HomeMy WebLinkAbout06-19-18 F&A Committee Packet 1
OTAY WATER DISTRICT
FINANCE AND ADMINISTRATION
COMMITTEE MEETING
and
SPECIAL MEETING OF THE BOARD OF DIRECTORS
2554 SWEETWATER SPRINGS BOULEVARD
SPRING VALLEY, CALIFORNIA
BOARDROOM
TUESDAY
June 19, 2018
11:30 A.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 JU-
RISDICTION BUT NOT AN ITEM ON TODAY'S AGENDA
DISCUSSION ITEMS
3. RECEIVE AN UPDATE ON THE DISTRICT’S COMPUTER AND CYBERSECURITY
LANDSCAPE (KERR) [5 minutes]
4. APPROVE THE TRANSFER $30.0 MILLION OF POTABLE RESERVES TO
CALPERS AND THE TRANSFER $1.8 MILLION OF SEWER RESERVES TO
CALPERS; AND APPROVE THE SALE OF CURRENTLY HELD INVESTMENTS, AS
NEEDED, TO TRANSFER THESE FUNDS (KOEPPEN) [5 minutes]
5. RECEIVE A PRESENTATION OF THE IMPACT OF SEWER ISSUING DEBT IN
FY 2019 VS. FY 2020; AND DIRECT STAFF TO PREPARE THE SEWER 218
NOTICES USING THE RATES ASSOCIATED WITH THE FY 2020 DEBT ISSUANCE
(KOEPPEN) [5 minutes]
6. ADOPT RESOLUTION NO. 2018-01 TO AMEND THE OTAY WATER DISTRICT
FINANCING AUTHORITY BY-LAWS AUTHORIZING THE AUTHORITY TO HOLD
REGULAR MEETINGS ON EACH DATE THAT IS A REGULAR MEETING DATE OF
THE BOARD OF DIRECTORS OF THE OTAY WATER DISTRICT (KOEPPEN) [5
minutes]
7. ADJOURNMENT
2
BOARD MEMBERS ATTENDING:
Mark Robak, Chair
Mitch Thompson
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 through the District Secretary by contacting
her at (619) 670-2280.
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 670-2280 at least 24 hours prior
to the meeting.
Certification of Posting
I certify that on June 15, 2018 I posted a copy of the foregoing agenda near the regu-
lar 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 June 15, 2018.
/s/ Susan Cruz, District Secretary
STAFF REPORT
TYPE MEETING: Regular Board MEETING DATE: July 11, 2018
PROJECT: Various DIV. NO. ALL
SUBMITTED BY: Michael Kerr, Information Technology Manager
APPROVED BY:
Adolfo Segura, Chief, Administrative Services
Mark Watton, General Manager
SUBJECT: UPDATE ON THE DISTRICT’S COMPUTER AND CYBERSECURITY LANDSCAPE
GENERAL MANAGER’S RECOMMENDATION:
To brief and update the Board on the current state of the District’s
computer and cybersecurity landscape.
COMMITTEE ACTION:
Please see “Attachment A”.
PURPOSE:
This is an informational item regarding the current state of the
District’s computer and cybersecurity landscape.
ANALYSIS:
The District’s technology infrastructure is the critical platform
supporting all essential electronic services ranging from email to
SCADA operations. With ever-growing demands and dependency of
technology services, maintaining a reliable, scalable, and secure
infrastructure is a constant for the District’s IT team. Although
technology has brought many efficiencies to District operations, it
has also presented a number of security risks that must be managed
appropriately and consistently to ensure efficient and reliable
operations. With technology and data security at the forefront of any
industry, the District is no different. The District has made
significant technology investments and changes in its technology
architecture in order to protect and mitigate from security breaches
and cyber threats. The District follows technology security best
2
practices and has implemented a comprehensive and layered approach to
technology operations and systems security management. Following is a
summary of assets and protection mechanisms in place:
Desktops/Laptops
The District’s computer inventory consists of over 140 workstation
computers and 49 field ruggedized laptops and tablets. The useful life
for this equipment is approximately five years. All District computer
systems run on Microsoft Windows operating system, Microsoft Office
Productivity Suite, and additional standard applications for day-to-
day work. Staff continuously updates and monitors District computers
through the use of a system asset management solution, KACE1000, which
provides comprehensive management of all District workstations. The
continuous monitoring and updates ensures that the latest workstation
security protection is applied to mitigate risks ranging from viruses
to ransomware. The District’s desktops and laptops are protected with
the latest anti-virus software.
Field Device Technology Support
The District’s mobile device inventory consists of over 80 District-
issued smartphones and electronic tablets. This is a combination of
iPhones, iPads, Surface Tablets, and ruggedized laptops. These devices
are also regularly updated with the latest system and security patches.
Business Enterprise Servers
The District business-server environment is a mix of over one-hundred
physical and virtual application and database servers. Some of the key
server services include our Enterprise Resource Planning (ERP) system,
Tyler Eden, Enterprise Content Management System (ECMS), LaserFiche,
Work-Order Management System, Cityworks, and the District’s enterprise
Geographical Information System (GIS). With a combination of
administrative and performance tools, IT staff continuously monitors
the activities of the business server environment to not only maintain
optimal operations, but to react to any abnormal behaviors related to
potential threats. The District’s business servers are also protected
with the latest anti-virus software.
Public Facing Website & Electronic Bill Pay
The District’s public facing website, otaywater.gov, is hosted and
supported by an outside service provider with reinforced safeguards.
Our web hosting provider has met both SSAE-16 and SOC-3 compliance
certifications for security, availability, and confidentiality
principles and criteria. For online bill paying customers, the District
partners with an external service provider, Paymentus, for payment
processing. Paymentus, retains only the necessary District customer
information, and is certified with level 1 Payment Card Industry Data
Security Standard (PCI DSS), which is the highest level of credit card
3
security compliance in the industry.
Infrastructure, Storage, and Network Services
The District’s enterprise technology infrastructure consist of
traditional Local Area Network (LAN) equipment to include network
switches for physical and wireless connection, firewalls for
protection, leased communication circuits for phone, facility, and
internet services, small data center housing business servers, data
storage and backup devices. The District also manages a Wide Area
Network (WAN) for SCADA services, which the connectivity covers most
of the District’s service footprint. As a best practice, the SCADA WAN
and Wi-Fi environments are isolated from the District’s corporate
network. Both LAN and WAN environments have been engineered with
security and redundancy components, and both environments are monitored
24/7 with an in-house solution and outside vendor. Monitored activities
include user access, connectivity status, temperature status, general
performance, and custom alarm reporting.
Data and Cybersecurity
Commencing at the user level, the District began a cyber social
awareness training campaign approximately two years ago, which entailed
regular flow of phishing type messages, solicitations, execution of
fake viruses, and redirection to fake websites. At the data level, in
the event suspect data or messages attempt to make their way into
District systems, it’ll often be quarantined, and then released upon
verification. In the event that suspect data or messages do make their
way into District systems, they will be interrogated by the anti-virus
on the local workstation, or application server it’s attempting to
interact with. At the cloud and firewall level, the District utilizes
a security cloud service, which interrogates known cyber threats that
masks themselves as legitimate web our email sources. The web or
message threat is neutralized at the cloud level and therefore, never
touch District systems. As a best practice, the District’s firewalls
have been programmed to block known electronic data ports of entry and
file extensions for malware, ransomware, crypto ware, and other known
vulnerabilities.
And lastly, at the community level, approximately three years ago, the
District partnered with Department of Homeland Security’s Cyber
Security Group. The partnership allows for the District to be kept up
to date with information on latest threats, and also benefit from a
monthly cyber security assessment, which informs us of potential weak
points in our network infrastructure.
Reflective Principles
In parallel to many of the recent infrastructure enhancements and
upgrades, there’s a very strong technology protection culture by staff.
4
This can be seen by staff’s regular interaction ranging from local
security vendors to DHS partnership. In addition to the aforementioned
safeguards, IT staff have also developed an Information Technology
Disaster Recovery Plan, IT Service Catalog, and continue to enhance our
security practices by adopting framework elements from the National
Institute of Standards and Technology (NIST). Through these practices
and efforts, staff is and has been able to maintain a high-performing
and secure computing environment for the District.
FISCAL IMPACT: Joe Beachem, Chief Financial Officer
None. Informational item only.
LEGAL IMPACT:
None.
ATTACHMENTS:
Attachment A – Committee Action Report
Attachment B – District Technology Landscape
ATTACHMENT A
SUBJECT/PROJECT: UPDATE ON THE DISTRICT’S COMPUTER AND CYBERSECURITY
LANDSCAPE
COMMITTEE ACTION:
The Finance, Administration and Communications Committee met on June 19,
2018 to review this item. The Committee supports presentation to the
full Board for their review.
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.
150‐Mbps Fiber
Administrative Building
Enterprise Systems Desktop Software
Microsoft Mail Exchange
GE‐iFix/SCADA
Websense Endpoint Sec.
KACE 1000 Mgmt.
ERP Tyler Eden 5.20
ECMS LaserFiche (ECMS)
GIS/ESRI
8X8 Phone System
SharePoint Content Mgmt.
CityWorks WO Mgmt. Sys.
Solarwinds Notification
Zetta Bkup & Recovery
Meraki Wireless Access
Dotgov
WordPress
SendGrid
GETs
Veeam
ARIN
Nintex (Mobile/Forms)
Secure Authentication
Rapid Notify
Finance
Sympro Financials
Master Meter
MetroScan
MasterLinx
Procurement
BidsSync
Visitor Management
HR
NeoGov
IdentiCard
Engineering
XC2
NoteVault
Permits
Itron
Operations
Site‐O‐Mat
MMRS
HACH
Win911
Servers/Databases
Server Environment
MS. Windows Servers
Virtual Servers (88)
Physical Servers (45)
Hardware
Tegile (SAN)
Cisco F/W ASA
Cisco Switches
Cisco Routers
SQL/Databases
2008R2 Databases (40)
2012 GIS DB’s (20)
Clustered DB’s (50)
Geographic Information System (GIS)
Windows 7 Enterprise
MS Office Suite 2013
MS Exchange 2013
Tyler Eden 5.18 Client
Bit Defender
MS Explorer v.11
Chrome
Acrobat Reader 11.0
KACE 1000 Client
Websense Agent
Phone System App
(8X8)
ArcGIS Server 10.3 Innovyze (InfoMaster)
ArcGis Desktop 10.3
InfraMap
GIS Dashboard 10.3
Pipeline Observation System Mgmt.
AutoDesk
ArcSDE
Treatment Plant
Co‐Location
(Backup Internet)
100‐Mbps Fiber Circuit
Primary Internet
100‐Mbps Fiber Circuit
GE‐iFix
SCADA
Win911
Metro‐Ethernet
Cox 20‐Mbps Fiber
Cox 1.5‐Mbps
Full Redundancy/
High Availability
OTAY WATER DISTRICT TECHNOLOGY LANDSCAPE
www.otaywater.gov
STAFF REPORT
TYPE MEETING: Regular Board Meeting MEETING DATE: July 11, 2018
SUBMITTED BY: Kevin Koeppen, Asst Chief of
Finance
W.O./G.F. NO: DIV. NO. All
APPROVED BY:
Joseph R. Beachem, Chief Financial Officer
Mark Watton, General Manager
SUBJECT: Approve the Transfer $30.0 Million of Potable Reserves to
CalPERS and the Transfer $1.8 Million of Sewer Reserves to
CalPERS. Approve the Sale of Currently Held Investments, as
Needed, to Transfer These Funds
GENERAL MANAGER’S RECOMMENDATION:
That the Otay Water District (District) Board of Directors:
1. Approve the transfer $30.0 million of potable reserves to
CalPERS,
2. Approve the transfer $1.8 million of sewer reserves to CalPERS,
3. Approve the sale of currently held investments, as needed, to
transfers these funds.
COMMITTEE ACTION:
See Attachment A.
PURPOSE:
To obtain Board approval for the transfer $30.0 million of potable
reserves to CalPERS and the transfer $1.8 million of sewer reserves
to CalPERS to reduce the District’s unfunded pension liability.
ANALYSIS:
On May 2 and May 21, 2018, Staff presented informational items
regarding an option for providing an advance funding to CalPERS,
which will reduce the District’s unfunded actuarial liability (UAL)
and provide a cashflow benefit to the District. Based on the
analysis performed by the District’s Financial Advisor, Suzanne
Harrell, presented to the Board on May 21, 2018 the District expects
to achieve a cumulative cashflow savings of $16.4 million over 25
years.
As of June 30, 2018, the District is projected to have a UAL of $51.3
million, which is charged interest at 7.0%, and is approximately 62%
funded. The advance payment will reduce the high interest UAL cost
and will result in the savings communicated in the previous
paragraph. After the advance payment the UAL will be approximately
$19.5 million and approximately 85% funded.
The UAL is comprised of several layers related to CalPERS actuarial
assumptions differing from actual results and changes in actuarial
assumptions. The balance of the UAL carries is charged interest at a
rate of 7.0%, which is the District’s highest cost debt. The annual
UAL payment charged by CalPERS represents the annual amortization of
these tiers and a prepayment will result in the elimination of
defined tiers and a reduction in the annual UAL payment. As part of
the advance funding the District is able to define which layers of
the UAL it would like to pay down. The following table summarizes
the UAL tier balance as of June 30, 2016, the application of the
$31.8 million advance funding, and the balance remaining after the
advance funding.
Tiers were selected based on maximizing the savings and avoiding the
creation of a stranded asset. The purpose of not backloading the
remaining UAL obligation is to provide a safeguard for additional
tiers that CalPERS will add in the future. A stranded asset is
created when a negative UAL tier, which reduces the UAL, has no
offsetting negative tier, which increases the UAL. A negative tier
cannot be used to offset the pensions normal cost, so if the negative
tier has no offsetting positive tier the asset is stranded until
future positive tiers are created. The tiers selected maximize the
cashflow benefit, reduce the District interest costs and do not
result in a stranded asset.
The District will have approximately $15 million of reserves that can
be transferred to CalPERS in July. The remaining amounts would need
to be funded through the sale or maturity of investments. Due to
rising interest rates and currently held investments yielding lower
rates than the currently available investments, the sale of the
District’s investments prior to maturity would likely result in an
investment loss. The District has identified investments to sell
based on minimizing this loss. The estimated loss as of June 6, 2018
would be $75,000. By selling these investments and reinvesting the
funds with CalPERS, the funds will effectively earn 7.0%. The
District will realize a greater interest rate and will realize more
earnings than were lost on the sale.
FISCAL IMPACT:
This action would generate a cashflow savings of approximately $16.4
million over the next 25 years, including an average savings of $1.3
million per year from FY 2020 to FY 2025.
STRATEGIC GOAL:
The District ensures its continued financial health through long-term
financial planning and debt planning.
LEGAL IMPACT:
None.
General Manager
Attachments:
A) Committee Action
ATTACHMENT A
SUBJECT/PROJECT:
Approve the Transfer $30.0 Million of Potable Reserves to
CalPERS and the Transfer $1.8 Million of Sewer Reserves to
CalPERS. Approve the Sale of Currently Held Investments,
as Needed, to Transfers These Funds
COMMITTEE ACTION:
That the Finance and Administration Committee recommend that the
Board approve the following:
1. Approve the transfer $30.0 million of potable reserves to
CalPERS,
2. Approve the transfer $1.8 million of sewer reserves to
CalPERS,
3. Approve the sale of currently held investments, as needed,
to transfers these funds.
STAFF REPORT
TYPE MEETING: Regular Board Meeting MEETING DATE: July 11, 2018
SUBMITTED BY: Kevin Koeppen, Asst Chief of
Finance
W.O./G.F. NO: DIV. NO. All
APPROVED BY:
Joseph R. Beachem, Chief Financial Officer
Mark Watton, General Manager
SUBJECT: Present to the Board the Impact of Sewer Issuing Debt in FY
2019 vs. FY 2020; and Obtain Direction to Prepare the Sewer
218 Notices Using the Recommended Timing of the Debt Issuance
GENERAL MANAGER’S RECOMMENDATION:
That the Board direct staff to prepare the Sewer 218 Notices using
the rates associated with the FY 2020 debt issuance.
COMMITTEE ACTION:
See Attachment A.
PURPOSE:
Present to the Board the rate impact of sewer issuing debt in FY 2019
vs. FY 2020; and obtain direction to prepare the Sewer 218 Notices
using the recommended timing of the debt issuance.
ANALYSIS:
As part of the FY 2019 Budget presented to the Board on May 21, 2018,
staff communicated that the District’s sewer side would need to issue
$5.0 million of debt in FY 2020. This staff report responds to a
question raised at that meeting. Staff was asked to evaluate the
timing of the sewer debt issuance to determine if it would be cost
beneficial for the debt to be issued in FY 2019 versus issuing debt
in FY 2020, which would likely be issued at a higher interest rate.
The following two debt scenarios are being presented as part of this
Staff Report followed by a discussion of each scenario including: the
net present value benefit, revenue/rate impact and other
risks/benefits:
1. Issue $5.0 million in FY 2020 (FY 2019 Budget proposal)
2. Issue $5.0 million in FY 2019
The following table demonstrates the rate impacts of the each
scenario.
Scenario #1: Issue $5.0 million in FY 2020
If the District were to issue $5.0 million in FY 2020 (November 2019)
and interest rates were to increase 0.3% compared to interest rates
associated with an FY 2019 issuance (November 2018), the annual debt
service would be $342,000. This option allows the impacts of the debt
issuance to be gradually inputted into customer rates from FY 2019 to
FY 2021, and would result in proposed sewer rate increases of 4.6%
for FY 2019 and 5.0% for FY 2020. The FY 2020 increase of 5.0% is
greater than the 4.6% presented in the May 21, 2018 board workshop
due to reducing the maturities on $1.8 million of the debt from 30
years to 20 years.
The following table demonstrates the estimated impact on residential
monthly bills based on this scenario.
The risk associated with this option would be increasing interest
rates. At this time our Financial Advisor’s best estimate is that
long-term interest rates may increase around 30 basis points between
the timing of the two issuance scenarios. A 25 basis point increase
in the effective interest rate equates to an $8,000 increase in
annual debt service, which has a 0.30% impact on sewer rates. The
estimated overall impact of increasing interest rates is summarized
in the next scenario.
2019 2020 2021 2022 2023 2024
Issue Debt in
2019 7.7% 7.7% 3.0% 3.0% 3.0% 3.0%
Issue Debt in
2020 4.6% 5.0% 4.6% 4.6% 4.6% 4.6%
Proposed Revenue Increases
Winter
Average
Range (HCF)
FY18
Winter
Average
FY19
Winter
Average
Increase in
Winter
Average
% Increase in
Winter
Average
Current
Monthly
Charge
FY 2019
Proposed
Monthly Charge
$
Inc/(
Dec)
%
Inc/(Dec)
0 - 10 5.8 6.1 0.3 4.3% $30.82 $29.91 ($0.91) -3.0%
11 - 20 10.7 14.4 3.6 33.9% $42.34 $47.87 $5.53 13.1%
21 - 29 15.2 24.2 9.0 59.4% $52.43 $68.52 $16.09 30.7%
30 and up 20.2 36.2 16.0 78.9% $63.71 $91.07 $27.36 42.9%
Residential
Scenario #2: Issue $5.0 million in FY 2019
If the District were to issue $5.0 million in FY 2019 (November
2018), the annual debt service would be approximately $324,000, which
is $18,000 less per year than issuing the debt in FY 2020. When
compared to issuing the debt in FY 2020, this equates to a net 30-
year present value savings of $75,000. However, this compacts the
period over which the revenues must increase to meet debt coverage
covenants. To meet the debt coverage covenant under this earlier
scenario revenues would need to increase 7.7% in both FY 2019 and FY
2020.
The following table demonstrates the estimated impact on residential
monthly bills based on this scenario.
Under this earlier scenario the short-term percentage impacts on
residential customer monthly bills is greater than under the previous
scenario.
In addition, there remain risks associated with the City of San
Diego’s Pure Water funding program that could result in near term
metro costs increasing more than the current projections, which would
put additional pressure on revenues and rates. Waiting to the point
where the debt is necessary allows various uncertainties to play out
and makes it more certain that the optimal amount of debt will be
issued.
With a 2019 debt issuance, it may be advisable to modify the language
proposed for sewer’s 218 notice. As part of the May 21, 2018 budget
approval, staff proposed a 10% maximum rate increase be allowed for
internal cost increases, which includes the need to meet debt
coverage covenants. The maximum single year decline in winter average
that a 10% maximum internal cost limit could absorb is 16%. The
maximum actual single year winter average decline the District has
realized in recent history was approximately 20%. With winter
averages now close to normal levels this level of decline is
repeatable. If winter averages were to decline 20% in a single year,
a 12% maximum allowable increase for internal costs would be needed
to meet the debt covenant. As a note, under the 2020 debt issuance
scenario, the 10% proposed maximum internal cost increase would be
sufficient to meet the debt service coverage covenant in the event
winter averages declined 20% in a single year.
Winter
Average
Range (HCF)
FY18
Winter
Average
FY19
Winter
Average
Increase in
Winter
Average
% Increase in
Winter
Average
Current
Monthly
Charge
FY 2019
Proposed
Monthly Charge
$
Inc/(
Dec)
%
Inc/(Dec)
0 - 10 5.8 6.1 0.3 4.3% $30.82 $30.98 $0.16 0.5%
11 - 20 10.7 14.4 3.6 33.9% $42.34 $48.94 $6.60 15.6%
21 - 29 15.2 24.2 9.0 59.4% $52.43 $70.48 $18.05 34.4%
30 and up 20.2 36.2 16.0 78.9% $63.71 $93.88 $30.17 47.4%
Residential
Recommendation
Based on the upfront impacts on rates, the smoothing of rates, and
the greater certainty of issuing the optimal amount staff is
recommending sewer debt be issued in FY 2020.
FISCAL IMPACT: Joe Beachem, Chief Financial Officer
The below tables summarize the proposed revenue increases and debt
service associated with the two options above.
Issuing debt in 2020 aligns with the FY 2019 budget and no additional
revenues are needed. Issuing debt in 2019 would result in the need
to raise additional revenues in the near term in accordance with the
tables above.
STRATEGIC GOAL:
The District ensures its continued financial health through long-term
financial planning and debt planning.
LEGAL IMPACT:
None.
General Manager
Attachments:
A) Committee Action Form
201920202021202220232024
Issue Debt in
2019 7.7% 7.7% 3.0% 3.0% 3.0% 3.0%
Issue Debt in
2020 4.6% 5.0% 4.6% 4.6% 4.6% 4.6%
201920202021202220232024
Issue Debt in
2019 $100 $324 $324 $324 $324 $324
Issue Debt in
2020 $0 $103 $342 $342 $342 $342
Proposed Revenue Increases
Annual Debt Service (thousands $'s)
ATTACHMENT A
SUBJECT/PROJECT:
Present to the Board the Impact of Sewer Issuing Debt in FY
2019 vs. FY 2020; and Obtain Direction to Prepare the Sewer
218 Notices Using the Recommended Timing of the Debt
Issuance
COMMITTEE ACTION:
That the Board direct staff to prepare the Sewer 218 Notices
using the rates associated with the FY 2020 debt issuance.
STAFF REPORT
TYPE MEETING: Regular Board Meeting MEETING DATE: July 11, 2018
SUBMITTED BY: Kevin Koeppen, Asst Chief of
Finance
W.O./G.F. NO: DIV. NO. All
APPROVED BY:
Joseph R. Beachem, Chief Financial Officer
Mark Watton, General Manager
SUBJECT: Adopt Resolution No. 2018-01 to Amend the Otay Water District
Financing Authority By-Laws Authorizing the Otay Water
District Financing Authority to Hold Regular Meetings on Each
Date That is a Regular Meeting Date of the Board of Directors
of the Otay Water District
GENERAL MANAGER’S RECOMMENDATION:
That the Board adopt Resolution No. 2018-01 to amend the Otay Water
District Financing Authority by-laws authorizing the Otay Water
District Financing Authority to hold regular meetings on each date
that is a regular meeting date of the Board of Directors of the Otay
Water District.
COMMITTEE ACTION:
None.
PURPOSE:
To present for the Board’s consideration the adoption of Resolution
No. 2018-01 to amend the Otay Water District Financing Authority By-
Laws authorizing the Otay Water District Financing Authority to hold
regular meetings on each date that is a regular meeting date of the
Board of Directors of the Otay Water District.
ANALYSIS:
At the May 2 and May 21, 2018 Board meetings staff presented items
proposing to the Board that the District’s water side issue
approximately $30 million of debt to fund the District’s eligible CIP
projects. Based on feedback from the Board, staff has proceeded with
the process to engage the financing team in June, and update documents
associated with issuing debt. Based on the current timeline, staff
anticipates requesting approval from the Board authorizing the General
Manager to issue debt in September or October of 2018.
The proposed debt would be issued by the Otay Water District Financing
Authority (the Authority) and must be approved at an Authority regular
board meeting. The Authority’s current by-laws define January and March
as the only months the Authority can hold regular meetings and must be
updated to meet the current timeline for issuing debt.
The requested changes will provide the ability for the Authority to
hold a regular meeting that meets the timeframe of the proposed debt
issuance and prevent undo delays in future debt issuances.
FISCAL IMPACT: Joe Beachem, Chief Financial Officer
There is no fiscal impact associated with this action.
STRATEGIC GOAL:
The District ensures its continued financial health through long-term
financial planning and debt planning.
LEGAL IMPACT:
None.
General Manager
Attachments:
A) Committee Action
B) Resolution No. 2018-01
Exhibit A - Strike-through By-laws
C) Proposed By-Laws
ATTACHMENT A
SUBJECT/PROJECT:
Adopt Resolution No. 2018-01 to Amend the Otay Water
District Financing Authority By-Laws Authorizing the Otay
Water District Financing Authority to Hold Regular Meetings
on Each Date That is Regular Meeting Date of the Board of
Directors of the Otay Water District
COMMITTEE ACTION:
That the Board adopt Resolution No. 2018-01 to amend the Otay
Water District Financing Authority by-laws authorizing the Otay
Water District Financing Authority to hold regular meetings on
each date that is a regular meeting date of the Board of
Directors of the Otay Water District.
DOCSOC/1893123v1/200077-0008
RESOLUTION NO. 2018-01
A RESOLUTION OF THE AUTHORITY COMMISSION OF THE
OTAY WATER DISTRICT FINANCING AUTHORITY AMENDING
ITS BYLAWS
WHEREAS, the Otay Water District Financing Authority (the “Authority”) has been formed
pursuant to a Joint Exercise of Powers Agreement (the “Agreement”) between the Otay Water District
(the “District”) and the California Municipal Finance Authority (“CMFA”), dated as of March 3, 2010,
between the District and CMFA; and
WHEREAS, the Authority Commission, as the governing board of the Authority, has adopted
bylaws (the “Bylaws”) which provide various provisions for the operation of the Authority including
when regular meetings will be held; and
WHEREAS, the Authority has determined that it is desirable and furthers its public purpose to
amend Article III, Section 1 of the Bylaws in order to provide for more frequent regular meetings; and
WHEREAS, Article IV, Section 1 of the Bylaws provide that the Bylaws may be amended at a
regular or a special meeting of the Authority Commission; and
WHEREAS, the meeting at which this resolution is being adopted is a special meeting called
with all notice required by law;
NOW, THEREFORE, BE IT RESOLVED by the Authority Commission as follows:
Section 1. The Authority Commission hereby adopts the amendment to Article XIII, Section 1
of the Bylaws set forth in Exhibit A hereto which highlights the change from the original text of the
Bylaws.
Section 2. Pursuant to the Bylaws, regular meetings of the Authority Commission will be held
on each date that is a regular meeting date of the Board of Directors of the District and on such other
dates and times as are established by resolution of the Authority Commission from time to time.
Section 3. All of the recitals herein set forth are true and correct and the Authority
Commission so finds and determines.
Section 4. This Resolution shall take effect immediately upon passage.
ATTACHMENT B
DOCSOC/1893123v1/200077-0008
PASSED, APPROVED AND ADOPTED this 11th day of July, 2018.
________________________________________
Tim Smith, President of the Commission
Otay Water District Financing Authority
Attest:
_________________________
Susan Cruz, Secretary to the
Otay Water District Financing Authority
DOCSOC/1893123v1/200077-0008
STATE OF CALIFORNIA )
) ss
COUNTY OF SAN DIEGO )
I, Susan Cruz, Secretary to the Commission of the Otay Water District Financing Authority, do hereby
certify that the foregoing Resolution No. 2018-01 was duly adopted by the Commission of the Otay
Water District Financing Authority at a regular meeting thereof held on the 11th day of July, 2018 by
the following vote:
Ayes:
Noes:
Abstain:
Absent:
I further certify that the foregoing is a full, true and correct copy of Resolution No. 2018-01, and that
the same has not been modified, amended or repealed.
DATE: _____________, _______
_______________________________
Susan Cruz, Secretary to the
Otay Water District Financing Authority
DOCSOC/1893123v1/200077-0008
Strike-through change to Bylaws
BYLAWS
OF THE
OTAY WATER DISTRICT FINANCING AUTHORITY
ARTICLE I - THE AUTHORITY
Section 1. Name of Authority. The name of the Authority
shall be the "Otay Water District Financing Authority" (the
"Authority").
Section 2. Office of Authority. The office of the Authority
shall be at the offices of Otay Water District (the “District”) the
2554 Sweetwater Springs Blvd., Spring Valley, CA 91978.
Section 3. Governing Body. The members of the Board of
Directors of Otay Water District shall constitute the governing body
of the Authority, which governing body shall be known as the
Authority Commission. The members of the Authority Commission shall
serve in the same capacity for the Authority as they serve for the
Otay Water District. The President and Vice-President of the
Authority Commission shall be as follows:
President. The President shall be the member of the
Authority Commission who is the then current President of
the Board of Directors of the District. The President
shall preside at all meetings of the Authority Commission.
Vice-President. The Vice-President shall be the member of
the Authority Commission who is the then current Vice
President of the Board of Directors of the District. The
Vice-President shall perform the duties of the President in
the absence or incapacity of the President.
ARTICLE II - OFFICERS
Section 1. Officers. The officers of the Authority, in
addition to the President and the Vice President of the Authority
Commission, shall be an Executive Director, a Secretary and a
Treasurer/Auditor. An officer is authorized to sign for and in the
name of the Authority all contracts, deeds and other instruments
approved by the Authority Commission to be made by the Authority.
Section 2. Executive Director. The Executive Director of the
Authority shall be the General Manager of the Otay Water District.
The Executive Director shall conduct day-to-day administration of the
Authority's business and affairs, subject to the direction of the
Authority Commission.
EXHIBIT A
DOCSOC/1893123v1/200077-0008
Section 3. Treasurer/Auditor. The Treasurer/Auditor shall
be the then current or acting Chief Financial Officer of the Otay
Water District. The Treasurer/Auditor shall keep regular books of
accounts showing receipts and expenditures and shall render to the
Authority Commission, as requested, an account of the transactions of
the Authority and shall perform the duties required by the Joint
Exercise of Powers Act, being California Government Code Section 6500
et seq. (the "Act") and any other duties that are designated from
time to time by the Authority. The Treasurer/Auditor or in the
absence of the Treasurer/Auditor, a person appointed by the
Treasurer/Auditor or the Authority Commission, shall have the care
and custody of all funds of the Authority. The Treasurer/Auditor may
enter into agreements on behalf of the Authority with any financial
institution authorized to accept deposits of public funds, providing
for the transfer of funds between accounts maintained therein by the
Authority upon request by telephone. Such agreements may also
provide for the investment upon request by telephone of funds
maintained in such accounts, in property or securities in which
public agencies may legally invest money subject to their control.
Such agreements shall designate the accounts maintained by the
Authority which are subject thereto, and the persons who may, from
time to time, make such transfers and direct such investments by
telephone request.
Section 4. Secretary. The Secretary shall be the then
current or acting Secretary of Otay Water District. The Secretary
shall keep the records of the Authority, shall act as Secretary of
the meetings of the Authority Commission and record all votes, and
shall keep a record of the proceedings of the Authority Commission in
the form of minutes to be kept for such purpose, and shall perform
all duties incident to the office of Secretary.
Section 7. General Counsel. The then current General Counsel
of the District shall serve as General Counsel to the Authority.
Section 8. Duties. The officers of the Authority shall perform
such other duties and functions as may from time to time be required
by the Authority or these Bylaws or by resolution, rules and
regulations or by motion of the Authority Commission. Any officer of
the Authority may sign, with the countersignature of one other
officer, deputy officer or member of the Authority, all orders and
checks for the payment of money under the direction of the Authority.
Section 9. Assistants and Deputies; Additional Personnel.
Whenever an officer of the Otay Water District is designated an
officer of the Authority, the assistants and deputies of such
officers from time to time shall also be, ex officio, officers of the
Authority; and whenever a power is granted to, or a duty imposed
upon, such officer, the power may be exercised, or a duty performed,
by such assistant or deputy. The Authority Commission may from time
to time employ such other personnel as it deems necessary to exercise
its powers, duties and functions. The selection and compensation of
such officers and other personnel shall be determined by the
Authority Commission.
DOCSOC/1893123v1/200077-0008
ARTICLE III - MEETINGS
Section 1. Regular Meetings. Regular meetings of the
Authority Commission shall be held at least once a year at the
business office of the Authority, or at such other place as the
President may designate, onon each date that is a regular meeting
date of the Board of Directors of the Otay Water District at the same
location as the meeting of the Board of Directors and on such other
dates and at a time as fixed by the President oftimes as are
established by resolution adopted by the Authority Commission. If at
any time any regular meeting falls on a legal holiday, such at a
regular or special meeting shall be held on the next business day at
the same time. Initially, regular meetings will be held on the first
Wednesday of January and March in each calendar year.
Section 2. Special Meetings. A special meeting may be
called at any time by the President or upon the request of a majority
of the members of the Authority Commission as permitted by law.
Section 3. Closed Sessions. Nothing contained in these
bylaws shall be construed to prevent the Authority Commission from
holding closed sessions during a regular or special meeting
concerning any matter permitted by law to be considered in a closed
session.
Section 4. Public Hearing. All public hearings held by the
Authority Commission shall be held during regular or special meetings
of the Authority Commission.
Section 5. Adjourning Meetings and Continuing Public
Hearings to Other Times or Places. The Authority Commission may
adjourn any meeting to a time and place specified in the order of
adjournment. Less than a quorum may so adjourn from time-to-time.
If all members are absent from any regular meeting or adjourned
regular meeting, the Secretary or Acting Secretary of the Authority
may declare the meeting adjourned to a stated time and place and
shall cause a written notice of the adjournment to be given in the
manner permitted by law.
Any public hearing being held, or any hearing noticed or ordered
to be held at any meeting may by order or notice of continuance be
continued, or recontinued to any subsequent meeting in the same
manner and to the same extent set forth herein for the adjournment of
the meetings; provided, that if the hearing is continued to a time
less than 24 hours after the time specified in the order or notice
of hearing a copy of the order or notice of continuance shall be
posted immediately following the meeting at which the order or
declaration of continuance was adopted or made.
Section 6. Applicability of Ralph M. Brown Act. Meetings of
the Authority shall be held, notice given and the business of the
Authority conducted, all as provided in the Ralph M. Brown Act, being
California Government Code Section 54950 et seq.
DOCSOC/1893123v1/200077-0008
Section 7. Quorum. A majority of the members of the
Authority Commission shall constitute a quorum for the purpose of
conducting its business and exercising its powers and for all other
purposes, but a smaller number may adjourn from time to time until a
quorum is obtained. Action may be taken by the Authority Commission
upon a vote of a majority of a quorum, unless a higher vote is
required by law or by these Bylaws.
Section 8. Manner of Voting. The manner of voting on
resolutions and on other matters shall be as prescribed by the
President.
ARTICLE IV - AMENDMENTS
Section 1. Amendments to Bylaws. The Bylaws may be amended
by the Authority at any regular or special meeting by the affirmative
vote of a majority of the members of the Authority Commission.
DOCSOC/1893123v1/200077-0008
Proposed Bylaws
AMENDED BYLAWS
OF THE
OTAY WATER DISTRICT FINANCING AUTHORITY
ARTICLE I - THE AUTHORITY
Section 1. Name of Authority. The name of the Authority
shall be the "Otay Water District Financing Authority" (the
"Authority").
Section 2. Office of Authority. The office of the Authority
shall be at the offices of Otay Water District (the “District”) the
2554 Sweetwater Springs Blvd., Spring Valley, CA 91978.
Section 3. Governing Body. The members of the Board of
Directors of Otay Water District shall constitute the governing body
of the Authority, which governing body shall be known as the
Authority Commission. The members of the Authority Commission shall
serve in the same capacity for the Authority as they serve for the
Otay Water District. The President and Vice-President of the
Authority Commission shall be as follows:
President. The President shall be the member of the
Authority Commission who is the then current President of
the Board of Directors of the District. The President
shall preside at all meetings of the Authority Commission.
Vice-President. The Vice-President shall be the member of
the Authority Commission who is the then current Vice
President of the Board of Directors of the District. The
Vice-President shall perform the duties of the President in
the absence or incapacity of the President.
ARTICLE II - OFFICERS
Section 1. Officers. The officers of the Authority, in
addition to the President and the Vice President of the Authority
Commission, shall be an Executive Director, a Secretary and a
Treasurer/Auditor. An officer is authorized to sign for and in the
name of the Authority all contracts, deeds and other instruments
approved by the Authority Commission to be made by the Authority.
Section 2. Executive Director. The Executive Director of the
Authority shall be the General Manager of the Otay Water District.
The Executive Director shall conduct day-to-day administration of the
Authority's business and affairs, subject to the direction of the
Authority Commission.
ATTACHMENT C
DOCSOC/1893123v1/200077-0008
Section 3. Treasurer/Auditor. The Treasurer/Auditor shall
be the then current or acting Chief Financial Officer of the Otay
Water District. The Treasurer/Auditor shall keep regular books of
accounts showing receipts and expenditures and shall render to the
Authority Commission, as requested, an account of the transactions of
the Authority and shall perform the duties required by the Joint
Exercise of Powers Act, being California Government Code Section 6500
et seq. (the "Act") and any other duties that are designated from
time to time by the Authority. The Treasurer/Auditor or in the
absence of the Treasurer/Auditor, a person appointed by the
Treasurer/Auditor or the Authority Commission, shall have the care
and custody of all funds of the Authority. The Treasurer/Auditor may
enter into agreements on behalf of the Authority with any financial
institution authorized to accept deposits of public funds, providing
for the transfer of funds between accounts maintained therein by the
Authority upon request by telephone. Such agreements may also
provide for the investment upon request by telephone of funds
maintained in such accounts, in property or securities in which
public agencies may legally invest money subject to their control.
Such agreements shall designate the accounts maintained by the
Authority which are subject thereto, and the persons who may, from
time to time, make such transfers and direct such investments by
telephone request.
Section 4. Secretary. The Secretary shall be the then
current or acting Secretary of Otay Water District. The Secretary
shall keep the records of the Authority, shall act as Secretary of
the meetings of the Authority Commission and record all votes, and
shall keep a record of the proceedings of the Authority Commission in
the form of minutes to be kept for such purpose, and shall perform
all duties incident to the office of Secretary.
Section 7. General Counsel. The then current General Counsel
of the District shall serve as General Counsel to the Authority.
Section 8. Duties. The officers of the Authority shall perform
such other duties and functions as may from time to time be required
by the Authority or these Bylaws or by resolution, rules and
regulations or by motion of the Authority Commission. Any officer of
the Authority may sign, with the countersignature of one other
officer, deputy officer or member of the Authority, all orders and
checks for the payment of money under the direction of the Authority.
Section 9. Assistants and Deputies; Additional Personnel.
Whenever an officer of the Otay Water District is designated an
officer of the Authority, the assistants and deputies of such
officers from time to time shall also be, ex officio, officers of the
Authority; and whenever a power is granted to, or a duty imposed
upon, such officer, the power may be exercised, or a duty performed,
by such assistant or deputy. The Authority Commission may from time
to time employ such other personnel as it deems necessary to exercise
its powers, duties and functions. The selection and compensation of
such officers and other personnel shall be determined by the
Authority Commission.
DOCSOC/1893123v1/200077-0008
ARTICLE III - MEETINGS
Section 1. Regular Meetings. Regular meetings of the
Authority Commission shall be held on each date that is a regular
meeting date of the Board of Directors of the Otay Water District at
the same location as the meeting of the Board of Directors and on
such other dates and times as are established by resolution adopted
by the Authority Commission at a regular or special meeting.
Section 2. Special Meetings. A special meeting may be
called at any time by the President or upon the request of a majority
of the members of the Authority Commission as permitted by law.
Section 3. Closed Sessions. Nothing contained in these
bylaws shall be construed to prevent the Authority Commission from
holding closed sessions during a regular or special meeting
concerning any matter permitted by law to be considered in a closed
session.
Section 4. Public Hearing. All public hearings held by the
Authority Commission shall be held during regular or special meetings
of the Authority Commission.
Section 5. Adjourning Meetings and Continuing Public
Hearings to Other Times or Places. The Authority Commission may
adjourn any meeting to a time and place specified in the order of
adjournment. Less than a quorum may so adjourn from time-to-time.
If all members are absent from any regular meeting or adjourned
regular meeting, the Secretary or Acting Secretary of the Authority
may declare the meeting adjourned to a stated time and place and
shall cause a written notice of the adjournment to be given in the
manner permitted by law.
Any public hearing being held, or any hearing noticed or ordered
to be held at any meeting may by order or notice of continuance be
continued, or recontinued to any subsequent meeting in the same
manner and to the same extent set forth herein for the adjournment of
the meetings; provided, that if the hearing is continued to a time
less than 24 hours after the time specified in the order or notice
of hearing a copy of the order or notice of continuance shall be
posted immediately following the meeting at which the order or
declaration of continuance was adopted or made.
Section 6. Applicability of Ralph M. Brown Act. Meetings of
the Authority shall be held, notice given and the business of the
Authority conducted, all as provided in the Ralph M. Brown Act, being
California Government Code Section 54950 et seq.
Section 7. Quorum. A majority of the members of the
Authority Commission shall constitute a quorum for the purpose of
conducting its business and exercising its powers and for all other
purposes, but a smaller number may adjourn from time to time until a
quorum is obtained. Action may be taken by the Authority Commission
upon a vote of a majority of a quorum, unless a higher vote is
required by law or by these Bylaws.
DOCSOC/1893123v1/200077-0008
Section 8. Manner of Voting. The manner of voting on
resolutions and on other matters shall be as prescribed by the
President.
ARTICLE IV - AMENDMENTS
Section 1. Amendments to Bylaws. The Bylaws may be amended
by the Authority at any regular or special meeting by the affirmative
vote of a majority of the members of the Authority Commission.