Trustee Agenda – Thursday, March 16, 2017

The Combined Lake Delhi Recreational Facility and Water Quality District

Thursday, March 16, 2017

6:30 p.m.

Lake Delhi Trustees Administration Building

Delhi, IA

 

  1. Call to Order
  2. Approve Agenda
  3. Consideration and approval of minutes of Previous Meetings
  4. Consideration and approval of Payments
  5. Review Financial Reports
  6. Consideration and possible action on amendment to the previously entered agreement with Rock Nook regarding dock/lift placement.
  7. Consideration and possible action on an annual service agreement with Rotork for the mechanical gate equipment.
  8. Committee Updates – Beach Maintenance, Lake Recreational Maintenance Issues, Dredge, Dam Operations, Water Quality, Funding/Finance, Legislative
  9. Public Comment
  10. Adjourn

Minutes from March 9, 2017

The Combined Lake Delhi Recreational Facility and Water Quality District

Special Meeting

Thursday, March 9, 2017

5:00 p.m.

Lake Delhi Trustees Administration Building

Delhi, IA

 

A special meeting of the Combined Lake Delhi Recreational Facility and Water Quality District was called to order by President Steve Leonard at 5:00 p.m.

Trustees present: Kramer and Leonard. Herman, Colgan, Havertape & Burger by phone

Absent: Gifford

Visitors: Ed Schmidt, Dave Larson and Larry Aschbrenner

A motion was made by Kramer, second by Burger to approve the agenda.

Leonard presented three quotes for beach maintenance and mitigation at Lost Beach. Those quotes were: Delaware Transfer for $7,100, Hughes Advanced Industrial Services for $8,450, and B & G Trenching for $16,450. A motion was made by Burger, second by Herman to accept the low bid from Delaware Transfer. Motion carried

There was no public comment.

Motion by Kramer, second by Burger to adjourn. Motion carried.

 

Minutes from March 2, 2017

The Combined Lake Delhi Recreational Facility and Water Quality District

Thursday, March 2, 2017

6:30 pm

Lake Delhi Trustees Administration Building

Delhi, IA

 

The combined regular and special meeting of the Combined Lake Delhi Recreational Facility and Water Quality District was called to order by President Steve Leonard at 6:30 pm.

Trustees present: Leonard, Kramer, Burger, Herman, Havertape (phone), Colgan (phone), Gifford (phone)

Trustees absent: None

Public present: Dave Larson, Jason Wenger, Nancy Hurt, Pete Buschmann, Doug Camp, Larry Aschbrenner

Recording secretary: Shelley Kallenbach

Motion to approve the meeting agenda as read made by Burger, seconded by Herman, motion approved.

The public hearing for the FY 2017/2018 budget was opened at 6:30 pm. Kramer presented a budget listing estimated expenditures and revenue sources for fiscal year 2017/2018. This includes a proposed taxation rate of $4.00 for the General Fund and 7.13909% for Debt Service. It was noted that the Debt Service taxation rate went from 7.4775 to 7.13909 due to increased valuations.  Kramer also noted that the property tax revenue will increase from $253,065 to $265,212 due to increase property valuations. It was reiterated that the budget numbers for 2017/2018 are estimates.

The floor was opened for public comment.

Nancy Hurt asked if the proposed taxation rate of 11.13909 was broken down by the General Fund and Debt Service Funds. It was confirmed that this amount was the combined total between the applicable funds and would be the number that would be seen on a resident’s property taxes. Debt service rates decrease as property valuation increases and the community has seen a significant property value increase since the completion of the dam.

Motion to close the public hearing was made by Herman, seconded by Burger, motion approved, public hearing closed at 6:37 pm.

Motion to adopt and file the FY 2017/2018 budget as presented by Kramer made by Burger, seconded by Herman, motion approved.

Motion to approve the January 19, 2017 meeting minutes made by Herman, seconded by Burger, motion approved.

Kramer presented claims for payment. Claims in the amount of $11,960.58 from the General Fund for utilities, ice eaters, dam operation services, warrants, recording fees, lobbyist expenses, publication expenses, signage, legal fees, and miscellaneous supplies were presented. Claims in the amount of $16,050.99 from the Debt Service Fund for engineering services were presented. Burger motioned to approve the payments as presented, Herman seconded, motion approved.

Kramer presented the financial reports. For January, the General Fund had revenues of $2,407.38 and expenditures of $12,432.99, ending January at $268,733.97. The Debt Service Fund had revenues of $4,539.78 and no expenditures, ending January at $189,985.66. The Dam/Spillway Project Fund had revenues of $1,288.64 and expenditures of $123,757.94, ending January at $1,602,616.62. Herman motioned to receive and file the financial reports as read, Burger seconded, motion approved.

The Board considered possible action on mitigation and beach repair work at Lost Beach. This is in reference to the large rainfall event in 2016 that created a rise in the upper portion of the lake. Some damages were sustained to several areas, including Lost Beach. Rich Hughes was asked to be a part of plans for the restoration of Lost Beach as he is an adjoining property owner. The Board is exploring potential reimbursement options for restoration and future mitigation of damages sustained in all portions of the lake, including Lost Beach. The rainfall event was officially declared a federal disaster, and as the District is now considered an eligible entity, it can apply for assistance from FEMA. This assistance means 75% of the funds for repair work would be paid by FEMA, 15% by the State of Iowa, and 10% by the District. In addition, FEMA would allow and fund a plan to protect Lost Beach from future disasters. Herman stated he was reasonably comfortable that FEMA would approve the District’s request for assistance, but the Board must follow FEMA requirements in order to receive assistance, including obtaining three applicable bids for projects.

Rich Hughes outlined his proposal for Lost Beach repair and mitigation work, including repairing the damages and installing a larger drainage ditch and mitigation blocks to prevent future erosion. This proposal is only valid for two weeks, as after two weeks his equipment will be moved and depending on weather may not be available again until late summer 2017. He states he would have the project completed as proposed in 3 days and has all necessary product available.

The Board considered two options: immediately hiring Hughes to complete the proposal and forgo any possibility of FEMA assistance, or obtain two additional bids for the same work in a short time period followed by a special meeting to award the project to allow for FEMA assistance. Opinions on which strategy to select were obtained from each board member. Herman, Kramer, Havertape, Gifford, and Leonard felt it would be fiscally responsible to obtain the two bids necessary to allow for FEMA assistance. Colgan and Burger felt that the bid was such that the Board should move forward with Hughes’ offer.  Colgan also said that the bid from Hughes was representative of the cost of the work to restore the beach and if time was truly of the essence to do the work as presented by Rich Hughes now, that we should proceed with his bid to ensure the beach was restored for the coming recreational season.  Colgan also said that a more detailed study of erosion damage should be done and mitigation resulting form the study should be considered in the future. There is no guarantee that the fix proposed by this proposal would not result in a similar erosion problem in the future.

It was confirmed that Burrington Group would be able to assist with obtaining alike bids in the required two-week timeframe. Concerns about FEMA’s timetable were expressed. Using FEMA for other areas of repair and mitigation but not the Lost Beach requirements was also discussed.

Motion to obtain 2 additional bids, then to hold a special meeting on Wednesday, March 8th at 5 pm made by Herman, seconded by Kramer. Individual votes were sought.

Herman: Yes

Burger: Yes

Kramer: Yes

Gifford: Yes

Havertape: Yes

Colgan: Yes

Leonard: Yes

Motion approved.

The Board heard committee updates.

The Beach Maintenance Committee states that a survey regarding North Beach is yet to be completed to determine the exact location of property lines and District ownership at North Beach. Randy Rattenborg has been waiting for amenable weather to complete this survey.

The Lake Recreational Maintenance Issues Committee states that the ice has caused a great deal of debris to be loosened up and to collect in the labyrinth. This debris does not impact dam operations and removal can be postponed until November to prevent a lake drawdown during boating season.

Also, significant progress between the DNR and Burrington Group has been made regarding the Rocky Nook docks and lifts design. A verbal agreement by the DNR for the Rocky Nook boat lifts and docks has been reached and the District will work toward getting the permitting process completed quickly.

Some individuals voiced concerns related to flooding upstream in the upper portion of the lake. It was reiterated that Stanley Consultants did comparisons of doing a drawdown of the lake prior to a predicted flood event and this had little to no value to preventing flooding in the far upstream portions of the lake. However, the District has asked the DNR to obtain data on what impact a 2-foot drawdown would have on the upstream portions of the lake prior to a predicted flood event.

The Dam Operations Committee states that the dam’s first winter has been a success operationally, with no sustained ice damage or changes to lake level. The volunteers who complete daily dam inspections were recognized for their work. Also, Colgan informed the Board that the Lake Delhi Dam won the Top Engineering Award from the ACEC for the state of Iowa in 2016, finished 3rd in the state of Minnesota, and were in the top 24 engineering projects nationally for the year.

The Board is working with Burrington Group to create text alerts for lake residents in the event of heavy rainfall or potential flooding.

The Water Quality Committee states that the Maquoketa River Watershed Authority has been progressing nicely with more signed parties wanting to participate.

The Funding/Finance Committee pointed out the need to obtain insurance for certain entities as soon as possible. It was stated that a planning workshop for long-term District goals and needs would be good to hold.

The Legislative Committee states that next week there will be a legislative day in Des Moines to increase the voice of the Maquoketa River Watershed Authority regarding water quality and to educate state legislatures about funding for these needs. Also, the law change request to allow the Board to refinance bonds at a lower interest rate if desired has been progressing well.

The floor was opened to public comment.

Larry Aschbrenner informed the Board that on March 19th, The Pizza Place will host the annual guest bartenders event from noon to five pm. There will be a DJ, 50/50, and drink specials. All tips will go toward dam operations and future dredging.

Pete Buschmann introduced himself as a new member of the Delaware County Board of Supervisors.

Dave Larson asked if the DNR would be stocking the lake with crappies. It was stated that they have done some stocking but have more to do. It was confirmed that within two to three years, the fishing in the lake should be very good.

Burger motioned to adjourn, Herman seconded. The meeting was adjourned at 8:00 pm.

Trustee Agenda – Thursday, March 2, 2017

The Combined Lake Delhi Recreational Facility and Water Quality District

Thursday, March 2, 2017

6:30 p.m.

Lake Delhi Trustees Administration Building

Delhi, IA

 

  1. Call to Order
  2. Approve Agenda
  3. Open Public Hearing for FY 2017/2018 Budget
  4. Close Public Hearing
  5. Consideration and possible action on FY 2017/2018 Budget
  6. Consideration and approval of minutes of Previous Meetings
  7. Consideration and approval of Payments
  8. Review Financial Reports
  9. Consideration and possible action on mitigation and beach repair work at Lost Beach
  10. Committee Updates – Beach Maintenance, Lake Recreational Maintenance Issues, Dredge, Dam Operations, Water Quality, Funding/Finance, Legislative
  11. Public Comment
  12. Adjourn

 

Minutes – January 19, 2017

The Lake Delhi Combined Recreational Facility and Water Quality District

Regular Meeting

Thursday, January 19, 2017

6:30 pm

Lake Delhi Trustees Administration Building

Delhi, IA

 

The regular meeting of the Lake Delhi Combined Recreational Facility and Water Quality District was called to order by Trustee Larry Burger at 6:30 pm.

Trustees present: Burger, Herman, Leonard (phone), Colgan (phone), Havertape (phone), Gifford (phone)

Trustees absent: Kramer

Visitors: None

Recording secretary: Shelley Kallenbach

Motion to approve the meeting agenda as posted made by Herman, seconded by Colgan, motion approved.

Motion to approve the December 15, 2016 meeting minutes made by Herman, seconded by Burger, motion approved.

Claims for payment were presented. Claims for a total of $12,432.99 for office electricity, internet, dam operations, printer maintenance, election expense, miscellaneous supplies, snow removal, lobbyist expense, trash removal, LP gas, and a storage shed were presented from the General Fund. Claims for a total of $123,757.94 for the final payout for both Phase I and Phase II construction were presented from the Dam/Spillway Project Fund. Colgan motioned to approve the payments as presented, Burger seconded, motion approved.

The financial reports were presented. The General Fund had revenues of $2,048.80 from Delaware County and interest, and expenditures of $45,902.74, ending December at $278,759.57. The Debt Service Fund had revenues of $3,897.31 and no expenditures, ending December at $185,445.88. The Dam/Spillway Project Fund had interest revenues of $1,250.25 and expenditures of $78,533.33, ending December at $1,725,085.92. Havertape motioned to receive and file the financial reports as presented, Herman seconded, motion approved.

Motion to set a public hearing to approve the FY 2017/2018 budget for March 2nd, 2017 at 6:30 pm made by Herman, seconded by Colgan, motion approved.

The Board considered possible action on Stanley Supplemental Agreements #47, 48, and 49. Supplemental Agreement #47 for $5,000 is for work done between October 1 and January 1, and takes care of remaining engineering services by Stanley for the flood event of September 22nd. Supplemental Agreement #48 for $2,500 is money already set aside for Stanley to provide information for the penalty clause settlement with GCI. Supplemental Agreement #49 relates to the soil boring work and closes out engineering services. These supplemental agreements close out payments done for work completed in 2016. Future work will require task by task authorization and could be completed by a different firm. Motion to approve Supplemental Agreements #47-49 made by Herman, seconded by Havertape, motion approved.

The Board heard committee updates.

The Beach Maintenance Committee states that Burrington Group is putting together a scope of services for the replacement of the riprap on Lost Beach prior to the disaster event. Project worksheets will then be made. Residents and involved parties will be consulted to seek a mutually agreeable way to handle storm water for preventing future problems, as well as seeking FEMA financing for preventative measures.

The Lake Recreational Maintenance Issues Committee had no updates.

The Dredge Committee had updates on the right of first refusal situation with the transfer of the dredge property to District ownership. After significant negotiation between both parties’ legal teams, the right of first refusal has been signed off, removing the remaining block for ownership transfer. This is important in the eyes of resolution with Homeland Security and FEMA to close out the projects.  The LDRA is aware and is working on it as it needs to be signed overs as quickly as possible.

The Dam Operations Committee states that after six weeks of winter operations and significant temperature swings, the dam has operated very well and maintained lake levels. The gates have automatically opened and closed once to maintain lake level. The new Gate #2 has been installed and operates well

The Water Quality Committee has been having success with the formation of the Watershed Authority, with close to 50% of the potential members signing on board with more meetings forthcoming. None have asked for changes.

The Funding/Finance Committee reminded the public of the public hearing for the 2017/2018 FY budget on March 2, 2017 at 6:30 pm.

The Legislative Committee states that the lobbyists are working on financing and are eager for more information regarding the Watershed Authority and the potential for additional funding this may make available.

A wrap-up meeting for the Celebration Committee will be planned to discuss the outcomes of the lake celebration. The Celebration Committee may be interested in discounts on future fireworks displays that come from scheduling in advance.

There was no public comment.

Motion to adjourn made by Herman, seconded by Burger. Meeting adjourned at 7:04 pm.

Trustee Agenda – Thursday, January 19, 2017

The Combined Lake Delhi Recreational Facility and Water Quality District

Thursday, December 15, 2016

6:30 p.m.

Lake Delhi Trustees Administration Building

Delhi, IA

 

  1. Call to Order
  2. Approve Agenda
  3. Consideration and approval of minutes of Previous Meetings
  4. Consideration and approval of Payments
  5. Review Financial Reports
  6. Consideration and possible action on establishing a date for a public hearing to approve the FY 2017/2018 budget
  7. Consideration and possible action on Stanley Supplemental Agreements #47, #48 and #49
  8. Committee Updates – Beach Maintenance, Lake Recreational Maintenance Issues, Dredge, Dam Operations, Water Quality, Funding/Finance, Legislative
  9. Public Comment
  10. Adjourn

Minutes – December 15, 2016

The Combined Lake Delhi Recreational Facility and Water Quality District

Thursday, December 15, 2016

6:30 pm

Lake Delhi Trustees Administration Building

Delhi, IA

The regular meeting of the Combined Lake Delhi Recreational Facility and Water Quality District was called to order by President Steve Leonard at 6:30 pm.

Trustees present: Leonard, Kramer, Herman, Burger with Colgan, Gifford, and Havertape participating by phone.

Trustees absent: None

Guests: Dan Ward from General Constructors, Inc., Chip Hughes, Ed Schmidt, and Deb Burger

Motion to approve the agenda as posted made by Burger, seconded by Herman. Motion carried.

Motion to approve the November 17, 2016 meeting minutes was made by Burger, seconded by Herman. Motion carried

Kramer presented payment claims for approval. Payments from the General Fund in the amount of $45,902.74 for electricity, supplies, internet/phone, copier usage, lobbyist, asphalt work, guardrail installation, electrical work, legal fees and engineering services were presented. Payments in the amount of $5,079.90 for dam operations, debris removal and engineering services were presented from the Dam/Spillway Project Fund. Motion to approve payments as presented made by Herman, seconded by Burger. Motion carried.

Kramer presented the financial reports for November. The General Fund had revenues of $4,396.76 and expenditures of $3,495.81 with an ending balance of $322,613.51. The Debt Service Fund had revenues of $8,265.21 with no expenditures with an ending balance of $181,548.57. The Dam/Spillway Project Fund had revenues of $1,398.52 and expenditures of $27,427.87 with an ending balance of $1,802,369.0. Burger motioned to file the financial reports as read, Colgan seconded. Motion carried.

Steve introduced Dan Ward from General Constructors, Inc.   Dan was present to discuss the late fees relating to the Phase II dam construction delays and Stanley Engineers recommendation as it relates to change order 10.5 that was signed in March.   Dan asked to be put on the agenda so he could explain his concerns regarding the project and the late fees with all the board members. He said his company was very grateful for the opportunity to be a part of the project. He acknowledged that this was for first dam project his company had ever been a part of but noted that his company does heavy civil work which is what this project was.   Dan said his main interest in the project was because he had friends who had a place on the lake and he was familiar with the area. When he saw the damage that was left from the breach of 2010 he felt compelled to help. From a timing standpoint his company also had the resources available so it made sense to bid the project.   He explained that the company left over a $1m dollars on the table. He did a lot of re-evaluating of his numbers but he said he felt comfortable with them and the plan for the project. He said the project got off to a good start until June 15th when the cofferdam broke. He said his company takes full responsibility for that but said they were able to work through it although it caused a month delay. That event was very instrumental that caused a lot of issues moving forward. The next setback they encountered was the unsuitable materials below the earthen embankment dam. They had to pay to have the unsuitable material removed and also had to bring more till in. It was difficult to find the right material and the quantity went up by 120%. That work pushed the project into the winter months. The wet weather during the winter months created many problems.   On December 14th the high flows almost breached the upstream cofferdam and they decided to open the gates and sacrifice the downstream cofferdam which flooded the work on the lower side. That created more delays.   In January, February and March there was very little progress.   Trying to install the till materials to 100% compaction was very difficult given the weather conditions. Once the weather broke things progressed quickly and the concrete work started moving forward. In March there was an agreement made to compensate the District for the engineering services provided by Stanley for the months of March and April plus liquidated damages for every day past May 1st. Dan stated his interpretation of “substantial completion” was defined as being able to pass water over the structure which he thought meant having the C & A slabs done. Then in subsequent discussions Bill Holman stated all the concrete work needed to be done before water could pass and then he also stated the cut-off wall needed to be done as well as fill around the sheet pile. The materials needed were changed to till material which caused a two week delay. Then the final definition of “substantial completion” was that the cofferedam needed to be removed and be inspected by the state. Dan felt the “substantial completion” definition was a moving target from the time of the initial agreement. The last obstacle was to get the cofferdam out of the water. Even though a two week extension was given to GCI, the delay caused the removal of the cofferedam to occur during a high water situation. In order to do that they mobilized more equipment and had to bring in more rock material to keep the equipment out of the water. Overall, the June failure of the cofferdam created more work, more overtime, more sub-contractor costs and more equipment costs. Dan said he felt his company did it’s best to get the dam project completed. In summary, Dan said the project was important to his company and they gave it special attention. He felt they provided the District with great value on bid day. He noted that they certainly underestimated the risk. He stated the cofferdam failure was their fault. But he noted that they had other existing issues that created the problems such as unsuitable materials. He said his company made the best effort they could to get the lake back. He felt the project started well and finished well because the lake is back. He understands that there were extra costs to the District with Stanley because of their delays and he accepts that but noted those costs were not close to the $1M that GCI gave us on bid day. Dan said he would accept whatever settlement on late fees that the Board felt is fair. Leonard thanks Dan for his information.

Leonard shared with the Board the information he was given by Bill Holman from Stanley Engineering regarding the additional costs to the District for the construction delays.   The total costs from March through July was $80,715.37. Leonard stated that Bill’s numbers are conservative and that these are the numbers Bill felt comfortable with.   Initially, Bill’s figures were in the $105,000 range. The $30,000 difference equates to 15 days at $2,000 per day which can be related to the two week delay that created issues dealing with the removal of the cofferdam. Colgan made a motion to reduced the retainage owed to GCI by $80,715.37, Kramer seconded the motion. Dan Ward asked that Stanley give him a change order based on the decision by the Board so that he can complete the contract and have an accurate paper trail. Leonard asked for comments from the Board. Colgan thanked Dan for coming to the meeting. He stated Phase II was not an easy project. He agreed with the timeline of that project that Dan presented.   Colgan agreed that Dan and his crew did the very job given the issues that were created by time delays. He also comments that we got great value for the project.   Burger asked for clarification on the retainage. Herman asked if we settle at $80,715 do we take the “substantial completion” out of the picture. Dan Ward stated the $2,000 /day was to cover Stanley’s costs. Leonard said he thought it was an arbitrary number. Colgan commented that it was his understanding the number came from taking Stanley’s average monthly bills and dividing them by 30 days to get to the $2,000 figure.   Dan stated the $80,715 is to cover the charges from Stanley. Herman stated that he felt with the quality bid we got and the quality project we got there should be no reason to go higher that the $80K. Gifford said he agreed with that figure. Havertape said he knows the project was frustrating and he felt comfortable with the settlement. Leonard acknowledged that the project was confronted with all kinds of issues including weather and soil compactions. The point of the settlement was to recoup our additional costs.   Kramer added that she attended the weekly construction meetings and saw firsthand the frustrations the crew was going through trying to get the right compactions through the winter months. She felt they did their very best and is extremely pleased with the outcome. Leonard added that by having Dan involved in the project it showed his commitment to getting the job done.  He was impressed by the additional time, energy, financial resources and commitment that Dan put into the project. Dan added that the quality of the project was very important to GCI. Colgan commented that the labyrinth spillway slopes six inches downstream and the water flows over uniformly. That was done perfectly. Leonard asked for a vote by the Board. All members voted to approve the motion.

Leonard asked Colgan to speak to the Board regarding the quote he received from Rotork on a spare gearbox/actuator. Colgan stated he’s been working with Rotork since last summer to come up with spare parts that the District would need to adequately insure operations 20 plus years into the future. He received their quote this past week and forwarded a copy to all the board members to review. Basically, there are three pieces of equipment that we need. A spare motorized actuator, spare gearbox and a spare threaded drive bushing. He explained how each piece of equipment works and why they are needed. The total cost is $38,265 which is one fraction of one percent of the total project. He stressed that it’s a 14-16 week delivery and the need for the parts is crucial because without them any problems we encounter in the future would cause multiple issues that we don’t want to have to deal with. Burger asked Colgan where the parts would be stored. Colgan stated he would recommend shipping them to Lunda since we have a service agreement with them through 2017. Eventually we would store in our facility but right now that area is not cleaned up and not suitable for storage. That is something we will need to address in the future. Burger made the motion to purchase the equipment from the Rotork quote for $38,265. A second to the motion was made by Herman.   Leonard asked for any other discussion. Herman asked about the shelf life of the equipment. Colgan said he felt they should be good for at least five years or more at which time we could send them back to be re-serviced if necessary. After more discussion regarding the gearbox Colgan stated that a service agreement with Rotork is being work out that would include inspection of equipment and repair work. Leonard asked for a vote. All ayes. Motion carried.

Leonard asked Colgan to highlight the next agenda item regarding a pay down of the Lunda Construction retainage.   Our current retainage is around $120,000 which we’ve held for over 18 months. The issue has always been the gate we just talked about. Now that we can quantify what’s left which is under $15,000 worth of work we should be able to release some retainage.   Bill Holman has given us his recommendation and an invoice from Lunda for the release of $73,453.43. Colgan suggested we hold off until January and resolve the retainage at our next meeting. Kramer explained that we have a specific invoice for the $73,453.43 and suggested we should pay that amount this month.   It was again noted the only thing left for Lunda is to finish the gate work so paying this invoice still gives us a cushion of around $50,000. A motion was made by Herman, second by Burger to approve the partial payment release of $73,453.43. Motion carried.

Leonard asked Kramer to present information relating to the next agenda item concerning closing out the current Stanley Consultants supplemental agreements and move towards a “service as requested” agreement. Kramer indicated that at the time Stanley was hired as our dam engineering firm specific tasks were developed relating to different aspects of the rebuilding process. Now that the project is almost complete there’s little invoicing left from Stanley that relates to the dam rebuild.   Kramer has talked with Bill Holman from Stanley and he indicated that there’s some invoices left that relate to Phase II but it would appear that once those are paid we can close out the project with Stanley and move to a “service as requested” agreement which would mean as projects develop that we need their services they would quote as an amount per project. Leonard mentioned that Kramer as well as himself have had conversations with our county auditor, Carla Becker, who would like to see us move to closing out the project which includes not only Stanley but Lunda and GCI as well. Kramer also mentioned that once the closeout is complete we will be able to move the remaining funds from our Dam Spillway Fund into our General Fund as it was a sub-fund of the General Fund from the beginning. Burger asked if the Board will have discussions regarding any service agreement with Stanley before they are hired to do any other projects for the District. Leonard stated that is correct. What makes sense is to clean up the current contract and start fresh with agreements for projects that don’t relate to the rebuild project. Kramer asked Colgan to explain some projects he’s aware of that will need attention from Stanley. He stated that one project is the damaged done to the downstream riprap from the September 22 flood than needs to be re-done. FEMA may be involved in the project but it’s work that needs to be done in 2017. Another project is the erosion problems we have near the SCADA building on the south side of the dam. Leonard stated that we know there will be areas around the dredge site that Stanley is going to be involved in. Leonard said to answer Burger’s question he thinks it would be important for the Board to make a master list of projects that need Stanley’s services and then put a contract into place for each project with a “not to exceed” dollar amount.   Kramer indicated the actual close out with Stanley for the dam rebuild will occur in January and after that the Board can look at service agreements with Stanley for future projects as needed. No action on this agenda item was taken.

The next agenda item was regarding a possible change in the monthly meeting date. Gifford stated that since we’ve had our meetings on Thursday for years and since some times family events fall on Thursday nights he thought maybe we could change the date. Kramer expressed concerns that Monday and Tuesday nights are not particularly good nights and that she would like the meetings to remain in the third week of the month because she has to prepare the financial reports after she receives them from the county and that usually happens in the second week of the month.   Both Herman and Burger stated that Monday and Tuesday nights are their busy nights because of business meetings. Burger suggested that possibly we could hold the meetings on a Wednesday or Thursday depending on schedules. Leonard suggested the possibility of have the meetings on a six month rotation where the first six months the meetings are on Wednesday and the second six months they would be on Thursday.   Kramer said she feels people have an expectation that our meetings will be on a certain day of the month. Herman agreed. With no motion made, there was no action.

Committee Updates:

Beach Maintenance – Leonard asked Herman to give a brief update regarding recent discussions with FEMA. Herman stated there are three or four potential projects that the District could look at based on the 2016 flood. One of those projects includes Lost Beach. Herman stated that he has met with FEMA representatives several times and they have been to the area to review and take pictures. They agree we are eligible for funds because it is a public beach. They would put together a project to restore the beach at 75% cost to FEMA, 15% District and 10% state. They also stated that if the District could provide them information that this could be a reoccurring type of damage and present to the them a proposal called a “hazard mitigation” project we could possible get additional funding for protective measures around the beach. Herman stated it would be nice to include some sedimentation catch although he does not know if FEMA would consider that as part of flood prevention. Herman said he has talked with Burrington Group because we will need their help in putting together the scope of the project. Leonard asked if there needs to be three bids. Herman stated we aren’t required to have three bids but it would be best if we did that or evidence that we sought other bids. Herman mentioned other projects that might be eligible for FEMA funds include debris removal. There’s debris sitting on the spillway and there’s debris below the spillway. If the overall cost is $3,000 or more we could possibly get some fund. The money spent having experts on the dam the day of the flood event falls into a “protective” measures category and we may be eligible to be reimbursed for those costs. Another project could be the work done to pull out the riprap after the flood event. They would pay us back for that because the work was done as an emergency protection measure even though we didn’t bid it because the work needed to be done right away. We could potentially look at funding to re-do the riprap if we could get a scope of the project and bids.   Leonard asked Herman if he was wanting guidance from the Board to get Burrington Group involved in putting together a scope of services for the Lost Beach project and Stanley Engineering for the riprap project. Herman stated he needs direction from the Board to getting moving in the next few weeks. The general concensus was to have Herman move forward to organize what is needed to move forward.  Burger expressed concern that the Board needs to work with the private landowners.

Lake Recreational Maintenance Issues – No report

Dredge – No Report

Dam Operations – Colgan commented that the bubblers are working on the dam and we will be watching for spring runoffs in the future

Water Quality – Leonard said December and January regarding the Watershed Management Authority. There’s a total of 58 eligible members including cities, counties, soil water conservation districts, etc.   Things are moving well and hoping to get a large grant in the near future

Finance/Funding – Kramer reported that she has picked up the budget worksheets for our next fiscal year and will be starting the process to build next year’s budget after the holidays.

Legislative – Leonard mentioned that we are working to get adjusted language approved to help us with the refund of bonds and that our lobbyists are working on this along with Lee Hein and Dan Zumbach.

Public Comments:

Chip Hughes said he found it interesting that there was a statement made there was flood damage done to Lost Beach. He wasn’t aware of the damage.

Ed Schmidt said he noticed that in the Manchester Press there are grants available through the Future Foundation of Delaware County and was wondering if that is something the District could participate in. Kramer stated that she thought you needed to be a non-profit organization to get grant money but would check into it.

Motion to adjust by Burger, second by Kramer. Motion carried. Meeting adjourned at 8:10 p.m.

Trustee Agenda – Thursday, December 15, 2016

The Combined Lake Delhi Recreational Facility and Water Quality District

Thursday, December 15, 2016

6:30 p.m.

Lake Delhi Trustees Administration Building

Delhi, IA

 

  1. Call to Order
  2. Approve Agenda
  3. Consideration and approval of minutes of Previous Meetings
  4. Consideration and approval of Payments
  5. Review Financial Reports
  6. Presentation by Dan Ward from General Constructors, Inc. regarding Phase II late fees
  7. Consideration and possible action on a settlement of late fees with General Constructors, Inc.
  8. Consideration and possible action on Rotork Quote for spare gearbox/actuator
  9. Consideration and possible action on pay down of Lunda Construction retainage
  10. Consideration and possible action on closing out the current Stanley Consultants supplemental agreements and move towards a “service as requested” agreement for 2017
  11. Consideration and possible action on changing the monthly meeting date of the Board of Trustees
  12. Committee Updates – Beach Maintenance, Lake Recreational Maintenance Issues, Dredge, Dam Operations, Water Quality, Funding/Finance, Legislative
  13. Public Comment
  14. Adjourn

Minutes from November 17, 2016

The Combined Lake Delhi Recreational Facility and Water Quality District

Thursday, November 17, 2016

6:30 pm

Lake Delhi Trustees Administration Building

Delhi, IA

 

The regular meeting of the Combined Lake Delhi Recreational Facility and Water Quality District was called to order by President Steve Leonard at 6:35 pm.

Trustees present: Leonard, Kramer, Burger with Colgan, Gifford, Herman and Havertape participating by phone.

Trustees absent: None

Guests: Randy Rattenborg

Motion to approve the agenda as posted made by Burger, seconded by Kramer. Motion carried.

Motion to approve the October 20, 2016 meeting minutes and October 27, 2016 work session notes was made by Colgan, seconded by Burger. Motion carried.

Kramer presented payment claims for approval. Payments from the General Fund in the amount of $3,619.82 for electricity, supplies, internet/phone, copier usage, port-a-potty rentals, lobbyist, insurance and software license were presented. Payments in the amount of $27,427.87 for dam operations, riprap work, and engineering services were presented from the Dam/Spillway Project Fund. Motion to approve payments as presented made by Herman, seconded by Kramer. Motion carried.

Kramer presented the financial reports. The General Fund had revenues of $19,478.76 and expenditures of $27,539.99 ending October at $321,712.56. The Debt Service Fund had revenues of $36,406.86 and expenditures of $110,138.75 ending October at $173,283.36. The Dam/Spillway Project Fund had revenues of $1,411.02 and expenditures of $345,766.24 ending October at $1,828,398.35. Burger motioned to file the financial reports as read, Leonard seconded. Motion carried.

Colgan presented information regarding riprap options resulting from the September 2016 flood event.   He indicated that due to the heavy rains from the September event, the riprap on the north downstream side was dislodged.   With the exposed concrete walls that were uncovered this fall, the need for the riprap has changed. Colgan is working with the DNR to see if the District can extend the riprap further downstream. Since this is DNR property approval would require a permit from them and we may or may not get that approval. The cost to move the riprap would be approximately $17,000.   If we have to remove the riprap the cost could increase significantly to approximately $40,000 to $60,000. Colgan said the work isn’t critical to the operations of the dam but it is work that will need to be taken care of sometime in early 2017.     Leonard asked if there was a need for riprap on the south side upstream area. Colgan said there is not need for riprap in that area. Colgan stated no action was needed tonight. This was information to bring the Board up-to-date.

Leonard made a presentation regarding the Watershed Management Authorities that he worked on with both Gifford and Herman. He mentioned that there had been talks in the past about funding sources that can be utilized for watersheds. Larry Murphy, one of our lobbyists, brought this to the Board’s attention some time ago and since then there have been 7-10 meetings with key stakeholders around the area including Delaware County, Delaware Co. Conservation, City of Monticello, Jones Co. Supervisors, etc.   Leonard stated that there have been twenty watershed authorities already established in the state of Iowa. We would be the 21st, which would cover the entire Maquoketa River area including all the way from Arlington down to the Mississippi River.   Our partners throughout this process have been the Department of Agriculture at the federal level, the NRCS, the IDNR and other key stakeholders including cities and counties in the surrounding areas with Lake Delhi really driving the process. There’s been a hired employee that is part-time position that works with the different watershed authorities to help get us through the process to get watersheds established.

He explained that Maquoketa Watershed Authority is a locally led team driving financial and social benefits through sustainable water resource quality and conservation for urban and rural residents in the Maquoketa River Watershed. The Maquoketa River Watershed Management Authority will work hard to create and implement tangible high ‘return on investment’ projects with maximum funding assistance for its members – that make this WMA a key component of every member’s development resources.

A lot of the funding will be driven from federal dollars that will go to the State of Iowa. The MWA would then apply for grants from the state. However, Leonard also said funding could come from the various participants in the watershed authority including the Lake Delhi District, other counties and cities depending on the level of funding requirements. We all have a value up and down the Maquoketa River to have high water quality and to minimize flooding.

Leonard stated that the District needs to make a decision either tonight or at the December meeting whether or not to enter into a 28E agreement for membership into the Maquoketa River Watershed Management Authority because starting in January, 2017 this watershed authority will be kicking off, regardless of the number of participants, due to the fact that there’s money that is going to be earmarked for watershed authorities that are in the beginning stages of forming and could be in the neighborhood of $100,000 that could go toward significant studies of our watershed. We are one of two new management authorities being forms so we stand a good chance of getting some financial assistance right away. Leonard stated that the incentive to participate in this program is that there’s power in numbers.

Areas impacted surface and ground waters, flooding, recreational areas, soil erosion, environmental areas, natural habitats, water protection to name a few.

The structure is a 28E Agreement. There’s no financial obligation for any organization to participate, however, there will be financial requirements and needs as the authority moves forward. Our lobbyists are excited to participate and help lobby for funds at the state level. If the District directs our lobbyists to do that, it could be considered a part of our contribution to the group. There will be a board of directors formed. Each entity gets one vote. There will also be an executive committee that will do a lot of administrative and legal work. Several slides were presented showing the creeks that flow into the Maquoketa River. It also shows areas of erosion and siltation in our watershed.   The NRCS has done some work previously but more studies are needed.   That is why getting funding would help with further studies.

Leonard stated that if we choose to move forward with the 28E agreement it will give the District one vote within the group. He cautioned that by not participating it would make it extremely difficult for the District to get support for local initiatives.

Leonard asked for comments from Gifford and Herman. Herman stated that this agreement positions as very well for funding. If in the future, the Board decides it no longer wants to participate, it can get out. Herman stated he feels we have more to gain than lose by participating.

Leonard asked the Board to consider formally approving the 28E Agreement. Burger stated he had some questions. His expressed concern that if we approve at tonight’s meeting and other participants review the agreement and make changes we would have to go through another approval process. Herman said that was true but there was input from various groups and this document was streamlined. In addition, because of time constraints it was felt necessary to go ahead with the process. Burger asked if there’s enough time to send out to the other participants to make sure they have their legal counsel review and bring back any changes right away. Burger also asked about liability issues. Herman doesn’t disagree but he thinks we are a long way from being in that situation. Adding by-laws in the future could help address those concerns. Burger asked if the District representative would have the authority to obligate the District to a grant that required matching funds. Leonard and Herman said their understanding is that the District’s representative could not obligate the District to matching funds without the consent of the Board of Directors. Burger would like to have a presentation at the December meeting to see how many other participants have signed the 28E Agreement and if there are any suggested changes to the agreement.

Leonard asked for a motion to approve Resolution 11.17.16 authorizing him to sign the 28E Agreement as presented. Herman asked if Leonard was offering to be the representative for the District. Leonard said he would be the initial representative but that could change depending the interest of any other board member. Herman made the motion to approve the resolution authorizing Leonard to execute the initial 28E Agreement with the understanding that Leonard would be the initial representative of the District. A second was made by Havertape. Burger suggested and it was agreed that we should assign a representative/s annually at our August organizational meeting.   Motion carried.

Committee Updates:

Beach Maintenance – Leonard has been in contract with Rich Hughes. Rich has some numbers put together for beach repair and work that would help mitigate water flow. There are no specifics at this point.

Lake Recreational Maintenance Issues – Gifford and Leonard contacted local marinas to see if they could help with debris removal in various parts of the lake. The two local marinas are not interest but Jeremy Klima who works with a Dubuque marina that has heavy equipment used for debris removal, might be interested.   Jeremy was going to tour the lake area this coming weekend and give Leonard an estimate of what he thought it would cost to do some debris removal.

Dam Operations – Lunda reinstalled Gate 2. It does leak oil but the stem and bearing are working. We may be looking at options to make it work better.   He also indicated that Lovewell has installed the new guardrail on the north side and that the asphalt work has also been completed.   He also mention the sealcoating on the powerhouse is done and the bubbler system is ready to go. Leonard asked Colgan about the block path on the south downstream side.   It appears to be complete on the bottom portion but not on the hill itself.   Colgan’s understanding that it was never intended to go all the way up but that’s a question for Bill Holman. Leonard asked Colgan if he would confirm.

Water Quality – No other updates

Funding/Finance – Budget work for the 17/18 year will be starting soon.

Legislative Update – Leonard will get our lobbyists to give us an update with all the changes at the state level.

Herman noted that he would be attending a FEMA meeting in Manchester on Monday, November 21 to review the damages from the recent flood

Burger motioned to adjourn the meeting, Kramer seconded. Meeting adjourned at 7:27 pm.