineer with an analysis of issues related to the proposed MOU. The Interim General Manager and District Engineer agreed that clarification was necessary in many areas. We traded a -mails on the subject, and a letter was sent by me to the City Attorney on September 2, 2009. In that letter we agreed that the District should have jurisdiction over sewers outside buildings but that District should also have jurisdiction inside buildings when Food Serve Establishments (FSEs) are involved so we could enforce our,grease control program. We also suggested some parkway tree procedures that involved mediation in the event of dispute. We also asked about whether a civil citation system could be implemented and whether the City would provide hearing officers. C. L Board of Directors • February 25, 2010 Page 3 of 4 The City Manager published a city manager newsletter on October 23, 2009 that stated the City would be taking over the code enforcement for the District related to trash containers on an informal basis. The City Attorney e- mailed me on December 1, 2009 and asked me to send a copy of the latest draft MOU. I responded on December 7, 2009 and provide her with relevant documents. The City Attorney wrote back that day to state that she would be getting together with the City Manager and Director Monahan regarding the code enforcement MOU. On January 11, 2010, the City Attorney asked that I send copies of the codes we desired to enforced, and I sent the City Attorney a copy of Chapter 10.01 pertaining to trash containers. On February 9, 2010, 1 sent another request to the City Attorney for an update and there has been no response. The General Manager intends to contact the City Manager regarding this issue and hopefully he will have more information at tonight's meeting. In the meantime, we appear to be receiving some services for free without the agreement. Once a formal agreement is reached, it is proposed that we would receive two years of free service on a trial run basis. Legal Review • Both the City Attorney and I will be very involved in this process and will prepare the MOU and coordinate on laws that need to be adopted. Financial Review Obviously, having the City provide these services at no charge for two years will save significant money on staff time. Finance estimates that the District will save $56,000 during the two years of services provided by the City. After the two years, we will need to evaluate the City's proposed cost to continue enforcement services. Committee Recommendation Not applicable Public Notice Process Copies of this report are on file with the entire agenda packet at District Headquarters. Alternative Actions 1. Continue to provide our own code enforcement officer /person. 2. Explore a hybrid system in which city services are provided yet we have our own person. a Board of Directors February 25, 2010 Paae 4 of 4 Financial Reviewed by: Sherry Kallab Administrative Manager • n LJ • • Meeting Date Item Number 02/25/10 1 X111. C. COSV 5WEV SA9qTARTq)ISMCT Memorandum ... an Independent SpeciaCElistrict To: Board of Directors Via: Scott Carroll, General Manager From: Alan R. Bums k10 Date: February 25, 2010 Subject: Adoption of County's Version of Conflict of Interest Code to Allow Electronic Filing — CMSD Resolution No. 2010 -775 Summary The Clerk of the Board of Supervisors is the District's filing officer. The Clerk has implemented an electronic filing system and requests that those entities filing with the Clerk of the Board of Supervisors adopt this version of the conflict of interest code to implement that electronic filing system. Staff Recommendation Staff recommends that the Board review and adopt the County version and review the designated employees and categories of reporting listed by adopting Resolution No. 2010 -775. Analysis The state legislature enacted the Political Reform Act of 1974 which mandated, inter alia, that local government bodies adopt conflict of interest codes that require disqualification and disclosure, including annual reporting, of interests that constitute a financial conflict to interest. The legislature adopted a model code that could be adopted by reference and which would be automatically updated as the state amended the model code. The District adopted that model code. The Clerk of the Board of Supervisors is the designated filing officer for the annual statements that must be filed. That Clerk has instituted an electronic filing system and has asked those entities that file with the County to adopt their version of the model code so she can assure consistency. This resolution does so. There is no need to amend the District Operations Code as it merely recites that we have adopted the state model code. Board of Directors February 25, 2010 Paae 2 of 2 The state law also provides that code adopting agencies review their codes on a biennial basis to verify that the designated employees that are listed as being subject to reporting are appropriate, as well as their disclosure categories. This action will also serve to constitute our biennial review. Legal Review The District Counsel, in consultation with the Office Manager -Clerk of the District, has prepared this report. Financial Review There is no financial impact other than with less paper filing. We will save some money in materials and possibly storage costs. Committee Recommendation Not applicable. Public Notice Process This item was noticed as part of the regular board meeting, and the agenda was posted for 72 hours in accordance with the Brown Act. Alternative Actions There really are no alternatives. The Clerk of the Board of Supervisors is our designated filing officer, and we are required to submit this matter to her as the code reviewing officer. As she is now implementing an electronic filing system, we must comply. 119 r� I►J CMSD RESOLUTION NO. 2010 -775 RESOLUTION OF THE COSTA MESA SANITARY DISTRICT BOARD OF DIRECTORS ADOPTING A CONFLICT OF INTEREST CODE WHICH SUPERSEDES ALL PRIOR CONFLICT OF INTEREST CODES AND AMENDMENTS PREVIOUSLY ADOPTED WHEREAS, the Political Reform Act of 1974, Government Code Section 81000 et. seq. ( "the Act "), requires a local government agency to adopt a Conflict of Interest Code pursuant to the Act; and WHEREAS, the Costa Mesa Sanitary District has previously adopted a Conflict of Interest Code and that Code now requires updating; and WHEREAS, amendments to the Act have in the past and foreseeably will in the future require conforming amendments to be made to the Conflict of Interest Code; and WHEREAS, the Fair Political Practices Commission has adopted a regulation, Title 2, California Code of Regulations, Section 18730, which contains terms for a standard model Conflict of Interest Code, which, together with amendments thereto, may be adopted by public agencies and incorporated by reference to save public agencies time and money by minimizing the actions required of such agencies to keep their codes in conformity with the Political Reform Act. • NOW THEREFORE, BE IT RESOLVED: Section 1. The terms of Title 2, California Code of Regulations, Section 18730 (Attachment A) and any amendments to it duly adopted by the Fair Political Practices Commission are hereby incorporated by reference and, together with Exhibits A and B in which members and employees are designated and disclosure categories are set forth, constitute the Conflict of Interest Code of the Costa Mesa Sanitary District. Section 2. The provisions of all Conflict of Interest Codes and Amendments thereto previously adopted by the Costa Mesa Sanitary District are hereby superseded. Section 3. The Filing Officer is hereby authorized to forward a copy of this Resolution to the Clerk of the Orange Count Board of Supervisors for review and approval by the Orange Y County Board of Supervisors as required by California Government Code Section 87303. • ATTACHMENT A CONFLICT OF INTEREST CODE FOR THE COSTA MESA SANITARY DISTRICT The Political Reform Act, Government Code Sections 81000, et seq., requires state and local government agencies to adopt and promulgate Conflict of Interest Codes. The Fair Political Practices Commission has adopted a regulation (2 Cal. Code of Regs. Section 18730) which contains the terms of a standard Conflict of Interest Code, which may be incorporated by reference in an agency's code. After public notice and hearing it may be amended by the Fair Political Practices Commission to conform to amendments in the Political Reform Act. Therefore, the terms of 2 California Code of Regulations Section 18730 and any amendments to it duly adopted by the Fair Political Practices Commission are hereby incorporated by reference. This regulation and the attached Appendix designating officials and employees and establishing disclosure categories, shall constitute the Conflict of Interest Code of the Costa Mesa Sanitary District. Designated employees shall file statements of economic interests with the Costa Mesa Sanitary District's Political Reform Act Filing Officer, Office Manager /Clerk of the District who will make the statements available for public inspection and reproduction (Government Code Section 82008). Upon receipt of the statements of the Board Members, General Manager, District Engineer, Operations Manager, Administrative Manager, Office Manager /Clerk of the District, District Treasurer and District Counsel, the District's Filing Officer shall make and retain a copy and forward the original of these statements to the Clerk of the Orange County Board of Supervisors, who is the Filing Officer for those designated positions. Statements for all other designated employees will be retained by the District's Filing Officer. • EXHIBIT A COSTA MESA SANITARY DISTRICT LIST OF DESIGNATED POSITIONS CONFLICT OF INTEREST CODE Designated Positions Disclosure Categories Board Member OC -01 General Manager OC -01 District Engineer OC -10 Operations Manager OC -06 Administrative Manager OC -01 Office Manager /Clerk of the District OC -05 District Treasurer OC -27 District Counsel OC -01 Consultant OC -30 • C7 n U • EXHIBIT B COSTA MESA SANITARY DISTRICT r L Disclosure Disclosure Description Category OC -01 All interests in real property in Orange County, as well as investments in, business positions with and income (including gifts, loans and travel payments) from sources owning roperty in Orange County, the Authority or District as applicable. C -05 All investments in, business positions with and income (including gifts, loans and travel payments) from sources that provide services, supplies, materials, machinery, equipment (including training and consulting services) used by the County Department, Authority or District, as applicable. OC -06 All investments in, business positions with and income (including gifts, loans and travel payments) from sources that provide leased facilities and goods, supplies, equipment, vehicles, machinery or services (including training and consulting services) of the types used by the County Department, Authority or District, as applicable. OC -10 All investments in, business positions with and income (including gifts, loans and travel payments) from sources that are engaged in any real estate activity including, but not limited to real estate appraisal, development, construction, planning /architectural design, engineering, sales, brokerage, leasing, lending, insurance, rights of way, and /or studies; and /or property or facilities management/maintenance /custodial and utility services as used by the County Department, Authority or District or provides capital for the purchase of property used or sold by Orange County, the Authority or the District as applicable. OC -27 All investments in, business positions with and sources of income (including gifts, loans and travel payments) from sources that are engaged in banking and /or investment business. 0 OC -30 Consultants shall be included in the list of designated employees and shall disclose pursuant to the broadest category in the code subject to the following limitation: The County Department Head /Director /General Manager /Superintendant/etc. may determine that a particular consultant, although a "designated position," is hired to perform a range of duties that is limited in scope and thus is not required to fully comply with the disclosure requirements in this section. Such written determination shall include a description of the consultant's duties and, based upon that description, a statement of the extent of disclosure required. The determination of disclosure is a public record and shall be filed with the Form 700 and retained by the Filing Officer for public inspection. 11 • • h . . I STATE OF CALIFORNIA ) OUNTY OF ORANGE ) SS CITY OF COSTA MESA ) I, Joan Revak, Clerk of the Costa Mesa Sanitary District, hereby certify that the above and foregoing Resolution No. 2010 -775 duly and regularly passed and adopted by said Board of Directors at a regular meeting thereof held on the 25th day of February 2010. IN WITNESS WHEREOF, I have hereunto set my hand and affixed the seal of the Costa Mesa Sanitary District, this day of 2010. • 0 Clerk of the Costa Mesa Sanitary District