HomeMy WebLinkAbout04. Review August 2017 Financial Statements and Investment ReportsPage 1 of 32
Item 4.
Central Contra Costa Sanitary District
October 5, 2017
TO: HONORABLE BOARD OF DIRECTORS
FROM: CHRIS THOMAS, FINANCE ADMINISTRATOR
REVIEWED BY: THEA VASSALLO, FINANCE MANAGER
PHIL LEI BER, DIRECTOR OF FINANCE AND ADMINISTRATION
ANN SASAKI, DEPUTY GENERAL MANAGER
ROGER S. BAILEY GENERAL MANAGER
SUBJECT: REVIEW AUGUST 2017 FINANCIAL STATEMENTS AND INVESTMENT
REPORTS. APPROVAL RECOMMENDED BY FINANCE COMMITTEE.
Attached for review are the Financial Statements and Investment Reports as of the date shown above.
GOAL THREE: Be a Fiscally Sound and Effective Water Sector Utility
Strategy 2 - Manage Costs
ATTACHMENTS:
1. August 2017 Financial Statements and Investment Reports
October 5, 2017 Regular Board Meeting Agenda Packet - Page 20 of 196
CENTRAL CONTRA COSTA SANITARY DISTRICT
September 14, 2017
TO: THE BOARD OF DIRECTORS
VIA: THEA VASSALLO
FROM: JAMIE KING
SUBJECT: O&M Variance Analysis
The following are brief year-to-date variance explanations Through period ending August, 2017:
O & M Revenues:
Tota
0 & M Ex nses variances > §100K):
Total Labor Charges
Utilities
Repairs & Maintenance
Professional & Legal Services
Outside Services
All Other
Tota
YTD YTD Fav/(Unfav)
Budgeted Actual Variance
507,462 473,289 (349173) No significant variances.
Explanation
12,089,270 11,937,881
151,389
Expenses are typically lower in the beginning of the year. Some positions
budgeted for in July are filled later in the fiscal year resulting in savings.
6001787 425,450
1751337
Delay in invoices.
739,248 5309108
2097140
Lower due to budget spread over 12 months versus actual expense
occurring sporadically throughout the year.
132,916 (317868)
1647784
Due to delay in legal invoices.
5421760 326,628
216,132
Mostly due to lower Technical Services than budgeted thus far in the year.
11973,857 11680,121
293,736
Hauling & Disposal, Materials & Supplies, and Other Expenses lower in
multiple account categories thus far in the fiscal year.
16, 078, 838 14, 868, 320 192107518
October 5, 2017 Regular Board Meeting Agenda Packet - Page 21 of 196
Central Contra Costa Sanitary District
Revenue Report MTD
Fund: 001 - RUNNING EXPENSE (OW)
Report Generated on Sep 14, 2017 9:29:51 AM August 2017 Fiscal Period 212018
Category MTD Estimate MTD Actual MTD %Rev YTD Estimate YTD Actual YTD %Rev Annual Estimate Unrealized Balance Annual %Rev
Concord
$0
$0
0.0%
$0
$0
0.0%
$15.200,000
$15,200.000
00%
H H W
$7,000
$2.904
-58.5%
$14.000
$7,390
-472%
$853.000
$845.610
❑ 9%
Sewer Service Charges
$11.942
$20,662
73.0%
$23,884
$37:941
58.9%
$75,220,700
$75,182,759
0 10/a
Other
$203.331
$182,135
-104%
$469.578
$427,956
-89%
$3,385,000
$2,957,044
12.6%
Total Revenue
$222,273
$205,701
*7.5%
$507,462
$473,287
-6.7%
$94,6589700
$94,185,413
0.5%
October 5, 2017 Regular Board Meeting Agenda Packet - Page 22 of 196
' Central Contra Costa Sanitary District
Report Generated on Sep 14, 2017 9:3227 AM
$18.000-000 00
$16.000,000 00
$14.000.000-00
$12.000-000 00
$10.000.000 00
Expense Report - District Summary MTD
Fund: 001 - RUNNING EXPENSE (OW)
August 2017 Fiscal Period 02/2018
- Budget
Actual
M.078.838
$14.868,321
October 5, 2017 Regular Board Meeting Agenda Packet - Page 23 of 196
$8,7,3
$8,000,000 -GQ
$8,182,586
$6.000.000-00
$4.000.000 00
$2,000,000 00
$0.00
Jul(1) 2017 Aug(2) 2017
Fiscal Periods
October 5, 2017 Regular Board Meeting Agenda Packet - Page 23 of 196
_ Central Contra Costa Sanitary District
jig.
Expense Report - District
Summary MTD
Fund: 001 - RUNNING
EXPENSE (O&M)
August 2017 Fiscal Period 02l201 8
Report Generated on Sep 14, 2017 9:32'27 AM
Category
Period Budget
Period Actual
Period Variance
%
YTD Budget
YTD Actual
YTD Variance
%
Annual
°lea
Budget
SALARIES & WAGES
$2,899.767
$2,849.578
$50.189
1.7%
$5,799,534
$5,700,500
$99,034
1.7°x°
$34,797,628
16 4%
EMPLOYEE BENEFITS
$2,691,880
$2,596,027
$95,853
36%
$6.951.760
$6,775,072
$176.688
2.5%
$36,752,619
184%
CAPITALIZED ADM OVERHEAD
($331,012)
($286,808)
($44,204)
13.4%
($662,024)
($537,695)
($124,329)
188%
($3,972,203)
13.5%
DIRECTOR FEES & EXPENSES
$14,052
$14,546($494)
-3. 5°/0
$28A04
$246238
$3,866
13.8%
$168,631
14.4%
CHEMICALS
$123,464
$137,953
($14,489)
-11.7%
$247,128
$206,467
$40,661
16.5%
$1,482,000
13.9%
UTILITIES
$391,226
$356,660
$34,566
8.8%
$600,787
$425,449
$175,338
29.2%
$4,639,790
9.211/6
REPAIRS & MAINTENANCE
$421,624
$282,514
$139,110
33.0%
$739,248
$530,109
$209.139
283%
$5,299,754
10011/0
HAULING & DISPOSAL
$85.326
$60,232
$25,094
294%
$170.652
$92,935
$77.717
45.5%
$1,023,975
91%
PROFESSIONAL & LEGAL SERV
$66,458
($31.938)
$98,396
1481%
$132.916
($31.868)
$164,784
1240%
$807,600
-39%
OUTSIDE SERVICES
$308,380
$136,327
$172,053
558%
$542.760
$326,628
$216.132
39.8%
$3,452,717
95%
SELF-INSURANCE EXPENSE
$0
$0
$0
0.0%
$585,000
$585,000
$0
00%
$585,000
1000%
MATERIALS & SUPPLIES
$156,908
$154.109
$2,799
18%
$289,816
$215,902
$73,914
255%
$2,059,325
105%
OTHER EXPENSES
$455212
$416.535
$38,677
85%
$653,157
$555,584
$97.573
14.9%
$2.616.751
21.2%
Total Expenses
$7,283,285
$5,585,734
$597,551
8.2%
$15,078,838
$14,858,321
$19210,517
7.5%
$89,713,587
15.6%
Color Key: 0 to 1 OO/Dover budget > 10% over budget M
October 5, 2017 Regular Board Meeting Agenda Packet - Page 24 of 196
Central Contra Costa Sanitary District
Expense Report - By Department MTD
Fund: 001 - RUNNING EXPENSE (O&M)
Report Generated on Sep 14, 2017 9:34:96 AM August 2017 Fiscal Period 0212018
$2.500-000
$2.000.000
$1,500,000 -
$1,000,000 -
$500,000
❑ Penod Budget
❑ Penod Actual
FIM
oy
$6,000,000
$5.000.000
$4.000.000
$3,000,000
$2000,000
$1,000,000
$0
October 5, 2017 Regular Board Meeting Agenda Packet - Page 25 of 196
❑ YTD Budget
❑ YTD Actual
Period Budget
Period Actual
Period Variance
YTD Budget
YTD Actual
YTD Variance
ADMINISTRATION
$10829,647
$1,535,833
$293,814
$5,910,545
$5,354,443
$556,102 ,
ENGINEERING
$1,709,083
$1,582,206
$126,877
$310201314
$2,859,022
$1611292
COLLECTION SYSTEM DPS.
$11179,629
$1,049,338
$130,291
$212331258
$210481869
$184,389
PLANT OPERATIONS
$22151329
$21200,592
$141737
$41245,527
$4,084,976
$1601551
PUMP STATIONS
$2431308
$242,357
$951
$468,616
$390,126
$781490
RECYCLED MATER
$106,289
$75,408
$301881
$200,578
$1301886
$69,692
L Totals
$7,283,285
$69685,734
$597,551
$16,0789838
$141868,321
$1,210,517
October 5, 2017 Regular Board Meeting Agenda Packet - Page 25 of 196
❑ YTD Budget
❑ YTD Actual
Central Contra Costa Sanitary District
Expense Report - By Department MTD
Fund: 001 - RUNNING EXPENSE (OSTM)
August 2017 Fiscal Period 02/2018
Report Generated on Sep 14. 2017 9:34:06 AM
Department:
SALARIES & WAGES
EMPLOYEE BENEFITS
CAPITALIZED ADM OVERHEAD
DIRECTOR FEES & EXPENSES
UTILITIES
REPAIRS & MAINTENANCE
PROFESSIONAL & LEGAL SERV
OUTSIDE SERVICES
SELF-INSURANCE EXPENSE
MATERIALS & SUPPLIES
OTHER EXPENSES
ADMINISTRATION Total Expenses
Fund ##001 - Total Expenses
Color Key: 0 to 10% over budget > 10% over budget M
October 5, 2017 Regular Board Meeting Agenda Packet - Page 26 of 196
ADMINISTRATION
■ ■ Budget
Period Actual Period
■ Budget
$588,695
$564.987
$23.708
4.0%
$1,177,390
$1.099,295
$78.095
6.6%
■r-
$7,064,444
15.6%
$906,126
$799,892
$106.234
11.7%
$3,380,252
$3,160..531
$219,721
65%
$15,322,061
206%
($3,980)
($3,061)
($919)
231%
($7,960)
($5,082)
($2,878)
362%
($47,770)
106%
$14,052
$14.546
($494)
-35%
$28,104
$24.238
$3,866
13.8%
$168,631
144%
$12,203
$8,579
$3,624
297%
$24.406
$18,206
$6,200
25.4%
$146,440
124%
$62.291
$20,659
$41,632
668%
$244,582
$193,152
$51,430
21.0%
$987,550
19.6%
$49,878
($4,292)
$54,170
108.6%
$99,756
($4,222)
$103.978
104.2%
$608,600
-07%
$115,087
$78,753
$36.334
31.6%
$262,174
$212.024
$50,150
19.1%
$1,587.100
134%
$0
$0
$0
❑ ❑%
$585,000
$585,000
$0
00%
$585,000
1000%
$11.230
$2,273
$8,957
798%
$22,460
$11,890
$10,570
47.1%
$190,825
6.2%
$74.065
$53.497
$20.568
27.8%
$94,381
$59,411
$34,970
371%
$648,985
9.2%
$1,829,547
$11535,833
$293,814
16.1%
$59910,545
$5,354,443
$555,102
9.4%
$2792519866
19.6%
$1,829,547
$19535,833
$2 93,814
16.1%
$5,9109545
$5,354,443
$556,102
9.4%
$27,261,865
19.6%
Color Key: 0 to 10% over budget > 10% over budget M
October 5, 2017 Regular Board Meeting Agenda Packet - Page 26 of 196
Central Contra Costa Sanitary District
Expense Report - By Department MTD
Fund: 001 - RUNNING EXPENSE (OW)
August 2017 Fiscal Period 02/2018
Report Generated on Sep 14, 2017 9:34.06 AM
Department: ENGINEERING
Color Key- 0 to 10% over budget > 10% over budget
October 5, 2017 Regular Board Meeting Agenda Packet - Page 27 of 196
SALARIES & WAGES
$824,553
$817,921
$6,632
08%
$1,649.106
$1.651.050
($1.944)
-0 1 °l6
ss -
$9,894,696
16.7%
EMPLOYEE BENEFITS
$604.832
$607,424
($2,592)
-0 4%
$1,209,664
$1,229,3930
($19,729)
-110 .6
$7,258,451
16.9%
CAPITALIZED ADM OVERHEAD
($299.122)
($272,363)
($26,759)
8.9%
{$598,244}
($508,211)
($90,033)
15.0%
($3,589,475)
14.2%
UTILITIES
$15,265
$16,874
($1609)
-105%
$30,530
$19,585
$10,945
35.9/0
$183,200
10.7%
REPAIRS & MAINTENANCE
$14.405
$7,661
$6,744
468%
$28,810
$10,202
$18,608
64.6%
$172,900
5.9/a
HAULING & DISPOSAL
$39.576
$22,571
$17,005
430%
$79,152
$23,958
$55,194
69.7%
$474,925
50%
PROFESSIONAL & LEGAL SERV
$14,248
($9.611)
$23,859
167.5%
$28,4960
$28,496($9-611)
$38,107
133./o 7
$171,000
-56%
OUTSIDE SERVICES
$136.566
$38.366
$98,200
71.9%
$179,132
$65,445
$113,687
63.5%
$1,184,767
55%
MATERIALS & SUPPLIES
$31,530
$30.382
$1,148
36%
$58.060
$39,904
$18,156
313%
$378,450
105%
OTHER EXPENSES
$327,230
$322.981
$4,249
13%
$355,608
$337,308
$18,300
51%
$905,423
373%
ENGINEERING Total Expenses
$1,709,083
$1,582,206
$1289877
7.4°%
$3,020,314
$2,859,022
$161,292
5.3°%
$17,034,337
16.8°%
Fund #001 - Total Expenses
$1,709,083
$1,582,206
$126,877
7.4°%
$3,020,314
$2,859,022
$161,292
5.3°%
$17,034,337
16.8°%
Color Key- 0 to 10% over budget > 10% over budget
October 5, 2017 Regular Board Meeting Agenda Packet - Page 27 of 196
6A" Central Contra Costa Sanitary District
Expense Report - By Department MTD
Fund: 001 - RUNNING EXPENSE (O&M)
Report Generated on Sep 14, 2017 9=34:06 AM August 2011 Fiscal Period 0212018
Department:
SALARIES & WAGES
EMPLOYEE BENEFITS
CAPITALIZED ADM OVERHEAD
UTILITIES
REPAIRS & MAINTENANCE
HAULING & DISPOSAL
PROFESSIONAL & LEGAL SERV
OUTSIDE SERVICES
MATERIALS & SUPPLIES
OTHER EXPENSES
COLLECTION SYSTEM OPS. Total
Expenses
Fund #001 - Total Expenses
td Budget
Period Actual
COLLECTION SYSTEM OPS.
■ ■ariance % YTD Budget
YTD Actua
1 Variance
Annual
%
$513,691
$503.174
$10,517
20%
$1,027,382
$16018,931
$8,451
0.8%
■ ■
Budget
$6,164,374
16,5%
$428,305
$423,443
$4,862
1 1%
$856,610
$850.856
$5,754
0.7%
$5,140,009
166%
($4,373)
($1,042)
($3,331)
76.2%
($8,746)
($3,037)
($5,709)
65.3%0
($52,482)
8
5./a
$11,865
$10,219
$1646
139%
$23,730
$7,796
$15,934
67.1%
$142,400
5.5%
$135356
$20,502
$114,854
84.9%
$163,712
$41,424
$122,288
74.7%
$1,624,304
2.6%
$10,916
$7,188
$3,728
34.2%
$21,832
$14,351
$7,481
343%
$131.000
11.0%
$625
($2,684)
$3,309
529.4%
$1,250
($2,684)
$31934
314.7%
$7,500
-35.8%
$9,215
$12,770
($3,555)
-386%
$18,430
$18,381
$49
0.3%
$110,600
166%
$62.456
$59.958
$2,498
40%
$105,912
$81,221
$24,691
233%
$749,550
108%
$11,573
$15,810
($4.237)
-366%
$23,146
$21,629
$1,517
6.6%
$138,958
156%
$1,179,629
$1,049,338
$130,291
11.0%
$2,233,258
$2,048,869
$1849389
8.3%
$14,156,213
14.5%
$1,179,629
$1,049,338
$130,291
11.0%
$2,233,258
$2,048,869
$184,389
8.3%
$14,156,213
14.5%
Color Key: 0 to 10% over budget > 10°/1) over budget
October 5, 2017 Regular Board Meeting Agenda Packet - Page 28 of 196
ACentral Contraosta Sanitary '
C n eta ry D�striCt
Expense Report - By Department MTD
Fund: 001 - RUNNING EXPENSE (O&M)
August 2017 Fiscal Period 02/2018
Report Generated on Sep 14, 2017 9:34:66 AM
Department:
PLANT OPERATIONS
r
SALARIES & WAGES
$858.322
$846.871
$11,451
13%
$1.716.644
$1,706,997
$9,647
0 6%
$10,299,997
16.6°%
EMPLOYEE BENEFITS
$668.532
$677.361
($8.829)
�
-1 30/a
$1, 337,054
$1,.3fi3.472
($2fi,408}
°
=2. ❑ f°
$8, 023.023
0
17 0 /a
CAPITALIZED ADM OVERHEAD
($23,537)
($10,342)
($13,195)
56.1%($47,074)
($47,074)
($21,365)
($25,709)
54,/0
fi
($282,475)
7.6°!o
CHEMICALS
$91..465
$951080
($3,615)
-4.0%
$183,130
$155,478
$27.652
15.1%
$11098,000
14.2%
UTILITIES
$294,965
$254,041
$40,924
13.9%
$408,265
$314,687
$93,578
22.9%
$3,484,600
90%
REPAIRS & MAINTENANCE
$180,799
$226,772
{$45,973}
-25.4%
$262,598
$275,40❑°
�$13802�
-5./° 3
$2,169.700
0
12 710
HAULING & DISPOSAL
$34,101
$29,645
$4,456
13.1%
$68.202
$53083
$15,119
22.2%
$409,250
130%
PROFESSIONAL & LEGAL SERV
$541
($487)
$1.028
190.0%
$1.082
($487)
$1.569
1450%
$6.500
-7.5°/0
OUTSIDE SERVICES
$231956
$2,488
$21,469
896%
$47,912
$24,378
$23,535
49.1%
$287,550
8.5%
MATERIALS & SUPPLIES
$47,738
$60,458
($12,720)
-266%
$95.476
$81,431
$14,045
14.7%
$693.000
118%
OTHER EXPENSES
$38,447
$18,705
$19,741
51.3%
$172.228
$130.902
$41.326
240%
$833,590
157%
PLANT OPERATIONS Total Expenses
$2,215,329
$2,2009592
$14,737
0.7%
$4,245,527
$4,0849976
$1609551
3.8°%
$27,022,734
15.1%
Fund #001 - Total Expenses
$2,215,329
$2,200,592
$14,737
0.7°%
$4,245,527
$4,0840976
$1609551
3.8°%
$27,022,734
15.1%
Color Key: 0 to 19a r, over budget > 1 D°.,, over budget
October 5, 2017 Regular Board Meeting Agenda Packet - Page 29 of 196
Central Contra Costa Sanitary District
Expense Report - By Department MTD
Fund:
001 - RUNNING EXPENSE (O&M)
August 2017 Fiscal Period 02/2018
Rsport Generated on Sep 14, 20'1 7 9:34:06 AM
Department:
PUMP STATIONS
SALARIES & WAGES
$79,751
$81.452
($1.701) -2.1°%
$159,502
$162,719
($3,217)
-2.0°/0
$9571027
17.0%
EMPLOYEE BENEFITS
$56,211
$62.615
($6,404) -114%
$112,422
$124.,411
($11,989) =$674,547
18.41°
CAPITALIZED ADM OVERHEAD
$0
$0
$0 00%
$0
$0
$0
00%
$0
0.0%
CHEMICALS
$25,000
$30.956
($5,956) -23.8%
$50.000
$30,956
$19,044
38.1%
$300,000
10.3%
UTILITIES
$42,345
$50,396
($8-051) -19.0%
$84,690
$48,714
$35..976
42.5%
$508150
9.6°%
REPAIRS & MAINTENANCE
$26..358
$6,920
$19,438 737%
$34,716
$8,930
$25.786
743%
$316,300
2.8°%
HAULING & DISPOSAL
$733
$829
($96) -13.0%
$1466
$1.544
($78)
-53%
$8,800
17.5%
OUTSIDE SERVICES
$6,683
$2,730
$3,953 59.2%
$13,366
$5,180
$8,186
61.2%
$80,200
6.5°%
MATERIALS & SUPPLIES
$3,466
$995
$2,471 713%
$6,932
$1,414
$5,518
796%
$41.600
3.4%
OTHER EXPENSES
$2.761
$5,465
($2,704) -97.9°°
$5,522
$6,258
($736) =$33,171
189%
PUMP STATIONS Total Expenses
$243,308
$242,357
$951 0.4°%
$468,616
$390,126
$78,490
16.7°%
$2,919,795
13.4°%
Fund #001 - Total Expenses
$243,308
$242,357
$951 0.4°%
$468,616
$390,126
$78,490
16.7°%
$2,919,795
13.4%
Color Key: 0 to 10% over budget > 10% over budget
October 5, 2017 Regular Board Meeting Agenda Packet - Page 30 of 196
Central Contra Costa Sanitary District
Expense Report - By Department MTD
Fund: 001 - RUNNING EXPENSE (O&M)
Report Generated on Sep 14, 2017 9:34:06 AM August 2017 Fiscal Period 0212018
Department: RECYCLED WATER
SALARIES & WAGES
$34,755
$35,173
($418)
-1.2%
$69,510
$61,508
$8,002
11.5%
$417,090
14.7%
EMPLOYEE BENEFITS
$27,874
$25,291
$2,583
93%
$55,748
$46,409
$9,339
168%
$334,528
13.9%
CHEMICAL'S
$6,999
$11,917
($4,918)
-703%
$13,998
$20.033
($6,035)
=$84,000
23.8°/0
UTILITIES
$14,583
$16,552
($1,969)
-13.5%
$29,166
$16.461
$12,705
43.6%
$175,000
94%
REPAIRS & MAINTENANCE
$2,415
$0
$2,415
100.0%
$4,830
$0
$4,830
100.0%
$29,000
00%
PROFESSIONAL & LEGAL SERV
$1,166
($14,864)
$16,030
1.3748%
$2,332
($14,864)
$17,196
7374%
$14,000
-106.2%
OUTSIDE SERVICES
$16,873
$1,221
$15,652
92.8%
$21.746
$1,221
$20,525
944%
$202.500
06%
MATERIALS & SUPPLIES
$488
$42
$446
913%
$976
$42
$934
957%
$51900
0.7%
OTHER EXPENSES
$1,136
$75
$1,061
934%
$2,272
$75
$2,197
967%
$56.624
0.1%
RECYCLED WATER Total Expenses
$905,289
$75,408
$30,881
29.1%
$200,578
$130,885
$69,692
34.7%
$1,3181642
9.9%
Fund #001 - Total Expenses
$105,289
$75,408
$30,881
29.1°
$200,578
$1301886
$69,692
34.7%
$1,318,642
9.9%
Color Key: 0 to 10% over budget > 10% over budget M
October 5, 2017 Regular Board Meeting Agenda Packet - Page 31 of 196
Page 13 of 32
`i
Central Contra Costa Sanitary District
Balance Sheet
Fund. 001 - RUNNING EXPENSE (08M)
August 2017 Fiscal Period 212018
Summarized by Account
Report Generated on Sep 14, 2017 9 2054 AM
TOTAL ASSETS
Current Assets
CASH ACCOUNTS I CASH
S16.576928
CASH ACCOUNTS I PAYROLL CLEARING
$20000
CASH ACCOUNTS f PETTY CASH
$3.400
DUE FROM y DUE FROM S� C
$1,246613
INVENTORY! SUPPLIES 8 MATERIAL INV
$2,050.445
PREPAID ACCOUNTS f PREPAID CAFETERIA PLAN
$46 1D4
PREPAID ACCOUNTS PREPAID EXPENSES
$970 119
PREPAID ACCOUNTS PREPAID INSURANCE
$431200
PREPAID ACCOUNTS ,' PREPAID RETIREMENT
$15983.258
RECEIVABLE ACCOUNTS AIR -SSC DIRECT BILL
52,249
RECEIVABLE ACCOUNTS: ACCOUNTS RECEIVABLE
$52❑ 774
RECEIVABLE ACCOUNTS + ACCOUNTS RECEIVABLE -COBRA
$6.244
RECEIVABLE ACCOUNTS + COMPUTER PURCHASE PROGRAM
$9,467
RECEIVABLE ACCOUNTS DEPOSITS TO BANK ESCROW
$100243
RECE VABLE ACCOUNTS OVERTIME INSPECTION AIR
52.759
Current Assets
$38,969,403
Net Property, Plant and Equipment
CONTRIBUTED FIXED ASSETS � ACC DEPR-CONTRIB ASSETS
(359 361 001)
CONTRIBUTED FIXED ASSETS ;CONTRIBUTED SEWER LINES
$157791 729
FIXED ASSETS - C I P 1 CONSTRUCTION IN PROGRESS
$33388,571
FIXED ASSETS 1 ACC DEPR. BUILDINGS
($12.876.506)
FIXED ASSETS 1 ACC DEPR-FURN & EQUIP
($9 260.262)
F, XED ASSETS 1 ACC DE PR -OUTFALL
($3,616.981)
FIXED ASSETS I ACC DEPR-PUMPING STATIONS
(333,104,637)
FIXED ASSETS 1 ACC DEPR-SEWAGE COL SYS
($68 942 764)
FIXED ASSETS I ACC DEPR-TREATMENT PLANT
(3220.382.148)
FIXED ASSETS 1 ACC DEPR-VEHICLES
(34.853 858)
FIXED ASSETS 1 ACCUM DEPRC-RECY WATER
(38 866 352)
FIXED ASSETS 1 BUILDINGS
$44238,508
FIXED ASSETS 1 FURNITURE 8 EQUIPMENT
$14012834
FIXED ASSETS I INTANGIBLE ASSETS
$4941 707
FIXED ASSETS 1 LAND
$17320570
FAXED ASSETS I OUTFALL SEWERS
$11371 574
FIXED ASSETS 1 PUMPING STATIONS
$57.278141
FIXED ASSETS I RECY WATER INFRASTRUCTURE
$20,292366
FIXED ASSETS 1 SEWAGE COLLECTION FACIL
$351.503 802
FIXED ASSETS 1 TREATMENT PLANT
$333 962 356
FIXED ASSETS /VEHICLES
$7,614 982
Net Property, Plant and Equipment
$632,452,631
TOTAL ASSETS $671,422,034
TOTAL LIABILITIES AND FUND EQUITY
Total Liabilities
ACCOUNTS PAYABLE.e SALES TAX PAYABLE
($2706)
CURRENT LIABILITIES i ACCOUNTS PAYABLE
($182375)
CURRENT LIABILITIES! ACCRUED COMPENSATED ABS
($4,558.757)
CURRENT LIABILITIES iACCRUED WAGES PAYABLE
($1153,451)
CURRENT LIABILITIES f CAFETERIA PLAN PAYABLE
($48,788)
CURRENT LIABILITIES; MISC DEPOSITS;LIAB�LITrES
($108.539)
CURRENT LIABILITIES •' OTHER PAYROLL WITHHOLDING
�S6,258)
CURRENT LIABILITIES PERMIT CLEARING
($39)
CURRENT LIABILITIES �' REFUNDABLE DEPOSITS
x$35.580)
CURRENT LIABILITIES .' RETIREMENT CONTRIB WH
($1,755 516)
October 5, 2017 Regular Board Meeting Agenda Packet - Page 32 of 196
Page 14 of 32
4
Central Contra Costa Sanitary District
- x
Balance Sheet
Fund: 001 - RUNNING EXPENSE (08M)
August 2017 Fiscal Period 212018
Summarized by Account
Report Generated on Sep 14. 2017 9 20 54 AM
CURRENT LIABILITIES WORKERS COMP INS PAYABLE
($69300)
DEF COMP CONTRI6 W'H : ICMA
$5000
DISE TO ,° DUE TO S -C
($32 535 482)
DUE TO r DUE TO Sr 1
($585000)
LIABILITIES - LONG TERM PENSION -INFLOW., OUTFLOW
{$88,679.765)
LI ABI LIT ES -- LONG TERM POST EMP BENEFIT -PENSION $3,359.000
MEDICAL LIABI L;TIES ; DISABILITY INS
($192)
MEDICAL LIABILITIES + LIFE INS
$0
MED CAL LIABILITIES OCCUPATIONAL HEALTH
$1.086
MEDICAL LIABILITIES POST EMP BENEFIT-OPEB
($164.428)
REIMBURSEMENT FEES
($77 8725
Total Liabilities ($126,608,961)
Total Fund Equity
FUND EQUITY i AVAILABLE FUND BALANCE
(527.216.570)
FUND EQU-TY r CAPITAL COST SHARING
(5108,691,757)
FUND EQUITY; CONTRIBUTED SEWER LINES
(5157.791,729)
FUND EQUITY EXP END, TURE SUMMARY
$14.868,321
FUND EQUITY. -GENERAL FIXED ASSET GROUP
($190.206,773)
FUND EQUITY , STATE S FED CA P,TAL GRANT
(575 301,279)
YEAR TO DATE REVENUES a REVENUE SUMMARY
($473,287)
Total Fund Equity ($544,813,073)
TOTAL LIABILITIES AND FUND EQUITY (3679,427,034)
October 5, 2017 Regular Board Meeting Agenda Packet - Page 33 of 196
CENTRAL CONTRA COSTA SANITARY DISTRICT
September 14, 2017
TO: THE BOARD OF DIRECTORS
VIA: THEA VASSALLO�
FROM: JAMIE KING
1
SUBJECT: Sewer Construction ariance Analysis
The following are brief year-to-date Variance explanations through period ending August, 2017.-
YTD
017:
YTD YTD Favl(Unfav)
SIC Revenues: Budgeted Actual Variance Explanation
Received $1,744,407 capacity fee from Sunset
Development for Bishop Ranch City Center project in San
Total 11210,076 31100,954 11890,878 Ramon
FY YTD FY
SIC Expenses_ Budget * Actual Remaining % Spent
Total 46,471,559 21820,219 43,6511340
' Includes 16/17 carry -aver ($4,497,559)
October 5, 2017 Regular Board Meeting Agenda Packet - Page 34 of 196
Central Contra Costa Sanitary District
r
Revenue Report MTD
Fund: 002 - SEWER CONSTRUCTION (Capital)
August 2017 Fiscal Period 212018
Report Generated on Sep 14, 2017 9:29:51 AM
Activity Basic Account: 30 REVENUE
Account Formatted
Account Number Description
002-0000-300 15-00
MAIN LINES INSPECTION
002-0000-300.16-00
PLAN REVIEW
002-0000-300.19-00
OVERTIME INSPECTION
002-0000-300 23-00
SEWER SVC CHRG-COUNTY
002-0000-300.38-00
RECYCLED WATER
002-0000-300 40-00
FACILITIES CAPACITY FEES
002-0000-300 42-00
PUMP ZONE FEES
002-0000-300.44-00
CAPACITY USE CHARGE
002-0000-300 45-00
INTEREST INCOME
002-0000-300 46-00
TAX REVENUE
002-0000-300 54-00
OTHER GOVT REV -CONCORD
002-0000-300.60-00
MISCELLANEOUS INCOME
002-0000-300 61-26
CAD -ST MARY'S ROAD
002-0000-300 61-27
SMITH RD
Total Revenue
$3,837
MTD Estimate MTD Actual MTD Variance MTD %Rev YTD Estimate YTD Actual YTD Variance YTD °%Rev Annual Estimate Annual %Rev
$16,500
$38,834
$22,334
1354%
$33,000
$41.763
$8,763
266%
$198,000
21.1%
$7.833
$14,989
$7,156
91.4°%
$15.666
$23,961
$8,295
52.9%
$94,000
255%
$1.833
$1,446
($387)
-21.1%
$3,666
$2.090
($1,577)
-43.0%
$22.000
95%
$0
$3,837
$3,837
0.0%
$0
$70045
$7.045
00%
$13,967,300
01%
$3,208
$0
($3,208)
0.0%
$6,416
$0
($6,416)
0.0%
$38,500
0.0%
$491,666
$1,955,724
$1,464,058
2978%
$983,332
$2,397,120
$1,413,788
143.8%
$5,900.000
406%
$42,750
$516,987
$474,237
1,109.3%
$85,500
$527,795
$442.295
517.3%
$513,000
102.9%
$8,916
$0
{$8,916}
00%
$17t832
$0
($17,832)
00%
$107,000
00%
$32,166
$43,410
$11.244
35.0%
$64,332
$80,255
$15,923
24.8%
$386,000
208%
$0
$0
$0
00%
$0
$0
$0
00%
$12.100.000
0.0%
$0
$0
$0
0.0°0
$0
$0
$❑
0.0%
$6.000.000
0.0°%
$166
$0
($166)
0.0%
$332
$0
($332)
0.0%
$2,000
❑ 0%
$0
$14,516
$14,516
0.0%
$0
$14516
$14,516
0.0%
$0
0.0%
$0
($7.303)
($7,303)
00%
$0
$13,454
$13,454
00%
$0
00%
$605,038
$2t582,441
$7,977,403
326.8°%
$19210076
$3,107,998
$1,897,922
156.8'
$399327,800
7.9°%
October 5, 2017 Regular Board Meeting Agenda Packet - Page 35 of 196
PROGRAM /GM185L4 - Modified in Excel
CAPITAL IMPROVEMENT_ BUDGET REPORT
ACCOUNTING F
CENTRAL CONTRA COSTA SANITARY DISTRICT
s
PERIOD
ENDING: 8/30/2017
}
PERIOD 2/2018
A
B
C(A-B)
D E
F (C+D+E)
G
H IF-G)
PROJECT
TOTAL
TOTAL
FY 2017-18 BUDGET
APPROVED
TOTAL
TOTAL
PROD BUDGETS
EXPENDITURES
_ _PROJECT
APPROVED ADJUSTMENTS
EXPENDITURES
SPENT IN REMAINING BUDGET
NO PROJECT TITLE PYS (THRU FYE 16-17) PYS (THRU FYE 16-17)
CARRY-FORWARD
BUDGET FY 2017-18
FY 2017-18
FY 2017-18
FY 2017-18
TYPE CS Collection System $ 24,288,836
24,390,980
(102,144)
17,692,000 - I
17,589,856 V
1,618,0261
15,971,839
,TYPE TP Treatment Plant 15,997,774
12,659,512
3,338,262
18,045,000 -
21,383,262:
1,125,5461
20,257,712 s
TYPE GI General Improvements 6,692,737
5,494,908
1,197,829
4,277,000 -
5,474,829
72,322
5,402,504 ,
TYPE RW Recycled Water 522,894
459,28Z
63,612
460,000 -
523,612
4,325
519,291
CIB. Contingency -
-
-
1,500,000 . -
1,500,000
-
1,500,000
TOTAL DISTRICT - $ 47,502,241 $
43,004,68Z
$ 4,497,559 $
41,974,000 $ -
$ 46,471,559
$ 2,820,219 $
43,6518346
**8422 See Footnote CS
8001000
e
FY 2017-18 CIB Budget
42,774,000
A Represents all Board approved open projects at FYE 2016-17 in Sungard
B Includes all prior years and FY 2016-17 expenditures to date
C Represents remaining projects open and unspent at the beginning of FY 2017-18 .
D FY 2017-18 CIB budget approved by the Board June 1, 2017
E Shows reclasses of budget authorized by GM
F Includes PY open projects carryforward, CY Board approved budget, and transfers
—
G Actual spent in FY 2017-18 on all approved active projects
H Approved open projects less actual spend this FY
N:\Accounting/GMTEMP1\Financials and Closing\2018 Financials\Capital Project report - FY 17 18 Aug 17
October 5, 2017 Regular Board Meeting Agenda Packet - Page 36 of 196
PROGRAM /GM1851.4 - Modified in Excel CAPITAL IMPROVEMENT BUDGET REPORT ACCOUNTING
CENTRAL CONTRA COSTA SANITARY DISTRICT PERIOD ENDING: 8/30/7,017 PERIOD 2/2018
N:/Accounting\GMTEMP1\Financials and Closing\2018 Financials\Capital Project report - FY 17 18 Aug 17
October 5, 2017 Regular Board Meeting Agenda Packet - Page 37 of 196
G
H (F -G)
A
T B
C(A-8)
D E
F (C+D+Ej
OJECT
TOTAL
TOTAL
FY 2017-18 BUDGET
APPROVED
56,814 !
PROD
406,650
rBUDGETS
EXPENDITURES
PROJECT
APPROVED ADJUSTMENTS
EXPENDITURES
NO
PROJECT TITLE
U FYE 16-17)
PYS (THRU FYE 16-17)
CARRY -FORWARD
BUDGET FY 2017-18
FY 2017-18
TYPE CS Collection System
1,605
(6,170)
G
700,000
�
*5941
PS Equipment Piping Replacement
925,000
856,171
68,829 {
68,829
5991
PH Sewer Renovation Phase 2
300,004
263,899
36,101
`
160,000
196,101
6602
South Jackson CAD
333,867
1
318,466
15,4€11 �
-
15,401 N
6603
North Jackson CAD
-
-
-
} 400,000
400,000
I 8412
PH Grayson Creek Trunk
12,721,629
12,869,569
(147,940) {
800,000
652,060 i
*8417
Survey Monument Install
250,000
231,550
18,450
18,450
i
I 8419
Collection System Planning LT
670,000
662,077
7,923
200,000
207,923 +
*8420
Development Sewerage e _ _
4,371,102
4,190,458
180,644 {
-
180,644
**8422
WC Sewer Renovation Phase 11
2,369,000
3,003,494
(634,494)
1,381,000
746,506
8430
Lafayette Sewer Renovation Phase 11
700,000
696,839
3,161
3,717,000
3,720,161
8433
S. Orinda Sewer Renovation Phase 6
102,238
51,996
_ 50,242
1,500,000 i
1,550,242
8434
Urgent Projects
316,000
244,157
71,843
100,000 I
171,843
8435
WC Sewer Renovation Phase 12
-
-
-
1,000,000
1,000,000
8436
Moraga/ Crossroads PS Project
450,000
220,855
229,145
850,000
1,079,145 i
8437
Martinez Sewer Renovation Phase 5
685,000
681,884
3,116
3,470,000
3,473,116
*8439
Miner Rd Sewer Repairs 2017
95,000
99,565
(4,565)
-
(4,565) 9
8440
Pipe Bursting Contract 17-20
-
•
-
700,000
700,000
8441
CIPP Contract 17-20
-
-
-�
300,000
300,000
8442
PS Equipment Piping Replacement PH2
r
m
- _
36,000
36,000
8443
LG Diameter Pipe line Inspection
i -
-
-
200,000
200,000
8444
Force Main Inspection Programp
!
_
75,000
75,000
8445
N. ❑rinda Sewer Renovation
I _
r
=
636,000
636,000
p 8446
Lafayette Sewer Renovation Phase 12
-
-
-
636,000
636,000
8447
Pump Station Security Improvement
-
-
131,000
131,000
8448
Manhole Modifications
- i
-
-
400,000
400,000
8449
Collection System Modeling support
-
-
-
100,000
100,000
8450
Development Sewerage Support
-
-
400,000
400,000
8451
C. S. Sewer Renovation
-
500,000
500,000
Rounding
Total FY 2017-18 CS Amount
$ 24,288,836
24,390,980
(102,144)
17,6920000 -
- 17,589,856
W Italk
Projects open but not in CIB for 17118
** 8422
17/18 Approved budget was decreased by $BOOK, as a result of position paper G.f. July 6, 2017. Approved
use of sewer construction funds in 16/17.
N:/Accounting\GMTEMP1\Financials and Closing\2018 Financials\Capital Project report - FY 17 18 Aug 17
October 5, 2017 Regular Board Meeting Agenda Packet - Page 37 of 196
G
H (F -G)
-
TOTAL
TOTAL
400,000
SPENT IN
REMAINING BUDGET
1
4,212
FY 2017-18
FY 2017-18
177,486
68,829
5,784
190,317
-
15,401
G
400,000
106,865
545,195
4,212
14,238
30,437
177,486
56,814 !
1230830
406,650
339,856
470,363
3,249,798
72,117
1,478,125
-
171,843
33,974
966,026
42,157 !
1,036,988
288,505
3,184,611
1,605
(6,170)
I
700,000
300,000
-
36,000
200,000
75,000
54,099
581,901
11,100
624,900
131,000
400,000
10,882
89,118
22,462
377,538
500,000
9
1,618,026
15,971,839
PROGRAM /GM185L4 - Modified in Excel
CAPITAL IMPROVEMENT BUDGET REPORT
ACCOUNTING
CENTRAL CONTRA COSTA SANITARY DISTRICT
_ PERIOD ENDING. 8/30/2017
TYPE TP Treatment Plant
PERIOD 2/2018
A
B C(A-B) D
E
F� C+D+E}
G
H F -G
PROJECT
TOTAL TOTAL FY 2017-18
BUDGET
APPROVED
TOTAL
TOTAL
_
PRO! _ v
BUDGETS
EXPENDITURES PROJECT APPROVED
1
ADJUSTMENTS
I 1
EXPENDITURES
SPENT IN
REMAINING BUDGET
7292
NO PROJECT TITLE
PYS (THRU FYE 16-17)
PYS (THRU FYE 16-17) CARRY -FORWARD BUDGET
FY 2017-18
FY 2017-18
FY 2017-18
FY 2017-18
350,000
* Itahc Projects open but not in CIB for 17118
N:\Accounting\GMTEMP1\Financials and Closing\2018 Financials/Capital Project report - FY 17 18 Aug 17
October 5, 2017 Regular Board Meeting Agenda Packet - Page 38 of 196
TYPE TP Treatment Plant
7291
Pump & Blower Bldg. Seismic Upgrade
4,424,000 I
3,277,948
_
1,146,052
-
2,358,000
3,504,052
448,175
j
3,055,877
7292
Switchgear Refurbishment - Ph. 2
420,000
419,246
,
754
350,000
350,754.
6,454
344,300
7304
Instr & Controls PLC Upgrade
435,000
331,490
103,510 ,
140,000
243,510:
457
243,053
*7311
TP Safety Enhancement Ph. 4
490,000
339,073 °
150,927 ,
-
150,927
I
i
150,927
7314
Urgent Repairs
115,000
6,487
108,513
750,000 -
358,513
j
358,513
7315
Applied Research and Innovations
257,274
8
250,870
6,404
300,000 -
306,404
I
306,404
7317
Plant Control System Network Upgrades
260,000
194,556
65,444
70,000 -
135,444 I
1,834
133,610
*7319
Laboratory Upgrades & Repair
1,241,500
I
1,235,462
6,038
- -
6,038-
6,038
7320
Plant Energy Optimization
718,000 I
390,230
327,770 i
376,000 -
703,770
21,733
682,037
7322
Fire Protection System Ph. 2
_
840,000
338,017
_
501,983
360,000 -
861,983
11,723
_
850,260
7326
Equipment Replacement FY 15 -FY 24
866,000
474,323
391,677
300,000
691,677
47,335
°
644,342 I
7327
Headwork's Screening Upgrade
2,500,000
2,694,774
(194,774)
5,644,000
5,449,226 r
152,692
5,296,534
7328
Influent Pump Electrical improvements
-
-
-
100,000 -
100,000 I
100,E
7329
MHF Burner Upgrade
370,000
128,595 ,
241,405
400,000 -
641,405
2,194
639,211
7330
Piping Renovation Phase 9
241,000
237,847
3,153
1,075,000 -
I 1,0780153
47,077
1,031,076
7339
T. Plant Control System 1/0 Replacement
320,000
105,340
214,660
150,000 -
364,660
,
4,586
360,074
7341
WC/Grayson Creek Levee Rehab
150,000
-
150,000
100,000 -
250,000
I
250,000
7348
Solids Handling Facility Improvements
2,350,000
2,235,254
114,746
2,625,000 -
2,739,746
355,416
2,384,330
7349
Aeration & Energy Upgrade
-
-
300,000 -
300,000
-
300,000
7351
Mechanical & Concrete Renovation
-
560,000
560,000 ;
560,000
7352
UV Disinfection Upgrades
_ -
-
400,000
i 400,000 !
400,000
7353
-Outfall Improvements Ph. 7
-
-
-
100,000 -
100,000 !
100,000
7354
TP Security Improvements
-
-
87,000
87,000 I
87,000
7355
Odor Control Upgrade Ph_ 1
-
-
-
150,000 -
150,000
150,000
7357
Plant Wide Instrumentation Upgrade
- -
_
-
100,000
I 100,000
-
100,000
7358
Innovation Bioenergy Demo
_
-
-
200,000 - -
_ 200,000 I
200,000
7359
Solids Conditioning Bldg. roof replacement
-
-
500,000 _
500,000
500,000
7360
Existing Plant Facility Drawing
-
-
-
100,000 -
_ 100,000
100,000
7362
PDB Seismic Upgrades
-
400,000
400,000
400,000
7363
'Treatment Plant Planning
-
-
W
_ 450,000 -
450,000
25,870
424,130
7364
TP Safety Enhancement Ph. 5
-
-
-
100,000
_ 100,000
100,W0
Rounding
4
Total FY 2017-18 TP Amount $
15,997,774
12,659,512
3,338,262
1880450004 -
21,383,262
1,125,546
20,257,712
* Itahc Projects open but not in CIB for 17118
N:\Accounting\GMTEMP1\Financials and Closing\2018 Financials/Capital Project report - FY 17 18 Aug 17
October 5, 2017 Regular Board Meeting Agenda Packet - Page 38 of 196
PROGRAM /GM285L4 - Modified in Excel CAPITAL IMPROVEMENT BUDGET REPORT ACCOUNTING
CENTRAL CONTRA COSTA SANITARY DISTRICT PERIOD ENDING: 8/30/2017 PERIOD 7/2018
N:/Accounting/GMTEMP1\Financals and Closingj2018 Financials\Capital Project report - FY 17 18 Aug 17
October 5, 2017 Regular Board Meeting Agenda Packet - Page 39 of 196
A
B
C(A-B)
D E
F (C+D+El
G
H F -G
PROJECT
TOTAL
TOTAL
FY 2_017-18 BUDGET
APPROVED
TOTAL
TOTAL
PROJ
I
BUDGETS-
EXPENDITURES
PROJECT
APPROVED ADJUSTMENTS
EXPENDITURES
SPENT IN
REMAINING BUDGET
NO
PROJECT TITLE
PYS (THRU HE 16-17)
PYS (THRU FYE 16-17)
CARRY -FORWARD
BUDGET FY 2017-18
FY 2017-18
FY 2017-18
FY 2017-18
TYPE GI General ImpL ve_nents
!
8207
'General Security and Access
$ 127,616
106,224
o 21,392
67,000' -
88,392 ,
88,392
8227
GDI Treatment Plant
265,000
252,235
12,765 ;
160,000
-
172,765
22,174
150,591
8230
!Capital legal Services
138,665
132,383
6,282
20,000
-
26,282
(6,666)
32,948
8236
District Easements
158,047
157,210
837 ,
50,000 -
50,837
737 ,
50,100
8238
Asset Management
2,019,185
2,029,216.
(10,031)
950,000 -
939,969
c 28,045
911,924
8240
IT Development
_ 2,418,794
1,612,282
0
806,512
730,000
1,536,512
18,114
1,518,398
8243
Server Room Relocation
455,430
198,574
256,856
1,000,000
1,256,856
8,568
1,248,288
l
8247
Property & Building Improvements
-
-
I -_
-
400,000
400,000 i
1,350
398,650
8248
Cyber Security _
_
- _
-
75,000
75,000
f
75,000
8516
District Equipment Acquisition
526,000
521,511
4,489
150,000
-
154,489 r
154,489
8517
Vehicle Replacement Program _
524,000
482,088
41,912
675,000
-
716,912
716,912
9999
Capital Project Clearing (Accounting Use Only)'i
60,000
3,185
56,815
_
-
56,815
56,815
Rounding(3)
Total FY 217-18 GI Amount
$ 6,692,737
50494,908
10197,829
4,277,000 -
5,474,829
72,322
5,402,544
N:/Accounting/GMTEMP1\Financals and Closingj2018 Financials\Capital Project report - FY 17 18 Aug 17
October 5, 2017 Regular Board Meeting Agenda Packet - Page 39 of 196
PROGRAM /GM185L4 - Modified in Excel CAPITAL IMPROVEMENT BUDGET REPORT ACCOUNTING
CENTRAL CONTRA COSTA SANITARY DISTRICT PERIOD ENDING. 8/30/2017 PERIOD 2/2018
PROD
NO PROJECT TITLE
A
PROJECT
BUDGETS
PYS (THRU FYE 16-17)
B
TOTAL
EXPENDITURES
PYS (THRU FYE 16-17)
C(A-B)
TOTAL
PROJECT
CARRY -FORWARD
D.
FY 2017-18
APPROVED
BUDGET
E
BUDGET
ADJUSTMENTS
FY 2017-18
F (C+D+E)
APPROVED
EXPENDITURES
FY 2017-18
G
H (F -G)
TOTAL
SPENT IN
FY 2017-18
TOTAL
REMAINING BUDGET
FY 201718
_ -
TYPE RW Recied Water
7306 Zone 1 Recycled Water
7346 Surge Analysis 16-17
7361 Filter Plant Improvments
Rounding
46.7,894
55,000
-
I
459,282
- P
-
8,612
55,000
30,000
100,000
330,000
38,612
155,000
330,000
4,325
34,287
155,000
330,000
_ 4
Total FY 2016-17 RW Amount
_ _
$ 522 ,894
459,282
63,612
460,000
-
523,612
4,325
5190291
CONTINGENCY - ALL PROGRAMS
1,500,000
18500,000
1500 000
GRAND TOTAL
$ 47,502,241
43,004,682
4,497,559
41,9740000
-
45,471,559
2,820,219
43,551,346
N:\Accounting\GMTEMP1\Financials and Closing\2018 Financials\Capital Project report - FY 17 18 Aug 17
October 5, 2017 Regular Board Meeting Agenda Packet - Page 40 of 196
CENTRAL CONTRA COSTA SANITARY DISTRICT
SEWER CONSTRUCTION FUND
TEMPORARY INVESTMENTS
AUGUST, 2017
(4) 322880,417 44,000,000 (11,000,000) 33,000,000 32,984,426 100.00% 43,092.55 27,648.32 70,740.87
(3) (S) (6)
9,195.86 9,195.85
43 092.55 36 ,844.18 79 936.73
NOTE: (1 ) Annual Yield of Local Agency Investment Fund (LAIF) varies with the composition of the Fund.
The estimated yield as of August, 2017 was 01.086%.
(2) The face value indicates the value of the investment if held until maturity, which is the usual District practice.
(3) The weighted average yield of the total Sewer Construction portfolio Is 0.972%.
(4) The market value of the portfolio on August 31, 2017 was $32,984,426.
GASB 31 requires adjusting investments to market value. The District will adjust annually, but report market values monthly.
(5) The District has sufficient funds available combined with secured SSC and Property Tax received in December and April to cover
six months of cash flow needs.
COMPLIANCE STATEMENT: All investments comply with the District's internal investment policy approved by the Board of Directors.
October 5, 2017 Regular Board Meeting Agenda Packet - Page 41 of 196
INVESTMENTS
cents omitted
INTEREST INCOME
DATE OF Days to
ANNUAL
CASH
B.O.M. PURCHASE
E.O.M.
E.O.M.
% of
CURRENT
B.O.M.
E.D.M.
NO.
ISSUER
TYPE
PURCHASE
MATURITY Maturity
YIELD
OUTLAY
FACE VALUE (MATURITY)
FACE VALUE
MKT VALUE
Portfolio
MONTH
CUMULATIVE
CUMULATIVE
519
State of Calif.
LAIF
8186-2190
---- 1
(1 )
18,000,000
29,000,000 (11,000,000)
18,000,000
18,023,876
64.55%
23,959.18
25,598.33
49,557.51
914
US Gov't
T -Bill
12122/16
12107/17 97
0.84
4,9600139
5,000,000
59000,000
40986,860
15.15%
6,377.79
683.33
7,061.12
915
US Gov't
T -Bill
12122/16
12/07/17 97
0.84
4,960,139
5,000,000
5,000,000
4,986,850
15.15%
6,377.79
583.33
7,061.12
916
US Gov't
T -Bill
12122/16
12/07/17 97
0.84
4,960,139
5,000,000
5,000,000
4,986,850
15.15%
6,377.79
683.33
7,061.12
(4) 322880,417 44,000,000 (11,000,000) 33,000,000 32,984,426 100.00% 43,092.55 27,648.32 70,740.87
(3) (S) (6)
9,195.86 9,195.85
43 092.55 36 ,844.18 79 936.73
NOTE: (1 ) Annual Yield of Local Agency Investment Fund (LAIF) varies with the composition of the Fund.
The estimated yield as of August, 2017 was 01.086%.
(2) The face value indicates the value of the investment if held until maturity, which is the usual District practice.
(3) The weighted average yield of the total Sewer Construction portfolio Is 0.972%.
(4) The market value of the portfolio on August 31, 2017 was $32,984,426.
GASB 31 requires adjusting investments to market value. The District will adjust annually, but report market values monthly.
(5) The District has sufficient funds available combined with secured SSC and Property Tax received in December and April to cover
six months of cash flow needs.
COMPLIANCE STATEMENT: All investments comply with the District's internal investment policy approved by the Board of Directors.
October 5, 2017 Regular Board Meeting Agenda Packet - Page 41 of 196
Page 23 of 32
'40 -XII -Central Contra Costa Sanitary District
111111111 0=11
Balance Sheet
Fund; 002 - SEWER CONSTRUCTION (Capital)
August 2017 Fiscal Period 212018
Summarized by Account
Report Generated on Sep 14, 2017 9 20 54 AM
TOTAL ASSETS
Current Assets
CAD RECEIVABLE ; AVAD - ALHAMBRA VLY AR
CASH ACCOUNTS CASH
CASH ACCOUNTS TEMPORARY INVESTMENTS
DUE FROM r DUE FROM DEBT FUND
DUE FROM ; DUE FROM RIE
RECEIVABLE ACCOUNTS I ACCOUNTS RECEIVABLE
RECEIVABLE ACCOUNTS r ACCRUED INTEREST AIR
RECEIVABLE ACCOUNTS j CAD RECEIVABLE
$1 094 047
55.237.534
$33.000000
$3105753
$32535482
$62605
S49558
$217778
Current Assets $75,302,756
Net Property, Plant and Equipment
FIXED ASSETS - C I P I CONSTRUCTION IN PROGRESS $2820209
Net Property, Plant and Equipment $2,820,209
TOTAL ASSETS $78,122,965
TOTAL LIABILITIES AND FUND EQUITY
Total Liabilities
ACCOUNTS PAYABLE r SALES TAX PAYABLE
CURRENT LIABILITIES, ACCOUNTS PAYABLE
CURRENT LIABILITIES ; PROJECT RETENTION PAYABLE
CURRENT LIABILITIES REFUNDABLE CONST BONDS
DUE TO DUE TO DEBT FUND
DUE TO. DUE TO RIE
LIABILITIES UNEARNED INTEREST
(S2607)
($252241)
($757,734)
(5253,158)
($64,673)
($1 246 613)
($32.542)
Total Liabilities ($2,609,566)
Total Fund Equity
EXPENDITURE SUMMARY TRANSFER TO CIP
(52,820,2Q9)
FUND EQUITY I AVAILABLE FUND BALANCE
($72 405,401)
FUND EQUITY i EXPENDITURE SUMMARY
$2820.209
YEAR TO DATE REVENUES REVENUE SUMMARY
($3,107 998)
Total Fund Equity ($75,513,399)
TOTAL LIABILITIES AND FUND EQUITY ($78,122,965)
October 5, 2017 Regular Board Meeting Agenda Packet - Page 42 of 196
_ Central Contra Costa Sanitary District
Revenue Report MTD
Fund: 003 - SELF-INSURANCE
Report Generated on Sep 14, 2017 9:29.51 AM August 2011 Fiscal Period 212018
Activity Basic Account. 30 REVENUE
Account Formatted Account Number Description MTD Estimate MTD Actual MTD Variance MTD %Rev YTD Estimate YTD Actual YTD Variance YTD ° Rev Annual Estimate Annual %Rev
003-0000-301.45-01
INTEREST
$1,288
$1,322
$34
2.6%
$2, 575
$2.574
($2)
-01%
$15,462
16.6%
003-0000-303 45-01
INTEREST
$4,294
$4,411
$117
2.7%
$8,588
$8.590
$2
0.0%
$51,538
16.7%
003-0000-303.74-01
CONTRIBUTION FROM O&M
$0
$0
$0
00%
$585,000
$585,000
$0
0.0%
$585,000
100.0%
003-0000-303.75-01
INSURANCE RECOVERY - HHW
$0
$0
$0
0.0`x°
$0
$0
$0
00%
$75.000
00%
Total Revenue
$5,582
$5F733
$151
2.711,0
$596,164
$596,164
$0
0.0%
$727,000
82.0%
October 5, 2017 Regular Board Meeting Agenda Packet - Page 43 of 196
Central Contra Costa Sanitary District
Expense Report - By Department MTD
Fund: 003 - SELF-INSURANCE
August 2017 Fiscal Period 0212018
Report Generated on Sep 14, 2017 9:34:66 AM
$40,000
$30,000
$20,000
$10,000
($10,000)
Totals
0 Period Budget
Q Period Actual
$800.000
$600,000
$400.000
$200.000
Period Budget Period Actual Period Variance
$30x 124 ($1,919) $32,043
$30,124 ($1,919) $32,443
��R
YTD Budget YTD Actual YTD Variance
$635,248 $5291801 $105,447
$6359248 $529,801 $105,447
October 5, 2017 Regular Board Meeting Agenda Packet - Page 44 of 196
YTD Budget`%
❑ YTD Actual
Central Contra Costa Sanitary District
Expense Report - By Department MTD
Fund: 003 - SELF-INSURANCE
August 2017 Fiscal Period 02/2018
Report Generated on Sep 14, 2017 9:34:06 AM
Department:
41
INSURANCE & OTHER EXP
$1.375
$0
$1,375
1000%
$577,750
$531,173
$46,577
8.1%
$591,500
89.8%
GENERAL & AUTO LIABILITY
$28,749
{$519}
$29.268
101.8%
$57.498
$29
$57,469
100 0%
$345,000
0011/1)
EMP RELATED & POLLUTION
$0
($1,.401)
$1.401
00%
$0
($1,401)
$1,401
00%
$0
00%
Total Expenses
$30,124
($1,919)
$32,043
105.4%
$535,248
$5299801
$105,447
15.6%
$936,500
58.6%
Fund #003 - Total Expenses
$30,124
($1,919)
$32,043
105.4%
$5359248
$529,801
$105,447
15.6%
$9359500
55.6%
Calor Key: 0 to 10040 over budget > 10% over budget i
October 5, 2017 Regular Board Meeting Agenda Packet - Page 45 of 196
CENTRAL CONTRA COSTA SANITARY DISTRICT
SELF-INSURANCE FUND
TEMPORARY INVESTMENTS
AUGUST, 2017
INVESTMENTS
(cents omitted)
INTEREST INCOME
DATE OF
Days to ANNUAL
CASH
B.O.M. PURCHASE
E.O.M.
E.O.M
% of
CURRENT
B.O.M.
E.D.M.
NO. ISSUER TYPE PURCHASE MATURITY Maturity YIELD
OUTLAY
FACE VALUE (MATURITY)
FACE VALUE
VALUE
Portfolio
MONTH
CUMULATIVE
CUMULATIVE
_
-MKT
519 State of Calif. LAW 10/99- ------- 1 (1)
6,000,000
6,000,000
60000,000
6,007,959
100.00°
5,713.34
50430.65
19,143.99
(3)
6,000,000
6,OOO,D00 0
6,000,000
69007,959
100.00%
5,713.34
5,430.65
11,743.99
(2)
0.00
5,713.34 5,430.65 11,143.99
NOTE: (1) Annual yield of Local Agency Investment Fund (LAIF) varies with the composition of the Fund.
The estimated yield as of August, 2017 was 1.085°x.
(2) The face value indicates the value of the investment if held until maturity, which is the usual District Practice.
(3) The weighted average yield of the total Self -Insurance portfolio is 1.085%.
(4) The market value of the portfolio on August 31, 2017 was $6,007,959.
COMPLIANCE STATEMENT:
All investments comply with the District's internal investment policy approved by the Board of Directors.
October 5, 2017 Regular Board Meeting Agenda Packet - Page 46 of 196
Page 28 of 32
Central Contra Costa Sanitary District
Balance Sheet
Fund: 003 - SELF-INSURANCE
August 2017 Fiscal Period 212018
Summarized by Account
Report Generated on Sep 14, 2017 9-20 54 AM
TOTAL ASSETS
Current Assets
CASH ACCOUNTS: CASH $135981
CASH ACCOUNTS TEMPORARY INVESTMENTS $6,000.000
DUE FROM DUE FROM R: E $585000
RECEIVABLE ACCOUNTS; ACCRUED INTEREST AIR $11.144
Current Assets $6,732,125
TOTAL ASSETS $6,732,125
TOTAL LIABILITIES AND FUND EQUITY
Total Liabilities
CURRENT LIAR LITIES , ACCOUNTS PAYABLE $0
CURRENT LIABILITIES , GASB10 ACTUARIAL RESERVE ($1.500.000)
Total Liabilities ($1,500,000)
Total Fund Equity
FUND EQUITY: EMPLOYMENT POLLUMON RISK ($5.DJ-0 0001
FUND EQUITY EXPEND+TURE SUMMARY $529.801
FUND EQUITY J INS PREMS-CLAIMS: LAWSUITS ($165762)
YEAR TO DATE REVENUES! REVENUE SUMMARY ($596,164)
Total Fund Equity (;5,232,125)
TOTAL LIABILITIES AND FUND EQUITY ($6,732,125)
October 5, 2017 Regular Board Meeting Agenda Packet - Page 47 of 196
Central Contra Costa Sanitary District
Revenue Report MTD
Fund: 004 - DEBT SERVICE
August 2017 Fiscal Period 212018
Report Generated on Sep 14, 2017 9:29:51 AM
Activity Basic Account: 30 REVENUE
Account Formatted Account Number Description
MTD Estimate
MTD Actual
MTD Variance
MTD %Rev
YTD Estimate
YTD Actual
YTD Variance
YTD %Rev
Annual Estimate
Annual %Rev
004-0000-300 45-53 2009 BOND INTEREST INCOME
$0
$0
$0
0.0%
$0
$0
$0
0 01010
$45,700
0.0°'U
004-0000-300 45-00 TAX REVENUE
$0
$0
$0
00%
$0
$0
$0
0011/0
$3;773,399
00%
Total Revenue
$0
$0
$0
0.0%
$0
$0
$0
0.0%
$3,8199099
0.0%
October 5, 2017 Regular Board Meeting Agenda Packet - Page 48 of 196
Central Contra Costa Sanitary District
Expense Report - By Department MTD
Fund: 004 - DEBT SERVICE
August 2017 Fiscal Period 02/2018
Report Generated on Sep 14, 2017 9:34;00 AM
$25U00
$200,000
$150,000
$100,000
$50,000
sn - - ---
Penod Budget f $250-000
❑ Penod Actual
$200,000
$150,000
$100,000
$50,000
$0
f Period Budget
Period Actual
Period Variance
YTD Budget
YTD Actual
YTD Variance
$214,517
$2141517
$0
$214,517
$214,517
$0
Totals $214,517
$2149517
$0
$2149517
$214,517
$0
October 5, 2017 Regular Board Meeting Agenda Packet - Page 49 of 196
0 YTD Budget
❑ YTD Actual
( SMW
Central Contra Costa Sanitary District
Expense Report - By Department MTD
Fund: 004 - DEBT SERVICE
Report Generated on Sep 14, 2017 9:34:06 AM August 2017 Fiscal Period 0212018
Department:
INTEREST EXPENSE
Total Expenses
Fund #004 - Total Expenses
Grand Total for All Funds
$214,517
$214,517
$0 ❑ ❑%
$214,517
$214.517
$0
�
0.�] ,��
$1,231,722
0
17 4l
$214,517
$214,517
$0 0.0%
$214,517
$214,517
$0
0.0%
$19231,722
17.4%
$214,517
$214,517
$0 0.0%
$214,517
$214,517
$0
0.0%
$1,231,722
17.4%
$7,527,926
$69898,333
$629,593 8.4%
$16,928,603
$15,812,639
$1,315,964
7.8%
$91,881,809
17.0%
Color Key: 0 to 10% over budget > 109/i over budget
October 5, 2017 Regular Board Meeting Agenda Packet - Page 50 of 196
Page 32 of 32
AIML.-Central Contra Costa Sanitary District
Balance Sheet
Fund: 004 - DEBT SERVICE
August 2017 Fiscal Period 212018
Summarized by Account
Report Generated on Sep 14, 2017 9 20 54 AM
TOTAL ASSETS
Current Assets
DUE FROM DUE FROM StC $64673
L T DEBT ACCOUNTING 1, DEPOSIT WITRUSTEE-RESERVE $4.858.450
L T DEBT ACCOUNTING I REVENUE BOND RESERVE CASH ($116)
RECEIVABLE ACCOUNTS + ACCRUED INTEREST AIR $10548
Current Assets $4,931,555
TOTAL ASSETS $4,931.555
TOTAL LIABILITIES AND FUND EQUITY
Total Liabilities
CURRENT LIABILITIES r RECYCLED WATER LOAN ;$182.377)
DUE TO � DUE TO SSC ($3105753)
LT DEBT ACCOUNTING BOND ACR - NTEREST PAYABLE $0
L T DEBT ACCOUNTING BONDS PAYABLE ($29,095 000)
Total Liabilities ($32,383,130)
Total Fund Equity
FUND EDU TY; AVAILABLE FUND BALANCE $27.237.057
FUND EQUITY r EXPENDITURE SUMMARY $214.517
Total Fund Equity $27,451,575
TOTAL LIABILITIES AND FUND EQUITY (&4.931.5551
October 5, 2017 Regular Board Meeting Agenda Packet - Page 51 of 196