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HomeMy WebLinkAbout02-16-22 F&A Committee Packet 1 OTAY WATER DISTRICT FINANCE AND ADMINISTRATION COMMITTEE MEETING and SPECIAL MEETING OF THE BOARD OF DIRECTORS BY TELECONFERENCE 2554 SWEETWATER SPRINGS BOULEVARD SPRING VALLEY, CALIFORNIA WEDNESDAY February 16, 2022 12:00 P.M. This is a District Committee meeting. This meeting is being posted as a special meeting in order to comply with the Brown Act (Government Code Section §54954.2) in the event that a quorum of the Board is present. Items will be deliberated, however, no formal board actions will be taken at this meeting. The committee makes recommendations to the full board for its consideration and formal action. AGENDA 1. ROLL CALL 2. PUBLIC PARTICIPATION – OPPORTUNITY FOR MEMBERS OF THE PUBLIC TO SPEAK TO THE BOARD ON ANY SUBJECT MATTER WITHIN THE BOARD'S JURIS- DICTION INCLUDING AN ITEM ON TODAY'S AGENDA This meeting is being held via teleconference. Members of the public may submit their comments on agendized and non-agendized items by either of the following two meth- ods: a) If you wish to provide public comment directly - that is, live during the “Public Participation” portion of the meeting - please complete and submit a Request to Speak Form via email to BoardSecretary@otaywater.gov before the start of the meeting. Your request to speak will be acknowledged during the “Public Partic- ipation” portion of the meeting when the Board will hear your comment. When called to speak, please state your Name and the City in which you reside. You will be provided three minutes to speak. The Board is not permitted to enter in- to a dialogue with the speaker during this time. OR b) If you wish to have your comment read to the Board during the “Public Partici- pation” portion of the meeting, please email your comment to BoardSecre- tary@otaywater.gov at least thirty minutes prior to the start of the meeting, and it will be read aloud during the “Public Participation” portion of the meeting. Please provide your Name and the City in which you reside, with your com- ment. Your comment must not take more than three minutes to read. The Board is not permitted to respond to written public comment during this time. 2 The District’s meeting is live streamed. Information on how to watch and listen to the District’s meeting can be found at this link: https://otaywater.gov/board-of- directors/agenda-and-minutes/committee-meetings/ DISCUSSION ITEMS 3. APPROVE CHANGE ORDER NO. 1 IN AN AMOUNT NOT-TO-EXCEED $27,625 TO THE COST OF SERVICE STUDY CONTRACT WITH RAFTELIS FINANCIAL CONSULTANTS, INC. AND AUTHORIZE THE TOTAL CONTRACT NOT-TO- EXCEED AMOUNT OF $93,235 (KOEPPEN) [5 minutes] 4. FISCAL YEAR 2022 MID-YEAR STRATEGIC PLAN UPDATE (KERR) [10 minutes] 5. ADJOURNMENT BOARD MEMBERS ATTENDING: Mark Robak, Chair Jose Lopez All items appearing on this agenda, whether or not expressly listed for action, may be delib- erated and may be subject to action by the Board. The Agenda, and any attachments containing written information, are available at the Dis- trict’s website at www.otaywater.gov. Written changes to any items to be considered at the open meeting, or to any attachments, will be posted on the District’s website. Copies of the Agenda and all attachments are also available by contacting the District Secretary at (619) 670-2253. If you have any disability which would require accommodation in order to enable you to par- ticipate in this meeting, please call the District Secretary at 670-2253 at least 24 hours prior to the meeting. Certification of Posting I certify that on February 11, 2022 I posted a copy of the foregoing agenda near the regular meeting place of the Board of Directors of Otay Water District, said time being at least 24 hours in advance of the meeting of the Board of Directors (Government Code Section §54954.2). Executed at Spring Valley, California on February 11, 2022. /s/ Tita Ramos-Krogman, District Secretary STAFF REPORT TYPE MEETING: Regular Board MEETING DATE: March 2, 2022 SUBMITTED BY: Kevin Koeppen Assistant Chief of Finance PROJECT: DIV. NO.All APPROVED BY: Joseph R. Beachem, Chief Financial Officer Jose Martinez, General Manager SUBJECT: Approval of Change Order No. 1 in an Amount Not-to-exceed $27,625 to the Cost of Service Study Contract with Raftelis Financial Consultants, Inc. and Authorize the Total Contract Not-to-exceed Amount of $93,235 GENERAL MANAGER’S RECOMMENDATION: That the Board approve Change Order No. 1 in an amount not-to-exceed $27,625 to the Cost of Service Study Contract with Raftelis Financial Consultants, Inc. (Raftelis) and authorize the total contract not-to- exceed amount of $93,235. COMMITTEE ACTION: See Attachment A. PURPOSE: To obtain Board authorization to execute Change Order No. 1 to the Cost of Service Study Contract with Raftelis, thus increasing the total contract amount from $65,610 to $93,235. BACKGROUND: Under the General Manager’s authority, the District contracted with Raftelis to perform a water cost of service study. While performing the study, the District received information that was not available at the time the original contract was executed. As a result of this AGENDA ITEM 3 information, Raftelis was asked to perform additional analysis, prepare additional presentations, and attend additional meetings with staff and the Board that were not included in the original scope of work. The changes are due to analysis related to preparation for, and participation in, discussions with the Board in Closed Session concerning ongoing litigation and exposure to litigation. Due to this change order increasing the total contractual amount above the General Manager’s authority, staff is requesting that the Board approve Change Order No. 1 for $27,625 and the authorize the revised total contract amount of $93,235. FISCAL IMPACT: The total contract not-to-exceed amount will be increased from $65,610 to $93,235. The Finance Department has determined under the current rate model that 100% of the funding is available from the General Fund for this contract. STRATEGIC GOAL: The District ensures its continued financial health through long-term financial planning and debt planning. LEGAL IMPACT: None. Attachments: A) Committee Action B) Raftelis Change Order No. 1 ATTACHMENT A SUBJECT/PROJECT: Approval of Change Order No. 1 in an Amount Not-to-exceed $27,625 to the Cost of Service Study Contract with Raftelis Financial Consulting and Authorize the Total Contract Not- to-Exceed Amount of $93,235 COMMITTEE ACTION: 445 S. Figueroa Street Suite 1925 Los Angeles, CA 90071 Phone 213.262.9308 Fax 828.484.2442 www.raftelis.com January 18, 2022 Mr. Kevin Koeppen Assistant Chief, Finance Otay Water District 2554 Sweetwater Springs Blvd. Spring Valley, CA 91978 Subject: Water Rate Study Amendment Request Dear Mr. Koeppen, As of the date of this letter, Raftelis has approximately $11,440 remaining to complete this contract. We have partaken in more meetings and discussions than originally anticipated in the original scope. Most of the remaining $11k will be spent preparing a report. Per your request we respectfully submit this amendment request to complete the additional tasks shown. As shown, task 6 includes a contingency since we anticipate additional staff questions and discussion, modelling and conference calls with the District’s attorney. Please let me know if you have any questions regarding this contract amendment request. We enjoy working with you and your staff and look forward to completing the study. Sincerely, RAFTELIS FINANCIAL CONSULTANTS, INC. Steve Gagnon, PE (Licensed in AZ) Sr. Manager Cell: 714 351 2013 Email: Sgagnon@raftelis.com Attachment B Proposed Fee Hours PD PM TR SC CORP Total 1. Modeling monthly and daily (only) peaking as opposed to daily and hourly 1 4 8 12 $3,020 2. Analyze Additional Tier Breakpoint Affect on Rates 1 2 3 $755 3. Board Presentation on Rate Setting Topics/Options 2 20 12 32 $8,660 4. Contingency - Staff Support for Questions and Additional Modeling as needed 2 34 25 $15,190 5 0 59 0 47 0 47 $350 $285 $285 $220 $80 $0 $16,815 $0 $10,340 $0 $27,155 Total Fees $27,155 Total Expenses $470 Total Fees & Expenses $27,625 GD- Graphics Design Otay Water District Total Fees & Expenses PD - Project Director, Sudhir Pardiwala, PE PM - Project Manager, Steve Gagnon, PE (AZ) TR - Technical Reviewer, Theresa Jurotich, PE, PMP SC - Staff Consultants CORP - Corporate Functions Tasks Virutal Meeting 1 STAFF REPORT TYPE MEETING: Regular Board MEETING DATE: March 2, 2022 PROJECT: Various DIV. NO. ALL SUBMITTED BY: Michael Kerr, Information Technology Manager APPROVED BY: Adolfo Segura, Chief of Administrative Services Jose Martinez, General Manager SUBJECT: FY22 MID-YEAR REPORT FOR THE DISTRICT’S FY19-22 STRATEGIC PLAN GENERAL MANAGER’S RECOMMENDATION: No recommendation. This is an informational item only. COMMITTEE ACTION: Please see “Attachment A”. PURPOSE: To provide a mid-year report of the District’s FY19-22 Strategic Performance Plan for FY22. ANALYSIS: Summary The current Otay Water District Strategic Plan is a four-year plan ranging from the start of FY19 through the end of FY22. This report details the mid-year results for the last year of the four-year plan. Objectives – Target 90% Strategic Plan objectives are designed to ensure the District executes mission-developed strategies and makes appropriate changes necessary to guide the agency, meet new challenges, and positively adapt to change. FY22 mid-year results are above target at 94%, with 49 of 52 active items completed or on schedule, one (1) objective is behind, and two (2) objectives are on hold. AGENDA ITEM 4 2 Objective Behind (1) INTERNAL BUSINESS PROCESS Strategy #9: Enhancement of Confined Space Program. Objective: Automate confined space regulatory and work forms (electric conversion), add confined space data layer in the District’s enterprise Geographic Information System (GIS), and use data to electronically automate the District’s confined space inventory. This objective is behind due to the Safety & Security Specialist’s unforeseen involvement (facilitator) in the District’s joint hazard mitigation plan. In quarter two, staff focused on completing sensitive milestones to catch up with San Diego County’s project timeline. It is expected that this objective will be back on track in quarter three. Objectives on Hold (2): CUSTOMER Strategy #1: Enhance and build awareness and engagement among the District’s customers and stakeholders, and within the San Diego Region, of the District’s strategies, policies, projects, programs, and legislative/regulatory issues. Objective: Ensure consistency of branding and representation across the District, using consistent logos, colors, messaging, communications 0 5 10 15 20 25 30 35 40 45 49 1 2 0 On Schedule/Completed Behind On Hold Not Started 49 of 52 Active Objectives are On Target (94%) 3 tools, and other collaterals through enhancement of internal and external marketing materials. Due to budget cuts, the objective was placed on hold; assuming budget availability, this objective will resume in the new FY23 plan. Staff will continue to ensure the District is using essential branding consistently, wherever possible. FINANCIAL Strategy #3: Enhancement of business systems. Objective: Evaluate enhancements to, or replacement, of the rate model program. Due to the District's current litigation, this objective has been put on hold. This project will be incorporated into the Enterprise Resource Planning (ERP) replacement project. Key Performance Indicators (KPI’s) – Target 75% KPI’s are designed to track the District’s day-to-day performance. These indicators measure the effectiveness and efficiency of essential operational services. The District’s overall KPI goal of 75% is considered “on target”. For FY22, mid-year results are above target at 86%, with 30 of 35 items achieving the desired level or better. 0 5 10 15 20 25 30 35 40 30 5 On Target Not on Target 30 of 35 Key Performance Indicators are On Target (86%) 4 KPI’s are based on established AWWA performance benchmarks, water agency standards, and historical trends. Seven (7) measures are reported at year’s end: • Water Debt Coverage • Sewer Debt Coverage • Reserve Level • Accounts Per FTE • Leak Detection Program • Injury Incident Rate • Enterprise Technology Services KPI’s Not on Target (5): Overtime Percentage Target: Less than 100% of the budgeted overtime per quarter. Year-to-date overtime amounted to $94,819 vs. the budgeted amount of $85,700. Multiple water main failures primarily drove the year-to-date overtime variance in quarter one. In quarter two, overtime was only $27 over budget (actual $39,327 vs. budget $39,300). Planned Recycled Water Maintenance Ratio in $ Target: 70% of all labor dollars spent on preventative maintenance per quarter. Year-to-date, 55% of labor dollars were spent on preventative maintenance. The target was not met due to a repair of the six-inch recycled main on Clubhouse Drive in Chula Vista, which occurred during quarter one, and staff providing traffic control for the final paving in quarter two. Easement Evaluation and Field Inspection Target: 100% assigned easements evaluated via desktop tools and inspected annually. Year-to-date, 6% of scheduled easement inspections were completed (6 of 100). The target was not met due a Construction Inspector vacancy. The position was filled in December 2021 and is expected to meet the target by the end of the fiscal year. Percent of Preventative Maintenance Completed – Pump/Electric Section Target: 90% of scheduled preventative maintenance completed. 5 Year-to-date, 40% of preventative maintenance activities were completed (233 of 585). Quarter two results were below target due to a Pump Mechanic vacancy. The position was filled in January 2022 and is expected to meet the target by the end of the fiscal year. Sewer Overflow Rate (AWWA) Target & AWWA: Zero (0) overflows per quarter. The year-to-date target was not met due to two sewage overflows in quarter one: 1. Category 2 Sewer Spill Overflow (SSO) event on July 26, 2021. This overflow was due to a hole in a one-inch copper air vac service line on the force main, located on Steele Canyon Road. This main pumps sewage from Par Four Drive to Willow Glen Drive in El Cajon. A total of 1,500 gallons of sewage were recovered. 2. Category 3 SSO event on September 15, 2021. This overflow was due to a blockage at manhole MM-331-039 located on Singer Lane in Spring Valley. A total of 200 gallons of sewage were recovered. Next Steps Staff will continue to execute the plan’s objectives and key performance indicators and track emerging trends. Committee Reports – Slideshow The Strategic Plan results are presented to both the Finance & Administration, and the Engineering, Operations, & Water Resources Committee with a specific focus on the most relevant information for each Committee (see “Attachment B”). Strategic Plan is available on the Board VPN The Strategic Plan results and associated details are provided in a real- time, interactive web-based application available to the Board via secured remote access, VPN (Virtual Private Network). The District Secretary can facilitate any password or access issues. FISCAL IMPACT: Joe Beachem, Chief Financial Officer Informational item only; no fiscal impact. STRATEGIC GOAL: Strategic Plan and Performance Measure reporting is a critical element 6 in providing performance reporting to the Board and staff. LEGAL IMPACT: None. ATTACHMENTS: Attachment A – Committee Action Report Attachment B – PowerPoint Presentation 7 ATTACHMENT A SUBJECT/PROJECT: FY22 MID-YEAR REPORT FOR THE DISTRICT’S FY19-22 STRATEGIC PLAN COMMITTEE ACTION: The Engineering, Operations & Water Resources and Finance & Administration Committees reviewed this item at a meeting held on February 15 and 16, 2022, respectively. The Committees support presentation to the full Board for their consideration. NOTE: The “Committee Action” is written in anticipation of the Committee moving the item forward for Board approval. This report will be sent to the Board as a committee approved item or modified to reflect any discussion or changes as directed from the committee prior to presentation to the full Board. FY22 Mid-Year Report OTAY WATER DISTRICT FY19-22 STRATEGIC PLAN Attachment B Contoso Pharmaceuticals Employee growth/ RetentionFinancial Results and GrowthIncrease Customer Satisfaction/Engagement Improve Operational Efficiency CUSTOMER FINANCIAL INTERNAL BUSINESS PROCESS LEARNING & GROWTH 2 94% 49 Objectives TRENDS ON TARGET/COMPLETED OVERALL TARGET 90% TOTAL OBJECTIVES52 NOT ON TARGET OBJECTIVES ON HOLD 2% 1 Objectives 4% 2 Objectives 75% 85% 95% FY17 FY18 FY19 FY20 FY21 NOT STARTED0 RESULT TARGET ACTIVE LEARNING AND GROWTH CUSTOMER FINANCIAL INTERNAL BUSINESS PROCESSES 52 49/52 = 94%2/52 = 4% 3 1/52 = 2% C01. Enhance and build awareness and engagement among the District’s customers and stakeholders and within the San Diego Region of the District’s strategies, policies, projects, programs, and legislative/regulatory issues Continue implementation of and enhance the District’s community and business outreach, media, and government relations programs Ensure consistency of branding and representation across the District, using consistent logos, colors, messaging, communications tools, and other collaterals through enhancement of internal and external marketing materials Evaluate and enhance the District’s water conservation programs CUSTOMER | 4 C02. Assess and enhance communications tools and increase online presence and social media exposure Assess communication tools (social media presence) 4 Tenille OteroCommunications Officer ON TARGET NOT ON TARGET ON HOLD COMPLETED NOT STARTED F01. Integrated resource planning and facility optimization Recycled water long-term business plan South District Potable Water Supply Alternatives to San Diego County Water Authority (SDCWA) Pipeline 4 Supply Interruption (catastrophic event) Treatment Plant long-term business plan (sewer portion) F02. Evaluation of key system alternatives and financial impact Conduct desalination (Rosarito) financial analysis In support of the Engineering Department, conduct recycled water and sewer business financial analysis FINANCIAL | 19 5 Laura YorkLab Analyst ON TARGET NOT ON TARGET ON HOLD COMPLETED NOT STARTED F03. Enhancement of business systems Enterprise Resource Planning (ERP) validation and replacement evaluation Evaluate, and if beneficial, implement cloud-based payroll service Evaluate enhancements to, or replacement, of the rate model program Implement Paperless Account Payable (AP) solution Re-evaluate prior payroll solutions and identify any new cloud-based payroll solutions Complete a sewer cost of service study and recommend a rate structure that will provide for more stable sewer revenues Evaluate the Capacity and New Water Supply Fees, including an update of applicable costs, and, if possible, recommend a fee structure that is more efficient and effective than the current structure FINANCIAL | 19(cont’d) 6 ON TARGET NOT ON TARGET ON HOLD COMPLETED NOT STARTED Shiela DilayreSr. Accountant F04. Enhancement of the Asset Management (AM) and Capital Improvement Programs (CIP) Enhancement of the framework for systematic development, validation, and implementation of new CIPs Enhancements of the AM Program Financial activity-based cost cross-training In support of the Engineering Department, enhance financial impact forecasting and analysis of future CIPs F05. Develop alternative Public Employees Retirement System (PERS) financing strategy to fund ahead of PERS schedule Optimize funding and liability schedule FINANCIAL | 19(cont’d) F06. Negotiate and implement a new labor agreement and optimize employee benefit programs Negotiate and implement new labor agreement Review Deferred Compensation Program for reduced fees and streamlined approach and ensure offerings are fully utilized 7 ON TARGET NOT ON TARGET ON HOLD COMPLETED NOT STARTED Bernardo Separa Engineering Design Technician I01. Optimize meter activity operations Evaluation of Advanced Metering Infrastructure (AMI) technology Explore web-based options for meter reading and backflow test entry Optimize Global Positioning System (GPS) fleet assignment and routing operation I02. Enhance customer experience (collaboration between Customer Service and Communications) Customer electronic communication and outreach Customer Information System (CIS)/ Customer Relationship Management (CRM) validation and replacement evaluation 8 Allan RaymundoLead Customer Service Field Rep ON TARGET NOT ON TARGET ON HOLD COMPLETED NOT STARTED INTERNAL BUSINESS PROCESS | 27 (cont’d) I03. Evaluate and leverage the use of available Human Resources self-service and capital management technology solutions Evaluate on-boarding programs and implement, if determined necessary Implement Human Resource Information System (HRIS) in coordination with payroll conversion Pilot cloud-based human capital performance management system and implement, if determined necessary I04. Maintain a reliable, scalable, secure, and high-performing technology infrastructure to support current and future service needsAdopt National Institute of Standards and Technology (NIST) cyber security framework and enhance disaster recovery planning Advance business processes and operational efficiencies through effective implementation of information technologyCreate framework to evaluate cost efficiency of new technology services and cloud vs. on-premise selection Deploy next generation storage services and communication architecture 9 ON TARGET NOT ON TARGET ON HOLD COMPLETED NOT STARTED Michael ChristensenNetwork Engineer INTERNAL BUSINESS PROCESS | 27 (cont’d) I05. Enhance SCADA system services via SCADA roadmap project Prioritize fourteen strategic project/initiatives, recently developed I06. Enhancement of enterprise geographic data Deploy ArcGIS Pro for 3D analysis Evaluate the use of Drone2Map technology for asset, field inspections, and condition assessment Migrate Geographic Information System (GIS) data structure from geometric network to utility dashboard Standardization of District asset data and collection processINTERNAL BUSINESS PROCESS | 27 (cont’d) 10 Alex SchultzGIS Technician ON TARGET NOT ON TARGET ON HOLD COMPLETED NOT STARTED I07. Enhancement of maintenance and program standards Analyze electric energy-saving programs as they become available Evaluate the effectiveness of various methods to reduce nitrification events Evaluate the efficiency and effectiveness of the District’s valve exercise preventative maintenance including proposed recommendations Evaluate the impacts as a result of recent and upcoming regulatory changes including, but not limited to, Air Pollution Control District (APCD), State Water Resource Control Board (SWRCB), and Occupational Safety and Health Administration (OSHA), etc. Establish an access and defensible space vegetation mitigation program with maintenance schedules for District remote facilities, access roads, and off-road appurtenances I08. Enhancement of contracting and facility services Enhance Customer and Public Service security in public lobby areas Evaluate feasibility of incorporating electric and hybrid vehicles into District fleet Streamline contract and purchase order (contract) management and lifecycle 11 Raisa AriasPermit Technician ON TARGET NOT ON TARGET ON HOLD COMPLETED NOT STARTED INTERNAL BUSINESS PROCESS | 27 (cont’d) I09. Enhancement of the Confined Space Program Automate confined space regulatory and work forms (electronic conversion), add confined space data layer in the District’s enterprise Geographic Information System (GIS), and use data to electronically automate the District’s confined space inventory I10. Optimize District’s Hazardous Waste Operations and Emergency Response (HAZWOPER) Confined Space Rescue Team Certify program at Industry State Level and under the Incident Command System, streamline chlorine gas and confined space rescue training, operations, and response and convert inventory lists and equipment logs to electronic form 12 Leonel TorresGIS Analyst ON TARGET NOT ON TARGET ON HOLD COMPLETED NOT STARTED INTERNAL BUSINESS PROCESS | 27 (cont’d) L01. Enhance Leadership and employee training programs, and knowledge transfer process Continue development of leadership and District-wide training programs Review and enhance knowledge transfer process to ensure retention of District knowledge LEARNING AND GROWTH | 2 13 ON TARGET NOT ON TARGET ON HOLD COMPLETED NOT STARTED Juan Tamayo Recycled Program Supervisor 50% 60% 70% 80% 90% 100% FY17 FY18 FY19 FY20 FY21 LEARNING AND GROWTH CUSTOMERTRENDS ON TARGET KEY PERFORMANCE INDICATORS FINANCIAL OVERALL TARGET INTERNAL BUSINESS PROCESSES 75% TOTAL KPIs42 REPORTED QUARTERLY35 REPORTED ANNUALLY7 14% 5 KPIs NOT ON TARGET 86%30 KPIs RESULT TARGET 5/35 = 14%30/35= 86% 14 98.48%98.66% 90% 91% 92% 93% 94% 95% 96% 97% 98% 99% 100% Q1 Q2 Q3 Q4 ANSWER RATE Target: 97% average answer rate per quarter annually Calculation: Number of all calls answered/Number of all calls received 15 TARGET Kris Holden, Customer Service Rep II, answering a customer call. 0.91 0.84 0 1 2 3 4 5 6 7 8 9 10 Q1 Q2 Q3 Q4 TECHNICAL QUALITY COMPLAINT (AWWA) (Customer Service) Target & AWWA: No more than 7.1 complaints per 1000 customer accounts annually 75th Percentile for population served between 100,001-500,000 (combined utilities) Calculation: Number of technical quality complaints per year/Number of active customer accounts per reporting period Peter Grable, Water Systems Operator I,at the 850-2 Pump Station testing water for chlorine and calibrating analyzers based on the result. 16 TARGET & AWWA BENCHMARK 100%100% 90% 95% 100% Q1 Q2 Q3 Q4 POTABLE WATER COMPLIANCE RATE (AWWA) (Water Operations) Target & AWWA: 100% of all health-related drinking water standards per quarter annually 75th Percentile for population served between 100,001-500,000 (water) Calculation: Number of days the primary health regulations are met/Number of days in the reporting period 17 TARGET & AWWA BENCHMARK 18% 38% 0% 10% 20% 30% 40% 50% 60% 70% 80% 90% 100% Q1 Q2 Q3 Q4 CIP PROJECT EXPENDITURES VS. BUDGET Target: 95% of budget but not to exceed 100% annually Calculation: Actual Expenditures/Annual budget 18 Filling the completed 850-1 Reservoir 0.9%0.8% 0% 1% 2% 3% 4% 5% 6% Q1 Q2 Q3 Q4 CONSTRUCTION CHANGE ORDER INCIDENCE Target: No more than 5% annually Calculation: Total cost of Change Orders (not including allowances)/Total original construction contract amount (not including allowances) 1200-1 Reservoir Exterior Scaffolding 19 TARGET $150.00 $127.00 $0 $20 $40 $60 $80 $100 $120 $140 $160 $180 Q1 Q2 Q3 Q4 O&M COST PER ACCOUNT Target: Less than $592.00 per account annually (based on Annual Operating budget) Calculation: Total operations O&M costs/Number of accounts Allan Raymundo, Lead Customer Service Field Representative, manually reading a residential meter in Spring Valley. 20 BILLING ACCURACY (Customer Service) Target: 99.8% billing accuracy per quarter annually Calculation: Number of correct bills/Total number of bills during the reporting period 21 Dana Gutierrez, Customer Service Rep II, reviewing integrity checks to ensure billing accuracy. 99.99%99.99% 95% 96% 97% 98% 99% 100% 101% Q1 Q2 Q3 Q4 TARGET 120% 100% 50% 55% 60% 65% 70% 75% 80% 85% 90% 95% 100% 105% 110% 115% 120% 125% 130% Q1 Q2 Q3 Q4 OVERTIME PERCENTAGE Target: Less than 100% of budgeted overtime per quarter annually (based on Operating budget and historical trends; FY22 Overtime budget is $173,700) Calculation: Actual overtime costs (including comp time)/Budgeted overtime costs Utility Maintenance staff completing a service replacement (left to right: German Garcia and Silas Hess). 22 TARGET SEWER RATE RANKING Calculation: Ranking for the average monthly sewer bill Amy Pinion,Accountant,reviewing sewer rate ranking information. Target: Bottom 50th percentile for the 28 sewer service providers in San Diego 23 $142.30 $89.02 $83.61 $83.02 $81.26 $80.85 $79.91 $75.83 $74.66 $68.46 $66.08 $65.17 $64.20 $60.94 $60.70 $58.67 $57.83 $56.86 $55.25 $55.10 $54.60 $48.75 $46.61 $44.86 $43.08 $38.99 $31.50 $30.96 Del Mar Fallbrook Olivenhain Rancho Santa Fe Oceanside Encinitas Padre Dam Imperial Beach El Cajon Ramona Rainbow Poway San Diego, City La Mesa Escondido Valley Center - MG Vista Solana Beach Buena Chula Vista Lemon Grove Coronado, City National City Otay Water District San Diego, County Vallecitos Leucadia Carlsbad Otay ranks 5th out of 28 sewer service providers Projected sewer bill for FY 2022 Based on 10.3 units of water use and 3/4-inch residential meter size WATER RATE RANKING Calculation: Ranking for the average monthly water bill among CWA member agencies Target: Bottom 50th percentile for the 22 member agencies in San Diego Hannah Tamjidi, Finance Department Assistant, preparing the budget book. 24 $129.91 $128.18 $121.41 $120.76 $114.67 $111.42 $109.20 $107.31 $105.33 $97.60 $96.82 $91.87 $91.21 $86.54 $83.39 $83.38 $82.93 $80.99 $77.38 $76.83 $73.68 $66.93 Fallbrook Padre Dam Ramona Rainbow Valley Center Escondido Del Mar Rincon Yuima Vista Olivenhain Poway San Diego Helix Vallecitos Carlsbad Oceanside Otay Water District San Dieguito Santa Fe Sweetwater Lakeside Projected water bill for FY 2022 Based on 11 Units of water Use and 3/4-inch meter size Otay ranks 5th out of 22 member agencies 83.55%83.61% 50% 60% 70% 80% 90% 100% Q1 Q2 Q3 Q4 PERCENT OF CUSTOMERS PAYING BILLS ELECTRONICALLY Target: No less than 75% per quarter annually Calculation: Number of customers paying bills electronically/Total number of customers District customer making an online bill payment. 25 TARGET 3.2% 3.7% 0% 1% 2% 3% 4% 5% 6% Q1 Q2 Q3 Q4 DISTRIBUTION SYSTEM LOSS Target: Less than 5%of unaccounted water annually 26 TARGET Calculation: Volume purchased from CWA, City of San Diego & RWCTP Production –volume sold to customers + volume used by District/Volume purchased from CWA, City of San Diego & RWCTP Production 832-2 Reservoir 75% 69% 50% 60% 70% 80% Q1 Q2 Q3 Q4 PLANNED POTABLE WATER MAINTENANCE RATIO IN $ Target: 66% of all labor costs spent on preventative maintenance per quarter annually Calculation: Total Planned Maintenance Cost/Total Maintenance Cost 27 TARGET Silas Hess, Sr. Utility Worker/Equipment Operator,connecting a customer’s meter after pulling a new copper service. 48% 63% 0% 10% 20% 30% 40% 50% 60% 70% 80% Q1 Q2 Q3 Q4 PLANNED RECYCLED WATER MAINTENANCE RATIO IN $ Target: 70% of all labor costs spent on preventative maintenance per quarter annually 28 TARGET Calculation: Total Planned Maintenance Cost/Total Maintenance Cost 680/944 Recycled Pump Station 92% 84% 50% 60% 70% 80% 90% 100% Q1 Q2 Q3 Q4 PLANNED WASTEWATER MAINTENANCE RATIO IN $ Target: 77% of all labor costs spent on preventative maintenance per quarter annually Calculation: Total Planned Maintenance Cost/Total Maintenance Cost Aerial view of the Ralph W. Chapman Recycling Plant 29 TARGET $942.32 $773.50 $0 $200 $400 $600 $800 $1,000 $1,200 $1,400 Q1 Q2 Q3 Q4 DIRECT COST OF TREATMENT PER MGD Calculation: Total O&M costs directly attributable to sewer treatment/Total volume in MG for one quarter 30 Target: No more than $1,050 per MGD spent on wastewater treatment annually Rob Leigh, Lead Reclamation Plant Operator, turning a pump on, which pushes microorganisms that float in the clarifier back to the aeration basins to be treated again. 100%100% 95% 96% 97% 98% 99% 100% Q1 Q2 Q3 Q4 MARK-OUT ACCURACY Target: 100% mark-out accuracy per quarter annually Calculation: Number of mark-outs performed without an at-fault hit, which is damage to a District facility that results from a missing or erroneous mark-out/Total number of mark-outs Israel Bojorquez, Utility Locator, conducting a mark-out. 31 TARGET 29.0 7.2 0 5 10 15 20 25 30 35 40 45 50 55 60 65 70 75 Q1 Q2 Q3 Q4 PROJECT CLOSEOUT TIME Target: 45-day average annually Calculation: Number of days between NOSC and NOC for all construction projects within the quarter/ Number of construction projects within the quarter 32 TARGET 1090-1 Pump and Motor #1 Replacement 34% 59% 0% 10% 20% 30% 40% 50% 60% 70% 80% 90% 100% Q1 Q2 Q3 Q4 ANNUAL RECYCLED WATER SITE INSPECTIONS Target: 100% of recycled sites inspected annually (172 recycled water sites scheduled for FY22) Calculation: Cumulative percentage of recycled water sites inspected per quarter of those required by DEH 33 Larry Cannon, Recycled Water Specialist, at a recycled water site in Chula Vista. 41% 59% 0% 10% 20% 30% 40% 50% 60% 70% 80% 90% 100% Q1 Q2 Q3 Q4 Calculation: Cumulative percentage of recycled site shutdown tests performed per year compared to those scheduled RECYCLED WATER SHUTDOWN TESTING Target: 90% of recycled site shutdown tests performed annually (29 recycled water sites scheduled for shutdown in FY22, 90% = 26 sites) 34 Tanya Ayala-Mason, Recycled Water Specialist, conducting a shutdown test at Veterans Elementary in Chula Vista. 0% 6% 0% 10% 20% 30% 40% 50% 60% 70% 80% 90% 100% Q1 Q2 Q3 Q4 EASEMENT EVALUATION AND FIELD INSPECTION Target: 100% assigned easements, evaluated via desktop tools, and inspected annually (100 easements were assigned for FY22) 35 Calculation: Number of easements evaluated and inspected/Total easements assigned for the period Aaron Hazard, Construction Inspector II, conducting an easement evaluation. 100%100% 80% 85% 90% 95% 100% Q1 Q2 Q3 Q4 PERCENT OF PM’S COMPLETED –FLEET MAINTENANCE Target: 90% of scheduled preventative maintenance completed per quarter annually 36 TARGET Calculation: Number of PM’s completed/Number of PM’s scheduled Abraham Yanez, Equipment Mechanic II, performing maintenance on an air relief valve for a vactor truck. 100%100% 80% 85% 90% 95% 100% Q1 Q2 Q3 Q4 PERCENT OF PM’S COMPLETED –RECLAMATION PLANT Target: 90% of scheduled preventative maintenance completed each quarter annually Calculation: Number of PM’s completed/Number of PM’s scheduled 37 TARGET Tyrese Powell-Slotterbeck, Reclamation Plant Operator II, moving chlorine gas containers after a delivery. 100% 54% 0% 10% 20% 30% 40% 50% 60% 70% 80% 90% 100% Q1 Q2 Q3 Q4 PERCENT OF PM’S COMPLETED –PUMP/ELECTRIC SECTION Target: 90% of scheduled preventative maintenance completed per quarter annually Calculation: Number of PM’s completed/Number of PM’s scheduled Automatic Transfer Switch at the 803-1 Pump Station 38 TARGET 1305 790 0 200 400 600 800 1,000 1,200 1,400 1,600 1,800 2,000 Q1 Q2 Q3 Q4 SYSTEM VALVE EXERCISING PROGRAM Target: 3,080 valves exercised annually Calculation: Total number of valves exercised per year 39 TARGET The District’s valve exercising truck 5.41 4.27 01234567891011121314151617181920 Q1 Q2 Q3 Q4 AWWA BENCHMARK POTABLE WATER DISTRIBUTION SYSTEM INTEGRITY (Water Operations) Target: No more than 16 leaks and breaks per 100 miles of distribution system annually AWWA: 16.1 leaks and breaks per 100 miles of distribution system (50th percentile Potable Water System Integrity: Leaks and Breaks for population served between 100,000-500,000) Calculation: [100 (annual total number of leaks + annual total number of breaks)] /total miles of distribution piping Lawrence Garcia, Water Systems Operator III, at the 850-2 Pump Station. 40 TARGET 1.90 0.000 1 2 3 4 5 Q1 Q2 Q3 Q4 RECYCLED WATER SYSTEM INTEGRITY Target: No more than 6.6 leaks and breaks per 100 miles of recycled distribution system annually 41 TARGET Calculation: (100 x Number of leaks and breaks)/Number of miles of recycled distribution system 680/944 Recycled Pump Station 2.27 00 1 2 3 4 Q1 Q2 Q3 Q4 SEWER OVERFLOW RATE (AWWA) (Wastewater Operations) Target & AWWA: 0 overflows per quarter 75th Percentile for Sewer Overflow rate for population served between 0-50,000 Calculation: 100 x Total number of sewer overflows during the reporting period/Total miles of pipe in the sewage collection system Brandon Perry, Senior Utility Worker/Equipment Operator,operating and documenting the condition of the collection system. 42 TARGET & AWWA BENCHMARK is 0 100%100% 50% 60% 70% 80% 90% 100% 110% Q1 Q2 Q3 Q4 EMERGENCY FACILITY POWER TESTING Target: Test 100% of all facilities scheduled per quarter to have all emergency facilities tested annually (38 powered ready facilities) Calculation: Number of facilities tested/Total number of facilities Emergency standby genset at the Cottonwood Sewer Lift Station 43 TARGET 0 7 0 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 Q1 Q2 Q3 Q4 POTABLE TANK INSPECTION AND CLEANING Target: 8 potable water storage tanks and/or reservoirs cleaned annually Calculation: Total number of tanks cleaned and inspected annually 520-3 Reservoir 44 ANNUAL TARGET 151 176 0 50 100 150 200 250 300 Q1 Q2 Q3 Q4 MAIN FLUSHING AND HYDRANT MAINTENANCE Target: 215 mains flushed and fire hydrants maintained annually Calculation: Total number of mains flushed and fire hydrants maintained per year Vince Brown, Utility Worker II, exercising a hydrant valve and flushing a hydrant at the same time. 45 TARGET 712 00 100 200 300 400 500 600 700 800 Q1 Q2 Q3 Q4 CRITICAL VALVE EXERCISING Target: 712 critical valves exercised annually Calculation: Total number of critical valves exercised in a year Luis Zavala, Utility Worker I, exercising a District valve. 46 ANNUAL TARGET 0.71% 3.68% 0% 1% 2% 3% 4% 5% 6% Q1 Q2 Q3 Q4 EMPLOYEE VOLUNTARY TURNOVER RATE (Organizational Development) 47 TARGET Target: Less than 5% turnover annually Calculation: Number of voluntary terminations (not including retirements)/Average number of employees Admin Services staff attending a virtual Employee Information Meeting (left to right: Kelli Williamson and Jenny Diaz). 3.92 5.46 0 1 2 3 4 5 6 7 8 9 10 Q1 Q2 Q3 Q4 TRAINING HOURS PER EMPLOYEE (Organizational Development) Calculation: Total qualified training hours for all employees/Average number of FTEs 48 TARGET Target: 12 hours per employee annually Eileen Salmeron, Communications Assistant, completing an online cybersecurity awareness training. 5.45 12.96 0 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 Q1 Q2 Q3 Q4 SAFETY TRAINING PROGRAM Target: 24 hours per field employee annually Calculation: Total qualified safety training hours for field employees/Average number of field employees 49 TARGET Steven Farr, Equipment Mechanic II, at a CPR training held at the District. 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