EXHIBIT 17-A
Draft Partnership
Concepts
Between MRWPCA, MPWMD,
and Cal-Am for
Groundwater
Replenishment Project
Near-Term Needs
for MRWPCA Project
FY 2012/13: $1,323,100
FY 2013/14: $2,938,400
Background on
Orange County Project
·
The
Orange County Water District’s “Groundwater Replenishment System” was jointly
funded with Orange County Sanitation District for design and construction.
·
$481
million was funded as $93 million in grants and $388 million by the two
parties.
·
OCWD
owns the facility.
·
OCSD
supplies treated wastewater to OCWD at no cost.
·
OCWD
manages and funds O&M of the facility.
·
Metropolitan
Water District of Southern California subsidizes O&M.
Proposal for
MRWPCA Project
·
Jointly
fund near-term needs from pay-as-you go funds.
MPWMD provides up to half of FY 2012/13 costs. Does not require an increase in User Fee
budget for FY2012/13. All costs
reimbursable from future bond proceeds.
Do small borrowing in FY2013/14 and larger borrowing as needed to
complete the project.
·
MPWMD
support is contingent upon successful implementation of alternative revenue
collection mechanism by June 2012.
·
Project
owned by MRWPCA.
·
Recycled
water purchased by MPWMD upon injection to Basin.
·
Dilution
water arrangements to be determined once new regulations released. (TBD)
·
Cal-Am
purchases water from MPWMD annually upon withdrawal. Must purchase minimum annual amount
sufficient to cover debt service and O&M costs, regardless of whether
actual quantities are withdrawn.
·
MPWMD
provides municipal debt financing based on alternative revenue collection
mechanism described above, and Cal-Am contract.
Simple financing JPA is formed.
May require allocation of State volume-cap for private activity
purposes.
·
MPWMD
has rights to review costs and activities related to planning, design,
construction, operations, and maintenance.
Agreements and
Contracts Required
·
Joint
Participation MOU – To describe responsibilities of the parties going
forward. Agreement between MRWPCA,
MPWMD, and Cal-Am
·
Storage
and Recovery Agreement – To set forth water quality requirements and rights of
storage and recovery. MRWPCA must take
liability for water quality. Agreement
is between MRWPCA/MPWMD, jointly, and the Watermaster
·
Recycled
Water Purchase Agreement – Provides mechanism for MRWPCA recovery of O&M
costs. Between MRWPCA and MPWMD.
·
Dilution
Water Supply Agreement – To be determined once regulations are clarified.
·
Wholesale
Water Sales Agreement – Provides mechanism for MPWMD recovery of O&M costs,
including pass-through to MRWPCA, and debt service. Agreement is between MPWMD and Cal-Am.
·
Joint
Powers Agreement – Simple financing JPA agreement between the two public
agencies.
·
Construction
and Operations Agreement – To define the uses of bond proceeds, the O&M
requirements going forward, and the review and participation rights of MPWMD in
oversight of use of funds.
·
Bond
Indenture/Trust Agreement – MPWMD will define its pledged revenues, rate
covenant, and other security provisions to secure the financing, including the
Wholesale Water Sales Agreement.
Examples of
“Take-or-Pay” Wholesale Water Purchase Agreements
California
Water Services Company has an agreement with Kern County Water Agency whereby
the Company is obligated to purchase fixed volumes of water each year. Under the agreement, the Company is obligated
to pay the annual Capital Facilities Charge and the Treated Water Charge
regardless of whether it can use the water, and even if the Agency is unable to
produce an adequate amount of water.
California
Water Services Company has an agreement with Stockton East Water District that
requires the Company make a fixed annual payment and does not vary with the
quantity of water delivered by the District.
California
Water Services Company has an agreement with Santa Clara Valley Water District
that requires the Company to purchase minimum annual amounts of water. The Company is obligated to pay for the
minimum quantity regardless of whether it can use the water.
San
Jose Water Company purchases water from Santa Clara Valley Water District under
a master contract expiring in 2051.
While not specifically tied to a financing, the contract has minimum
deliveries that, in effect, guarantee the District a revenue stream. However, the deliveries and prices are re-set
on a periodic basis.
San
Luis Obispo Flood Control and Water Conservation District has “Delivery
Contracts” with 5 participants, each of which is allocated debt service and
O&M proportionate to each Participant’s proportionate Nacimiento water
Delivery Entitlement Share.
The
Woodbridge Irrigation District entered into an agreement with the City of Lodi
in support of financing the District’s 2007 capital improvement project. Under the Lodi Water Sales Agreement, the
City will make quarterly payments to the District for a defined annual amount
of water, and irrespective of whether the District has water available for
delivery to the City.
American
Water Works’ regulated subsidiaries maintain agreements with other water
purveyors for the purchase of water to supplement their water supply. The
subsidiaries purchased water expense under these types of agreements amounted
to approximately $107,121,000 during 2010. The estimated annual commitment
related to the minimum quantities of water purchased is expected to approximate
$51,600,000 in 2011, $47,409,000 in 2012, $46,095,000 in 2013, and $46,077,000
in 2014. These contracts should be
examined to see if any of them were used to provide security for financing public
agency projects.
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