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12 - Operations and CIP Carry Forward Request - Fiscal Year 2013-14 Costa Mesa Sanitary District …an Independent Special District Protecting our com munity’s health and the environment by providing solid waste and sewer collection services. www.cmsdca.gov Memorandum To: Board of Directors Via : Scott Carroll, General Manager From : Stacey Cuevas, Finance Manager Date: August 29, 2013 Subject: Operations and CIP Carry Forward Request – FY 2013 -14 Summary Each year the Board of Directors approves ope rating and capital improvement project (CIP) budget s . The nature of capital improvement projects is such that their scope and size inherently precludes them from being completed within the fiscal year in which funding was initially appropriated. In addition, the District was awarded a grant in April 2010 to enhance recycling programs that has been spent over the last three years and will expire December 31, 2013. All appropriations lapse at the end of each fiscal year, and therefore it is necessary to re quest the unspent appropriations for these projects be carried over in to the subsequent fiscal year. Staff Recommendation That the Board of Directors approves the carry forward appropriations from FY 2012 - 13 in the following amounts: 1. Operations: $ 90,931 .42 2. Capital Improvement Projects : $3,442,476.62 Analysis The OC Waste & Recycling Grant is in its last year where grant money is used to spend on composting machines, FOG funnels, composting workshops, giveaways made of recycled materials, and creating educational flyers and pamphlets. Available grant money ITEM NO. 12 Board of Directors August 29 , 2013 Page 2 of 2 in the amount of $25,164.43 needs to be carry forward to continue District recycling programs. Staff will be applying for the next grant cycle when it becomes available. In addition, staff needs to carry forward $65,767 to perform piping and valve replacement at 21 st Street Pump Station. The piping and valves at this station has reached the end of their useful life and therefore needs replacement. Staff has solicited bids for this project and an agreement has been prepared for the contractor. Work is ready to begin, but funding is needed, which is why staff is recommending the carry forward. The capital improvement projects described below are underway and need their approved appropriat ion to be carry forward to ensure money is available for completion. All the projects identified below, except for Project 200601, will be complete in FY 2013 -14. Any funding balance after completion of the projects will be transferred back into the Asse t Management Fund. Project Description Carry forward FY 13 -14 200601 Westside Pump Station Abandonment $ 1,635,786.37 201293 Seismic Refurbish. $ 30,798.06 201296 Pump Station Emergency Equipment $ 995,428.20 System wide Sewer Rehab Ph ase 3 $ 611,147.24 201298 Force Main Analysis $ 169,317.75 Total $ 3,442,476.62 Strategic Plan Element & Goal This item supports achieving Strategic Element No. 7.0, Finances , and Strategic Goal No. 7.6, Monitor the asset management pro gram. Legal Review Not applicable Financial Review The total amount to be carried forward for CIP is $3,442,476.652 . The total amount to be carried forward for Operations is $90,931 .42 . The funding for the projects listed above was app roved in the Fisc al Year 2012 -13 Budget. Public Notice Process Copies of this report are on file and will be included with the entire agenda packet for the August 29, 2013 Board of Directors regular meeting at District Headquarters and on District’s website. Alternative Actions 1. Refer the matter back to staff