Loading...
12/14/1976 - Packet TIGARD WATER DISTRICT 131341 S. W. COMMERCIAL ST. TIGARD, OREGON 97223 PHONE (503) 639-1554 December 14 , 1976 AGENDA CALL TO ORDER 1. RESOLUTION TO APPROVE MINUTES OF LAST MEETING 2 . VISITORS 3. RESOLUTION TO PAY VOUCHERS 4. RESOLUTION TO SET UP INVESTMENT ACCOUNTS IN THE LOCAL GOVERNMENT INVESTMENT POOL (STATE OF OREGON) AND TO AUTHORIZE THE ADMINISTRATOR AND/OR BOOKKEEPER TO TRANS- FER FUNDS BETWEEN THE POOL AND LOCAL BANKS 5. RESOLUTION TO APPROVE PROPOSED LETTER TO OREGON STATE HEALTH DIVISION REGARDING FUTURE USE AND CONTROL OF THE BULL RUN WATER SUPPLY 6 . RESOLUTION TO APPROVE THE AMENDMENTS TO THE BY-LAWS OF TRI-COUNTY WATER DISTRICTS ASSOCIATION 7. OTHER BUSINESS ADJOURNMENT Nrr ADMINISTRATOR'S REPORT 1. Resolution to approve minutes of last meeting, as .4•1" written. 2. Visitors. 3. Resolution to pay vouchers. 4 . Resolution to set up investment accounts in the Local Government Investment Pool (State of Oregon) and to author- ize the Administrator and/or Bookkeeper to transfer funds between the pool and local banks . The attached document dated July 15, 1976 and prepared by James A. Redden, State Treasurer, describes the invest- ment pool. It appears to be the best method, by far, to obtain the maximum return on an investment. Bankers and bond brokers have recommended the program. Banks are pres- ently paying 6. 0% interest on 1-year Time Certificates of Deposit (TCD' s) . More and more governmental agencies are +r.y utilizing the investment pool as a convenient and profit- able method to save on a daily basis . It is proposed to open two accounts , as follows: a. Bond Sinking Fund b. Bond Construction Fund When the Bond Construction Fund is depleted in December, 1977, the General Fund can assume that account in the invest- ment pool. -1- was. ADMINISTRATOR'S REPORT (Continued) 5. Resolution to approve proposed letter to Oregon State Health Division regarding future use and control of the Bull Run water supply. The Oregon State Health Division has requested comments on their report about control and management of the Bull Run Reserve. The entire document contains a review of the Forest Service' s Draft Environmental Statement. The issue of control of the watershed as it affects the Portland Metro- politan Area is addressed in a 3-page addendum, copies of which are enclosed. This is a very important document and one that could have far-reaching impact upon eventual control of the Bull Run watershed. It is recommended that a strong position be taken sup- porting a regional authority to govern and control the Bull Run watershed. A letter has been prepared for the Chairman's signature. 6. Resolution to approve the amendments to the By-laws of Tri-County Water Districts Association. Avor Three amendments have been proposed by the committee. The primary objective of the amendments is to elect directors for two year terms versus one year. Approval is recommended. -2- ADMINISTRATOR' S REPORT (Continued) 7. Other business. Bond Issue Interest Rate: During preparation of the prospectus there was some doubt as to when the best date would be to go to market with the bonds. On November 9 , 1976 the water district accepted the offer of U. S. National Bank to purchase $1. 9 million in General Obligation bonds at an effective interest rate of 5. 48336% A review of recent events and past bond sales reveals that the district did not fair as badly as initially be- lieved. The Municipal Newsletter dated November 8 , 1976 (copy enclosed) depicts a graph of bond interest rates for the past few months. The graph shows that interest rates were higher in July, August, and September, and slightly lower in October. Interest rates of comparable G.O. bond issues recently sold are listed as follows: Interest Amount Date Rate Wolf Creek Highway W.D. $1. 2 million 18Apr1976 5. 6645% Wasco Cty Sch. Dist. $2 . 075 mil . 9Sep1876 5. 4280% Umatilla Sch. Dist. $1. 975 mil. 14Sep1976 6. 0577% Holcomb-Outlook W.D. $0. 150 mil. llOctl976 5. 5480% Winston-Dillard W.D. $0. 995 mil. 20Oct1976 5 . 5600% In view of the present bond market it would have been better to have waited longer before going to market. How- ever, who has the crystal ball? -3- ADMINISTRATOR'S REPORT (Continued) "irw 8. Water pumped from wells, Calendar Year 1976. Month Actual *Actual Allocation/Month 1976 Cubic Feet Acre-Feet Acre-Feet Jan 3 , 131, 250 71. 9 88 Feb 2, 948, 530 67. 7 88 Mar 3, 212, 670 73. 7 88 Apr 3, 119, 030 71. 6 88 May 3,114, 860 71. 5 88 Jun 3, 013 , 940 69. 2 88 Jul 3, 136, 340 72. 0 88 Aug 3,166, 930 72. 7 88 Sep 3, 043, 140 69 . 9 88 Oct 3, 094, 830 71. 0 88 Nov 2 , 950, 740 67. 7 88 '4411w, TOTAL: (11 Months) 33 , 932, 260 779. 0 968 12-month projection: 850. 0 1, 056 *1-acre-foot = 43, 560 cubic feet Actually pumped in prior years : CY 1970: 1, 616 acre-feet CY 1971: 1,418 acre-feet CY 1972 : 1, 501 acre-feet CY 1973: 1,269 acre-feet CY 1974 : 924 acre-feet CY 1975: 930 acre-feet "rrw -4- ADMINISTRATOR' S REPORT (Continued) Now 9 . 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% TOTAL: 6, 045, 570 9, 360, 000 300 15,405, 870 0. 00195% or about 1/5 of 1/100 of 1% Amount consumed last year: 2% Bull Run 10. 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 % Nov 1976 2 , 951 *4 , 582 (L.0. ) 7, 533 7 , 423 110 1. 5% -0- (Port) Cumulative Total: FY 1976-77 : (5 months) 15, 392 31,456** 46, 848 46 ,522 326 0. 7% * 60. 8 % of water consumed during November 1976 was purchased from Lake Oswego. ** 67. 1% of water consumed during FY 1976-77 (5 months) was purchased from either Lake Oswego or Portland. Summary of Past Years: Water Fiscal Year Lake Oswego Portland Losses 1972-73 --- --- 18. 3% 1973-74 52% --- 11. 1% __ 1974-75 59% 1% 16. 2% 1975-76 59% 2% 7 . 4% -5- ADMINISTRATOR'S REPORT (Continued) ,, 11. Work accomplished during November 1976 a. TWD installed 102 copper services for SUMMERFIELD, Platt 8. (single family dwellings) . b. Dale Construction Company installed 1300 feet of 6" D. I . + 3 fire hydrants along S. W. Brentwood Place for SUMMERFIELD, Phase IV, for Tualatin Development Company, Inc. (Developers) . TWD installed 49 copper services for townhouses to be constructed. c. Dale Construction Company installed 710 feet of 6" D.I. pipe + 3 fire hydrants along S. W. King Arthur Court, near Beef Bend Road, for a multi-unit development of 62 units (7 buildings) called: "KING CITY TERRACE #2" , for Tualatin Development Company, Inc. (Developers) . TWD installed 2" galvanized services to the 7 buildings . d. Cornell Construction Company installed 1, 000 feet of 8" D. I . pipe and 300 feet of 6" D. I. pipe + 2 fire hy- drants along S. W. 113th Place, south of Tigard Street, for a development called "MUTTLEY ADDITION" consisting of 26 single family dwellings for Mr. Herbert Morrissette. (Developers) . TWD installed copper services. `"r"' e. Richard L. Martin, Inc. , continued construction on 10-MG reservoir. He completed pouring concrete wall footings. Walls will be constructed next month. f. TWD installed 30 meters (4901 - 4872) . District also serves 41 meters in Metzger Water District. Total : 4942 . 12 . Work to be accomplished during remainder of FY 1976-7 . December 1976: a. TWD install 550 feet of 12" D. I. pipe + 1 fire hydrant along S. W. 135th Avenue, Fern Street to #3 reser- voir, to provide adequate pressure south of Fern Street. Also, install 500 feet of 6" D. I . pipe + 1 fire hydrant along Fern Street, westerly, to provide adequate pressure. b. TWD install anti-surge and pressure-reducing valve with manifold in concrete vault at S . W. 132nd Street pump station. 440, c. Private contractor install submersible deep well pump at #1 reservoir site. -6- ADMINISTRATOR'S REPORT (Continued) January 1977 : a. TWD install fire hydrants at following locations: (1) Easement (Penrose) and Mt. View Lane. (2) 72nd and Landmark Lane. (Georgia-Pacific) (3) 125th and Karen Street. (4) Tigard and Summercrest Street. February 1977 : a. Private contractor install 540 feet of 8" D. I . pipe + 2 fire hydrants along S . W. Scholls Ferry Road, east of 121st Avenue, to serve multi-family complex of 6 buildings (53 units) . (Developers) . (For Randall Construction Company) . b. TWD install 400 feet of 12" D. I . + 1 fire hydrant along S. W. Pacific Highway, Canterbury Lane to Gaarde Street (west side) to complete a circulation loop. c. TWD install 400 feet of 12" D. I . pipe + 1 fire hydrant along S. W. 72nd Avenue to Kable Street. 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 Street, to replace 6" O.D. steel pipe and parallel for pressure system. April and May 1976 : a. TWD install 4500 feet of 16" D. I . pipe along S . W. MacDonald Street, Hall to Pacific Highway, to strengthen the district' s capability to receive more Clackamas River water. June 1976 : a. TWD assist private contractor in making bores under railroad tracks and Pacific Highway as follows : (1) Pacific Highway at MacDonald St. (36" bore for 24" D. I . pipe) (20" bore for 12" D. I . pipe) (2) Tiedeman Street, between North Dakota °— and Tigard Avenue: 2 sets of RR tracks : (36" bore for 24" D. I . pipe) . (3) 72nd Avenue, north and south of Kable St: 2 sets of RR tracks : (20" bore for 12" D. I. pipe) b. TWD install 200 feet of 6" D. I. and 200 feet of PVC in 36" steel casing (along with 16" D. I. ) under two sets of RR tracks on Bonita Road, between 74th and General Chain Bar Company. -7- REQUIREMENTS OF $1. 9 MILLION GENERAL OBLIGATION BOND ISSUE err 1. Administration a. Attorney Fees (Estimate) $9 ,000 b. Printing of Bonds (Estimate) 1,000 Total: $10 , 000 2 . Interest Payment a. Interest due 1 Jan 1977 (Estimate) $9 ,000 Total: 9 , 000 Total Expenditures: $19 , 000 3. Income from bond issue y`"" a. Interest from bonds : Jan - Dec 1977 (Estimate) $19 , 000 Acquisition of Land Budgeted: $50, 000 1. Purchased land at S. W. 125th and Bull Mountain Road: Mrs. Elsa Ames $50 ,040 Major Transmission Mains Budgeted: $350 , 000 1. Installed: July to 7 December 1976 : $29,379 2. To be installed: FY 1977-78: JULY 1977 a. 10 -MG reservoir to 121st and Gaarde: 2 , 000 ' of 36" D. I . @ $80/ft (incl. 24" drain line) . $160, 000 AUG & b. 121st and Gaarde to Pac Hwy: SEP 1977 3900 ' of 24" D. I . @ $50/ft 160 , 621 (General Fund) (34 , 379) 3800' of 12" D. I . @ $10/ft (General Fund) (38 , 000) Total: $350, 000 BC-1 Requirements of $1. 9 million bond issue (Continued) Construction of reservoir, 10-MG Budgeted: $1, 200 , 000 Akilw 1. Disposal Site: a. 24" culvert & gravel (WO 3718) $ 4 , 658 b. 48" culvert & gravel (WO 3678) 11 , 066 c. Landscaping 700 16, 424 Less : Profit on fir trees : -4, 706 Total: $ 11,718 2 . Excavation of reservoir site: a. Removal of trees $ 752 b. F and F Dozing 65, 522 c. Fencing 7 ,413 Total: 73 , 687 3. Reservoir construction: a. Washington County (Permits) $ 2 ,162 b. Professional Fees (Engr) 267 c. Advertising bids, sign, etc 199 d. Drain tile & gravel (WO 3758) 3, 994 e. 36" pipe + fittings (WO 3822) 25,473 f. Richard L. Martin 79 ,302 Total: 111, 397 TOTAL: 196 , 802 4. To be paid when completed: DEC 1976-OCT 1977a. Richard L Martin (reservoir) . . . . $905,000 AUG 1977 b. Control vault 40 , 000 OCT 1977 c. Backfill and landscape 20, 000 OCT 1977 d. Street and fence 10 , 000 NOV 1977 e. Miscellaneous: Telemetry, alt. control valves, PRV, etc 28 ,198 Total: 1,003 ,198 TOTAL: $1,200 ,000 low BC-2 Requirements of $1. 9 million bond issue (Continued) Pipe Replacements Budgeted: $ 300, 000 Nov 1. Installed: July to 7 December 1976 : $ 10, 062 2 . To be Installed: FY 1976-77 : DEC 1976 a. Fern St. , 135th to the west 1100 ' of 12"D. I. @ $15/ft $16 , 500 900 ' of 6" D. I . @ $8/ft 7 ,200 DEC 1976 b. 135th, #3 reservoir to Fern St. 550 ' of 12" D.I . @ $15/ft 8 , 250 FEB 1977 c. PacHwy, Canterbury to Gaarde St 400 ' of 12" D.I . @ $15/ft 6 , 000 FEB 1977 d. 72nd Avenue, south to Kable St. 400 ' of 12" D. I. @ $15/ft 6 , 000 MAR 1977 e. 103rd Ave. , Inez to MacDonald St. 1400 ' of 12" D. I . @ $15/ft 21,000 1300 ' of 6" D. I . @ $8/ft 10, 400 APRIL & f. MacDonald St. , Hall to PacHwy. . MAY 1977 4500 ' of 16" D. I . @ $30/ft 135, 000 JUNE 1977 g. Bonita Road, 74th to General Chain Bar Co. : `'""" 400 ' of 6" D. I . @ $8/ft 3 ,200 JUNE 1977 h. Bores under PacHwy & RR tracks : PacHway at MacDonald: 120 ' of 36" casing @ $70/ft8 ,400 120 ' of 20" casing @ $50/ft6, 000 Tiedeman and North Dakota: 100 ' of 36" casing @ $70/ft7, 000 72nd Avenue, near Kable St; 120 ' of 20" casing @ $50/ft6 , 000 Total : FY 1976-77 : 240 , 950 3. To be Installed: FY 1977-78: JULY 1977 a. #2 reservoir to Gaarde St. 600 ' of 12" D.I . @ $15/ft 9, 000 600 ' of 8" D. I . @ $10/ft 6, 000 AUG 1977 b. Pac Hwy, Gaarde to Watkins 1600 ' of 12" D. I . @ $15/ft 24 ,000 SEP 1977 c. North Dakota, near Tiedeman 44110. (Fanno Creek) 200 ' of 12" @$30/ft 6 , 000 d. Miscellaneous 3 , 988 Total : FY 1977-78 : 48 , 988 4. To be Installed: FY 1978-79 : JUL 1978 a. 135th and Fern to 132nd St. 2, 260 ' of 12" D. I . @ $15/ft. . . . (33, 900) (General Fund) AUG 1978 b. Sunrise Lane and Bull Mt Road (90, 000) (From General Fund) Total : FY1978-9 : (123 ,900) BC-3 $300 , 000 00pa ,, INSURANCE SERVICES OFFICE z O OF OREGON L. t 1, .� ' 721 S.W. OAK STREET, PORTLAND, OREGON 97205 �. ' E9 0 TELEPHONE (603) 226-2651 H. E. MAROUELING. MANAGER f December 1, 1976 i . Mr. Russ Washburn, Fire Chief TO, l_;', t:: TUALATIN RURAL FIRE PROTECTION DISTRICT Post Office Box 286 Tualatin OR 97062 Dear Rutis: Our present schedule Is to begin tnt4pect ion of your dlftt rlc t the week of December 27th. We realize this may be a difficult time to find officials but we plan to work in whatever area of inspection is possible . Our usual approach is to devote the first inspection time to water systems so we can work with who ever is available. It would be helpful if you can inform personnel of each water system of our schedule. Mr. John Waring will be devoting much of his time to this work and will be assisted by Dan Locey and Al Nisbet at times. We received the interesting report from Bob Santee. Some of this projected program will be incorporated in our grading if construction has been started Ntiftw at the time of our inspection. Very truly yours, INSURANCE SERVICES OFFICE I • D. F. Wagner, Supervisor Public Protection Department dfw:y 7 ADDENDUM Bull Run Planning Unit November 5, 1976 The issue of control as it affects the Portland Metropolitan Area is addressed in this addendum. As stated in the review of the Dr. ft 441ftle Environmental Statement, the original purpose for establishing the Bull Run was to provide high quality domestic water for Portland's eople. This is clearly attested to by the original documents that led to its establishment. But most people did not envision the manner in which the major cities of the nation would be gradually surrounded b' the political boundaries of other governmental units effectively s ifling major growth potential for the city. At present, the Portland Metropolitan Area includes more than ' 0 major political entities and the Portland Water Bureau sells water tc 32 subur- ban communities and water districts. In numbers of people, this means that the Portland Water Bureau (Bull Run) provides water for 3'+0,000 people within the City of Portland and 300,000 people outside he City. The Water Bureau is a monopoly run by the City of Portland for the benefit of Portland which is not always to the liking of those suburban areas that it serves. The lack of control by non-City of Portland users, means that prices and availability of water is substantially controlled by a governmental unit in which they have no direct representation. The above is being reflected in actions taken by metropolitan area communities and the result is a fragmentation of the original purpose for establishing the Bull Run. If the Health Division were to rank the major sources of water in the Portland Metropolitan Area, they would be ranked as follows: ° (1) Bull Run Watershed -- Substantially superior to any other source. At present, it has no treatment other than chlorination. The Federal Safe Drinking Water Act may require filtration in the future but this remains to be determined. (2) Groundwater -- Quantity is limited in most areas and may be limited in all areas. Shallow groundwater is frequently of questionable quality. Deep groundwater (several hundred feet and more) may be a desirable supplementary source but it is expensive, and the total quantity available is unknown. (3) Clackamas River -- Good quality as long as full treatment is provided and upstream development does not expand materially. (4) Columbia River -- Water above Troutdale is of good quality when full treatment is provided. Quality deteriorates downstream of Troutdale as effluents from communities, industries and eventually the Willamette, enter the river. (5) Willamette River -- Poor quality as the affluents and runoff from the extensively developed Willamette Valley all ends up in the river. The Division has encouraged people to spend more to go to a better source. This has occurred in the case of Lake Oswego. NNW faIMMIINF ADDENDUM Bull Run Planning Unit Page Two November 5, 1976 (6) Tualatin River -- The upper Tualatin (above Forest Grove) is of fair quality and requires full treatment. The lower Tualatin is unusable. S,. Some years ago the Clackamas Water District ( 15,000 people) , the Oak Lodge Water District (20,000 people) , and the City of Gladstone obtained their domestic water from the City of Portland. They now obtain their domestic water from the Clackamas River. Also, much of the area served by the City of Milwaukie obtained its water from the Bull Run. Milwaukie now obtains its water from wells and is supplemented by Clackamas River Water. Lake Oswego used to be intertied to the City of Portland. Lake Oswego now obtains its water from the Clackamas River. As noted above, Lake Oswego turned down a proposal to use Willamette River water and spent more to develop a source on the Clackamas. Recently the following actions have occurred: (] ) Tigard Water District proposed a little over a year ago to go to the Willamette River at Wilsonville. Tigard serves about 15,000 people and obtains about 69% of its water from Lake Oswego, about 29% from wells and 2% from the City of Portland. The Division has asked for further study on the proposal. (2) Wolf Creek Highway Water District serves 70,000 people and obtains virtually all of its water from the City of Portland. Wolf Creek has commissioned a study of alternate sources. Among those being considered are the Willamette River both above and below Portland, the upper Tualatin, development of the McKay Creek Watershed and continuance with purchasing water from the City of Portland. *we (3) The City of Beaverton presentlyserves 22 000 people and obtains 85% of its water from the City of Portland. The City is studying several alternate sources and has indicated that they will take any alternative to Portland that appears practical. (4) Rockwood Water District has already completed a predesign report for a water treatment plant on the Columbia River below the primary sewage treatment plant for the City of Troutdale. Rockwood presently serves about 40,000 people and obtains all of its water from the City of Portland. Under Alternate 2 of the report, they would include Parkrose, Hazelwood and Richland Water Districts for a present total population of about 80,000. Under Alternate 3, they would add Gilbert, Powell Valley and Fairview for a total population of about 120,000. These additioral systems do not obtain all their water from the City of Portland but the mv.jor portion does come from the Bull Run. The economic study indicates that Alternate 2 is pre- ferred and the cost of production compares favorably with City of Portland rates. • `*rr+ ADDENDUM Bull Run Planning Unit Page Three November 5, 1976 (5) The City of Gresham serves about 20,000 people and obtains all of its water from the City of Portland. Gresham las just completed a source study that contemplates a full treatment plant on the Clackamas or on the Columbia above Troutdale by 1980. WElls would be drilled and used for the interim period. Either proposal is cost competitive with Portland rates and provides local control. In summary, there are at least 180,000 people presently served by Bull Run water and up to as many as 250,000 people that are seriously considering and studying sources inferior to the Bull Run source. Some of these source: are considerably inferior and others are of value for a limited time only. All of this is being done to help assure the cities involved that they will be able to control their own water supply; or if forced to purchase from the City of Portland, they will have some representation or largaininq power. Probably other systems presently serving about 50,000 people or more, are similarly affected. Good safe drinking water is critically important to the people of any com- munity. Failure to speak out against the above fragmentation would be dereliction of the Division's reponsibility to guard the health and welfare of the people of the Portland Metropolitan Area. The fragmentation is also in direct contradiction of CRAG's water plan for the metropolitan area which anticipates everything east of Aloha in Washington County should receive their domestic water from the Bull Run. This concept is also sup- ported by every engineering study of the area known to the Di'-ision. In summary, a determination must be made of who shall benefit from the Bull Run. The people of the City of Portland or the people o the entire Metropolitan Area. The Division believes that it is reasonab e to ask that a resource of exceptional quality be provided full protection and be used for the optimum benefit of the maximum number of people. If you have any questions, please contact us. • Sir, Copy of letter dated November 5, 1976, with enclosures to Mt. food National Forest, Bull Run Planning Unit, was sent to each of tie following: CITY Mayor and Commissioners: City of Portland City of Gresham City of Beaverton City of Sandy League of Oregon Cities Water Districts and Companies: Barber Water Company Barwell Park Water District Baseline Water District Beaverton, City of Bedford Park Mutual Water Company Burlington Water District Capitol Highway Water District Clackamas Water District Community Water Company Darlington Water District East 72nd Street Water Company Gilbert Water District GNR Water Company Green Valley Water Company Gresham, City of Hazelwood Water District Hideaway Hills Water Company • Lorna Water Company Lusted Water District Menlo Park Water District `%✓ Metzger Water District Palatine Hill Water District Parkrose Water District Pleasant Home Water District Portland Water Bureau Powell Valley Road Water District Raleigh Water District Richland Water District Rockwood Water District • Rose City Water District Russellville Water District Sandy, City of Stanley Water District Sylvan Water District Tigard Water District Tri-County Water Association Valley View Water District West Slope Water District Wichita Water District Wolf Creek Highway Water District List (Continued) -2- COUNTY Association of Oregon Counties Clackamas County Commissioners 14414, Clackamas County Planning Department Columbia Region Association of Governments Hood River County Commissioners Hood River Planning Department Mid-Columbia Economic Developmeit District Multnomah County Commission Multnomah County Division of Planning and Development Washington County Commissioners Washington County Planning Department STATE Department of Environmental Quality Department of Fish and Wildlife Local Government Relations Division (For Distribution to all State Agencies) Richard A. Davis FEDERAL Environmental Protection Agency Subcommittee on Public Lands - U.S. House of Representatives Oregon Congressional Delegation: Senator Mark Hatfield Senator Robert Packwood *iire Representative Lee AuCoin, First District Representative Robert Duncan, Third District Representative Al Ullman, Second District Representative James Weaver, Fourth District PRIVATE Citizen Groups and Individuals: Carl Green Bull Run Interest Group League of Women Voters Multnomah County Medical Society Oregon Environmental Council Public Health Commission dialionhAMMIA TIGARD WATER DISTRICT P541 S. W. COMMERCIAL ST. TI3ARD, OREGON 97223 PHONE (503) 639-1554 December 14, 1976 Nosy Richard E. Hatchard, Chief Office of Protective Health Services Department of Human Resources Health Division 1400 S. W. 5th Avenue Re: W - Bull Run 'reserve Portland, Oregon 97201 City of Portland Dear Mr. Hatchard: Receipt is acknowledged of the Health Division ' s review of the Forest Service's Draft Envi ronmenta ' t-.ate- ment on control and management of the Bull Run Wa! ershecl. We appreciate the opportunity to comment on that ')ortion of the report pertaining to control of the Bull Rin Water- shed. (Addendum dated November 5, 1976) . It is the unanimous opinion of the Board of Commis- sioners that the addendum, as written, was long overdue and accurately describes the existing relationships between the City of Portland and a majority of the out-of-city users of Bull Run water. We concur, wholeheartedly, with the con- tents of the report and the conclusions contained therein. '�✓ We agree that the Bull Run water is for everyone in the metropolitan area and not for the selected few within the incorporated limits of the City of Portland. We also agree that this was the intent of Congress in establishing the Bull Run Reserve in 1892. We would strongly suggest the formation of a regional authority, such as the Metropolitan Service District, to control all water resources in the •Portland Metropolitan Area. Please count on us to support such a regional body. • Thank you. Sincerely, TIGARD WATER DISTRICT Clarence F. Nicoli Chairman Board of Commissioners • P 4 iRESOLUTION BE IT AND THE SAME IS HEREBY RESOLVED, that the Articles of Association and By-Laws of Tri-County Water District Association be amended as follows : Sow • ARTICLE III Section 2 (a) is amended to read: " (a) (Annual) Biennial meeting. The (annual) biennial meeting 4 of the members for the purpose of electing directors shall be held on the fourth Monday of October of each even-numbered year and shall be held at such time and place on that day ns the directorF,.. may decide. " ARTICLE IV Section 2 "During June of each even-numbered year the Board of ]Directors shall appoint from the commissioners of the members a nominating committee of five persons who shall nominate persons i.o serve as dire :tors for the (coming) following two years commencing • with the date of the biennial membership meeting. (and) A list of such nominees shall be sent to each member not later than the following October 1st. Further nominations may be made from the floor at the (annual) biennial October membership meeting. Each director shall be elected at the (annual) biennial meeting of members for a term of (one year) two years or until his qualified successor has been elected. (The office of) A director may be (terminated) removed from office upon a majority vote sow of the members at a special meeting called for that purpose. " ARTICLE IV Section 3 The (annual) biennial meeting of the directors shall be held immediately following the biennial (annual) membership meeting at which the directors shall select from their number a President, Secretary and Treasurer. BALLOT TRI-COUNTY WATER DISTRICTS ASSOCIATION :::1 Yes We approve the Ammendments No We do not approve the Ammendments Comments ---- Mail to: Mac Walker, Secretary • c/o Richland Water District' 14151 N.E. San Rafael Street Portland, Oregon 97230 Nikw phone 253-9555 i 1 Alimicipal Newsletter November 8, 1976 The Bond Buyer's Index this week stands at 6.34%, up only one basis point from last week. The lative stability of the municipal market during the past month will be severely tested during `rlie next month as the market is faced with the heaviest supply of new and secondary offerings in its history. The good availability of investment funds will help absorb the new supply, but it is likely there will be some upward correction in tax exempt rates. The expectations of changes in the municipal market during 1977 are clouded by the inability yet to predict how inflationary the new Administration's fiscal policies may be. BOND BUYER'S INDEX OF MUNICIPAL INTEREST RATES 7.75 _11 1 1 III III 1 1 1 1 III III 1 1 1 1 III III 1 1 1 1 1 1 1 III 1 1 1 1 III 1 1 1 1 1 1 1 Ill 1 1 1 1_ 7.75 7.50 - 7.50 7.25 : Cstril 11\14%A , _ 7.25 7.00+ _- 7.00 \\41 6.75 ok 6.75 6.50 'I ^ 6.50 _ - X26-. - — . . ^_�. 6-25 WEEKLY BASIS - 6.00 1 1 1 1 1 1 1 1 1 1stril I S_l. I I I 1 J„1 I I I ,�, 1 1 1 1 1 I I I 1 1 ( 1 1 1 1 1 1 1 1 1 1 1 1 .J__I 111 I. 1 1 IL 6.00 JUL AUG SEP OCT NOV DEC JAN FES MAR APR MAY JUN JUL AUG SEP OCT NOV DEC 7.50 _I 1 1 1 1 IIIII IIIII IIIII 1 I I 11 IIIII I I I ' I 1 1 1 I I I ' I - I I I i i _j 7.50 7.00 %.4,0\ . k- ;:°° 6.50 S.50 6.00 'E.00 i - 5.50 5,50 Nij\t\ ., ./V.1 - 5.00T 5.00 MONTHLY BASIS 4.50 -I I I 11 IIIlltill ) 11111 1 1 1 1 1 1 1 1 1 1 1 I I I 1 ) 1 1 1 1.1 1 1 1 1 1 1 1 1 1 1 4.50 DJFMAMJJASONDJFMAMJJA $ ONDJFMAMJ JASONDJFMAMJ JASOND'JFMAM. JASOND 1972 I 1973 I 1974 I 1975 I 1976 An Information Bulletin of our MUNICIPAL CONSULTING DEPARTMENT— a part of our full range of municipal financing consulting services. R.O.Yeasting,Vice-Pres.—Manager Municipal Consulting Department THE STATEMENTS CONTAINED HEREIN.ALTHOUGH OBTAINED FROM RELIABLE SOURCES.ARE NOT GUARANTEED BY US. Nap- LOCAL GOVERNMENT INVESTMENT POOL ftwe TOLL- FREE NUMBER Prepared By : 1 -800-452-0345 JAMES A . REDDEN , STATE TREASURER July 15 , 1976 OREGON ' S LOCAL GOVERNMENT INVESTMENT POOL Oregon ' s Local Government Investment Pool was conceived at a meeting of County Treasurers in the fall of 19.72 , when someone asked State Treasurer Jim Redden : "How can we invest in the same things your office does?" That question was answered in the 1972 Legislative Session with the passage of enabling legislation (ORS 294. 805) which was sponsored by the State Treasurer . Briefly , the Act directs the State Treasurer , as Chief Investment Officer for the State , to invest monies of Local Government units who choose to pool their monies for the purpose of investment . In addition , the Treasurer may make long-term investments on behalf of municipalities or municipal corporations separately from the Pool . The Act also authorized the formation of a Local Government Investment Board which advises the State Treasurer and the Oregon Investment Council regarding management of the Investment Pool . The Board consists of five members : The State Treasurer , one public member and three finance officers of Local Government `- units. The public member is appointed by the Treasurer and the three other members are appointed by the Governor upon recommendation by the Association of Oregon Counties , the League of Oregon Cities and the Oregon School Board Association , respectively . Members serve four-year terms . In late 1973 , an Ad Hoc Committee was appointed by State Treasurer Jim Redden to determine exactly what services the Pool should provide and how, within the law, the Pool would operate. This Committee was composed of bankers and Local Government finance officials . Following their discussions and completion of computerization of investment accounting in the State Treasury Department , the Pool became operative in November of 1974. The Pool has grown steadily and now has over 200 participants . The Pool exceeded $300 million at the end of its first year and currently is about $260 million in size. There are in excess of 1 ,600 Local Government units within the State of Oregon . The amount of funds available for investment on a daily basis by the aggregate of these units is staggering , as is the amount that is not efficiently invested . . TRANSMITTAL OF FUNDS LOCAL GOVERN ENT 11‘ LOCAL BANK M CORRESPONDENT ,.4.0, PAYMENT HANK RECEIPT A A A V I 1✓ LOCAL GOVERNMENT INVESTMENT POOL INVESTMENTS Now Although we do not have exact figures on average daily balances held in demand accounts or in very low yield investments , we can guess that these balances were very large prior to the availability of the Pool . One guesstimate indicates that there was in excess of $ 100 million in idle cash that could have been invested by Local Governments . The Pool is a readily available investment for any amount of funds for any length of time. The only requirement is that the amount of money invested and the length of the investment in the Pool should simply be economic; for instance , a $5 , 000 investment for three days will cost the Pool more to process than the return would be more reasonable , as would be a $ 1 ,000 ,000 over-night investment . The transfer of funds to the Pool involves almost no loss of time . We can make all transfers from any bank in the State by correspondent bank transfer . If the Local Government unit directs its bank to transfer funds to either U. S . National Bank of Oregon , First National Bank of Oregon , the Oregon Bank or the Bank of California , all in Portland , we can invest the funds the same day. Transfers or Now withdrawals should be made as early as possible in the morning and must be made no later than 10 : 30 a. m. Later deposits or withdrawals may be refused but Local Governments are encouraged to call as late as noon . If the Pool ' s investments have not been completed , the deposit or withdrawal will still be accepted. The withdrawal of funds is simply a reverse transfer to the Local Government unit ' s account and is effected on a same-day basis , if needed ; however , advance notice to the Pool for sizable withdrawals is very much appreciated and one day ' s notice for withdrawals of $ 1 ,000 ,000 or more is required. ACCOUNTING AND REPORTING The accounting system is twofold : One system deals with transactions within the Pool and the other deals with transactions to and from the Pool with Local Governments . Within the Pool , a daily accrual method of accounting for earnings is used . The earnings are then set aside in an accrued earnings account for monthly credit to the Local Govern- ment ' s principal accounts . At the same time , the Pool deducts up to one per cent of the earnings as a fee to recover expenses . If expenses are less than one per cent of the earnings , a correspondingly less amount is deducted . 4r Each month , Local Governments receive a statement that specifies deposits , withdrawals and earnings distributed to each individual account . If distributed earnings are not withdrawn from the principal account , then a compounding of interest and other income on a monthly basis results . Portfolio gains and losses are distributed over a moving twelve- month period. Each month is a new accounting period ; accordingly , the Pool takes very little interest rate risk and maintains a high degree of liquidity . INVESTMENTS In order that a high degree of liquidity and proper diversification can be maintained , certain guidelines are observed . The Pool cannot invest in common stocks but does invest in a variety of instruments which offer a high return with the lowest risk factors , in keeping with prudent judgment. It is this "Prudent Man Rule" that gives the Pool a 15-25% higher return than Local Governments can earn investing their own funds . Local Governments in Oregon may only invest in U. S . Government and U. S . Government Agency issues and collateralized Certificates of Deposit (C . D. ' s) in Oregon banks . `.r The Pool purchases Commercial Paper , negotiable C. D . ' s , Bankers ' Acceptances , Corporate Bonds with near maturities , U. S . Government and U. S . Government Agency Debt , and some longer-term investments . The Local Government Investment Board and the Oregon Investment Council set the guidelines as to which of these items , and how much of them , is prudent . Presently , the Pool may not invest more than 10% of the assets in any given "A- 1 " rated Commercial Paper name ; no more than 5% of the assets in any given "A-2" rated Commercial Paper name which has been approved by the Oregon Investment Council ; and no more than 15% of the Pool assets may be invested in "A-2" Commercial Paper collectively . The performance of the Pool (daily average for each month) has been : (Please see next page) AVERAGE DAILY EARNINGS December 1974 9 . 5846 January 1975 9 . 0014 February 1975 7 . 9120 March 1975 7 . 8834 April 1975 7 . 1744 May 1975 6. 5976 June 1975 7 . 0204 July 1975 6 . 9979 August 1975 6. 7565 September 1975 6. 9070 October 1975 7 . 8655 November 1975 6. 5187 December 1975 6. 6672 January 1976 6 . 7121 February 1976 6 . 1944 March 1976 5 . 9271 April 1976 6. 4502 May 1976 5 . 8544 June 1976 6. 2476 .4020, July 1976 6.2282 August 1976 6. 1560 September 1976 6 . 2220 October 1976 November 1976 December 1976 LONG-TERM INVESTMENTS In addition to the above investments within the Pool , the enabling Legislation made provision for accounts separate from the Pool for Local Governments that have long-term funds to invest . This effectively allows Local Governments to work with the Treasurer ' s office in planning suitable long-term investments in such instruments as corporate bonds . SETTING UP AN ACCOUNT Before Local Governments may use the Local Government Pool , they must obtain the consent of the governing body by resolution , ordinance or other appropriate means . Next , they call the Pool and obtain an account number ; then all that is needed is to wire the money to the Pool , send a written confirmation (sample attached/please xerox your own copies from the masters) to the Bank and a copy to the Pool , and call the Pool to inform the Investment Officer that the money is yoinq to be transferred or withdrawn . `'mow - - wir' NOTICE OF BANK TRANSFER OF FUNDS TO LOCAL GOVERNMENT POOL DATE OF WIRE TRANSFER TO : (LOCAL BANK) U. S. NATIONAL BANK OF OREGON You are hereby authorized to charge our Account Number 036 0002 034 the sum of $ and transfer the above amount by wire to your head office or correspondent bank in Portland for the account of James A. Redden , State Treasurer , Local Government Pool Account . (Check appropriate account) LOCAL GOVERNMENT POOL ACCOUNT NUMBERS BANK ACCOUNT NUMBER XX U. S . NATIONAL BANK OF OREGON 300-566 FIRST NATIONAL BANK OF OREGON 650-447 THE OREGON BANK 004-008 THE BANK OF CALIFORNIA 003-067-27-9 BY : OFFICIAL LOCAL GOVERNMENT DEPOSITOR FOR : TIGARD WATER DISTRICT LOCAL GOVERNMENT UNIT (ACCOUNT NAME) 4350 POOL FUND NUMBER lxx TO CONFIRM REQUEST FOR TRANSFER MADE BY PHONE Copies To: Local Government Pool ( 1 ) Local Bank ( 1 ) A copy of this form must be mailed directly after phone confirmation is made to: Local Government Pool , Room 103 State Capitol Building , Salem, Oregon , 97310 , Attention Mr. Richard A. Barnett . (Toll Free Phone Number: 1-800-452-0345) NOTE : ALL DEPOSIT REQUESTS MUST BE MADE BY PHONE AND TO YOUR BANK " AND THE LOCAL GOVERNMENT POOL AND THEN CONFIRMED BY MAIL . . . . (Bond Construction Fund) NOTICE OF WITHDRAWAL OF FUNDS FROM THE LOCAL GOVERNMENT POOL DATE OF WITHDRAWAL You are hereby authorized to withdraw from our Pool Account , Number 4350 , the sum of $ and transfer the above Oregon, amount to our local bank U. S. National Bank of/ Account Number 036 0002 034 By : OFFICIAL LOCAL GOVERNMENT DEPOSITOR FOR: TIGARD WATER DISTRICT LOCAL GOVERNMENT UNIT (ACCOUNT NAME) *we (Toll Free Number: 1-800-452-0345) (Bond Construction Fund) GENERAL FUND BUDGET REPORT ESTIMATE ESTIMATE + OVER 1975-76 1976-77 1975-76 NOVEMBER 1976-77 1975-76 WO. ACCUM. 1976-77 - UNDER ACCOUNT ACTUAL BUDGET ACTUAL BUDGET ACTUAL ACTUAL BUDGET ACTUAL BUDGET Beginning Working Capital 64,564 55,500 36,467 71,051 203,283 64,564 55,500 97,356 + 41,856 INCOME: 406 Meter installations 142,573 188,300 5,615 7,000 15,300 43,286 60,000 90,050 + 30,050 407 Line Extension Rebate 2,089 3,000 -0- -0- -0- 2,089 1,000 -0- - 1,000 408 Miscellaneous Income 4,873 18,000 759 1,500 40 2,785 7,500 2,269 - 5,231 412 Interest Income 178 300 -0- -0- -0- -0- 100 369 + 269 418-419 Water Sales 538,606 630,000 40,813 47,000 45,542 264,180 303,800 274,088 - 29,712 425 Penalties for Non-Pay 375 600 20 50 25 95 250 185 - 65 427 Sale of Fixed Assets 16,072 600 -0- 50 -0- -0- 250 -0- - 250 430 Developer's - 10% Overhead 13,250 24,000 2,198 2,000 116 8,360 10,000 9,240 - 760 430-1 Developer's - 8% Engineering 9,611 18,000 1,758 1,500 93 6,546 7,500 6,198 - 1,302 430-2 Developer's - Equipment 7,524 9,000 712 750 102 5,430 3,750 4,725 + 975 430-3 Developer's - Wage Reimbursement 13,127 15,000 1,335 1,250 170 10,127 6,250 7,901 + 1,651 TOTAL INCOME & WORKING CAPITAL 812,842 962,300 89,677 132,151 264,671 407,462 455,900 492,381 + 36,481 EXPENDITURES: Personal Services 500,1,2,3,4 Salaries 125,422 152,760 10,302 12,730 13,533 48,610 63,650 65,797 + 2,147 504-1 Overtime 5,455 6,840 402 570 376 2,740 2,850 2,484 - 366 505 Field Labor 22,770 29,400 1,603 2,450 2,414 13,444 12,250 11,278 - 972 506,1,2 Office Employees 16,423 19,800 - 1,370 1,650 1,836 6,833 8,250 8,436 + 186 170,070 208,800 13,677 17,400 18,159 71,627 87,000 87,995 + 995 EXPENDITURES: Material & Services 507 Blue Cross of Oregon 2,603 3,000 256 250 318 929 1,250 1,422 + 172 507-1 Dental Plan 400 1,000 -0- 84 65 -0- 412 324 - 88 508 Retirement 6,328 8,000 (242) (286) (263) 8,536 4,285 4,094 - 191 509 Social Security 9,159 9,600 591 750 834 3,645 4,050 4,535 + 485 510 State Accident Insurance Fund 7,010 8,000 -0- -0- -0- 2,039 2,000 2,671 + 671 511 State Unemployment Compensation 7,813 6,000 -0- -0- -0- 1,039 3,000 618 - 2,382 512 Advertising & Elections 751 600 -0- -0- -0- ! -0- 200 -0- - 200 514 Equipment Rentals 359 600 10 50 157 238 250 577 + 327 515 General Insurance 13,519 15,000 882 1,250 925 2,064 6,250 2,104 - 4,146 516 Miscellaneous Expenses 2,000 1,500 18 125 68 512 625 868 + 243 517 Dues & Subscriptions 602 600 105 50 380 391 300 453 + 153 518,1,2 Office Supplies & Expenses 8,587 7,200 428 600 854 3,035 3,000 3,106 + 106 519,1,2 Professional Fees 18,953 12,000 1,513 -0- 2,651 7,302 8,000 10,146 + 2,146 520 Meter Maintenance 1,642 4,200 596 350 1,192 1,258 1,750 2,261 + 511 521,1,2,3 Repairs - Lines, Pumps, etc. 7,233 4,800 453 400 423 ' 3,857 2,000 1,639 - 361 ( ( ( GENERAL FUND BUDGET REPORT (Cont.) ESTIMATE ESTIMATE + OVER 1975-76 1976-77 1975-76 NOVEMBER 1976-77 1975-76 404. ACCUM. 1976-77 - UNDER ACCOUNT ACTUAL BUDGET ACTUAL BUDGET ACTUAL ACTUAL BUDGET ACTUAL BUDGET 522,1,2,3 Utilities 6,140 6,400 443 500 639 2,045 2,700 2,755 + 55 523 Fire Hydrant Maintenance 1,176 1,200 740 100 129 1,001 700 1,244 + 544 524 Truck & Equip. Maintenance 6,848 6,000 897 500 465 3,432 2,500 2,914 + 414 524-1 Gasoline & Oil 5,426 6,000 485 500 596 2,337 2,500 2,843 + 343 524-2 Tires & Batteries 1,058 900 559 75 56 605 375 426 + 51 525,1 Water Costs - Electricity, etc. 30,853 34,800 2,472 2,900 2,879 14,212 14,500 14,175 - 325 525-2 Water Costs - L.O. , Portland 87,817 168,500 5,461 10,200 6,619 44,763 85,300 48,015 - 37,285 526 Interest Expense 216 -0- -0- -0- -0- -0- -0- -0- -0- 527 Small Tools 512 1,200 210 100 143 1,451 500 651 + 151 529 Rain Gear, Safety Equip. , etc. 482 900 9 75 17 272 375 394 + 19 530 Employee Training 329 400 -0- 50 -0- -0- 150 144 - 6 227,816 308,400 15,886 18,623 19,147 104,963 146,972 108,379 - 38,593 EXPENDITURES: Capital Outlay 548 Fire Hydrants 3,653 3,600 -0- -0- -0- -0- 600 93 - 507 549 Equipment 55,926 60,400 3,276 8,000 15,329 52,454 25,400 25,295 - 105 550 Buildings & Additions 27,874 1,000 2,364 -0- -0- 22,653 -0- -0- -0- 551 Meter Installations 28,907 46,800 1,166 3,900 6,425 14,610 19,500 21,407 + 1,907 552 Land & Improvements 750 1,800 -0- -0- -0- 211 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- 15,766 -0- -0- -0- 555 Line Replacements 109,886 1,000 14,510 -0- -0- 47,780 -0- -0- -0- 246,800 118,400 21,316 11,900 21,754 f 153,474 47,300 52,802 + 5,502 700 Transfer to Bond Sinking Fund 70,800 271,200 -0- 22,600 -0- 38,600 113,000 37,594 - 75,406 Net Fund Balance 97,356 55,500 38,798 61,628 205,611 38,798 61,628 205,611 + 143,983 812,842 962,300 89,677 132,151 264,671 1 407,462 455,900 492,381 + 36,481 November 30, 1976 Inventory Balance = $ 61,494.26 BOND SINKING FUND NOVEMBER 103 Cash Balance at first of month 10,915 109 Time Deposits at first of month -0- 108 Local Government Pool at first of month -0- INCOME: 400 Transfer-in from General Fund -0- 412 Taxes: Current 10,522 413 Delinquent 139 414 Trailer House -0- 415A Land Sales -0- 418 Interest earned from Investments -0- 419 Interest earned from Property Taxes -0- Investments deposited -0- 10,661 EXPENDITURES: 585 Bond Principal 10,000 586 Bond Interest 914 587 Postage & Bank Fees -0- Transfer to Government Pool 10,000 20,914 TOTAL CASH BALANCE AT END OF MONTH 662 TOTAL INVESTED MONIES AT END OF MONTH10i000- TOTAL CASH AND INVESTMENTS AT END OF MONTH $ 10,662 TIGARD WATER DISTRICT NOVEMBER 30, 1976 WELL RECORDS: WELL HOURS STATIC PUMPING COSTS-ELECT. °Nur NO. OFF LEVEL LEVEL CUBIC FEET PUMPS, ETC. HOURS 1 891,260 $ 426.69 722 2 1,007,100 593.61 719 3 381,700 285.47 719 4 670,680 505.70 721 All 7 pump stations & Alarm-telemetry phones 1,067.68 2,950,740 $ 2,879.15 METER RECORDS: Meters #4,872 through #4,901 = 30 meters sold. BILLING DETAIL: November $ 45,529.50 Delinquent 574.98 7,422,600 cubic feet of water billed. f TIGARD WATER DISTRICT November 1, through 30, 1976 SCHEDULE OF DISBURSEMENTS GENERAL FUND CHECK# PAYEE AMOUNT ACCOUNT 17970 State of Oregon - Employment Division 617.50 201 17971 Coast to Coast Stores 34.67 201 'No ' 17972 Goodyear Truck Tire Center 14.50 201 17973 Voided 17974 Frank's Disposal Service, Inc. 9.00 201 17975 Bureau of Water Works 204.00 201 17976 Luminite Sign Company 95.00 201 17977 Portland Typewriter 20.00 201 17978 Doug's Auto Parts 28.78 201 17979 U. S. Pipe & Foundry 28,761.91 150, 201 17980 Sears, Roebuck & Company 186.76 201 17981 Tualatin Valley Paving Company 267.84 201 17982 Knauss Chevrolet 16.77 201 17983 Alaska Steel Company 268.93 201 17984 Valley Concrete Products 390.00 201 17985 Portland Concrete Pipe Co. 10.22 201 17986 The Times Publications 73.60 125, 201 17987 Southwest Office Supply, Inc. 8.10 201 17988 Power Rents, Inc, 29.00 201 17989 Hinds Supply Company 4,682.51 201 17990 Cantel Incorporated 2.45 201 17991 Badger Meter, Inc. 774.05 201 17992 Miller Auto Service 14.50 201 17993 Kilham Stationery 3.55 201 17994 Winters STeel 120.60 201 17995 Utilities Supply Co. 25.50 201 17996 Pacific Water Works Supply Co. , Inc. 198.00 201 New 17997 Meter Box Equipment 928.90 201 17998 Pacific Stationery 54.99 201 17999 Utility Vault Company 171.00 201 18000 Shannon and Co. 44.29 201 18001 Waterworks Supplies Co. 1,024.35 201 18002 Case Power & Equipment 649.90 201 18003 L. H. Cobb Crushed Rock 2,772.00 201 18004 City of Lake Oswego 6,689.20 201 18005 Tigard Lumber & Building Supply, Inc. 90.96 201 18006 A & A Drilling Service 140.00 201 18007 Everett L. Wiggins 1,022.00 201 18008 Tigard Station Paid Men 40.00 522-3 18009 Secretarial Answering Service 25.00 518 18010 Watt Welding Supply 4.02 524 18011 Wheelock, Niehaus, Baines, Murphy & Ogilvy 2,335.00 519-1 18012 Water Metrics Co. 1,005.88 520 18013 The Hollman Co. 260.98 240 18014 Elsie W. Ames 448.06 240, (430) 18015 Nelsen Printing 76.90 518 18016 Oregon Engineering Examiners (OSBEE) 13.00 517 18017 All Metro Spray, Inc. 27.50 521-1 18018 Pitney Bowes 160.00 518-2 18019 Tom Henshaw 525.00 150 18020 Brewed Hot Coffee, Inc. 18.90 516, (529) 18021 Pipeline Products Company 61.10 150 18022 S. 0. - Western 247.24 (150) , 201 18023 Martig's Inc. 15,000.00 549 18024 Petty Cash 26.72 516, 518, 518-1, 520 18025 Willamette Fince Co. 380.00 125, 521-1 18026 General Telephone Company 419.79 522, 525-1 18027 Oliphant & Bates 925.00 515 18028 Robert E. Santee 671.77 500 18029 Nancy L. Larson 291.29 506 r TIGARD WATER DISTRICT November 1, through 30, 1976 SCHEDULE OF DISBURSEMENTS GENERAL FUND (cont.) CHECK# PAYEE AMOUNT ACCOUNT 18030 Janice E. Roderick 217.38 506-1 18031 John P. Miller 594.62 502 Nir" 18032 Russell A. Thomas 431.49 501, 504-1 18033 William C. Bryant 422.86 504 18034 John C. Dixon 429.51 501-1 18035 Harold H. Kuehn 262.00 503-2 18036 Gregory M. Stroeder 334.26 503-1 18037 Robert M. Adams 300.52 503-1 18038 Michael G. McDermott 295.56 501-2 18039 Donnie R. Foster 432.23 503 18040 Randy J. Volk 459.74 503-1, 504-1 18041 Mickey L. Wilson 295.67 505 18042 Oscar Guy Williams, Jr. 284.44 504-1, 505 18043 Ervin A. Soot 300.68 505 ' 18044 Richard L. Martin, Inc. 20,000.00 125 18045 National Society of Prof. Engineers 67.00 517 18046 Robert E. Santee 722.83 500 18047 Nancy L. Larson 290.31 506 18048 Janice E. Roderick 285.69 506-1 18049 John P. Miller 584.43 502 r 18050 Russell A. Thomas 392.27 501, 504-1 18051 William C. Bryant 412.07 504 1 18052 John C. Dixon 364.57 501-1 18053 Harold H. Kuehn 197.66 503-2 p 18054 Gregory M. Stroeder 318.42 503-1, 504-1 18055 Robert M. Adams 351.99 503-1, 504-1 18056 Donnie R. Foster 394.07 503 _, 18057 Randy J. Volk 357.64 503-1 18058 Mickey L. Wilson 295.75 505 18059 Guy Williams 281.33 505 18060 Ervin A. Soot 300.76 505 18061 Annie L. Schwartz 170.21 506-2 18062 Douglas E. Hardt 25.51 505 18063 Public Employees Social Security 1,667.80 211, 509 18064 U.S.N.B. Federal Deposit 2,842.30 212 18065 Dept. of Revenue - State of Oregon 1,014.00 213 18066 Blue Cross of Oregon 536.80 215, 507 18067 Washington County F C U 758.00 216 18063 Banker's Life Nebraska - Dental 125.73 217, 507-1 18069 Banker's Life Nebraska - Life 39.74 217 18070 Family Cancer Care Plan 36.20 218 18071 Oregon Mutual Savings Bank 499.50 240, (430) 18072 Walter Linder #1A-72 22.50 121 set 1 ` 18073 USNB - Trust Dept. #1A-171 6.00 121 set 1 18074 Frank's Disposal Service, Inc. 9.00 522-3 18075 Northwest Natural Gas Co. 30.70 522-1 18076 Tri-County Water Districts Assoc 245.00 517 18077 Utilities Telecommunications Council 30.00 517 1 18078 Washington County Dept. of Public Works 25.00 517 18079 The Riddle Press 174.15 518 18080 Tualatin Rural Fire District 128.96 523 18081 U.S. Postal Service 300.00 518-1 18082 Petty Cash 20.42 125, 518, 518-1, 521-1 18083 Portland General Electric Co. 2,855.82 522-2, 525 /524 18084 Michael G. McDermott 295.72 501-2 $115,945.29 TIGARD WATER DISTRICT November 1, through 30, 1976 SCHEDULE OF DISBURSEMENTS OTHER FUNDS CHECK# PAYEE AMOUNT ACCOUNT BOND SINKING FUND 221 U.S. National Bank - Corporate Trust $ 10,913.75 585, 586 GENERAL FUND - FNB 164 TWD - General Fund - U.S.N.B. $ 2,692.50 107 'mow` Tigard Water District 11-76 Regular Meeting November 9, 1976 PRESENT: Clarence F. Nicoli, Chairman Don W. Thomas R. Verne Wheelwright Robert E. Santee, Administrator John P. Miller, Foreman Kenneth W. Baines, Attorney VISITORS: Dennis H. Miller, The Oregon Bank Joyce Scharbrough, 1st National Bank Edward E. Fritz, U. S. National Bank Clarence Bear, 12720 S. W. Prince Albert ,ftior The meeting was called to order by Chairman Nicoli at 7: 34 p.m. Motion was made and seconded to approve the minutes of the last meeting, as written. Motion carried unani- mously. The Administrator opened and read aloud the sealed bids for the sale of the $1. 9 million General Obligation bond issue. Effective interest rates were as follows : U. S. National Bank 5. 48336% The Oregon Bank 5. 492757% 1st National Bank 5. 526% Motion was made by Verne Wheelwright and seconded by Don Thomas to accept the apparent low bidder, U. S. National Bank. (Complete motion attached) . Motion carried unani- mously. Clarence Bear appeared before the Board to request relief on an excessively high water bill due to an un- detected water leak which occurred while he was out of town. Motion was made by Don Thomas and seconded by -1- Minutes (Continued) Tigard Water District Verne Wheelwright to grant some relief by the district absorbing one-half the loss incurred by Mr. Bear over the normal water bill for this time of year. This amounted to $37. 50. Motion carried unanimously. The Administrator opened and read aloud the sealed bids for the purchase of a 1977 Ford 3/4-ton pickup truck. Bids were as follows : Vic Alfonso Ford $ 5, 619 . 42 Dee Thomason Ford $ 5,746. 22 Motion was made by Verne Wheelwright and seconded by Don Thomas to accept the apparent low bid presented by Vic Alfonso Ford. Motion carried unanimously. Motion was made by Verne Wheelwright and seconded N"' by Don Thomas to annex 120 acres of land located south of S . W. 72nd Avenue and Upper Boones Ferry Road, sub- ject to the approval of the Boundary Review Commission. Motion carried unanimously. Motion was made by Verne Wheelwright and seconded by Don Thomas to pay the vouchers. Motion carried unanimously. Ken Baines discussed the proposed contract with the City of Hillsboro, Utilities Commission, on the transfer of water rights to 2500 acre-feet of water at Scoggins Dam. Motion was made to adjourn at 9 : 19 p.m. Motion carried unanimously. RESOLUTION WHEREAS, on Tuesday, the 9th day of November, 1976 , at or about 7:30 P.M. , Pacific Standard Time, Administrator Robert E. Santee reported that three bids had been duly submitted for the District's $1,900 ,000 general obligation bond issue, and WHEREAS, Administrator Robert E. Santee did forthwith open and read aloud the following three bids: 1. Bid submitted by United States National Bank of Oregon, with a net interest cost to the District of $1,212 ,005 . 83 , being an effective interest rate of 5.48336 percent; 2. Bid submitted by The Oregon Bank, with a net interest cost to the District of $1,214 ,082.29 , being an effective interest rate of 5.492757 percent; 3. Bid submitted by First National Bank of Oregon, with an estimated net interest cost to the District of $1,221,464.36 , being an effective interest rate of 5.526 percent, and WHEREAS, it being duly noted that the bid submitted by United States National Bank of Oregon will result in the lowest interest cost to the District, and WHEREAS, it being moved by Verne Wheelwright and seconded by Don Thomas that said bid be accepted, NOW, THEREFORE, IT IS UNANIMOUSLY RESOLVED AND ADOPTED as follows : 1. That the bid submitted by United States National Bank of Oregon for the purchase of $1,900 ,000 general obligation bonds of the Tigard Water District is hereby accepted, and 2. That the good faith deposit of the United States National Bank of Oregon in the sum of $38 ,000 be deposited in the general funds of the District and be credited on the purchase price of the bonds, and 3. That the good faith deposits of the two unsuccessful bidders, hereinbefore named, each in the sum of $38 ,000 , be immediately returned to them. MOVED BY: Verne Wheelwright SECONDED BY: Don Thomas RESOLUTION PASSED-FAILED: PASSED / / << ...,�. SIGNED: z�-�_ �t Clarence F. Nicdli ATTESTED TO: _.r•9tjt). Robert E. Santee Y B'Nu e X , UNITED STATES NATIONAL BANK OF OREGON A Subsidiary of U.S.Bancorp HEAD OFFICE 309 S.W. SIXTH AVENUE P.O. BOX 4412, PORTLAND, OREGON 97208 November 9, 1976 Tigard Water District 8841 S. W. Commercial St. Tigard, Oregon 97223 Gentlemen: For $1 ,900,000 (One Million Nine Hundred Thousand Dollars) Tigard Water District General Obligation Bonds, Issue 1976, to he dated December 1, 1976, to be in denominations of $5,000 each, bearing interest payable semiannually and to mature serially in numerical order as follows: $ 60,000 due Jan. 1, 1978 @ % $100,000 due Jan. 1, 1988 0 65,000 due Jan. 1, 1979 @ -.7/0 105,000 due Jan. 1, 1989 @ .:.' 65,000 due Jan. 1, 1980 @ .,0 115,000 due Jan. 1, 1990 @ 70,000 due Jan. 1, 1981 @ 120,000 due Jan. 1, 1991 @ ,. 75,000 due Jan. 1, 1982 @ :. 125,000 due Jan. 1, 1992 @ .` 80,000 due Jan. 1, 1983 @ 130,000 due Jan. 1, 1993 @ 80,000 due Jan. 1, 1984 @ 140,000 due Jan. 1, 1994 @ .GG' 85,000 due Jan. 1, 1985 @ 75 145,000 due Jan. 1, 1995 @ ;•" 90 ,000 due Jan. 1, 1986 @ '. .'?U 155,000 due Jan. 1, 1996 @ 95,000 due Jan. 1, 1987 @ providing, however, that such bonds then outstanding are subject to prior redemption at the option of the District in inverse numerical order on January 1, 1987 or on any interest payment date thereafter, both the principal of and the interest upon the bonds will be paid at the office of the Department of Finance and Administration of Washington County, all in accordance with your published notice of sale, we will pay you at the rate of . for. each $100.00 face value, together with accrued interest to date of delivery to us in Portland, Oregon. On the basis of the above bid, the interest cost to the District is as follows: s Coupon Interest Cost Less Premium Bid Net Interest Cost '`n• Effective Interest Rate •'. POINIMM � , t HI I 7 l.U, JNITED '•a'H5• P.'-\HLJNAL BANK CIF CIF?( =DN Tigard Water District November 9, 1976 This bid is made for prompt acceptance only and for as prompt delivery of the bonds as they can be conveniently prepared and executed on or about December 1, 1976, unless further extended by mutual agreement. This bid is also made with the understanding that prior to our taking up and paying for the bonds, you will provide without cost to us the opinion of Messrs. Rankin, Samson & Gallagher of Portland, Oregon approving the legality of said bonds and the sale thereof, which opinion will be printed on the bonds at the expense of the District. As evidence of good faith, we attach hereto our cashier's check #009067 dated November 5, 1976 for $38,000.00 in favor. of Tigard Water. District upon the understanding that if said 'bonds are awarded and delivered Co us in accordance with this bid, said check may be applied an part payment; (iiIn rwl:;r•, to he promptly returned to us. Jointly submitted, UNITED STATES NATIONAL BANK OF OREGON BLYTH EASTMAN DILLON & CO. INC. �rw DAIN, KALMAN & QUAIL, INC. ATKINSON & COMPANY �C By ! L d t � _�.< ( Edward E. Fritz Vice President and Manager Tigard Branch United States National Bank of Oregon Encl. Marr • rinsit Now bank N, 0 ^AL"r;. DEPAPT"J1Ei'IT November 9, 1976 Tigard Water District 8841 S.W. Commercial St. Tigard, Oregon 97223 Gentlemen: For your $1 ,900,000 par amount of Tigard Water District General Obligation Bonds, issue 1976, dated 12-1-76 and maturing 1-1-78 through 1-1-96 in- clrr:;ivr, In denominations of $5,000 each, bcarinr, interest payable s;rrrri- annually, both the principal of and the interest upon the bonds payable at the office of the Dept. of Finance and Administration of Washington County, We will pay par plus a premium of $ None for bonds to bear the following interest rate or rates: $60,000 due 1-1-78 @ 6.25 % $100,000 due 1-1-88 @ 5.10 $65,000 due 1-1-79 @ 6.25 % $105,000 due 1-1-89 @ 5.25 $65,000. due 1-1-80 @ 6.25 % $115,000 due 1-1-90 @ 5.40 $70,000 due 1-1-81 @ 6.25 % $120,000 due 1-1-91 @ 5.50 $75,000 due 1-1-82 @ 6.25 '/ $125,000 due 1-1-92 @ 5.60 $80,000 due 1-1-83 @ 4.40 % $130,000 due 1-1-93 @ 5.70 $80,000 due 1-1-84 @ 4.60 '/ $140,000 due 1-1-94 @ 5.70 7 $85,000 due 1-1-85 @ 4.75 % $145,000 due 1-1-95 @ 5.75 $90,000 due 1-1-86 @ 4.90 % $155,000 due 1-1-96 @ 5.75 '/ $95,000 due 1-1-87 @ 5.00 providing all bonds maturing after 1-1-87 are subject to call and redemption in inverse order on 1-1-87 and on any interest payment date thereafter. S rrr L The following is for infoiuiation only: Gross Interest Cost $1,214.082.29 Less Premium None Net Interest Cost $1.214.082.29 Average Rate 5.492757 This bid is made for prompt acceptance only and for delivery and payment for not later than 30 days from date of sale unless further extended with our approval. This bid is made subject to our receiving prior to the delivery of the bond;, without cost to us, the unqualified legal opinion of Rankin, :;;tuition ,G Callagher, Attorneys, Portland, Oregon; said legal to be pi inti d on the bonds. Enclosed is our cashiers check in the amount of $38,000 which is to be returned to us if this hid is not accepted; otherwise it shall be held as advanced part payment; or, if we fail to pick up and pay for the bonds under the terms of this bid, it shall be forfeited to the District as and for all liquidated damages. `rYrr' Respectfully submitted this 9th day of November, 1976. The Oregon Bank Seattle First National Bank Foster & Marshall, Inc. Piper, Jaffray & Hopwood, Inc. B 1S Y /MAU Tigard Branch The Oregon Bank 7 FIRST NATIONAL BANK OF OREGON „..?ROPOSAL FOR PURCHASE OF BONDS Dated November 9, 1976 TO Members of the Board of Commissioners Tigard Water District 8841 S. W. Commercial Street Tigard, Oregon 97223 PROPOSAL FOR all but no part of Bonds Dated December 1, 1976 Denominations S 5,000.00 $1,900,000 TIGARD WATER DISTRICT, WASHINGTON COUNTY, OREGON GENERAL OBLIGATION BONDS, ISSUE 1976 Interest payable semi-annually, January 1 and July 1, to maturity. IN ACCORDANCE WITH THE TERMS OF THE OFFICIAL NOTICE INVITING RIDS, PUBLISHED 10/20/76 AND 'ATTACHED W[ BR) A'; Ft)1 I OW; — —,— i',u Voltie Interest Rate Maturing ftnnt 14) 1{ including $ 190,000. 6% 1-1-78 1-1-80 575,000. 5.25% 1-1-81 1-1-87 100,000. 5.10/ 1-1-88 105,000. 5.30% 1-1-89 115,000. 5.40% 1-1-90 *kali 120,000. 5.50% 1-1-91 255,000. 5.60% 1-1-92 1-1-93 140,000. 5.70% 1-1-94 300,000. 5.757. 1-1-95 1-1-96 We will pay par and accrued interest to date of delivery, less a discount of ESTIMATED plus a premium of $ 0 NET INTEREST COST $ 1,221,464.36 or 5.526 % • Enclosed is our Good Faith check in the amount of $ 38,000.00 In the event you are unable to award the bonds to us or deliver the bonds in accordance with the terms of the bid, our check is to be re- turned to the undersigned branch of the First National Bank of Oregon. •Delivery to be within 30 days from date of Respectfully submitted, sale, unless mutually extended. FIRST NATIONAL BANK OF OREGON This bid is made for immediate acceptance. Delivery to be made in Portland, Oregon. **ow AND ASSOCIATES by First National Bank of Oregon Tigard Branch ' / i; 14c .i4L` ONSa (Wed ON SALEM FREEWAY 1-5 AT HAINES ROAD EXIT • ONLY 8 MINUTES FROM DOWNTOWN PORTLAND (503) 639-1131 P. O. BOX 23247 • 12000 S.W. 66TH AVENUE • PORTLAND,OREGON 97223 November 9, 1976 fir. Robert E. Santee Tigard Water District 8841 S.W. Commercial St. Tigard, Oregon 97223 Dear Mr. Santee; Thank you for the opportunity to bid on one new 1977 Ford Pick-up. This truck would conform to your published specifications. Your cost F.O.D. Tigard $5619.42 plus License fee (if any) We are looking forward to doing business with you in the near future. Vic Alfonso Ford wants to be your Car Company. VIC , 2:NSO,_ ORD )001 New !/ ) ce c anie Fleet Manager DEE THOMASON FORD co. ��y�e�� } FOR D FORD SALES & SERVICE 309 South State Street • Phone 636-3691 LAKE OSWEGO, OREGON 97034 November 9, 1976 Tigard Water District 8841 S. W. Commercial St Tigard, Oregoh, 97223 Bid: 1977 Ford F250 133" WB Styleside Pickup, 81 Box, GVW 6200# Equiped as follows: Body Side Moulding Low Mount Mirrors 351 A Extra Cooling Radiator Cruise-0-Matic 3.73 Rear Axle 60 Amp Alternator 68 Amp Hr Battery Gages Ci arette Lighter AM/FM Radio Hi Output Heater Power Brakes Power Steering Dual Tanks Locking Gas Caps 8.00 x 16.5 E Radial BSW Tires 3 Highway Tread 2 Mud & Snow Treads Step Rear Bumpers Front Stabilizer Bar Protection Group Front Taw Hooks Tool Stowage Box Service & Undercoat Rota - Beam - RB11 12 volt Lamp Delivered Locally to your Shop: Your Coat: $5746.22 Thank You, JOHN W. HANNA Truck & Fleet