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City Council Packet - 10/11/1971 'I'`.GAFD C!TY COUNCIL REGULAR MEETING OCTCEER i:, 19?�@ - FOW!_ER JR_ H'CH SCI CIL L'BRAFY ROOM AGENDA: 1. CALL TO ORDER 2. ROLL CALL 3, PLEDGE OF ALLEGIANCE 4� APPROVAL OF MINUTES, September 27, 1971 5. WRITTEN COMMUNICATIONS 6, APPROVAL OF SILLS: $80.613,.85 7. MONTHLY REPORTS (a) Administrator (b) Building (c) Finance (d) Police (e) Public Works 8. ACCEPT 1970-71 AUDIT (a) Recommendation of City Administrator 9. SCHEDULE NEXT COUNCIL MEETING 10, AUTHORIZATION TO CALL FOR SIDS FOR RENEWAL OF COMPREHENSIVE LIABILITY POLICY, (a) Recommendation of City Administrator t. 11. PROGRESS PAYMENT #2, S.W. WALNUT STREET IMPROVEMENT (a) Reccmmendation of Director of Pub.isc Works, 12, APPOINTMENT OF PLANNING COMMISSION MEMBERS (a) Recommendation of City Administrator _ 13. RESOLUTION No. 71- ADOPT BY REFERENCE CITY OF TIGARD'PERSONNEI GUIDE. (a) Recommendation of City Administratcr 14. ORDINANCE No. 71- AN ORDINANCE RATTiFY:NG, CONFIRMING AND RECORDING CHANGE IN THE BOUNDARIES' OF THE CITY OF TIGARD BY THE BOUNDARY COMMISSION,, ORDER No, 314, INVOLVING LANDS OF Miller, Eldridge, Schulz,' et al, in'Section 3, Township 2 South, Range' I West, Willamette Meridian, WASHINGTON COUNTY, OREGON, RECORDING' EFFECTIVE DATE, AND DECLARING AN EMERGENCY, �Y a 15. ORDINANCE NO. 71-__, AN ORDINANCE AUTHORIZING CONDITIONAL USE(S) ON LANDS OF D� A. 'Overmyer Inc;, in Section 1, Township' 2 South, Range I West., Willamette Mer.idan, 'TIGARD, WASHINGTON COUNTY, OREGON, (a) Public Hearing - 8,-00 P,M. 3 16. ORDINANCE No. '71_.V AN ORDINANCE CONFIRMING AND RATIFYING THE RESOLUTION OF THE CITY COUNCIL CF SEPTEMBER 13, 1971, WITH RESPECT TO "SEWER IMPPOVEMENT DISTRICT #32.6 (S.W. 72ND AVENUE - SANITARY SEWER EXTENS:CN)' APF'ROV'"NG„ RATIFYING AND ADOPTING PLANS. SPECYFICAT.'ON: AND ESTIMATES FOR C':iNSTFUCT°ON OF ::ANITAn-Y SEWER SYSTESI DECLARING RESULTS OF HEARING HELD WITH RESPECT THERETO D'.REC`I:NG SOL:C.:AT?ON OF BIDS FOR CONSTRUCTION PROVIDING FOR THE MAKING. OF SAID IMPROVEMENTS, AND DECLARING AN EMERGENCY (a) Public Hearing 8:00 P_M, 17. OTHER BUSINESS 18, CALL TO AUDIENCE FOR THOSE DESIRING TO SPEAK 19, ADJOURNMENT" SCHEDULED MEETINGS OF OCTOBER. i Planning Commission Study Session, First Tuesday, October S. 19'7.1. Police Citizens Council, October 13, 19'71, 6:45 A.M. Cha.lat Oregon Washington Lawmens Association, Conference, October 14, 1971, 8:00 A,M. - 4:00 P.M., Milwaukie Planning Commission regular meeting, Third Tuesday, Cctober 19, 1971. 8:00 P.M., Fowler Jr. High School, Library Room. City Council regular meeting, October 25, 1971, 8:00 P-M., Fowler Jr, High School, Library Room, f PAGE 2 - COUNCIL AGENDA - OCTOBER 11, 1971 9 TIGARD C I T Y C O U N C I L REGULAR MEETING OCTOBER 11, 1971, 7:30 P,M, 1. ROLL CALL: Present, Mayor Daniel L. Larsen; Councilmen Floyd H. Bergmann, Robert C. Moore, Charles Lo Norton; Councilwoman Carolyn J. Paisley, Fred A. Anderson, City Attorney.- Keith C. Thompson, Director of Public _ Works,, Ray Rangila, City Planner; Doris Hartig, City Recorder Absent. Stephen Me Telfer, City Administrator 2., PLEDGE OF ALLEGIANCE 3, APPROVAL OF MINUTES, September 27, 1971 (a) Approved as submitted 4> WRITTEN COMMUNICATIONS (a) Letter from City of North Plains regarding purchase for $150,00 of city owned dump truck. Director of Public Warks to inform them we will not accept their bid at this time. (b) Letter from School District officers and Board of Directors commending city for Walnut Street improvement project, 5. APPROVAL OF BILLS: $80,613..85 (a) Motion to approve° Councilman Bergmann, seconded by Councilman Moore. Approved by unanimous vote of Council. 6. MONTHLY REPORTS (a) Motion to accept: Councilman Moore, seconded by Councilwoman Paisley. Approved by, unanimous vote of council. 7. ACCEPT 1970-71 AUDIT (a) Motion to accept: councilman Norton, seconded by Councilwoman Paisleys Approved"by unanimousvoteof Council. B. SCHEDULING OF NEXT COUNCIL MEETING —October 25, 1971, National Holiday (a) No objection was ,voiced by Council and next meeting will be held as scheduled. 9, _CALL FOR BIDS FOR RENEWAL OF COMPREHENSIVE LIABILITY POLICY. (a) Motion by'Councilman Norton to authorize City Administrator to 'call for bids for renewal"of the comprehensive liability policy subject to approval of.the specifications by City Attorney, seconded by, Councilman Bergmann. > Approved by unanimous vote of Council, 10. APPROVE PROGRESS PAYMENT #2, So W; WALNUT STREET IMPROVEMENT $23,896.48 (a) Motion to approves Councilman Norton, seconded by Councilman Moore, Approved by unanimous vote of Council. 11. APPOINTMENT OF PLANNING COMMISSION MEMBERS; Term Expiring 7/1/75 (a) Motion by Councilman Moore to reappoint for a 4 year term Allan Paterson and Clarence Nicoll, seccnded by Councilman Norton. Approved by unanimous vote of Council. 12, RESOLUTION 71-22 - RESOLUTION ADOPTING BY: REFERENCE AN ADMINISTRATIVE POLICY BOOKLET ENTITLED "PERSONNEL GUIDE TIGARD" ESTABLISHING WORK RULES AND REGULATIONS, VACATION, SICK LEAVE, HOLIDA`_'' AND MISCELLANEOUS BENEFITS, AND GRIEVANCE PRCCEDURES FOR EMPLOYEES OF THE CITY OF TIGARD, (a) Motion to adapt: Councilman Bergmann., seconded by Council- woman Paisley. Approved by unanimous vote of Council. 13, ORDINANCE No. 71-36 - AN ORDINANCE RATIFYING, CONFIRMING AND - RECORDING CHANGE IN THE BOUNDARIES OF THE CITY OF TIGARD BY THE BOUNDARY COMMISSION, ORDER No.. 314, INVOLVING LANDS OF Miller, Eldridge, Schulz, et al, in Section 3, Township 2 South, Range 1 West, Willamette Meridian, WASHINGTON COUNTY„ OREGON, RECORDING EFFECT'-VE DATE, AND DECLARING AN EMERGENCY. (a) Motion to adopt: Councilman Norton, seconded by Councilman Bergmann, Approved by unanimous vote of. Council. 14. ORDINANCE No. 71-37 - AN ORDINANCE AUTHORIZING CONDITIONAL USE(S) ON LANDS OF D„ A. Overmyer Inc. in Section 1, Township 2 South, Range 1 West, Willamette Meridian, TIGARD, WASHINGTON COUNTY, OREGON (a) Ray Rangila, City Planner gave staff report and recommendation. g (b) Public Hearing 8.00 P.M. .'. Those who testified against: Mrs. C. H. Mayes, S.W. -Knoll Drive Public Hearing dosed (c) Motion to adopt. councilman Moore, seconded by Councilman Bergmann, Approved by,unanimous vote of Councils 15. ORDINANCE No, -71-38 - AN ORDINANCE CONFIRMING AND RATIFYING THE RESOLUTION OF THE CITY COUNCIL OF SEPTEMBER 13,; 1971, WITH RESPECT TO "SEWER IMPROVEMENT DISTRICT #32.6 (S.W. 72ND AVENUE - SANITARY 2 SEWER'EXTENSION)",-APPROVING,-RATIFYING AND ADOPTING PLANS, SPECIFICATIONS AND ESTIMATES FOR CONSTRUCTIONOF SANITARY:SEWER SYSTEM; DECLARING RESULTS OF HEARING HELD WITH RESPECT THERETO, DIRECTING SOLICITATION OF,'BIDS FOR CONSTRUCTION PROVIDING FOR THE MAKING OF SAID IMPROVEMENTS, AND DECLARING AN EMERGENCY, (a) Director of Public Works gave staff report on proposed :project. One written -remonstrance was received from the - owners of Tax Lot 2600, Mr. &'Mrs; Samuel P. Stewart and , Page 2`, Council Minutes, October 11, 1971 b f• B. Stewart., Verbal remonstrances received from Weed Control and Arrow Heating property owners. (b) 8.00 P.M. Public Hearing Mr. Samuel P. Stewart testified on behalf of his wife and father against the assessment on his property, Public Hearing Closed. (c) Motion to adopt; Councilman Moore, seconded by Councilman Bergmann. Assessment formula, assessment of Stewart property was discussed by staff and Council.. (d) Mayor Larsen reopened the public hearing. (e) Motion by Councilman Moore to continue matter to next Council meeting, seconded by Councilman Norton. Approved by unanimous vote of Council. Staff to prepare alternate assessment role. .A OTHER BUSINESS A. Director of Public Works reported petition for 72nd Street annexation did not contain sufficient signature to be submitted to Boundary Review Commission. B. In connection with Public Hearing for Overmyer Warehouse, discussion included complaints regarding outside storage at Irvington-Moore. Staff to investigate and report back to Council. C. ADJOURLdMENT - 8.45 P.M. City Rec% __ _ AT'fEST� '1 M o Page' 3 - Council Minutes - October 11, 1971 BILLS PRESENTED FOR PAYMENT October 11, 1971 GENERAL FUND, U. S. NATIONAL BANK Balance Aug. 31, 1971 $28,150.50 September Receipts 25,182.12 Less: Bills Paid Sept. 27, 1971 J!&56.66) Balance $47,475.96 Check No. Sl 7-Lance Anderson - travel expense112 19 44.20 8723 William Newman -- contractual services 16 110.00 8754 League of Oregon Cities -Seminar 12 25.00 8755 Roger Thomssen - recording fees 4.50 8757 Ray Rangila - travel expense 14 8758 Dick Shirley 14� 24.85 11.10 8759 Roger Thomssen - recording fees 12) 4.50 8760 William B. Rogers - witness fee 11) 5.90 8761 Gene Ray Burgess it " ill 5.00 8762 David M. Roshak It If 11 5.00 8763 Ginger L. Roshak it to 11 5.00 8764 Richard L. Smith It �� 11 28.00 8765 James R. Farmer 11 21.00 8766 Clayton D. Brown 11 7.00 8767 Robert L. Oliverio 11 14.00 8768 William T. Wells 11 14.00 8769 Halbert W. Merrill 11 14.00 8770 Gary J. Jacobsen 11 7.00 8771 Thomas J. Killion 11 7.00 8772 Roger Thomssen - recording 12 6.00 8776 Lance C. Anderson - travel expense 19 35.89 8777 Daniel L. Larsen - meetings attended10 52.50 8778 Floyd H. Bergmann �� it 10 52.50 8779 Robert C. Moore it 10 45.00 8780 Charles L. Norton �� It 10 37.50 8781 Carolyn J. Paisley It 1052-50 8782 Business Equip.;Bureau supplies 12 476.00 8783 Columbia Maintenance - janitorial services 18 125.00 8784 Commercial Communications -'Radio Maint. 16 31.00 8785 Commercial"Electronic Systems Radio 16) 415.15 8786 General Telephone Co. 18 427.17 8787 National Safety Council-renewal of membership (16 17.00 8788 Northwest Natural Gas Co. (18 10.05 8789 Portland Gen.Elec.(17)28.23(18)1,430.65(283)36.00 1,494.88 8790 Rentex Services Corp.-laundry,mats,etc. (18) 24.90 8791 Shell Oil Co..(12)3.71(13)8.86(16)8332 95.89 8792 Tigard Auto'Body;Works install rear bumper #3 (16) 45.00 8793 Tigard Automotive Supply - supplies (12 3.94 8794 Tigard Water District (17 6.00 8795 Tigard Business Machine - supplies 12 3.75 8796 Tigard Times - adv. (sale of vehicles) 16 40.56 8797 Victor Comptometer Corp. - supplies (ribbons) - 12 3.16 8798 Emergency Planning,Div.Wash. Co.. gas masks 16 10.00 8808 Otto Sorg - Library rent' 15 166.00 8809 Robert C. Moore - parking,July,Aug.,Sept. (18 75.00 Payroll, Taxes &Deductions 26.696.50 Bank Balance, $14,993.85 $30,805.89 Page 2 SEWER FUND, U. S. NATIONAL BANK Balance Aug. 31, 1971 $62,399.49 September Receipts 20,9. 92.83 Less: Bills paid Sept. 27, 1971 5 8 0,27) Balance $77,452.05 Check No. 878S'--90-rthwest Natural Gas Co. (30) 185.85 8789 Portland General Electric (30) 617.74 2557 Willis Mechanical Contractors-final pmt.,sewer exp(31) 29,565.09 2558 Mrs. Cathy Anderegg - used refrigerator (30) 25.00 2559 James R. Harris-progress pmt.-72nd Ave. sewer ext.(32.6) 690.00 2560 American Industrial Service Co.-laundry & rags (30?) 9.88 2561 Van Waters & Rogers - supplies (30) 110.41 2562 Rogers Machinery - pump replacement (30 307.20 Payroll, Taxes & Deductions 2,139.56 Bank Balance, $43,799.26 $33,650.73 f STATE TAX STREET FUND, U. S. NATIONAL BANK Balance Aug. 31, 1971 $64,610.97 September Receipts 16.00 Less: Bills paid Sept. 27, 1971 jLQ0.85) Balance $63,593.12 Check No. M1 shell Oil Co. ((20) 72.79 2064 Al Kalkhoven-progress pmt.--Walnut St. (20 7,110.60 2066 Feenaughty Machinery Co. - contract 20) 355.00 Payroll, Taxes & Deductions 4.618.44 Bank Balance, $51,414.01 $12,156.83 ROAD F'UPID, U. S. NATIONAL BANK Balance Aug. 31, 1971 $12,370.75 September Receipts 5,064.16 Less: Bills paid Sept. 27, 1971 849.08) Balance $16,585.83 Check No. 9799'—Northwest Natural Gas Co. 20 5.14 8789 Portland General Electric 20� 11.50 8793 Tigard Automotive Supply supplies 20)) 12.21 2064 Al Kalkhoven-progress pmt. - Walnut St. 20) 3,000.00 2065 David Van Oosten - Easement It it 120 100.00 2067 Tualatin Valley Fire Equip.-Extinguishers insp. 20 11.00 2068 Nick Hiebert - travel expense HO 153.00 Payroll, Taxes &Deductions 707.55 $4,000.40 Bank Balance, $12,576.79 Page 3 TRUST ACCOUNT U. S. NATIONAL BANK $ 2,972.71 SEWER CONSTRUCTION FUND, U. S. NATIONAL BANK 740.55 BANCROFT #2, U. S. NATIONAL BANK (1,969.41) BANCROFT #3. U. S. NATIONAL BANK (2,368.51) BANCROFT #4, U. S. NATIONAL BANK 503.69 BANCROFT #5. U. S. NATIONAL BANK 2,077.74 BANCROFT #6. U. S. NATIONAL BANK (1,268.22) BANCROFT #7. U. S. NATIONAL BANK 1,071.76 BANCROFT #8. U. S. NATIONAL BANK 952.41 BANCROFT #9. U. S. NATIONAL BANK 6,367.56 TOTAL ACCOUNTS PAYABLE $80,613.85 s<- October 8, 1971 MEMORANDUM To: city Council From: City Administrator Subject: Monthly Progress & Status Report 1. Walnut Street Improvement: Paving of the sidewalk and driveway areas took place on Wednesday and Thursday of last week. The project is nearly 100% complete and we are currently exploring several possibilites for striping the street and denoting turn lanes, etc. in order to add the finishing touches. 2. Council Agenda for Monday evening October 11th: Inasmuch as your agenda is relatively light and we have had ample opportunity to discuss most items in advance, I will probably not travel down from the Mencuha Conference Center to attend the Council meeting. Doris, Keith and Ray will be prepared to handled any staff comments in their respective areas. I have prepared a resolution adopting our personnel guide by reference and; have placed it on your _agenda for consideration. It is particularly important that you formally;reappointAllan Paterson & Clarence Nicoli At this time, we still need an additional appointee who resides within the City to replace Jim Peterson who resigned. Unfortunately, we seem to have very few interested applicants within the City; limits and I am afraid the Planning Commission will not be able to garner >a quorum for their next regular meeting ;on the third Tuesday of October. I would recommend acceptance of the audit in line with our discussion at your, study session last Monday. I have placed the matter of scheduling the October 25th Council on your agenda for ,formal decision for the benefit of the press. I,personally think Monday ;evening is ,fine - the department heads ' perhaps; don't agree. s After our informal decision to call for bids on Comprehensive Liability Insurance, I have asked for authorization to do so, utilizing the same specifications prepared by our City Attorney three years `ago, updated to reflect current conditions. Council Memorandum Page 2 October 8, 1971 3. Due to the increasing work load in the front office, we have hired a new clerk-typist to fill the position that has been vacant for nearly a year. Dayle Spencer will fill this position and comes from Tektronix where she did clerical and secretarial work. 4. Intergovernmental Center Proposal: As a result of the passage of the school bond issue, I am now in the process of preparing a pamphlet to be entitled "An Intergovernmental Civic Center - A Proposal to the Community". The purpose of this pamphlet will be to lay out the concept for a multi-purpose civic center for the use of all intergovernmental or quasi-governmental agencies operating in the Tigard area to be located at the site of the existing Fowler Junior High School. It is my intention to prepare this, review it with the Council and upon approval submit it to the other elected officials in our community for consideration. I think the timing for this kind of action is perfect and I personally feel that it is important that we move quickly to develop this concept in -time for consideration by the community sometime next year. 5. Sewage Treatment Plant: the treatment plant seems to be operating rather smoothly. Jim West is now working with us on a half time basis on contract with the City of Tualatin. We are "continuing to search for a permanent sewage treatment plant superintendent and have placed advertisements in,western City Magazine and Waste Water Treatment mews. 6. Charter Review: Last Tuesday evening we had all appointed persons with the exception of Dr. Olsen who was ill, turn out for the purpose of reviewing, the proposed amendments to our charter. The group was particularly responsive and able to complete their review of the proposed amendmentsthat evening. The results of their efforts indicate positive support for the recommended changes as discussed at a'Council study session several months ago. In all but a few cases, the decision was unanimous for submital of these items to the voters at some election ;in the future. The major itemsconsidered`'were the matter of electing a Mayor directly, electing Councilmen by numbered positions and establishing a voluntary floating indebtedness at 20% of our current tax base. The other modifications were rather minor in nature relating to opening and closing of filing dates for Council positions and the time limits for calling a special' meeting of the Council. It would be useful I believe to discuss ' this matter at our next 'study session in order to 'explore the timing of the submissionofthese items to the voters if it is your intention to do so. Res e full ephenM. Telfer City Administrator S MT s'im 000c,0 0000000 0000 0 0 0 00 00 O O 0000000000000 O OO O C)OCJ C?(-�C) O Oi 00000000000000000 G ccv C•OO N ti�0 IN010<. OO O C)C)0it Nr (D C)cT C-)C"O - " 'r O t`O O O 0 O 0 O O O N C.) f\ v 14 v O G O Cb +� •r1 'U 'O •-{ 'a CL-H•r-i A N rl r1 -s;r-i (I Ctl Cd a) cJ •t7'd N U of <d rJ •rf•.i U I •.i F, N U U r, .y•fi•.1 U Fi S: U cd CJ I~ r: U U U Fi C• O aV CU F, Fi F, Y 0) U: a) (1) U U Cil 0 a) hj a) N W 's7l i' >;' :3�{�f rl r-I i•ri r+ Cd C: ri H-H-1 F ti t Z Cd Cd 1i hU hll Ei'C C)�F�,C�.P P+m P F4 h�tI-IH r{ Co CP f: G .P 41 •ri•H O O ;7; O � 'S ;.7 U � (d0•.1�H .i•ri m CU O O O O O ^i ;/]c7Ut-,gAAll Fa:x;a Ch O U)co ;A a>al'0001 I [i H m h F-i ri v Cd U +a+.i+- C-i r-I a >,�,T. 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U 4)+� P F4 h0 Cd 1-1 m0) FI :j33333 a;F omvvm mCd :21HFihG41 0 Fi F•I CO P4 O 0000 3 O N cd a) N O 0 Q) Cd O•r-I•rl'� 0 0 O.F*a M Zrxx xx x-cg F-j0 WriW PIA P{N H.?E-Iw 000 O O O O O O O 000 O :D L ^ 6) N v P G 4-i W - •rl•.i O 11rA m r-i N U Pi N v O -;0 L7 w� 0:0 r o ll •-I 00 00:" e� w i ootr, T Nr-{^'. oj 00 i-'i-' CID ani P,P. y y_ C� 41 4- a cc co N C +c co o o o Cd ,0 ::5.�3 .. 0 Er E-4 FINANCIAL STATEMENT REVENUES September, 1971 1971/72 Current Year To GENERAL FUND Budget Month Date Cash on Hand $ 31,901. $ $ 58,827. Property Taxes 206,190. -0- -0- Delinquent Taxes 15,526. 13,460. 13,460. Land Sales & Advance Taxes 200. --0- -0- Licenses and Permits Business 20,000. 701. 15,210. Liquor 170. 10. 20. Plumbing & Heating 6,000. 64. 1,472. Building 25,000. 2,453. 5,138. Moving 50. -0- -0- Sign 350. 65. 205. Bicycle Licenses 50. -0- 9. Misc. Street Openings 250. -0- -0- Fines & Forfeitures Court & Indigent Defendants Defense 46,000. 4,477. 8,276. Use of Money and Property Telephone Pay Booths 30. 2. 2. Interest 200. -0- -0- Revenues From Other Agencies Cigarette Tax 16,840. -0- 4,439. Liquor Tax 42,336. -0- 11,702. Trailer Sales Tax 250. -0- -0- Charges For Current Services Zoning Adjustments 1,500. 250. 550. Document;Sales 500. 74. 189. Library,Fees and Fines 375. 22. 106. Lien Check 375. 80. 200. Subdivision Application Fee 300, 50. 50. Subdivision Lighting Revenues 350. -0- 2,377. Franchise Revenues ' Portland General Electric 25,601. -0 13,866. Northwest Natural Gas 5,474. -0- 2,980. General Telephone 11,780. -0- 5,399. Garbage 2,800. 17. 572. Taxi 10. 30. 30. Non-Revenue Receipts Unclaimed Property Sale 200. 0 -0- Recovered Expenditures Administration of Sewer and Public Works 5,000. -0 -0- Gas Tax Refund 1,500. 1,176. 1,176. Other 6,460. 1,932. 1,932. TOTAL GENERAL FUND. $473,568. $ 24,863. $148,187. p Page 1 -- REVENUES ,: 1971/72 Current Year To SEWER FUND Budget Month Date Available Cash 8 45,000. $ $104,049. Charges For Current Services Sewer Service Charges 65,000. 6,704. 15,687. _ Sewer Connection Fees 25,000. 1,040. 2,865. Sewer Construction Inspection 2,000. 418. 1,376. Use of Money and Property Interest 200. 230. 295. Recovered Expenditures Assessments Engineering, Etc. 250. -0- -0- Other Recovered Expenditures 100. 3,458. 3,458. Other 800. -O- 6,722. TOTAL SEWER FUND $138,350. $ 11,850. $134,452. STATE TAX STREET Available Cash $ 14,000. $ $ 29,899. Revenues From Other Agencies State Gasoline Tax 77,774. -0- 45,129. Use of Money Interest 300. -0- -0- TOTAL STATE TAX STREET FUND $ 92,074. $ -0- $75,028. ROAD FUND Available 'Cash $ 5,013. $ $ 8,730. County Road Tax 139000. 892. 892. Street Sweeping 3,840. - 160. 505. TOPICS 11,192. -0- -0- Charges For Current Services Public Works-Construction Fees 500. 465. 1,808. Sale of Street Signs 300. -0- 160. Recovered Expend Assessments - Legal 800. -0- -0- Other - 98th Avenue 30,000. -0- -o- Use of Money Interest 25. m0- -0- ' Other 5. 3,548. 3,548. TOTAL ROAD FUND $ 64,675. $ 5,065. $ 15,643. Page 2 - REVENUES 1971/72 Current Year To Budget Month Date BANCROFT BONDS #2,3.4,5.6,7.8.9 INT. Available Cash ffi 23,658. $ w 68,370. Assessments #2,3,4,5,6,7,8,9 26,765. 4,889. 9,218. Interest 13,342. 3,322. 4,214. Use of Money Interest 5. -0- -0- TOTAL, BONCROFT BONDS 3 63,770. $ 8,211. 81,802. GENERAL OBLIGATION BONDS Available Cash $ 12,887. $ S 12,887. Taxes 11,782. -0- -0- Transfer From Sewer Fund 12,875. -0- -0- TOTAL OBLIGATION BONDS $ 37,544. $ $ 12,887. a Page;>3 - REVENUES Sept. 1971 283. $ ;, 430. rrt; icy, , 505. 1,516. "D 5,026. 14,930. 1,614. 4,746. P_ 1,717. 4,830. e,r " 1- 97"i" . 720. 2,382. 18,612. 51,527. r- meati-c�:. 7,780. 120. 1,391 e 40,9.)7. 2,229. 6,477. - rU k n_ r•ej�.ienta. .. 60,81' 5.. 11,13 . 31,204. qtr, ^ eC_c — v 1 (7E.nera1 Fur, 47- ;5OF, iT:-FOSAL FUND C% )t+rcztir.l & Ma:zn ensnce 79,--545- 5,111. 18,848. r,e_placement. & Expansion 56,038. 30,597. 30,597. Crm tin ,ency: 2 1967. - - 1'nan.sfer (12,875. ) - - iotaL Sewer Fundw ~� $ 35 708 i — ;. . $ 9 _=-TE TAS STREET FUN Operation & Maintenance 99,458. 13,191. 23,574. Contingency616. _ Total St.Tax St.Fund %2 . ROAD FUND Operation`& Maintenance 64,382. 4,850. 6,386. Contingency 293. Total Road Fund > o $ p. a 2 s SPECIAL ASSESSMENT DEBT 'FUND Bancroft Bonds 1,2,3,4 5,6,7,8,9 GENERAL DEBT FUND General Obligation Bonds U,.-5-144- TOTAL ^._44.TOTAL BUDGET $ `833,443. $ 97,061. $ 208,928. 10 71. �, FL A I. „� E E ��kEnil.. AI-, 'i 3-EN' 1 1 �A v . E14.F. AVEFa ,t.: EF1f ?VE �IP,FNrI'ii _ I j i a TOTAL PERSONNEL; 1318 9.7 3.C Vii;° I 1 7 29 3 ; ? Q `� CHIEF IS gFFIC.E e z.1 2 1 1 .8 l,6� ; o �.� z..7 _ . _.__ . , _u., . I 1 SERVICES n'V:S," r.E 5 2.6 2.2 ILK II j' 3.0 PATROL DIV-1-S 5.9 10 INVEST. SEOm g 1.1 1 r tr O✓ E 0 •_- a.._ ,�___ ,�a,� F r. !z FORGE ONE, 4 K It 2•[ 2•0 15q° 5 2,5 2.E 2.0 ti r �55�' �[ Z .FORCE TWO � 8 8 to.l� 1.; 3�u _� -� --- � -�.�`�,��_. _..r�..._ FORCE THREE > a2 8 2 2 56" 37". 2.2, ', .'.7•.=..y..=3., ORANGES IN PERSONNEL DA,..,., FVERACM PA-ROL STRENGTH Th ~ Same ent>rtn 1. Pres2.t.,'t. for dr,.;.".y end t;i .mast mcr"I"I o.... 1.9 - 1Ttt_Tl'," y ear 2. Recr z t,ed during mon..? .... ..o 0 0 0...a 0 s_x 3o Reinstated during mo _1....0 ...00.oao000 0..~ d ` ttal "21mbE Total- to aSCOYl, � fr-.................. 19 � � .f#'�^e..�o... _ 9.�IO 2. r LesB Agents As aed 'o L e at o o .1 0 4. Separations (a):Voluntary reu_cna'G t7n o o o o e o � Y 3i enc t f 3 el,d r.f (b) }-� ..R22Z"BTSlei Y7:.e ....0............ _ 0 } e ,t owing to-. (c) Resigned with charges pend-ng— � (a; Vacat ons, ,usp- (d) Dropped dur'ng probation �0 i ezlson day of, (e) Dismissed for tse 0 .o ,� .0 C ( ) Killed ^= line ef,duty .o... �0 (L S-1:_„fru: ^oo .8 8 0 0— (g) Deceased ......0000000000000 (i) °�a'hb4 "� � o00 Total Separ» -o^. o o o............ la j Total aire-age dal-1,y ±” 3 abse t oaoo 5.5 P2"L'SEZm'. for duty 2.^` en. Available of astC.:!'IL*' oo.00.. 18 a Page, one MONTHLY REPORT` INDEX AND PrJL I CF. ACT'117TY `FREO U FFt.E9 FNC7WN ... CHANGE �,i.ASSIF XAT S ON OF RrletXcxrT* r tArt 3 ejeiv,p I�� Ye'a'- OFFENSES _ .,.. (Pa ! C.,d_ `_'S t io Lame p c, 7'�._. `t. ,::2'., -:.a5"'_: Yearlas; rear N) -rbe LLPe:--z e•.* 10 Mi r a r 8z SVTo — � 1 neg' .Fe Mfr 0 rJ i 'T`or,eI, 1 0 i + 2C"C1 � 0 r a Rape by F'i rc _ 0 3. F'lel' Yy 7°l 0 0 0 i� 2 i 2 4- Aggravated Assault- Total � 0 10 a _ 0 J V + 300% n ..,..— _.-,m._. ' t— b K :-f ! 0 1 - 9.� 0. Other Weapon 1 0 i 5 ' 0� � �0 0`o +. ^ SO � -rglaxy Toltal 57 Q,9 53�, a Fcrc ble Ertr 3ff _.7 1 a 50_- J_-, L'. Ne Force Use 7 != 1C .�62 I`�0 2° 6. $50 oco 62. � 3 + 3;,r. 32 7e Ati u.o Theft �� �7 s �` 2 + 10� �6� _ _ :3.; grime ,Dn Total L23 119 �21 + 17v I 206 381% lb„ Manslaagh„e.* Negli.genca 0 1 0 0 0 0 0 ea Other A.�sau's�s �- —- (Not Aggravated) 4 � 9� 0 + 110' 1 9 + 56� 6bo La ce'ny Urdu119 $50.00 13 _ Y 3 104 14 Me � 11q 0O-V m� PART” 1 TOTAL !t0 " 272 � 35 + lb�, � 334 _ 22e tal Part ff I,�xe dent ss 85� � 65y''4` _ f 7� J 2 - � ?9? + 115 ' Total. Mise Non. =96 crimanal Call 991.20 1182 �+ 251 120 _ 20% Total Oal.l.s for Service 2b5 T-72' 008� 151, + 54 2C53 Page two _� _ POLICE DEPARTMENT 14ONTHLY REPORT PART I OFFENSES 01-EARED O i_<tSS Ir ICATION Ti T YEAR v. I +A S E{I� `RCENT OF OFFENSES OF OFFENSES NUMBER OF OFFENSES '\iUM]3FR OF OFFENSES , GLARED r r I ;REQ Arrest crest z-3°e R YEAR T? 'T h I Sih is ( Tl-i�-s Thi ti Mon��liV Yea.', Mont. ,, Yea n -mlz r''Yc- �r�o 11 V 1� � "o {1 j Mon,--' to Data � to Criminal Homicide _ s as Muz,der and None E + tl rt negligent Manslaughter 0 0 bo I.lanslaughte�o by Negligence y 3 0 2. For ible Rape I �' Total0_.._._. -.— a, Rape by Force 0 4 n ; .. ^ n J ^ n bo Attempt; Rap- 0 0 � � ! ^ 9i o 3. Robbery Total3 1,� --- a, Armed + 0 0 O 0 2 0 3 0 O.r_ bo No Weapon 0 i 0 wI 1 I o kssault 'Total 0 h 1 lg 0 u _ M ! as Gun 00 I 0 0 3y' 0 a, 0 b. Knife 010 , _ 0 0 �0 0 1 7 x 0 ✓ ca Other Weapon 0_ - d, Hards9 etc. 0 0 ^ 7. , 0 0 , 0 l ! ee Othe.r Assaults (Not Aggravated) 5. Burglary Total' < 3 8 C 2 �� 1;'%; 214' T I 0 a � o .�.,_ ory-cam � �` �3 � 37%� � a,' Forcible try 0 F 2 T ry ,_ b� Na Force Used 0 0 1 1 0 C 0 y O 111r.n. 0 0� co Attempt Entry 0 0 0 0 d 0 0 0 � 9't, 00 �j 2`' 6e Larceny 0 N 1 0 5 0 0 9 O 5s 0 ae $50,00 & Over _ bo Under $50,00 3 0 2 6I ' 0 1 2 25 i� 3g� d 35 1l 22m�� - 7. Auto Theft 0 2 1 5 0 0 , 1 7 j 25% + !Al`! 50 27`j s Oj 11% l(_% GRAND TOTAL 1 3� 12 7 Z 52 3 2 30 Page 'three F{) .2CE DFPARTMENT MONTHLY REPORT FAR'..' TI CRIME INDEX OFFENSES KNOWN CHANGE ASSIFICAT`rON OF RQpar-,ed c,=• E A ,_as . Off e .se: tFt.r. .�t Y�3^ �s�, ;i;,a '. Yea:.^ OFFENSES Krc;wr Th. s h ', Year =r des. Sams Monti *3. Sams Per-od (Par- II. ClassesU ;) MrTM-"' g Da',- Last Year' Last; Year h,umtu� Pe N mbe Pecent 1. Forgery & Caoun t- erf°e" ,.ng 1 7 0 + ir, 2. Embe7zl..emcn, & Ii r� .-. - I-•- �,,nr.' 3 i 2 I 3 3L + o Stolen P'.^ops.,t-.,4• Grimes 0 10 0 0 41: 1� o Weapons CT i-me�. � l 3 i C + 100;; r + {'nJ 5o Seas Offex,ses (Except, Rape) J 2 I 1 - I-0- Ego PJar o:,i.c and Drug Laws ll 46 3 + 1�7" u !E 7. T.I.� Lawes l 9 .1.1.1 1 ..J + 5?3,____.,_-.�� 1 7�-- + r�I - B Drunkeress _ 1-- se 28 8 a a.. _� 1._ 0__ i - 9 + 2 11�3 11)4 9 Disorderly , Co d_tc t ? 11 _ i + 100y� R 4 + 17� �o VaT2d .1.�. 6 2 C� 2 Q �. 0� 9 3rJ 11Curfew 8e 16, 76 0 , +l(�oc� 26 Truanwj + L 1.2. Runaway & Escapee 5 g 311 8 1 + 75 32 + Oc`r 73° Arson 0 - 2 - -- - 0 0 - � 1 T+ 10' o All Other 22 r 212 5 + 3) 75 Z+J + 1It27' - PART II TOTAL 6;"1 23 + 27 299 + 119w POLICE VEHICLE REPORT Un t # Miles Drives Fsnal Miles Gas Used Oil Uses. Repairs & Cast per mile to Maintenance Operate Vehicle �1 200 29 0 590 2.9 (T,Tsed 2 dans {2 3: 2,92.1 26,585 713 6 157.99 5,L' sd `3, * 3,557 2b,239 716 10` 161.38 L.5 #4 - 2,363 13,234 L51 6 132.96 C%6 2 u5 2 295 311,' 18 228 L 75.2? 32 r 71,32 -36 2,137 F 533-81 .7 i Pnts AvAra e Cost oe ni.le ( LPG Fue Page four - at, .?r 'np,��,t� act,t� n •,N'"HL,? REF.{,�,� LASS FICAT ION `�H 'EF c. u^ ' Y PEF p,T' OF OFFENSES NUMBER Ot, OFFEhSES i NUIVBE R CF OF FENSNB CLKAREI) P� By Ir r _ 'A YEAR MC r�,hq Yea- .1 , MCI-. �. Da Forge-_-y & Cc € i 7 .r untenr.._ ,'� i v01 , d i' _'M ... & F_:aad 33. stclen Prop— e7"tY (�..-..?"1.. .`) .�ii��,'+ ,. 11. weaper­ 77-7 (E �pz R2t Ncti t- and D , lit31, d� t7 ! � ? � 7,n Dry ir. lI„? Lames a 7. Liquo-L laws 9 '7.09 I+ 0 i 1 ? i. 1, e - B. D.r° r „nes. _ o p1 27 1 9; 1 9. Dizc ' :Y C ' 0 3 10 1` _ 4 0 1 z � 7 �10,,� lncf CondoI Ij d „ 10 , Vamda._ ,m.m o ° s C x!11 0 0 m �1? ,� 11 �0 1, j' �, 0 0 0 2' ! 7�n Tr i 'yam l In 12. R,.m.aways & Escapees �) 0 3 X21 �� 0 ! 1 � 23 C' y r2 1 Ar s cr 9 ,0 0 l d� s 0 r 0 771; 0 0 0 Itt. All Other 0 1 �?2m1r�1� p 0 0 y 5 ? 1, 77;` -000 h GRAND TOTAL 0 �R l2 79 s�,7F 0 a F. �i y �t,gZr 7 <0?KY; 52'� ®; OTHER AC::IVITIES� CLASSIFICATION OF ACTIVITIES �>- THIS-MONTH m �� ,:ANTE MON.,F i.AST YEAR 1'. Vacation House Checks Made - -- 19 Special2. Speial Prowl Checks Made e relet d -� �Le+od 3. Open Doors & Windows Found --------------- 4. o ---4. Assists Rendered to Other Agencies 5. Aid Given to Citi,ens --------- ee -- 991 7h7 -- 6. Warra_r�ts Served ----------------------- 7.- --------------7. Field Interrogation Reports Made ------ 1L1 d 103 8. Routine Complaints Investigated 120 ra 90 Crimes Reported and Investigated -- ��� TOTAL ACTIVITIES coo®e -- ®m - 1 8)1.1 �� 1,1.33 ,� - )L DEP.ARTMETI"" F.^C;N"Ki REFY_;RT LUE OP PFIO ER<Y' ,.C° ti, i .i.ti AND OF PROPEPT F,_)UND kN-- RECOVERED INC UWNC -PAD CHECKS FRUrER :i �,- , JN . PROPER yf.1"._ 3'H A S?` i`EP�R_ �'e1I''E: � � 1^ DUPER_`1 RECOVERED OVERF J ill'.. llT)N'rit VALUE 772 7 PROPER-" REQ. ?UI RED SAME MONTH :AS'?` ''FAR. VALUE 19,Dl;�z�,rkS<, ',;Al-`T z:C`MF" - "�} °,.., MONTH �. _����,.,. ,:..�. �_a��._��.o- 71, 2 EAI) CHt',.F.S, Vf,FIE .t).:>'r - :SAME MUN''_'H [.AST YEAR RA_D i:HE(:h:9.I VAU!E RECOI EREri :?'ii.'_S MONTEF inne 4D C';iECKS, `rAT'?E RECOVERED ;AMF MC)N:H --AS'? yEAF, 2 a. Tv LOST THi`a MONTH 7 i� i r F�Rt.F u � ., ,. � VA :.TF, • Fri0PER'"v .OS`:" SAME MONTH LAST A ST YEAR. � VA--.UE --m o�� � PIK)PER"`Y FC`TTD TH-3 MONTH VALUE, 2 n7 P}?t7P-P r? ^OUND SAME MtCNTH LAST Yl. zIP_IFIE o�„� ! K 7 .r. '''H7-) ... T FOR a:rI,_, P4C�:,�mg ._.,. -,....�,”. ,"..,.... . .,�>..,��.�.,.-»�.,_ �_- - -�--_ �'�..=. a.qO• .,, .."..._�- USS FOR SAME MON':Fi ..AS: YEAR000e __. _ ._ �� $ cs�?1.,9? - - VA;MALIS' LOSS_THIS ',' !JTF? 672.E9 TRAF12C ACCIDENT SIJMK R.' ! �H MONTH i EA R TO D4 E, ACCIDENT iC'AI20 25`.. s I i 127 i09 17%- Fat-il 0 0 0 _ 1 0 + 10 parsonalL �` ✓ iR 7e-U r _ ., IL=< - 0 ��3.J s E_Y K7a _07 Property D m �e iss 4 j 2 � '+ 100% � M 6 �� i ����= 7 + 12 Ca Y Y P_cies 0_ 0 0 i 1 g 0 + 10?? 12_ s�z� 6 - + 10 Y ENFORCEMN T SUMMARY Y THZS MONTH YEAR TO DATE h s Change �� ThIs Year Last 'fear x4;L Chang TRAFFIC TOT,41 220 11..7 + 50 2OL5 1F.2 !+_ 2255% i� Hazarais V c a�'iv 177 c_ 129 + � a 15F0` _12 ^ s + 23% Other J u"tai on 5�5 Ls3 � 18 + 239 L85 ! _ _ 3E2 + 3� _ _ �.. Parking ! 11 —� 17 _ � �. 55% � -- 91, ��u.� UoT L 12 = ; 3 + 300% _ w 108 X22 6 + 39 Acciden,t Arrests 76 ti r °Y n & C i. a cin 57° _- - -0 62 3� gage six FOLICE. DEPARTMENT Ni101"j'FI:'i REPORT J11 %:c 1IiE ARRSS? A. F '37 h.GE ANI) OFI0 gI,SE CIASSIFITCAP?ON OF OFFENSES IS ---------- Criminal Crrimi.n<3l Homlci.de F bl'e Rapp -s rc.� Robbe?y • �Aggravated A.ssau?. . NrnmAggY•avated A ssa., _, - . Bua g-aryn r 1 1 Lca C"r°,- r Vez' $50.00 " I •_` /7 , _ u La r rvci��r �T:.Ede.t" $rOoOG i � 1 Au°r The$"_ n n i 9 PART i TOTALS ' 0 0 i 1: C Embe r_l eraent- & Fraud _3 n Stolen Property Crimes Weapons Cra.-mes Sex Offen,_t;es Narcotic; &�Drag La;,, 2. c_ 1 Liquor Laws ? K'L 7 15 Dr �e n e s s - <0 - D,sordr ly� Conduo,t ,_�n Vandayi« l I E O Curfew & Truancy a 1 F Runaways & Escapees a r + R 1 1 2 Arson k 0 w All Other1 2 _- `PART IT. TOTALS GRAND TOTAL 0 7 r 1? 1.,0 ALL ARRESTS ? �3 UNPAID OVERTIME LOGGED BY ALL PERSONNEL fi 41�$,ty SANLF�MONTH_ZAST YEAR Chief & Captain. Sereanls All Othe Al! Personnel X100 hours ?01 —hours 50 hours 169 hours F'Or "E u ,PArt7,MENT 1,1014TH!' ri t .-' .:.NE0 Hw 1. 1 i Q 21 23 Q 2 0 i+ � I 15 13 '- 1' L 3 56 r3 . c 13 0 ,, 3 ,� i 3 + 333 . ..a, �.Y_._.. 7 ¢ 1 1+ /0Q a9 i 27 7. F tri. u 2 , 0 i+ 2 0C},° i 12 18 3n� ( 0 3 30 12 I 14 17, - 9a Pr-cp r ly Fri 3 3 2b — 0 5 3 2 % woo F'r'cP y Q 1 100 I 11 2h 118 2 i a 31 L3 39,-'av u 10 12. & 0 loul, 6 7130 Sa,wp Aa* f 10 + 100,% 9 22 Ko 2 p � �: +.100"'t X.. 32 22 + b.� Pe z-;cn 9 1 LLl W0. 17 - - 1 _ 0 0 11 22 _ 100% 17 Ali G h 2 3,a s 281;-- - -- - 21 315 x 10 - 30% TOTAL COPT AINTS ' 49 �}t �;¢ 10% 622 8 � _ .gym... __..�...�..�...�� __ � — 32a' CLERICr" ACTIVITIES _ Lo- ged 5,685 h 3,732 +� 52% 53,910 1 L3,Q89 3 + 23f� 4 ' 2. Telephone Calls- Logged al _- ogged � !I�3,035 r 775 + 2,516 � + 20% �� 30,184 _ 1 25, Y 179' 3e GardA TypedgY a _ _ r - i And F 1pc 1,341 �i 1,936 9 ` �tt�°er�� 118 839 26,684 __�hl%v Persona", r.ee�.. Gcn ac+T. 1,7111 --� 977 + 17° 10,708 . 5. Assist Other Agencies a 283 225 ate+ 26% 3,2706. z � a 9 Activities es ,676 +h 1 € , 9 _ 15em Page eLghl, End of Report for Month of SEPlTEITBFR _ --�p 11 71 PUBLIC WORKS, DF:RARTMENT REPORT FOR SFPTr'MBFR, 10,71 I. SE'11FR DIVISION REPORT: A. Monthly Data STATE CRITERIA TOTAL AVE. DIPSIGN CAPACITY Plow(gal) 30,191,000 1,118,000 1,500,000 Solids Collected (gal) 51,650 1,722 -0- Chlorine Used (lb) 1,930 £4 -0- BCD (ppm) -0- 25 20 Suspended Solids (ppm) _0_ MPN (per 100 ml) 0 0_ -0 117 1,000 22 Plant Efficiency -0_ 89% 85% Sewer Connections 2,858 -0_ 4,00 : (equivalent dwelling units) B. The activated sludge section of the plant was started up again the 1st of September. The operational efficiency has been adequate. Special note should be made in the reduction of BOD's and suspended solids from the previous month. The only major problem at the plant requiring attention this .month was the primary digestor which appears to be under control now. A decrease in the percent of solids pumped to the digestor .presumably causes a decrease in the buffering capability. C. Maintenance: The Bonita lift station has been repaired and is , in full operation. It has not been determined whether or not Unified Sewerage Agency or the City of Tigard will be responsible for the cost of these repairs. We have received a report regarding ; the repairs necessary at the main lift station. The, estimated cost - of repairs is over $500 and difficulty has been encountered in getting three estimates for comparison. Repairs are also,necessary to the dose-meter on the chlorine machine to insure a constant' residual throughout the day. ' - D. As yet, the position of sewer treatment plant superintendant Y has not been 'filled. Advertisements have been placed in ,the Mater Pollution Control Federation Magazine, Western Cities and League of Oregon Cities. Without a plant superintendant, some problems have resulted.' However, we have been able to check most of them as we have been in constant and regular contact with Chuck Zickerfosse Of Stevens, Thompson & Runyan on these operational problems. It is also hoped that the hiring of Jim West will help bridge the gap we presently have. j PUBLIC WORKS DEPART14 NT REPORT FOR SEPTEMBER, 1971 Page 2 2. PARTC AND STREET DIVISION REPORT: A. The STEP Program is back in operation. We have two new employees within the street division, two in the sewer and two in the engineering division. B. Two sanitary manholes were raised on the Methodist Church property near S.W. Walnut Court and a catch basin was installed at the end of Walnut Court as the result of a fill operation being conducted by the church. C. The street sweeping program is going along quite smoothly. Some problems were encountered in the Northwest section of town. this month. D. General maintenance was done in the parks. A considerable amount of brush was removed from Woodard Park and the irrigation pump was removed also from Woodard Park. 3. ENGINEERING DIVISION REPORT: A. Walnut Street Improvement has progressed very smoothly. At the end of September, the contractor had approximately 90% of the project completed. E. Subdivisions: Mira Park ® Progress has picked up somewhat within the subdivi® sion. Curbs and gravelhave been installed. Brookway -- Contractor has completed installation of the sanitary sewer line and started working on the storm server. Installation of 'curbs; should be commenced shortly. hath Place -'This project has been paved. However, the entire project =is not ready for acceptance by the City in that work has not been completed along S.W. Tigard Avenue. Penrose Terrace - Curbs and some gravel have been placed. Anticipate completion of this ,project in October. C. A considerable amount of time has been spent this month by the engineering division in preparation of legal` descriptions and annexation reports. A 72nd Street :Local Improvement District: Hearing on this local improvement district has been delayed until October 11, 1971. To date, only three people have expressed a negative reaction. PUBLIC WORKS DEPARTMENT REPORT FOR SEPTEMBER, 1971 Page 3 Stewarts do not feel that this project will benefit them as sanitary sewer service is available at the bottom of the hill; Mr. Chamberlain feels that the costs are excessive; and Weed 'Control feels that the assessment formula is unbalanced, and that the assessment formula should be similar to the one used on Derry Dell, being $350.00 }plus acreage rate. Respectfully,,submitted, `Keith C. Thompson Director of Public Works KCT/rb K