HomeMy WebLinkAbout04152013 City Council Work Session Notes - Electric & Capital Fund A-ixe.., ; Ste.u.J4-5d
I - — —
I 1
WORK SESSION NOTES ONai(2.etY / 5, 2i 0 3 14
lii li
1._..---„,... . -. ,__ - --
--- - -----------L-----
r-i
Purpose: _ ei,CAI a j C40.14.4 hioe.-- ...--tet 01(..
-iresent:_ i/d g da 1 Council Me bers Present: _45Mackdo dyni......-
,
I
'Called y: Time , : dal ie II ate_
I
*****************I**************: *******************
Elenv •- ePl‘d-
1 4.1 e! 2,6 1 5 Ct
No Act-te 61cAtta A atAeL,th c( el, 201 t /
CA421 v
Sa.4,-c,t‘a,t eefv-imel4 c /c,i'c ie IATte, --17 ti-z,/ 2-1.-
I At*P‘i AIN\- ----/"-i*, cfNAtva4j / bvefiet. áv tvit ir 2
rt-3 1tit4
r I 0 / C4
'OVIIV,t, 61,fAtt/fed -Fo a eltitvn A
L.,05+Ihtttt 04,tatr:4) 7 i_E- bath. Asir"
• )
.
3;11,o k)1.1k, VtA4 . -- - att. 1 •sALic
et 06
a ge) wui 7i-3
ip• Al ,
. ,K.fictA,N wis itryNaAl 2.0
EN.
4610 I
-yrvi
,47 rr.
7rniti
//5 ,3 ups
Electric Enterprise
Fund
•
Electric related cash er;)
• Electric Enterprise Fund cash = $ 1 . 9M 02/12>
versus assets of $56. 7M HC ; $32M fully
depreciated
❑ Electric MRRF = $460 , 018
❑ Transmission Line = $566, 130 (ROW clearing)
o Standby Generator Project = $34,226
❑ Projected ending cash is $2 .3M (2013) ,
improved due to 2011 delays in capital outlay
HC = historic cost
• .
• ilimmimmor
Electric CashCF sipsip• p
Electric Enterprise Fund - Cash Balance
Balance at December 31, 20XX
Electric Fund MRRF #months'
Cash Cash Cash Total
2000 2,862,494 676,664 8.5 3,539,158
2001 2,729,835 920,884 5.1 3,650,719
2002 3,072,100 840,884 5.8 3,912,984
2003 3,825,039 840,884 7.7 4,665,923
2004 3,260,064 1,340,884 5.5 4,600,948
2005 3,647,834 645,080 5.9 4,292,914
2006 2,394,025 1,377,942 3.1 3,771,967
2007 2,706,708 1,317,765 4.1 4,024,473
2008 3,103,126 838,105 4.5 3,941,231
2009 1,334,884 874,234 1.5 2,209,118
2010 (233,894) 387,761 (0.3) 153,867
2011 639,624 460,018 0.7 1,099,642
2012 1,896,567 460,018 2,356,585
Electric
,145VP
5,000,000 -
4,000,000 — --
3,000,000
I I
■MRRF
2,000,000 I H ■Electric
1,000,000
20p0 2001 3002 2003 2004 3005 2006 300" 2005 2009 2011 2013
(1,000,000)
■ Ammir
Electric- related debt
2005 Refunding of 1995 transmission line bonds =
$780K
2008 Replacement generators bond = $5.605M
Total : $6.385 million
■ ••••••w
Electric Highlights , p . 1
■ No additional rate increase for 2014 and
2015
■ CPI for 2014 (2 .6%) and 2015 (2 . 5% est. )
■ Fuel costs directly passed from Chugach
to customers based on kwh usage
■ City outage costs pass thru to customers
based on kwh usage as part of fuel costs
■ Discussions with Chugach Electric about
leveling fuel costs throughout the year
Rate Increase Example Bills
( based on February 2013 Rates
Fuel at $0 . 05621 and projected CPI
increase)
■ Residential ( 600 kWh )
2014: From $ 122 .49 To $ 124 . 80 = $2 . 31 /mo.
2015 : From $ 124 .80 To $ 127. 08 = $2 .28/mo .
• Small General ( 1500 kWh )
2014 : From $323 . 51 To $330. 70 = $7 . 19/mo .
2015 : From $330 .70 To $335 . 86 = $5 . 16/mo .
■ .mumomliw
Electric Highlights , p . 2
■ Budget includes loan repay from GF $ 111 K
for previous contributions to SMIC debt
■ Term position mechanic/operator to replace
retiring employee ; to be paid for two years
(partially with generator grant)
■ Transformer testing in process , includes oil
analysis , insulation resistance , confirm
ancillary devices , and painting
• Ammow
Electric Highlights , p . 3
• Generator $4M project (status)
• Current Special contracts with Icicle
Seafoods and Sealife Center expire at the
end of 2013
• .=milimiw
Electric Capital Improvement
Plan
■
Summary of All Capital Improvement 'eli?
Needs
Why focus on capital needs and rates?
■Critical Risk - $ 1 ,485 , 000
■ $340K done in 2012
■ Estimated $810K scheduled in 2013
■ High Risk - $ 5 , 605 , 000 ($OK done in 2012)
■ Moderate Risk - $ 1 , 018 , 000 ($OK done in 2012)
Note: Recent flooding/outages located in areas
identified here as critical/high risk/moderate risk
capital need areas
• Amming-
Critical Capital Needs 2013- 441:
2018
Likely to Fail in the Next 5 years, must be accomplished
Camelot - $200K > k Ioo ki
(2012 approx $ 100K, Construction scheduled 2013)
❑ Exhaust Stack and Roof Gen 3 - $60K
(Exhaust stack done, Roof scheduled this year)
❑ Lake Drive (Stony Creek) - $ 150K
(Construction scheduled 2013)
CI Transformer Renovation - $380K
(oil sampling done, testing scheduled this summer)
12
• immonoc
Critical Capital Needs
2013 - 2018
CI Right of Way clearing - $ 150K
(Continue yearly clearing 2013)
❑ Meter Relay and View Screen - $20K
❑ SMIC underground - $ 105K
CI Jesse Lee - $30K
❑ Lagoon - $450K
■ mmissisw,
Continued repair and replacem - T
of Critical Items Prevents :
Multiple failures and/or running generators more
frequently
® Long outage times for residents and businesses
® Risks of freezing and damage to out-of-town
personal water infrastructure (wells and septics)
® Higher fuel costs to our residents and
businesses for running the backup generators
® Higher repair and replacement costs for
emergency rates
14
■
Critical Needs Last Year and .4
This Year
■ 2012 ■ 2013
a Camelot $100,000 Camelot $100,000
a Gen 3 Silencer $ 30,000 Gen 3 Roof $ 30,000
RI ROW Clearing $115,000 Stoney Crk $150,000
� Gen Upgrades $ 55,000 ROW Cont. $150,000
v Flood Related $ 40,000 Transformers $380,000
$340,000 $810,000
•
High Risk Capital Needs
2018 -2023
Likely to fail within 5-10 years
■ Old Mill #3 - $ 120 , 000
■ Gateway ( Upper) - $ 180 , 000
■ Gateway ( Lower) - $80 , 000
■ Woodland Hills - $ 120 , 000
■ Lost Lake Underground - $55 , 000
■ Software for inventory - $50 , 000
• sammuwf
High Risk Capital Needs 47:
2018 -2023
Likely to fail within 5-10 years
■ Downtown Alley 2nd and 3rd install underground -
$ 1 ,000,000 (install overhead - $500,000)
■ Downtown Alley 3rd and 4th install underground -
$2 ,000 , 000 (install overhead - $ 1 ,000,000)
■ Downtown Alley 4th and 5th install underground -
$2 ,000,000 (install overhead - $ 1 ,000,000)
• AlmimiwY
Moderate Risk Needs
2013 -2023
Nearing or Past Previously Estimated Life Expectancy
■ Lawing - $25 , 000
■ Victor Creek - $ 110 , 000
■ Questa Woods - $80 , 000
■ AVTEC Underground - $ 15 , 000
■ Southwest Boat Ramp - $33 , 000
■ Lawing to Victor Creek Overhead -
$75 , 000
•
Moderate Risk Needs 6c,:`
2013-2023
Nearing or Past Previously Estimated Life Expectancy
• Update Fort Raymond Controls - $450 , 000
• Security Upgrades to Substations - $ 130 , 000
• Switch at Nash Road - $ 100 , 000
19
• mimmiffr
Summary of ARCTEC $4M a `
grant
PT phase protection
o Generator 3 silencer and roof
• Move generator 4 into the new building
(Scheduled 2013)
• Move generator 5 into the new building
• Update and modernize controls
• Warehouse
(Scheduled Construction 2013)
20
m amismilw
�
Projects Requiring Funding to
Complete
■ Complete Transmission Line Into
Substation $ 1 , 500 , 000
Sixteen structures to complete (past life
expectancy)
Potentially funded through ARCTEC
When substation ready will give us the ability
to receive 115kV
21
■
Benefits of Yearly Right of Way
Clearing
■ Less outages equals less cost to rate
payers
■ Unscheduled power outages that required
backup generation
1 last winter season (September for 8 .5hrs)
2 total in 2012 (Sept and May for 4hrs)
■ $50 , 000 budgeted and not used for
emergency generation
22
Ill iiIMINIMIIV
.
4of St*
Issues with ROW clearing
....
4i.Aso,.
,• ., . .. .
t....t.,.
:
1 -t....... NAI 4-: '
...'',.*. t• . .
\\ . • it
. 4,
• 1: . •••• . . e f ',
ft .,•.
,,e. , •,, •4.vat% ' -1? ' r
. ,,,40s,k• ' ' s
4., ,. 0 •
,‘.,.„.• .: 1 ge,;:k.:, • !, , , , •,
1 .#Pq/k -'•• •'-'' 7 , t ( i '
4. ••
e Vealt 1 • ' \
'e Alkit e . 6
.-
''. •'. .4 t ' .• . it T , .:A,,
''N't A:. ' '0• •
. ' . J1 '. '. 's. •
.t,i .i. .. .. •', -de ' . ..
„N
,...;.
• : •:'.. 'a. .4 ',6tf 4ii '',..*l'' '• • .
, s . .
• • Ine• .1 1
I
•• , • 4ir.,
:. .e.‘r .' . Iii ••-,';1 •
• • ., - •
. .. .
'4. VI
. •
. .
ft.
. .
• .
•%,,,
.,'• -„,), .
,44.,,„. . •,
O. it • I
.. • i •
••1 di,0
..,4..: • . ,SP' ., ••• •
4 .. ;' d'Ni\,4 ,. 7.,'.
• ,o ,
' ee;
. i ” ''.44 ' i .' . ••
• t . ;., ..,' , .' : •
PM'
1100 • •
..414 . , k,:. az., ..„,, , , ,
. k f -' ..• '
iso •A
•1 I; • .4
,-- -'•-- .• tlic fk••0
• I I;• '
,...y.
, silf
,..
„.:•, ,
•. i
f . • ' ',":1. •''.
4t,
i'!' ,,, .
. , Vt.". ... # .. t. •
.
,t,0 ',41,00,ift iifilt: i,1:11 ' r t
. p 1 \• . - ...
o,.,.,. 0,
, . •4' • ,'V PP.," ''s.: - i \
. ...if' 'Ilq . ''' ' \ \ \ 4t'•.. •1** i I .... .
, ' •••140A. , *
' '
Ammiri
Recapping
Recent Achievements
■ Increased Cash in Reserves from $639,000 to
$ 1 ,896,000
■ Spent $50,000 less in Diesel fuel costs due to
limited number of outages
■ Approximately ten miles of transmission line cleared
out of forty miles
■ Camelot no major outages this winter
■ No downed tree outages causing generation events
■ Lowell Point continues to receive reliable service
■ Acquired a four million dollar grant to continue the
generator upgrades
. ice.
QDA 8:11
The End