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Nevada County Consolidated Fire District

www.nccfire.com
nccfire@nccfire.com

11329 McCourtney Road


Grass Valley, CA 95949
(530) 273-3158
FAX 273-1780

Excellence in Emergency Service


BOARD OF DIRECTORS
Tom Carrington, Chairman
Keith Grueneberg, Vice Chair
Mark Bass, Treasurer
Spencer Garrett
David Hanson
Warren Knox
Patricia Nelson

STAFF
Jim Turner, Fire Chief
Jerry Funk, Deputy Fire Chief
Terry McMahan, Dep. Fire Marshal
Jeff Van Groningen, Finance Manager
Shawna Cresswell, Finance Assistant
Nicole Long, Operations Support Manager
Jim Curtis, District Counsel

BOARD OF DIRECTORS
AGENDA - SPECIAL MEETING
THURSDAY, MAY 28, 2015
7:00 P.M.
Station 84, 10135 Coyote Street, Nevada City, CA
The Board of Directors welcomes you to its meetings and your participation is encouraged and appreciated. All
meetings are recorded.
Any Member of the Audience desiring to address the Board on a matter appearing on the Agenda, before or during
consideration of the item, may do so after receiving recognition from the Chairman. In order that all interested parties
have an opportunity to speak, please limit your comments to the specific item under discussion. For further rules on
public comment and other matters, please see the last page of this agenda.

The Nevada County Board of Directors will meet in special session commencing at 7:00 p.m. on May 28,
2015 in the meeting room of Nevada County Consolidated Fire Districts Station 84, Nevada City, CA. This
meeting will be recorded for posting on the Districts webpage at www.nccfire.com.
NOTICE
If requested, this agenda can be made available in appropriate alternative formats to persons with a
disability, as required by Section 202 of the Americans with Disabilities Act of 1990 and the Federal Rules
and Regulations adopted in implementation thereof. Persons seeking an alternative format should contact
the Clerk of the Board for further information. In addition, a person with a disability who requires a
modification or accommodation, in order to participate in a public meeting should telephone or otherwise
contact the Clerk of the Board as soon as possible and at least 48 hours prior to the meeting. The Clerk of
the Board may be reached at 530-273-3158 or at the following addresses:
Nicole Long, Board Secretary
Nevada County Consolidated Fire District
11329 McCourtney Road
Grass Valley, CA 95949
E-mail
All items posted on the agenda, including under correspondence, may be acted upon by the Board of
Directors. However, matters under committee reports and department manager's reports may be briefly
addressed by the Board or Staff but no action or discussion shall be undertaken on any item not appearing
on the posted agenda. (GC 54954.2)
The Board of Directors may hold a Closed Session as the agenda schedule permits.
NCCFD AGENDA SPECIAL BOARD MEETING
MAY 28, 2015 NCCFD AGENDA

(A1)

STANDING ORDERS:
7:00 p.m. Call to Order
Pledge of Allegiance to the Flag
Corrections and/or deletions to the agenda

CONSENT CALENDAR
These items are considered to be routine and will be enacted by one motion by the Board of Directors. There will be no separate
discussion of these items. If discussion is desired, any board or staff member or interested party may request that an item be
removed from the Consent Calendar to be considered separately.

1. Acceptance of Minutes 04/16/2015, 5/21/2015


2. Fund Balances and Check History Reports
3. Treasurers Report
*PUBLIC COMMENT FOR ITEMS NOT ON THE AGENDA
Per CA Government Code 54954.3
This is the time for any member of the public to address the Board on any item not on this Agenda that is within the subject matter
jurisdiction of the NCCFD Board. Please wait for recognition from the Chairperson. The Board generally cannot act on or discuss
an item not on the agenda. However, the Board may briefly respond to comments or questions from the members of the public.
Please see the rules for public comment at the end of this agenda.

COMMITTEE REPORTS
STANDING COMMITTEES
FINANCE:
Bass (Chair), Knox
PERSONNEL: Carrington (Chair), Hanson

AD HOC COMMITTEES
BOARD POLICY AND PROCEDURES: Carrington

LOCAL AGENCY ASSIGNMENTS


NEVADA COUNTY FIRE AGENCY (JPA):

4.

Bass (Alt.), Garrett (Alt.)

Discussion and possible action, Administration Office Remodel Design.

Deputy Fire Chief

Funk

5.

Discussion and possible action, Resolution R15-09, Adding reserves to the staffing roster.
Captain Nunnink

6.

First reading of proposed amendments to bylaws. Vice Chair Grueneberg

7.

Discussion and Possible Action, appoint a Board Secretary. Vice Chair Grueneberg

8.

Discussion and possible action, concerning the finance/budget committee.

Vice Chair

Grueneberg

9.

Discussion and possible action, regarding the 15/16 preliminary budget. Finance Manager Van
Groningen

10. Discussion and possible action, Resolution R15-10, Portal to Portal Pay for District Personnel
on Strike Teams. Finance Manager Van Groningen
NCCFD AGENDA SPECIAL BOARD MEETING
MAY 28, 2015

(A2)

11. Discussion and possible action, Resolution R15-11, Transfer $104,479.11 from Fund 722 to
Fund 733. Finance Manager Van Groningen
12. Discussion and possible action, Resolution R15-12, Transfer $390,000.00 from Fund 734 to
Fund 722. Finance Manager Van Groningen
13. Discussion and possible action, Resolution R15-13, Authorizing acceptance of the winning
bidder for the replacement of deck, framing, stairs, and railing at Fire Station 89 and
designating an agent to sign on behalf of the district. Deputy Fire Chief Funk
14. Discussion and possible action, Resolution R15-14, Authorize Staff to Enter into an
agreement with Sacramento Valley Limited Partnership D/B/A Verizon Wireless to obtain an
option to lease a portion of property located at 14400 Golden Star Road, Grass Valley, CA.
Deputy Fire Chief Funk

15. Discussion and possible action, declaring stations 80, 87 & 90 surplus. Deputy Fire Chief Funk
16. Correspondence Log
16.A Letter to Nevada City
CHIEFS MONTHLY REPORT
CLOSED SESSION
Public Comment on Closed Session Items:
Per CA Government Code 54954.3

While members of the public are not allowed in Closed Sessions, they do have a right to comment on
the Closed Session item before the Board goes into Closed Session. And, if the Board will be taking
action on the item out of Closed Session, then the public also has a right to comment during
consideration of the action to be taken. Any member of the public who wishes to comment may do so
after receiving recognition from the Chairman.

17. CONFERENCE WITH LABOR NEGOTIATORS


Pursuant to CA Government Code Section 54957.6
Employee Organizations and Unrepresented Employees:

Local Firefighters Union 3800 representing the Non-Management Safety Employees

*BOARD DISCUSSION
DIRECTION TO STAFF & PLANNING FOR NEXT MEETINGS
Regular Board Meeting
Date:
Time:
Location:

Thursday, June 25, 2015


7:00 p.m.
Station 84, 10135 Coyote Street, Nevada City

ADJOURNMENT
NCCFD AGENDA SPECIAL BOARD MEETING
MAY 28, 2015

(A3)

Access Issues
In the Districts efforts to comply with the requirement of the Title II of the Americans With Disabilities
Act of 1990, the Administration requires that any person in need of any type of special equipment,
assistance or accommodation(s), in order to communicate at a District public meeting, must inform the
District Secretary a minimum of 72 hours prior to the scheduled meeting so that we may make arrangements
to accommodate you. Phone (530) 273-3158
Board Meeting Schedule
With the exception of the month of June, all Regular Board Meetings will take place on the third Thursday
of the month. For the month of June only, the Regular Board Meeting will take place on the fourth
Thursday.
Copies
Copies of the agenda documents relative to an agenda item may be obtained at the Administrative Office,
11329 McCourtney Road, Grass Valley, at a cost of 10 cents per page.
Board Meeting Notices
This Special Meeting Agenda was posted 24 hours in advance of the meeting at the following locations:
Nevada County Consolidated Fire District: Administration Office, 11329 McCourtney Road, Grass Valley;
Station 84, 10135 Coyote Street, Nevada City; Station 86, 12337 Banner Lava Cap Rd, Nevada City; Station
88, 14400 Golden Star, Grass Valley; Station 89, 11833 Tammy Way, Grass Valley; and on our website
address at http://www.nccfire.com. Our e-mail address is nccfire@nccfire.com.
Rules Applying to Public Comments (as provided by CA Government Code Section 54954.)
A. Members of the public wishing to address the Board upon any subject within the jurisdiction of the
Nevada County Consolidated Fire District may do so upon receiving recognition from the Chairman at the
appropriate time. You may address the Board on any agenda item prior to Board Action. If you wish to
address the Board on an item not on the agenda, you may do so during the General Public Comment period.
Understand that no action may be taken on an item not on the agenda.

Where necessary for the orderly operation of the meeting, the Chair may limit public
comment during the public comment period or public hearing to no more than five minutes
per individual.
B. After receiving recognition, please stand and state your name, as all meetings are being taped. Note
that stating your name is a voluntary act and is not required.
C. All documents to be presented to the Board of Directors shall be given to the Secretary of the
Board for distribution (original and seven copies) prior to the Call of Order of meeting.
D. Complaints against any individual District employee cannot be brought up in open meeting directly.
The District will only consider such a complaint if submitted in writing.

NCCFD AGENDA SPECIAL BOARD MEETING


MAY 28, 2015

(A4)

Nevada County Consolidated Fire District


www.nccfire.com
nccfire@nccfire.com

11329 McCourtney Road


Grass Valley, CA 95949
(530) 273-3158
FAX 273-1780

Excellence in Emergency Service

BOARD OF DIRECTORS MINUTES APRIL 16, 2015


Regular Meeting held in the Conference Room
Station 84, 10135 Coyote Street, Nevada City, CA
NCCFD DIRECTORS
Present: Carrington (Chair), Grueneberg (Vice Chair), Bass, Garrett, Hanson, Knox, Nelson
STAFF:
Present: Chief Turner, Deputy Chief Funk, Deputy Fire Marshal McMahan, Finance Manager Van
Groningen, Ops. Sup Long

STANDING ORDERS:
Chairman Carrington called the meeting to order at 6:00 p.m. and the badge pinning and
swearing in ceremony commenced.
Badge-Pinning and Swearing in Ceremony:
The color guard presented the flags and led in the pledge of allegiance.
Recently promoted Chief Jim Turner was introduced and a brief history was given on his
time in the fire service, his badge was then presented and his brother-in-law retired Chief
Tom Browning pinned his badge.
Recently promoted Deputy Chief Jerry Funk was introduced, with a brief history given. His
badge presented and his daughter Courtney pinned his badge.
Jim Smith, newly promoted Battalion Chief was introduced, with a brief history given. His
badge presented and his wife Sara pinned his badge.
Josh Sunde, newly promoted Battalion Chief was introduced, with a brief history given.
His badge presented and his children Devon and Daisy pinned his badge.
Newly promoted Captain Shawn Entz was introduced, with a brief history of his fire
service given. His badge presented and his wife Jenni pinned his badge.
Newly promoted Captain Phil Nunnink was introduced, with a brief history given. His
badge presented and his wife Naida and daughters MacKenzie and Paige pinned his badge.
Recently promoted, Lieutenant Jason Davison was introduced with a brief history of his
time with Consolidated. His badge was presented and his wife Megan pinned his badge.
Recently promoted, Lieutenant Chris Johnsen was introduced with a brief history given.
His badge was presented and his wife Tara and daughter Jolene pinned his badge.

NCCFD MINUTES REGULAR BOARD MEETING


APRIL 16, 2015

(1-1)

Badge-Pinning and Swearing in Ceremony Cont.:


Chief Turner, Deputy Chief Funk, Battalion Chief Smith, Battalion Chief Sunde, Captain Entz,
Captain Nunnink, Lieutenant Davison, and Lieutenant Johnsen were then all sworn in to their
new positions.
After a brief intermission the meeting reconvened at 6:35 p.m.
CONSENT CALENDAR
1. Acceptance of Minutes 03/19/2015
2. Fund Balances and Check History Reports
3. Treasurers Report

Director Bass motioned to accept the consent calendar. Director Knox seconded. MOTION
passed unanimously.
*PUBLIC COMMENT FOR ITEMS NOT ON THE AGENDA
Per CA Government Code 54954.3

No public comment was made.


COMMITTEE REPORTS
STANDING COMMITTEES
FINANCE:
Bass (Chair), Knox
PERSONNEL: Hanson (Chair), Carrington

AD HOC COMMITTEES
BOARD POLICY AND PROCEDURES: Carrington

LOCAL AGENCY ASSIGNMENTS


NEVADA COUNTY FIRE AGENCY (JPA):

Habblett (Rep.), Bass (Alt.)

No committee reports were given.


BUSINESS
4. Discussion and Possible Action concerning District Bylaws.

Vice Chair Grueneberg reviewed the changes in the bylaws. Discussion took place on items
that need to be placed on future agendas, possible election costs, and other items. After
discussion, the Board directed staff to make a few changes and the first reading will be at
the May meeting.
5. Discussion and Possible Action, concerning Amending the District Mission Statement

and adopting District Core Values, District Code of Ethics, and District Vision
Statement.
Chief Turner reviewed his staff report and that these items were first presented at the
February workshop. After a brief discussion and minor changes, Vice Chair Grueneberg
motioned to amend the District Mission Statement and adopt the District Core Values, and
District Vision Statement with changes. Director Knox seconded. MOTION passed
unanimously.

(1-2)

NCCFD Minutes-Regular Board Meeting


April 16, 2015

6. Discussion and possible action, regarding unstaffed fire stations.

Deputy Chief Funk discussed the history of placement of our fire stations, Insurance
Services Office (ISO) ratings, and the cost of maintaining the unstaffed stations for the past
three (3) years and reviewed his staff report verbally. After some discussion on the
procedure to sell fire stations, Vice Chair Grueneberg motioned to support staff to continue
research and explore the options of selling the properties, with Director Nelson to develop
a proposal and time-line. Director Hanson seconded. MOTION passed unanimously.
7. Discussion and possible action, concerning Request for Proposals (RFP) bid for

architecture services for the administrative office.


Deputy Chief Funk reviewed his staff report verbally and discussed the five (5) options for
the options for the administrative office and staffs recommendation. Director Hanson
recommended a space planer to review the layout and give some ideas prior to an architect
for less cost. The Board directed staff to continue with a space planner prior to architecture
services.
8. Discussion and possible action for authorization to open an invitation to bid, Fire

Station 89 deck.
Deputy Chief Funk discussed the reasons necessary for repair. After a brief discussion,
Director Hanson motioned to authorize staff to open an invitation to bid for the deck at
station 89. Director Knox seconded. MOTION passed unanimously.
9. Discussion and possible action concerning a Public Hearing for the First Reading of

Ordinance OR 15-01, Amendment to the District Purchasing Policy.


Finance Manager Van Groningen discussed the need for the revision and how it fits the
need of the District. He then waived the reading of the full policy and spoke on the major
changes. After discussion on public contracts codes and California legislature, the District
purchasing policy was tabled.
10. Correspondence Log

10.A Letter from Board of Supervisors, County of Nevada, regarding the


proposed name change.
No Action.
10. B Letter from Mark Prestwich, City of Nevada City, regarding station 54
staffing, dated March 30, 2015.
No Action.
10. C Letter from Mark Prestwich, City of Nevada City, regarding station 54
staffing, dated April 1, 2015.
No Action.
10. D Letter from Citizen, regarding thank you for hospitality for an employee.
No Action.

NCCFD AGENDA REGULAR BOARD MEETING


APRIL 16, 2015

(1-3)

Chiefs Monthly Report:


-

Quite a few significant incidents, residence with fatalities, a modular home heavily
damaged, auto-aid to Penn Valley and numerous vegetation fires.

Staff completed ISO evaluation.

Staff reviewing and amending Lexipol policies.

WorkForce Ready implementation has been slow, but 80% complete.

Staff will purchase one (1) license of Quickbooks Premier for set up.

15/16 budgeting process has started.

Fire Prevention has several investigations taking place.

BOARD DISCUSSION
Board discussion took place on rescheduling the next regular meeting for the absence of several
board members. The date agreed upon was May 28, 2015.

ADJOURNMENT
Chairman Carrington adjourned the meeting at 8:29 p.m.

Attest:

Approved by:

Nicole Long
Board Secretary

Tom Carrington
Chairman of the Board

(1-4)

NCCFD Minutes-Regular Board Meeting


April 16, 2015

Nevada County Consolidated Fire District


www.nccfire.com
nccfire@nccfire.com

11329 McCourtney Road


Grass Valley, CA 95949
(530) 273-3158
FAX 273-1780

Excellence in Emergency Service

BOARD OF DIRECTORS MINUTES MAY 21, 2015


Finance Committee Special Meeting held in the Conference Room
Station 91, 11329 McCourtney Road, Grass Valley, CA 95949
NCCFD DIRECTORS
Present: Bass (Chair), Knox
STAFF:
Present: Fire Chief Turner, Deputy Fire Marshal McMahan, Finance Manager Van Groningen, Ops.
Sup Specialist Long

STANDING ORDERS:
Chairman Bass called the meeting to order at 3:00 p.m. and led in the Pledge of Allegiance.
*PUBLIC COMMENT FOR ITEMS NOT ON THE AGENDA
Per CA Government Code 54954.3

No public comment was made. Finance Manager asked that we change the order in items three
(3) and four (4) in the agenda
Business:
1.
Preliminary Budget Review for Fiscal Year 2015/2016.
Chairman Bass turned the meeting over to finance manager Jeff Van Groningen. He reported the
format that the preliminary budget was in. The assumptions used were 1.5% to 3% increases in
revenue. Discussion took place on account 451195 special tax 2012 in regards to the increase,
how to determine and which Consumer Price Index (CPI) to use. After some discussion on
revenue, finance manager Van Groningen continued with the expenditures. Director Knox
motioned to take this preliminary budget to the board for review. Chairman Bass seconded.
MOTION unanimously passed. A new format was presented for the budget and after some
discussion, the new format will be presented at the board meeting.
2.

Discussion of Transfer of Funds from general fund 722 to AB1600 fund 733, as
identified in the audit.

Finance Manager Van Groningen discussed the section of the letter from the auditor that
identified the funds for transferring. After a brief discussion, the committee agreed it would be
good to get the transfer completed to clean up that audit item.
3.
Discussion regarding lump sum payments to CalPERS.
Finance Manager Van Groningen reviewed the report provided in the packet and the savings
between the annual lump sum payment and monthly payments. Discussion took place and the
lump sum payment, with the savings of $9,234.00, will be made after the adoption of the
preliminary budget in June.
NCCFD MINUTES SPECIAL BOARD MEETING
MAY 21, 2015

(1-5)

Discussion of Transfer of Funds from general fund 722 to Reserve fund 758.
Finance Manager Van Groningen reviewed the cash balances that we will have prior to the
first deposit of tax allocations and resolution # R13-24, operations reserve fund. After
discussion the transfer of funds resolution will be discussed at the June board meeting.
4.

ADJOURNMENT
Chairman Bass adjourned the meeting at 4:50 p.m.

Attest:

Approved by:

Nicole Long
Board Secretary

Mark Bass
Chairman of the Finance Committee

NCCFD MINUTES SPECIAL BOARD MEETING


MAY 21, 2015

(1-6)

Nevada County Consolidated Fire District


As of April 30, 2015

FUND 722:

Operations

1,128,711

FUND 733:

AB1600

118,601

FUND 734:

Special Tax 2012

346,979

FUND 758:

Capital/Reserves

328,077

Checking

14,647

1,937,015

TOTAL CASH BALANCE:

83% of Fiscal Year

BUDSTAT 04-2015

2-1

Notes to Budget Status Report


For April, 2015
Revenue
Tax & Assessment

The first and second tax and assessment revenue installments for
fiscal year were received in December and April. The final
installment will be received in June (5%).

Sale of Residence

The Lower Circle residence was sold in January for $315,000. Net
proceeds after commissions and fees was $294,584. Funds were
deposited in the reserve account.

Expenditures

Fiscal year to date operating expenditures through March were 79%


of the annual budget. 83% of the fiscal year was complete.

Total Wages & Benefits

Fiscal year to date wages & benefits were at 80%. This represents
22 of the 26 pay periods in the year, which is 85%. This does include
labor cost associated with unreimbursed strike team activity.

Strike Team

In the fiscal year, we incurred $187,556 in strike and backfill wages


(does not include other wage related, admin, vehicle or equipment
expenses). Thus far, we have been reimbursed $141,832, and will
receive another $125,293.

520701

Workers Comp

Includes premium payments for all four quarters of the fiscal year.

520204

PPE

Purchased 16 turnouts.

520207

Safety/PPE (mou)

Safety & PPE allowances have been paid for the fiscal year.

520702

Liability Insurance

Annual premium.

521520

Accounting

Includes the purchase of the CalPERS acturial valuation reports as


required by GASB 68 ($2,550).

521902

Suppression Equip

Fiscal year to date includes the purchase of wildland hose & clamps.
We will receive $6,986 reimbursement from a VFA grant.

52240x

Utilities

Running under budget and under this time last fiscal year.

83% of Fiscal Year

BUDSTAT 04-2015

2-2

Quick Reference Items


As of April 30, 2015
Year to Date
Revenue
Expenses
Salaries & ben.
Payrolls expired
Fund Balances
722 Operations
733 AB1600
734 Special Tax
758 Reserve
Checking
Total
Funding dates

83% of Fiscal Year

Budget
5,374,238
5,273,022
4,308,185

Actual
4,759,773
4,147,775
3,459,483

%
88.6%
78.7%
80.3%

1,128,711
118,601
346,979
328,077
14,647
1,937,015
Dec 55%, April 40%, June 5%

BUDSTAT 04-2015

2-3

Operations - Fund 722


For April, 2015
Sample Report Format

YTD

April
Budget

Actual

Actual

Variance

2,308,096

946,691

2,250,172

(57,924)

45,648

180

46,225

4030 Prior Unsecured (Tax)

1,010

568

4040 Supplemental Secured (Tax)

3,030

11,037

29,796

4050 Supplemental Unsecured (Tax)

101

-80

4060 Suppl Prior Unsecured (Tax)

202

4110 NCCFD Special Assessment

1,723,046

Revenues
Taxes & Assessments
4010 Current Secured (Tax)
4020 Current Unsecured (Tax)

577

101%

(442)

56%

26,766

983%

370

269

367%

51

(151)

25%

686,457

1,633,169

(89,877)

95%

859,076

467,897

(391,179)

4120 NCCFD Spec. Assess. (Prior Yr.)


4150 Special Tax - 2012

97%

54%

4210 Tax Share: Grass Valley

18,363

(18,363)

0%

4220 Tax Share: Nevada City

2,090

2,090

(1)

100%

4230 State - Homeowners (Tax)


4240 State Aid - Public Safety (Prop 172)

25,250

10,034

23,832

(1,418)

94%

291,750

40,901

244,809

(46,941)

84%

450

450

4250 Fuel Management Assessment


4260 State - Timber Yield (Tax)
4270 Escaped Assessments (Tax)
Subtotal

5,277,662

1,695,229

4,699,431

(578,231)

89%

50,000

(50,000)

0%

4520 Prior Year Fire Reimbursement

5,437

34,413

28,976

4530 Training Revenue (Non-Tax)

5,000

200

1,380

(3,620)

28%

4540 Vehicle Repairs (Non-Tax

4,000

1,950

5,222

1,222

131%

4550 Cost Recovery (Non-Tax)

5,000

212

6,026

1,026

121%

69,437

2,362

47,041

(22,396)

68%

4810 Licenses/Permits (Prevention)

10,000

225

1,950

(8,050)

20%

4820 Interest (Non-Tax)

(3,200)

2,529

21%

4830 Rentals (Non-Tax)

13,339

572

6,567

(6,772)

49%

179

Reimbursements
4510 Fire Reimbursement (net)

633%

4690 Reimbursement - Other


Subtotal
Other Revenue

4840 Other Current Svcs (Non-Tax)

(671)

179

4850 Sale: Surplus Equipment (net)

680

4860 Prior Year Revenue (Non-Tax)

2,000

1,077

(923)

54%

4870 Other Revenue (Non-Tax)

5,000

3,520

(1,480)

70%

27,139

797

13,301

(13,838)

49%

5,374,238

1,698,388

4,759,773

(614,465)

89%

Subtotal

Revenue Total

680

2-4

Operations - Fund 722


For April, 2015
Sample Report Format

April
Budget

Actual

YTD
Actual

Variance

Wages & Benefits


Wages
5111 Chief / Deputy Chief
5112 Division Chief
5113 Battalion Chief
5114 Fire Marshal/Inspector

173,625

27,353

142,232

31,393

82%

46,669

(46,669)

161,537

17,916

65,202

96,335

40%

94,589

7,798

55,819

38,770

59%

5121 Captains

397,182

45,360

335,757

61,425

85%

5122 Lieutenants

697,878

59,956

491,194

206,684

70%

5123 Firefighter

451,219

45,148

406,866

44,353

90%

35,000

9,735

50,813

(15,813)

145%

4,000

3,183

817

80%

167,620

18,191

115,888

51,732

69%

51,293

6,067

46,685

4,608

91%

245,360

46,509

257,476

(12,116)

105%

(1,376)

45,724

(45,724)

5131 Supplemental FF
5132 PCF Program
5141 Clerical
5145 Fire Mechanic
5151 Overtime
5161 Strke Team

5163 Strike Team (P/T)

5165 Strike Team Backfill

5167 Strike Team Backfill (P/T)

5171 Holiday Stipend

43,638

33,404

10,234

77%

5173 Vacation Sell Back

92,929

2,224

31,683

61,246

34%

1,500

125

1,250

250

5181 Incentive Pay


5183 Volunteer Officer
5185 Directors
Subtotal

0
2,617,370

150
285,160

225
2,130,072

83%

(225)
487,298

81%

Taxes
5511 Medicare: Employer Tax

37,711

4,141

33,323

4,388

88%

4,030

317

3,855

175

96%

14,168

198

11,941

2,227

80

96

(16)

119%

5532 FICA: Employer Tax (temp)

341

17

409

(68)

120%

5541 SUI: Employer Tax (temp)

242

11

286

(44)

118%

6,663

88%

5512 FICA: Employer Tax


5521 SUI: Employer Tax
5531 Medicare: Employer Tax (temp)

Subtotal

56,572

4,687

49,909

84%

Benefits
5711 CalPERS

719,058

74,438

564,368

154,690

78%

5731 Medical Ins

581,700

41,794

433,906

147,794

75%

5733 Vision & Dental

72,000

4,757

49,759

22,242

69%

5735 Life Insurance

10,611

787

11,600

250,874

56,704

219,869

31,005

88%

1,634,243

178,479

1,279,502

354,741

78%

4,308,185

468,327

3,459,483

848,702

80%

5751 Workers Comp Insurance


Subtotal

Wages & Benefits Total

(989)

109%

2-5

Operations - Fund 722


For April, 2015
Sample Report Format

April
Budget

YTD

Actual

Actual

Variance

Personnel Related
Clothing/PPE
6011 Uniforms

11,800

1,054

7,508

4,292

64%

6021 Personal Protective Equipment

45,000

38

40,792

4,208

91%

6031 Safety & PPE (per MOU)

21,000

20,904

96

100%

77,800

1,092

69,204

8,596

89%

1,000

144

518

482

52%

6112 Meals - Training

310

153

157

49%

6113 Meals - Fire

800

144

518

282

65%

40,000

2,520

22,470

17,530

56%

42,110

2,807

23,659

18,451

56%

6211 Wellness/FItness Program

15,000

577

1,950

13,050

13%

6221 Tuition/Licenses

19,055

2,654

8,106

10,950

43%

6231 Mileage/Transportation

1,500

47

1,453

3%

6232 Lodging/food (Per Diem)

1,500

767

733

51%

Subtotal
Food / Meals
6111 Meals - Administration

6114 Meals - Interns


Subtotal
Training / Fitness

6241 Training Materials

8,000

2,234

5,766

28%

6251 Education Incentive Program

9,900

600

2,438

7,462

25%

54,955

1,885

15,542

39,413

28%

174,865

5,784

108,405

66,460

62%

12,800

702

9,743

3,057

76%

6,600

290

2,551

4,049

39%

19,400

992

12,294

7,106

63%

6551 Household Supplies

7,400

811

7,179

221

97%

6561 Contract Services

2,000

169

1,507

493

75%

6571 Office Supplies Stations

1,030

37

1,633

(603)

159%

Subtotal

Personnel Related Total

(1,945)

Facility & Equipment


Communication
6511 Telephones
6521 Cellular Phones
6531 Radios
Subtotal
Household

6581 Printer Cartridges/Supplies


Subtotal

3,200

258

2,942

8%

13,630

1,016

10,577

3,053

78%

47,700

43,235

4,465

91%

Insurance
6611 Liability
6621 Property
6631 Umbrella
Subtotal

47,700

43,235

4,465

91%

9,000

1,772

6,932

2,068

77%

10,000

2,675

7,409

2,591

74%

5,000

286

4,705

295

94%

Maintenance
6651 SCBA
6656 Equipment
6661 Mobile/Portable Radios/Pagers

2-6

Operations - Fund 722


For April, 2015
Sample Report Format
6671 Computers
6672 Copier

April
Budget

Actual

27,548

759

YTD
Actual
15,462

Variance
12,086

%
56%

2,060

1,165

895

57%

80,000

4,091

37,009

42,991

46%

133,608

9,584

72,682

60,926

54%

10,000

562

6,916

3,084

69%

10,000

562

6,916

3,084

69%

10,000

(90)

16,116

(6,116)

161%

2,700

12,700

(90)

1,257

68

922

335

73%

44,500

2,219

32,221

12,279

72%

6831 Propane

9,900

240

5,355

4,545

54%

6841 Trash

4,700

272

2,929

1,771

62%

6681 Facility Maintenance & Improvements


Subtotal
Medical Supplies
6711 AEMT Supplies
6716 EMS Supplies
Subtotal
Small Tools
6761 Suppression Equip/Small Tools
6781 Technical Rescue Equipment
Subtotal

238
16,353

2,463
(3,653)

9%
129%

Utilities
6811 Alarm
6821 Electicity / Gas (PGE)

6851 Water / Sewer


Subtotal

8,650

2,487

8,376

274

97%

69,007

5,286

49,803

19,204

72%

6,412

(6,412)

6,412

(6,412)

Capital Expenditures
6911 Station
6921 Equipment
6931 Vehicle
6941 Admin
6951 Other
Subtotal

Facility & Equipment Total

306,045

17,351

218,274

87,771

71%

Vehicle Related
Insurance
7001 Vehicle Insurance
Subtotal

20,000

(1,380)

15,926

4,074

80%

Maintenance
7011 Accessories
7016 Batteries

6,000

570

5,430

10%

7021 Body

2,000

1,392

608

70%

7026 Brakes

6,000

653

5,347

11%

20,000

32,033

(12,033)

160%

7031 Drive Train


7036 Pumps
7041 Tires

4,000

82

2,769

1,231

69%

12,000

2,160

14,204

(2,204)

118%

70,000

863

67,546

2,454

96%

7046 Tools
7049 Other
Subtotal

2-7

Operations - Fund 722


For April, 2015
Sample Report Format

April
Budget

Actual

YTD
Actual

Variance

Fuel
7051 Fuel
Subtotal

Vehicle Related Total

79,200

3,591

46,999

32,201

59%

79,200

3,591

46,999

32,201

59%

149,200

4,454

114,545

34,655

77%

3,000

160

2,866

134

96%

650

10

439

211

68%

15,059

6,326

8,734

42%

100

120

(20)

120%

Gen & Admin


Office Expense
7501 Administration
7506 Board
7511 Memberships
7516 Mileage Reimbursement
7521 Postage & Delivery

1,209

125

844

365

70%

7526 Printing

450

49

49

401

11%

7531 Other

250

250

0%

10,075

51%

Subtotal

20,718

344

10,643

21,000

2,550

21,951

Professional Services
7551 Accounting
7556 Computer

(951)

105%

6,000

1,500

4,500

25%

7561 Consultants

23,000

1,379

21,077

1,923

92%

7566 Legal

25,000

494

21,123

3,877

84%

3,600

3,600

0%

78,600

4,422

65,651

12,949

84%

2,000

382

1,618

19%

300

2,432

(2,132)

811%

2,814

(514)

122%

7571 Medical Director


7576 Other
Subtotal
Publications
7591 Legal Notices
7596 Marketing/Advertising
Subtotal

2,300

Special District
7611 Election

24,340

24,306

34

100%

7621 LAFCo Budget Share

4,120

3,655

465

89%

7631 Nevada County Fees

60,156

56,606

3,550

94%

900

256

644

28%

84,823

4,693

95%

7641 Other
Subtotal

89,516

Prevention
7651 Code purchases

3,200

1,704

1,496

53%

7653 Fire Investigation supplies

5,000

141

630

4,370

13%

7655 Fuels Management

7657 Inspection supplies

875

19

19

856

2%

7659 Office supplies/expense

1,000

14

195

805

20%

7661 Professional Svcs/Plan checks

2,000

200

335

1,665

17%

7663 Public Education supplies

1,000

300

700

30%

790

215

575

27%

7665 Subscriptions/Memberships

2-8

Operations - Fund 722


For April, 2015
Sample Report Format
7667 Training

April
Budget

Actual

YTD
Actual

Variance

2,000

257

926

1,074

46%

15,865

631

4,324

11,541

27%

2,355

2,286

69

97%

242

235

97%

122,410

74,305

48,105

61%

721

700

21

97%

2,000

1,287

713

64%

7669 Other
Subtotal
JPA
7811 Air Station Use
7821 Command 1 Vehicle
7831 Dispatch Charges
7841 Dues/Administration
7851 Radio
Subtotal

127,728

78,814

48,914

62%

Gen & Admin Total

334,727

5,398

247,069

87,658

74%

Total Expenditures

5,273,022

501,314

4,147,775

1,125,247

79%

Over / <Under>

101,216

611,998

2-9

Operations - Fund 722


For April, 2015
Revenue
Account #

Description

400100
400300
400400
400600
400601
401700
401800
401900
402800
411001
430101
430201
441900
443490
444400
444401
449600
450800
451195
451701
451790
458001
460701
461401
462001
462002
462003
462004

Current Secured (Tax)


Current Unsecured (Tax)
Prior Unsecured (Tax)
Tax Share: Grass Valley
Tax Share: Nevada City
Supplemental Secured (Tax)
Supplemental Unsecured (Tax)
Escaped Assessments (Tax)
Suppl Prior Unsecured (Tax)
Licenses/Permits (Prevention)
Interest (Non-Tax)
Rentals (Non-Tax)
State - Homeowners (Tax)
State - Timber Yield (Tax)
Fire Reimbursement (net)
Prior Year Fire Reimbursement
State Aid - Public Safety (Prop 172)
Fuel Management Assessment
Special Tax - 2012
NCCFD Special Assessment
NCCFD Spec. Assess. (Prior Yr.)
Other Current Svcs (Non-Tax)
Sale: Surplus Equipment (net)
Prior Year Revenue (Non-Tax)
Other Revenue (Non-Tax)
Training Revenue (Non-Tax)
Vehicle Repairs (Non-Tax
Cost Recovery (Non-Tax)

Total Revenue

Final Budget

Total Revenue Transactions

83% of Fiscal Year

YTD Actual

Variance

YTD %

946,691
180

2,250,172
46,225
568
0
2,090
29,796
370
0
51
1,950
(671)
6,567
23,832
2
0
34,413
244,809
450
467,897
1,633,169
0
179
680
1,077
3,520
1,380
5,222
6,026

(57,924)
577
(442)
(18,363)
(1)
26,766
269
0
(151)
(8,050)
2,529
(6,772)
(1,418)
2
(50,000)
28,976
(46,941)
450
(391,179)
(89,877)
0
179
680
(923)
(1,480)
(3,620)
1,222
1,026

97%
101%
56%
0%

54%
70%
28%
131%
121%

4,759,773

614,465

89%

11,037
(80)
9
225
572
10,034

50,000
5,437
291,750
0
859,076
1,723,046
0
0
0
2,000
5,000
5,000
4,000
5,000
5,374,238

Beginning Cash Balance:

April Actual

2,308,096
45,648
1,010
18,363
2,090
3,030
101
0
202
10,000
(3,200)
13,339
25,250

0
40,901

686,457

200
1,950
212
1,698,388

514,929
5,889,167

514,929
1,698,388

BUDSTAT 04-2015

5,274,702

(0)

983%
367%
25%
20%
0%
49%
94%

0%
633%
84%

54%
95%

614,465

2-10

Permanent Salaries
Account #

Description

Final Budget

510101
Chief (1)
510102
Battalion Chief (2)
510103
Fire Marshal/Inspector (1 1/2)
510104
Engineer (13)
510105
Captain (6)
510106
Career Firefighter (11)
510107
Clerical (3)
510108
Supplemental FF (2) (formerly Seasona
510109
Overtime (incl Succession)
510111
Medicare: Employer Tax
510112
SUI: Employer Tax
510113
Strke Team
510114
FICA: Employer Tax
510115
Division Chief (see Bat Chief)
510116
Fire Mechanic (1)
510117
Strike Team Backfill
510118
Education Incentive Program
510119
Incentive Pay
510120
Salary Contigency
510125
Holiday Stipend
510130
Vacation Sell Back
Total Permenant Wages

April Actual

173,625
161,537
94,589
697,878
397,182
451,219
167,620
35,000
227,360
37,711
14,168
0
4,030
0
51,293
0
0
0
18,000
43,638
92,929
2,667,779

27,353
17,916
7,798
59,956
45,360
45,148
18,191
9,735
46,509
4,141
198
(1,376)
317
6,067

6
2,224
289,541

YTD Actual

142,232
65,202
55,819
491,194
335,757
406,866
115,888
50,813
252,876
33,323
11,941
45,724
3,855
46,669
46,685
0
0
0
4,600
33,404
31,683
2,174,532

Variance

YTD %

31,393
96,335
38,770
206,684
61,425
44,353
51,732
(15,813)
(25,516)
4,388
2,227
(45,724)
175
(46,669)
4,608
0
0
0
13,400
10,234
61,246
493,247

82%
40%
59%
70%
85%
90%
69%
145%
111%
88%
84%

96%

91%

...%

Variance

YTD %

0
817
250
(16)
(44)
(68)
(225)
0
0
714

80%
83%
119%
118%
120%

88%

Variance

YTD %

26%
77%
34%
82%

Temporary Wages
Account #

Description

510201
Interns
510202
PCF Program (Variable)
510203
Volunteer Officer
510204
Medicare: Employer Tax
510205
SUI: Employer Tax
510207
FICA: Employer Tax
510208
Directors
510209
Strike Team: P/T Employees
510210
Strike Team Backfill
Total Temporary Wages

Final Budget

April Actual

0
4,000
1,500
80
242
341
0
0
0
6,163

125
4
11
17
150

307

YTD Actual

0
3,183
1,250
96
286
409
225
0
0
5,449

Retirement Benefits
Account #

Description

510301
PERS: Career Employees
510302
PERS: Part-Time Employees
Total Retirement Benefits

Final Budget

April Actual

719,058
0
719,058

74,438
0
74,438

YTD Actual

564,368
0
564,368

154,690
0
154,690

78%

78%

Insurance Benefits
Account #

Description

510401
Life Insurance
510402
Medical Ins
510403
LTD
510406
Vision & Dental
520701
Workers Comp Insurance
Total Insurance Benefits

Total Wages & Benefits

Final Budget

April Actual

YTD Actual

Variance

YTD %

10,611
581,700
0
72,000
250,874
915,185

787
41,794
0
4,757
56,704
104,041

11,600
433,906
0
49,759
219,869
715,134

(989)
147,794

109%
75%

22,242
31,005
200,051

69%
88%
78%

4,308,185

468,327

3,459,483

848,702

80%

80%

83% of Fiscal Year

BUDSTAT 04-2015

2-11

Clothing/Personal Equipment
Account #

Description

520201
Repair
520202
Uniforms
520204
Personal Protective Equipment
520207
Safety & PPE (per MOU)
Total Clothing/Personal Equipment:

Final Budget

April Actual

400
11,400
45,000
21,000
77,800

142
912
38
0
1,092

YTD Actual

142
7,367
40,792
20,904
69,204

Variance

YTD %

259
4,033
4,208
96
8,596

35%
65%
91%

89%

Variance

YTD %

3,057
4,049
7,106

76%
39%
63%

Variance

YTD %

482
157
282
17,530
18,451

52%
49%
65%
56%
56%

Variance

YTD %

Communications
Account #

Description

520302
Telephones
520303
Cellular Phones
Total Communications:

Final Budget

April Actual

12,800
6,600
19,400

702
290
992

YTD Actual

9,743
2,551
12,294

Food
Account #

520501
520502
520503
520504
Total Food:

Description

Meals - Administration
Meals - Training
Meals - Fire
Meals - Interns

Final Budget

April Actual

1,000
310
800
40,000
42,110

144
0
144
2,520
2,807

YTD Actual

518
153
518
22,470
23,659

Household
Account #

Description

520601
Misc. Household Supplies
520602
Contract Services
Total Household:

Final Budget

April Actual

7,400
2,000
9,400

811
169
980

YTD Actual

7,179
1,507
8,686

221
493
714

97%
75%
92%

Insurance
Account #

Description

520702
Liability
Total Insurance:

Final Budget

April Actual

47,700
47,700

0
0

YTD Actual

43,235
43,235

Variance

YTD %

4,465
4,465

91%
91%

Variance

YTD %

2,068
295
2,942
12,086
895
18,285

77%
94%
8%
56%
57%
61%

Variance

YTD %

42,991
42,991

46%
46%

Maintenance: Equipment
Account #

Description

520920
SCBA
520930
Mobile/Portable Radios/Pagers
520939
Printer Cartridges/Supplies
520940
Office - Computers
520941
Office - Copiers
Total Equipment Maintenance:

Final Budget

April Actual

9,000
5,000
3,200
27,548
2,060
46,808

1,772
286
0
759
0
2,818

YTD Actual

6,932
4,705
258
15,462
1,165
28,523

Maintenance: Buildings
Account #

Description

521011
Maint - All Structures
Total Building Maintenance:

83% of Fiscal Year

Final Budget

April Actual

80,000
80,000

BUDSTAT 04-2015

4,091
4,091

YTD Actual

37,009
37,009

2-12

Maintenance: Vehicles
Account #

Description

521141
Tires
521142
Batteries
521144
Accessories/Miscellaneous
521147
Brakes
521148
Body Repair
521149
Drive Train Repair
521150
Pumps/Accessories
Total Vehicle Maintenance:

Final Budget

April Actual

12,000
6,000
20,000
6,000
2,000
20,000
4,000
70,000

2,160
0
(1,380)
0
0
0
82
863

YTD Actual

14,204
570
15,926
653
1,392
32,033
2,769
67,546

Variance

YTD %

(2,204)
5,430
4,074
5,347
608
(12,033)
1,231
2,454

118%
10%
80%
11%

160%
69%
96%

Variance

YTD %

8,734
8,734

42%
42%

Variance

YTD %

Memberships
Account #

Description

521201
Memberships
Total Memberships:

Final Budget

April Actual

15,059
15,059

0
0

YTD Actual

6,326
6,326

Medical Supplies
Account #

Description

521301
EMS Supplies/Oxygen
521302
Medical Equipment Maint.
Total Medical Supplies:

Final Budget

April Actual

10,000
0
10,000

562
0
562

YTD Actual

6,875
41
6,916

3,125
(41)
3,084

69%

69%

Office Expense
Account #

Description

521401
Administrative
521403
Stations
521404
Board
521405
Postage/Meter/UPS Chgs
521407
Printing
Total Office Expense:

Final Budget

April Actual

3,000
1,030
650
1,209
450
6,339

160
37
10
125
49
380

YTD Actual

2,866
1,633
439
844
49
5,830

Variance

YTD %

134
(603)
211
365
401
509

96%
159%
68%
70%
11%
92%

Variance

YTD %

1,923
3,877
(951)
13,050
4,500
335
3,600
26,335

92%
84%
105%
13%
25%
73%
0%
72%

Variance

YTD %

(2,132)
1,618
(514)

811%
19%
122%

Variance

YTD %

Professional Services
Account #

Description

521500
Miscellaneous Consultants
521510
Legal Services
521520
Accounting
521542
Wellness/FItness Program
521573
Computer Consultant
521574
Alarm Monitoring
521575
Medical Director
Total Professional Services:

Final Budget

April Actual

23,000
25,000
21,000
15,000
6,000
1,257
3,600
94,857

1,379
494
2,550
577
0
68
0
5,067

YTD Actual

21,077
21,123
21,951
1,950
1,500
922
0
68,523

Legal Notices / Publications


Account #

Description

521601
Marketing/Advertising
521602
Legal Notices
Total Legal Notices/Publications:

Final Budget

April Actual

300
2,000
2,300

0
0
0

YTD Actual

2,432
382
2,814

Rents / Leases: Equipment


Account #

Description

521701
Equipment Lease
Total Rents/Leases - Equipment:

83% of Fiscal Year

Final Budget

April Actual

250
250

BUDSTAT 04-2015

0
0

YTD Actual

0
0

250
250

0%
0%

2-13

Small Tools
Account #

Description

521902
Suppression Equip/Small Tools
521903
Vehicle/Bldg/Equipment Maint.
521904
Technical Rescue Equipment
Total Small Tools:

Final Budget

April Actual

10,000
10,000
2,700
22,700

(90)
2,675
0
2,586

YTD Actual

16,116
7,409
238
23,763

Variance

YTD %

(6,116)
2,591
2,463
(1,063)

161%
74%
9%
105%

Variance

YTD %

3,550
321
323
465
0
34
4,693

94%
20%
35%
89%

100%
95%

Variance

YTD %

32,201
32,201

59%
59%

Variance

YTD %

12,279
274
1,771
4,545
18,869

72%
97%
62%
54%
72%

Variance

YTD %

(20)
(20)

120%
120%

Variance

YTD %

1,496
575
4,370
700
0
805
856
1,074
1,665
11,541

53%
27%
13%
30%

20%
2%
46%
17%
27%

Special District Expense


Account #

Description

522003
NC Fees
522004
Awards/Incentives
522005
Books/Publications
522006
LAFCo Budget Share
522007
Property Rental (Mgmt) Fees
522017
Election Costs
Total Special District Expense:

Final Budget

April Actual

60,156
400
500
4,120
0
24,340
89,516

0
0
0
0
0
0
0

YTD Actual

56,606
79
177
3,655
0
24,306
84,823

Fuel
Account #

522301
Total Fuel:

Description

Gasoline/Diesel/Oil

Final Budget

April Actual

79,200
79,200

3,591
3,591

YTD Actual

46,999
46,999

Utilities
Account #

522401
522402
522403
522404
Total Utilities:

Description

Pacific Gas & Electric


Water/Sewer
Trash
Propane

Final Budget

April Actual

44,500
8,650
4,700
9,900
67,750

2,219
2,487
272
240
5,219

YTD Actual

32,221
8,376
2,929
5,355
48,881

Mileage Reimbursement
Account #

Description

522501
Private vehicle
Total Mileage Reimbursement:

Final Budget

April Actual

100
100

0
0

YTD Actual

120
120

Prevention
Account #

Description

522601
Code purchases
522602
Subscriptions/Memberships
522603
Fire Investigation supplies
522604
Public Education supplies
522605
Fuels Management
522606
Office supplies/expense
522607
Inspection supplies
522608
Training
522609
Professional Svcs/Plan checks
Total Prevention:

83% of Fiscal Year

Final Budget

April Actual

3,200
790
5,000
1,000
0
1,000
875
2,000
2,000
15,865

BUDSTAT 04-2015

0
0
141
0
0
14
19
257
200
631

YTD Actual

1,704
215
630
300
0
195
19
926
335
4,324

2-14

JPA (Fire Agency)


Account #

Description

522701
Dues/Administration
522702
Air Station Use
522703
Dispatch Charges
522704
Radio
522705
Command 1 Vehicle
Total Fire Agency:

Final Budget

April Actual

721
2,355
122,410
2,000
242
127,728

0
0
0
0
0
0

YTD Actual

Variance

YTD %

21
69
48,105
713
7
48,914

97%
97%
61%
64%
97%
62%

Variance

YTD %

8,106
47
767
2,234
2,438
13,592

10,950
1,453
733
5,766
7,462
26,363

43%
3%
51%
28%
25%
34%

(6,412)
(6,412)

700
2,286
74,305
1,287
235
78,814

Training
Account #

522800
522801
522802
522805
522806
Total Training:

Description

Tuition/Licenses
Mileage/Transportation
Lodging/food (Per Diem)
Training Materials
Education Incentive Program

Final Budget

April Actual

19,055
1,500
1,500
8,000
9,900
39,955

2,654
0
0
(1,945)
600
1,309

YTD Actual

CAPITAL EXPENDITURES:
540500
Recurring Equipment Purchases
Total Capital Expenditures:

TOTAL EXPENSES:

0
0

0
0

6,412
6,412

5,273,022

501,314

4,147,775

Accrued Liabilities

Ending Cash Balances

TOTAL EXPENSE TRANSACTIONS:

83% of Fiscal Year

1,125,247

79%

1,784

616,145

1,128,711

5,889,167

501,314

5,278,270

BUDSTAT 04-2015

610,897

2-15

AB1600 Mitigation Fees - Fund 733


For April, 2015
Revenue
Account #

Description

430101
Interest
452700
Mitigation Fees (AB1600)
462001
Other Revenue
Total Revenue
Beginning Cash Balance:
Total Revenue Transactions

Final Budget

April Actual

YTD Actual

0
80,000
0
80,000

0
7,324
0
7,324

445
61,434
61,879

83,807

83,807

83,807

163,807

91,131

145,686

Variance

YTD %

(445)
(18,566)
(18,121)

77%

Variance

YTD %

27,085
7,500
61,237
95,822

50%
0%
0%
22%

77%

Expenses:
Account #

Description

540200
Structures & Improvements
521500
Misc Consultants
540500
Equipment
Total Expenses
Ending Cash Balance

Final Budget

April Actual

54,170
7,500
61,237
122,907
40,900

0
0
0
0

YTD Actual

27,085
27,085
118,601

General
a.Fundsarecollectedbasedonthefeestructuredeveloped bythevariousfireservicespriorto
consolidation.
b.FundsarekeptinitsownfundmaintainedbyNevadaCounty.
c.Fundsareusedtocontinuetheenhancementandexpansionoffire&medicalservicesthroughfacility
andequipmentrelatedexpenditures.
Revenue
430101Interest providedbyNevadaCountybasedonbalanceinthefund.
452700MitigationFees collectedbythedistrictattheadminfacility.Feesarebasedwhichbattalionthe
projectisconstructed.
Expenses
540200Structure&Improvements Semi annualloanpaymenttoWestAmericaBankforthemortgageon
Station84.

83% of Fiscal Year

BUDSTAT 04-2015

2-16

2012 Special Tax - Fund 734


For April, 2015
Revenue
Account #

April Actual

YTD Actual

Variance

YTD %

451195
Special Tax 2012
430101
Interest
Total Revenue

Description

Final Budget

867,603
0
867,603

345,307
0
345,307

821,315
759
822,075

46,288
(759)
45,528

95%

Beginning Cash Balance:


TOTAL REVENUE TRANSACTIONS:

149
867,752

345,307

149
822,223

April Actual

YTD Actual

Variance

YTD %

Expense
Account #

Description

570000
522003

Transfer to 722
Special Dist Exp

Total Expenses

83% of Fiscal Year

Final Budget

859,076
8,676
0
867,752

BUDSTAT 04-2015

0
0
0
0

467,000
8,244
0
475,244

392,076
432
0
392,508

55%

2-17

Reserves - Fund 758


For April, 2015
Revenue
Account #

YTD Actual

Variance

YTD %

430101
Interest
460701
Sale - Surplus Equipment
452700
Other Revenue
Total Revenue
Beginning Cash Balance:

Description

Final Budget

0
0
275,000
275,000
37,937

April Actual

0
0
0
0

517
0
294,525
295,042
37,937

517
0
19,525
20,042

Total Revenue Transactions

312,937

332,979

Variance

YTD %

Expense
Account #

Description

540200
Structures and Improvements
540400
Vehicles
540500
Equipment
Total Expenses
Ending Cash Balance

83% of Fiscal Year

Final Budget

April Actual

0
110,000
115,000
225,000
87,937

BUDSTAT 04-2015

0
0
4,129
4,129

YTD Actual

774
0
4,129
4,903
328,076.51

(774)
110,000
110,871
220,097

2-18

Nevada County Consolidated Fire District


Check History Report
April 2015
CHECK

DATE

VENDOR NAME

ACCOUNT

DESCRIPTION

286145

4/1/2015

SPECIAL DIST RISK MGMT AUTH.

510406-0-00

Group Dental / Vision Insurance [April]

286146

4/1/2015

SPECIAL DIST RISK MGMT AUTH.

520701-0-00 Worker's Compensation 4th Quarter 14/15

56,704.00

286147

4/1/2015

BLUE SHIELD OF CALIFORNIA

510402-0-00

Group Health Insurance [April]

42,533.00

286148

4/1/2015

NITRAM, INC.

521574-0-00

Fire Alarm Monitoring: FS84

286149

4/1/2015

MYERS-STEVENS & TOOHEY & CO.

229101-0-00

Safety Employees LTD

638.00

286150

4/1/2015

SCOTTS PPE RECON INC

520201-0-00

Clothing / PPE: Repairs

141.50

286151

4/1/2015

KAISER FOUNDATION HEALTH PLAN

510402-0-00

Group Health Insurance [April]

3,122.00

286152

4/1/2015

AFLAC

229107-0-00

AFLAC Pre-Tax PR Deductions

752.78

286153

4/1/2015

AUBURN OFFICE SUPPLIES

521401-0-00

Office Exp: Administration

19.05

286156

4/1/2015

NCCFD - EFTPS (Federal Taxes)

221000-0-00

Federal Income Tax

286157

4/1/2015

NEVADA COUNTY PROF FF ASSN

225000-0-00

NCCFA Dues

286158

4/1/2015

CalPERS (Retirement)

510301-0-00

Retirement Benefits

28,252.54

286159

4/1/2015

E.D.D. (State Taxes)

222000-0-00

State Income Tax

3,868.96

286160

4/1/2015

CALIF. STATE DISBURSEMENT UNIT

226100-0-00

Earnings W/H Order

323.07

286161

4/1/2015

CalPERS 457 Plan (Def. Comp)

229104-0-00

Deferred Comp (457)

1,277.96

286162

4/1/2015

HSA BANK, DIV. OF WEBSTER BANK

229106-0-00

HSA Pre Tax Deductions (Health Ins)

286163

4/1/2015

David Miller

520504-0-00

Food: Interns

993244

4/1/2015

NATIONWIDE RETIREMENT SOLUTION

229104-0-00

Deferred Comp

993257

4/1/2015

CEQUEL COMMUNICATIONS

520302-0-00

Communications: Telephones

74.95

993270

4/1/2015

BENEFIT & RISK MGMT

510401-0-00

Group Insurance: Life [April]

1,365.65

993284

4/1/2015

Eric Johnson

520504-0-00

Food: Interns

180.00

993287

4/1/2015

Nicole McCurray

520504-0-00

Food: Interns

120.00

993288

4/1/2015

Daryn R. Lea

520504-0-00

Food: Interns

150.00

993289

4/1/2015

Haley Cutter

520504-0-00

Food: Interns

150.00

993290

4/1/2015

Corrie J. Beall

520504-0-00

Food: Interns

150.00

993291

4/1/2015

Dominic F Derose

520504-0-00

Food: Interns

150.00

286527

4/9/2015

CURTIS, L.N. & SONS

521903-0-00

Suppression Tools Maint

173.40

286528

4/9/2015

WASTE MANAGEMENT OF NEV. CO.

522403-0-00

Utilities: Trash

254.40

286529

4/9/2015

SACRAMENTO UNIFORMS

520202-0-00

Clothing / PPE: Uniforms

37.44

286530

4/9/2015

RIEBES AUTO PARTS

521144-0-00

Maint Vehicles: Accessories

546.17

286531

4/9/2015

SUBURBAN PROPANE

522404-0-00

Utilities: Propane

229.07

286532

4/9/2015

SUTTER MEDICAL FOUNDATION

521542-0-00

Wellness Program

318.38

286533

4/9/2015

Curtis & Vander Ploeg

521510-0-00

Professional Services: Legal

493.95

286534

4/9/2015 GOLDEN STATE EMERGENCY VEHICLE 521144-0-00

Maint Vehicles: Accessories

38.69

993843

4/9/2015

MASON, PATRICK

520202-0-00

Clothing / PPE: Uniforms [Badge]

87.50

993847

4/9/2015

MISSION LINEN SUPPLY, INC.

520602-0-00

Household: Contract Services

74.21

993850

4/9/2015

ENTZ, SHAWN

521542-0-00

Wellness Program

270.20

993853

4/9/2015

ROBINSON ENTERPRISES, INC.

522301-0-00

Fuel/Oil: Gas / Diesel / Oil

286813

4/16/2015

NCCFD - EFTPS (Federal Taxes)

221000-0-00

Federal Income Tax

286814

4/16/2015

NEVADA COUNTY PROF FF ASSN

225000-0-00

NCCFA Dues

286815

4/16/2015

CalPERS (Retirement)

510301-0-00

Retirement Benefits

25,810.85

286816

4/16/2015

E.D.D. (State Taxes)

222000-0-00

State Income Tax

3,023.49

286817

4/16/2015

CALIF. STATE DISBURSEMENT UNIT

226100-0-00

Earnings W/H Order

323.07

286818

4/16/2015

CalPERS 457 Plan (Def. Comp)

229104-0-00

Deferred Comp (457)

1,277.96

286819

4/16/2015

HSA BANK, DIV. OF WEBSTER BANK

229106-0-00

HSA Pre Tax Deductions (Health Ins)

96.15

286820

4/16/2015

David Miller

520504-0-00

Food: Interns

120.00

Run Date: 05/04/2015 4:04:06 PM

AMOUNT
4,756.53

90.00

14,743.68
810.00

96.15
180.00
2,075.00

631.85
12,298.57
810.00

2-19

Nevada County Consolidated Fire District


Check History Report
April 2015
CHECK

DATE

VENDOR NAME

ACCOUNT

DESCRIPTION

286821

4/16/2015

WASTE MANAGEMENT OF NEV. CO.

522403-0-00

Utilities: Trash

18.06

286822

4/16/2015

COMCAST

520302-0-00

Communications: Telephones

173.85

286823

4/16/2015

ENGINEERED FIRE SYSTEMS, INC.

522609-0-00

Prevention Prof Services: Plan Review

286824

4/16/2015

J.H. PETROLEUM

522301-0-00

Fuel/Oil: Gas / Diesel / Oil

1,272.53

286825

4/16/2015

LES SCHWAB TIRE CENTER

521141-0-00

Maint Vehicles: Tires

2,160.33

286826

4/16/2015

LEHR AUTO ELECTRIC

521144-0-00

Maint Vehicles: Accessories

286827

4/16/2015

PACIFIC GAS & ELECTRIC CO.

522401-0-00

Utilities: PGE

286828

4/16/2015

A.T.&.T. CALNET 2

520302-0-00

Communications: Telephones

286829

4/16/2015

CalCARD (US BANK)

VARIOUS

SEE ATTACHED

286830

4/16/2015

CONDER CONSTRUCTION

521011-0-00

286831

4/16/2015

CRAIG JOHNSON PLUMBING

521011-0-00

286832

4/16/2015

MEM ELECTRICAL INC

521011-0-00

286833

4/16/2015

AUBURN OFFICE SUPPLIES

521401-0-00

Office Exp: Administration

286834

4/16/2015

Nevada County Cons. Fire Dist.

521520-0-00

Accounting Fees: 13/14 PERS Valuation

993936

4/16/2015

SUNDE, JOSHUA

522806-0-00

Education Incentive

300.00

993949

4/16/2015

HILLS FLAT LUMBER COMPANY

520601-0-00

Household: Misc Station Supplies

85.50

993950

4/16/2015

MISSION LINEN SUPPLY, INC.

520602-0-00

Household: Contract Services

94.81

993958

4/16/2015

AIRGAS, NCN

521301-0-00

Medical Supply: EMS/Oxygen [March]

993959

4/16/2015

NATIONWIDE RETIREMENT SOLUTION

229104-0-00

Deferred Comp

993974

4/16/2015

BURTON'S FIRE APPARATUS

993979

4/16/2015

DAVISON, JASON D

520202-0-00

Clothing / PPE: Uniforms

12.86

993980

4/16/2015

MENTH, NATHAN R

522806-0-00

Education Incentive

300.00

993982

4/16/2015

WITTER, ZACHARY

522800-0-00

Training / Tuition Licenses: EMT Recert

68.00

993994

4/16/2015

SATCOM GLOBAL INC

520302-0-00

Communications: Telephones

84.88

994005

4/16/2015

JOHN JEFF VAN GRONINGEN

520202-0-00

Clothing / PPE: Uniforms

67.04

994008

4/16/2015

Eric Johnson

520504-0-00

Food: Interns

120.00

994009

4/16/2015

Michael E. Lewis

521500-0-00

Professional Services: Misc.

750.00

994011

4/16/2015

NICHOLAS J BROTHERS

520504-0-00

Food: Interns

150.00

994014

4/16/2015

Nicole McCurray

520504-0-00

Food: Interns

120.00

994015

4/16/2015

Daryn R. Lea

520504-0-00

Food: Interns

120.00

994016

4/16/2015

Haley Cutter

520504-0-00

Food: Interns

60.00

994017

4/16/2015

Corrie J. Beall

520504-0-00

Food: Interns

30.00

994018

4/16/2015

Dominic F Derose

520504-0-00

Food: Interns

90.00

287070

4/23/2015

A.T.& T. (Atlanta)

520302-0-00

Communications: Telephones

31.83

287071

4/23/2015

NEVADA CO - TRANS & SANITATION

522402-0-00

Utilities: Water / Sewer

287072

4/23/2015

VERIZON WIRELESS

520303-0-00

Communications: Cellular Phones

289.73

287073

4/23/2015

SACRAMENTO UNIFORMS

520202-0-00

Clothing / PPE: Uniforms

486.77

287074

4/23/2015

NEVADA IRRIGATION DISTRICT

522402-0-00

Utilities: Water / Sewer

41.69

287075

4/23/2015

A. T. & T.

520302-0-00

Communications: Telephones

6.19

287076

4/23/2015

HOUSE OF PRINT AND COPY

521407-0-00

Office Exp: Printing

48.66

287077

4/23/2015

AMICK, JR., RICHARD A.

521902-0-00

Small Tools: Suppression Equip

202.32

287078

4/23/2015

AFLAC

229107-0-00

AFLAC Pre-Tax PR Deductions

132.80

287079

4/23/2015

DJE CONSULTANTS LLC

521500-0-00

Professional Services: Live Scan

51.00

287080

4/23/2015

AUBURN OFFICE SUPPLIES

521404-0-00

Office Expense: Board Supplies

9.57

994084

4/23/2015

SUNDE, JOSHUA

520202-0-00

Clothing / PPE: Uniforms [Badge]

87.50

Run Date: 05/04/2015 4:04:06 PM

Maintenance: All Structures


FS89 Deck Plans
Maintenance: All Structures
FS89 Plumbing Repairs
Maintenance: All Structures
FS88 Electrical Repairs

521903-0-00 Suppression Tools Maint: Foam Retardant

AMOUNT

200.00

819.33
2,219.28
438.27
2,552.72
1,400.00
224.12
500.00
38.91
2,550.00

304.38
2,075.00
1,976.11

2,445.00

2-20

Nevada County Consolidated Fire District


Check History Report
April 2015
CHECK

DATE

VENDOR NAME

ACCOUNT

DESCRIPTION

994088

4/23/2015

HILLS FLAT LUMBER COMPANY

521011-0-00

Maintenance: All Structures

48.65

994096

4/23/2015

ROBINSON ENTERPRISES, INC.

522301-0-00

Fuel/Oil: Gas / Diesel / Oil

818.12

994111

4/23/2015

WOLF CREEK PRODUCTIONS

522805-0-00

Training: Materials Plots for Course

18.38

994120

4/23/2015

STAPLES BUSINESS ADVANTAGE

520601-0-00

Household Supplies: Stations

883.68

994121

4/23/2015

COOMBE, DAVID

522800-0-00

Training / Tuition Licenses

994130

4/23/2015

MUNICIPAL EMERGENCY SERVICES

520920-0-00

SCBA Repairs & Maintenance

2,424.70

287483

4/29/2015

NCCFD - EFTPS (Federal Taxes)

221000-0-00

Federal Income Tax

13,225.32

287484

4/29/2015

NEVADA COUNTY PROF FF ASSN

225000-0-00

NCCFA Dues

287485

4/29/2015

CalPERS (Retirement)

510301-0-00

Retirement Benefits

28,679.24

287486

4/29/2015

E.D.D. (State Taxes)

222000-0-00

State Income Tax

3,541.34

287487

4/29/2015

CALIF. STATE DISBURSEMENT UNIT

226100-0-00

Earnings W/H Order

323.07

287488

4/29/2015

CalPERS 457 Plan (Def. Comp)

229104-0-00

Deferred Comp (457)

1,277.96

287489

4/29/2015

HSA BANK, DIV. OF WEBSTER BANK

229106-0-00

HSA Pre Tax Deductions (Health Ins)

287490

4/29/2015

David Miller

520504-0-00

Food: Interns

994223

4/29/2015

NATIONWIDE RETIREMENT SOLUTION

229104-0-00

Deferred Comp

994273

4/29/2015

Eric Johnson

520504-0-00

Food: Interns

994275

4/29/2015

NICHOLAS J BROTHERS

520504-0-00

Food: Interns

120.00

994277

4/29/2015

Nicole McCurray

520504-0-00

Food: Interns

120.00

994278

4/29/2015

Corrie J. Beall

520504-0-00

Food: Interns

90.00

994279

4/29/2015

Dominic F Derose

520504-0-00

Food: Interns

120.00

287574

4/30/2015

CURTIS, L.N. & SONS

521903-0-00

Suppression Tools Maint: Hurst Fluid

385.20

287575

4/30/2015

A.T.& T. (Atlanta)

520302-0-00

Communications: Telephones

43.59

287576

4/30/2015

J.H. PETROLEUM

522301-0-00

Fuel/Oil: Gas / Diesel / Oil

936.53

287578

4/30/2015

LIFE ASSIST INC.

521301-0-00

Medical Supply: EMS

258.02

287579

4/30/2015

SPD SAW SHOP

521903-0-00

Small Tools: Maintenance

10.31

287580

4/30/2015

SUBURBAN PROPANE

522404-0-00

Utilities: Propane

287581

4/30/2015

FOOTHILL MATTRESS CENTER

521011-0-00

Maint: FS 88 (4) Replacement Recliners

287582

4/30/2015

A.T.&.T. CALNET 2

520302-0-00

Communications: Telephones

17.27

287583

4/30/2015

AUBURN FORD LINCOLN MERCURY

521144-0-00

Maint Vehicles: Accessories

205.60

287584

4/30/2015

ALL SEASON AWARDS

520202-0-00

Clothing / PPE: Uniforms [Name Tags]

105.42

287585

4/30/2015

ROBERT LAWLESS

521011-0-00

Maint: FS 89 Drafting of new deck

400.00

287586

4/30/2015

SEA FACE, INC.

520202-0-00

Clothing / PPE: Uniforms

27.95

287587

4/30/2015 GOLDEN STATE EMERGENCY VEHICLE 521144-0-00

Maint Vehicles: Accessories

43.53

994285

4/30/2015

HILLS FLAT LUMBER COMPANY

521011-0-00

Maintenance: All Structures

19.36

994296

4/30/2015

BURTON'S FIRE APPARATUS

521150-0-00

Maintenance: Vehicle Pumps

82.18

994309

4/30/2015

BANNER COMMUNICATIONS

520930-0-00

Maintenance: Radios
FUND 722 TOTAL

AMOUNT

343.50

750.00

96.15
60.00
2,075.00
120.00

11.16
1,398.00

286.26
294,214.70

286829

4/16/2015

CalCARD (US BANK)

540500-0-58

BC U108 Camper Shell Deposit

1,899.02

287577

4/30/2015

LEHR AUTO ELECTRIC

540500-0-58

BC U108 Code 3 Lighting / Siren Equip

1,692.67

540500-0-58

BC U108 Radio Equip

994309

4/30/2015

BANNER COMMUNICATIONS

FUND 758 TOTAL


REPORT TOTAL

Run Date: 05/04/2015 4:04:06 PM

537.29
4,128.98
$ 298,343.68

2-21

NevadaCountyConsolidatedFireDistrict
CheckHistoryReport:U.S.BankCalCard
CheckNo:286829
Account
520501-0-00

520503-0-00

520601-0-00

520940-0-00

521011-0-00

521405-0-00

521903-0-00

522603-0-00

522606-0-00

522608-0-00

522800-0-00

InvoiceDate

Vendor

3/19/2015
3/12/2015
3/19/2015

87.48
38.05
18.29

FOOD: FIRE
McDonald's - Country Circle Structure Fire
Safeway - Country Circle Structure Fire

3/16/2015
3/16/2015

98.61
45.00

HOUSEHOLD: MISC STATION SUPPL.


Amazon: FS88 Refrigerator Water Filters

3/26/2015

36.62

MAINT - EQ: OFFICE - COMPUTERS


MICROSOFT OFFICE 365 (MONTHLY SUBSCRIPTION)
Staples: FS88 Replacement Keyboard

4/1/2015
3/23/2015

727.00
32.43

MAINTENANCE: ALL STRUCTURES


Amazon: FS86 Replacement Garage Door Openers

3/24/2015

70.24

OFFICE EXP: POSTAGE/UPS/METER


USPS Postage
USPS Postage
USPS Postage

3/9/2015
3/16/2015
4/3/2015

49.00
2.69
55.49

SMALL TOOLS: VEH/BLDG/EQ MAINT


Amazon: FS88 BBQ Replacement Parts

3/23/2015

130.34

PREVENTION: FIRE INVEST SUPPLS


The Investigator Supply: Fire Investigation Supplies
Target: Camera Case

4/3/2015
3/9/2015

66.19
75.24

PREVENTION: OFFICE EXPENSE


Staples: USB Drive

3/5/2015

14.05

PREVENTION: TRAINING
Marriott: CFPI Conference

3/23/2015

514.00

TRAINING: TUITION/LICENSES
Emergency Medical Services: EMT-P Renewal Benton
PAYPAL: Liebert, Cassidy Whitmore: EPMC Training
PAYPAL: Contractor Compliance: Prevailing Wage Webinar
SSVS: EMT Recertification Weathers

3/11/2015
3/20/2015
3/31/2015
3/30/2015

250.00
75.00
99.00
68.00

Fund 722 Total


540500-0-58

Amount

FOOD: ADMINISTRATION
Kane's - BC Testing Evaluators Lunch
Mel Dog's - Gruenberg, Turner, Funk
Raley's - BC Testing Evaluators

Capital Outlay - Fund 758


Access Manufacturing: Utility Shell - New BC Vehicle

2,552.72

3/19/2015

1,899.02

Fund 758 Total

1,899.02

U.S. Bank Cal Card Check Total $

4,451.74

2-22

3.
Treasurers Report
The NCCFD Board Treasurer reviews in detail with
the Finance Manager the monthly Fund Balances
and Check History. This is done after the Board
Packet has been distributed. The Treasurer then
submits a signed document at the Board Meeting
verifying he or she has done this detailed review.
This item is listed on the agenda each month
under the Consent Calendar in order to allow the
Treasurer an opportunity to pull the item off of the
agenda for discussion should there be anything
that might require further explanation.

Nevada County Consolidated Fire District


11329 McCourtney Road
Grass Valley, CA 95949
(530) 273-3158 * Fax (530) 273-1780

To:

Board of Directors

From:

Deputy Chief Jerry Funk

Date:

May 13, 2015

Re:

Administrative Office

Background: At the April 16th Board Meeting staff presented five options regarding the
future of our administrative office. The option recommended by staff was to remodel the
existing facility on Mc Courtney Road. Direction was provided by the Board to explore
the services of a designer to develop conceptual drawings.
Recommendation: Enter into a contract between Lauren Anderson / Design and
NCCFD to develop conceptual drawings and preliminary construction costs.
Fiscal Implications: Design fee not to exceed $6,000.00 with a design retainer of
$2,000.00 to start work for drawings.

4-1

1 of 4

LAURE N

AND ERSON / DESI G N

Design a nd D r a win g
Client :

Re t a in er Agrement

Nevada County consolidated Fire District

Project : Remodel

11329 Mc Courtney Road


Grass Valley, CA 95949-9759
c/o James Turner. Fire Chief

Date:

May 4, 2015

Des ign and Preliminary Drawing contract between Lauren Anderson and the Nevada
County Consolidated Fire District.

Lauren Anderson I Design shall provide design and preliminary bid drawings for the existing
3,300 square foot building at the above address. The intent is to remodel the interior and exterior of the building and to obtain building permit from the City of Grass Valley, CA. The Concept
Design phase, is to establish an accurate cost for the project.
Concept Design Phase
A. Concept Floor Plan working form the concept layout from the client plan.
Layout of the new entry area, offices, lunch room, restrooms, shower and a new outside
eating area.
B. Exterior elevations and entry concept sketches for the new "up-dated" look.
C. Note : Second floor review for access and structural support including stair areas shall
be covered by a separate proposal if required. This will require a preliminary site review.

Concept Refinement Phase I Drawings for a preliminary construction cost.


Revisions and refinements to conceptual drawings with client and contractor prior to starting
preliminary bid plans.

4-2

Demolition Plan
Floor Plan showing the new areas of construction.
Elevations as required for preliminary bidding of the job
Reflected Ceiling Plan showing new lighting
Plumbing Plan with new and revised plumbing
Electrical Plan with new electrical.
Outside walkway avert water flow from upper drive
Outside trash area and outside seating area
Construction Details : these will be for the preliminary costing of the project.
Color I Material considerations.

Lauren Anderson I Design

520 Main Street

Suite D Grass Valley CA

95945

530 273.2600

2 of 4

LAUREN ANl'JERSON I DESIGN


It is the intent of this early phase to accurately define the Design and Construction
cost of this project. These drawings shall be scale drawings ( %" scale).

Design Fee : The "Not to Exceed " cost for this project, excluding engineering for the outlined
drawings shall be$ 6,000.00 with a design retainer of$ 2,000.00 to start work for "Drawings".
Materials, copies, scanning of drawings and color prints shall be billed separately.
Acceptance of Design Retainer, Design and working drawing contract outlined above :
This agreement represents the entire agreement between the client and Lauren Anderson and
supersedes all prior negotiations, representations, or agreements, either written of oral. This
agreement may be amended only by a written instrument signed by both client and Lauren Anderson. Th is contract shall be governed by the laws of the state of California, and the parties
agree that any action brought under this agreement shall be filed in the county of Nevada.

Nevada County Consolidated Fire District


in witness thereof, the client,
Nevada County Consolidated Fire District

by _ _ _ _ _ _ _ _ _ _ _ _ __
Date: _ _ _ _ _ __

Lauren Anderson of Lauren Anderson I Design,

Date:

--------

4-3
Lauren Anderson I Design

520 Main Street

Suite D Grass Valley CA

95945

530 273.2600

3 of 4

LAUREN ANDERSON / DESI G N

Design I Engineering and Drawing Outline


Client :

Nevada County consolidated Fire District

Project : Remodel

11329 Mc Courtney Road


Grass Valley, CA 95949-9759
c/o James Turner. Fire Chief

Date :

May 11, 2015

Drawing and Engineering Phase


Required Drawings for City Building Permit :
A. Architectural Review Package for Nevada City
1. Site Plan
2. Perspective and Color Elevations of the exterior revisions ( required by the City Grass
Valley.
3. Floor Plan
4. Color Board showing all colors and materials to be used on project.
B. Working Drawings Required for Building Permit
Cover Sheet
General Construction Notes
Site and location plan showing areas of new construction
"As Built" Plan
Demolition Plan
Floor Plan (s) ( first and upper storage floor)
Elevations of exterior
Building Sections
Reflected Ceiling Plan
Interior Elevations
Engineering Details
Construction Details
Plumbing Plan
Electrical Plan
HVAC Plan
Schedules : Door, Window, Hardware, Color and Material
Sections of canopy at trash area
ADA requirements and details
Signing Design and location
Title 24
Green Building Requirement form

4-4
Lauren Anderson I Design

520 Main Street

Suite D Grass Valley CA

95945

530 273.2600

4 of 4

LA.UREN

Client :

A N DERSON / OESI GN

Nevada County consolidated Fire District

Project : Remodel

11329 Mc Courtney Road


Grass Valley, CA 95949-9759
c/o James Turner. Fire Chief
Date:

May 4, 2015

James Turner, Fire Chief


I have also included a list of the working drawings that shall be required to the plan submittal to
the City Building Department. Many of the drawings used for the preliminary construction cost
will be used in the formal plan set.
I will get you a proposal for the Construction Document phase as we define exactly what is
Needed.
Thank you for your consideration. This looks like a fun project.

Lauren

4-5
Lauren Anderson I Design

520 Main Stree t

Suite D Grass Valley CA

95945

530 273.2600

NEVADA COUNTY CONSOLIDATED FIRE DISTRICT


RESOLUTION NO. R15-09
AMENDING THE
DISTRICT STAFFING ROSTER
TO INCLUDE A
RESERVE PROGRAM
WHEREAS, Section 1.3.1 (a) of the Nevada County Consolidated Fire District Personnel
Code, attached hereto as Attachment A, requires that positions and job classes in District
employment shall be established by resolution of the Board; and
WHEREAS, the Board of Directors of Nevada County Consolidated Fire District
established a District Staffing Roster on September 15, 1994 with Resolution No. R94-10, attached
hereto as Attachment B; and,
WHEREAS, the description of the following position has been presented to the Board for
approval: Reserve Program Positions for a total of no more than 15 positions; and
WHEREAS, the Board now wishes to amend the District Staffing Roster to include the
Position and Job Class Descriptions of the above position, attached hereto as Attachment C.
NOW, THEREFORE, BE IT RESOLVED that the Board of Directors of the
Nevada County Consolidated Fire District hereby amends the District Staffing Roster, Resolution
No. R94-10 to include the Position and Job Class Description for a Second Division Chief.
The foregoing Resolution was duly passed at an official meeting of the Nevada County
Consolidated Fire District held May 28, 2015, by the following roll call vote:
AYES:
NOES:
ABSTAIN:
ABSENT:
APPROVED

________________________________________________
Tom Carrington, Chairman of the Board
Nevada County Consolidated Fire District
ATTEST:

_______________________________________
Nicole Long, Secretary to the Board

NCCFD Resolution R15-09


May 28, 2015

Attachments:
A NCCFD Personnel Code
Section 1.3.1 (a)
B NCCFD Resolution R94-10
C Position Description & Job
Class Description

5-1

DIVISION 1, CHAPTER 1.3, CREATION AND CLASSIFICATION OF POSITIONS


Nevada County Consolidated Fire District
CHAPTER 1.3 CREATION AND CLASSIFICATION OF POSITIONS
SECTION 1.3.1

ESTABLISHMENT OF POSITIONS

(a) Positions and job classes in District employment shall be established by resolution of the
Board. Such District Staffing Resolution shall specifically provide the following information as to
each position:
(1) The status of the position as defined in Section 1.1.10
(2) Whether it is administrative or emergency service
(3) Whether it is management position
(4) The job description for the position
(5) The pay level for the position
(6) Such other information as the Board may deem appropriate.
(b) The Chief shall further maintain a central District Staffing Resolution providing information on
the specific employee filling each position set out in the District Staffing Resolution. The roster
shall include for each position:
(1) The name of the individual filling the position
(2) Whether the employee is probationary, permanent or exempt
(3) The employees date of hire,
(4) The employees current salary
(5) Such other information as the Chief may deem appropriate
SECTION 1.3.2.

PEACE OFFICER DESIGNATED

For the purposes set forth in Penal Code Section 830.31 and Peace Officers Bill of Rights, the Board shall
designate in the District Staffing Resolution the specific employee or employees authorized to conduct arson
investigation and have Peace Officer status. No other employees shall regularly conduct such activities as
would qualify them for Peace Officer status.
SECTION 1.3.3.

JOB CLASS

As used herein, the term job class or class means any number of positions that are sufficiently similar in
the general character of their duties and responsibilities that the same job title and general qualifications
apply to all. A class may include several grades within that class, with additional qualifications and higher
salary ranges for each higher grade within the class. For example, a typical class description would be
Firefighter referring to a group of positions of various grades all of which involve basically similar tasks of
responding to fires and other emergencies, station maintenance, etc.

NCCFD

June 2006

pg. 10

5-2

NEVADA COUNTY CONSOLIDATED FIRE DISTRICT


RESOLUTION NO. R94-10
DISTRICT STAFFING ROSTER

WHEREAS, Section 1.3.1 (a) of the Nevada County Consolidated Fire District Personnel
Code, requires that positions and job classes in District employment shall be established by resolution
of the Board;
NOW THEREFORE BE IT RESOLVED that the Board of Directors of the Nevada County
Consolidated Fire District hereby adopts the District Staffing Roster, attached hereto as Attachment
"A", and;

The foregoing Resolution was duly passed at an official meeting of the Nevada County
Consolidated Fire District held on September 15, 1994.

AYES: CASTO, GALLINO, HITCHCOCK, LARSEN, ODDO, OROSS, SHORT


NOES: NONE
ABSTAIN:
NONE
ABSENT:
NONE

________________________________________
RALPH HITCHCOCK, Chairman of the Board
ATTEST:

___________________________________
PAM MILLER, Secretary

5-3

Nevada County Consolidated Fire District


11329 McCourtney Road
Grass Valley, CA 95949
(530) 273-3158 * Fax (530) 273-1780

Position Description
Position:

Reserve

Classification:

MiscellaneousEmployee

Supervisor:

ReportstoCompanyOfficerand/orReserveSupervisor

Compensation:

Volunteer/HourlyRateforReimbursedActivities

Description:
TheNevadaCountyConsolidatedFireDistrictsReserveProgramprovidesanopportunity
forresidentsofNevadaCountytovolunteerinnumerousfunctionsthatbenefitthefire
serviceandtheresidentsofNevadaCounty.ThemaximumnumberofReservesissetat
15.Thisnumbermaybealteredbasedonorganizationalneedsatthediscretionofthe
FireChief.
MinimumQualifications:
Level1
AllLevel2&3requirements
CurrentTBtest
CurrentN95fittest
HepatitisBvaccination
EMT(OnlyrequiredforEMSorEventstandby)
Level2
AllLevel3requirements
CADriversLicense
Level3

Residentofthefiredistrict
18yearsold
Beingoodhealth
Abilitytopassbackground

5-4


DesirableQualifications:

Specialtycertificationsortraining
o Example:LargeAnimalRescue,CPRInstructor,DefensibleSpace
Inspector

ApplicationProcess:

CompletionofDistrictApplication
Oralinterview
CompletionofaLiveScanandbackgroundcheck

Exampleofduties:
ReserveswillnotbeinvolvedinanyactionthatmaybeconsideredImmediate
DangeroustoLifeandHealth(IDLH).Thedutieslistedbelowareinaccordancewiththe
desiredlevelofReserveFirefighter.Thesedutiesaremeanttobeusedasaguideline
andmayincludeothersthatarenotlisted.
Level1
EMS/Eventstandby
LargeAnimalRescue
Logisticalincidentsupport
Departmentphotographer
Level2
Fielddutiesthatdonotrequirespecialcertification.
PublicEducation
Fundraisers
Publicoutreachprograms
Defensiblespaceinspections
Firepreventionactivities
Historian
Hydrantmaintenance
Level3

Clericalduties
Administrativeassistance

5-5

TrainingRequirements:
Reserveswillattendabasicacademy,obtaininggeneralknowledgeofthefireservice
andNCCFD.Reserveswillreceivespecializedtraininginareasthattheydesireto
participate.Specializeddutieswillrequirecompletionofapositiontaskbookpriorto
participation.
Benefits:
NCCFDwillprovidetheappropriateuniformandrequiredpersonalprotectiveclothing
forthetasksperformed.RequiredfootwearwillnotbeprovidedbyNCCFD.All
participantswillbecoveredbythedistrictsworkerscompensationinsurance.

5-6

Pursuant to the ADA and FEHA, the Department will provide, upon request, reasonable
accommodation to a qualified applicant and/or employee with a disability to allow
him/her to perform the essential functions of his/her job, unless the accommodation
would create an undue hardship for the employer.

Conditional Job Offer Candidate:


I have read and I understand the duties and responsibilities listed above. I agree to
execute the tasks in accordance with my employment agreement.

_______________________________
Signature

_________________________
Date

The Nevada County Consolidated Fire District is fully committed to Equal


Employment Opportunity and to attracting, retaining, developing and promoting
the most qualified employees without regard to their race, gender, color, religion,
sexual orientation, national origin, age, disability, veteran status or any other
characteristic prohibited by state or federal law. We are dedicated to providing a
work environment free from discrimination and harassment, and where
employees are treated with respect and dignity.

5-7

Nevada County Consolidated Fire District


"Excellence in Emergency Service"
11329 McCourtney Road, Grass Valley, CA 95949
(530) 273-3158 FAX (530) 273-1780
nccfire@nccn.net
www.nccfire.com

BYLAWS

Adopted:
Amended:
Amended:
Amended:
Amended:
Amended:

01/23/92
06/25/92
11/19/92
10/16/97
10/15/98
12/16/04

6-1

Formatted: Centered

TABLE OF CONTENTS

ITHE DISTRICT
1.1 ....... Name of the District ..... ............ ............ ............ .......................... 3
1.2 ....... Formation: Operative Law ...... ............ ............ .......................... 3
1.3 ....... Business Office ............ ............ ............ ............ .......................... 3

II ......... DEFINITIONS
2.1 ....... Board .. ............ ............ ............ ............ ............ .......................... 4
2.2 ....... Chain of Command ...... ............ ............ ............ .......................... 4
2.3 ....... Fire Officers .... ............ ............ ............ ............ .......................... 4
2.4 ....... District ............ ............ ............ ............ ............ .......................... 4
2.5 ....... Employees ....... ............ ............ ............ ............ .......................... 4
2.6 ....... SecretarySecretary/Clerk ........... ............ ............ .......................... ............ ............4
2.7 ....... Volunteer Firefighters .. ............ ............ ............ .......................... 4
2.8 ....... Recognized Support Organizations ........ ............ .......................... 5

III ....... THE BOARD OF DIRECTORS


3.1 ....... Formation ........ ............ ............ ............ ............ ..........................
3.2 ....... General Powers and Duties ....... ............ ............ ..........................
3.3 ....... Board Compensation .... ............ ............ ............ ..........................
3.4 ....... Directors Prohibited as Firefighters........ ............ ..........................
3.5 ....... Fiscal Year Budget ....... ............ ............ ............ ..........................
3.6 ....... Appropriations Limit .... ............ ............ ............ ..........................

6
6
7
7
7
7

IV ....... MEETINGS
4.1 ....... Regular Meetings ......... ............ ............ ............ .......................... 8
4.2 ....... Meeting Place .. ............ ............ ............ ............ .......................... 8
4.3 ....... Special Meetings .......... ............ ............ ............ .......................... 8
4.4 ....... Emergency Meetings .... ............ ............ ............ .......................... 8
4.5 ....... Adjourning and Continuing Meetings .... ............ .......................... 9
4.6 ....... Meetings Open to Public ........... ............ ............ .................. ............ 9
4.7 ....... Public Request to the Board ...... ............ ............ .......................... 10
4.8 ....... Closed Sessions ............ ............ ............ ............ .......................... 10
4.9 ....... Public Hearings ............ ............ ............ ............ .............. 11

6-2

TABLE OF CONTENTS

IV ....... MEETINGS (cont'd)


4.10 ..... Notice of Public Hearings ......... ............ ............ .......................... 11
4.11 ..... Quorum............ ............ ............ ............ ............ .......................... 11
4.12 ..... Order of Business ......... ............ ............ ............ .......................... 11
4.13 ..... Transactions of the Board.......... ............ ............ .......................... 12
4.14 ..... Conduct of Meetings .... ............ ............ ............ .......................... 12
4.15 ..... Indemnification of Board Members ....... ............ .......................... 12
4.16 ..... Defense of Action ......... ............ ............ ............ .......................... 13

V ......... OFFICERS OF THE BOARD


5.1 ....... Designation of Officers ............ ............ ............ .......................... 14
5.2 ....... Terms of Board Officers ............ ............ ............ .......................... ............ 14
5.3 ....... Duties of Board Officers ........... ............ ............ .......................... ............ 14
5.4 ....... Duties of the SecretarySecretary/Clerk to the Board ..................... ............ ............15
5.5 ....... Committees ...... ............ ............ ............ ............ .......................... 15

VI ....... OFFICERS AND EMPLOYEES


6.1 ....... Designation...... ............ ............ ............ ............ .......................... 16
6.2 ....... Appointment: Chief, Officers, .. ............ ............ .......................... 16
Employees
6.3 ....... Duties of Fire Chief ...... ............ ............ ............ .......................... 16
6.4 ....... Legal Counsel .. ............ ............ ............ ............ .......................... 17
6.5 ....... Fire Department Officers, Employees, ... ............ .......................... 17
Volunteer Firefighters
6.6 ....... Administration and Personnel Rules ...... ............ .......................... 17
6.7 ....... Code Enforcement ........ ............ ............ ............ .......................... 18
6.8 ....... Fire Prevention Bureau. ............ ............ ............ .......................... 18
6.9 ....... Fire Marshal .... ............ ............ ............ ............ .......................... 18
6.10 ..... Chain of Command ...... ............ ............ ............ .......................... 18

VII ...... GENERAL


7.1 ....... Authority to Bind the District.... ............ ............ .......................... 19
7.2 ....... Payment of Money, Notes, and Etc. ....... ............ .......................... 19
7.3
Statements by Board Members and ........ ............ .......................... 19
Personnel

VIII .. AMENDMENTS
8.1

Amendments .... ............ ............ ............ ............ .......................... 20

ARTICLE I
6-3

THE DISTRICT

SECTION 1.1 NAME OF THE DISTRICT


The name of the District shall be "Nevada County Consolidated Fire Protection District, Nevada
County, California," aka "Nevada County Consolidated Fire District."

SECTION 1.2

FORMATION: OPERATIVE LAW

The District is established and shall operate under the provisions of the Fire Protection District Law
of 1987, Sections 13800 et. seq. of the California State Health and Safety Code.

SECTION 1.3

BUSINESS OFFICES

The business offices of the District shall be in such locations in the District, County of Nevada, State
of California, or as may be designated from time to time by resolution or motion of the Board. The
principal business office of the District shall be located at 136 Tammy Way, Grass Valley, California
95949, unless otherwise changed by the Board.

6-4

ARTICLE II
DEFINITIONS

SECTION 2.1 BOARD


Shall mean the Board of Directors of the District.

SECTION 2.2 CHAIN OF COMMAND


Shall mean the organizational structure implemented for the operation of the District to fulfill the
Mission of the Fire District.

SECTION 2.3

FIRE OFFICERS

Shall mean officer positions appointed recommended by the Fire Chief and approved by the Board to
serve within the Chain of Command.

SECTION 2.4

DISTRICT

Shall mean the Nevada County Consolidated Fire Protection District.

SECTION 2.5

EMPLOYEE

Shall mean a person employed by the District, including a volunteer firefighter.

SECTION 2.6

SECRETARY

Shall mean the Secretary to the Board as provided in Sections 5.1 and 5.4 of these Bylaws. The
secretary may also be referred to as Clerk of the Board.

SECTION 2.7

VOLUNTEER FIREFIGHTER

Shall mean a person who is on the District Roster of volunteer firefighters. A volunteer firefighter
shall be considered an employee of the District when acting in any official capacity for the Fire
District.

6-5

SECTION 2.8

RECOGNIZED SUPPORT ORGANIZATIONS

Shall mean those organizations recognized by the Board whose function is to provide support to the
activities of the District and its volunteers, and which include the following:
(a)
(b)
(c)
(d)

The Bullion Volunteer Firefighter's AssociationWatt Park Firefighters Association


The Gold Flat Volunteer Firefighter's Association
The Bullion Auxiliary
The Gold Flat Women's Auxiliary

These organizations are operated as independent entities, but the District may provide limited
assistance to specific activities. These organizations have no formal policy-making role within the
District.

6-6

ARTICLE III
BOARD OF DIRECTORS

SECTION 3.1
(a)

FORMATION

The Board of Directors shall consist of seven five (75) Directors, each of whom shall be
elected for a term of four (4) years or as prescribed by the Uniform District Elections Law
Part 4, Section 10500, Division 10 of the Elections Codeelections code.
(b)

Initial Directors Upon formation, the initial Directors shall be appointed, four from
Bullion and three from Gold Flat as follows:
Formatted: Indent: Left: 0.5", Hanging: 0.5"

POSITION
DISTRICT
TERM INDIVIDUAL

INITIAL

INITIAL

Seat 1
Seat 2
Seat 3
Seat 4
Seat 5
Seat 6
Seat 7

2 Years Randall Casto


4 Years Ralph Hitchcock
4 Years Gary Larsen
2 Years Larry Oddo
2 Years Jack Flaherty
4 Years William Habblett
4 Years Robert Oross

Formatted: Indent: Hanging: 0.5"


Formatted: Indent: Left: 0.5", Hanging: 0.5"

Gold Flat
Gold Flat
Gold Flat
Bullion
Bullion
Bullion
Bullion

Formatted: Indent: Hanging: 0.5"

Formatted: Indent: Left: 0.5", Hanging: 0.5"

(c)

SECTION 3.2

Initial Terms Pursuant to Elections Code 23506 & 23556, the initial terms of the
two-year positions shall run from July 1, 1991 until noon on the first Friday in
December, 1994 (December 2, 1994). The initial terms of the four-year positions
shall run until noon on the first Friday in December, 1996 (December 6, 1996).

GENERAL POWERS AND DUTIES

(a)

The Board shall have such powers and duties as set forth in the Fire Protection Law
of 1987, Sections 13800 et. seq. of the California Health and Safety Code

(b)

The Board has the responsibility to establish the overall policies of the District
regarding the scope and level of service to be provided, and should not direct day-today management of the District. In establishing these policies, the Board shall
formulate and periodically update a Mission Statement and District Master Strategic
Plan to guide the development of the District.

6-7

SECTION 3.3

BOARD COMPENSATION

The Board may reimburse each Director for that Director's actual and necessary expenditures
incurred in the discharge of his/her duties, and pay such other compensation as authorized by Section
13844 13857 of the Health and Safety Code, and resolution of the Board.

SECTION 3.4

DIRECTORS PROHIBITED FROM ACTING AS FIREFIGHTERS

No member of the District Board of Directors shall engage in the duties as a District firefighter within
the District, or any duties on behalf of the District relating to fire suppression or fire prevention, other
than those items that come before them as a member of the Board of Directors of the Nevada County
Consolidated Fire District.

SECTION 3.5

FISCAL YEAR BUDGET

The Board shall provide a budget for the fiscal year in accordance with State Law. The Board shall
adopt a preliminary budget in June for the ensuing year. The Board shall adopt the final budget at a
public hearing no later than October 1st of each year.

SECTION 3.6

APPROPRIATIONS LIMIT

In each June, the Board of Directors shall adopt an Appropriation Limit pursuant to the California
State Revenue and Taxation Codes, for the ensuing Fiscal Year.

6-8

ARTICLE IV
MEETINGS

SECTION 4.1 REGULAR MEETINGS


(a)

Regular meetings of the Board of Directors shall be on the third Thursday of


each month, commencing at 7:00 P.M., unless otherwise ordered by the Board of
Directors.

(b)

An agenda of each meeting shall be posted at least 72 hours prior to the meeting
at the District Administrative Office, and other appropriate public locations
within the District.

SECTION 4.2 MEETING PLACE


The regular meeting place shall be Station 84, 10135 Coyote Street, Nevada City, CA. At the
conclusion of any regular meeting, the Board of Directors may designate a location other than
Station 84 as the location for the next regular meeting, provided that regular meetings shall be
held within the jurisdictional boundaries of the District unless otherwise required or permitted by
California law.
SECTION 4.3

SPECIAL MEETINGS

A special meeting may be called at any time by the ChairmanPresident. Upon the written request of
three (3) Board members, a special meeting shall be called. Written notice and agenda shall be
delivered personally or by mail to each Board member and to each person or entity entitled to receive
such notices. Such notice must be delivered personally or by mail and be received at least twentyfour (24) hours prior to the time of such meeting as specified in the notice. The call and notice shall
specify the time and place of the special meeting and the business to be transacted. No other business
shall be considered at such meetings by the Board. Such written notice may be dispensed, with as to
any who are actually present at the time it convenes. Procedures for special meetings shall also
comply with any additional requirements of the Government Code and any other applicable statutes.

SECTION 4.4
(a)

EMERGENCY MEETINGS
In case of any emergency situation involving matters upon which prompt action is
necessary due to the disruption or threatened disruption of public facilities, or
imminent danger to the publicspublics health and safety, the Board may hold an
emergency meeting without complying with the twenty-four (24) hour notice
requirement of Section 4.3.

6-9

SECTION 4.4
(b)

EMERGENCY MEETINGS (contd)


For purposes of this section, "emergency situation" includes, but is not limited to,
the following:
(1)

Work stoppage or other activities which severely impair public health,


safety, or both, as determined by a majority of the members of the Board.

(2)

Crippling disaster which severely impairs public health, safety, or both, as


determined by a majority of the members of the Board.

(c)

However, each local newspaper of general circulation and radio station which has
requested notice of special meetings shall be notified by the presiding officer of the
Board or designated employee thereof, one hour prior to the emergency meeting and
shall exhaust all telephone numbers provided in the most recent request of such
newspaper or station for notification of special meetings. In the event that telephone
services are not functioning, the notice requirements of this section shall be deemed
waived, and the Board or designated employee thereof, shall notify such
newspapers, radio stations, or television stations of the fact of the holding of the
special meeting, the purpose of the meeting, and any action taken at the meeting as
soon after the meeting as possible.

(d)

Notwithstanding the provision of Section 54957 of the Government Code, the Board
shall not meet in closed session during a meeting called pursuant to this section.

(e)

All special meeting requirements as prescribed in Section 4.3 shall be applicable to a


meeting called pursuant to this section, with the exception of the twenty-four (24)
hour notice requirement. The minutes of a meeting called pursuant to this section, a
list of all persons present, the presiding officer, the legislative body, any vote or any
actions taken at such meeting shall be posted for a minimum of ten (10) days in the
District office as soon after the meeting as possible.

SECTION 4.5
(a)

ADJOURNING AND CONTINUING MEETINGS AND PUBLIC


HEARINGS TO OTHER TIMES OR PLACES
The Board may continue or adjourn any meeting to a time and place specified in
the order of adjournment. Less than a quorum may so continue or adjourn from
time to time. If all members are absent from any regular meeting or adjourned
meeting, the SecretarySecretary/Clerk or Acting SecretarySecretary/Clerk of the
Board, may declare the meeting continued or adjourned to a stated time and
place, and shall cause a written notice of the continuance or adjournment to be
given in the same manner as provided for special meetings, unless such notice is
waived as provided for special meetings. A copy of the order, or notice of
continuance, or adjournment shall be conspicuously posted on or near the door of
the place where the meeting was held within twenty-four (24) hours after the time
time of the continuance or adjournment.
When a regular continued, or adjourned regular meeting is continued or adjourned
as provided in this section, the resulting continued or adjourned regular meeting is a
regular meeting for all purposes. When an order of continuance of adjournment of
any meeting fails to state the hour at which the continued or

6-10

SECTION 4.5

ADJOURNING AND CONTINUING MEETINGS AND PUBLIC


HEARINGS TO OTHER TIMES OR PLACES (contd)
adjourned meeting is to be held, it shall be held at the hour specified for regular
meetings.

(b)

Any hearing being held, or any hearing noticed or ordered to be held at any meeting,
may by order or notice of continuance or adjournment, be continued, re-continued,
adjourned, or re-adjourned to any subsequent meeting in the same manner and to the
same extent set forth for the continuance or adjournment of meetings.

(c)

If any meeting or hearing is continued or adjourned to a time less than twenty-four


(24) hours after the time specified in these Bylaws, or in the order or notice of
meeting or hearing, a copy of the order or notice of continuance of adjournment
shall be posted immediately following the meeting at which the order of declaration
of continuance or adjournment was adopted or made.

(d)

Procedures for adjourned and continued meetings shall also comply with any
additional requirements of Sections 54955 and 54955.1 of the Governmental Code,
and any other applicable statutes.

SECTION 4.6

MEETINGS TO BE OPEN AND PUBLIC

All meetings of four three (43) or more Board members or of any permanent committee of the Board
to take action or to deliberate concerning District business and its conduct, shall be open and public.
All persons shall be permitted to attend any such meetings, except as other wise provided or
permitted by law.

SECTION 4.7

PUBLIC REQUEST OF THE BOARD

(a)

The Public Members of the public may request that an item be placed on the
Regular Meeting agenda for consideration by the Board. Any such request must be
in writing, and submitted to the Board SecretarySecretary/Clerk at least ten (10)
days prior to the date of the meeting at which consideration is requested. The
request shall be reviewed by the ChairmanPresident of the Board for propriety and
time availability. If proper and adequate time is available, the matter will be
agendized. If insufficient time is available, the matter will be set at the next regular
meeting.

(b)

District Officers Members of the Board of Directors and the Chief may also
request items to be placed on the agenda for any regular or special meeting. Any
such request shall be communicated to the ChairmanPresident at least eight (8) days
before the meeting, and if proper and time is available, it will be agendized.

SECTION 4.8

CLOSED SESSIONS

Nothing contained in these Bylaws shall be construed to prevent the Board from holding a closed
session during a regular or special meeting concerning any matter, permitted by law, to be considered
in a closed session.

6-11

SECTION 4.9

PUBLIC HEARINGS

All public hearings held by the Board shall be held during regular or special meetings of the Board.

SECTION 4.10 NOTICE OF PUBLIC HEARINGS


Notice of the time and place of a public hearing shall include a general explanation of the purpose of
the hearing and shall be published in The Union, The District Web-Site, or other local paper of
general circulation at least ten (10) calendar days before the date of the hearing. In addition, notice
shall be sent by first-class mail to any person who has requested such notice in writing, if the person
provides a stamped, self-addressed envelope or pays a reasonable sum in advance, for the cost of
mailing such notices.

SECTION 4.11 QUORUM


Four Three (43) members of the Board shall constitute a quorum for the purpose of conducting its
business, exercising its powers, and for all other purposes, except that a smaller number of Board
members may continue or adjourn a meeting from time to time until a quorum is present.

SECTION 4.12 ORDER OF BUSINESS


1. Call to order

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2, 3, + Start at: 1 + Alignment: Left + Aligned at:
0.25" + Indent at: 0.5"

2. Roll Call
3. Pledge of Allegiance
4. Corrections and/or deletions to the agenda
5. Public Comment on Matters not on the Agenda
6. Consent Calendar
a. Approval of Minutes
b. Fund Balances and Check History Reports

Formatted: Numbered + Level: 2 + Numbering Style: a,


b, c, + Start at: 1 + Alignment: Left + Aligned at:
0.75" + Indent at: 1"

Financial Report
7. Committee Reports

Formatted: Numbered + Level: 1 + Numbering Style: 1,


2, 3, + Start at: 1 + Alignment: Left + Aligned at:
0.25" + Indent at: 0.5"

a. Budget and Finance


b. Personnel

Formatted: Numbered + Level: 2 + Numbering Style: a,


b, c, + Start at: 1 + Alignment: Left + Aligned at:
0.75" + Indent at: 1"

8. Old Business
9. New Business

Formatted: Numbered + Level: 1 + Numbering Style: 1,


2, 3, + Start at: 1 + Alignment: Left + Aligned at:
0.25" + Indent at: 0.5"

10. Fire Chiefs Report


11. Board Discussion
12. Correspondence
13. Public Comment prior to Closed Session
14. Closed Session (if needed)
15. Report out of Closed Session
16. Directions to Staff for next Board meeting
6-12

17. Adjournment
(a)

The following shall be the general order of business at Board Meetings:

1.
Call to Order
--Roll Call
2.
Closed Session, if any
3.
Convene Open Meeting
--Pledge of Allegiance
4.
Report Out of Closed Session
5.*
Public Comment on Matters not on Agenda
6.*
Treasurer's Report
7.
Consent Calendar
--Approval of Minutes
--Recap of Fund Disbursements and Fund Balance
--Warrant Requests
--Other Consent Items
8.
Business Items
9.
Report of the Fire Chief
10.*
Board Discussion
11.*
Correspondence
12.*
Additional Closed Session, if needed
13.
Report from Closed Session
14.
Directions to Staff and Planning for Next Meeting
15.
Adjournment
NOTE: Items marked with an "*" are informational items only. No action may be taken on
any matter brought up under that agenda item.
(b)

The order of business may be altered by the Chair President prior to issuance of the
agenda or at the meeting, if determined to be appropriate to facilitate the business of
the meeting.

6-13

Formatted: Indent: Left: 0.5", Hanging: 0.5"

Formatted: Indent: Left: 0.5", Hanging: 0.5"


Formatted: Indent: Left: 0.5", Hanging: 0.5"
Formatted: Indent: Hanging: 0.5"
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Formatted: Indent: Left: 0.5", Hanging: 0.5"
Formatted: Indent: Left: 0.5", Hanging: 0.5"

SECTION 4.12 ORDER OF BUSINESS (cont'd)


(c)

Items listed under the Consent Calendar may be acted upon collectively by a single
Board vote. Any Board member, however, may request individual consideration
and discussion of any item on the Consent Calendar.

(d)

The Board proceedings shall be conducted in accordance with these Bylaws and
District ordinances and resolutions, and otherwise by the most recent edition of
Robert's Rules of Order.

SECTION 4.13 TRANSACTIONS OF THE BOARD


(a)

The Board shall act only by ordinance, resolution or motion. Except as otherwise
provided by law, every act done or decision made by at least four three (43)
Directors at a duly held meeting of the Board, is the act of the Board.

(b)

Urgency ordinances, effective immediately, shall be adopted by not less than a vote
of five four (54) board members, upon a finding that the immediate adoption of the
ordinance is necessary for the protection of the public health and safety.

(c)

The Board may issue minutes orders requiring specific action and follow-up by staff.
The procedure for such minute orders shall be established by resolution of the
Board.

(d)

By majority vote, and for good cause shown, the Board of Directors may approve a
variance from the strict application of District ordinances, resolutions, and policies.

SECTION 4.14 CONDUCT OF THE MEETING


(a)

The ChairmanPresident of the Board or in his absence, the Vice ChairmanPresident,


or if both are absent, any Director selected by the present Directors to act as Acting
ChairmanPresident Pro Tem, shall preside at meetings of the Board. The
SecretarySecretary/Clerk, or in the SecretarySecretary/Clerk's absence, such other
individual selected by the present Directors to act as the Acting
SecretarySecretary/Clerk shall perform the duties of SecretarySecretary/Clerk to the
meeting.

(b)

Meetings shall be adjourned no later than 10:00PM; provided that under


extraordinary circumstances and by a vote of at least rd'sthree (3) of the Directors
present, a meeting may be extended beyond 10:00PM.

(c)

Where necessary for the orderly operation of the meeting, the Chair may limit public
comment during the public comment period or public hearing to no more than 5
minutes per individual.

SECTION 4.15 INDEMNIFICATION OF BOARD MEMBERS


To the extent permitted by law, the District shall indemnify and defend any Board member in any
pending or completed action, whether civil, criminal, administrative, or investigative against any
expense, judgement, or fine arising out of the performance of his/her duties.

6-14

SECTION 4.16 DEFENSE OF ACTION


The District, upon request of an employee or former employee, shall provide for the defense of any
civil action or proceeding brought against him/her in his/her individual capacity, or both, on account
of an act or omission in scope of his/her employment (Reference: Government Code).

6-15

ARTICLE V
OFFICERS OF THE BOARD

SECTION 5.1

DESIGNATION OF OFFICERS

(a)

The officers of the Board shall be the ChairmanPresident, the Vice ChairmanVicePresident, and the TreasurerSecretary/Clerk. (Health & Safety Code Section 13853)

(b)

The ChairmanPresident, Vice ChairmanPresident, and Treasurer Secretary/Clerk


shall be designated in writing by the Board from among the members of the Board.

(c)

The Secretary/Clerk to the Board shall may be an employee of the District and shall
be appointed by the Board.

SECTION 5.2

TERMS OF BOARD OFFICERS

(a)

The ChairmanPresident., and Vice Chairman-President, and Treasurer shall be


elected each year at the annual organizational meeting to be held at the regular
December meeting of the Board. The terms of office of ChairmanPresident, and
Vice chairman-President, and Treasurer are from January 1 through the following
December 31, or for the portion thereof remaining after election to office.

(b)

Should any of the offices become vacant, the Board at the next regular meeting shall
elect a successor for the unexpired term.

(c)

Officers of the Board may be removed from their Board office (but not from the
Board itself) by vote of the Board. In the event of removal, the office shall be
declared vacant and filled as with other vacancies.

(d)

The Secretary/Clerk, even if a District employee, shall serve at the will and pleasure
of the Board.

SECTION 5.3

DUTIES OF BOARD OFFICERS

(a)

The Chairman President The ChairmanPresident shall preside at Board meetings


and generally perform such other duties as directed by the Board. The
ChairmanPresident shall have the authority outside of regular meetings to make
decisions concerning the following:
(1) The President is responsible for ensuring the Board of Directors are aware of and fulfill
their governance responsibilities; comply with applicable laws and by-laws of the
District; conduct board business effectively and efficiently; ensure Board members are
accountable for their performance.
(2) The President presides over meetings, proposes policies and practices, sits on committees,
committees, monitors the performance of Directors and Officers, appoints members to
committees.
(3) In consultation with the Fire Chief and/or the Secretary/Clerk prepares the agenda for
meetings of the Board.

Formatted: Font: 11 pt

Formatted: Indent: Left: 0.5", No bullets or numbering

6-16

(4) Works with the Fire Chief in keeping the Board of Directors informed on the conditions
and operations of the District on a regular basis, including outside influences on the
District.
(5) Selects the chairs and members for all committees and task forces. Monitors their
progress and reports to the Board members.
(6) May act as a spokesman for the District, as does the Fire Chief, to the public, press,
legislative bodies, and other related organizations.
(7) Recognizes Board member violation of ethical standards and brings such violations to the
attention of the Board member or to the full Board if necessary.
(8) The President is the primary liaison between the Board and the Fire Chief. In this
capacity, the President meets periodically with the Fire Chief; ensurers that periodic
performance reviews of the Fire Chief are conducted.
(9) Typically the President is the signing official of the District unless otherwise directed by
the Board.
(10)
The Board President shall approve all special requests made by individual Board
members requiring staff to produce documents, studies, and/or other information. The
President will evaluate the request and determine if the entire Board would benefit from
the information derived from such request.

Formatted: Font: 11 pt
Formatted: No bullets or numbering

Formatted: Font: Times New Roman

(1)
(2)

Procedural issues relating to meetings such as the agenda, noticing, time


and place, etc..
Providing the Chief with guidance as to the interpretation of Board action.

6-17

Formatted: Indent: First line: 0"

SECTION 5.3

DUTIES OF BOARD OFFICERS (cont'd)

(b)

The Vice Chairman-President The Vice ChairmanPresident, in the absence or


incapacity of the ChairmanPresident, shall perform the duties of the
ChairmanPresident. Should the office of the ChairmanPresident become vacant, the
Vice ChairmanPresident shall perform the duties of the ChairmanPresident until the
Board elects a new ChairmanPresident. Assists the President in carrying out
functions of the office and performs specific duties as designated by the President.
Frequently assigned to a special area of responsibility where expertise in a specific
subject is necessary. May be assigned Chairperson of designated committees as
required.

(c)

The Treasurer The Treasurer shall supervise the fiscal affairs of the District and
shall also supervise the care and custody of all monies of the District. As part of
these responsibilities, the Treasurer shall, on a monthly basis, review all warrant
requests for the prior month and prepare or cause to be prepared a reconciliation of
county warrants actually issued against the warrant approved for issuance.

SECTION 5.4

SECRETARY/CLERK TO THE BOARD

The Secretary's duties shall include, but not be limited to, keeping and maintaining records of the
Board and the recording and keeping of the minutes of the Board meetings.
The
SecretarySecretary/Clerk shall give notice of Board meetings whenever such notices are required by
these Bylaws or by applicable law. The SecretarySecretary/Clerk shall also perform all other duties
incident to the office of SecretarySecretary/Clerk to the Board and shall maintain confidentiality.

SECTION 5.5

COMMITTEES

The Board shall appoint members to the following standing committees:


1.

Budget and Finance - The ChairmanPresident of the Board shall appoint two
members from the Board, plus the Chief, to the Budget Committee. The purpose of
the Budget Committee is to supervise the financial operation of the District and
prepare an annual budget for consideration by the Board.

2.

Personnel - The ChairmanPresident of the Board shall appoint two members from
the Board to oversee the functioning of the District Personnel Policies and to
perform such duties as set forth in the Personnel Policies.

The Board may, from time to time, form other committees as are necessary.

6-18

ARTICLE VI
DISTRICT OFFICERS AND EMPLOYEES

SECTION 6.1

DESIGNATION

There shall be, in addition to the Board of Directors, the following positions within the Fire District
of the District:
1.
2.
3.

The Fire Chief (The Chief)


Fire MarshalDeputy Chief
Such other Fire Officers and employeed positions as established by the Board.

SECTION 6.2 APPOINTMENT: CHIEF, FIRE OFFICERS, EMPLOYEES,


VOLUNTEER FIREFIGHTERS AND RESERVES
(a)

The Board shall select and appoint the individual to the position of Chief. The Chief
shall select and appoint individuals to all other positions within the District.
Provided, however, that the appointment of the Deputy Fire Chief and Fire Marshal
shall be subject to confirmation by the Board.

(b)

All such appointments shall be made in accordance with the Personnel Code of the
District.

(c)

The Board shall fix and determine the qualifications, duties, and compensation of all
positions within the District.

SECTION 6.3

DUTIES OF THE FIRE CHIEF

(a)

The Chief shall serve at the will and pleasure of the Board.

(b)

The Chief has responsibility for the overall management of all operations of the
District.

(c)

The Chief, or his duly appointed representative, shall carry out and enforce the
ordinances and regulations of the District.

(d)

The Chief, or his duly appointed representative, shall provide for suitable drills
covering the operation and handling of all equipment essential for the efficient
operation of the Fire District.

(e)

The Chief shall develop and maintain a Manual of Operations for the Fire District.
This manual shall contain the official administrative plan, operating procedures, and
organization for implementing the mission of the Fire District. It shall be drawn so
as to effectuate the policies of the Board of Directors and such provisions therein
shall be binding upon the employees and volunteer firefighters of the District until
modified or revoked.

6-19

SECTION 6.3

DUTIES OF THE FIRE CHIEF (cont'd)

(f)

On or before the first Board meeting in January of each year, the Chief shall submit
an annual report to the Board on the Operations of the Fire District and the amount
of funds collected and expended for any Special Tax in accordance to Government
Code Section 50075.3 use of Special Tax receipts in the previous year.

(g)

The Chief shall provide the Board with a projection on the needs and direction of the
Fire District for the upcoming fiscal year. On or before May 15In May of each
year, the Fire Chief shall submit to the Board of Directors a tentative budget
required for the operation of the Fire District in the ensuing year.

(h)

The Chief's authority to incur obligations and expend District funds shall be
established by ordinance or resolution of the Board.

SECTION 6.4

LEGAL COUNSEL

The District Board may contract for legal services and said counsel shall represent the District Board
or anyone the Board so designates.

SECTION 6.5

FIRE OFFICERS, EMPLOYEES, AND VOLUNTEER FIREFIGHTERS

(a)

The District shall not discriminate in employment or appointments on the basis of


race, sex, age, religion, or national origin.

(b)

In accordance with the Personnel Policy Ordinance of the District, the Chief is
authorized to suspend, discipline, or remove from service any fire officer, employee,
or volunteer firefighter.

(c)

The District officers, employees, and volunteer firefighters appointed by the Chief
shall serve within a Chain of Command. Any officer, employee, or firefighter who
is temporarily acting in the Chief's absence as the person in command, shall be
directly responsible to the Board of Directors.

SECTION 6.6

ADMINISTRATION AND PERSONNEL RULES

(a)

The Board shall adopt policies and regulations for the administration of the District.

(b)

Said policies, when adopted, may be amended from time to time by the Board of
Directors; but the provisions of Government Code Section 3500, et. seq. (known as
the Myers-Milias-Brown Act), shall be given effect so as to allow recognized
employee organizations the opportunity to meet and confer with the Board of
Directors, or its designated representatives before the adoption of amendments to the
policies, if such amendments are within the scope of the Myers-Milias-Brown Act.

6-20

SECTION 6.7

CODE ENFORCEMENT

The Chief shall be responsible for the overall administration and enforcement of the California
Uniform Fire Code as adopted by the District and applicable State Laws, and County and District
Ordinances. However, the day-to-day enforcement shall be carried out by the Fire Marshal and
Department of Fire Prevention Bureau of the District.

SECTION 6.8

DEPARTMENT OF FIRE PREVENTION BUREAU

Under the overall supervision of the Chief, a fire prevention bureau is established within the Fire
District to enforce the applicable fire prevention statutes and codes within the District. The Bureau
shall be managed by the Fire Marshal and include such other personnel as may be assigned by the
Chief and the Board. The responsibilities for code enforcement imposed on the Chief by the Uniform
Fire Code shall may be delegated to the Fire Prevention Bureau.

SECTION 6.9

FIRE MARSHAL

The Chief, with the Board's approval, may designate an employee of the Fire District to exercise the
powers and perform the duties of Fire Marshal as set forth in the Uniform Fire code adopted by the
District.
The Fire Marshal and other officers of the District, as approved by resolution of the Board, are
designated peace officers of the District as authorized by the California Penal Code. is designated as
the peace officer of the District under Section 830.31, Subsections a-1, and a-2 of the California
Penal Code with primary arson investigation authority.

SECTION 6.10

CHAIN OF COMMAND

Directors and District personnel shall respect the chain of command. While District personnel are not
prohibited from directly discussing District affairs with Directors, it is expected that they will
normally first attempt to resolve any specific concern through their immediate supervisor and up
through the chain of command. Only where resolution through the normal chain of command would
be impractical or ineffective, should the initial contact be directly with a member of the Board of
Directors.

6-21

ARTICLE VII
GENERAL

SECTION 7.1

AUTHORITY TO BIND DISTRICT

No member of the Board, officer, agent, or employee of the District shall have any authority to bind
the District by any contract, to pledge its credits, or to execute any instrument on behalf of the Board,
except as authorized by ordinance or resolution of the Board.

SECTION 7.2

PAYMENT OF MONEY, NOTES, OR OTHER INDEBTEDNESS

(a)

All requests to the County of Nevada for the issuance of warrants, other than regular
payroll, shall require two (2) signatures: 1) a member of the Budget Committee, the
Treasurer, or, in his absence, a member of the Budget and Finance Committee, and
2) an authorized employee of the District.comply with the most current resolution of
the Board.

(b)

All other payments or purchases shall be made only in conformance with procedures
established by ordinance or resolution of the Board.

SECTION 7.3

STATEMENTS BY BOARD MEMBERS AND DISTRICT PERSONNEL

Whenever a Board Member, the Fire Chief, or District personnel make a statement publicly regarding
any matter in which the District may be directly or indirectly involved, he/she shall make a specific
disclaimer, unless:
(a)

he/she has previously been authorized to speak for the Board on that particular
matter;

(b)

he/she is stating for informational purposes a previously determined Board action or


policy.

(c)

No director, officer, or employee of the District shall disclose the contents of a


Closed Session to non-participants except where required by law.

In all cases, a Board member, the Fire Chief, or District personnel shall use discretion in expressing
personal opinions (especially if a Board action is in dispute or in the appeal process or in possible
litigation matters), recognizing that in the past such opinions, statements, and suppositions may have
been misunderstood, misused, or could reflect in a negative manner on the Fire Chief, the employees,
District Board of Directors, or the Fire District.

6-22

ARTICLE VIII
AMENDMENT OF THE BYLAWS

SECTION 8.1

AMENDMENTS TO THE BYLAWS

The Bylaws may only be amended as follows:


(a)

The full text of any proposed amendment shall be provided to the Board members at
least seven (7) days prior to the first consideration of the amendment.

(b)

The proposed amendment shall be read once and then shall be read a second time at
the next regular meeting at least thirty (30) days thereafter, prior to adoption
modifications may be made in the text at either reading.

(c)

The amendment may then be approved by a vote of at least four three (43) members
of the Board, and shall go into effect immediately.

The above Bylaws were passed and adopted by the Board of Directors of the Nevada County
Consolidated Fire Protection District of Nevada County at a meeting of said Board, held on January
23, 1992.

6-23

7.

No Documentation.

8.

No Documentation.

Preliminary Budget 2015-16


Operating Fund 722
FY 2015-16

2014/15

2014/15

Prelim Budget

Budget

Projection

Thru
4/30/15

Revenues
Taxes & Assessments

4010 Current Secured {Tax)

400100

2,435,870

2,308,096

2,369,200

2,250,172

4020 Current Unsecured (Tax)

400300

46,316

45,648

45,044

46,225

4030 Prior Unsecured (Tax)

400400

1,000

1,010

1,011

568

4040 Supplemental Secured (Tax)

401700

32,084

3,030

18,760

29,796

4050 Supplemental Unsecured (Tax)

401800

101

(270)

370
51

202

4060 Suppl Prior Unsecured (Tax)

402800

4110 NCC FD Special Assessment

451701

4120 NCCFD Spec. Assess. (Prior Yr.)

451790

4150 Special Tax- 2012


4210 Tax Share: Grass Valley
4220 Tax Share: Nevada City

400601

1,567

2,090

2,090

2,090

4230 State - Homeowners (Tax)

441900

25,250

25,250

25,085

23,832

4240 State Aid - Public Safety (Prop 172)

449600

273,209

291,750

269,104

244,809

4250 Fuel Management Assessment

450800

450

450

4,699,429

1,774,737

1,723,046

1,720,282

1,633,169

451195

868,512

859,076

857,748

467,897

400600

15,303

18,363

18,363

4260 State - Timber Yield (Tax)


4270 Escaped Assessments (Tax)
Subtotal

5,473,848

5,277,662

5,326,867

70,000

50,000

66,613

5,437

34,413

34,413

1,000

5,000

830

1,380

Reimbursements

4510 Fire Reimbursement (net)

444400

4520 Prior Year Fire Reimbursement

444401

4530 Training Revenue (Non-Tax)

462002

4540 Vehicle Repairs (Non-Tax

462003

3,200

4,000

3,142

5,222

4550 Cost Recovery (Non-Tax)

462004

6,000

5,000

5,814

6,026

80,200

69,437

110,812

47,041

5,000

10,000

1,457

1,950

(3,200)

(2,708)

17,964

13,339

7, 114

6,567

179

179

4690 Reimbursement - Other


Subtotal
Other Revenue

4810 Licenses/Permits (Prevention)

411001

4820 Interest (Non-Tax)

430101

4830 Rentals (Non-Tax)

430201

4840 Other Current Svcs (Non-Tax)

458001

(671)

4850 Sale: Surplus Equipment (net)

460701

30,000

680

680

4860 Prior Year Revenue (Non-Tax)

461401

1,400

2,000

1,077

1,077

4870 Other Revenue (Non-Tax)

462001

3,300

5,000

3,253

3,520

Subtotal

:RevenueTotal

57,664
5,611,712 .

27, 139

11,052

13,302

5,374,238

5,448,731

4,759,772

9-1

Preliminary Budget 2015-16


Operating Fund 722

Thru

FY 2015-16

2014/15

2014/15

Prelim Budget

Budget

Projection

4/30/15

Wages & Benefits


Wages

5111 Chief I Deputy Chief (2)

510101

257,906

173,625

178,703

142,232

5113 Battalion Chief (2)

510102

152,807

161,537

142,975

111,871

5114 Deputy Fire Marshal/Inspector (1.5)

510103

106,063

94,589

66,216

55,819

5121 Captains (6)

510105

424,429

397, 182

403,561

335,757

5122 Lieutenants ( 10)

510104

589, 199

697,878

645,436

491, 194

5123 Firefighter (11)

510106

501,565

451,219

478,783

406,866
50,813

5131 Supplemental FF

510108

35,000

35,000

35,000

5132 PCF Program

510202

5,500

4,000

5,183

3,183

5141 Clerical (3)

510107

162,649

167,620

137,688

115,888

5145 Fire Mechanic (1)

510116

55, 159

51,293

54,774

46,685

5151 Overtime

510109

239,083

227,360

294,515

252,876
45,724

5161 Strke Team

510113

5165 Strike Team Backfill

510117

5171 Holiday Stipend

510125

55,044

43,638

51,642

33,404

5173 Vacation Sell Back

510130

58,364

92,929

46,048

31,683

5181 Incentive Pay

510120

18,000

4,600

4,600

5183 Volunteer Officer

510203

1,500

1,500

1,600

1,250

5185 Directors
Subtotal

510208

1,050
2,645,317

(36.5)

225

2,617,370

2,546,724

2,130,070
33,323

Taxes

5511 Medicare: Employer Tax

510111

37,733

37,711

39,848

5512 FICA: Employer Tax

510114

4,030

3,120

3,855

15,492

11,941

5521 SUI: Employer Tax

510112

10, 101

14,168

5531 Medicare: Employer Tax (temp)

510204

102

80

126

96

5532 FICA: Employer Tax (temp)

510207

434

341

540

409

5541 SUI: Employer Tax (temp)

510205

Subtotal

273

242

369

286

48,642

56,572

59,495

49,910

Benefits

5711 CalPERS

510301

701,884

719,058

713,180

564,368

5731 Medical Ins

510402

599,206

581,700

525,601

433,906

5733 Vision & Dental

510406

63,991

72,000

59,925

49,759

5735 Life Insurance

510401

11,535

10,611

9,812

11,600

5751 Workers Comp Insurance

520701

180,771

250,874

229,438

219,869

1,557,386

1,634,243

1,537,956

1,279,502

4,251,345

4,308,185

4;144,175

. 3,459,482

75.8%

80.2%

76.1%

72.7%

Subtotal

Wages & Benefits Total


% of Revenue

9-2

Preliminary Budget 2015-16


Operating Fund 722
FY 2015-16

2014/15

2014/15

Prelim Budget

Budget

Projection

Thru
4/30/15

Personnel Related
Clothing/PPE

6011 Uniforms

520202

14,900

11,800

11,800

7,509

6021 Personal Protective Equipment

520204

45,000

45,000

45,000

40,792

6031 Safety & PPE (per MOU)

520207

23,900

21,000

20,904

20,904

83,800

77,800

77,704

69,205
518

Subtotal
Food I Meals

6111 Meals - Administration

520501

1,000

1,000

1,000

6112 Meals - Training

520502

300

310

310

153

6113 Meals - Fire

520503

800

800

800

518

6114 Meals - Interns

520504

41,610

40,000

26,708

22,470

43,710

42, 110

28,818

23,659

Subtotal
Training I Fitness

6211 Wellness/Fitness Program

521542

18,000

15,000

16,373

1,950

6221 Tuition/Licenses

522800

25,200

19,055

9,336

8,106

6231 Mileage/Transportation

522801

500

1,500

1,047

47

6232 Lodging/food (Per Diem)

522802

1,500

1,500

1,251

767

6241 Training Materials

522805

5,000

8,000

8,000

2,234

6251 Education Incentive Program

522806

12,300

9,900

9,900

2,438

Subtotal

Personnel Related Total

62,500

54,955

45,907

15,542

190,010

174;865

152,429

108,406 .

Facility & Equipment


Communication

6511 Telephones

520302

13,000

12,800

12,800

9,743

6521 Cellular Phones

520303

9,000

6,600

3,682

2,551

22,000

19,400

16,482

12,294

7,765

7,400

8,307

7,179

6531 Radios
Subtotal
Household

6551 Household Supplies

520601

6561 Contract Services

520602

1,958

2,000

2,000

1,507

6571 Office Supplies Stations

521403

3,000

1,030

1,834

1,633

6581 Printer Cartridges/Supplies

520939

3,200

3,200

258

12,723

13,630

15,341

10,577

45,718

47,700

46,235

43,235

45,718

47,700

46,235

43,235

9,000

9,000

9,000

6,932

10,000

7,409

Subtotal
Insurance

6611 Liability

520702

6621 Property
6631 Umbrella
Subtotal
Maintenance

6651 SCBA

520920

6656 Equipment

521903

10,000

10,000

6661 Mobile/Portable Radios/Pagers

520930

5,000

5,000

5,000

4,705

6671 Computers

520940

27,319

27,548

20, 182

15,462

6672 Copier

520941

1,600

2,060

1,790

1,165

6681 Facility Maintenance & Improvements

521011

120,000

80,000

80,000

37,009

172,919

133,608

125,972

72,682

Subtotal

9-3

Preliminary Budget 2015-16


Operating Fund 722
FY 2015-16

2014/15

2014/15

Thru

Prelim Budget

Budget

Projection

10,000

10,000

8,746

6,916

10,000

10,000

8,746

6,916

10,000

10,000

10,000

16, 116

4/30/15

Medical Supplies

6711 AEMT Supplies


6716 EMS Supplies

521301

Subtotal
Small Tools

6761 Suppression Equip/Small Tools

521902

6781 Technical Rescue Equipment

521904

Subtotal

2,700

2,700

2,700

238

12,700

12,700

12,700

16,354

Utilities

6811 Alarm

521574

1,233

1,257

1,257

922

6821 Electicity I Gas (PGE)

522401

42,630

44,500

44,500

32,221

6831 Propane

522404

9,900

9,900

9,375

5,355
2,929

6841 Trash

522403

4,654

4,700

3,583

6851 Water I Sewer

522402

10,080

8,650

8,998

8,376

68,497

69,007

67,713

49,803

36,412

6,412

Subtotal
Capital Expenditures

6911 Station
6921 Equipment
6931 Vehicle
6941 Admin
6951 Other

540500

Subtotal

Facility & Equipment Total

36,412

6,412

329,601

. 218,273

344;556

306;045.

90,000

20,000

11,477

15,926

6,000

1,793

570
1,392

Vehicle Related
Insurance

7001 Vehicle Insurance


Subtotal
Maintenance

7011 Accessories

521144

7016 Batteries

521142

7021 Body

521148

2,000

1,932

7026 Brakes

521147

6,000

386

653

7031 Drive Train

521149

20,000

49,250

32,033

7036 Pumps

521150

4,000

4,606

2,769

7041 Tires

521141

12,000

20,645

14,204

70,000

90,089

67,547

59,000

79,200

74,955

46,999

59,000

79,200

74,955

46,999

149,000

149,200

165;044

114,546

7046 Tools
7049 Other
Subtotal

90,000

Fuel

7051 Fuel
Subtotal

Vehicle Related Total

522301

9-4

Preliminary Budget 2015-16


Operating Fund 722
FY 2015-16

2014/15

2014/15

Prelim Budget

Budget

Projection

Thru
4/30/15

Gen &Admin
Office Expense

7501 Administration

521401

5,100

3,450

3,963

2,915

7506 Board

521404

750

650

566

439
6,326

7511 Memberships

521201

9,913

15,059

9,509

7516 Mileage Reimbursement

522501

200

100

120

120

7521 Postage & Delivery

521405

1,200

1,209

943

844

17, 163

20,718

15, 101

10,644

21,300

21,000

19,731

21,951

7526 Printing
7531 Other

250

Subtotal
Professional Services

7551 Accou.nting

521520

7556 Computer

521573

3,000

6,000

4,094

1,500

7561 Consultants

521500

34,000

23,000

20,468

21,077

7566 Legal

521510

19,845

25,000

24,723

21, 123

7571 Medical Director

521575

3,600

3,600

3,600

81,745

78,600

72,616

7576 Other
Subtotal

65,651

Publications

7591 Legal Notices

521602

2,100

2,000

1,605

382

7596 Marketing/Advertising

521601

1,500

300

2,714

2,432

3,600

2,300

4,319

2,814

24,340

24,306

24,306

Subtotal
Special District

7611 Election

522017

7621 LAFCo Budget Share

522006

4,000

4,120

3,655

3,655

7631 Nevada County Fees

#VALUE!

59,714

60,156

56,606

56,606

7641 Other

1566025

Subtotal

900

900

79

256

64,614

89,516

84,646

84,823

Prevention

7651 Code purchases

522601

3,200

3,200

3,200

1,704

7653 Fire Investigation supplies

522603

5,000

5,000

5,000

630

7655 Fuels Management

522605

7657 Inspection supplies

522607

875

875

875

19

7659 Office supplies/expense

522606

2,500

1,000

1,000

195

7661 Professional Svcs/Plan checks

522609

2,000

2,000

2,000

335

7663 Public Education supplies

522604

1,000

1,000

1,000

300

7665 Subscriptions/Memberships

522602

790

790

790

215

7667 Training

522608

4,000

2,000

2,000

926

19,365

15,865

15,865

4,324

7669 Other
Subtotal

9-5

Preliminary Budget 2015-16


Operating Fund 722
FY 2015-16

2014/15

2014/15

Thru

Prelim Budget

Budget

Projection

4/30/15

JPA
7811 Air Station Use

522702

2,377

2,355

2,286

7821 Command 1 Vehicle

522705

244

242

236

235

7831 Dispatch Charges

522703

121,711

122,410

123,842

74,305

2,286

7841 Dues/Administration

522701

728

721

700

700

7851 Radio

522704

1,338

2,000

1,206

1,287

Subtotal

rGeff&_cAdm in Total
[Total E>ependitures
Over I <Under>

126,399
312~886'

--

127,728
128,270
c'334,727 -. 320,ff17-

78,813
221-7;069 '

5,247,798

5,273,022

5,112,066

4,147,776

363,914

101,216

336,665

611,996

9-6

5-year projection from


February 21, 2015
Board Workshop

9-7

Operating Revenue

Current Secured Tax & Special Assessment - 3% increase


Special Tax 2012 -1.5% increase
All other - Flat, or 1.5% increase

(in thousands)

Current Secured (Tax)

2014-15

2,369.2

2015-16

2,440.3

2016-17

2,513.5

2017-18

2,588.9

2018-19

2,666.6

State Aid - Prop 172

269.1

273.1

277.2

281.4

285.6

Special Tax 2012

857.7

870.6

883.7

896.9

910.4

1,720.3

1,771.9

1,825.0

1,879.8

1,936.2

232.4

241.3

218.3

185.3

197.3

NCCFD Special Assessment


Other
Total

5,448.7

5,597.2

5,717.7

9-8

5,832.3

5,996.1

Wages & Benefits

Step increases through year 5 - 5.0%


Education Incentive - Associates or Bachelor Degree - 1.25%
Cost of living increase: 2014-15- 2.5%, 2015-16- 2.5%
Cal PERS offset of:
2014-15
2015-16
2016-17
2017-18

2.4%
2.4%
2.4%
1.8%

CalPERS

2014-15

2015-16

2016-17

2017-18

2018-19

Safety Classic

34.78%

20.72%

19.20%

17.40%

17.40%

Safety New

11.50%

11.50%

11.50%

11.50%

11.50%

Misc Classic

34.13%

19.72%

20.60%

20.60%

20.60%

6.30%

6.30%

6.30%

6.30%

6.30%

Misc New
Lump Sum (in thousands)

259.9

290.9

323.6

Medical Insurance - 5% increase.


Workers Comp - 2015-16; no rate increase, experience modification reduced; results in approximate
20% reduction in rate.

9-9

358.0

-----

Wages & Benefits (continued)

2014-15

(in thousands)

Permanent Salaries

2,598.4

2015-16

2,727.2

2016-17

2,853.2

2017-18

2,948.6

2018-19

2,975.5

Temporary Salaries

7.8

7.9

8.1

8.2

8.3

Retirement Benefits

713.2

692.6

714.4

723.7

760.7

Insurance (included workers comp)

824.8

825.7

867.1

904.4

937.9

Total

% of Revenue

4,144.2
76%

4,253.5
76%

4,442.7
78%

9-10

4,584.9
79%

4,682.4
78%

Other Expenses

Cost increases of 1.5% per year on most items.


Clothing/PPE includes on going replacements for turn outs and SCBA's.
Nevada County fees increased to reflect revenue increases.
Special District Expense - election every other year.
JPA Dispatch Fees increased 10% per year.

9-11

(in thousands)
Clothing I Personal Equipment
Communications
Food
Household
Insurance
Maintenance: Equipment
Maintenance: Buildings
Maintenance: Vehicles
Membership
Medical Supplies
Office Expense
Professional Services
Legal Notices I Publictions
Rents/Leases: Equipment
Small Tools
Special District Expense
Fuel
Utilities
Mileage Reibursement
Prevention
JPA ( Fire Agency)
Training
Total

2014-15

114. 1
16.5
28.8
10.3
46.2
39.2
80.0
90.1
9.5
8.7
7.3
90.2
4.3
22.7
84.6
75.0
66.5
0.1
15.9
128.3
29.5
967.9

2015-16

119.4
16.7
47.1
10.5
46.9
39.8
81.2
91.4
9.7
8.9
7.4
91.6
4.4
23.0
62.1
76.1
67.5
0.1
16.1
140.7
30.0
990.6

2016-17

121.2
17.0
47.2
10.6
47.6
40.4
82.4
92.8
9.8
9.0
7.5
93.0
4.4
23.4
89.0
77.2
68.5
0.1
16.3
154.4
30.4
1,042.3

9-12

2017-18

123.0
17.2
47.2
10.8
48.3
41.0
83.7
94.2
9.9
9.1
7.6
94.4
4.5
23.7
65.8
78.4
69.5
0.1
16.6
169.5
30.9
1,045.4

2018-19

124.8
17.5
47.2
10.9
49.1
41.6
84.9
95.6
10. 1
9.3
7.8
95.8
4.6
24.1
93.5
79.6
70.5
0.1
16.8
186.0
31.3
1,101.2

Operations Summary

(in thousands)

Revenue

2014-15

5,448.7

2015-16

5,597.2

2016-17

5,717.7

2017-18

5,832.3

2018-19

5,996.1

4, 144.2

4,253.5

4,442.7

4,584.9

4,682.4

Other Expenses

967.9

990.6

1,042.3

1,045.4

1,101.2

Total Expenses

5, 112.1

5,244.1

5,485.0

5,630.3

5,783.6

Salary & Benefits

Contribuition to Fixed Assets I Reserve

336.7

353.1

232.8

9-13

202.0

212.4

Apparatus & Vehicles

(in thousands)

2014-15

Type I Engine

2015-16

241.1

2016-17

191.1

2017-18

216.7

216.7

50.0

Staff Vehicle 3

$
50.0

Staff Vehicle 2

Total

191.1

Type II Engine
Staff Vehicle 1

2018-19

50.0

291.1

51.5

242.6

Apparatus -Three year payment amortization

9-14

191.1

-------------

Capital & Other

(in thousands)

2014-15

2016-17

2015-16

2017-18

2018-19

Computer Servers

22.5

Telestaff

38.7

25.0

25.0

25.0

25.0

86.2

25.0

25.0

25.0

AB1600 Fee Restructure

15.0

Other
Total

15.0

9-15

Facilities

(in thousands)

WestAmerica

2014-15

Adm in

54.2

2015-16

54.2

50.0

250.0

Station 88

Station 86

Total

104.2

304.2

2016-17

54.2

2017-18

50.0

104.2

9-16

54.2

2018-19

54.2

43.4

43.4

50.0

58.2

147.5

155.8

Source of Funds

(in thousands)

Operations

2014-15

AB1600

336.7

2015-16

353.1

2016-17

232.8

80.0

80.0

80.0

293.9

150.0

150.0

2017-18

202.0

2018-19

80.0

212.4
80.0

Grants
Property Sales
Surplus Equip
Total

710.5

583.1

9-17

462.8

282.0

292.4

Fund Summary

(in thousands)

Beginning Balance

2014-15

651.9

2015-16

767.2

2016-17

657.9

2017-18

728.8

2018-19

635.0

Source of Funds:
Operations

336.7

353.1

232.8

202.0

212.4

80.0

80.0

80.0

80.0

80.0

293.9

150.0

150.0

Apparatus I Vehicles

(50.0)

(291.1)

(242.6)

(191.1)

(216.7)

Capital & Other

(15.0)

(86.2)

(25.0)

(25.0)

(25.0)

Facilities

(104.2)

(304.2)

(104.2)

(147.5)

(155.8)

Reserve

(426.0)

(11.0)

(20.1)

(12.1)

(12.8)

AB1600
Property Sales

Ending Balance

767.2

657.9

728.8

9-18

635.0

517.2

Nevada County Consolidated Fire District


Agency Name
Resolution No.: R15-10
Authorizing Overtime and Portal to Portal Pay for Employees

WHEREAS, the Nevada County Consolidated Fire District is a public agency located in the County
of Nevada, State of California, and
WHEREAS, it is the Board of Directors desire to provide fair and legal payment to all its employees
for time worked; and
WHEREAS, the Nevada County Consolidated Fire District has in its employ, Fire department
response personnel include: Fire Chief, Deputy Chief, Battalion Chief, Fire Captain, Lieutenant, Firefighter
Operator, Mechanic, and Supplemental; and
WHEREAS, the Nevada County Consolidated Fire District will compensate its employees portal to
portal while in the course of their employment and away from their official duty station and assigned to an
emergency incident, in support of an emergency incident, or pre-positioned for emergency response; and
NOW THEREFORE BE IT RESOLVED that the conditions set forth in this resolution, as stated
above, take effect upon adoption by the Nevada County Consolidated Fire Board of Directors.

PASSED, APPROVED AND ADOPTED this_28_ day of May, 2015.

Tom Carrington, Chairman

ATTEST:

I, Nicole Long, Board Secretary/Clerk of the Nevada County Consolidated Fire District Board of Directors,
hereby certify that the foregoing resolution was duly passed at a regular meeting of the Nevada County
Consolidated Fire District held on the 28 day of May, 2015 by the following vote on roll call:
Ayes: _______________
Noes: _______________
Abstain: _______________
Absent: _______________

_____________________________
Nicole Long, Board Secretary/Clerk

10-1

Nevada County Consolidated Fire District


Resolution 15-11
Fund Transfer from Operating Fund to AB1600 Fund
Whereas, prior year AB1600 Mitigation fund purchases were reclassified as operating
fund purchases during the year-end financial audits, and
Whereas, same year-end financial audits show an accumulated balance owed by the
operating fund to the AB1600 fund in the amount of $104,479.11, and
Whereas, the districts independent auditors, Richardson & Company, recommend the
transfer of $104,479.11 from the general fund to the AB1600 Mitigation fund, and
Whereas, Nevada County Auditor-Controller require the NCCFD Board of Directors to
authorize and approve the transfer between funds.
Now therefore be it hereby resolved by the Board of Directors of the Nevada County
Consolidated Fire District, by adopting of this resolution, approves the transfer of $104,479.11
from the operating fund (722) to the AB1600 Mitigation Fund (733).
Passed & Adopted by the Board of Directors as Resolution of the Nevada County
Consolidated Fire District at the Regular Board Meeting held on the 28th day of May, 2015 by the
following roll call:
Ayes:
Noes:
Absent:
Abstain:

_____________________________________
Tom Carrington, Chairman of the Board
Nevada County Consolidated Fire District

Attest:

______________________________________
Nicole Long, Secretary of the Board

11-1

Nevada County Consolidated Fire District


Resolution 15-12
Fund 734 Transfer
Whereas, the 2012 Special Tax was passed by voters to provide additional operating
funds to Nevada County Consolidated Fire District(District or NCCFD), and
Whereas, the tax measure contained the stipulation it would be established as a
separate account, and
Whereas, Nevada County has collected the April installment of this tax, and is currently
holding $390,967 for NCCFD in this fund, and
Whereas, Nevada County Auditor-Controller require the NCCFD Board of Directors to
authorize and approve the transfer from the special fund to operating funds.
Now, therefore, be it resolved that the NCCFD Board of Directors, by adoption of this
resolution, approves the transfer of $390,000 from the 2012 Special Tax Fund (734) to operating
funds (722), as needed, and approved by the Fire Chief, to cover operating expenses.
Passed & Adopted by the Board of Directors as Resolution of the Nevada County
Consolidated Fire District at the Regular Board Meeting held on the 28th day of May, 2015 by the
following roll call:

Ayes:
Noes:
Absent:
Abstain:

_____________________________________
Tom Carrington, Chairman of the Board
Nevada County Consolidated Fire District

Attest:

_______________________________________
Nicole Long, Secretary of the Board

12-1

NEVADA COUNTY CONSOLIDATED FIRE DISTRICT


RESOLUTION NO. R15-13
RESOLUTION AUTHORIZING ACCEPTANCE OF WINNING BIDDER
FOR THE REPLACEMENT OF DECK, FRAMING, STAIRS AND RAILING AT FIRE
STATION 89 AND DESIGNATING AN AGENT TO SIGN ON BEHALF OF THE DISTRICT
WHEREAS, the Board authorized invitations to bid for the deck project at Station 89, 11833
Tammy Way grass Valley, CA. 95949 at its April 16, 2015 regular meeting.
WHEREAS, the District initiated the formal bidding process as outlined in the NCCFD
Purchasing Policy section 2.3 on April 21, 2015.
WHEREAS, sealed bids submitted by the May 7, 2015, 1500 hour deadline were publicly
opened.
WHEREAS, after review, Staff determined that Owens Construction, 44 Leonard Lane
Colfax CA. 95713, had the lowest responsible bid in the amount of $24,350.00; and
WHEREAS, NCCFD budgeted funding for this project in the F/Y 14-15 final budget,
account # 521011
WHEREAS, the Board of Directors wishes to designate Deputy Chief Jerry Funk, as the
agent to sign on behalf of the District, all documents required to complete the work related to this
project at Station 89.
NOW, THEREFORE BE IT HEREBY RESOLVED the Board of Directors of the Nevada
County Consolidated Fire District hereby authorize the work described, and accepts as the
winning bidder Owens Construction, with their winning bid of $24,350.00; and designates Deputy
Chief Jerry Funk, as the agent to sign on behalf of the District, all documents required to complete
the work related to this project at Station 89.
AYES:
NOES:
ABSTAIN:
ABSENT:

_______________________________________
Tom Carrington, Chairman of the Board
Nevada County Consolidated Fire District

ATTEST:
________________________________________
Nicole Long, Secretary to the Board

13-1

NEVADACOUNTYCONSOLIDATEDFIREDISTRICT
RESOLUTIONNO.R1514
AUTHORIZESTAFFTOENTERINTOANAGREEMENTWITHSACRAMENTOVALLEYLIMITEDPARTNERSHIP
D/B/AVERIZONWIRELESSTOOBTAINANOPTIONTOLEASEAPORTIONOFPROPERTYLOCATEDAT14400
GOLDENSTARROAD,GRASSVALLEY,CA.

WHEREAS,theBoardofDirectorsoftheNevadaCountyConsolidatedFireDistrict,(NCCFD),and
VerizonWirelessdesiretoenterintoaleaseagreementforrentalspaceontheDistrictownedproperty
locatedat14400GoldenStartRoad,GrassValley,CA95949,APN2361041000;and,
WHEREAS,thetermoftheleaseunderthisAgreementshallbeforaninitialperiodoffive(5)yearsof
CommencementDatewiththeoptiontoautomaticallybeextendedforfour(4)additionalfive(5)yearterms
unlessVERIZONWIRELESSterminatesgivingnotice;and,
WHEREAS,attheendofthefourth(4th)five(5)yearextensiontermthisAgreementhasnotbeen
terminatedbyeitherParty,thisAgreementshallcontinueinforceuponthesamecovenants,termsand
conditionsforafurthertermoffive(5)yearsforfive(5)yeartermsunlessterminatedbyeitherparty;and,
WHEREAS,themonthlyrentshallbeninetwentyfivedollars($925.00)payableonthefirstdayofeach
month,and,ifapplicabletheextendedtermrentshallincreasebyanamountequaltothreepercent(3%)of
theannualrentalpayablewithrespecttotheimmediatelyprecedingfive(5)yearterm.
NOW,THERFORE,BEITRESOLVEDthattheBoardofDirectorsoftheNevadaCountyConsolidatedFire
Districtherebyauthorizes,DeputyFireChiefJerryFunk,toenterintoanleaseagreement,withVerizon
Wireless,andsignalldocumentsrequiredtocompletetheleaseagreementbetweenNevadaCounty
ConsolidatedFireDistrictandVerizonWirelessforrentalspacelocatedat14400GoldenStarRoad,Grass
Valley,CA95949,APN2361041000.
TheforegoingResolutionwasdulypassedatanofficialmeetingoftheNevadaCountyConsolidated
FireDistrictheldMay28,2015,bythefollowingrollcallvote:

AYES:
NOES:
ABSTAIN:
ABSENT:

APPROVED

TomCarrington,ChairmanoftheBoard

ATTEST:

NicoleLong,SecretarytotheBoard
141

Nevada County Consolidated Fire District


11329 McCourtney Road
Grass Valley, CA 95949
(530) 273-3158 * Fax (530) 273-1780

To:

Board of Directors

From:

Deputy Chief Jerry Funk

Date:

May 20, 2015

Re:

Facilities

Background:
At the April Board of Directors Meeting staff received direction regarding the
consideration to surplus three district stations. Over the last month we have continued our
research regarding these facilities. We have sought direction from District Counsel, met with
the Nevada County Planning Director, worked towards resolving title issues and received
assistance from real estate professionals. Below is a brief synopsis on each station being
considered for surplus:

Station 80, 13376 Quaker Hill Road, Nevada City


This station is in the Deer Creek Park subdivision on Quaker Hill Road near Crystal
Wells and was part of the former 49er Fire District. Its location is 2.8 miles from
Station 81 Cascade Shores, 3.4 miles from Station 84 Coyote Street, and 5 miles from
Station 86 Banner Mountain. The facility, built in 1980, is a wood-framed two bay
station with a small storage area and restroom in the rear of the building. It sits on a
.8 acre parcel. Development potential in the area would likely not necessitate future
staffing at this location. There has been no response from this station in over 9 years.

Station 87, 13103 Ridge Road, Grass Valley


This station is on Ridge Road near the intersection of Alta Street and was part of the
former Alta Oaks Sunset Fire District. Through annexations the station resides less
than mile from the Grass Valley City Limits. It is 1.5 miles from Station 2 Sierra
College, 2.4 miles from Station 1 Brighton Street, 3.7 miles from Station 59 Rough &
Ready and 4.5 miles from Station 45 Bitney Springs. The facility, built in 1956. Is a
wood-framed three bay station with a meeting room, office, kitchen and bathroom. It
is accesses through a granted easement on .23 acres. With the construction of new fire
stations, and annexations this location is no longer needed. Future growth in the area
would likely result in cooperative staffing with our neighboring agencies or

15-1

construction of a new facility at a more suitable location. There has been no response
from this station in over 9 years.

Station 90, 10095 E. Lime Kiln, Grass Valley


This station is located on East Lime Kiln Road near State Highway 49 and was part
of the former Bullion Fire District. This station is 3.4 miles from Station 88 Hwy. 49,
3.7 miles from Station 89 Alta Sierra and 5 miles from Station 21 Higgins. The
facility, built in 1972 is a pre-engineered metal building with three bays and a
restroom. It sits on a triangular parcel of .61 acres. This facility and parcel
arrangement would not be suitable for future staffing. Future growth in the area, if
such to require an additional staffed station would likely result in construction of a
new facility at a more suitable location. There has been no response from this station
in over 9 years.

Recommendation: Declare the three properties surplus. Authorize Deputy Chief Funk to
notify other government entities, as required by law, to see if any are interested in the
properties. Report back to the Board after the notification period to determine further actions
to liquidate the properties.

15-2

Nevada County Consolidated Fire District


"Excellence in Emergency Service"
11329 Mccourtney Road, Grass Valley, CA 95949
(530) 273-3158 FAX (530) 273-1780
nccfire@nccfire.com
www.nccfire.com

May 15, 2015

Mark T. Prestwich, City Manager


City of Nevada City
317 Broad Street
Nevada City, CA 95959
Dear Mr. Prestwich:
This letter is in reply to your letters to Chief Turner, dated March 30, 2015 and April 1, 2015, advising of the decisions
made by the City of Nevada City to reduce the staffing for the City's Fire Station 54, which results in the Station 54
not being staff during the "C" shift. We understand the City's decision will result in Station 54 being unmanned for
approximately 1/3 of the time. Your letters do not state whether the City expects that calls for emergency services to
the fire department during any such brown-out are to be left unresponded to, or whether the City is expecting that the
fire departments from Nevada County Consolidated and/or the City of Grass Valley are to respond to calls for
emergency services originating within Nevada City.
Since 2003 Nevada County Consolidated Fire District (NCCFD) has provided support for fire and emergency
services to the City of Nevada City under the auspices of a joint operations agreement (JOA) between the respective
entities. Most recently a new JOA was entered into which now includes Nevada City, Grass Valley and NCCFD.
The JOA recognizes the benefits of the entities using their collective resources in a manner so as to maximize the
ability of the entities to respond to calls for emergency. However, an implicit premise of the JOA is that there will be a
level of reciprocity in terms of the services provided and thus mutual and equitable benefit among the parties.
Leaving aside the question of whether there historically has been an equitable level of reciprocal services among the
parties, the recent decision by Nevada City to brown-out Station 54 during the "C" shift, means that Nevada City will
not be able to respond to calls for emergency services within Nevada City or NCCFD's or Grass Valley's jurisdiction
when it would otherwise have been beneficial and appropriate to do so. The decision by Nevada City to partially
close Station 54 fundamentally changes the premise for reciprocal services that was the reason for and legal basis
implicit in entering into the JOA. The clear and unmistakable result appears to be that Nevada City is either
expecting that calls for emergency services in Nevada City will go unresponded to during the times that Station 54 is
left unmanned, or that it expects other entities to subsidize the cost of providing the services within Nevada City.

16.A-1

If Nevada City is expecting NCCFD to provide emergency services within the City when Station 54 is otherwise left
unmanned, we find it remarkable that Nevada City would fail to fully explore this matter with NCCFD before deciding
to brown-out the station. Nevada City's failure to fully discuss this with NCCFD before implementing the brown-out
puts NCCFD in the difficult and potentially legally tenuous position of getting calls for service in Nevada City during
the time that Station 54 is not in service. Without a further agreement as to how such an arrangement would work,
including compensation to NCCFD, leaves NCCFD using its funds to subsidize emergency services in the City of
Nevada City. It is not acceptable to NCCFD to have the obligations for providing emergency services within Nevada
City passed off to NCCFD.

While NCCFD is willing and desires to assist Nevada City by providing services within the City, if that is in fact the
City's request, the cost of same should not be borne by NCCFD and its residents and businesses. If NCCFD is to
provide services within the City then there needs to be an equitable method established through which Nevada City
reimburses NCCFD for its costs.
In responding to this letter we ask that you promptly clarify whether Nevada City is in fact looking to have NCCFD
respond to calls for emergency services within Nevada City, and specifically when Station 54 is otherwise
unmanned. If that is the case then it is vital that we immediately have a meeting with City representatives in order to
come to an agreement as to how this can be structured so as to not put NCCFD in the position of having to subsidize
the cost of providing emergency services within Nevada City.
We ask that you treat this letter and request for a response and meeting with the urgency that we believe that it
deserves. Failure to promptly meet and work with NCCFD on a potential solution to the partial closure of Station 54
and the lack of emergency services within Nevada City may result in NCCFD being forced to stop responding to calls
for service within Nevada City.

Sincerely,

Tom Carrington, Chairm n of the Board


Nevada County Consolidated Fire District

cc:

Board of Directors
Nevada County Consolidated Fire Protection District
Jim Turner, Fire Chief
Nevada County Consolidated Fire District
Hal DeGraw, City Attorney
City of Nevada City
City Council, City of Nevada
Bob Richardson, City Manager
City of Grass Valley
City Council, City of Grass Valley
Mark Buttron, Fire Chief
City of Grass Valley Fire

16.A-2
Page2

NCCFD MONTHLY CHIEF REPORT

To:
From:
Date:

NCCFD Board of Directors


Jim Turner, Fire Chief
Jerry Funk, Deputy Chief
May 15, 2015

SUPPRESSION
Statistical data for the period of April 1 thru April 30, 2015.
474 calls for service.
Average response time for April emergency incidents, 5 minutes 11 seconds.
Significant Incidents:
Residential structure fire in Grass Valley area.
Two lightning strikes resulting in property damage.
Several natural gas dig up events do to construction activity.
Numerous lines down incidents and a large tree into a house during wind events.
Travel trailer fire in Cascade Shores. Fire was suspicious and remains under investigation.
Numerous small vegetation fires, many caused by debris burn escapes
Training:
727 hours of documented training.
ADMINISTRATION

SAVE Program introduction Lieutenant Jason Davison.


Staff has met and is in the process of developing the preliminary budget for FY 2015/2016.
Deputy Chief Funk and Finance Manager Van Groningen attended a webinar on the prevailing
wage changes.
Staff attended various Cal-OES courses regarding CFAA changes and updates.
Staff met with a designer exploring options for the remodel of the administrative office.
Received delivery of the new Battalion Chief Vehicle.
Continued work regarding future plans for unstaffed stations.
Advertised for bids for the replacement of the Station 89 deck.
Deputy Fire Marshal McMahan and I attended a meeting at the Nevada County Government
Center to address concerns regarding the Purdon Bridge and the associated concerns with
access, fire and public safety.
Staff has posted flyer for the recruitment of a part-time fire inspectors position to be filled in the
near future.

NCCFD Chiefs Monthly Report


May 15, 2015

Page 1

ADMINISTRATION CONT.

Chairman Carrington, Vice Chairman Grueneberg and I met with Council Member Arbuckle,
City Manager Richardson and Chief Buttron to discuss concerns related to fire protection
within the City of Nevada City.

FINANCE
WorkForce Ready
Kronos has picked up their implementation efforts. We have made good progress, thanks to their efforts and
those of staff. We processed the first payroll through WFR, the first of two in a 28 day cycle. The second is
the major test, which will be processed the week of the board meeting. We will verbally report further at the
meeting.
Accounting Software
One Quickbook Premier license was purchased. The new chart of accounts and reporting format are
developed and was presented earlier in this board meeting. Depending on feedback, we will proceed with the
appropriate implementation. We anticipate a July 1 start date.
CalOES
CalOES requires we submit salary surveys to establish the reimbursement rates for strike team activity. As
wages change, we are allowed to submit updated salary surveys. We anticipate the next update will be the
survey reflecting the wage increases effective July 1.
The district has been using the standard indirect administrative reimbursement rate of 10%. We are allowed
to calculate our actual rate (based on the 2013-14 fiscal year) and receive reimbursement based on such.
Using CalOES guidelines, we calculated our rate to be 16.3%. We will submit to CalOES. This will go into
effect July 1, 2015. The rate will be re-calculated annually.
We continue to work with CalOES to collect the final payments for the King and Applegate fires. We
anticipate payments of $102,000 before the completion of the fiscal year.
CalPERS
The fiscal year 2015-16 marks the beginning of CalPERS requiring fixed amount payments to apply to
unfunded asset liabilities (UAL). These payments can be made monthly or as an annual lump sum payment.
Monthly payments would total $259,920. The annual lump sum is $250,686, a savings of $9,234.
An article in the Sacramento Bee indicated school districts were given an increase by CalPERS effective July
1, 2015. The same article indicated the remaining agencies & districts will be reviewed in the fall, with
changes being effective the next fiscal year. We do not know the effect on NCCFD. Thanks to Rick Ulery
for bringing the article to our attention.
FIRE PREVENTION
Projects:
DFM McMahan met with the Planner involved in the Dollar General Project on Rough and Ready Highway for an
update on changes to the project.
A couple of smaller projects including a lot line adjustment and Cell Tower we reviewed. Neither will have a
significant impact on the Fire District.
NCCFD Chiefs Monthly Report
May 15, 2015

Page 2

FIRE PREVENTION CONT.


We started working on the Fire Season Guide Newspaper Insert. Joanne Drummond from the Fire Safe Council is
leading the group which includes County OES, US Forest Service, and the Fire Chiefs Association.
Completed the Annual Fire Safety Inspections at Juvenile Hall and McCourtney Tech Center.
DFM McMahan was asked to speak at a Fire Prevention Class at Sierra College about the job and how the codes have
evolved and work. It was a great evening and the students asked a lot of good questions.
DFM McMahan attended a Memorial Service for an Honorary Grass Valley Fire Fighter. Robert Bob Davis was a
long time resident of this community.

Fire Investigations:
There was only one fire investigation call out for the month and it was in the City of Grass Valley. Deputy Fire
Marshal Wagner investigated a vegetation fire.

Trainings:
Report Writing Training at GVFD Station 2. This was a great class.

NCCFD Chiefs Monthly Report


May 15, 2015

Page 3

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