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10/13/2010 - Packet Completeness Review for Boards, Commissions r and Committee Records CITY of TIGARD Intergovernmental Water Board Name of Board, Commission or Committee aA-Q b e.r 13. 20 I c� Date of Meeting To the best of my knowledge this is the complete meeting packet. I was not the meeting organizer nor did I attend the meeting; I am simply the employee preparing the paper record for archiving. This record came from Greer Gaston's office in the Public Works Building. Kristie Peerman Print Name Signature Y/y li 3 Datc Intergovernmental Water Board Agenda SERVING TIGARD, KING CITY, DURHAM AND TIGARD WATER DISTRICT MEETING DATE: Wednesday, October 13, 2010, 5:30 p.m. MEETING LOCATION: Tigard Public Works Building 8777 SW Burnham Street Tigard, OR 97223 1. Call to Order, Roll Call and Introductions Call the meeting to order, staff to conduct roll call. 2. Approval of Minutes —September 8, 2010 Action: Motion to approve the September 8, 2010 minutes. 3. Public Comments Call for comments from the public. 4. Water Supply Update -John Goodrich 5. Water Rate Study and Water SDC Update -John Goodrich 6. Informational Items a. Update from Commissioner Buehner on Lake Oswego/City of Tigard Oversight Committee activities. b. Update from Commissioner Winn on West Bull Mountain Technical Advisory Committee activities. 7. Non-Agenda Items Call for non-agenda items from the Board. 8. Future Agenda Items Schedule Date Item To Be Announced Additional Tenancy in Common Agreements for Properties within the Tigard Water Service Area. 9. Next Meeting: ■November 10, 2010 at 5:30 p.m. Public Works Auditorium, 8777 SW Burnham Street,Tigard, Oregon 10. Adjournment Action: Motion for adjournment. INTERGOVERNMENTAL WATER BOARD AGENDA— October 13, 2010 City of Tigard 1 13125 SW Hall Blvd.,"Tigard,OR 97223 1 503-718-2591 www.tigard-or.gov I Page 1 oft Executive Session The Intergovernmental Water Board may go into Executive Session. If an Executive Session is called to order, the appropriate ORS citation will be announced identifying the applicable statute. All discussions are confidential and those present may disclose nothing from the Session. Representatives of the news media are allowed to attend Executive Sessions, as provided by ORS 192.660(4), but must not disclose any information discussed. No Executive Session may be held for the purpose of taking any final action or making any final decision. Executive Sessions are closed to the public. INTERGOVERNMENTAL WATER BOARD AGENDA— October 13, 2010 Cityof Tigard 1 13125 SW Hall Blvd.,Tigard,OR 97223 1 503-718-2591 1 www.tigud-or.gov I Page 2 of2 Intergovernmental Water Board (IWB) Meeting Minutes October 13, 2010 Tigard Public Works Building 8777 SW Burnham Street Tigard, OR 97223 Members Present: Gretchen Buehner Representing the City of Tigard Ken Henschel Alternate Representing the Tigard Water District Keith Jehnke Representing the City of Durham Dick Winn Representing the City of King City Mike Stone Member At-Large Members Absent: None Staff Present: John Goodrich Utility Division Manager Greer Gaston Executive Assistant Visitors: None 1. Call to Order, Roll Call and Introductions Commissioner Winn called the meeting to order at 5:30 p.m. 2. Approval of Minutes — September 8, 2010 Commissioner Buehner motioned to approve the September 8, 2010 minutes. Commissioner Stone seconded the motion. The minutes were approved by unanimous vote of the Board, with Commissioners Buehner, Henschel, Jehnke, Stone, and Winn voting yes. 3. Public Comments: None 4. Water Supply Update Mr. Goodrich reported: ■ Water consumption was about 4.6 to 5 million gallons per day. ■ One reservoir continues to be offline for construction, which will be completed next spring. ■ Tigard is operating under its winter contract with the City of Portland. ■ There is about a 24-day supply in aquifer storage and recovery wells. Injection will start in November. Commissioner Henschel inquired about summer water usage and revenues. Mr. Goodrich said he would bring that information to the November meeting. Intergovernmental Water Board Minutes October 13, 2010 1 Commissioner Henschel asked for an update on the pump station at 125th and Bull Mountain Road. Mr. Goodrich said the contractor was excavating, framing, and pouring concrete, and the project was on schedule. 5. Water Rate Study and Water SDC Update Mr. Goodrich distributed a memo from Redoak Consulting dated September 28, 2010. The memo is on file in the IWB record. He described the memo which summarizes the water financial plan, an outcome of Tigard's Water Rate Study and Water System Development Charge (SDC) Update. He reminded the Board of the previous discussions on this topic. Mr. Goodrich said a 34.5-percent rate increase is needed now to position the City of Tigard for future bonding. Bonding requirements and strategy were discussed. Mr. Goodrich gave examples of how rate increases would affect various residents or businesses. The average household would see an increase from $27.55 to $37.05, or about $10 per month. The City of Tigard will likely go to monthly billing in January. Commissioner Henschel inquired about changes in the City of Tigard's electronic routing address. This affected water customers' automatic transfers. Mr. Goodrich was not aware of any change and said he would look into the problem. Mr. Goodrich reported he had met with the Home Builders Association (HBA) recently. There were no comments regarding the SDC methodology. However, there were requests that SDCs be phased-in over time. Mr. Goodrich asked for the Board's: • Approval of the water financial plan and summary findings. ■ Support for the City of Tigard to proceed with water revenue increases to offset costs associated with the Lake Oswego-Tigard joint water supply project. Commissioner Winn asked for clarification on the bonding strategy. Mr. Goodrich explained that instead of one large bond, the City of Tigard would probably bond three times for smaller amounts: ■ In 2012 for about $30 million. ■ In 2014 for between $40 and $44 million. ■ In 2017 for the remaining funding. Bond anticipation notes may be used for bonding in earlier years. These notes would allow the City of Tigard to defer the principal and pay only the interest for the first few years of the note. Once the Lake Oswego-Tigard project is online in 2017, Tigard will not have to purchase water from the City of Portland. This will result in a $3.5 million cost savings. Of this amount, about $1 million will go toward operating and maintenance costs for the Lake Oswego water supply. The remaining $2 million will be combined with water rate revenues and will be used to pay the interest and principal of the bonds. Mr. Goodrich also noted that revenues from the bonds must be spent within three years, so this precludes the use of only one bond since Lake Oswego water supply projects span many years. Commissioner Buehner added Tigard's finance department expects bond rates to remain flat for the next five years. Commissioner Winn noted the rate structure was not included with the memorandum. Intergovernmental Water Board Minutes October 13,2010 2 Mr. Goodrich summarized the recommendations: ■ Move to monthly billing. ■ Establish fixed rate charges that increase with meter size. ■ Generate a larger portion of revenues through fixed rates. ■ Decrease volume rate to offset fixed charges. ■ Move to a tiered rate system. The monthly rate structure was subsequently distributed to the Board and is on file in the IWB record. Mr. Goodrich summarized the tables, which extend out to 2015. Commissioner Buehner suggested extending the rates to 2019 when rate increases end. The Board discussed how to best present rate increases to the public. Additional suggestions included focusing on the dollar amount of rate increases, as opposed to the percentage increase, and providing comparisons to other jurisdictions. At the request of Commissioner Henschel, a City of Tigard document entitled, "Fact Sheet: Water Revenue Bonds" was distributed to the Board. This is on file in the IWB record. Note: Discussion of this agenda item continued under item 7, Non-Agenda Items. 6. Informational Items a. Update from Commissioner Buehner on Lake Oswego/City of Tigard Oversight Committee Activities • Commissioner Buehner reported the cost allocation between Tigard and Lake Oswego had shifted slightly in Tigard's favor. Initially Tigard's share to develop the Lake Oswego-Tigard water partnership projects was estimated to be 57.5 percent. That percentage has decreased to approximately 52 percent, because the percentage of Lake Oswego's existing infrastructure that can be used in the new water system has declined. This excludes Tigard's share of the $17.5 million additional ozone treatment process. Overall Tigard's share of the project is on target. • The analysis of existing facilities is completed. • The water intake will be in the same general location along the Clackamas River. • A preliminary meeting with staff from the City of West Linn went well. Most issues with neighbors near the treatment plant have been resolved. • The size of the Waluga Reservoir has been increased. Another Lake Oswego reservoir on 10'h Street is nearing the end of its useful life. The Waluga Reservoir will need to absorb the capacity of the 10`h Street reservoir. • Permitting will be coordinated among federal, state and other agencies. Filing will occur late summer or early fall of 2011 and is expected to take a year to process. A preliminary ruling, in favor of Tigard and Lake Oswego, was issued. The appeal period will start after the final order is issued. An appeal is anticipated. • Land use permitting is in the preparation stage. Permitting will be required in Gladstone, West Linn, Lake Oswego, and Tigard. Final design needs to be 20 to 30 percent complete before entering the permitting phase. • Commissioner Buehner asked Ms. Gaston to furnish the Board with an updated memo dated October 2, 2010 from Joel Komarek to the Oversight Committee regarding "Program Costs — Sponsor Allocations." Intergovernmental Water Board Minutes October 13, 2010 3 b. Update from Commissioner Winn on West Bull Mountain Technical Advisory Committee Activities • Commissioner Winn reported the water provider will not be determined until the financial and community plan is addressed in the next session. The concept plan will be ready to go to County Commissioners at the end of October. 7. Non-Agenda Items Commissioner Henschel inquired why the IWB intergovernmental agreement was not on the agenda as indicated in the September 8, 2010 minutes. Other Commissioners said the item was moved due to Mr. Koellermeier's absence. This item is expected to be on the agenda at the next IWB meeting. Note: Discussion of agenda item 5, Water Rate Study and Water SDC Update, continued under this agenda item. Mr. Goodrich asked for the Board to make a recommendation to the Tigard City Council. Commissioner Winn confirmed that the recommendation was related to the Water Rate Study. Commissioner Buehner motioned that the Board recommend approval of the Water Rate Study to the Tigard City Council as presented at this meeting. Commissioner Henschel asked for Mr. Goodrich to confirm his proposed motion. Mr. Goodrich said he was seeking the IWB's approval of the water financial plan summary findings and support for the City of Tigard to move forward to increase water revenues to offset costs associated with the Lake Oswego-Tigard joint water supply project. Commissioner Buehner amended her motion accordingly. Commissioner Stone seconded the motion. The motion passed by unanimous vote of the Commissioners present, with Commissioners Buehner, Henschel, Jehnke, Stone, and Winn voting yes. Commissioner Buehner said she was now meeting on the Lake Oswego partnership on a monthly rather than quarterly basis. She will be reporting to the Board about partnership activities more often. 8. Future Agenda Items • Future agenda items were not discussed. 9. Next Meeting: • November 10, 2010 at 5:30 p.m. Public Works Building, 8777 SW Burnham St, Tigard, Oregon 10. Adjournment At 6:51 p.m., Commissioner Stone motioned to adjourn the meeting; Commissioner Henschel seconded the motion. The meeting was adjourned by unanimous vote of the Commissioners present, with Commissioners Buehner, Henschel, Jehnke, Stone, and Winn voting yes. Intergovernmental Water Board Minutes October 13,2010 4 Dick Winn, IWB Chair Oreer Gaston, IW Recorder Date: 6/1, //r r Date: Intergovernmental Water Board Minutes October 13,2010 5 Agenda Item No.: a IWB Meeting Date: UL c)�o Intergovernmental Water Board (IWB) Meeting Minutes September 8, 2010 Tigard Public Works Building 8777 SW Burnham Street Tigard, OR 97223 Members Present: Gretchen Buehner Representing the City of Tigard Ken Henschel Alternate Representing the Tigard Water District Dick Winn Representing the City of King City Mike Stone Member At-Large Members Absent: Keith Jehnke Representing the City of Durham Staff Present: Dennis Koellermeier Public Works Director John Goodrich Utility Division Manager Kathy Mollusky Executive Assistant Visitors: Joe Healey Red Oak Consulting Paul Matthews Red Oak Consulting 1. Call to Order, Roll Call and Introductions Commissioner Winn called the meeting to order at 5:35 p.m. 2. Approval of Minutes —July 14, 2010 Commissioner Buehner motioned to approve the July 14, 2010 minutes. Commissioner Stone seconded the motion. The minutes were approved by majority vote of the Commissioners present, with Commissioners Buehner, Henschel, Stone, and Winn voting yes. 3. Public Comments: None 4. Credit for Leak Adjustment Mr. Goodrich asked for the IWB's approval for a credit for leak adjustment submitted by Linda Masters for a leak that occurred at their home. Commissioner Buehner motioned to approve the Linda Masters credit as recommended by staff. Commissioner Henschel seconded. The credit for the water leak was approved by unanimous vote of the Commissioners present, with Commissioners Buehner, Henschel, Stone, and Winn voting yes. Intergovernmental Water Board Minutes September S,2010 1 5. Tualatin Valley Water District Boundary Clarification Mr. Goodrich reported that last year the City went through the property withdrawal procedure for this area; however, one property was inadvertently omitted. The state requires the process be completed from the beginning with all of the effected properties included. This is a housekeeping issue; there are no service boundary changes. Tigard has been serving this area since the 1970s. 6. Water Supply Update • Mr. Goodrich reported having an average month of about 10 million gallons per day (mgd) of water usage. This is 0.67 mgd less than the historical low. Water use has been less than expected because of a very late, wet spring. It is up 0.3 mgd from last year. The complete supply from ASR 1 was utilized. There is about a 9-day supply left in ASR 1 and a 70-day supply in ASR 2. • The 10 million gallon reservoir is offline. Construction is continuing on the pump station. Excavating and shoring are being completed. JS Fowler is the contractor. 7. Consultant Presentation on Final Recommendations on the Water Rate Study and Water SDC Findings Mr. Paul Matthews and Mr. Joe Healy, Red Oak Consulting, gave a PowerPoint presentation, which is on record in the IWB file. • Mr. Matthews clarified the Tigard Water Service Area (TWSA) conservation program has been in existence at least 10 years. Due to the success of this program, there is not a lot of future conservation figured in. • Mr. Healy clarified a typical residential has a meter size of 5/8 x 3/4. • There is only one 12" meter in the TWSA, which may be in use for fire flow. The City would suggest an adjustment for them. • If larger meter users do not pay for their use, the charge would shift to other customers. Some customers would true up meter size and may not need as big a meter as they have. • In October 2010, there will be a 7% increase. On January 1, 2011, costs will increase 31%. • Typical residential user fees per month depend on the time of year. Average winter consumption is six units, which would be in Tier 1. Low minimum user will have a fixed rate charge of $31 plus the cost of water at thresholds based on meter size. • The large meter customers will see a higher percentage increase. They currently are not paying their fair share. Billing is currently based on how much it costs to bill a customer. It costs the City the same to bill a small meter as a large meter customer. That is not the true cost of the water used. A 30% increase equals $8/month or 20 cents/day. The percentage increase seems to be a lot; however the dollar amount is not that much. • If the increase was over-estimated or we realize additional savings, these rates can be adjusted in the future by having either a smaller increase or no increase in the "out years". • The booster charge is used to recover the additional cost of pushing water to the higher elevations. This rate is not increasing. • For low-income customers, there is a third party, not-for-profit group that will allocate a check to the customer to help cover the water bill. • For TWSA purposes, System Development Charges (SDC) for existing sources (ASR, Wells, etc.) were allocated to existing customers. This shifts a big share of the Lake Oswego capacity expense to future growth. Tigard's current SDC charge is $2,366. Wilsonville's is around $7,200. West Linn's is $6,600. Happy Valley's is $6,500. Intergovernmental Water Board Minutes September 8,2010 2 • If SDC's are reduced to one meter size (i.e., 2" meters), someone still has to pay so it will be ratepayers. • Most of our customers have 5/8" by 3/4" meters. If someone needs a 4" connection, it will be a school, hospital, major hotel, some kind of industry. It will not be a standard customer like a restaurant. • An 8" meter ensures customers that water will be available for that development from here forward; it is a buy-in fee, a onetime fee. • Commissioner Buehner explained that developers are not paying what it costs, particularly for transportation. Cities cannot diminish service levels for water like they have for roads. Ratepayers have to pick up the cost. Commissioner Henschel made a motion that IWB recommend to Council to not phase in System Development Charges, but institute immediately. Commissioner Buehner seconded the motion. The motion was approved by unanimous vote of the Commissioners present, with Commissioners Buehner, Henschel, Stone, and Winn voting yes. 8. Informational Items a. Update from Commissioner Buehner on Lake Oswego/City of Tigard Oversight Committee Activities • Commissioner Buehner reported receiving a presentation on the new figures for the joint project. The figure they were working with was $200 million and now it is $230 million. • It was determined that almost none of current Lake Oswego plant will be able to be reused, which will reallocate a percentage of the cost. Lake Oswego's share will increase and Tigard's share will decrease. This will not raise our costs very much, if at all. We will stick with $118 million for our purposes here and will adjust rates later if needed. b. Update from Commissioner Winn on West Bull Mountain Technical Advisory Committee Activities • Commissioner Winn reported this will be talked about next month. c. Update from Mr. Goodrich regarding Tigard Municipal Code (TMC) 12 • Mr. Goodrich is presenting the updated TMC, practices and procedures to Council October 19 during the workshop session and will present the following month for adoption. The updated TMC, practices and procedures should be in place January 1, 2011. 9. Update from Mr. Koellermeier regarding the IWB Intergovernmental Agreement (IGA) • Mr. Koellermeier reported Tigard sent the marked up IWB IGA to the IWB. This will be discussed at the October 13 meeting, including the reasons behind the changes. • Council will discuss at the September 28 workshop. • Commissioner Winn would like IWB to go through, decide and make recommendations before Council gets the final draft. The seventh draft is what Tigard City Council will approve and he doubts much will be changed. • Commissioner Winn recognizes that "66", giving authority to the IWB to be final and binding on Tigard, was put in due to the IWB being in a hurry. This was not what the IWB had agreed to. He believes this agreement is good. He would like the IWB to join together and think about what is best for all the communities. The betterment of the Intergovernmental Water Board Minutes September 8,2010 3 cities depends on a financially and operationally sound water department. He would like the IWB to all show up when it is submitted to Council. 10. Non-Agenda Items None 11. Future Agenda Items Future agenda items were not discussed. 12. Next Meeting: • October 13, 2010 at 5:30 p.m. Public Works Building, 8777 SW Burnham St, Tigard, Oregon 13. Adjournment At 8:00 p.m., Commissioner Buehner motioned to adjourn the meeting; Commissioner Henschel seconded the motion. The meeting was adjourned by unanimous vote of the Commissioners present, with Commissioners Buehner, Henschel, Stone, and Winn voting yes. Dick Winn, IWB Chair Kathy Mollusky, IWB Recorder Date: Date: Intergovernmental Water Board Minutes September 8,2010 4 Sign-in Sheet Intergovernmental Water Board Meeting Date: October 13, 2010 This is a City of Tigard public meeting, subject to the State of Oregon's public meeting and records laws. All written and oral testimony becomes part of the public record. The names and addresses ofpersons who attend or participate in City of Tigard public meetings will be included in the meeting minutes, which is a public record. Name Do you wish If yes, please give your Phone number / Email (please print) to speak to address the Board? John Q. Public Yes 13125 SW Hall Blvd. (503) 555-5555 Tigard, OR 97233 johngpublic@yahoo.com Submitted at the IWB Meeting By: John eiylrt* _h • •• Date: 16-VA- 10 Agenda Item No.: : REMA K CONSULT[NG ..,V,•,.• Or -OI.E.L- „.*,r MEMORANDUM To: John Goodrich, City of Tigard Date: September 28, 2010 From: Joe Healy, Red Oak Consulting Re: Summary of Recommended Financial Planning Scenario Introduction The cost of service for the City includes both near-term and long-term capital expenditures. Financial planning is an integral part of a comprehensive process of establishing the cost of service for a utility that incorporates a longer term perspective. A finance plan looks at a utility's long-term capital needs,typically from a master plan or similar document, along with other assumptions to calculate an overall level of rate adjustments and additional debt requirements for a five-to ten-year period. Broad Overview of Financial Planning The financial plan is a useful tool. Actually, it may be described as four tools in one. The four main functions that a financial plan serves are for the following: 1. Planning 2. Communication 3. Information 4. Policy Assessment As relevant for the purposes of this memo, the policy assessment aspect of financial planning is described more fully below. Financial Plan as a Policy Assessment Tool Policy assessment means a wide-variety of things to different people. A utility's stakeholders may use financial plan results to assess how its policies and goals for the utility stand the tests of time. A utility's management may use financial plan information to assess the cost effectiveness of operations or infrastructure replacement. First and foremost, a utility may use the plan to assess the long-term implications of capital decisions. Topics related to capital decisions include: • Scenario analysis, • Sensitivity analysis, • Financing options, • Operating costs, • Matching revenues with expenditures, and • 12670 NW flames Road • Suite 104 • Portland,OR 97229 • T 503-352-0000 • F 503-644-2414 • w,wvr redoakconsulUng.com Page 2 • Managing rate adjustments over time. As mentioned above, a financial plan is a tool used for alternatives analysis. Regarding its financing options, a utility can use the financial plan to assess its plans for the use of additional long-term debt and capital reserves. Questions surrounding this issue include: • What is an appropriate level of debt? • How much can we afford? • Should we accumulate and use capital reserves to mitigate the need for debt in the future? • Will certain capital additions also affect our O&M projections? • How will we best match our need to recover costs with the available revenue sources? • How can we avoid rate shock to our customers or send them price signals to influence conservation goals? Along with all of these questions,the financial plan can be used to assess the impacts of legal, institutional, and regulatory requirements. The lists of questions above reinforce the idea of a financial plan as a broadly focused planning tool. If it were designed to meet more narrowly focused needs, such as budgeting or auditing, it would lose its ability to capture and address these wide-ranging issues. Side effects of a utility's failure to plan properly may include system deterioration or failure, higher financing costs, rate and revenue instability, limited choices, rate shock, and unhappy customers. Summary of Assumptions for Recommended Financial Planning Scenario Red Oak analyzed alternative financial planning scenarios. The results were presented to the City in a previous technical memorandum. Presented below are the assumptions underlying the financial planning scenario selected by City Staff for recommendation to the City Council. Table 1: Recommended Financial Plan Scenario-General Assum tions Awowtions Description Financing Schedule 2012 Revenue Bo ':'!'�� - by fiscal year 2014 Revenue Bonds 2015 Bond Anticipation Notes 2016 Bond Anticipation Notes 2017 Revenue Bonds Target Ratios " � Total Debt Service Coverage= 1.50x Min.Required Ratios Additional Bonds Test= 1.25x for 2012 Revenue Bonds Additional Bonds Test= 1.15x for all other Revenue Bonds Total Debt Service= 1.lOx Interest Rates 5.5%for 2012 Revenue Bonds;6.0%for all other financing Term 25-year teen for all financing Page 3 Summary of Results Presented below are the summary results of the recommended financial planning scenario. Table 2: Recommended Financial Plan Scenario-Summary Results Annual Rate Example Revenue Debt Financing on -IYiSchedule Current $27.55 FY2011 37.05 34.5% $2,097,054 FY2012 42.24 14.0% 44,147,727 FY2013 48.16 14.0% 0 FY2014 54.90 14.0% 40,000,000 FY2015 57.26 4.3% 0 FY2016 59.72 4.3% 0 FY2017 62.29 4.3% 41,341,374 FY2018 64.97 4.3%> 0 FY2019 64.97 0.0% 0 FY2020 64.97 0.0% 0 Total $127,586,155 * Residential example monthly bill. Monthly use assumed at 9 CCP. Fiscal Year FY2012 FY2013 FY2014 FY2015 Rate Revenue Increases 14.0% 14.0% 14.0% 4.3% Recommended Base Charges Oct.Meter I Jan. Jail. 0 211 7-012 201-3 Size 20 2014 � • . , $15.78 $23.38 s $23.38 $ , �w 1" 3.67 35.40 40.36 46.01 52.45 544,30 . � 3:67 93,4; ! 1(1 ` 121.50 138 Sl 1 �a,... 2" 3.67 151.68 172.92 197.12 224.72 234.38 W RT 3 C 1 3 6 E 388.01 44U&,., 1.35 4" 3.67 56112 646,52 737.03 840 876.34 ` 3.57 ?1 $: 7Ai'i f 826.39 . .. 942 8" g 3.67 99.3.12 1,132.16 1,290.66 1,471.35 1,534.62 1-67- 1 ..': 2,09.11 2,381.58 2, ;5.00 2,831.7$' 12" 3.67 2,592.94 2,955.95 3,369.78 3,841.55 4,006.74 Fiscal Year FY2012 FY2013 FY2014 FY2015 Booster Rate Increases 6.0% 6.0% 6.0% 6.0% Recommended Booster Pump Charges Oct.Meter : Size 2010 2011 x,314", $ 24 $4.5$ 1" 3.24 10.87, 11.52 12.21 12.95 13.72 1; 3.24 ! 34.56 36.63 38.83 ! 43 1 2" 3.24 52.93 56.11 I 59.47 63.04 66.82 :��< .. (: ., �2 93.33 98.&�. 1+04.87 I l 4" 3.24 191.41 202.89 215.07 22797 243:65 3.24 203.75 ; 215.98 i 228.93 242.67 257 2 8" 3.24 326.00 345.56 366.29 388.27 411.57 1e ! 3.24 636.93 675.15 715.65 1 758.59 8041`Ir,, 12" 3.24 917.17 972.20 1,030.53 1,092.36 1,157.91 October 2010 - Volume Rates ($/CCF) Submitted at the IWB Meeting By: -.Joh (I 01 Yn K 1c, .1 Date: lb"1-3 1 L) Agenda Item No.: Residential $2.87 Multi-Family 2.85 Cs� al 3.35 Industrial 2.78 hri ation 1 3.57,, Projected Volume Rates ($/CCF) Wer 2 Tier 3 Fiscal Rate Rev ' Rute Rate Year Increase Residential S298 $3.41 _Commercial 2.32 3:3-8 3.87 �'; Irrigation 4.59 4.59 4.59 VO J11183y 2012 1rb y FY2012 14.0% Multi-Family 1.94 2.83 3.24 Omm Industrial e 3.68 1.68 3.68 !pip 2013 `, FY2013 14.0% Residential $2.65 $3.87 $4.43 Multi-Family f 211 3.22 Commercial 3.02 4.39 5.03 Industrial 4.20 s ." Irrigation 5.97 5.97 5.97 !• - 1_ January 2014 FY2014 14.0% r Residential $ '.0 (. Multi-Family 2.52 3.67 4.21 Commereial 3:,44 5.01 5.73 Industrial 4.79 4.79 4:79 . Irrigation 6.80 6.8k JaA a y 2015 FY2015 4.3% Residential $3.15 $4.60 $5.27 ivlulti- iy �. ,. 2.63 3;8 439 Commercial 3.58 5.22 5.98 Inds#ria] � - 4.99 4.99 4:99 Irrigation 7.09 7.09 7.09 Recommended Tier Thresholds x 3/4" 6 15 Cher i5 l" 16 40 Over 40 1 1/2" 120 ! Over 120 2" 78 195 Over 195 137 344 Over 544' 4" 282 705 Over 705 61 ' 300 750 Over 750 8" 480 1,200 Over 1,200 10" 938 2,345 4w,2,,343 12" 1,350 3,376 Over 3,376 Submitted at the IWB Meeting By: l<�/I He�sc.J��l City of Tigard Date: IG -13 - I Agenda Item No.: FACT SHEET: Water Revenue Bonds Overview In _iwust 33,03,the cities of L alwOsweV and TWrd ionn2117 endorsed a partnership-agreement for sharing chinking w2ler resources and cosh Like Om-ego's existint:{ g u7ar facr�es will EL upgraded Lnd up-sized to &rve cuswmers. in beth aotn�r:�amries. Borh ci ics want io ktcp Tvauz affordable fox th6r custowwrs an sham ng the cwt does that. Tigard Wmer Sen-ke Area customers m"ITard,Durlimm, King Citi=,and Tiger NSR"awr Distalct ber-emt by fnnialls g2it..3ng cswaer hip of a dnnkig rater snx , instead 4,147 connnumg to purchase,mater from Portland. Funding sources for the Partnership project include"revenue bonds" issued by Lake Oswego and Tigard to be repaid over the years by customers'monthly water charges and SDCs(systems development charges) paid by all new development. Both Lake Oswego and Tigard are increasing water rates and SDCs to pay for the project to meet bond requirements. Revenue Bond Primer Revenue bonds are secured solely by utility system revenues (rather than tax dollars). Operating revenues must be sufficient to repay the bonds after the system's ongoing operations and maintenance costs are covered. These are called"net revenues". Net Revenues Net revenues must be sufficient to pay the debt service (interest and principal payments)at the time the bonds are issued. They cannot rely on future actions by the City to raise rates. Also,net revenues must be more than just enough to pay the debt service. Coverage To account for contingencies,such as reduced revenues due to the loss of loge users or mdtrcxd demand through conservation efforts, bond holders require the City to collect more revenues than needed to pay ongoing costs plus debt service. This cushion amount is called "coverage". The lower the amount of excess net revenues there are after paying debt service,the less credit worthy the credit markets consider the revenue bonds. Credit Rating Interest rates on bonds vary according to the"credit rating"of the issuing agency. If net revenues are just sufficient to pay the debt service, this is called a 1 times debt service coverage. Debt service coverage ratios are tied directly to ratings: the higher the coverage ratio,the higher the credit rating and the lower the interest rate. Tigard revenue bonds are aimed at earning an "A" rating. Ratings are based on a number of factors, with coverage a main feature. Tigard's current financial forecast calls for a m;n;mum coverage of 1.15 times debt service. Other Utilities Larger water utilities typically have ongoing capital construction programs. This portion of their budgets is not considered operating revenue and therefore adds to the coverage. In Tigard's situation, the projected Partnership project costs dwarf Tigard's other capital spending so other construction does not contribute a meaningful amount to coverage. Financing costs must be repaid almost entirely by new revenues. Size and Timing The size and timing of bond sales is driven by capital costs and the need to have money in time to pay for construction. Higher rates need to be in place at the time the long-term bonds are issued. Reserve Fund Tigard must also hold in reserve at least one full year's debt service as a backup security — known as a "debt service reserve fund". The reserve fund ensures that money is available in case of a debt default. This reserve can be used to make the final payments on the bonds. Cost Savings A goal of Tigard's Financial Plan is to recommend the bond issuance strategy that assures the best long-term savings for customers. This requires a balance between bond structures, higher credit rating (lower interest cost),and higher coverage (higher user rates in early years). Learn More For more information on the Tigard Water Financial Plan contact John Goodrich, Utility Division Manager at 503-718-2609 orjohngCO3tigard-or.gox- or visit uww.l gird-or."yhwater . 21Paue City of Tigard 13125 SW Hall Blvd. Tigard, OR 97223 i Phone: 503-639-4171 i FAX TRANSMITTAL Date October 6,2010 Number of pages including cover sheet 3 To- WThe City of King City (Fax No. 503-639-3771) The City of Durham (Fax No. 503-598-8595) From: Kathy Mollusky Co: City of Tigard Fax#: 503-684-8840 Ph#: 503-718-2594 SUBJECT: Intergovernmental Water Board Meeting Notice and Agenda MESSAGE: Please post the attached notice and agenda for the upcoming meeting of the Intergovernmental Water Board. Thank you. I\ENGTax.00r t TRANSMISSION VERIFICATION REPORT TIME 10/06/2010 13:45 NAME COT-PW FAX 5036848840 TEL 5036848840 SER.# 000L9N215453 DATE,TIME 10/06 13:44 FAX N0./NAME 5036393771 DURATION 00:00:43 PAGE(S) 03 RESULT OK MODE STANDARD ECM TRANSMISSION VERIFICATION REPORT TIME 10106/2010 13:48 NAME COT-PW FAX 5036848840 TEL 5036848840 SER. # 000L9N215453 DATE DIME 10/06 13:47 FAX N0. /NAME 5035988595 DURATION 00:00: 43 PAGE(S) 03 RESULT OK MODE STANDARD ECM