rnvwd - operating fund balance sheetrnvwd - operating fund balance sheet as of january 31, 2019 jan...

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RNVWD - Operating Fund Balance Sheet As of January 31, 2019 Jan 31,19 ASSETS Current Assets Checking/Savings 160.020 Cash WFB Checking #3799 48,374 160.015 Cash WFB - Op Fund #6169 275,236 160.021 Cash WFB-Cap Maint Fund #4202 491,053 160.025 Cash PayPal Account 70 Total Checking/Savings 814,732 Other Current Assets 160.110 Accounts Receivable 57,072 160.130 Accounts Receivable - Other 2,913 160.119 • Due from Other Fund (813) Total Other Current Assets 59,173 Total Current Assets 873,904 Fixed Assets 160.315 Infrastructure 12,826,854 160.340 Equipment 131,702 160.370 Allowance For Depreciation (6,708,143) Total Fixed Assets 6,250,414 TOTAL ASSETS 7,124,318 LIABILITIES & EQUITY Liabilities Current Liabilities Credit Cards 160.600 Wells Fargo Visa Card 67 . . Total Credit Cards 67 *. Other Current Liabilities Pagel

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  • RNVWD - Operating FundBalance Sheet

    As of January 31, 2019

    Jan 31,19

    ASSETSCurrent Assets

    Checking/Savings160.020 • Cash WFB Checking #3799 48,374160.015 • Cash WFB - Op Fund #6169 275,236160.021 • Cash WFB-Cap Maint Fund #4202 491,053160.025 • Cash PayPal Account 70

    Total Checking/Savings 814,732

    Other Current Assets160.110 • Accounts Receivable 57,072160.130 • Accounts Receivable - Other 2,913160.119 • Due from Other Fund (813)

    Total Other Current Assets 59,173

    Total Current Assets 873,904

    Fixed Assets160.315 • Infrastructure 12,826,854160.340 • Equipment 131,702160.370 • Allowance For Depreciation (6,708,143)

    Total Fixed Assets 6,250,414

    TOTAL ASSETS 7,124,318

    LIABILITIES & EQUITYLiabilities

    Current LiabilitiesCredit Cards

    160.600 • Wells Fargo Visa Card 67 . .

    Total Credit Cards 67 *.

    Other Current Liabilities

    Pagel

  • RNVWD - Operating FundBalance Sheet

    As of January 31, 2019

    Jan 31,19

    160.510 • Accounts Payable 36,132160.550 • Deposits Payable 11,329

    Total Other Current Liabilities 47,461

    Total Current Liabilities 47,528

    Total Liabilities 47,528

    Equity160.740 • Fund Balance Available 815,216160.770 • Investment in Fixed Assets 6,250,41432000 • Retained Earnings 0Net Income 11,160

    Total Equity 7,076,790

    TOTAL LIABILITIES & EQUITY 7,124,318

    Page 2

  • RNVWD - Operating FundProfit & Loss Budget Performance

    January 2019

    Jan 19 Budget SOverBu... Jul'18-Ja... YTD Budget $ Over Bu... Annual Bu.

    Ordinary Income/ExpenseIncome

    60.9000 • Revenues60.9005 • Base Fee60.9010 • Supplemental Fees60.9015- Tier 160.9020 • Tier 260.9025 • Tier 360.9027 • Capital Recovery Charge60.9030 • Hydrant Water Usage60.9035 • Backflow Testing60.9060 • New Connection Fees60.9075 • Admin Fees, Late Fees & Int.

    Total 60.9000 • Revenues

    Total Income

    Expense60.2000 • Operating Expenses

    60.2005 • General Manager60.2010 • Administration & Board Clerk60.2015 • Billing Manager60.2020 • Meter Reading60.2025 • Backflow Testing60.2028 • Plant & Facilities Operations60.2033 • Weed Abatement60.2035 • Legal60.2040 • Engineering60.2045 • Audit60.2050 • Accountant CPA60.2065 • USA Marking60.2070 • Webmaster60.2075 • Office Supplies60.2080 • Records Storage & Office Space60.2090 • Postage & PO Box Rental60.2105 • Ins. Gen. Liab., Prop., & Bond60.2115- Electricity, PGE60.2125 • Office Equipment60.2130 • Bank & Bankcard Fees60.2145 • Phone Service60.2150 • Tank Access Rd. Maint. & Gate60.2160 • CORE SW Lie., Data Stg, Trng.

    28,8641,7184,079383472

    8,0002,710

    00

    2,205

    48,430

    48,430

    5,000500

    3,1931,100

    08,683

    00

    5350

    1,0003994600

    3004000

    1,6860

    371002

    28,7201,7186,3331,8331,4177,960

    830

    417276

    48,757

    48,757

    5,116583

    3,1781,100

    07,917

    02928337927086254172253002920

    3,864633330

    1,0000

    1440

    (2,255)(1,450)(945)40

    2,6270

    (417)1,929

    (327)

    (327)

    (116)(83)1500

    7670

    (292)(298)(792)292

    (226)43

    (225)0

    1080

    (2,178)(63)380

    (1,000)2

    201,34011,98650,83416,40412,52155,8424,495

    00

    6,425

    359,846

    359,846

    35,4884,87022,1657,70015,32060,421

    01,4008,0855,3366,1555,8862,645516

    2,1002,1202,13929,689

    02,582

    00

    802

    201,03812,02544,33312,8339,91755,720

    58314,9202,9171,930

    356,217

    356,217

    35,8104,08322,2457,70014,92055,417

    02,0425,8335,5424,9584,3752,9171,5752,1002,0423,10032,429

    4382,333

    07,000750

    302(40)

    6,5003,5702,604122

    3,912(14,920)(2,917)4,495

    3,629

    3,629

    (322)787(80)0

    4005,005

    0(642)2,252(206)1,1971,511(272)

    (1,059)078

    (961)(2,740)(438)2480

    (7,000)52

    344,63620,61576,00022,00017,00095,5201,00014,9205,0003,309

    600,000

    600,000

    61,3887,00038,13413,20014,92095,0002,4503,50010,0009,5008,5007,5005,0002,7003,6003,5004,50047,000

    7504,000258

    12,000750

    Pagel

  • RNVWD - Operating FundProfit & Loss Budget Performance

    January 2019

    60.2175 • Publications & Legal Notices60.2185 • Trade Memberships & Training60.2190 • Licenses, Permits & Fees60.2200 • ITRON Moble Reader SW & Warr.60.2205 • New Connections60.2208 • Underground Leak Repairs60.2210 • Routine Maintenance & Minor Rep60.2235 • Contingency60.2246 • Arsenic Study, Valve Ex., Hydrn60.2300 • Capital Improvements, CRC Resv.

    60.2305 • Asset Maint & Mgt Plan60.2307 • Bench Testing Media Report60.2322 • Bacteria Rehab Well #260.2327 • Well #1 Back up Pump60.2335 • Air Release Valves60.2370 • Hydrant Flushing Painting60.2380 • SCADA Upgrade60.2399 • Improvements Capitalized

    Total 60.2300 • Capital Improvements, CRC Resv.

    Total 60.2000 • Operating Expenses

    Total Expense

    Net Ordinary Income

    Net Income

    Jan 19

    06500

    1005,7472,246

    0382

    3400

    8,82026800

    8610

    10,288

    42,459

    42,459

    5,971

    5,971

    Budget

    21000

    4175,4172,0004170

    1,6670

    3,0002,917

    00

    5000

    8,083

    43,991

    43,991

    4,766

    4,766

    $OverBu... Jul'18-Ja... YTD Budget

    (21)6500

    (317)331246

    (417)382

    (1,327)0

    5,820(2,649)

    00

    3610

    2,205

    (1,532)

    (1,532)

    1,205

    1,205

    806,9862,3882,157959

    38,74719,538

    05,264

    2,6657,50018,78358,4616,43011,823

    861(49,375)

    57,149

    348,686

    348,686

    11,160

    11,160

    1467,0002,1001,5002,91737,91714,0002,9175,000

    11,6677,50021,00020,41714,00011,5003,500

    0

    89,583

    380,687

    380,687

    (24,470)

    (24,470)

    $ Over Bu... Annual Bu...

    (66)(14)288657

    (1,958)830

    5,538(2,917)

    264

    (9,002)0

    (2,217)38,045(7,570)

    323(2,639)(49,375)

    (32,435)

    (32,001)

    (32,001)

    35,630

    35,630

    2507,0002,1001,5005,00065,00024,0005,0005,000

    20,0007,50036,00035,00014,00011,5006,000

    0

    130,000

    600,000

    600,000

    (0)

    (0)

    Page 2

  • 2:01 PM

    02/16/19

    Accrual Basis

    Type

    Jan 19CheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheck

    Date

    01/01/201901/01/201901/01/201901/01/201901/01/201901/01/201901/01/201901/01/201901/01/201901/01/201901/01/201901/01/201901/01/201901/01/201901/01/201901/01/201901/01/201901/01/201901/03/201901/03/201901/05/201901/05/201901/05/201901/05/201901/05/201901/05/201901/05/201901/05/201901/05/201901/05/201901/05/201901/05/201901/05/201901/05/201901/05/201901/05/201901/10/201901/10/201901/10/201901/10/201901/11/201901/11/201901/11/201901/11/201901/11/201901/11/201901/11/201901/11/2019

    Num

    2076207620762076207620762077207720782078207920792079208020802080

    2081208120812081208120812081208120812081208120812081208120812081

    RNVWD - Operating FundCheck Register

    January 2019

    Name

    RG West BuildersRG West BuildersRG West BuildersRG West BuildersRG West BuildersRG West BuildersBK Bookkeeping IncBK Bookkeeping IncTrites BackflowSvc...Trites BackflowSvc...VeerkampVeerkampVeerkampShaw & AssociatesShaw & AssociatesShaw & AssociatesPG&EPG&ESolano Irrigation Di...Solano Irrigation Di...Solano Irrigation Di...Solano Irrigation Di...Solano Irrigation Di...Solano Irrigation Di...Solano Irrigation Di...Solano Irrigation Di...Solano Irrigation Di...Solano Irrigation Di...Solano Irrigation Di...Solano Irrigation Di...Solano Irrigation Di...Solano Irrigation Di...Solano Irrigation Di...Solano Irrigation Di...PG&EPG&E

    Client Analysis Serv...Client Analysis Serv...Bancard Discount F...Bancard Discount F...Bancard Discount F...Bancard Discount F...Bancard Discount F...Bancard Discount F...

    Account

    160.025 • Cash PayPal Account60.2130 • Bank & Bankcard Fees160.020 • Cash WFB Checking #379960.2005 • General Manager160.119 • Due from Other Fund60.2075 • Office Supplies160.550 • Deposits Payable60.2205 • New Connections160.020 • Cash WFB Checking #379960.2015 • Billing Manager160.020 • Cash WFB Checking #379960.2020 • Meter Reading160.020 • Cash WFB Checking #379960.2010 • Administration & Board Clerk160.119 • Due from Other Fund160.020 • Cash WFB Checking #379960.2050 • Accountant CPA160.119 • Due from Other Fund160.020 • Cash WFB Checking #379960.2115 • Electricity, PGE160.020 • Cash WFB Checking #379960.2028 • Plant & Facilities Operations60.2065 • USA Marking60.2040 • Engineering60.2208 • Underground Leak Repairs60.2210 • Routine Maintenance & Minor...60.2080 • Records Storage & Office Spa...60.2246 • Arsenic Study, Valve Ex., Hydrn60.2370 • Hydrant Flushing Painting60.2327 • Well #1 Back up Pump60.2322 • Bacteria Rehab Well #260.2322 • Bacteria Rehab Well #2160.550 • Deposits Payable60.2210 • Routine Maintenance & Minor...60.2305 • Asset Maint & Mgt Plan60.2380 • SCADA Upgrade160.020 • Cash WFB Checking #379960.2115- Electricity, PGE160.020 • Cash WFB Checking #379960.9075 • Admin Fees, Late Fees & Int.160.020 • Cash WFB Checking #379960.2130 • Bank & Bankcard Fees160.020 • Cash WFB Checking #379960.2130 • Bank & Bankcard Fees160.020 • Cash WFB Checking #379960.2130 • Bank & Bankcard Fees160.020 • Cash WFB Checking #379960.2130 • Bank & Bankcard Fees

    Clr Split Debit Credit

    60.2130 •160.025 •-SPLIT-160.020-160.020 -160.020160.020160.02060.2015160.02060.2020160.020-SPLIT-160.020160.020-SPLIT-160.020160.02060.2115-160.020-SPLIT-160.020160.020160.020160.020160.020160.020160.020160.020160.020160.020160.020160.020160.020160.020160.02060.2115160.02060.9075160.02060.2130160.02060.2130160.02060.2130 •160.020-60.2130-160.020

    Bank & Bankcard FeesCash PayPal Account

    Cash WFB Checking #3799Cash WFB Checking #3799Cash WFB Checking #3799Cash WFB Checking #3799

    • Cash WFB Checking #3799Billing ManagerCash WFB Checking #3799Meter Reading

    • Cash WFB Checking #3799

    • Cash WFB Checking #3799Cash WFB Checking #3799

    Cash WFB Checking #3799• Cash WFB Checking #3799• Electricity, PGE• Cash WFB Checking #3799

    • Cash WFB Checking #3799• Cash WFB Checking #3799• Cash WFB Checking #3799• Cash WFB Checking #3799• Cash WFB Checking #3799• Cash WFB Checking #3799• Cash WFB Checking #3799• Cash WFB Checking #3799• Cash WFB Checking #3799• Cash WFB Checking #3799• Cash WFB Checking #3799• Cash WFB Checking #3799- Cash WFB Checking #3799• Cash WFB Checking #3799• Cash WFB Checking #3799- Electricity, PGE• Cash WFB Checking #3799• Admin Fees, Late Fees & Int.- Cash WFB Checking #3799Bank & Bankcard Fees

    • Cash WFB Checking #3799Bank & Bankcard FeesCash WFB Checking #3799Bank & Bankcard FeesCash WFB Checking #3799Bank & Bankcard FeesCash WFB Checking #3799

    59.70

    5,000.00622.00

    0.00150.00100.00

    3,193.00

    1,100.00

    500.00160.00

    1,000.00635.00

    27.46

    8,683.25399.34535.10

    5,747.381 ,480.69

    300.00382.20

    0.00267.55

    7,401.35305.78

    1,364.25765.21340.15861.06

    232.12

    104.52

    200.49

    69.88

    22.08

    19.11

    59.70

    5,872.00

    3,193.00

    1,100.00

    660.00

    1,635.00

    27.46

    28,833.31

    232.12

    104.52

    200.49

    69.88

    22.08

    19.11

    Page 1

  • ^^^

    2:01 PM

    02/16/19

    Accrual Basis

    Type

    CheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheckCheck

    Jan 19

    RNVWD - Operating FundCheck Register

    Date

    01/11/201901/11/201901/12/201901/12/201901/17/201901/17/201901/23/201901/23/201901/24/201901/24/201901/25/201901/25/201901/27/201901/27/201901/27/2019

    Mum Name

    PostaliaPostalia

    2082 Luhdorff SScalman...2082 Luhdorff SScalman...

    PG&EPG&EPG&EPG&EPG&EPG&E

    2083 Randall Larson May...2083 Randall Larson May...2083 Randall Larson May...

    160.020 •60.2090 •160.020 •60.2322 •160.020 •60.2115 •160.02060.2115160.020 •60.2115-160.02060.9075160.02060.2070160.550

    January 2019

    Account

    Cash WFB Checking #3799Postage & PO Box RentalCash WFB Checking #3799Bacteria Rehab Well #2Cash WFB Checking #3799Electricity, PGECash WFB Checking #3799

    • Electricity, PGECash WFB Checking #3799Electricity, PGECash WFB Checking #3799Admin Fees, Late Fees & Int.Cash WFB Checking #3799WebmasterDeposits Payable

    Clr

    X

    X

    X

    X

    X

    X

    60.2090 •160.020 •60.2322 •160.020 •60.2115160.02060.2115160.02060.2115160.020 •60.9075 •160.020-SPLIT-160.020160.020

    Split

    Postage & PO Box RentalCash WFB Checking #3799Bacteria Rehab Well #2

    • Cash WFB Checking #3799Electricity, PGE

    • Cash WFB Checking #3799Electricity, PGE

    • Cash WFB Checking #3799Electricity, PGE

    • Cash WFB Checking #3799Admin Fees, Late Fees & Int.

    • Cash WFB Checking #3799

    • Cash WFB Checking #3799- Cash WFB Checking #3799

    Debit

    400.00

    1,112.50

    115.55

    398.26

    912.56

    870.20

    459.95150.00

    46,447.69

    Credit

    400.00

    1,112.50

    115.55

    398.26

    912.56

    870.20

    609.95

    46,447.69

    Page 2

  • Rural N. Vacaville Water Dist.-DSFBalance Sheet

    As of January 31, 2019

    Jan 31,...

    ASSETSCurrent Assets

    Checking/Savings164.010 • Cash in Treasury 1,475,136

    Total Checking/Savings 1,475,136

    Total Current Assets 1,475,136

    Other Assets164.230 • Long-Term Receivables 48,676164.250 • Future Loan Redempt Req 2,949,334

    Total Other Assets 2,998,010

    TOTAL ASSETS 4,473,146

    LIABILITIES & EQUITYLiabilities

    Current LiabilitiesOther Current Liabilities

    164.520 • Due to Other Fund (813)164.550 • Deferred Revenue 48,676164.605 • Current Portion of LT D... 816,139

    Total Other Current Liabilities 864,002

    Total Current Liabilities 864,002

    Long Term Liabilities164.610 • Bond & Other LT Debt 2,133,284

    Total Long Term Liabilities 2,133,284

    Total Liabilities 2,997,285

    Equity164.730 • Reserve-Other 549,186164.790 • Fund Balance - Designated 908,903Net Income 17,771

    Total Equity 1,475,861

    TOTAL LIABILITIES & EQUITY 4,473,146

    Page 1

  • Rural N. Vacaville Water Dist.-DSFProfit & Loss Budget Performance

    January 2019

    Jan 19 Budget $ Over Budget Jul'18-Jan19 YTD Budget $ Over Budget Annual Budget

    Ordinary Income/ExpenseIncome

    64.9014 • Taxes - Special Assessments64.9100 • From Pre Payment Assmt Res Acct64.9401 • Interest Income64.9900 • Other Income-Water Rights

    Total Income

    Expense64.2005 • General Manager64.2008 • Administration64.2009 • Legal64.2010 • NBS Administration Fee64.2012 • NBS Delinq, Tx Rolls and Late64.2045 • Auditor64.2050 • Accountant Services64.2075 • NBS Adminstrative Expenses64.2190 • County Collection Fees64.3200 • Debt Service Expenditures

    64.3230 • Long-Term Loan Redemption64.3244 • Interest on LT Debt

    Total 64.3200 • Debt Service Expenditures

    Total Expense

    Net Ordinary Income

    Net Income

    00

    7,0370

    04468330

    0(446)6,204

    0

    454,811147,55014,71519,501

    460,000150,6675,833

    0

    (5,189)(3,117)8,88219,501

    920,000152,89710,000

    0

    7,037

    622160

    0000

    63500

    1,417

    5,620

    1,279

    49319142

    55050

    417375

    1770

    2,205

    (926)

    5,758

    129(31)(42)

    (550)(50)

    (417)260(17)(70)

    636,577

    3,5401,390

    2613,312

    5003,0004,290

    92419

    552,98749,015

    602,002

    (788) 618,806

    6,546 17,771

    616,500

    3,4491,339

    2923,852

    3502,9182,625

    117487

    552,98749,011

    601,998

    617,427

    (927)

    20,077

    9151

    (31)(540)

    15082

    1,665(25)(68)

    (0)4

    1,379

    18,698

    1,082,897

    5,9142,294

    5006,604

    6005,0014,500

    200834

    964,19592,255

    1,056,450

    1,082,897

    5,620 (926) 6,546 17,771 (927) 18,698

    Page 1

  • Adjustments Detail Report

    From: 2/1/2019 To: 2/28/2019

    These Adjustments Have NOT Been Posted to the Customer's Balance:

    These Adjustments Haven't Been Billed.

    AccountStatus

    Implement AccountDate Number Revenue Amount User Comment

    2/28/2019 9302 ACTIVE

    Total Number of Adjustments = 1

    BASE

    Total =

    ($23.04) ADMI

    ($23.04)

    Client purchased home on 2-7-19

    Total Number of Adjustments = Total = ($23.04)

    These Adjustments Have Been Posted to the Customer's Balance:

    These Adjustments Haven't Been Billed.

    ImplementDate

    2/28/2019

    2/28/2019

    2/28/2019

    AccountNumber

    9301

    44301

    44302

    AccountStatus

    OFF AND BILLED

    OFF AND PAID

    ACTIVE

    Total Number of Adjustments = 3

    Revenue

    BASE

    BA

    BA

    Total =

    Amount

    ($69.12)

    $400.00

    ($400.00)

    ($69.12)

    User

    ADMI

    ADMI

    ADMI

    Comment

    Client sold home on 2-7-19

    Payment goes to acct 44302

    Payment applied to new homeowner

    These Adjustments Have Been Billed.

    ImplementDate

    2/1/2019

    2/11/2019

    2/11/2019

    2/20/2019

    2/20/2019

    2/20/2019

    2/20/2019

    2/20/2019

    2/20/2019

    2/22/2019

    2/27/2019

    2/27/2019

    2/27/2019

    2/27/2019

    2/27/2019

    2/27/2019

    2/27/2019

    2/27/2019

    2/27/2019

    2/27/2019

    2/27/2019

    2/27/2019

    2/27/2019

    Thursday, February 28, 2019

    AccountNumber

    21403

    34002

    2701

    26101

    15201

    40902

    22402

    19901

    11101

    6602

    13702

    15201

    34403

    24002

    25401

    26401

    26701

    27101

    30102

    22402

    34002

    22701

    31901

    AccountStatus

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    Revenue

    BA

    CFEE

    CFEE

    CFEE

    CFEE

    CFEE

    CFEE

    CFEE

    CFEE

    CFEE

    CFEE

    LC1

    LC1

    LC1

    LC1

    LC1

    LC1

    LC1

    LC1

    LC1

    CFEE

    LC1

    BA

    Amount

    $94.58

    $5.00

    $5.00

    $5.00

    $5.00

    $5.00

    $5.00

    $5.00

    $5.00

    $5.00

    $5.00

    $14.18

    $10.14

    $11.79

    $12.10

    $2.74

    $9.22

    $19.26

    $11.57

    $16.84

    $5.00

    $11.19

    ($50.00)

    User Comment

    ADMI Entered payment twice.

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI Billing adjustment for water leak

    Page 1 of 3

  • 2/27/2019 8201

    2/27/2019 8201

    2/27/2019 44101

    2/27/2019 41101

    2/27/2019 38601

    2/27/2019 38301

    2/27/2019 37802

    2/27/2019 36801

    2/27/2019 36201

    2/27/2019 30601

    2/27/2019 7101

    2/27/2019 11101

    2/27/2019 9801

    2/27/2019 9601

    2/27/2019 8701

    2/27/2019 8601

    2/27/2019 8401

    2/27/2019 8201

    2/27/2019 7502

    2/27/2019 34201

    2/27/2019 11501

    2/27/2019 11201

    2/27/2019 12001

    2/27/2019 5401

    2/27/2019 5001

    2/27/2019 3801

    2/27/2019 2602

    2/27/2019 1401

    2/27/2019 302

    2/27/2019 31701

    2/27/2019 18202

    2/27/2019 34002

    2/27/2019 12801

    2/27/2019 19201

    2/28/2019 27202

    2/28/2019 27202

    2/28/2019 29002

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    ACTIVE

    2/28/2019 29001 OFF AND BILLED

    Total Number of Adjustments

    Total Number of Adjustments

    Total Number of Adjustments for Group: 1

    Total Number of Adjustments for Area: 1

    = 61

    = 64

    = 65

    = 65

    LC1

    METER

    LC1

    LC1

    LC1

    LC1

    LC1

    LC1

    LC1

    LC1

    LC1

    LC1

    LC1

    LC1

    LC1

    LC1

    LC1

    METER

    LC1

    LC1

    LC1

    LC1

    LC1

    LC1

    LC1

    LC1

    LC1

    LC1

    LC1

    LC1

    LC1

    LC1

    LC1

    LC1

    BASE

    BASE

    BASE

    BASE

    Total =

    Total =

    Total =

    Total =

    $23.04

    ($23.04)

    $12.10

    $10.16

    $34.05

    $12.00

    $2.25

    $36.40

    $14.21

    $9.22

    $9.22

    $11.28

    $13.95

    $12.10

    $15.86

    $14.93

    $16.07

    $23.04

    $4.74

    $13.18

    $10.04

    $13.34

    $14.46

    $21.77

    $1.38

    $23.66

    $9.22

    $15.40

    $11.11

    $15.21

    $16.76

    $12.78

    $14.11

    $17.07

    $23.04

    ($23.04)

    ($23.04)

    ($69.12)

    $587.52

    $518.40

    $495.36

    $495.36

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI

    DEMO

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI

    ADMI Adjustment entered into wrong accou

    ADMI Client purchased home on 2-4-19

    ADMI Client purchased home on 2-4-19

    ADMI Client sold home 2-4-1 9

    These Adjustments Have Been Posted to the Customer's Balance:

    Thursday, February 28, 2019 Page 2 of 3

  • These Adjustments Have Been Billed.

    Implement Account AccountDate Number Status Comment

    2/11/2019 10302 ACTIVE

    2/11/2019 10302 ACTIVE

    2/11/2019 10302 ACTIVE

    Total Number of Adjustments = 3

    Total Number of Adjustments = 3

    Total Number of Adjustments for Group: 1 = 3

    Total Number of Adjustments for Area: 2 = 3

    CONS2

    CONS

    CONS3

    Total =

    Total =

    Total =

    Total =

    ($51.50) ADMI Billing Error

    ($51.50) ADMI Billing error

    ($7,636.42) ADMI Billing Error

    ($7,739.42)

    ($7,739.42)

    ($7,739.42)

    ($7, 739.42)

    Total Number of Adjustments for All Areas: = 68 Total = ($7,244.06)

    Thursday, February 28, 2019 Page 3 of 3

  • Board New Policy Log

    If1050

    2100

    2120

    2125

    2167

    2300

    2420

    3300

    4100

    4105

    4120

    4125

    4225

    4235

    XXXX

    XXXX

    XXXX

    #

    1000

    1010

    1011

    1015

    1020

    1030

    1040

    2100

    2125

    2130

    2145

    2150

    2161

    2162

    2163

    2164

    Policy Title

    GM RoleFinancial Policies and Procedures UpdateEmployment of Outside Contractors and Consultants

    Reimbursement Policy update - add annual reporting

    Delinquent Assessment Policy - 2008 -Emergency Prepardness

    District Web PageInternet, E-mail and Electronic Communication Policy

    Attendance at Meetings

    Commitees of the Board of Directors

    Members of the Board of Directors

    Training, Education and Conferences

    Review of Administrative Decisions

    Types of Board Meetings

    Will Serve LetterDiscontinuation of Service for non payment per SB998

    No CSDA matching Section or Policy Number

    Approved Policies and Procedures

    Board Policies

    Basis of Authority

    Elections and How to fill a Vacancy

    Clerk

    Board / Staff Communications

    Code of Conduct and Professional Ethics

    Correspondance to Board

    Financial Policies and ProceduresRemimbursement Policy

    Investment Policy

    Records Retention and Destruction Policy

    Reserve Policy

    Application and Assessment Apportionment

    Billing Payments and Collections Schedule

    Capitalization Policy

    Civil Fine for Unauthoized Use of Water

    2166 Construction Fire Hydrant Water Usage Contract

    2167

    2168

    2169

    Delinquent Assessment Policy

    Installment Payment Plan

    New Connection Deposit Agreement2170 i Water Rights Transfer/Puchase/Annexation

    2171

    2172

    2424

    4110

    4126

    4200

    42054210

    Shut off Resolution

    Penalty for Non-Payment Charges

    Public Records Act Pollicy and Request Form

    Duties of Board President

    Resolution PolicyBoard Actions and Decisions

    Board Meeting AgendaBoard Meeting Conduct

    4215 i Brown Act Compliance4220

    5000

    Minutes of Board MeetingGrant Easement Agreement & Policy

    Organizational Chart

    First Edit

    NancyGordon

    Nancy

    NBSNancy

    Nancy

    Reviewed

    Gordon

    Draft to Board

    April 9thNotes

    Solano MOU /Calif FTR /Census

    2/13/2019NBS working on policy 2/2019

    2/14/2018

    SB998 goes into effect 4.1.2020

    3/8/2019

  • DirectorsChris Calvert, PresidentRobert Whitehouse, Vice PresidentElizabeth Miles, DirectorMichael Bianco, DirectorJoseph Gates, Director

    StaffGordon Stankowski, General ManagerBrenda Kane, Billing ManagerRick Trites, Meter Reading/BackflowNancy Veerkamp, Clerk/AdminSolano Irrigation District, Operation &Maintenance

    BOARD OF DIRECTORS REGULARMEETING MINUTES

    February 12, 2019 at 7:00 pmVacaville

    Fire Protection District, Fire Station #67,4135 Cantelow Road,Vacaville CA 95688

    The Rural North Vacaville Board of Directors met in regular session on this date at theFire Station.

    Present were: Chris Calvert, President; Elizabeth Miles, Director; Joseph "Joe" Gates,Director; Robert "Bob" Whitehouse, Vice President (VP), Michael "Mike" Bianco, Director,Gordon Stankowski, General Manager (GM); Nancy Veerkamp, Clerk/Admin.

    Visitors: Jim Miles, Eileen SmithAbsent: None

    1. Call Meeting to Order/ Roll Call/ Approval of the AgendaThe meeting was called to order by President Chris Calvert at 7:00 pm.Director Mike made a motion to approve the Agenda. Director Joe seconded themotion. Vote:Ayes: Bob, Chris, Elizabeth, Joe, Mike Noes: None Abstain: None Absent: None

    2. Public Comments: None

    3. Consent ItemsPublic Comment: None

    a. Approval of the Financial Reports for December 2018 and Adjustments forJanuary 2019.

    Director Joe made a motion to approve the Financial Reports. The motion wasseconded by Director Mike. Vote:

    Ayes: Bob, Chris, Elizabeth, Joe, Mike Noes: None Abstain: None Absent: None

    P.O. Box 5097, Vacaville, CA. 95696 Phone: (707) 447-8420Email: [email protected] Website: www.RNVWD.com

  • 4. General Managers Report-Public comment: Eileen: Are there special procedures to notify the Fire Dept.when water is shut off for Service Alerts or Urgent Notices? GM: The Fire Dept.has been added to the Chimp Mail list. Per President Chris all fire trucks are full ofwater at all times. Director Elizabeth suggested the Emergency Plan be updatedto add this notification to the Fire Department.

    a. Well #2 Bacteria Disinfection StatusThe report from Water Environmental Testing Laboratory shows that the bacteriathat was removed starts to return. GM Gordon has asked Solano Irrigation District(SID) for a long term maintenance plan to be developed. SID has not respondedas of this date.

    b. Annual Budget Mid-Year Review of Revenue and ExpensesAn item by item review of the budget was conducted by GM Gordon. DirectorElizabeth asked about New Connection charges. It was also explained by the GMthat QuickBooks reports can provide more detail for contractor for charges.

    c. Spare Parts Order and StorageThe Spare parts will be arriving by the end of February.

    d. Sphere of Influence MapDirector Elizabeth had asked for an explanation of the white areas within thecurrent map. GM stated that some of these may be parcels that the District doesnot have yearly fire assessments as prepared by NBS. They may not be "legalparcels" but parcels for tax purposes only. Director Elizabeth will seek furtherclarification from the Solano County Assessor's Office about these parcels. TheGM stated that the "white areas" will be researched and addressed as may beneeded to provide more clarity and when required for applications for Annexationto the District. The next formal update of the Sphere of Influence with LAFCO is in2021.

    e. Liability and Property Insurance Annual Loss ReportRNVWD has received 2 Presidents Special Recognition Awards from ACWA JPIAour Liability and Property Insurance carrier.

    5. Continuing Business-Public Comment: Eileen: Do we need Arsenic Treatment at all?Jim: suggested we wait until all funds are collected before proceeding and shelfthe treatment for now.

    a. Consider for Decision "Go" or "No Go" on the Arsenic Removal TreatmentProject (Action Item)Director Bob made a motion to not take action at this time on the ArsenicRemoval. The motion was seconded by Director Joe. Discussion: Vote:Ayes: Bob, Chris, Elizabeth, Joe, Mike Noes: None Abstain: None Absent None

    P.O. Box 5097, Vacaville, CA. 95696 Phone: (707) 447-8420 2Email: [email protected] Website: www.RNVWD.com

  • b. Consider for Approval the revised Rules and Regulations dated 2-12-19(Action Item)Director Mike made a motion to approve the revised Rules and Regulations aspresented. The motion was seconded by Director Elizabeth. Discussion Vote:Aves: Bob, Chris, Joe, Mike Noes: Elizabeth Abstain: None Absent: None

    Director Elizabeth voted Noe as she disagrees with some items in Exhibit E,(District Schedule of Fees), as revenue is going to independent contractors versusthe District.

    6. New Business-Public Comment: Jim Miles would like to see the GM contract be cleaned upregarding District Schedule of Fees items noted as GM additional services.

    a. Consider for approval the Board Meeting Minutes of January 8, 2019Director Joe made a motion to Board Meeting Minutes of January 8. The motionwas seconded by Director Mike. Discussion. Vote:Ayes: Bob, Chris, Elizabeth, Joe, Mike Noes: None Abstain: None Absent: None

    b. Consider for Approval the FY 17/18 Audit ReportDirector Mike made a motion to approve the Annual Audit Report. The motion wasseconded by Director Joe. Discussion. Vote:Aves: Bob, Chris, Elizabeth, Joe, Mike Noes: None Abstain: None Absent: None.

    7. Public Comments-Eileen: Would the Board consider requiring that developers pay up front for anyfuture projects versus making a deposit?Jim: Would the Board consider changing the current fee to purchase a waterright?

    8. Board Member Comments-Directors Mike and Joe would like to compliment staff for the excellent auditreports.Director Elizabeth - Thanked the staff for sending documents earlier for review.Policies can have updates added and then be reviewed yearly for anychanges/additions.

    9. AdjournThe meeting was adjourned at 8:38 pm by President Chris Calvert.The next regular meeting is scheduled for March 12, 2019 @7:00pm. Minutes submitted by Nancy Veerkamp, Clerk of the Board

    Minutes approved by: Chris Calvert, President

    Signed Date

    P.O. Box 5097, Vacaville, CA. 95696 Phone: (707) 447-8420Email: [email protected] Website: www.RNVWD.com