02/08/1977 - Packet TIGARD WATER DISTRICT 8841 S. W. COMMERCIAL ST.
TIGARD, OREGON 97223
PHONE (503) 639-1554
February 8 , 1977
AGENDA
CALL TO ORDER
1. RESOLUTION TO APPROVE MINUTES OF LAST
MEETING
2 . VISITORS
3. RESOLUTION TO PAY VOUCHERS
4. OTHER BUSINESS
ADJOURNMENT
parr
'1wr
ADMINISTRATOR' S REPORT
1. Resolution to approve the minutes of the last
meeting, as written.
2. Visitors.
3. Resolution to pay vouchers.
4. Other Business.
5. Progress on 10-MG Reservoir.
Two-thirds of the wall sections have been com-
pleted. By March 1st, construction of the walls will
be finished. Next on the schedule is pouring the 20"
columns, 104 in number, and then the floor slab which
*NW should be completed by May 1st. Finally, the roof of
the reservoir should be finished by July 1st, at which
time the pre-stressing operation will commence.
The contractor is doing an excellent job and the
weather has been ideal for construction.
6. Water pumped from wells, CY 1977.
Month Actual *Actual Allocation/Month
1977 Cubic Feet Acre-Feet Acre-Feet
Jan 1, 955,100 44 . 9 88 (2 wells
off)
*1 acre-foot = 43, 560 cubic feet
Actually pumped in prior years:
1970: 1, 616 acre-feet
1971: 1, 418 acre-feet
1972: 1, 501 acre-feet
1973: 1, 269 acre-feet1974 : 924 acre-feet
1975: 930 acre-feet
1976: 847 acre-feet
-1-
ADMINISTRATOR'S REPORT (Continued)
7. Unmetered water.
Pumped Purchased Total Sold Loss
Month & Cu. Ft. Cu. Ft. Cu. Ft. Cu. Ft. Cu. Ft. Loss
Year x 1000 x 1000 x 1000 x 1000 x 1000 %
Jan 1977 1, 955 *5, 618 (L.O. ) 7, 573 7 ,026 547 7 . 2%
-0- (Port)
Cumulative Total:
FY 1976-77
(7 months) :
20, 304 41,376** 61, 680 60, 672 1,008 1 . 6%
*74. 2% of water consumed during January 1977 was purchased
from Lake Oswego.
**67. 1% of water consumed during FY 1976-77 (7 months) was
purchased from either Lake Oswego or Portland.
Summary of past years:
FY Lake Oswego Portland Water Losses
1972-73 --- --- 18 . 3%
1973-74 52% --- 11. 1%
1974-75 59% 1% 16. 2%
*ow 1975-76 59% 2% 7. 4%
8. Percentage of Bull Run water purchased for computing
amount due for Systems Development Charge.
Month & Well Lake Oswego Portland Total
Year Cu. Ft. Cu. Ft. Cu. Ft. Cu. Ft. Bull Run
Oct 1976 3, 094, 830 4 ,778 , 000 -0- 7, 872 , 830 0 . 00000%
Nov 1976 2,950, 740 4 , 582 ,000 300 7, 533 , 040 0. 00398%
Dec 1976 2,957,020 4 ,301,900 200 7 ,259 ,120 0. 00276%
Jan 1977 1,955,100 5, 617,700 200 7, 573, 000 0 . 00264%
TOTAL: 10, 957 , 690 19 , 279 , 600 700 30,237 ,990 0 . 00231%
or about . of 1L100 of 1%
Amount of Bull Run purchased last year: 2%
w
-2-
ADMINISTRATOR'S REPORT (Continued)
'raw 9. Work accomplished during January 1977.
a. TWD completed pipe replacement project on
S. W. Fern and 135th Avenue.
b. TWD completed pipe extension project on
S. W. Pacific Highway, Canterbury Lane to Gaarde St.
c. TWD located and marked many gate valves in
preparation for updating intersection maps.
d. TWD performed maintenance on all vehicles
and equipment.
e. TWD conducted unofficial semi-annual inven-
tory.
f. TWD installed 18 meters (4953 - 4936) .
District also serves 41 meters in Metzger Water Dis-
trict. Total: 4994.
10. Work to to accomplished during remainder of
Fiscal Year 1976-77.
February 1977:
a. TWD install 400 feet of 12" D.I . + 1 fire
hydrant along S. W. 72nd Avenue, southerly, to Kable
Street.
b. TWD install 400 feet of 6" D. I . along Bonita
Road, between 74th Avenue and General Chain Bar Co. ,
200 feet of which will be installed within an existing
36" steel casing, to complete circulation loop.
c. TWD install anti-surge and pressure-reducing
valve with manifold in concrete vault at S. W. 132nd
Street pump station.
d. TWD install fire hydrants at following loca-
tions : (All 6" unless otherwise specified) .
(1) Easement (Penrose) and Mt. View Lane.
(2) 72nd and Landmark Lane. (Georgia-Pacific) .
(3) 125th and Karen Street.
(4) Tigard and Summercrest Street.
(5) Terminus of Summercrest Drive. (4" )
e. Private contractor modify well #1 by lowering
bowls from 340 feet to 550 feet, reducing column size
from 8" to 4" , which, hopefully, will double the capacity
of the well pump to 300 GPM.
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ADMINISTRATOR'S REPORT (Continued)
February 1977 (Continued) :
f. TWD assist private contractor in making
bores under Pacific Highway and railroad tracks at
following locations:
(1) Pacific Highway at MacDonald Street.
(36" bore for 24" pipe) (100 feet long) .
(2) 72nd Avenue, south of Kable
Street. (One set of RR tracks) .
(20" bore for 12" pipe) (60 feet long) .
March 1977 :
a. TWD install 1400 feet of 12" D.I . and 1300
feet of 6" D.I. pipe + 3 fire hydrants along S. W.
103rd Avenue, Inez to MacDonald, to replace 6" O.D.
steel pipe and parallel for pressure system.
b. Private contractor or TWD install 540 feet
of 8" D. I. pipe + 2 fire hydrants along S. W. Scholls
ter. Ferry Road, east of 121st Street, to serve multi-family
complex of 6 buildings (53 units) . (Developers) .
(Randall Construction Company) .
April and May 1977 :
a. TWD install 4500 feet of 16" D.I . pipe along
S. W. MacDonald Street, Hall Blvd. to Pacific Highway,
to reinforce the district' s capability to receive more
Clackamas River water from the City of Lake Oswego.
June 1977:
a. TWD install 1400 feet of 12" D. I. pipe + 4
fire hydrants along Pacific Highway, Watkins to Gaarde
Street, and 500 feet of 12" D. I . pipe + 1 fire hydrant
along Gaarde Street, westerly, to replace 6" O.D. steel
pipe.
b. TWD install control vault for 10-MG reservoir.
c. TWD conduct annual inventory.
d. Prepare for long, hot summer.
-4-
ADMINISTRATOR'S REPORT (Continued)
Nor
11. Work to be accomplished during Fiscal Years
1977-78 and 1978-79. (Will complete pipe replacement
program)
FY 1977-78 :
a. Private contractor install 2 , 000 feet
of 36" D. I. pipe, including a 24" drain line, from
10-MG reservoir to S. W. 121st Avenue and Gaarde St.
b. Private contractor install 3900 feet of
24" D.I. and 3300 feet of 12" D. I. + 4 fire hydrants
along S. W. Gaarde Street, Pacific Highway to 121st
Avenue.
c. TWD install 600 feet of 12" D.I. and 600
feet of 6" D.I. pipe + 1 fire hydrant along easement
road from #2 reservoir to S. W. Gaarde Street, to
replace 6" O.D. steel pipe and parallel for pressure
system.
d. TWD install 2260 feet of 12" D. I. + 4 fire
err hydrants along 132nd, Walnut, and 135th Avenues, from
pump station on 132nd Avenue to Fern Street pump
station, to parallel for pressure system and eliminate
Fern Street pump station.
FY 1978-79 :
a. TWD replace mains on Sunrise Lane, 146th and
150th, and parallel 8" main on Bull Mountain Road,
144th to 150th, for pressure system, in accordance with
following schedule: (All near Hi Tor reservoir)
Bull Mountain Road: 1600 ' of 12" D. I. + 2 fire hydrants
Sunrise Lane: 1800 ' of 8" D. I. + 4 fire hydrants
150th Avenue: 1100 ' of 8" D.I. + 1 fire hydrant
146th Avenue: 1100 ' of 6" D.Z . + 1 fire hydrant
b. TWD install 1300 feet of 8" D. I. + 1 fire
hydrant along Bull Mountain Road, east of 141st Street,
to replace 6" O.D. steel main on pressure system.
tiw.
c. TWD install 1000 feet of 8" D.I. + 1 fire
hydrant along S. W. 141st Avenue, south of Bull Mt.
Road, to extend pressure system.
FINALE
-5-
t
GENERAL FUND BUDGET REPORT
ESTIMATE ESTIMATE + OVER
1975-76 1976-77 1975-76 JANUARY 1976-77 1975-76 JAN. ACCUM. 1976-77 - UNDER
ACCOUNT ACTUAL BUDGET ACTUAL BUDGET ACTUAL ACTUAL BUDGET ACTUAL BUDGET
Beginning Working Capital 64,564 55,500 64,157 73,605 139,973 64,564 55,500 97,356 + 41,856
INCOME:
406 Meter Installations 142,573 188,300 5,342 5,000 9,000 85,172 115,000 120,740 + 5,740
407 Line Extension Rebate 2,089 3,000 -0- 500 -0- 2,089 2,000 -0- - 2,000
408 Miscellaneous Income 4,873 18,000 (297) 1,500 654 3,225 10,500 2,923 - 7,577
412 Interest Income 178 300 -0- -0- -0- -0- 150 369 + 219
418-419 Water Sales 538,606 630,000 39,003 44,900 43,776 339,791 390,800 362,242 - 28,558
425 Penalties for Non-Pay 375 600 90 50 20 202 350 230 - 120
427 Sale of Equipment 16,072 600 -0- 50 -0- -0- 350 -0- - 350
430 Developer's - 10o Overhead 13,250 24,000 1 2,000 -0- 8,363 14,000 22,512 + 8,512
430-1 Developer's - 8% Engineering 9,611 18,000 -0- 1,500 -0- 6,546 10,500 15,794 + 5,294
430-2 Developer's - Equipment 7,524 9,000 -0- 750 -0- 5,430 5,250 7,626 + 2,376
430-3 Developer's - Wage Reimbursement 13,127 15,000 (1) 1,250 -0- 10,126 8,750 11,441 + 2,691
TOTAL INCOME & WORKING CAPITAL 812,842 962,300 108,295 131,105 193,423 525,508 613,150 641,233 + 28,083
EXPENDITURES: Personal Services
500,1,2,3,4 Salaries 125,422 152,760 11,543 12,730 13,315 70,744 89,110 92,971 + 3,861
504-1 Overtime 5,455 6,840 485 285 537 3,602 2,705 3,443 - 262
505 Field Labor 22,770 29,400 1,084 2,450 1,418 16,391 17,150 16,112 - 1,038
506,1,2 Office Employees 16,423 19,800 1,370 1,650 1,719 9,573 11,550 12,103 + 553
170,070 208,800 14,482 17,115 16,989 100,310 121,515 124,629 + 3,114
EXPENDITURES: Materials & Services
507 Blue Cross of Oregon 2,603 3,000 237 250 294 1,402 1,750 2,033 + 283
507-1 Bankers Life Nebraska - Dental 400 1,000 117 84 101 117 580 490 - 90
508 Retirement 6,328 8,000 (241) 2,571 2,441 8,054 6,570 6,273 - 297
509 Social Security 9,159 9,600 847 750 993 5,078 5,550 6,348 + 798
510 State Accident Insurance Fund 7,010 8,000 -0- -0- 1 3,895 4,000 5,694 + 1,694
511 State Unemployment Comp. 7,813 6,000 2,011 1,500 284 5,070 4,500 902 - 3,598
512 Advertising & Elections 751 600 5 -0- -0- 5 200 -0- - 200
514 Equipment Rentals 359 600 8 -0- 12 279 300 206 - 94
515 General Insurance 13,519 15,000 10,418 1,250 -0- 12,524 8,750 2,196 - 6,554
516 Miscellaneous Expenses 2,000 1,500 I 266 125 350 840 875 1,275 + 400
517 Dues & Subscriptions 602 600 125 50 125 516 350 578 + 228
518,1,2 Office Supplies 8,587 7,200 476 600 1,982 4,211 4,200 5,810 + 1,610
519,1,2 Professional Fees 18,953 12,000 2,944 -0- 117 10,311 8,000 10,435 + 2,435
520 Meter Maintenance 1,642 4,200 424 350 1,220 1,808 2,450 3,922 + 1,472 I
521,1,2,3 Repairs - Lines, Pumps, etc. 7,233 4,800 243 400 288 4,267 2,800 3,526 + 726
GENERAL FUND BUDGET REPORT (cont.)
ESTIMATE ESTIMATE + OVER
1975-76 1976-77 1975-76 JANUARY 1976-77 1975-76 JAN. ACCUM. 1976-77 - UNDER
ACCOUNT ACTUAL BUDGET ACTUAL BUDGET ACTUAL ACTUAL BUDGET ACTUAL BUDGET
522,1,2,3 Utilities 6,140 6,400 546 500 693 3,463 3,700 3,712 + 12
523 Fire Hydrant Maintenance 1,176 1,200 -0- -0- 386 1,010 800 1,639 + 839
524 Truck & Equip. Maintenance 6,848 6,000 831 500 660 4,425 3,500 4,561 + 1,061
524-1 Gasoline & oil 5,426 6,000 477 500 540 3,217 3,500 3,920 + 420
524-2 Tires & Batteries 1,058 900 47 75 74 652 525 500 - 25
525,1 Water Costs - Electricity 30,853 34,800 1,818 2,900 2,726 18,438 20,300 19,682 - 618
525-2 Water Costs - L.O. , Portland 87,817 168,500 5,217 10,700 8,068 56,296 108,900 62,310 - 46,590
526 Interest Expense 216 -0- -0- 216 -0- -0- 216 984 + 768
527 Small Tools 512 1,200 121 100 8 1,577 700 666 - 34
529 Rain Gear, Safety Equip. , etc. 482 900 22 75 160 843 525 743 + 218
530 Employee Training 329 400 -0- -0- 110 120 200 254 + 54
227,816 308,400 26,959 23,496 21,633 148,418 193,741 148,659 - 45,082
EXPENDITURES: Capital Outlay
548 Fire Hydrants 3,653 3,600 2,553 -0- -0- 3,353 600 93 - 507
549 Equipment 55,926 60,400 559 8,000 6,992 54,018 54,000 53,675 - 325
550 Buildings & Additions 27,874 1,000 1,981 -0- -0- 26,823 -0- -0- -0-
551 Meter Installations 28,907 46,800 1,685 3,900 791 18,229 27,300 25,552 - 1,748
552 Land & Improvements 750 1,800 363 -0- -0- 574 1,800 6,007 + 4,207
553 Operating Contingencies -0- 1,000 -0- -0- -0- -0- -0- -0- -0-
554 Line Extensions 19,804 2,800 -0- -0- -0- 15,916 -0- -0- -0-
555 Pipeline Replacements 109,886 1,000 3,158 -0- -0- 59,512 -0- -0- -0-
246,800 118,400 10,299 11,900 7,783 178,425 83,700 85,327 + 1,627
700 Transfer to Bond Sinking Fund 70,800 271,200 1,280 22,600 22,600 43,080 158,200 158,200 -0-
Fund Balance 97,356 55,500 55,275 55,994 124,418 55,275 55,994 124,418 + 68,424
TOTAL BUDGETED EXPENDITURES 812,842 962,300 108,295 131,105 193,423 525,508 613,150 641,233 + 28,083
January 31, 1977 Inventory Balance = $42,258.77
BOND SINKING FUND JANUARY
103 Cash balance at first of month 1,031
108 Local Government Pool at first of month 184,013
INCOME:
400 Transfer-in from General Fund 22,600
412 Taxes: Current 7,386
413 Delinquent 623
414 Trailer House -0-
415A Land Sales -0-
418 Interest earned from Invested Monies 753
419 Interest earned from Property Taxes -0-
Transfer in from Government Pool 74,000
105,362
EXPENDITURES:
585 Bond Principal 55,000
586 Bond Interest 18,921
587 Bank Fees & Postage -0-
Transfer to Government Pool 32,453
106,374
TOTAL CASH AT END OF MONTH 19
TOTAL INVESTED MONIES AT END OF MONTH 142,466
TOTAL CASH AND INVESTED MONIES AT END OF MONTH $142,485
BOND CONSTRUCTION FUND - Issue 1976 JANUARY
101 Cash balance at first of month 840
106 Local Government Pool at first of month 1,503,000
INCOME:
410 Sale of Bonds -0-
412 Interest Income 7,515
Transfer-in from Local Government Pool 151,500
159,015
EXPENDITURES:
521 Bond Costs 900
522 Professional Fees -0-
523 Bond Interest 8,781
540 Purchase of Land -0-
541 10 MG Reservoir @ 125th & Bull Mt. Rd. 122,970
542 Major Transmission Lines (Extensions) -0-
543 Pipeline Replacements 10,723
Transfer to Local Government Pool 7,515
150,889
TOTAL CASH AT END OF MONTH 41
TOTAL INVESTED MONIES AT END OF MONTH 1,359,015
DUE TO GENERAL FUND (10,723)
$1,348,333
TIGARD WATER DISTRICT JANUARY 31, 1977
WELL RECORDS:
WELL HOURS STATIC PUMPING CUBIC FEET COSTS-ELECT. HOURS
*No" NO. OFF LEVEL LEVEL PUMPS, ETC.
1 874,100 $ 428.40 737
2 1,081,000 598.56 743
3 OFF 221.77
4 OFF 395.80
All 7 pump stations & Alarm-Telemetry Phones 1,081.36
1,955,100 $2,725.89
METER RECORDS:
Meters #4,936 through #4,953 = 18 meters sold.
wrir
BILLING DETAIL:
January $ 43,661.75
Delinquent 85.94
7,025,900 cubic feet of water billed.
TIGARD WATER DISTRICT January 1, through 31, 1977
SCHEDULE OF DISBRUSEMENTS
GENERAL FUND
CHECK# PAYEE AMOUNT ACCOUNT
18190 Northwestern National Life 2,703.88 508
18191 Tigard Station Paid Men 40.00 201
Ise
18192 Frank's Disposal Service 9.00 201
18193 Portland General Electric Co. 2,759.64 201
18194 Bureau of Water Works 204.00 201
18195 Willamette Indurtries 44.07 201
18196 All metro Spray, Inc. 30.00 201
18197 Bek Electric Motor Service, Inc. 120.00 201
18198 Metro-West Oil, Inc. 285.23 201
18199 John D. Hagg - Hauling Contractor 148.00 150, 201, (549)
18200 City of Lake Oswego 6,022.66 201
18201 Hinds Supply Co. 966.70 201, 521
18202 Brewed Hot Coffee, Inc. 21.30 201
18203 Doug's Auto Parts 8.40 201
18204 Goodyear Service Store 7.50 201
18205 Alfred Teufel Nursery, Inc. 179.25 201
18206 Consolidated Supply 2,272.41 201
18207 Cascade Microfilm Systems, Inc. 174.00 201
18208 Southwest OFfice Supply, Inc. 23.71 201
18209 Baltz & Son Co. 104.52 201
18210 Standard Oil - Western (credit Card) 59.45 201
18211 Coast to Coast Stores 15.98 201
18212 Tigard Auto Body Works 57.60 201
18213 S. O. - Western 791.38
18214 Case Power & Equipment 22.62 201
18215 Willamette Hi-Grade Concrete 145.00 201
18216 Pacific Stationery 40.80 201
low 18217 Badger Meter, Inc. 759.36 201
18218 Utilities Supply Co. 309.50 201
18219 ITT Grinnell Corp. 441.16 201
18220 Water Metrics Co. 15.69 201
18221 Sanderson Safety Supply Co. 13.40 201
18222 Meter Box Equipnebt Co. 585.75 201
18223 Watt Welding Supply 4.02 201
i 18224 Miller Paint Co. , Inc. 7.50
2,324.40201
18225 L. H. Cobb Crushed Rock 201
18226 Pittsburgh Testing Laboratory 82.50 201
18227 Secretarial Answering Service 25.00 518
18228 City of Tigard (Sewer) 15.00 522-3
18229 Cantel Incorporated 10.50 514
18230 I B M 59.50 518-2
18231 Washington County-Dept of Public Works 25.00 517
18232 General Telephone 398.97 522, 525-1
18233 Burroughs Corp. 104.40 518
18234 U.S. Pipe & Foundry Company 8,590.04 150
18235 Goodyear Truck Tire Center 170.56 201, 524-2
18236 Val Mack #23-269 98.80 121 set 2
18237 TWD - Bond Sinking Fund 22,600.00 700
18238 City of Tigard 100.00 517
18239 Petty Cash 11.80 516, 518-1, 549
18240 Robert E. Santee 611.16 500
18241 Nancy L. Larson 299.87 506
'kolar 18242 Janice E. Roderick 187.16 506-1
18243 Annie L. Schwartz 137.91 506-1
18244 John P. Miller 541.17 502
18245 Russell A. Thomas 404.07 501, 504-1
18246 William C. Bryant 422.94 504
18247 John C. Dixon 393.69 501-1, 504-1
18248 Harold H. Kuehn 242.64 503-2
18249 Gregory M. Stroeder 306.50 503-1
TIGARD WATER DISTRICT January 1, through 31, 1977
SCHEDULE OF DISBURSEMENTS
GENERAL FUND (cont.)
CHECK# PAYEE AMOUNT ACCOUNT
18250 Robert M. Adams 356.03 503--1, 504-1
18251 Michael G. McDermott 307.41 501-2
18252 Donnie R. Foster 445.73 503, 504-1
18253 Randy J. Volk 431.43 503-1, 504-1
18254 Curtis D. Heintz 232.24 504-1, 505
18255 Ervin A. Soot 300.92 505
18256 Nelson Printing 76.90 518
(18071) Voided to Oregon Mututal Savings Bank (499.50) 240
18257 Ronald Douglas Reissue of 18071 499.50 240
18258 Mickey L. Wilson 110.00 530
18259 Robert E. Santee 657.56 500
18260 Nancy L. Larson 294.23 506
18261 Janice E. Roderick 187.08 506-1
18262 Annie L. Schwartz 191.77 506-2
18263 John P. Miller 526.32 502
18264 Russell A. Thomas 358.32 501
18265 William C. Bryant 400.72 504
18266 John C. Dixon 297.99 501-1
18267 Harold H. Kuehn 192.50 503-2
18268 Gregory M. Stroeder 293.83 503-1, 504-1
18269 Robert M. Adams 309.92 503-1, 504-1
18270 Michael G. McDermott 281.59 501-2
18271 Donnie R. Foster 485.09 503, 504-1
18272 Randy J. Volk 339.50 503-1
18273 Curtis D. Heintz 253.85 504-1, 505
18274 Ervin A. Soot 300.68 505
18275 Public Employees Social Security 1,987.72 211, 509
Now
18276 U.S.N.B. - Federal Deposit 2,596.40 212
18277 State of Oregon - Dept. of Revenue 938.00 213
18278 Blue Cross of Oregon 558.55 215, 507
18279 Washington County F C U 738.00 216
18280 Banker's Life Nebraska - Dental 213.65 217, 507-1
18281 Banker's Life Nebraska - Life 39.74 217
18282 Family Cancer Plan Insurance 36.20 218
18283 Portland General Electric Co. 2,718.55 522-2, 525
18284 Northwest Natural Gas Company 127.51 522-1
18285 Sears, Roebuck & Company 2.80 516
18286 Brewed Hot Coffee, Inc. 26.95 516
18287 The Riddle Press 343.50 518
18288 Pitney-Bowes 37.50 518-2
18289 Stevens, Thompson & Runyan, Inc. 117.00 519-2
18290 Vic Alfonso Ford 5,619.42 549
18291 Bureau of Water Works 204.00 525-2
18292 Rentex Corp. 107.66 522-3
18293 Motorola, Inc. 712.92 549
18294 Tualatin Valley Paving Co. 171.94 150, 520, (408)
$82,486.68
TIGARD WATER DISTRICT January 1, through 31, 1977
SCHEDULE OF DISBURSEMENTS
OTHER FUNDS
CHECK# PAYEE AMOUNT ACCOUNT
TWD - GENERAL FUND - FNB
166 TWD - General Fund - USNB $ 2,236.50 107
BOND SINKING FUND
222 Washington County - Dept. of Finance $ 73,921.25 585, 586
BOND CONSTRUCTION FUND
110 Washington County - Dept. of Finance 8,780.89 523
111 Moody's Investors Service, Inc. 900.00 521
112 TWD - General Fund 19,648.25 235
113 Richard L. Martin, Inc. 122,969.90 541
$152,299.04
-
Tigard Water District
1-77 Regular Meeting
January 11, 1977
PRESENT: Clarence F. Nicoli, Chairman
Hugh Brown, Secretary
Don W. Thomas
Robert E. Santee, Administrator
John P. Miller, Foreman
Kenneth W. Baines, Attorney
VISITORS: Mrs. Richard Raudy, 16790 S. W. 113th Avenue
Mr. T. R. Whiteman, 9530 S. W. Edgewood St.
Mr. Clarence Mohr, 13870 S. W. Fern Street
The meeting was called to order by Chairman Nicoli
at 7: 31 p.m.
Motion was made and seconded to approve the minutes
of the last meeting, as written. Motion carried unani-
mously.
Mrs. Raudy appeared before the board to request
some relief in an unexpectantly high water bill due to
the fact that the service line to her meter was inadver-
tently interchanged with her neighbor' s (Val Mack) . The
water district had discovered the problem and computed
the difference in charges between the two consumers for
the past 21 years when the meter connections occurred.
Val Mack was entitled to a refund of $98 . 80 and Mrs.
Raudy owed $141. 00. Motion was made by Hugh Brown and
seconded by Don Thomas to refund Val Mack $98. 80, that
Mrs. Raudy pay the correct December bill of $15. 50 , and
that any prior charges to Mrs. Raudy be eliminated from
the record ($125. 50) . Motion carried unanimously.
-2-
Mr. T. R. Whiteman appeared before the board to
�► request some relief in a high water bill due to an
undetected leak in his service line under a concrete
slab floor. Motion was made by Don Thomas and seconded
by Hugh Brown for the water district to absorb 50% of
the excess amount above the normal bill for this time
of year. Motion carried unanimously. (Normal bill:
$18. 50. z of excess amount = $53. 25. Total due:
$71. 75) . Administrator was authorized to make such
minor adjustment in next month' s bill if such bill
reflected a portion of the water loss considered in
this action.
Mr. Mohr appeared before the board to advise that
he expected a high water bill due to the fact that the
water district, this date, had turned on his meter
which he, personally, had previously turned off without
the knowledge of the district. This occurred as a re-
sult of water district personnel reconnecting meters
during construction of the pipe replacement project on
S. W. Fern Street. Evidently, some faucets in the house
were open causing water to be wasted and lost. He re-
ported no damage to the house or contents therein. It
was Mr. Mohr's belief that the water district was fully
to blame for the water lost, and he, therefore, should
not be held responsible for any additional expense in-
curred. Motion was made by Hugh Brown and seconded by
Don Thomas to authorize the Administrator to make an
adjustment to the normal use charge, when billed, and
that the patron be required to install a master shut-off
valve which should be used in lieu of the district' s
valve at the meter. Motion carried unanimously.
Motion was made and seconded to pay the vouchers.
Motion carried unanimously.
Motion was made by Hugh Brown and seconded by Don
Thomas to appoint the members of the budget committee
for Fiscal Year 1977-78 as follows:
Budget Officer:
Robert E. Santee
Ji
,' F
-3-
Budget Committee:
John W. Meyer 16670 S. W. King Charles Way 639-4698
William M. Stebbins 13273 S . W. Bull Mt. Road 224-7410
H. Dale Johnson 12245 S. W. Marion Street 620-5351
Neil Longfellow 14810 S. W. 141st Street 225-2249
Michael D. O'Neil 11875 S . W. King James Place 639-6176
Motion carried unanimously.
The Administrator noted a delinquent water bill of
$20. 50 incurred by tenants of Mr. Monetti, a former
owner of the house at 12535 S. W. Grant Street which is
now owned by Mona Rozsa. Mona Rozsa objects to paying
this water bill because it was not incurred by her.
Legal problems connected with collecting water bills
from tenants was discussed. Don Thomas suggested that
a policy be established to require that all property
owners be billed directly for all water consumed at
rented houses versus billing the tenants. Motion was
made by Don Thomas and seconded by Hugh Brown to waive
the $20. 50 owed by Mona Rozsa. Motion carried unani-
mously.
Motion was made to adjourn at 8 :54 p.m. Motion
carried unanimously.