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L XYF IN 0. 14 -061 <br />Proposal Provided to: <br />City of Santa Ana, Public Works Agency w.P <br />2.1.2 Task 2. Regulatory Assessment & Cost Analysis - Current and Projected <br />Stormwater Program and TMDL Expenditures, and <br />Revenue Sources <br />Using the materials obtained after the kickoff meeting as well as the current stormwater permit, draft <br />stormwater permit, and TMDL - related documents, the LWA Team will assess the current and projected <br />stormwater program - related regulatory requirements and identify the current expenditures and revenue <br />sources. The Team is interested in what the City believes it will take to fully implement the stormwater <br />program within its jurisdiction so that it will comply with the MS4 Permit. <br />The Team will work with the City to identify, to the extent feasible, the major capital and operation and <br />maintenance costs for the program. While the Team will aim to consider the critical costs, it may be <br />necessary to make estimates rather than conduct detailed accounting for smaller expenditures. The Team <br />may use the Orange County Stormwater Program 2007 Fiscal Analysis Guidance Manual to guide the <br />development of the cost assessment. <br />As a part of this review, the Team will evaluate previous stormwater and TMDL - related reports and budgets <br />to ensure the full cost of the program is taken into account. In addition, the Team can draw from previous <br />experience and interviews to obtain the necessary data. The Team will develop a series of summary tables <br />that will be incorporated into the Fee Study. The Team will identify projected financial resources gaps and <br />annual funding needs for the long -term implementation of the stormwater program (through the next <br />permit term). <br />Deliverables: Summary of current expenditures <br />Summary of projected expenditures <br />Summary of revenue sources and potential funding gaps <br />2.1.3 Task 3. Funding Options & Recommendations <br />The LWA Team will analyze and determine various cost allocations, potential revenue sources and <br />implementation approaches including the associated community outreach. A variety of potential revenue <br />sources will be evaluated including special taxes, user taxes, transient occupancy taxes, sales taxes, balloted <br />property - related -fees, non - balloted property - related fees, benefit assessments, regulatory fees, new <br />development fees, service fees and other non - balloted fees and revenues. Each potential source will be <br />studied and evaluated along important attributes such as political viability, legal rigor, reliability, legislative <br />factors, costs of implementation and maintenance, future reliability, timeline and compatibility with other <br />funding mechanisms. <br />The Team will compare /contrast the most common revenue mechanisms and recommend one or more for <br />the City. The LWA Team will also estimate the revenue potential and the estimated implementation cost of <br />the most viable options. At the conclusion of this task, the Team will prepare a Fee Study, as described in <br />Task 4, below, on the funding sources and findings and will carefully review the findings with the City <br />and /or stakeholders. The sub -tasks associated with the funding option evaluation include the following: <br />A— Cost Allocation <br />The Team will identify the costs attributed to the stormwater program and categorize the costs by function <br />and allocated revenue requirements for each customer class within and doing business with the City. <br />B — Assessment of Potential Revenue Sources <br />The LWA Team will compare /contrast the most common revenue mechanisms and recommend one or <br />more for the City. At a minimum, this will include: <br />NPDES & Environmental Programs Fee Study <br />Page 1 22 RFP No. 14 -069 <br />June 23, 2015 at 2. :00 p.m. <br />