The Mt. View Sanitary District Board approved minutes from May 14 and June 11, 2026, and ratified check disbursements from General Fund #3409, #3410, and Capital Outlay Fund #3412. Unanimously, the Board transferred the District's CERBT assets from Strategy 1 to Strategy 3. By consensus, the Board authorized Board Secretary Pro Tem Christopher to vote for Antonio Martinez to fill Seat C on the California Special District Association Board of Directors for the 2027-2029 term; a formal motion appointing him also passed unanimously. The General Manager reported on MVSD employee rights and compensation to support potential consolidation evaluations. It was noted that the new 1&1 project is proceeding. The next public information committee meeting is July 30, 2026, at 3:00 p.m., followed by the next regular board meeting on August 13, 2026, at 3:30 p.m.
Source: https://www.mvsd.org/files/0a42aa7be/Minutes+7-9-2026.pdf
The Board approved Resolution No. 1636-2026 to collect Fiscal Year 2026-27 sewer service charges with general taxes. They authorized Amendment No. 3 to Contract No. 26-0007 with GHD Inc., adding $40,579 for a new total of $335,000, and approved Task Order No. 4 for $40,579 for additional construction services.
The Board adopted the Fiscal Year 2026-2027 budget. They approved Task Order No. 23 for legal services with Turner, Huguet, Adams, and Farr, effective July 1, 2026, not to exceed $179,679.36. Resolution No. 1637-2026 called for the general election and directed document submission to the County.
The Board reaffirmed delegation of treasurer duties to Contra Costa County and approved Agreement 27-0001 with Gardens at Heather Farm for up to $120,000 over three years. Staff and Board members must now use district-issued laptops for meetings. The next meeting is July 9, 2026.
Source: https://www.mvsd.org/files/0296b62e5/Minutes+6-11-2026.pdf
The Board approved Consent Calendar items 3A-3H, ratifying warrants and payment orders, with a vote of 3-0 (Directors Danley, Pyka, and President Ruddell). After a public hearing with no testimony, the Board adopted Ordinance 2026-151, increasing Board compensation to $295 per day, effective July 13, 2026. The Board adopted Resolution 1633-2026 for a Fund 3415 debt service budget amendment. Policy revisions for Work Schedules, Timekeeping, Sick Leave, and Standards of Conduct were approved. A succession plan was adopted to promote Deputy General Manager Ambrose to General Manager upon General Manager Corona's retirement.
A 3% Cost of Living Adjustment (COLA) was approved for all District positions. Resolution 1634-2026 authorized a $3,000,000 disbursement of reserve funds: $1.5 million to CalPERS for unfunded liability and $1.5 million to the Pension Prefunding Trust. Resolution 1635-2026 authorized a $517,000 tax transfer from Fund 3409 to Fund 3410. The Board set a public hearing for June 11, 2026, regarding collecting sewer service charges.
Source: https://www.mvsd.org/files/8290946e0/Minutes+5-14-2026.pdf
The Board approved minutes from the March 12 meeting and ratified multiple check payments from General Fund 3409 and Capital Outlay Fund 3412 by a 4-0 vote. Directors Danley, Wiley-Walker, Halsne, and President Ruddell adopted Ordinance No. 2026-149, establishing a two-year Sewer Service Charge schedule for fiscal years 2026-2027 and 2027-2028. The Board also updated District Code Tables 7.1, 7.2, and 7.3 to reflect new charges and a 3.036% inflation index. Additionally, Ordinance No. 2026-150 was adopted to amend the Conflict of Interest Code. President Ruddell directed staff to call a public hearing on AB 2561 for the May 14 meeting. In closed session, the Board accepted the District Legal Counsel's annual review and found the General Manager's performance satisfactory. The next meeting is May 14, 2026.
Source: https://www.mvsd.org/files/58e3be0ec/Minutes+4-9-2026.pdf
Directors Danley, Wiley-Walker, and President Ruddell approved February 12, 2026 meeting minutes and ratified multiple check registers and payment orders by a 3-0 vote. The Board determined current board member compensation, health insurance, pension benefits, and expense reimbursement standards are reasonable. They voted to direct preparation of documentation for a public hearing to increase meeting compensation.
The Board adopted Resolution 1631-2026 to participate in the California Employers' Pension Prefunding Trust (CEPPT) and Resolution 1632-2026 delegating disbursement authority. They authorized allocating $3 million in reserves: $1.5 million as a discretionary payment to CalPERS to reduce unfunded accrued liability, and $1.5 million to the CEPPT 115 trust.
No action was taken on nominating a candidate for the CSDA Board. Staff were directed to proceed with the General Manager's inflation index recommendation. A public hearing was scheduled for April 9, 2026, regarding an additional ground lease agreement with New Cingular Wireless PCS, LLC for a backup power generator.
Source: https://www.mvsd.org/files/4a84aca58/Minutes+3-12-2026.pdf