Loading...
05/13/1953 - Minutes VOW One Hundreth and Fifth Regular Meeting Tigard :'Dater District May 13 , 1953 Present, D.B . 'roebstel, President, C.L.Osborne, Darwin Shinn, C.E.Janoe, Commissioners, J.P.Lohrenz, Supt,9.nd C.E.-i,'heelock, Atty. The meeting was otiened in the regular by the president. The minutes of the previous meeting wre read and approved. George Batterson who has purchased a lot on Bull Mountain Road, wants the fire hydrant in front of Mr. Davidson's place moved to be out of the way of a road he wishes to construct. After some discussion about the matter the Board instructed the Secretary to write a letter to Mr Batteta* son stating that if the fire hydrant is moved he is to pay all the costs of moving it, and that the consent of all the affected parties adjacent must be obtained. The Supt. ,resented an inquery by Mr. Vincent for the cost of extending the Bull Mountain pipe line for the development of some property. The Board said to convey to Mr Vincent that the cost of extending the line would have to be paid by him, and each connection there to would have to pay the regular fee for joining the Bull Mountain system. The attorney stated that the Budget Committee needed to be appointed at this meeting. After some discussion C.L.Osborne moved and C.E.Janoe seconder, that the Budget Committee of last year be appointed, to serve again this year. The motion carried. Each Commissioner is to be re- sponsible for the presence of one Committee member. The membettee that served on the Budget Committee were as follows:- K.W.Weatherford Chairman, Mrs E.S.Hall, F,W.Coleman, A.L.Bemler and H.J.Heffron. C .L.Osborne moved and C .E.Janoe seconder, that the bills be paid as listed. The motion carried. As there was no futher business C.E.Janoe moved and C.L.Osborne second- er that the meeting adjourn. The motion carried. President 2S1A—e-0Sec }9i(= /141j 441r,' ......, .... Bills tia!-ce Approved for Payment at the May 13 , 1953 Meeting of the Commissioners Check Payee Purpose Amount 1801 Super-Ette-Market Collection Expense 16.54 1802 Lewints Addressing Service Addressing 13 .60 1803 Art Concrete Works Meter Boxes 45.20 1804 Port. Gen. Electric Co. Power 141.05 1805 Neptune Meter Co. Meters 979.45 -ir 1806 Pac. Water Works Supply Co. Copper tubing, Etc. 48.30 1807 Boyd et Miller Truck Operation 13 .22 1808 J.P.Lohrenz Salary 281.14 1809 H.M.Propst Salary 79.20 1810 Bates Lively & Pearson Fidelity Ins. 53 .55 1811 H.M.Propst Office Expense 12.60 1912 Accident Commission Insurance 3 .26 1813 Tigard Water District Savings 400.00 1814 Wash. Savings % Loan Bank Maintenance 200.00 Total of above bills 2287.11 Available for paying above bills 9609.27 / gib-- Net-4-441 s.-0-4 r61-444,- ./. 0e9 4/4 - ,n44Re4at -4-4 ice-0-04 -- J,40 ..„ ,., v„, Ia seserdanne with the provisions of the local beset law, natio. is hereby gins that the Budget Cte■mittes of the Tigard later District, a a nnicipal. mon corporation, is coagpli- anew with said last, prepared and adopted on NOT 20, 1953, the budget estinaaeter for the said Tigard dater Diets/et for the missies fiscal year, fix, 1953, to and including Ante 30, 1954, is asasrdaaaoe with the scheduling hereinafter set forth in detail. All persons are here- by notified that on the 10th day of Joe, 1953, at 783© o'clock P. M. at the Grade Scheel. _ ithin the Tigard later District, Tigard, Oregon, said tedgst estimates trey be dismissed with e Board of Coaadssiaters, the levying board for the Tigard eater District, and may: persons subject to the proposed tax levy or tax levies will be heard in taxer of or against said pro- nosed tax levy or tax levies or my pert thereat. That the outstanding indebtedness of the 'Timed later District May 20, 1953, was as tollois AIM OF ESLIGa T Olt =MIT Numeral Obligation roads First Series $ 31,000.00 General Obligation Beds Second Series $ 17,000.00 1 1 ,� Tts�iial"for' PI I :a tats �yl►""'I Aetna; � �°� �� tvr �►�'rroii; 'iwi�r , 1950 to Jona 30, 1951 1951 to June 30, 1952 OP Z&TI10 R.vELES $ 15,599.88 Water 1 17,130.73 5,886.87 Meter Installations 2,417.65 g 894.89 Tax Irian. 2,790.70 4 Sinking lied Loot. 3,77 .374;809 4sae al409047 84.00 Other Zacons 8.00' fpfornatu 14,090•37 General Pond Cut 5,585.67 '� 4,$0O.00 Sinking And repents 8,100.40 2058.26 cost of 3,034.19 Materials and 1,810.26 3,753.50 stages, Salaries h Labor 4,234.41 1,433.31 Mise. Operating h Administrative Spmss 2,8,0.31 269.60 Operatics t *into r of 1lgnip ies% 303.81 3,332.18 Construction and Ia prvrele at 8,314.66 s . . s * se * w * * w0 * * *. Actual for fie-half Tear Budget for 1953-.]954 1952-053 QPi ttA TUG a .:.; $ 2,232. E7 lister Installations 8 z 0y,0 705.21 Tax InseamsU .?: 1+,34p3.46 &towna((Mad Ate. 2)-0010 5,585.$7 General Fund t /e To4i 4.50 Other biome T ;r kJi.AIIMURES , a 6, 8,122.51 General Pend Act _/G __ 2,400.00 Slaking Fund p'aaraassts4'Q Oce. P al 1, •94 Cost of Predating sater 4' ( 4 .911) or. Materials and dices 1,995.25 Wages, ssilariss & Labor 2600 1,330.74 Mise. Operating i Adasistrative Exposes 3 0,40 171.$3 Operation & Maintenance of Equipment d1!''G+o, 0 8,358.62 Ceastru tion and revenint 300,-e.47° p p 400.00 iaat :ma Fund Fermate r rt roil /4, _ U )ti.p -< inapt =. , . IS Mng°.BT CRILTIFIND that the foregoing -MA") E,_r.41;itrz4"'- was duly and regularly adopted by the Board of Ceemissiodsrs, Tigard Sate, q-, 144 Com.,ire.- `` District, en June 10 , 1953, Porno- ant to natio* gives and published as re- R L t. . ►.'G` *tired by statute. -� / # u I: , , c1212,--e..1/447 ÷4.441) Co ct.,14,Q4/1-0.) ..- v/0,4AytiA04_QA.4-1-4-wn rt 0,,,,,40,,, - g ' G ' / = d ',ad ,------ 50..,50,-16.44/‘ ) '.,00, ) Dpi Grp ' ° "