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10/11/1977 - Packet TIGARD WATER DISTRICT 13841S. W. COMMERCIAL ST. TIGARD, OREGON 97223 PHONE (503) 639-1554 yo„' October 11, 1977 AGENDA CALL TO ORDER 1. RESOLUTION TO APPROVE MINUTES OF LAST MEETING 2. VISITORS 3. RESOLUTION TO PAY VOUCHERS 4. RESOLUTION TO ASSUME DIFFERENCE IN COST BETWEEN 12" AND 8" WATER MAIN INSTALLATION (1450 FEET) ALONG S. W. 74TH AVENUE, SOUTH OF BONITA ROAD 5. RESOLUTION TO APPROVE ANNEXATION OF TAX LOTS 2600 AND 2700, MAP 1S 1 34D. (2. 87 ACRES) . PART OF ISLAND ON NORTH DAKOTA STREET 6. OTHER BUSINESS ADJOURNMENT ADMINISTRATOR'S REPORT 1. Resolution to approve minutes of last meeting. 2. Visitors. 3. Resolution to pay vouchers. 4. Resolution to assume difference in cost between 12" and 8" water main installation (1450 feet) along S. W. 74th Avenue, south of Bonita Road. Mr. Harvey King is faced with an unusual situation where a main extension of 1450 feet is required to serve his property of 450 ' frontage. A 12" main is planned along this street although his property could be adequately served with a 6" main. Including fire hydrants to be installed, the total cost of the 12" main extension is estimated at $31, 500 . ,� - This cost is prohibitive to Mr. King and essentially cancels the project. A 12" main along this street would be very desirable to the water district and would benefit the distribution system with an eventual loop to Durham Road. It is recommended that the district assume the dif- ference in cost between a 12" and 8" main installation, provided the work is accomplished by district personnel. There would be no "out-of-pocket" expense. 5. Resolution to approve annexation of Tax Lots 2600 and 2700, Map 1S 1 34D. (2. 87 acres) . Part of island on North Dakota Street. This annexation includes a development of 9 new homes in a cul de sac off North Dakota Street for Mr. Charles McMillin. Water service in this area, an island within TWD, presently being served by Metzger Water District, continues to become more complex. Each new development compounds the problem. -1- ADMINISTRATOR' S REPORT (Continued) The Board of Commissioners, Metzger Water District, has been very cooperative and has taken a justifiable position on water service to this area. (See attached letter dated July 7, 1977) . However, Metzger Water Dis- trict cannot serve the development without requesting the approval of the Boundary Review Commission to extend a main extraterritorially (outside their boundaries) . As a beginning to alleviate the problem, one solution appears to be for TWD to annex as much of the island as possible (of those willing to annex) , and then either in- stall parallel mains or request Metzger to serve the new area. At least this would be a step in the right direction. I believe it is generally agreed by all governing bodies that TWD should eventually serve this island within the district. However, it must be done in a diplomatic manner with the approval of a majority of the property owners. 6. Other Business. 7. Development of Willamette River at Wilsonville at a source of water. You have been advised that Metzger Water District has agreed to participate in this project. If the City of Beaverton and Wolf Creek Highway Water District also agree by October 31st we can start making preparations for the bond election next May 23rd. The City of Tualatin will consider the matter on October 10th at their regular meeting. We have heard nothing from the City of Beaverton or City of Wilson- ville. A commissioner from Wolf Creek Highway Water Dis- trict has suggested that a meeting be held of elected representatives from each entity prior to October 31st to discuss the matter. They have some particular problems which may make it necessary to decline the invitation to participate or request a delay of the entire project. Some of these problems are: -2- ADMINISTRATOR'S REPORT (Continued) a. An apparent immediate need to request voter approval to authorize a $4 million G. 0. bond issue in April 1978 for internal capital improvements, including new reservoirs, pipelines, etc. b. Undesirable conditions of the contract with the City of Portland which are stated in abstract as follows : "11. In consideration of the agreement of the City to provide a specified firm supply of surplus water, Purchaser agrees to maintain its level of purchases for the term of this agreement at not less than the present ratio of City water used to the total water used by Pur- chaser based upon the lower of the past three year's usage. "If in any fiscal year the Purchaser increases its percentage of water usage from sources other than City, so that the percentage of City water purchased is less than the guaranteed minimum ratio, Purchaser shall pay to City an additional sum to compensate City for the reduction in usage of City water. " Wolf Creek signed a 10-year contract with the City of Portland just a few months ago. If the Willamette River water were available in 1982 , as proposed, Wolf Creek would still have to continue paying substantial amounts to Portland for water not purchased. I believe Wolf Creek has another dilemma.-- They do not have a firm long range plan for a water source. Three sources appear to be adequate for their needs : a. Bull Run: A recent engineering study prepared by Mr. Andrew Klein recommended that Wolf Creek consider a "betterment buy-in" with the City of Portland, including installation of a 60" transmission main across the city from Powell Butte, at a cost of $27 million. b. Columbia River: The engineer at Wolf Creek believes that the unlimited supply offered by a treatment plant near Sauvie' s Island would be the best independent source of water for Wolf Creek. This would also cost about $27 million based on 1976 dollars. c. Willamette River: As proposed in the plan dated August 1, 1977. Cost: $15. 5 million. `mmo- Another problem is the fact whether the patrons of Wolf Creek will approve and accept anything but Bull Run water. -3- ADMINISTRATOR'S REPORT (Continued) -wr+ From the beginning, we have been attempting to determine which entities were really serious about developing the Willamette River at Wilsonville as a source of water. It is emphasized that we have not forced anyone to accept Willamette River water as their primary source of water. It was hoped that a decision would be made by all parties by October 31st so that other plans can be developed if this one is not agreeable to all. A definite "yes" or "no" is requested and no pressure is being applied either way. Each entity must consider its own circumstances and make a judgment on the merits of the plan. If Wolf Creek desires to delay or postpone the pro- ject, this may be satisfactory, but it would be appro- priate to consider a counter-proposal or commitment from Wolf Creek as to when they would be willing to participate. If we must base our decision to proceed on some nebulous response such as "they may be willing to participate at some future date" , I believe this is unacceptable as a reason for delaying the project. I do not know what course of action is best for Wolf Creek Highway Water District, but I have emphatically advised their staff that Tigard Water District is not interested in either the "betterment buy-in" plan with the City of Portland or development of the Columbia River. I cannot imagine the City of Wilsonville being interested in the Columbia River being situated on the Willamette River. I believe it is to Wolf Creek's benefit to know explicitly that they need not consider the Tigard Water District in any of those plans. You will be advised of the date and place of the meeting. It may be wise to appoint a representative for this meeting. 8. City of Lake Oswego versus Tigard Water District. The Court of Appeals has reversed the decision of Judge Dale of the Circuit Court. The attorney will be prepared to recommend either an appeal to the Oregon Supreme Court or to accept the verdict. If there is no appeal, the amount due Lake Oswego at this time is shown as follows: -4- AMOUNT DUE LAKE OSWEGO FOR WATER PURCHASED DURING PERIOD 4000, JULY 1, 1975 TO AUGUST 31, 1977 Month & Billed @ Paid @ Time: Interest Year 25 /100 14 /100 Difference Years @ 6% Jul 1975 $18 ,936. 25 $10, 526. 46 $8 , 409. 79 26/12 $1,093 . 27 Aug 1975 16, 328. 75 9 ,066. 26 7 ,262 . 49 25/12 907. 81 Sep 1975 16, 252. 25 9, 023. 42 7 ,228. 83 24/12 867. 46 Oct 1975 10 ,490. 50 5,796. 84 4 ,693. 66 23/12 539. 77 Nov 1975 7 , 513. 00 4 ,129. 44 3 ,383 . 56 22/12 372. 19 Dec 1975 11, 053. 25 6, 111. 98 4,941. 27 21/12 518 . 83 Jan 1976 9, 091. 50 5, 013. 40 4, 078. 10 20/12 407 . 81 Feb 1976 8,285. 50 4, 562 . 04 3 ,723. 46 19/12 353.73 Mar 1976 8,778. 50 4, 838. 12 3,940 . 38 18/12 354 . 63 Apr 1976 8, 976. 25 4, 948. 86 4, 027. 39 17/12 342 . 33 May 1976 11,447 . 75 6 , 332. 90 5,114 . 85 16/12 409. 19 Jun 1976 17, 079. 25 9 ,486. 54 7 , 592. 71 15/12 569. 45 Jul 1976 19 ,484. 75 10, 833. 62 8, 651. 13 14/12 605. 58 Aug 1976 17 , 025. 50 9 ,456. 44 7 , 569. 06 13/12 491. 99 Sep 1976 14, 429 . 25 8, 002. 54 6, 426. 71 12/12 385. 60 Oct 1976 12, 084. 00 6, 689. 20 5,394 . 80 11/12 296. 71 .p. Nov 1976 11, 594. 00 6, 414 . 80 5,179. 20 10/12 258 . 96 Dec 1976 10, 893. 75 6, 022. 66 4 ,871. 09 9/12 219 . 20 Jan 1977 14,183. 25 7 ,864. 78 6, 318 . 47 8/12 252 . 74 Feb 1977 11,498. 00 6, 361. 04 5,136 . 96 7/12 179. 79 Mar 1977 12,356. 75 6, 841. 94 5,514 . 81 6/12 165. 44 Apr 1977 11,219. 25 6, 204. 94 5,014 . 31 5/12 125. 36 May 1977 13, 265. 25 7 ,350.70 5,914. 55 4/12 118 . 29 Jun 1977 17 , 846. 75 9, 916. 34 7 ,930 . 41 3/12 118. 96 Jul 1977 20,365. 50 11, 326. 84 9 , 038. 66 2/12 90. 39 Aug 1977 15,121. 00 8 ,389. 92 6,731. 08 1/12 33. 66 Total: $345, 599. 75 $191, 512. 02 $154, 087. 73 $10 , 079 . 14 Difference: $154 , 087. 73 + Interest: 10,079. 14 Amount Due: $164 ,166. 87 ADMINISTRATOR'S REPORT (Continued) A transfer of budgeted funds from Capital Outlay to Materials and Services is necessary to make the payment. Also, included is a transfer at this time of funds to make up the present deficit in water costs to date plus the systems development charge due Portland. GENERAL FUND FROM: Capital Outlay: Acct # 549: Equipment (Auxiliary Generator) $22, 000 Acct # 553: Operating Contingencies 53 ,400 Acct # 554 : Line Extensions 36,000 Acct # 555: Pipeline Replacements 137, 100 Total: $248 ,500 TO: Material & Services : Acct # 525-2: Water Costs: Lake Oswego (past due) $154,100 Lake Oswego (next 9 mo. ) 64 ,200 Budget shortage 15, 000 SDC (Portland) 5,100 Total: Water Costs: $238 ,400 Acct # 526: Interest Expense 10,100 Total: $248 ,500 Actual funds to make the immediate payment to Lake Oswego can be borrowed from the Bond Construction Fund. The Bond Construction Fund account will be reimbursed prior to the end of the fiscal year, ending June 30, 1978 . In summary, the substantial increase in water costs, both past due and in the future, means that General Fund monies will not be available for such capital improvements as pipeline replacements and extensions. Funds for these capital improvements will be derived from the Bond Con- struction Fund. The bonding authority of the last bond issue specifically permitted "installation of pipeline replacements and transmission mains" . -6- ADMINISTRATOR'S REPORT (Continued) Nome All planned pipelines can still be installed, but there will not be sufficient funds to finish the job on Gaarde Street. The 6" O.D. steel main on Gaarde Street will be the last remaining steel main in the district. As you are aware, a decision has not been reached whether the size of the transmission main along Gaarde Street should be 24" , 36" , or 60" . It is known, however, that a parallel 12" main is required to replace the existing 6" O.D. steel main for the distribution system. In conclusion, the adverse decision by the Court of Appeals has not been a fatal blow to accomplishing our objectives, and every effort will be made to continue improving the system. A revised Bond Construction Fund budget for the remaining 9 months of this fiscal year is shown as follows: BOND CONSTRUCTION FUND Resources Available funds on hand $570,500 Interest Income 7 ,500 Total Resources: $577 , 000 Requirements 10-MG reservoir: R. L. Martin $121, 800 Control vault 54 ,000 Backfill & landscape 23, 000 Street & fence 14 , 000 Telemetry, valves, etc 28, 000 Total: 10-MG reservoir $240 , 800 Transmission mains : 10-MG res. to #2 exit: 1200' of 36" @ $50/ft = 60, 000 950' of 24" @ $12/ft = 11,400 Labor: 1200 ' @ $50 = 60, 000 131,400 #2 exit to #2 pump: 4+*.0' 570 ' of 12" @ $15/ft = 8, 500 -7- ADMINISTRATOR'S REPORT (Continued) 125th & Bull Mt. to 10-MG: 180 ' of 4" @ $8/ft = 1,500 Metzger USA plant road: 700 ' of 6" @ $8/ft = 5, 600 141st, south of Bull Mt. 640' of 8" @ $10/ft = 6,400 135th to Fern pump station: 2,260 ' of 12" @ $15/ft = 33 , 900 187,300 Pipeline replacements: Bull Mt. , east of 141st: 1370' of 6" @ $8/ft = 11, 000 Sunrise Ln. , Hi Tor to BPA: 650 ' of 8" & 6" @ $18/ft = 11,700 22 ,700 Future transmission mains: Gaarde Street: 126,200 Total Requirements: $577, 000 9. 10-MG reservoir Construction on the reservoir has been delayed because of the wet weather. Shotcreting should have been finished weeks ago, but will not be done until next week. The General Contractor still has about two weeks of work re- maining. Much needs to be done prior to placing the reservoir in service; specifically, construction of the control vault, 36" transmission main, 24" drain line, backfill, etc. In some places the 36" transmission main will be 19 feet deep. At this time of year, the weather is always a limiting factor in construction. We must take advantage of every good day. An estimated date for completion of the reservoir for service is April 1, 1978. iverwer -8- ADMINISTRATOR'S REPORT (Continued) 10. Unmetered water. Pumped Purchased Total Sold Loss Loss Month & Cu. Ft. Cu. Ft. Cu. Ft. Cu. Ft. Cu. Ft. % Year x 1000 x 1000 x 1000 x 1000 x 1000 Sep 1977 4, 037 4, 021 (L.O. ) 8,715 11, 948 -3 ,233 co % 657 (Port) Total: (3 mo. ) 9,354 26, 026 35, 380 34, 646 734 2 .1% Summary of water purchased and/or pumped and water losses: FY Well Lake Oswego Portland Water Loss 1973-74 48% 52% -0- 11. 1% 1974-75 40% 59% 1% 16. 2% 1975-76 39% 59% 2% 7 . 4% 1976-77 33% 65% 2% 5. 5% 11. Percentage of Bull Run water purchased for computing amount due for Systems Development Charge. ...r Month & Well Lake Oswego Portland Total % 0 Year Cu. Ft. Cu. Ft. Cu. Ft. Cu. Ft. Bull Run Jul 1977 1,478 , 780 8, 090, 600 2 ,065,700 11 ,635,080 17 . 75% Aug 1977 3, 837, 780 5, 992 ,800 5,198 , 400 15 , 028 , 980 34 .59% Sep 1977 4, 037, 070 4, 020, 900 657,400 8 ,715 ,370 7. 54% Total: 9 , 353 , 630 18 ,104 , 300 7, 921, 500 35,379 ,430 22 . 39% 12 . Water pumped from wells, Calendar Year 1977. Month Actual *Actual Allocation /Month 1977 Cubic Feet Acre-feet Acre-feet (4 wells) Jan 1,955,100 44 . 9 88 (#3 & #4 off) Feb 1, 795, 820 41. 2 88 (#3 & #4 off) Mar 2, 081,770 47. 8 88 (#3 & #4 off) Apr 3, 068 ,550 70. 4 88 (#3 & #4 off & #1 deepened) May 3 , 224, 240 74. 0 88 (#4 off & #3 off 3/4 months) Jun 3, 235, 440 74 . 2 88 (#4 off) Jul 1,478,780 34 . 0 88 (#1 & #4 off) Aug 3, 837,780 88.1 88 Sep 4, 037, 070 92.7 88 Total: 24,714 ,550 567 .4 792 *1 acre-foot = 43, 560 cubic feet. Actually pumped in prior years: 1974: 924 Acre-feet 1975: 930 Acre-feet 1976: 847 Acre-feet 1977 : 757 Acre-feet (Est. ) -9- ADMINISTRATOR'S REPORT (Continued) 13. Work accomplished during September 1977 . a. TWD installed 390 feet of 12" D. I. pipe + 1 fire hydrant along S. W. 125th Avenue, from Bull Mt. Road northerly to serve 10-MG reservoir. b. TWD installed 550 feet of 12" D.I . pipe + 2 fire hydrants along S. W. Hazeltree Terrace in the Ames Subdivision to serve 4 of 23 single family home sites , north and east of 10-MG reservoir. c. TWD installed 460 feet of 6" D. I. pipe from Ironwood Loop to Black Diamond Way to serve a new development called BLACK BULL PARK. d. Private contractor installed 400 feet of 6" D.I . pipe + 1 fire hydrant along Pembrook Street, west of 97th Avenue, for development of 14 homes. (CLOUD CAP) . e. Private contractor installed 510 feet of 6" D. I. pipe + 3 fire hydrants for Phase I of three phases for apartment complex of 59, 63, and 63 units in Summerfield near S. W. 113th Avenue, north of Durham Road. (ALDER- BROOK APARTMENTS) . f. Private contractor installed 230 feet of 6" D.I. + 1 fire hydrant for new development of 9 single family dwellings located at North Dakota and 115th Avenue. (BARTON SUBDIVISION) . g. Private contractor installed 1031 feet of 6" D. I. pipe + 5 fire hydrants for 15 office sites located on Fir Street, east of 72nd Avenue. (YARNS PARK) . h. TWD installed 48 meters. (5225 - 5178) . District also serves 41 meters out-of-district. Total: 5266. 14. Work to be accomplished during remainder of FY. October 1977: a. TWD install 180 feet of 6" D.I . pipe from both 125th (60 feet) and Bull Mountain Road (120 feet) to serve 10-MG reservoir. b. TWD install 1290 feet of 12" D.I . along S. W. "` ov Hazeltree Drive to #2 reservoir and 440 feet of 6" D.I. pipe + 1 fire hydrant along S. W. Duchilly Court to serve remaining 19 single family dwelling home sites in HAZELTREE Subdivision (AMES Subdivision, also) . -10- ADMINISTRATOR'S REPORT (Continued) October 1977 (Continued) : c. TWD install 700 feet of 6" D.I. pipe + 1 fire hydrant along access road to old Metzger USA treatment plant, north of North Dakota Street, to serve new development of 15 single family homes. (PINERIDGE) . d. TWD install 400 feet of 6" D.I. pipe + 1 fire hydrant along Pacific Highway from Watkins Street to new tire shop (Nelson' s) located near MacDonald Street. e. Private contractor install 800 feet of 8" D.I . pipe, 790 feet of 6" D.I. pipe, and 200 feet of 4" D. I . pipe + 2 fire hydrants for new development of 33 single family dwellings, located across from Metzger USA treatment plant, near North Dakota Street. (BLACK BULL PARK) . f. Private contractor install 860 feet of 36" D.S . pipe and 590 feet of 24" concrete cylinder pipe (drain line) along Hazeltree Drive to serve 10-MG reservoir. g. Private contractor install 200 feet of 6" D.I. pipe and 195 feet of 4" D. T. pipe + 1 fire hydrant for development of 8 houses on Watkins Street, north of Derry Dell Street. (WATKINS PARK) . November 1977: a. TWD install control vault for 10-MG reservoir. b. TWD install 1300 feet of 12" D.I . pipe + 2 fire hydrants along S. W. 72nd Avenue, Kable to Upper Boones Ferry Road, to serve a new commercial development. (Equities Northwest) . c. Private contractor install pump at #2 pump station to fill 10-MG reservoir. d. Private contractor install 1900 feet of 8" D.I . pipe, 1400 feet of 6" D.I . pipe + 6 fire hydrants for 71 single family dwellings located at 88th Avenue, north of Durham Road. (STRATFORD) . e. Private contractor install 1535 feet of 6" D.I . pipe + 3 fire hydrants along Cresmer Drive and Renee Drive, near Ash and Garrett Streets, for new development Repviw of 37 single family dwellings. (RENEE' PARK) . -11- ADMINISTRATOR'S REPORT (Continued) December 1977 : a. TWD install 340 feet of 6" D.I. + fire hydrant along S. W. 111th Place, north of Fonner Street, for new development of 13 single family dwellings. (WILDERNESS) b. Private contractor backfill and landscape 10-MG reservoir site. c. Private contractor install 320 feet of 36" D.I . pipe and 320 feet of 24" concrete cylinder pipe (drain line) from 10-MG reservoir to Corylus Court to serve 10-MG reservoir. d. Private contractor install 700 feet of 12" D.I . pipe, 1370 feet of 6" D.T. pipe, and 240 feet of 4" D.I . pipe + 3 fire hydrants for new development of 39 single family dwellings along Serena Court and Kimberly Drive, near Durham Road and 98th Avenue. (KER-WOOD ESTATES) . January to June 1978: a. TWD install 2260 feet of 12" D.I. pipe + 4 fire hydrants from Fern Street pump station to 132nd Street pump station to parallel for pressure and eliminate the Fern Street pump station. b. TWD install 640 feet of 8" D.I . pipe along S . W. 141st Avenue, south of Bull Mountain Road, and 1370 feet of 6" D.I. pipe on Bull Mountain Road, east of 141st Ave. , to parallel for pressure system, and replace 6" O.D. pipe. c. TWD install 650 feet of 8" and 650 feet of 6" D.I. pipe along the easterly extension of Sunrise Lane from B.P.A. to Hi Tor reservoir to complete circulation loop and replace 4" O.D. steel pipe. d. Private contractor install 1040 feet of 6" D. I. pipe + 3 fire hydrants for Phase II of ALDERBROOK APTS . , and 560 feet of 6" D. I. pipe + 1 fire hydrant for Phase III of ALDERBROOK APTS. (Summerfield) . e. Private contractor install 1250 feet of 8" D. I. , 60 feet of 6" D. I. , and 530 feet of 4" D.I. + 3 fire hydrants for new development of 30 single family dwellings located on S. W. 92nd Avenue, north of Durham Road. (LAUNALYNDA PARK) . -12- ADMINISTRATOR'S REPORT (Continued) January to June 1978 (Continued) : f. Private contractor install 990 feet of 6" D.I. pipe + 2 fire hydrants for development of 15 single family dwellings located on S. W. Pathfinder Way, 107th Court to Walnut Street. (YOLO ESTATES) . g. Private contractor install mains near 92nd Avenue, south of Durham Road, for new development of 75 Single family dwellings. (Donald E. Pollock, Inc. ) h. Private contractor install mains for Edwards ' property at two sites: S. W. Bull Mountain Road, west of Pacific Highway, for 41 home sites; and S. W. 115th Avenue, near Fairhaven Street, for 99 home sites. 0,400, -13- TIGARD WATER DISTRICT 9B415. W. COMMERCIAL 5T. TIGARD, OREGON 97223 PHONE (503) 639-1554 4411160 September 14 , 1977 The Mayor and City Council Board of Commissioners City of Beaverton Metzger Water District 4950 S. W. Hall Boulevard 6501 S. W. Taylors Ferry Road Beaverton, Oregon 97005 Portland, Oregon 97223 The Mayor and City Council Board of Commissioners City of Tualatin Wolf Creek Highway Water District Post Office Box 426 Post Office Box 745 Tualatin, Oregon 97062 Beaverton, Oregon 97005 The Mayor and City Council City of Wilsonville Post Office Box 220 Wilsonville, Oregon 97070 Re: Development of Willamette River as a source of water 'fir' Ladies and Gentlemen: Please be advised that on September 13, 1977 at the regular meeting, the Board of Commissioners, Tigard Water District, unanimously resolved to request voter approval at the Primary Election on May 23 , 1978 to issue General Obligation bonds as the district' s share to develop the Willamette River at Wilsonville as a source of water. Sincerely. yours , BOARD OF COMMISSIONERS TIGARD WATER DISTRICT i Jerald R. Heater Secretary By Direction .._ .... .....___ . -• •:) • A'A TY TELEVISION CHANNEL 2 • abc TOM McCALL -1 /it1 . / ,/' . a,),It..c_ -- ilLa/ut 0_.. LL 1 /)-- --(,,, )3_ / , . . ,,,, itc-Le,-,,, ity,,, ,..j,c_7 (CPI - / Itt_ltral\-'' 0-e.:4kirri-11.9`-AA-'&'214' 4`Ar . ' 09 (c- 4 cer--e( 'te Ar_ec t.,‘ ji-l' )2 ,-t-itut r \ , --071--i-j ,' I, afili,C41._4) (Ac":. t-tt-i l'‘-C-A,L)-4 i 7 • Ll , rti, i . 0 des) .•1t.c.• coctc..•rtt&Ak, .,c ii,LI t i. r-----. . 1 E741 f(e_. ._. Cet,(( 2153 N. E. Sandy Boulevard • Portland, Oregon 97232 • Telephone 503/233-2422 . , '44firti . , .. . . . .