Tuesday, May 21, 2013

May 20 meeting



STONES-BENGARD COMMUNITY SERVICE DISTRICT REGULAR BOARD MEETING
509-695 Stone Road, District Office, Eagle Lake, Susanville, CA 96130
Phone & Fax: (530) 825-3350
Monday, May 20, 2013 at 6:00 p.m.

UNAPPROVED MINUTES

ROLL CALL:

Meeting was opened by Chairman Shapiro at 6:00 pm.  Present: Chairman Sam Shapiro, Directors Kay Oring, and Ron Rebell. There are two vacancies on the Board. Also present were Fire Chief Ron Cromer, General Manager Martin Balding and Secretary Sandy Jansen.   We have a quorum.

CONSENT CALENDAR:

ADDITIONS/DELETIONS/ Addition of $437.66 for LN Curtis for approval for Fire Department Account.
APPROVAL OF MARCH MINUTES; NO APRIL MINUTES BECAUSE OF NO QUORUM FOR APRIL MEETING.
APPROVAL OF PAYMENT OF BILLS for March 2013: Sewer $1,653,89: Fire $2,659.75.
APPROVAL OF PAYMENT OF BILLS FOR APRIL 2013:  Sewer $1,967.82; Fire $337.69 +$437.66 totaling $735.66.
APPROVAL OF TREASURER'S REPORT, by Kay Oring for March and April.

A motion was made by Director Rebell with a second by Director Oring  to accept the May Agenda with amendment,  approve Minutes for March and to approve the payment of April  bills, Sewer $1,967.82;  Fire $735.66 and the Treasurer's Reports for March and April.  Motion Carried.
            A motion was made by Director Oring and seconded by Director Rebell to approve the payment of March bills in the amounts of Sewer $1,653.89 and Fire $2,659.75.  Motion carried.

COMMITTEE REPORTS:
Fire Chief Cromer reported that work continues on the radios to bring them up to state regulations.  Grasshopper Station is up and running.  ISO rating results should be in this month.
Calls; there was some confusion on a call; whether it was for Spalding or SBVFD.  The road name did not fit the district. 
           
            Water Manager Balding reported that one residence on Juniper Lane was having some issues with waste water but that has been resolved.

PUBLIC COMMENT: There was no public comment.

CORRESPONDENCE:
            A letter of introduction from B & G accounting firm was received
            The Board of Supervisors has agreed to pay the Firenet Lassen dispatch bill in the amount of $2,200 for Stones Bengard Fire District, for this year.

OLD BUSINESS:

SB Vol. Fire Dept 2012 Grant:  The invoices for hoods and shelters were sent to Calfire.  The remaining award of boots was ordered and that completes the grant.
CALFIRE Grant 2013: Grant requests of 800’ of new hose and 3 new radios were submitted.
Volunteer Fire Chief Job Description:  No further information at this time.
Review of Accounts Receivable:    A list of delinquent properties was presented and those that payment was received were noted.
RV Park, Fire Water System:  Discussion was held on the recent developments of the three parcels of the RV Park.   Two parcels were purchased by one buyer, and the restaurant parcel by another buyer. We believe that the single parcel purchaser which has the restaurant has backed out.  What will happen now is unknown.
            **Director Oring moved and Director ReBell seconded a motion to “forgive” the bill to the RV Park for Waste Water fees for the dates January 1, 2013, through May 15, 2013.  Motion carried.

NEW BUSINESS:

Resolution of Federal Excess Personal Property with USFS:    **Director Oring moved and Director ReBell seconded a motion to approve the Resolution of Federal Excess Personal Property and have Chief Cromer sign the agreement for the equipment.  Motion carried.
Ordinance 11-02, Delinquent Service Fees:  The ordinance states that the property is not delinquent until 30 days from the end of the quarter.  Discussion was held on when the bill should be late or delinquent.  This Ordinance will be amended to more clearly state when a bill is late.
State Water Board Requirement:  The State Water Board has changed its regulations for certification.  Martin has met the requirements for an additional grade level.
Bids on New Computer: No additional information.
Set up American Legion Event Signs:  **Director Oring moved and Director ReBell seconded a motion to allow American Legion to set a “sandwich board sign” along our Department.  Motion carried.
ADJOURNMENT: The next meeting will be held on June 17, 2013, 6:00 pm.  With no further business to conduct, the meeting was dismissed at 7:15 p.m.

BOARD MEMBERS SIGNING OF BILLS:  Bills were signed.  
Respectfully Submitted,
_____________________________
Sandy Jansen, Secretary
Note: There is a voice recorded transcript of these minutes.



 May 2013 Treasurer’s Report for April 2013 activity




Balances as of April 30, 2013


Accounts at Lassen Co.
                                                                                   
Fire District:      Balance                        $   81,105.86  

Sewer District:   Balance                       $ 119,014.93

Capital Improvement Fund: Balance      $ 248,257.26

Other accounts:

 Petty cash        (Checking)                   $     2658.18











Total
FIRE ASSESSMENT DISTRICT
FUND #216-2160





Date
Debit
Credit

Balance Brought Forward

4/1/2013


 $         75,960.97

Bills Paid as Approved

$2,645.91



Jan-Mar Sales Tax

$153.00



12/13 PTA Admn fee

$19.19



Jan-Mar interest


$18.71


Sec Abst



$269.28


Cur Sec-2nd install


$7,675.00

BALANCE


4/1/2013


 $         81,105.86





















SEWER DISTRICT
FUND # 220-2200










Balance Brought Forward

4/1/2013


 $       119,882.65

Bills paid as Approved

$1,626.21



Sewer fees



$730.00


Jan-Mar interest


$28.49

BALANCE


4/1/2013


 $       119,014.93




























PETTY CASH
CHECKING ACCOUNT #181025438
Plumas Co. Bank







Beginning Balance

4/1/2013


 $          2,658.18





















BALANCE


4/1/2013


 $          2,658.18




























Sewer Capitol Improvement
FUND 236-2360


Beginning Balance

4/1/2013


 $       247,283.70

Jan-Mar interest


$56.88


Sec Abst



$916.68

BALANCE


4/1/2013


 $       248,257.26





















General Manager Notes
Monday, May 20, 2013 6pm
Phone & Fax: 530-825-3350
Martin Balding, General Manager
NO SPILL REPORT: The no spill report to the state has been made for the month of April.
LIFTS STATIONS AND PONDS: The lift stations and ponds have been working well with an average flow for the past eleven days of just 4,500 gallons per day. A year ago for the same time period the flow averaged 7,800 gallons per day. Because of low flows and high evaporation pond three has been dry for awhile and will probably not have water in it until we have fall rains. The RV Park has been shutdown resulting in lower flows than normal.
PRECIPITATION: Rain and snow have given us about 9.5" inches of precipitation since last July.
HOMEOWNER SYSTEMS: There was one system unable to pump effluent into our lines, possibly because of a slight blockage in our line and insufficient pressure from the homeowners pump. After considerable work that has been resolved.
LATE PAYMENT COLLECTIONS: Sandy can give a report on receivables. Martin will be checking with the County to determine which homes are no longer owned by the persons on our accounts.
COPY/SCAN MACHINE: Neal, the service technician from Forest Office found the technical problem that has kept our machine from scanning, it was unplugged.
MARINER'S RV PARK:
The park, consisting of three parcels has been sold by Lassen County to cover taxes owed. Today I was given the following information by Bud Landreth one of the Park Model owners: Tony Malfri bought the parcel with the restaurant. Larry Williamson bought the two parcels, one on the lakeside and the other on the west side, with all the park models. So, we need to work with Larry or his manager regarding wastewater fees.
Larry Williamson: 530 200 4666 I left a message on his phone and haven't had a reply.
Larry's manager/associate: LeeAnn Clement 530 200 1270 I talked to LeeAnn and told her that the CSD Board would be considering wastewater charges and that I did not expect them to exceed $16.00 per month, our present charge for residential use. I also told LeeAnn when we have our meetings and there is a possibility that Larry Williamson will attend our next meeting in June.
I will be calling LeeAnn back to let her know what the CSD Board discussed regarding the RV Park at tonight's meeting.






STONES-BENGARD COMMUNITY SERVICE DISTRICT REGULAR BOARD MEETING
509-695 Stone Road, District Office, Eagle Lake, Susanville, CA 96130
Phone & Fax: (530) 825-3350
Monday, April 15, 2013 at 6:00 p.m.

NOTES
ROLL CALL:

Present: Ron Rebell. There are two vacancies on the Board. Also present were Fire Chief Ron Cromer, General Manager Martin Balding and Secretary Sandy Jansen.  We do not have a quorum. 

CONSENT CALENDAR:

ADDITIONS/DELETIONS/  No Quorum
APPROVAL OF February minutes. Tabled
APPROVAL OF PAYMENT OF BILLS for March 2013: Sewer $1,653,89: Fire $2,659.75.
APPROVAL OF TREASURER'S REPORT, by Kay Oring: tabled.

COMMITTEE REPORTS:
Fire Chief Cromer reported that the fire engine may need brake repair. Chief said that the CALFIRE grant will be submitted requesting 800’ of new hose and 3 new radios. 
           
            Water Manager Balding reported that one residence on Juniper Lane is having some issues with waste water.  There may be some District expense.  Martin is helping him find the problem.

PUBLIC COMMENT: There was no public comment.

CORRESPONDENCE:

OLD BUSINESS:

NEW BUSINESS:

ADJOURNMENT: The next meeting will be held on May 20, 2013, 6:00 pm.  With no further business to conduct, the meeting was dismissed at 6:10 p.m.

BOARD MEMBERS SIGNING OF BILLS:  Bills were signed by Director ReBell and a note will be sent with the claims stating “because of extraordinary circumstances only one signature.”  The March bills will be approved as a separate item at the next board meeting along with the April bills.

Respectfully Submitted,
_____________________________
Sandy Jansen, Secretary
Note: There is a voice recorded transcript of these minutes.




BALDING ENERGY ENTERPRISE (BEE)
508-450 STONEY LANE
SUSANVILLE, CA 96130
PHONE 530-825 3481
E-
MAIL mbalding@citlink.net
April 1, 2013
Stones/Bengard
Community Service District
509-695 Stone Road
Susanville, California, 96130


April 1, 2013

Report and invoice for March 2013

BEE has made the required “No Spill” report to the state.

The lift stations and ponds have been working well. All ice and snow are gone, evaporation is occurring and there is some normal overflow from one and two into pond three. Water was delivered to the ponds at the rate or 4,877 gallons per day compared to 4,834 for the same period last year.

Unfortunately precipitation continues to be low, good for evaporation systems but poor for the lake.

The Sensaphone call-out phone for the Buck’s Lift Station called with a warning about low temperature. A check showed that the heater had not turned on. It was reset.






STONES-BENGARD COMMUNITY SERVICE DISTRICT REGULAR BOARD MEETING
509-695 Stone Road, District Office, Eagle Lake, Susanville, CA 96130
Phone & Fax: (530) 825-3350
Monday, March 18, 2013 at 6:00 p.m.

APPROVED MINUTES

ROLL CALL:

Meeting was opened by Chairman Shapiro at 6:00 pm.  Present: Chairman Sam Shapiro, Directors Kay Oring, and Ron Rebell. There are two vacancies on the Board. Also present were Fire Chief Ron Cromer, General Manager Martin Balding and Secretary Sandy Jansen and guest Mary Gastelecutto.  We have a quorum.

CONSENT CALENDAR:

ADDITIONS/DELETIONS/APPROVAL of March 18, 2013, agenda items.
APPROVAL OF February minutes.
APPROVAL OF PAYMENT OF BILLS for February 2013: Sewer $2,826.88: Fire $2,510.00.
APPROVAL OF TREASURER'S REPORT, by Kay Oring:
For February 28, 2013: Fire District $78,590.46; Sewer District $122,176.76; Capital Improvement Fund $247,283.70; Checking account petty cash $2,658.18.
 
A motion was made by Director Rebel with a second by Director Oring  to accept the March Agenda, approve Minutes for February and to approve the payment of February bills, Sewer $2,826.88;  Fire $2,510.00 and the Treasurer's Report.  Motion Carried.

COMMITTEE REPORTS:
Fire Chief Cromer reported one new volunteer. 
We received the new fire shelters and nomex hoods that were purchased with the Calfire grant.  We have a 50% match.  Also new batteries were installed in the fire engine.
There was one call, a vehicle accident on HWY 139.

General Manager Balding’s report was read and is attached. 
Discussion was held on the ownership of the property where this facility sits.  The consensus is that Lassen County owns it. If that is the case, can the County help pay for the fencing that is to be installed.  Martin will look into it.

Secretaries Report:  There were 90 web hits last month. 
Delinquent accounts were discussed.
It was not possible to install Carbonite due to a permission error so the subscription was cancelled and a refund should be sent to the CalCard.

Board Member Report:   none

PUBLIC COMMENT: There was no public comment.

CORRESPONDENCE:

            Cal Fire: A letter was received and read regarding rental by Cal Fire of our engine and the inspection requirements necessary if that is an option the District chooses.  At this time we will not be renting out the Fire Engine.
            The new application for the Cal Fire volunteer firefighter grant was received.  Chief Cromer will go over possibilities for the grant.  It is a matching 50-50 grant.

OLD BUSINESS:
The Cal Fire Grant:  Only boots need to be ordered and received to complete the 2012 grant.

Volunteer Chief Job Description:  The job description was discussed. Director Shapiro has made comments and Chief Cromer made suggestions on the original draft.  Manager Balding also wrote up a job description.  These drafts will be compiled and discussed next meeting.

Delinquent accounts:  This was previously discussed under Secretary report.

NEW BUSINESS:

Water Usage Charge for the District by the RV Park:  Discussion followed regarding the previous month’s letter from RV Park requesting payment for water usage by the District.  Director ReBell said the RV Park needs to understand the actual water rates.  The District uses between 100 and 250 gallons per month at the most.  Director Shapiro proposed a $40 per quarter amount for the water usage.  The RV Park receives $30 per quarter now in a deduction on their waste water bill.  The $40 would be an increase of $10 per quarter.   Director Shapiro will draft a letter to the RV Park explaining this.  It would not be retroactive.

District Newsletter:  A newsletter was discussed.

Director Oring moved and Director ReBell seconded a motion to send a business card with the District’s phone number, address and website out with the letters that will be sent out in the summer with the new billing.  Motion carried.

SBVFD T-shirts:  Chief displayed the SBVFD logo t-shirts.  They are great.  The volunteers will receive a shirt with their name on it.  The Board members and secretary will also receive a shirt. 

Director ReBell moved and Director Oring seconded a motion to offer to the public        t-shirts for a donation of $20.00 each to the Fire Department.  Motion carried.

ADJOURNMENT: The next meeting will be held on April 15, 2013, 6:00 pm.  With no further business to conduct, the meeting was adjourned at 6:50 p.m.
BOARD MEMBERS SIGNING OF BILLS: Approved in the Consent Calendar.

Respectfully Submitted,
_____________________________
Sandy Jansen, Secretary
Note: There is a voice recorded transcript of these minutes.









General Manager Notes
Martin Balding, General Manager
NO SPILL REPORT: The no spill report to the state has been made for the month of February.
LIFTS STATIONS AND PONDS: The lift stations and ponds have been working well with an average flow from mid February to date of 5,491 gallons per day. In 2005, for the same time period, the flow averaged 5,161 gallons per day. The ponds are now opening as the ice melts and now the water levels can be recorded. There is some overflow into pond three which has over a foot of water in it. Pan evaporation was one inch for the past week.
SENSAPHONES: Both Sensaphones for Buck's Bay and Stones have been programmed and installed with conversions to use AA batteries that The District receives for free from Duracell.
PRECIPITATION: Rain and snow have given us 1.2 inches since the first of January, plus 7.72 earlier, for a total of 8.92 inches for the season, ahead of last year but not enough to bring the lake up as far as it was last spring.
HOMEOWNER SYSTEMS: There was one call for an electrical problem at a residence and I responded to check it out. LMUD came promptly to correct it. The homeowner did have damage to some appliances but the wastewater system was okay.
LATE PAYMENT COLLECTIONS:Sandy can give a report on receivables. One that has been overdue for some time is being paid as the house is sold.
WARMER WEATHER: The fresh water to the lift station has been turned on again for the season, filters were cleaned and the generator was run. The ice is starting to melt on the ponds and the road up is good.
FENCE WORK: Contractor Mike Engman reviewed work to be done for the District involving our wastewater enclosure fence and also the installation of a check valve on the main force line to the ponds. He will do the fence work and bill us. He will give us a quote for the installation of a check valve. Fred Nagel, engineer for the original system, has been contacted regarding the installation of a check valve.
Martin was away for a week and Dennis Glenn covered. He has been paid $100.00






 March 2013 Treasurer’s Report for February 2013 activity


Balances as of February 28, 2013

Accounts at Lassen Co.
                                                                                   
Fire District:      Balance                        $   78,590.46  

Sewer District:   Balance                       $ 122,176.76

Capital Improvement Fund: Balance      $ 247,283.70

Other accounts:

 Petty cash        (Checking)                   $     2658.18







Tuesday, March 19, 2013

STONES-BENGARD COMMUNITY SERVICE DISTRICT REGULAR BOARD MEETING
509-695 Stone Road, District Office, Eagle Lake, Susanville, CA 96130
Phone & Fax: (530) 825-3350
E-mail stonesb@frontiernet.net
Monday, February 18, 2013 at 6:00 p.m.
APPROVED MINUTES
ROLL CALL: Meeting was opened by Chairman Shapiro at 6:00 pm. Present: Chairman Sam Shapiro, Directors Kay Oring, and Ron ReBell. There are two vacancies on the Board. Also present were Fire Chief Ron Cromer, General Manager Martin Balding and secretary Sandy Jansen. We have a quorum.
CONSENT CALENDAR:ADDITIONS/DELETIONS/APPROVAL of February 18, 2013, agenda items.
APPROVAL OF January minutes.
APPROVAL OF PAYMENT OF BILLS for January 2013: Sewer $2,268.63: Fire $547.95. APPROVAL OF TREASURER'S REPORT, by Kay Oring:
For January 31, 2013: Fire District $79,142.49; Sewer District $122,701.46; Capital Improvement Fund $247,283.70. Checking account petty cash $2,744.24.
A motion was made by Director ReBell with a second by Director Oring to accept the February Agenda, approve Minutes for January and to approve the payment of January bills, Sewer $2,268.63; Fire $547.95 and the Treasurer's Report. Motion Carried.
COMMITTEE REPORTS:Fire Chief Cromer
reported that he has picked up a newdiesel Hale pump from Calfire that from Sierra Army Depot. Calfire will sign the lease agreement and it will be sent back to our office and filed. Chief said that we need new batteries for Engine 1822.
General Manager Balding's report was read and is attached. Discussion was held on the RV Park and their delinquencies. Today Judy Cable brought in a check for the remainder of 2012 sewer fees. She also brought a letter outlining her concerns regarding the water well on her property. This letter will be addressed.
There was a hydrology class on wells and groundwater in Susanville last month and Martin attended. The class was very relevant to this District and continuing education credits were earned.
Martin wants to thank Chief Cromer for his diligence in acquiring the very useful pump. It will fit in the back of the snow removal pickup .
Secretaries Report: There were 87 web hits last month. The computer is not resolved yet. We are still working on it. A list of delinquent properties for sewer fees was presented. A letter was received from IRS regarding a payment still due on December 2010 quarterly federal payroll taxes. (Form 941). The amount due is $60 with penalties equaling a total of $86.06. The Board decided to pay the bill from Petty Cash Fund.
Board Member Report: none 
PUBLIC COMMENT
: There was no public comment.CORRESPONDENCE: Mariners: The letter from Mariners was read to the Board.
Call Summary: The 2012 call summary was received and reviewed by the Board.
OLD BUSINESS:The Cal Fire Grant
: The Chief has ordered the nomex hoods and fire shelters that were awarded on the grant. They should arrive next week. The boots will be ordered later. Carbonite Installation: We are still working on it. Purchase Locally First Policy: The policy was passed and signed and a copy is attached.Form 700, Fair Political Practices: The forms were passed out, filled out and will be filed in this office. Susan Osgood of Lassen County Clerk's office will be contacted to insure that filing these in our office is the correct procedure. There will be blank copies for new directors. Volunteer T-shirt Purchase: Director Oring moved and Director ReBell seconded a motion to direct Chief to order approximately four dozen t-shirts not to exceed $1,000. Motion carried.NEW BUSINESS:Review Accounts Receivable
: The list was reviewed. A letter will be sent to the Mariners. No other action on other properties at this time.Plumas Bank Signature Card: Resolution 12/13-01 states that the Board Chairman, Vice-chairman, Treasurer and Secretary shall have authority to sign on the Petty Cash Fund. Therefore Sandy Jansen will be added to the signature card. Director ReBell moved and Director Oring seconded a motion to add Secretary Sandy Jansen to the signature card for the Petty Cash fund. Maryanna Replogle will be taken off and Sandy Jansen added and the others, Shapiro and Oring, will remain the same. Motion carried.Volunteer Fire Chief Job Description: The Board, Chief Cromer and Martin Balding will review and revise the Chief's Job Description to fit this department.Secretary Review: Martin Balding said all is going well with new secretary. Director Oring moved and Director ReBell seconded a motion to increase Secretary's hourly rate to $15.00 per hour. Motion carried. Sandy Jansen is very grateful and says a big thank you to the board.Batteries for the Fire Engine: New batteries for the fire engine are needed. The Board authorized Chief to purchase the batteries on CalCard under maintenance. ADJOURNMENT: The next meeting will be held on March 18, 2013, 6:00 pm. With no further business to conduct, the meeting was adjourned at 6:45 p.m. BOARD MEMBERS SIGNING OF BILLS: Approved in the Consent Calendar. Respectfully Submitted,
_____________________________
Sandy Jansen, Secretary
Note: There is a voice recorded transcript of these minutes.