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Minutes May 18, 2009
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CORNERSTONES MUNICIPAL UTILITY DISTRICT
Cornerstones Municipal Utility District
Minutes of Meeting of Board of Directors
May 18, 2009
The Board of Directors of Cornerstones Municipal Utility District (the “District”) met at 805 Hidden Canyon, Katy, Harris County, Texas at 7:00 p.m. on May 18, 2009, in accordance with the duly posted notice of said meeting, with a quorum of Directors present as follows:
Tony Garza, President
Gary Hughes, Vice President
John Irwin, Secretary
E.C. Norris, Assistant Secretary
Darryl Box, Investment Officer
And being absent:
None
Also present were Kathie Naumow, Recording Secretary; Terry Holland of Myrtle Cruz, Inc.; Dusty Lane of SouthWest Water Company; Brenda McLaughlin of Bob Leared Interests; Marvin Zahradnik of Landev Engineers, Inc.; Mark Brooks of Young & Brooks and Noah Worley of DHK Development, Inc.
The meeting was called to order at 7:04 p.m. and declared open for such business as might come before it.
1. APPROVE MINUTES OF PRIOR MEETINGS;
After discussion, upon motion duly made, seconded and unanimously carried, the Meeting Minutes of the April 20, 2009 meeting were approved pending corrections.
2. QUESTIONS/COMMENTS FROM THE PUBLIC;
N/A
3. APPROVE AMENDMENT TO ENERGY SALES AGREEMENT WITH SUEZ;
Mark Brooks received an email from Suez Energy with a change to the agreement extending the due date for payments by the District. After discussion, upon motion duly made, seconded and unanimously carried, the Board approved the amendment presented by Suez.
4. CONSIDER CONSULTANTS' REPORTS, AS NEEDED;
a. TAX ASSESSOR/COLLECTOR'S REPORT,
Brenda McLaughlin of Bob Leared Interests, the District's Tax Assessor/Collector, presented the Tax Assessor/Collector report to the Board. Taxes Receivable 8/31/2008: $26,557.41, Reserve for Uncollectable's $1,539.88; Adjustments $9,432.99. Original 2008 Tax Levy: $1,090,108.87, Adjustments $85,720.99. Total Taxes Receivable: $1,210,280.38. Prior Years Taxes Collected $16,556.01; 2008 Taxes Collected $1,153,514.73. Taxes Receivable at 4/30/2009: $40,209.64. 2008 Receivables: Debt Service $11,744.81; Maintenance $10,570.32. Month of 4/2009: Beginning Cash Balance $84,380.25; Total Receipts $13,938.82, Total Disbursements $45,296.61, Cash Balance at 4/30/2009 $53,022.46. Total Disbursements for the month of May 2009: $17,861.66, Remaining Cash Balance $35,160.80. The District is 99.999% collected for 1999, 100.00% collected for 2000, 99.978% collected for 2001 taxes, 99.998% for 2002 taxes, 99.979% for 2003 taxes, 99.948% for 2004, 99.842% for 2005, 99.764% for 2006, 99.075% for 2007 and 98.102% for 2008. Brenda presented to the Board a copy of the latest delinquent list and reported the second set of delinquent statement are being sent out.
After discussion and upon motion duly made, seconded and unanimously carried, the Board approved the Tax Assessor/Collector's Report and payments of the tax bills presented and also approved the payment plan request.
b. FINANCIAL ADVISOR,
N/A
c. OPERATOR'S REPORT,
Dusty Lane of SouthWest Water Company, the District's Operator, reported on the Districts operations and facilities, and presented the April 2009 Operations Report. Total Connections were 1502. Meter Installations and Inspections for Mar 14 - Apr 13: New Taps Installed - 0; Sewer Inspections Completed - 0; Builder Inspections completed - 1; Customer Service Inspections completed - 0; Net Rental Meter Change - 0. The required 7 samples were taken during April 2009. TCEQ Chemical Analysis: Metals 12/4/06; Radio-Chemicals 08/11/05; Volatile Organic Chemicals 8/11/05; Minerals 5/18/06; Trihalomethane Gasses (THMs) 8/30/2007 and Halocacetic Acids (HAAs) 8/30/2007. Water Production: Pumped 21,108,000 at Water Plant #1, Total Supplied - 21,108,000, Daily Average - 703,600. Subsidence Information: Estimated Number of Months Available - 14.26, Permit Months Remaining - 5, Percent of Permitted Production - 32.93. Water Accountability is at 95.0 for 03/11/09-04/08/09 and 95.2 for the Four Month Average. Total Operations Charges $21,964.96. Actual work related costs - $14,100.00 for repairs. Total Current Billing $70,286.43. Total Aged Receivables $25,277.60. Total Accounts Receivables $95,564.03. Total Deposits for April 2009 $68,810.26. Disconnects/Reconnects Income: $275.00. Dusty reported on repairs made and presented the Board with a copy of the Cornerstones M.U.D. Delinquent List and the Discharge Monitoring Reports. Everyone has been duly notified of situation and it is being addressed. Dusty will check on the deposit amount held for Cornerstone Ranch and discuss options next month.
Upon motion duly made, seconded and unanimously carried, the Board approved the operator's report and also approved the Consumer Confidence Report and the distribution of the report to customers.
d. ENGINEER'S REPORT,
Marvin Zahradnik of Landev Engineers, Inc., the District's Engineer, presented the engineers report. No new request received. He is still waiting on information from Day Care Center located on the South side of Royal Montreal Drive and West of Mason Road.
Marvin went by the sinkhole on Briarchester and no additional sinking observed.
Upon motion duly made, seconded and unanimously carried, the Board approved the Engineers report.
e. BOOKKEEPER'S REPORT,
Terry Holland of Myrtle Cruz, Inc., the District's Bookkeeper, presented the monthly report. Debt Service Funds available May 18, 2009 - $1,553,292.85. Total Debt Service Requirements for 2009: $1,294,820.00. General Operating: Previous Cash Balance April 20, 2009 - $5,952.89, Total Deposits $77,810.46. Beginning Cash Balance May 18, 2009 - $82,724.49. General Operating Funds available May 18, 2009 - $2,605,584.43. Terry included copies of the Debt Service Calculations for Yield Restriction Report, Cornerstones Energy Report, the Cinco Regional WWTP Improvements Report, Budget for Fiscal Year Ending September 30, 2009, the Investment Report, the Deposit/Collateral Report by District and the Tex Pool Performance sheet.
After discussion, upon motion duly made, seconded and unanimously carried, the Board approved the Bookkeepers report and payment of said bills and ordered checks issued on the appropriate District accounts in payment thereof.
5. CONDUCT HEARING ON TERMINATION OF WATER AND SEWER SERVICE;
The Board conducted a hearing on the termination of utility service. The Operator presented a list of delinquent utility accounts that were delinquent by more than 60 days and reported that the customers have been given written notice 10 days prior to this meeting and the opportunity to appear before the Board of Directors to explain, contest or correct the utility service bill and to show reason why the utility service should not be terminated for nonpayment. None of the customers on the list were present or have presented any statement on the matter.
After discussion, upon motion duly made, seconded and unanimously carried, the Board authorized the Operator to terminate utility service to the unpaid accounts in accordance with standard procedures.
6. CINCO REGIONAL OPERATING COMMITTEE REPORT;
Tony Garza was unable to attend the Cinco Regional Operating Committee meeting but has a meeting scheduled with Doug Baker and John Savage Thursday at 11:30 to get an update. Dusty Lane has some information from the meeting. Presented at the meeting were three basic proposals with drawings which Dusty will get a copy to Tony Garza and the Board. Tony Garza will relay information from his meeting on Thursday to the Board.
7. AUTHORIZE ANY NECESSARY ACTIONS WITH RESPECT TO GREENBELT TRACTS; AND
John Irwin reported the barricade has been repaired. Chip Norris attended the Fort Bend Water Authority Meeting. Ft. Bend Appraisal District sent out an email with information on their move. Our quarterly cost is $12.75.
8. PENDING BUSINESS;
N/A
After concluding and there being no further business to come before the Board, the meeting was adjourned at 7:47 p.m.
_______________________________
Secretary
Attachments: Bookkeeper's Report
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