04/11/1940 - Minutes TWENTY THIRD REGULAR MEETING
Regular Meeting April 11 1940
The regular monthly meeting of the Board of Commissioners
of Tigard Water District, Washington County, Oregon. was held at The
kw" First Bank of Tigard, Tigard, Oregon at 7;30 PM April 11 1940.
PRESENT. Chairman Johnson and Commissioners Leslie, Lewis,
Schubring and Vincent.
MINUTES. of meeting of Llarch 14 1940 read and approved.
REPORT OF
SUPT. for March 1940 received and filed.
BILLS .
248 J Barber $ 22.20
249 John Litton 45.00
250 Metzger Water District 161.89
251 William Ariss 1.00
252 Consolidated Supply Co 24.54
253 Marion Sumich 48.50
254 Kenneth Markel 39.00
255 State Industrial Accd Comm 2.78
256 G M Leslie 10.00
257 U S Collector of Internal Revenue 3.42
258 J S Barber 97.15
259 John Litton 9.00
260 Marion Sumich 9.00
261 Kenneth Markel 7.80
262 J S Barber 9.70
490.9$
SEPARATE CONNECTION.
Ordered: That a separate service connection will be
required for each dwelling, place of business, institution
and premises served. All outlying building and premises
used as a part of such dwelling, place of business, or
institution may be served from such connection, as well as
all buildings on such premises operated under the one
management. No user shall furnish water to any family,
business, institution or premises other than those occupied
and operated by himself. Provided, however, that the Board
may permit a user to supply others through his service
`'"", connection, in which event :.uch user will be charred an
additional monthly minimum for each additional user so
supplied. Such permit may be revoked and separete service
connections required at any time. CARRIED.
Effective May 1 1940.
BALANCE SHEET
Cash in bank February 29 1940 .$ 1, 753.16
Cash on hand Supt ' s office 10. 60
Cash from SG&S Ry 34.97
Water collections March 1940 290.94
Service collections March 1940 86.00
0 2,175. 67
Cash in bank Larch 30 1940 1,910.07
Bills paid Larch 14 1940 237.37
Cash on hand Supt' s office 18.55
Check No 248 (add) 22. 20
Check No 239 (ded) 12.52
0 2,175.67
Cash in bank Larch 30 1940 $ 1,910.07
Cash Supt' s office 18.55
Savings account 4,000.00
5,928.62
Adjourned ..j(
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Chairman