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HomeMy WebLinkAbout02-18-20 F&A Committee Packet1 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 February 18, 2020 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 JU-RISDICTION BUT NOT AN ITEM ON TODAY'S AGENDA DISCUSSION ITEMS 3.ADOPT RESOLUTION NO. 4377 DESIGNATING A CHANGE OF AUTHORIZEDSIGNATORIES FOR THE DISTRICT’S BANK ACCOUNTS AND AUTHORIZE THENEW GENERAL MANAGER TO ENTER INTO BANKING CONTRACTS WITH MUFGUNION BANK, N.A. (KEOPPEN) [5 minutes] 4.FISCAL YEAR 2020 MID-YEAR STRATEGIC PLAN UPDATE (SEGURA) [10 minutes] 5.ADJOURNMENT BOARD MEMBERS ATTENDING: Mitch Thompson, Chair Mark Robak 2 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 February 14, 2020 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 14, 2020. /s/ Susan Cruz, District Secretary STAFF REPORT TYPE MEETING:Regular Board MEETING DATE:March 11, 2020 SUBMITTED BY:Eid Fakhouri, Finance Manager PROJECT:DIV. NO.All APPROVED BY: Kevin Koeppen, Assistant Chief of Finance Joseph R. Beachem, Chief Financial Officer Mark Watton, General Manager SUBJECT:Adopt Resolution No. 4377 Designating a Change of Authorized Signatories for the District’s Bank Accounts and Authorize the New General Manager to Enter Into Banking Contracts with MUFG Union Bank, N.A. GENERAL MANAGER’S RECOMMENDATION: That the Board adopt Resolution No. 4377 designating a change of authorized signatories for the District’s bank accounts and authorize the new General Manager to enter into banking contracts with MUFG Union Bank, N.A. COMMITTEE ACTION: Please see Attachment A PURPOSE: To make a change to the authorized signatories on the District’s bank accounts by replacing retiring General Manager, Mark Watton, with the new General Manager, Jose Martinez. This change will pass signatory and contract authority for the District’s banking services with MUFG Union Bank, N.A. on to the new General Manager. BACKGROUND: The Otay Water District (District) currently utilizes MUFG Union Bank, N.A for its daily banking and treasury needs. According to the District’s Code of Ordinances, Chapter 3, Section 3, paragraph 3.01, “Only such person or persons authorized by the Board may sign checks to withdraw funds from any of such depositories.” AGENDA ITEM 3 Additionally, the existing agreement with MUFG Union Bank, N.A and their policy require that the Board of Directors (Board) adopt a resolution granting signature and contracting authority to its General Manager in order to facilitate our daily banking activities. On February 5, 2020, the Board selected Jose Martinez to succeed retiring General Manager, Mark Watton as the new General Manager of the District. In order to continue the existing banking relationship and activities with Union Bank, the District is required to adopt a resolution designating a change in signature authority from Mark Watton, retiring General Manager to the new General Manager, Jose Martinez and to authorize the new General Manager to enter into contracts with MUFG Union Bank N.A. The District currently has bank accounts with MUFG Union Bank, N.A. for the District’s checking, payroll, health flexible spending, money market, custody, and trust accounts. Resolution language was provided by MUFG Union Bank, N.A. as acceptable in order to continue our banking relationship. FISCAL IMPACT: Joseph R. Beachem, Chief Financial Officer No fiscal impact as this item is designating signature authority and contracting authority to the new General Manager only. STRATEGIC GOAL: Demonstrate financial health through formalized policies, prudent investing, and efficient operations. LEGAL IMPACT: None. Attachments: A) Committee Action B) Resolution No. 4377 C) Union Bank Public Entity Resolution Template ATTACHMENT A SUBJECT/PROJECT: Adopt Resolution No. 4377 Designating a Change of Authorized Signatories for the District’s Bank Accounts and Authorize the New General Manager to Enter Into Banking Contracts with MUFG Union Bank, N.A. COMMITTEE ACTION: That the Finance and Administration Committee recommend that the Board adopt Resolution No. 4377 designating a change of authorized signatories for the District’s bank accounts and authorize the new General Manager to enter into banking contracts with MUFG Union Bank, N.A. 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. RESOLUTION NO. 4377 A RESOLUTION OF THE BOARD OF DIRECTORS OF THE OTAY WATER DISTRICT DESIGNATING A CHANGE OF AUTHORIZED SIGNATORIES FOR THE DISTRICT’S BANK ACCOUNTS AND AUTHORIZE THE NEW GENERAL MANAGER TO ENTER INTO BANKING CONTRACTS WITH MUFG UNION BANK, N.A. WHEREAS, Otay Water District (District) currently has bank accounts with MUFG Union Bank, N.A. for the District’s checking, payroll, health flexible spending, money market, custody, and trust accounts; and WHEREAS, the Board of Directors of the District desire to change the signatories on said accounts. WHEREAS, the Board of Directors of the District desire to authorize the General Manager under California Government Code 53649 to enter into any contract with MUFG Union Bank, N.A. relating to any deposit, which in his or her judgment is to the public advantage. Contracting requirements could include: •Establish bank accounts and services. •Sign, or change in writing, agreements with the Bank regarding the District’s bank deposit relationship. •Specify in writing to the Bank the individuals who are authorized in the name of and on behalf of the District to: o Withdraw funds from any of the District’s banking accounts on the District’s checks or orders. o Endorse and deliver to the Bank, for any purposes, and in any amount, negotiable or non- negotiable items of any kind, and owned by, or held by, or payable to the District. o Send, review, and/or authorize wire and electronic transfers of funds from the District accounts. Such authority may be exercised by such authorized individual acting alone, regardless of any multiple signature requirements otherwise applicable to the accounts. o Otherwise access the District’s deposit accounts. This authority has been granted by the Governing Board and shall remain in effect until the Bank receives written notice of revocation at the Office where the District’s banking relationship is maintained. NOW, THEREFORE, BE IT RESOLVED by the Board of Directors of the District as follows: 1.That Mark Watton, General Manager, be removed as an authorized designated signatory for each of the said accounts and from having contracting authority with MUFG Union Bank, N.A. 2.That Jose Martinez, General Manager, be added as an authorized designated signatory for each of the said accounts and have contracting authority with MUFG Union Bank, N.A. PASSED, APPROVED AND ADOPTED by the Board of Directors of the Otay Water District at a regular meeting, held this 11th day of March, 2020 by the following vote: AYES: NOES: ABSTAIN: ABSENT: ________________________________ President Attest: _______________________ District Secretary Distribution: ORIGINAL – Office Copy DUPLICATE – CCSU TRIPLICATE – Customer FORM 00219 (11/98) PUBLIC ENTITY RESOLUTION California Government Code 53679 stipulates that money not under control of the treasurer but belonging to a localagency and under the control of any of its officers or employees other than the treasurer may deposit funds asactive deposits or inactive deposits. For deposits in excess of the amount insured under any federal law, a contract in accordance with Section 53649 isrequired. It is resolved that the officer now or subsequently holding the position of General Manager (Title)OTAY WATER DISTRICT (Public Entity) is authorized by the Governing Board under California Government Code 53649 to enter into any contract withUnion Bank, N.A. relating to any deposit, which in his or her judgment is to the public advantage. Contractingrequirements could include: ▪Establish bank accounts and services. ▪Sign, or change in writing, agreements with the Bank regarding the Public Entity's bank deposit relationship. ▪Specify in writing to the Bank the individuals who are authorized in the name of and on behalf of the Public Entityto: ▪Withdraw funds from any of the Public Entity's banking accounts on the Public Entity's checks or orders. ▪Endorse and deliver to the Bank, for any purposes, and in any amount, negotiable or non-negotiable items ofany kind, and owned by, or held by, or payable to the Public Entity. ▪Send, review, and/or authorize wire and electronic transfers of funds from the Public Entity accounts. Suchauthority may be exercised by such authorized individual acting alone, regardless of any multiple signaturerequirements otherwise applicable to the accounts. ▪Otherwise access the Public Entity's deposit accounts. This authority has been granted by the Governing Board and shall remain in effect until the Bank receives writtennotice of revocation at the Office where the Public Entity's banking relationship is maintained. I, _________________________________, Clerk/Secretary to the Governing Board of the above referenced Public Entity, do hereby certify that the foregoing is a full, true, and correct copy of a resolution passed by the GoverningBoard on _______________________(Month and date) of _____________ (Year), and the resolution has not beenrevoked or amended. CLERK/SECRETARY TO THE GOVERNING BOARD SIGNATURE DATE X CERTIFICATION STAFF REPORT TYPE MEETING:Regular Board MEETING DATE: March 11, 2020 PROJECT: Various DIV. NO. ALL SUBMITTED BY:Adolfo Segura, Chief of Administrative Services APPROVED BY: Mark Watton, General Manager SUBJECT:FISCAL YEAR 2020 MID-YEAR REPORT FOR THE DISTRICT’S FISCAL YEAR 2019-2022 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 on the District’s Fiscal Year (FY) 2019-2022 Strategic Plan for FY20. ANALYSIS: Summary The current District Strategic Plan is a four-year (4) plan ranging from the start of FY19 through the end of FY22. This report details the mid- year results for the second year of the four-year plan. Objectives – Target 90% Strategic Plan objectives are designed to ensure the District is executing mission designed objectives and making the appropriate high- level changes necessary to guide the agency’s efforts to meet new challenges and positively adapt to change. FY20 mid-year results are below target at 88%, with 36 of 41 active items completed or on schedule. Four objectives are on hold and one is not on target. AGENDA ITEM 4 The following objectives are on hold: 1. Recycled water long-term business plan – Staff continues to update the financial model and will finalize once the City’s Pure Water project and the future phases of Pure Water projects on the City’s long-term plan for recycled water are better defined. Staff is also looking for opportunities as a result of an increases in funding for wastewater at the border and monitor the potential funding of tertiary treatment facilities as these will significantly improve the financial feasibility of an alternative recycled water supply. 2. Treatment Plant long-term business plan – Staff continues to update the financial model and will finalize once the City's Pure Water project is better defined and the status of the Amended and Restated Agreement is known. 3. Evaluate enhancements to, or replacement, of the rate model program – Due to adding a Sewer Cost of Service Study and Capacity fee study as strategic objectives, this project has been placed on hold. The added objectives are to be completed by June 30, 2020, and at that time, this objective will be continued. 4. Financial activity-based cost cross-training - Due to staff rotations, performing a gap assessment of data requirements for activity-based costing measures, resolving data requirement gaps, and training management with the new practices has been placed on hold and extended out for one year. 0 2 4 6 8 10 12 14 16 18 ON SCHEDULE BEHIND ON HOLD NOT STARTED 36 1 4 11 On Schedule Behind On Hold Not Started 36 of 41 Active Objectives are Below Target (88%) 3 Objective Not on Target 1. Customer electronic communication and outreach – Staff implemented, via the District’s website, an online Leak Adjustment Form (live as of February 2020), in which customers can electronically request a one-time adjustment, provided they submit proof of repair cost. In regard to service interruption due to non-payment, staff is sending courtesy text messages 48 hours prior stoppage of water service. Staff is still working with IT to complete the payment arrangement form and exit survey. Key Performance Indicators (KPI’s) – Target 75% KPI’s are designed to track the District’s day-to-day performance. The District utilizes KPI’s based on established AWWA performance benchmarks and measure the effectiveness and efficiency of essential operational services. The overall goal is that at least 75% of these KPI’s be rated “on target”. FY20 mid-year results are above target with 34 of 35 (97%) items achieving the desired level or better. Seven KPI’s or 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 0 2 4 6 8 10 12 14 16 18 ON TARGET NOT ON TARGET 34 1 On Target Not on Target 34 of 35 Key Performance Indicators are On Target (97%) 4 KPI Not On Target 1. Sewer Overflow Rate – On December 24, 2019, a sewer overflow occurred at a manhole located on Fair Valley Road in Rancho San Diego. The blockage was due to vandalism. Staff found an opened manhole with various types of debris. The collection system in the area was televised and flushed to assure all debris was located and removed. 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 and Administration Committee, and the Engineering, Operations, and 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 All of 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. The District Secretary can facilitate any password or access issues. FISCAL IMPACT: Joe Beachem, Chief Financial Officer No fiscal impact; informational item only. STRATEGIC GOAL: Strategic Plan reporting is a critical element in providing performance reporting to the Board and staff. LEGAL IMPACT: None. ATTACHMENTS: Attachment A – Committee Action Report Attachment B – PowerPoint Presentation 5 ATTACHMENT A SUBJECT/PROJECT: FISCAL YEAR 2020 MID-YEAR REPORT FOR THE DISTRICT’S FISCAL YEAR 2019-2022 STRATEGIC PLAN COMMITTEE ACTION: The Finance and Administration Committee and the Engineering, Operations and Water Resources Committee reviewed this item at a meeting held on February 18 and 19, 2020, 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. FY20 Mid-Year Report Otay Water District FY19-22 Strategic Plan ATTACHMENT B Strategies and objectives are actionable steps or plans designed to achieve the vision/mission of the organization. The Regulatory Site in Rancho San Diego includes four reservoirs, two pump stations, and disinfection facilities. 88% 36 Objectives TRENDS ON TARGET/COMPLETED OVERALL TARGET 90% TOTAL OBJECTIVES 52 NOT ON TARGET OBJECTIVES ON HOLD 2% 1 Objective 10% 4 Objectives 75% 85% 95% FY15 FY16 FY17 FY18 FY19 COMPLETED 14 NOT STARTED 11 RESULT TARGET ACTIVE 41 Objectives 1.F01.1 Recycled water long-term business plan. 2.F01.3 Treatment Plant long-term business plan (sewer portion). 3.F03.3 Evaluate enhancements to, or replacement, of the rate model program. 4.F04.3 Financial activity-based cost cross-training. ON HOLD | 4 1.I02.1 Customer electronic communication and outreach. NOT ON TARGET | 1 ON TARGET| 22 Objectives 1.C01.1 Continue implementation of and enhance the District’s community and business outreach, media, and government relations programs. 2.C01.2 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. 3.C01.3 Evaluate and enhance the District’s water conservation programs. 4.C02.1 Assess communications tools. 5.F01.2 South District Potable Water Supply Alternatives to San Diego County Water Authority (SDCWA) Pipeline 4 Supply Interruption (catastrophic event). 6.F02.2 In support of the Engineering Department, conduct recycled water and sewer business financial analysis. 7.F03.4 Implement Paperless Account Payable (AP) solution. 8.F04.2 Enhancement of the AM Program. 9.I01.3 Optimize Global Positioning System (GPS) fleet assignment and routing operations. 10.I05.1 Prioritize fourteen strategic project/initiatives, recently developed. 11.I06.2 Evaluate the use of Drone2Map technology for asset, field inspections, and condition assessment. ON TARGET| 22 Objectives 17.I07.5 Establish an access and defensible space vegetation mitigation program with maintenance schedules for District remote facilities, access roads, and off-road appurtenances. 18.I08.1 Enhance Customer and Public Service security in public lobby areas. 19.I08.2 Evaluate feasibility of incorporating electric and hybrid vehicles into District Fleet. 20.I09.1 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. 21.I10.1 Certify at Industry State Level and under the Incident Command System, streamline chlorine gas and confined space rescue training, operations, response and areas of responsibility and convert to inventory lists and equipment logs to electronic form. 12.I06.4 Standardization of District asset data and collection process. 13.I07.1 Analyze electric energy-saving programs as they become available. 14.I07.2 Evaluate the effectiveness of various methods to reduce nitrification events. 15.I07.3 Evaluate the efficiency and effectiveness of the District’s valve exercise preventative maintenance including proposed recommendations. 16.I07.4 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), Occupational Safety and Health Administration (OSHA), etc. 22.L01.1 Continue development of leadership and District-wide training programs. ON TARGET | 22 Objectives COMPLETED| 14 Objectives 1.F02.1 Conduct desalination (Rosarito) financial analysis. 2.F03.2 Evaluate, and if beneficial, implement a Cloud payroll system. 3.F04.1 Enhancement of the framework for systematic development, validation, and implementation of new CIPs. 4.F04.4 In support of the Engineering Department, enhance financial impact forecasting and analysis of future CIPs. 5.F05.1 Optimize funding and liability schedule. 6.F06.1 Negotiate and implement new labor agreement. 7.F06.2 Review Deferred Compensation Program for reduced fees and streamlined approach and ensure program offerings are fully utilized. 8.I01.2 Explore web-based options for meter reading and backflow test entry. 9.I03.2 Implement Human Resource Information System (HRIS) in coordination with payroll conversion. 10.I04.1 Adopt National Institute of Standards and Technology (NIST) cyber security framework and enhance disaster recovery planning. 11.I04.2 Advance business processes and operational efficiencies through effective implementation of information technology. 12.I04.3 Create framework to evaluate cost efficiency of new technology services and cloud vs. on-premise selection. 13.I04.4 Deploy next generation storage services and communication architecture. 14.I08.3 Streamline contract and purchase order (contract) management and lifecycle. ACTIVE| 41 Objectives 1.C01.1 Continue implementation of and enhance the District’s community and business outreach, media, and government relations programs. 2.C01.2 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. 3.C01.3 Evaluate and enhance the District’s water conservation programs. 4.C02.1 Assess communications tools. 5.F01.1 Recycled water long-term business plan. 6.F01.2 South District Potable Water Supply Alternatives to San Diego County Water Authority (SDCWA) Pipeline 4 Supply Interruption (catastrophic event). 7.F01.3 Treatment Plant long-term business plan (sewer portion). 8.F02.1 Conduct desalination (Rosarito) financial analysis. 9.F02.2 In support of the Engineering Department, conduct recycled water and sewer business financial analysis. 10.F03.2 Evaluate, and if beneficial, implement a Cloud payroll system. 11.F03.3 Evaluate enhancements to, or replacement, of the rate model program. ACTIVE| 41 Objectives 12.F03.4 Implement Paperless Account Payable (AP) solution. 13.F04.1 Enhancement of the framework for systematic development, validation, and implementation of new CIPs. 14.F04.2 Enhancement of the AM Program. 15.F04.3 Financial activity-based cost cross-training. 16.F04.4 In support of the Engineering Department, enhance financial impact forecasting and analysis of future CIPs. 17.F05.1 Optimize funding and liability schedule. 18.F06.1 Negotiate and implement new labor agreement. 19.F06.2 Review Deferred Compensation Program for reduced fees and streamlined approach and ensure program offerings are fully utilized. 20.I01.2 Explore web-based options for meter reading and backflow test entry. 21.I01.3 Optimize Global Positioning System (GPS) fleet assignment and routing operation. 22.I02.1 Customer electronic communication and outreach. 23.I03.2 Implement Human Resource Information System (HRIS) in coordination with payroll conversion. 24.I04.1 Adopt National Institute of Standards and Technology (NIST) cyber security framework and enhance disaster recovery planning. ACTIVE | 41 Objectives 25.I04.2 Advance business processes and operational efficiencies through effective implementation of information technology. 26.I04.3 Create framework to evaluate cost efficiency of new technology services and cloud vs. on-premise selection. 27.I04.4 Deploy next generation storage services and communication architecture. 28.I05.1 Prioritize fourteen strategic project/initiatives, recently developed. 29.I06.2 Evaluate the use of the Drone2Map technology for asset, field inspections, and condition assessment. 30.I06.4 Standardization of District asset data and collection process. 31.I07.1 Analyze electric energy-saving programs as they become available. 32.I07.2 Evaluate the effectiveness of various methods to reduce nitrification events. 33.I07.3 Evaluate the efficiency and effectiveness of the District’s valve exercise preventative maintenance including proposed recommendations. 34.I07.4 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), Occupational Safety and Health Administration (OSHA), etc. Objectives 39.I09.1 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. 40.I10.1 Certify at Industry State Level and under the Incident Command System, streamline chlorine gas and confined space rescue training, operations, response and areas of responsibility and convert to inventory lists and equipment logs to electronic form 41.L01.1 Continue development of leadership and District-wide training programs. 35.I07.5 Establish an access and defensible space vegetation mitigation program with maintenance schedules for District remote facilities, access roads, and off-road appurtenances. 36.I08.1 Enhance Customer and Public Service security in public lobby areas. 37.I08.2 Evaluate feasibility of incorporating electric and hybrid vehicles into District fleet. 38.I08.3 Streamline contract and purchase order (contract) management and lifecycle. ACTIVE | 41 NOT STARTED | 11 Objectives 1.F03.1 Enterprise Resource Planning (ERP)/Customer Information System (CIS)/Customer Relationship Management (CRM) validation and replacement evaluation. (ERP -FY21 Q1) 2.I01.1 Evaluation of Advanced Metering Infrastructure (AMI) technology. (FY21 Q1) 3.I02.2 Enterprise Resource Planning (ERP)/Customer Information System (CIS)/Customer Relationship Management (CRM) validation and replacement evaluation. (CIS/CRM -FY21 Q1) 4.I03.1 Evaluate on-boarding programs and implement, if determined necessary. (FY21 Q1) 5.I03.3 Pilot cloud-based human capital performance management system and implement, if determined necessary. (FY21 Q1) 6.I06.1 Deploy ArcGIS Pro for 3D Analysis. (FY21 Q1) 7.I06.3 Migrate Geographic Information System (GIS) data structure from geometric network to utility network. (FY21 Q1) 8.L01.2 Review and enhance knowledge transfer process to ensure retention of District knowledge. (FY22 Q1) 9.F03.5 Re-evaluate prior payroll solutions and identify any new cloud-based payroll solutions (FY20 Q3) 10.F03.6 Complete a sewer cost of service study and recommend a rate structure that will provide for more stable sewer revenues. (FY20 Q3) 11.F03.7 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. (FY20 Q4) Key Performance Indicators show progress toward a desirable outcome and monitor operational performance. 50% 60% 70% 80% 90% 100% FY15 FY16 FY17 FY18 FY19 LEARNING AND GROWTH CUSTOMERTRENDS ON TARGET KEY PERFORMANCE INDICATORS FINANCIAL OVERALL TARGET INTERNAL BUSINESS PROCESSES 75% TOTAL KPIs 42 REPORTED QUARTERLY 35 REPORTED ANNUALLY 7 3% 1 KPIs NOT ON TARGET 97% 34 KPIs RESULT TARGET 1.I1.13 Sewer Overflow Rate NOT ON TARGET | 1 KPI’s Aerial view of the Ralph W. Chapman Reclamation Plant. KPI’s Aerial view of the Ralph W. Chapman Reclamation Plant. 1. C1.01 Answer Rate 2. C1.02 Technical Quality Complaint 3. C1.03 Potable Water Compliance Rate 4. F1.01 CIP Project Expenditures vs. Budget 5. F1.02 Construction Change Order Incidence 6. F1.03 O&M Cost Per Account 7. F1.04 Billing Accuracy 8. F1.05 Overtime Percentage 9. F1.06 Sewer Rate Ranking 10. F1.07 Water Rate Ranking 11. F1.12 Percent of Customers Paying Bills Electronically ON TARGET | 34 12. F1.13 Distribution System Loss 13. F1.14 Planned Potable Water Maintenance Ratio in $ 14. F1.15 Planned Recycled Water Maintenance Ratio in $ 15. F1.16 Planned Wastewater Maintenance Ratio in $ 16. F1.17 Direct Cost of Treatment per MGD 17. I1.02 Mark-out Accuracy 18. I1.03 Project Closeout Time 19. I1.04 Annual Recycled Water Site Inspections 20. I1.05 Recycled Water Shutdown Testing 21. I1.06 Easement Evaluation and Field Inspection 22. I1.07 Percent of Preventative Maintenance Completed –Fleet Maintenance 23. I1.08 Percent of Preventative Maintenance Completed –Reclamation Plant KPI’s Aerial view of the Ralph W. Chapman Reclamation Plant. 24. I1.09 Percent of Preventative Maintenance Completed –Pump/Electric Section 25. I1.10 System Valve Exercising Program 26. I1.11 Potable Water Distribution System Integrity 27. I1.12 Recycled Water System Integrity 28. I1.14 Emergency Facility Power Testing 29. I1.15 Potable Tank Inspection and Cleaning 30. I1.16 Main Flushing and Hydrant Maintenance 31. I1.17 Critical Valve Exercising 32. L1.01 Employee Voluntary Turnover Rate 33. L1.02 Training Hours per Employee 34. L1.03 Safety Training Program ON TARGET | 34 KPI’s Aerial view of the Ralph W. Chapman Reclamation Plant. 1. C1.01 Answer Rate 2. C1.02 Technical Quality Complaint 3. C1.03 Potable Water Compliance Rate 4. F1.01 CIP Project Expenditures vs. Budget 5. F1.02 Construction Change Order Incidence 6. F1.03 O&M Cost Per Account 7. F1.04 Billing Accuracy 8. F1.05 Overtime Percentage 9. F1.06 Sewer Rate Ranking 10. F1.07 Water Rate Ranking 11. F1.12 Percent of Customers Paying Bills Electronically 12. F1.13 Distribution System Loss QUARTERLY | 35 13. F1.14 Planned Potable Water Maintenance Ratio in $ 14. F1.15 Planned Recycled Water Maintenance Ratio in $ 15. F1.16 Planned Wastewater Maintenance Ratio in $ 16. F1.17 Direct Cost of Treatment per MGD 17. I1.02 Mark-out Accuracy 18. I1.03 Project Closeout Time 29. I1.04 Annual Recycled Water Site Inspections 20. I1.05 Recycled Water Shutdown Testing 21. I1.06 Easement Evaluation and Field Inspection 22. I1.07 Percent of Preventative Maintenance Completed –Fleet Maintenance 23. I1.08 Percent of Preventative Maintenance Completed –Reclamation Plant 24. I1.09 Percent of Preventative Maintenance Completed –Pump/Electric Section KPI’s Aerial view of the Ralph W. Chapman Reclamation Plant. 25. I1.10 System Valve Exercising Program 26. I1.11 Potable Water Distribution System Integrity 27. I1.12 Recycled Water System Integrity 28. I1.13 Sewer Overflow Rate 29. I1.14 Emergency Facility Power Testing 30. I1.15 Potable Tank Inspection and Cleaning 31. I1.16 Main Flushing and Hydrant Maintenance 32. I1.17 Critical Valve Exercising 33. L1.01 Employee Voluntary Turnover Rate 34. L1.02 Training Hours per Employee 35. L1.03 Safety Training Program QUARTERLY | 35 1.F1.08 Water Debt Coverage 2.F1.09 Sewer Debt Coverage 3.F1.10 Reserve Level 4.F1.11 Accounts Per FTE 5.F1.18 Leak Detection Program 6.F1.19 Injury Incidence Rate 7.I1.01 Enterprise Technology Services Availability ANNUAL | 7 KPI’s Aerial view of the Ralph W. Chapman Reclamation Plant. 98.80% 98.15% 98.59% 96% 97% 97% 98% 98% 99% 99% Q1 Q2 YTD AVG C1.01 ANSWER RATE Target: 97% average answer rate per quarter annually. TARGET Calculation: Number of all calls answered/Number of all calls received Customer Service staff member assisting a customer. C1.02 TECHNICAL QUALITY COMPLAINT (AWWA) (Customer Service) Target & AWWA: No more than 7.1 complaints per 1000 customer accounts annually. 0.99 0.98 1.97 0 1 2 3 4 5 6 7 8 9 10 Q1 Q2 YTD TARGET & AWWA BENCHMARK 75th Percentile for population served between 100,0001-500,000 (combined utilities). Calculation: Number of technical quality complaints per year/ Number of active customer accounts per reporting period) Disinfection Tech examining potable equipment. C1.03 POTABLE WATER COMPLIANCE RATE (AWWA) (Water Operations) Target & AWWA: 100% of all health-related drinking water standards per quarter annually. 100%100%100% 90% 95% 100% Q1 Q2 YTD TARGET & AWWA BENCHMARK 75th Percentile for population served between 100,0001-500,000 (water). Calculation: Number of days the primary health regulations are met/Number of days in the reporting period District staff member refilling his reusable water bottle. F1.01 CIP PROJECT EXPENDITURES VS. BUDGET Target: 95% of budget but not to exceed 100% annually. 29.2% 42.8%42.8% 0% 10% 20% 30% 40% 50% 60% 70% Q1 Q2 YTD TARGET Calculation: Actual Expenditures/Annual budget 870-2 Pump Station Emergency Generator F1.02 CONSTRUCTION CHANGE ORDER INCIDENCE Target: No more than 5% annually. 2.4% 4.2%4.2% 0% 1% 2% 3% 4% 5% 6% Q1 Q2 YTD TARGET Calculation: Total cost of Change Orders (not including allowances)/Total original construction contract amount (not including allowances) The District’s contractor, Pacific Hydrotech Corporation, working on the 870-2 Pump Station Gallery concrete pour. F1.03 O&M COST PER ACCOUNT Target: Less than $553.00 per account annually. Target is based on Operating Budget. $127.00 $132.00 $259.00 $0 $50 $100 $150 $200 $250 $300 $350 $400 $450 Q1 Q2 YTD TARGET Calculation: Total operations O&M costs/Number of accounts District staff testing a large water meter to ensure accuracy. F1.04 BILLING ACCURACY (Customer Service) Target: 99.8% billing accuracy per quarter annually. 99.99%99.99%99.99% 95% 96% 97% 98% 99% 100% 101% Q1 Q2 YTD TARGET Calculation: Number of correct bills/Number of total of accurate bills Customer Service staff member assisting a customer with their bill. F1.05 OVERTIME PERCENTAGE Target: Less than 100% of budgeted overtime per quarter annually. Target is based on Operating Budget and historical trends; FY20 Overtime Budget is $185,500. 79% 64% 71% 0% 10% 20% 30% 40% 50% 60% 70% 80% 90% 100% Q1 Q2 YTD TARGET Calculation: Actual overtime costs (including comp time)/Budgeted overtime costs Utility Maintenance work crew conducting street repairs. F1.06 SEWER RATE RANKING 3 0 5 10 15 20 25 YTD Reported in Q1 TARGET Target: Bottom 50th percentile for the 28 sewer service providers in San Diego Otay ranks 3 out of 28 sewer service providers. Calculation: Ranking for the average monthly sewer bill. District Staff holding a CCTV camera, which are used to inspect the District’s collection system. F1.07 WATER RATE RANKING Calculation: Ranking for the average monthly water bill among CWA member agencies. 3 0 5 10 15 20 YTD Reported in Q1 TARGET Target: Bottom 50th percentile for the 22 member agencies in San Diego. Otay ranks 3 out of 22 member agencies. 640-1 and 640-2 Reservoirs F1.12 PERCENT OF CUSTOMERS PAYING BILLS ELECTRONICALLY Target: No less than 75% per quarter annually. 78.77%80.48%79.63% 50% 60% 70% 80% 90% 100% Q1 Q2 YTD TARGET Calculation: Number of customers paying bills electronically/Total number of customers District customer making an online bill payment. F1.13 DISTRIBUTION SYSTEM LOSS 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 3.5% 3.8%3.8% 0% 1% 2% 3% 4% 5% 6% Q1 Q2 ANNUAL AVG TARGET Target: Less than 5%of unaccounted water annually. 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 F1.14 PLANNED POTABLE WATER MAINTENANCE RATIO IN $ Target: 66% of all labor costs spent on preventative maintenance per quarter annually. 77% 73%73% 50% 60% 70% 80% Q1 Q2 YTD TARGET Calculation: PM + Daily Cost/Total Potable Labor Cost District staff connecting a customer’s meter after pulling a new copper service. F1.15 PLANNED RECYCLED WATER MAINTENANCE RATIO IN $ Target: 70% of all labor costs spent on preventative maintenance per quarter annually. Calculation: PM + Daily Cost/Total Potable Labor Cost 70% 76% 73% 50% 60% 70% 80% 90% 100% Q1 Q2 YTD TARGET F1.16 PLANNED WASTEWATER MAINTENANCE RATIO IN $ Target: 77% of all labor costs spent on preventative maintenance per quarter annually. 93% 87% 90% 50% 60% 70% 80% 90% 100% Q1 Q2 YTD TARGET Calculation: PM + Daily Cost/Total Potable Labor Cost Aerial view of the Ralph W. Chapman Recycling Plant F1.17 DIRECT COST OF TREATMENT PER MGD Target: No more than $1050 per MGD spent on wastewater treatment annually. $735.31 $1,123.91 $917.17 $0 $200 $400 $600 $800 $1,000 $1,200 Q1 Q2 YTD TARGET Calculation: Total O&M costs directly attributable to sewer treatment/Total volume in MG for one quarter District staff checking the clarity and particulates of a final effluent sample. I1.02 MARK-OUT ACCURACY Target: 100% mark-out accuracy per quarter annually. 100.00%100.00%100.00% 95% 96% 97% 98% 99% 100% Q1 Q2 YTD TARGET 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/YTD total number of mark-outs District staff conducting a mark-out. I1.03 PROJECT CLOSEOUT TIME Target: 45-day average annually. 37.3 37.3 37.3 0 5 10 15 20 25 30 35 40 45 50 55 60 65 70 75 Q1 Q2 YTD 0 projects closed in Q2 TARGET Calculation: Number of days between NOSC and NOC for all construction projects within the quarter/Number of construction projects within the quarter Board Tour at 870 Pump Station. I1.04 ANNUAL RECYCLED WATER SITE INSPECTIONS Target: 100% of recycled sites inspected annually. There are 147 recycled water use sites scheduled for FY20. 14.00% 44.00%44.00% 0% 10% 20% 30% 40% 50% 60% 70% 80% 90% 100% Q1 Q2 YTD TARGET Calculation: Cumulative percentage of recycled water sites inspected per quarter of those required by DEH Developer Contractors installing a recycled main line for Solstice Park in the Millenia Development. I1.05 RECYCLED WATER SHUTDOWN TESTING Target: 90% of recycled site shut down tests performed annually. There are 28 recycled water use sites scheduled for shutdown in FY20. Calculation: Cumulative percentage of recycled site shut down tests performed per year compared to those scheduled 32% 57%57% 0% 10% 20% 30% 40% 50% 60% 70% 80% 90% 100% Q1 Q2 YTD TARGET I1.06 EASEMENT EVALUATION AND FIELD INSPECTION Target: 100% assigned easements, evaluated via desktop tools, and inspected annually. 100 easements were assigned for FY20. Calculation: Number of easements evaluated, and inspected/Total easements assigned for the period 75.00% 128.00%128.00% 0% 20% 40% 60% 80% 100% 120% Q1 Q2 YTD TARGET I1.07 PERCENT OF PM’S COMPLETED –FLEET MAINTENANCE Target: 90% of scheduled preventative maintenance completed per quarter annually. Calculation: Number of PM’s completed for the quarter/Number of PM’s scheduled to be completed for the quarter. 100%100%100% 80% 85% 90% 95% 100% Q1 Q2 YTD TARGET I1.08 PERCENT OF PM’S COMPLETED –RECLAMATION PLANT 100%100%100% 80% 85% 90% 95% 100% Q1 Q2 YTD TARGET Target: 90% of scheduled preventative maintenance completed each quarter annually. Calculation: Number of PM’s completed for the quarter/Number of PM’s scheduled to be completed for the quarter. Aerial view of the Ralph W. Chapman Reclamation Plant I1.09 PERCENT OF PM’S COMPLETED –PUMP/ELECTRIC SECTION Target: 90% of scheduled preventative maintenance completed per quarter annually. 100%100%100% 80% 85% 90% 95% 100% Q1 Q2 YTD TARGET Calculation: Number of PM’s completed for the quarter/Number of PM’s scheduled to be completed for the quarter. District Vehicle towing a genset. I1.10 SYSTEM VALVE EXERCISING PROGRAM Target: 3080 valves exercised annually. 989 824 1813 500 700 900 1,100 1,300 1,500 1,700 1,900 2,100 2,300 2,500 Q1 Q2 YTD TARGET Calculation: Total number of valves exercised per year. District Staff performing a valve exercise. I1.11 POTABLE WATER DISTRIBUTION SYSTEM INTEGRITY (Water Operations) Target: No more than 16 leaks or breaks per 100 miles of distribution system annually. AWWA: 16.1 leaks and breaks per 100 miles of distribution system 1.52 0.57 2.09 0 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 Q1 Q2 YTD AWWA BENCHMARK TARGET (50th percentile Potable Water System Integrity: Leaks and Breaks for population served between 100,001-500,000). Calculation: Annual total number of leaks + annual number of breaks/Total miles of distribution piping 1485-1 Pump Station I1.12 RECYCLED WATER SYSTEM INTEGRITY Target: No more than 6.6 leaks or breaks per 100 miles of recycled distribution system annually. Calculation: Number of leaks and breaks/Number of miles of recycled distribution system 0.00 0.00 0.000 1 2 3 4 5 6 7 8 9 10 Q1 Q2 YTD No leaks and breaks in Q1 & Q2 TARGET I1.13 SEWER OVERFLOW RATE (AWWA) (Wastewater Operations) Target & AWWA: 0 overflows per quarter. 0 1 1 0 1 2 Q1 Q2 YTD TARGET & AWWA BENCHMARK is 0 75th Percentile for Sewer Overflow rate for population served between 0-50,000 Calculation: Total number of sewer overflows during the reporting period/Total miles of pipe in the sewage collection system District Staff operating and documenting the condition of the collection system. I1.14 EMERGENCY FACILITY POWER TESTING Target: Test 100% of all facilities scheduled per quarter to have all emergency facilities tested annually. There are 36 powered ready facilities. 100%100%100% 75% 80% 85% 90% 95% 100% 105% 110% Q1 Q2 YTD ANNUAL TARGET Calculation: Number of facilities tested/Total number of facilities Emergency standby genset at the Cottonwood Sewer Lift Station. I1.15 POTABLE TANK INSPECTION AND CLEANING Target: 8 potable water storage tanks and/or reservoirs cleaned annually. 1 8 9 0 1 2 3 4 5 6 7 8 9 10 Q1 Q2 YTD ANNUAL TARGET Calculation: Total number of tanks cleaned and inspected annually. 803-2 Reservoir I1.16 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. 65 149 214 0 50 100 150 200 250 300 350 400 450 500 Q1 Q2 YTD ANNUAL TARGET I1.17 CRITICAL VALVE EXERCISING Target: 631 critical valves exercised annually. 631 631 5 105 205 305 405 505 605 Q1 Q2 YTD ANNUAL TARGET Calculation: Total number of critical valves exercised in a year. Utility Maintenance staff member exercising a District valve. L1.01 EMPLOYEE VOLUNTARY TURNOVER RATE (Organizational Development) Target: Less than 5% turnover annually. 0% 2.17%2.19% 0% 1% 2% 3% 4% 5% 6% Q1 Q2 YTD ANNUAL TARGET Calculation: Number of voluntary terminations (not including retirements)/Average number of employees. 2019 Employee Appreciation Luncheon L1.02 TRAINING HOURS PER EMPLOYEE (Organizational Development) Target: 12 hours per employee annually. Calculation: Total qualified training hours for all employees/Average number of FTEs. 8.43 12.91 21.44 0 5 10 15 20 25 30 Q1 Q2 YTD/AVG District Staff training for their backflow certification L1.03 SAFETY TRAINING PROGRAM Target: 24 hours per field employee annually. 8.09 16.42 16.42 0 5 10 15 20 Q1 Q2 YTD/AVG TARGET Calculation: Total qualified safety training hours for field employees/Average number of field employees. District Staff entering an excavation to complete a service replacement. Questions?