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HomeMy WebLinkAboutPackets - Stormwater Utillity Commission (86)AGENDA ORO VALLEY STORMWATER UTILITY COMMISSION REGULAR SESSION NOVEMBER 20, 2014 HOPI CONFERENCE ROOM 11000 N. LA CANADA DRIVE REGULAR SESSION AT OR AFTER 4:00 P.M. CALL TO ORDER ROLL CALL CALL TO THE AUDIENCE - At this time, any member of the public is allowed to address the Commission on any issue not listed on today’s agenda. Pursuant to the Arizona Open Meeting Law, individual Commission members may ask Town staff to review the matter, ask that the matter be placed on a future agenda, or respond to criticism made by speakers. However, the Stormwater Utility Commission may not discuss or take legal action on matters raised during "Call to the Audience." In order to speak during "Call to the Audience" please specify what you wish to discuss when completing the blue speaker card. 1. APPROVAL OF THE OCTOBER 22, 2014 WORK STUDY SESSION MINUTES APPROVAL OF THE OCTOBER 23, 2014 REGULAR SESSION MINUTES & APPROVAL OF THE NOVEMBER 4, 2014 WORK STUDY SESSION MINUTES 2. MEETINGS AND EVENTS UPDATE 3. DISCUSS AND APPROVE STORMWATER CREDIT APPLICATIONS 4. WORK STUDY REPORT 5. DISCUSS THE YOUR VOICE, OUR FUTURE COMMITTEE MEETING 6. DISCUSS STORMWATER FINANCIALS 7. DISCUSS ON-GOING STORMWATER PROJECTS 8. SET DECEMBER MEETING DATE AND TIME 9. SET DECEMBER PROPOSED AGENDA ITEMS ADJOURNMENT POSTED: 11/14/14 at 5:00 p.m. by mrs When possible, a packet of agenda materials as listed above is available for public inspection at least 24 hours prior to the Stormwater Utility Commission meeting in the Town Clerk's Office between the hours of 8:00 a.m. and 5:00 p.m. The Town of Oro Valley complies with the Americans with Disabilities Act (ADA). If any person with a disability needs any type of accommodation, please notify the Town Clerk’s Office at least five days prior to the Commission meeting at 229-4700. INSTRUCTION TO SPEAKERS Members of the public have the right to speak during any posted public hearing. However, those items not listed as a public hearing are for consideration and action by the Stormwater Utility Commission during the course of their business meeting. Members of the public may be allowed to speak on these topics at the discretion of the Chair. If you wish to address the Commission on any item(s) on this agenda, please complete a blue speaker card and give it to the Recording Secretary. Please indicate on the speaker card which item number and topic you wish to speak on, or if you wish to speak during “Call to Audience,” please specify what you wish to discuss when completing the blue speaker card. “Notice of Possible Quorum of the Oro Valley Town Council, Boa rds, Commissions, and Committees: In accordance with Chapter 3, Title 38, Arizona Revised Statutes and Section 2-4-2 of the Oro Valley Town Code, a majority of the Town Council, Board of Adjustment, Conceptual Design Review Board, Historic Preservation Co mmission, Parks and Recreation Advisory Board, Planning and Zoning Commission, and Water Utility Commission may attend the above referenced meeting as a member of the audience only.” October YTD Financial Status FY 2014/2015 Stormwater Utility Fund % Budget Completion through October -- 33% Actuals thru 10/2014 Budget % Actuals to Budget Year End Estimate * YE % Variance to Budget REVENUES: STATE GRANTS - - 0.0%- 0.0% CHARGES FOR SERVICES 270,534 789,300 34.3%789,300 0.0% INTEREST INCOME 81 1,000 8.1%1,000 0.0% MISCELLANEOUS - - 0.0%- 0.0% TOTAL REVENUES 270,615 790,300 34.2%790,300 0.0% Actuals thru 10/2014 Budget % Actuals to Budget Year End Estimate * YE % Variance to Budget EXPENDITURES: PERSONNEL 102,359 335,320 30.5%335,320 0.0% OPERATIONS & MAINTENANCE (A)198,469 525,281 37.8%525,281 0.0% CAPITAL 136,622 151,250 90.3%151,250 0.0% TOTAL EXPENDITURES 437,449 1,011,851 43.2%1,011,851 0.0% Does not include non-cash outlays for depreciation SURPLUS / (DEFICIT)(166,834) (221,551) (221,551) BEGINNING RESERVE BALANCE 503,474 Plus: Surplus / (Deficit)(221,551) ENDING RESERVE BALANCE **281,923 * Year-end estimates are subject to further revision ** Ending cash reserve amounts are estimates and are subject to further revision (A) Includes chargeout from Highway Fund for storm cleanup of streets: FY 14/15 Budget = $129,493 YTD Actuals = $43,164