07/10/1996 - Packet r t '
Book
IN"��tGOVERIV1V�l�TAL VVAT�lt ]BOARD:NIE�TING .
Servtn Ti and K g ty,
. g g an Ci ,:Durham and Unancorporated Area
Wednesday, July 10, :1996
m
Call to Order
Ro 2 .. Call and fintroductions' ,
3 Visitor.........................
4 Approve May 15, 19:96 Meetuig Minutes
5 ...... Adjustment Todd Hairs
6 Director'sReport
f
Non Agenda Items
8 Adjournment z
Executive Sess><on The Intergovernmental Water Board may:go into Executive'
Session under_the provjsioris of ORS 1,92 66Q (1) (d), (e), & (h) to discuss labor
relations;:real property transactions, and current and penduig litigation issues All
discussions within this session are confidential; therefore nothing from this meeting
' may be:disclosed by those present Repesentatives of,the news [redia are allowed �': .
,r > _ to attend chis session_; but must not disclose any information discussed dunng this
session y
- kathy\iwb\7 10 n -
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INTERGOVERNMENTAL WATER BOARD MEETING MINUTES
MAY 15, __19,96
Members Present: Chair 'Scheiderich, Beverly Froude, John
Budihas, and Bob Rolhf
Staff .Present.: Bill Monahan, Ed Wegner, Mike Miller, Wayne
Lowry and Kathy Kaatz
Visitors Present: Carolyn Houghton, Jack Polans, Bob Tomlinson,
John Haunsperger
1. Call to Order
The regular meeting of the Intergovernmental Water Board was
called to order at 5 :40 p.m.
2 . Roll Call and Introductions
Roll was taken with all members present with the exception of
Paul Hunt and Bob Tydeman. The alternate representative from
• the City of Tigard, Mr. Bob Rohlf was present. There was no
representative present from the City of Durham. Mr. Monahan
stated that the new alternate for the City of Durham is Mr.
Chris Hatfield.
3 . Visitor Comments
Jack Polans stated that he was present .at the meeting to find
out what the citizens will be paying for water services and
also is interested in knowing the measurement and
consideration of the minimum amount.
4 . Approve April 10, 1996 Meeting Minutes
A motion was made by Bob Rohlf to approve the minutes of the
April 10, 1996 IWB meeting which was seconded by Commissioner
Budihas and voted upon unanimously.
5 . Letter for Adjustment
Ms . Carolyn Houghton was in attendance at the meeting to
request additional credit on a substantial water `bill she
received for $633 as a result of a water leak that occurred
from the main to the residence. Accompanying Ms. Houghton was
her tenant, Mr. Nick George. Mr. George stated that during
some landscape work the leak was discovered. IMr. George
®' stated as soon as the leak was discovered they contacted the
City who came out and assisted him in determining where the
leak was located and turned the service off . The leak was
then repaired immediately. Mr. George stated that the leak
was approximately 4 feet underground. Mr. Scheiderich
questioned what the typical monthly billing for this residence
was? Mr. George stated that the bill generally runs
approximately $61-71 dollars per month.
Commissioner Froude stated that policy allows for $165 . 00
credit to be applied which would leave a balance of $468 . 00 .
Mr. Wegner stated that the policy does allow a credit amount
$165 . 00 or to follow the appeal process by coming to the
Board.
Mr. Rohlf questioned the basis for the $165 credit allowance?
Mr. Lowry stated that this is an existing policy that the
Water District has always had with a slight increase. Ms .
Houghton stated that she owns five properties in Tigard and
has experienced three additional leaks this year with
substantial repair bills.
Mr. Rohlf questioned the purpose served by this policy? Mr.
Wegner stated that it allows staff some latitude in applying
this credit without bringing all issues less than this amount
to the Board.
Mr Rohlf questioned calculating the actual cost of the water
loss? A motion was made by Commissioner Budihas that the
Board examine the billing for this address and make a decision
at the next meeting. Mr. Rohlf stated that the City only
needs to recoup the actual costs of the water. Chair
Scheiderich motioned that the Board delegate to staff to allow
credit for the bill minus the City' s direct cost of the water
or $165.00 whichever is greater. This motion passed
unanimously. Mr. Lowry stated that the staff would be in
contact with the property owner.
6 . Plater Rate Study - CH2M Hill
Mr. Lowry stated that Bob Tomlinson was in attendance from
CH2M Hill to discuss the proposed rate study. Mr. Lowry
stated that Mr. Tomlinson was present at this meeting to make
a brief overview of the report and the conclusion of the
report as well as CH2M Hill ' s recommendations .
Mr. Tomlinson distributed a short handout that outlined the
rate study, recommendations and the rate design options. Mr.
Tomlinson discussed the following briefly:
• SDC Recommendation. (Table ES-5, page ES-8) Recommendation
to adopt the revised SDC charges . These charges were
calculated to adopt a reimbursement fee SDC. These fees as
based upon the systems current fixed assets and will allow
reimbursement of existing users for the investment in the
Intergovernmental Water Board Meeting - May 15, 1996 Page 2
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current. system. Also calculated was an improvement fee SDC.
This is a calculation based upon the capital improvement plan
for the next five year. : .Oregon State statue allows these fees
to be added together to get a combined System Development
Charge (maximum charge) . This fee calculated out to the
figures outlined in table ES-5 , page ES-8 . This
recommendation is based upon current investment as well as
planned investment, for future users. Chair Scheiderich
questioned whether the planned investment have any
contingencies amount built into the projected costs? Mr.
Tomlinson stated that they have inflated the capital
improvement by 49.- a year. Chair Scheiderich also questioned
the construction costs estimates and contingencies? Mr.
Tomlinson stated that he believed that those figures were also
inflated. Mr. Scheiderich questioned the concern during year
four or five of an annual revenue shortfall made up by excess
revenue the first few years . Mr. Tomlinson stated that they
.calculated five year average rates. .Mr. Tomlinson continued
by stating that the organization needs- to have some fiscal
restrains so during the years of excess revenue that these
funds are placed in . a rate stabilization fund to allow for
shortfall . Mr. Tomlinson continued to say that their
recommendation is to continue the buyers. service connection
charge which is currently . $1, 250 . 00 .
o Rate -Design Options . (Table ES-2 , page ES-5) Mr. Tomlinson
y stated that in examining the current revenue requirements, the
current rate design is sufficient to allow for planned costs
and expenditures for the next five years . Based upon the
assumptions of this study, these rates should be sufficient
y; for the next five years. CH2MHill does 'recommend to go with
cost. of service rates '`which are more- equitable' and more
defendable. These proposed costs of service rates are
outlined in Table ES-2,. page ES-5 : This table outlines two
scenarios for both a based b -monthly and a volume charge.
The first scenario outlines •a volume rate -plus minimum
customer, charge. The minimum charge only includes .; the
customer costs- (fixed costs, associated with billing and meter
reading) . This second scenario includes 800 cf of initial
demand in the base charge, with the same volume rates applying
for usage of over 800 cf . Mr. Scheiderich questioned whether
there would be a revenue loss while assessing all residential
users a minimum of 800 cf . Mr. Tomlinson stated there might
be a slight loss but are actually looking for revenue
stability while adding an additional amount of demand into the
base charge. Mr. Scheiderich questioned the percentage of the
demand by the various, classes and the correlation between this
and, the 100ccf charge? Mr. Tomlinson stated the percentages
are used to allocate the cost to the customer classes and
• these costs are divided by the estimated. demand over the five
years . The percentages are applied to the costs .
-Intergovernmental Water Board Meeting May 15, 1996 Page 3
Mr. Tomlinson stated that they also looked at the seasonal
conservation surcharge which is summarized on Table ES-3 on l
ow
page ES-6. The breaking point on these figures was 50 cf so
in the summer months someone in the residential class that
uses more than 50 ccf would be charged an additional amount .
The revenues collected from this charge are in addition to the
cost of service revenues . It is the recommendation of CH2M
Hill that these revenues are used to fund a comprehensive
conservation education program. Mr. Scheiderich questioned
the minimum annual amount of revenue to fund an adequate
conservation program for this size service area? Mr.
Tomlinson stated that $100, 000 minimum would be sufficient
(table reflects $61, 000 minimum) .
Mr. Scheiderich questioned whether an inverted block rate was
considered? Mr. Tomlinson stated that it was considered
although they had problems gathering the data which made it
difficult to make this recommendation.
Mr. Scheiderich asked if we know what Tualatin Valley Water
District is increasing their SDC to? Commissioner Froude
stated that they are increasing their charges from the current
charge of $1, 860 to $2, 160 .
Commissioner Froude stated that the residents on Bull Mountain
are not happy with the additional booster charge and feel that
it should be lowered. Mr. Tomlinson stated that this charge
reflects the additional costs of pumping water to the higher
elevations .
Commissioner Budihas stated that the residents of King City
are happy that their rates will be lowered. Mr. Wegner stated
that it is important to understand that the rate only
decreases if you change the way that you bill . Residents will
pay for what they use, there is not a reduction in rates .
Chair Scheiderich questioned whether there are any consumer
price index factors that are figured into any future rate
increases? Mr. Tomlinson stated that they have inflated costs
for the next five years . He continued by saying that the
inflation rate is based upon current inflation rates and if
something would happen to increase the inflation rate, these
rates would need to be re-visited. Mr. Scheiderich stated he
thought it would be appropriate for the Board to state a
consensus on the preference on a rate that begins with 100 cf .
Mr. Scheiderich questioned how the 800 cf minimum was arrived
at? Mr. Lowry stated that he believed this figure to be
derived from a system average. Mr. Scheiderich requested
clarification on the USA rates as they apply to water
consumption. Mr. Lowry stated that these charges are based
upon a winter average on water usage which becomes the users
average for the next year and they apply a base charge plus a
volume charge.
Intergovernmental Water Board Meeting - May 15, 1996 Page 4
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Mr. Lowry stated that currently our 'minimum charges is $14 . 30
for 8 ccf on a bi-monthly basis. This is approximately
$1 . 78/ccf plus volume charge of $1.32 . On the assumption that
the first 8ccf were sold at $1.32/ccf then we would be
charging $3 . 74 more for the 8ccf . This is the same logic as
the proposed charges with the difference in charging only for
what the user uses. Mr. Lowry 'referred to Table ES-2 , page
ES-5 that lists the two scenarios a) base �'charge, no minimum
water and users pay $3 .89/bi-monthly (cost of billing) plus
every unit used, b) same as currently using with minimum
charge . Mr. Lowry stated that the staff prefers the no
minimum charge since. lower use customers are' penalized for
water not being used and have no incentive to conserve. Mr.
Lowry stated if we choose the option with no minimum there is
the potential for cash flow concerns although since the system
is so large this will not be an issue. The staff prefers the
no minimum charge since it promotes conservation without a
complicated rate structure. Mr. Lowry referred to Table ES-1,
page ES-2 which outlines the current rate structure, and its
complexity. On Table ES-2 on page ES-5 this captures the
.simplicity of the no minimum charge and reflects a cost of
service rate..
Mr. Lowry emphasized that this a . revenue neutral rate
proposal . There is no increase or decrease in rates, just a
change in rate structure based-upon cost o;f, service. On Table
ES-4 Mr. Lowry pointed out ' the significant impact on certain
users, although residential users will see virtually no
change, higher volume users will see a significant change.
Mr. Lowry stated that their are' 526 commercial accounts and 8
industrial users..
Commissioner Froude questioned the irrigation notation on the
table? Mr. Lowry stated that certain customers have
irrigation meters (Pac Trust) . which ' are used for irrigation
purposes . These irrigation charges will encourage
conservation from these users .
Mr. Lowry discussed the computer system that the' Finance
Department is utilizing for billing which was purchased prior
to the merger of the District with the City and it is set up
to deal with more complex billing practices . To incorporate
changes to the current billing system will however take some
time to transition. Mr. Lowry stated that if the Board
decides to change the rate structure, it would be his
recommendation to look at some other billing issues
such as monthly billing versus bi-monthly, meter reading, even
pay plans, automatic withdrawal, etc. Mr. Lowry -felt that
this should be able to be accomplished by January 1 .
Intergovernmental Water Board Meeting - May 15, 1996 Page 5
Mr. Haunsperger stated that on the issue of irrigation and
conservation, this may place some incentive for the irrigation
users to make use of gray water (effluent water) from USA.
Chair Scheiderich stated that he thought this issue should be
broke up in to a couple of topic issues for decision:
• Whether to adopt the rate structure that charges only for
amount used as opposed to minimum amount used (volume
rate plus minimum customer charge) .
• Proposed SDC charges.
• Summer surcharge for excess consumption. What should it
be?
Mr. Polans asked the Chairperson if there would be a public
hearing on this? Chair Schederich stated that not at this
Board. Mr. Polans questioned whether a public hearing would
be held at the Tigard City Council level, with Mr. Scheiderich
response being that he assumed so.
Chair Scheiderich questioned whether there was a consensus on
the adoption of the volume rate plus minimum customer charge?
Mr. Haunsperger stated that the Tigard Water Board
recommendation was to initiate the charge only per use.
Commissioner Froude stated that her concern in doing that is
that there is enough time to get information out to the
customers especially if users go over the 50ccf during the
summer months . Ms . Froude is concerned about having a program "
in place prior to enacting a new rate structure. While
polling the Board, it appeared that there was a consensus on
the adoption of the volume plus minimum charge.
Mr. Scheiderich questioned whether there was a consensus on
the proposed System Development Charges including the high
elevation? Mr. Wegner stated that Mr. Lowry is assuming the
implementation to be January 1 therefore, the changes will not
be seen during the summer months .
On the SDC charges, Mr. Rohlf questioned whether these amounts
were too low in comparison with surrounding communities . Mr.
Tomlinson stated that the SDC need to be based upon actual
system wide needs. Mr. Lowry stated the only way to charge a
higher SDC would be to have more capital projects and this
plan does reflect realistic needs. Chair Scheiderich stated
that the Board reached a consensus on the SDC issue.
On the issue of a summer surcharge, Mr. Rohlf stated he was
opposed to that and he spoke with Commissioner Hunt and he was
also opposed to that . Commissioner Froude stated she would be
more comfortable to have this summer surcharge in effect this
year and re-visit if users are not conserving. Mr. Rohlf
stated that if charges are based upon usage, there is no need
for punitive measures . Mr. Lowry stated that maybe it would
Intergovernmental Water Board Meeting - May 15, 1996 Page 6
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be appropriate to hold the conservation thought until this
time next year or wait until the proposed rate structure is in
place. Mr. Wegner stated that the new budget has $17, 000
budgeted for a conservation program which is about all the
staff can handle . Chair Scheiderich stated that the Board
agreed to proceed with the program and then determine a rate .
7 . Director' s Report
Mr. Wegner stated that we have entered into an agreement with
City of Portland to take 1 mgd which will lower the rate by
. 50 . This new scheme of buying will reduce winter consumption
buying with Lake Oswego. This proposal, will go to Portland
City Council this week.
Mr. Wegner stated that we are currently in the process of
negotiating a contract with Murray Smith, and Associates on the
Menlor Reservoir site and should be going to City Council
within the next couple of weeks .
Work is continuing on the Regional Water Supply Plan and
incorporation of comments with a new draft out in 3 -4 weeks'.
_1 Mr. Wegner stated that we will have wellhouse #3 completed by
,• June 1 which will allow an additional 1/2 mgd to the system.
Murray Smith and Associates is working with TVWD on
F improvements to bring in another 4 mgd over the next year.
_ Mr. Wegner stated that he and Mr. Monahan are continuing to
work with the Willamette River Subregional group. This group
is not only looking at the Willamette but also at new
^` transmission systems . Mr. Scheiderich questionedthe status
of the Damas,ch site? Mr. Wegner stated that will not be a
future water site.
Mr. Wegner also stated that John Acker, Property Manager has
resigned effective June 14 and Rusty Thomas unofficially
announced his plans for retirement effective July 1 .
Mr. Monahan stated that an analysis was done on the lease rate
for the monopole with Sprint and it was determined that $800
a month was appropriate however, other issues have raised the
rate to $900 per month if the City will agree to a longer term
before being able to terminate the lease. The corporate
office for Sprint also wanted an additional five years before
being able to terminate the lease for a lease rate of $950 .
The lease that was signed today states that we can terminate
the lease after twenty years which will allow revenue in the.
amount of $421, 000 .
Intergovernmental Water Board Meeting - May 15, 1996 Page 7
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8. Non Agenda Items
Chair Scheiderich stated that the major parties to the
Regional Provider Plan are getting together next week to draft
an actual intergovernmental agreement for shared projects.
Commissioner Froude questioned whether the Board had completed
discussion on the Rules, Rates and Regulations? Mr. Wegner
stated that we had decided to wait until the rate study was in
place and get information together on backflow before
proceeding with this discussion.
9 . Adjournment
The regular meeting of the Intergovernmental Water Board
adjourned at 6 : 50 p.m.
Intergovernmental Water Board Meeting - May 15 , 1996 Page 8
Dear Intergovernmental Water Board,
I am writing in response,to a letter I received from Trish Toedtemeier. I strongly disagree
with the decision to only waive $165 from my water bill. As.I mentioned n.my previous letters, I
experienced'a major pipe break which ran up my water bill to over$600, My disappointment
comes in,the way that the credits are handed out. If$165 is the maximum credit allowed, this is
obviously an unfair system for those who have larger water breaks, such as myself I accept
responsibility for the break and believe I should he held accountable for a.reasonable amount of
the balance owing. I am asking to receive a more reasonable credit so,that I can settle my
account. If this:is not possible than I would definitely like to schedule a time atone of the`board
meetings to discuss this issue further.
Sincerely,
Todd Harris
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June 5, 1996
#2103750
Todd Harris
10855 SW Fonner Street
Tigard, OR 97223
Dear Todd:
I received your request for an additional adjustment to the above mentioned account due
to the large leak you experienced earlier this spring. I have looked into the specifics
regarding this leak and the ensuing credit of$165.00 that we issued May 24, 1996.
I appreciate that you now have.a large water bill to deal with, in addition to the plumbing
costs to repair the leak. Unfortunately; we are only-authorized to issue adjustments,to a
maximum of$165.00. This year has been a difficult one for water leaks with the
variations of inclement weather we have experienced. Because of this we have had an
extremely large number of requests for adjustment. In response, we are taking care to
address all accounts in the same manner, following the procedures that have been agreed
• to'•,by the City Council. If you are still unsatisfied with this process, you can appeal this
decision to the Intergovernmental Water Board. This process begins with a letter of
appeal to the IWB, which.you can send in care of Wayne Lowry at the address below.
You will then be asked to schedule a meeting with them at one of their regular board
meetings.to discuss this issue further.
Again, in,response to these unusual circumstances all customers who now have a large
balance due to a leak are eligible to set up payment arrangements with our office. If
necessary, please contact our office for more information regarding a payment schedule
for your account.
Sincerely,
Trish Toedtemeier
Sr. Acctg. Assistant
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DEAR SIR OR MADAM:
I AM WRITING IN REGARDS TO MY WATER BILL FROM THE MOST RECENT
BILLING PERIOD. %\,"E HAD A MAJOR PIPE BREAK WFIICH CAUSED-OUR WATER
TO REACH AN UNBELIEVABLE PRICE. THE PIPE BROKE UNDERNEATH THE
CONCRETE SLAB OF OUR GARAGE. WE HAD NO IDEA OF ANY PROBLEMS AS
THERE WERE NO SIGNS OF ANY TYPE. WE USE WATER SAVING DEVICES ON OUR
FAUCETS SO WE DIDN'T NOTICE ANY TYPE OF REDUCTION IN WATER PRESSURE
OR ANY OTHER SIGNS OF PROBLEMS. ONCE WE WERE AWARE OF THE PROBLEM,
WE IMMEDIATELY SHUT OFF OUR WATER AT THE STREET.
IT WAS A VERY EXPENSIVE PROJECT TO GET FIXED ( I SUBMITTED A
PLUMBER'S BILL PREVIOUSLY) AND MY HOME OWNERS INSURANCE COVERED
VERY LITTLE OF THE EXPENDITURE. I APPRECIATE THE 5165 CREDIT THAT HAS
BEEN ISSUED TO US, BUT THIS ONLY PLACES A SMALL DENT IN THE TOTAL
AMOUNT WE STILL HAVE TO PAY. I BELIEVE A FAIRER SOLUTION WOULD BE
TO REQUIRE ME TO PAY THREE OR FOUR TIMES THE AMOUNT OF MY NORMAL
• BILL INSTEAD OF PENALIZING ME FOR SOMETHING I HAD NO CONTROL OVER. I
HAVE ALREADY HAD TO PAY A GREAT DEAL OF MONEY, THAT I DIDN'T HAVE,
TO THE PLUMBER, AND WOULD APPRECIATE A LITTLE MORE UNDERSTANDING
ON YOUR PART.
IF YOU HAVE ANY QUESTIONS, FEEL FREE TO.CONTACT ME AT
MY HOME NUMBER. THANK YOU FOR YOUR CONSIDERATION IN THIS MATTER.
TODD HARRIS
10555 SW FONNER ST.
TIGARD, OR 97223
(503) 620-5976
- -T ,T
REA QUEST FOR ADIT[_ISTi ENT DUE TO A LEAK
�Llty Utlllty ��C�)<liL(n('ili i?:1.`; ;l i.)c.,; �.. "- j):lrt'al cicdlis ((lr lC'.As Ouil� In �1
tlm' `.`•' :i:::.;'s!1 i. Generally, LVL (2,- l I �tt�ti Co i��_: •:ii Ci t\=ltnln Onf DII�InC' CyCIC or [1Vo I1101,11S. C[Ldl[$ ][e
based on your average usage for the same period in previous years. This average amount is then deducted from
the billed consumption, divided in half (we pay halm, you pay half), converted into dollars and a credit is issl.Ied
to the account. Credits are limited to a maximum of`$165.
Please describe the specific (circumstances of your request: _T. yJCiS c c 4 c:
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- u e leak found: S Date leak repaired: S//ii S�l
Account#: b -S 50
Location of Service: 5 Sias
Customer Name: ,'>f c�c�c� -4- kr 1"5 44t L/\ [-C;a ti- — + S
Mailing Address: I 0 SS :S(_j Sfi % ( c
Street address City Stat zip Phone
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PLEASE SU�31'✓ 1 C0F:. I'. ().11- PLUMBER'S BILIS AND/OR R C.I
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OR PARTS, Rf',�fi_1.i_._E.>` lJ O FIX11-11E LEAK
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FOR OFFICE USE ONLY
Previous years usage:
^DCIiodS used
r � 3 _ �� _ �.E�L — 2 - L
, �1b x SI-32
Average Leak Period Loss
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' Total Credit:$ ��J Date Issued: (1,1 Issued Bv: --
;� INVOICE
1 551 1 Wildflower Ln.
Gr !gon City, OR 97045 - 656-3601
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INVOICE D[SCFtIF'1I0N AK OUN7
RATE DUE
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MSL Master Record Dump Printed : Tuesda.V, July 9, 1996 11 ; 00am Page, 1
���..ccount Info Meter & Financial Infe
Ac #: 21D3750Ftg : Mtr #: 951 # Dials: 4
NoBl : _ Gro: 03 Rte: 0021 Seq: 2430 Sze: 3/4__ Mon: _ # Mts: 01 GIC: C
Area: TW Type: RES Prm: Sew: Swm:
XRef . ___ ....._.......................................... ___ Ten : O Spec : Rates NB Codes Step 1 Des - --'-
Legl : Op : 04/29/ 1994 Water : _ 3/414' 300 3/4" WITHI
""illabl � Address Sewer :
Last ; HARRISSwm: X _______ No cha'ge
/ rst : TQDDAcct Flags
Addr : 10855 SW Fl]NNER ST_______ Nt : Yes Ow: No Cu�;
Ms: No Mc : No Prv: 3642 01/0'-DCity: TI8ARD Use: 30
St : OR Zip: 97223Cr : _____ Balance Information
Phn : (503) 620-3844 Water Sewer Swm
Service For Address Bait 423. 94 . 00 . 00
Via. Pen : ' 00 ' 00 . 00
St: 10855 ___ SW FONNER S�
Ot :
Total : 423. 94
Zip:
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Transactions history
teA: Tuesday' July 9, 1996 11 : 00am PL. , � 2 For acct - 2103750
111kTy Water Sewer - Total Open Referunce
05/ 11 /94 BL 6' 54 A. 54 6. 54 Billing 1994/
06/03/94 PY -6' 54 0. 00 0' 00 -6. 54 0. 00
07/06/94 BL 27. 88 27. 88 27. 88 Billing 1995/
08/08/94 PY -27. 88 0. 00 -27. 88 0. 00
08/31 /94 BL 56' 69 56. 69 56' 69 Billing 1995/
10/ 12/94 PY -56. 69 0' 00 0 00 -56' 69 0. 00
10/26/94 BL 26' 09 26' 09 26' 09 Billing 1995/
K /QT''34 PY -26. 09 0. 00 0. 00 -26' 09 0. 00
12/21 /94 BL 17. 09 17. 09 17. 09 Billing 1995/
01 /24/95 PY -17. 09 0. 00 0. 00 -17. 09 0. 00
02/ 15/95 BL 18.88 18. 88 18. 88 Billing 1995/
02/23/95 PY -18. 88 0. 00 000 -18. 88 0. 00
04/ 12/95 BL 20. 58 20. 58 20. 58 Billing 1995/
04/ 18/95 PY -20. 58 0. 00 0. 00 -20. 58 0. 00
06/07/95 BL 32. 33 32. 93 32. 93 Billing 1995/
07/06/95 PY -32. 93 0. 00 0. Oct -32. 93 0. 00 '
08/02/95 BL 31 . 84 31 . 84 31 . 84 Billing 1996/ '
09/05/95 PY -31. 84 0. 00 0. 00 -31 . 84 0. 00
09/27/95 BL 31 ' 37 31 ' 37 31 ' 37 Billing 1996/
10/03/95 PY -31 ' 37 0' 00 0. 00 -31 , 37 0. 00
11/22/95 BL 19. 73 19. 73 19, 73 Billing 1996/
12/01 /95 PY -19. 73 0' 00 0. 03 -19. 73 0. 00
7/96 BL 23' 92 23' 92 23' 92 Billing 1996/' '
����`3/96 BL 2897 6/96 PY -23' 92 0' 00 0 00 -23 92 0 00
����.
,�� � . 28' 97 28. 97 Billing 1996/
84/08/96 PY -28. 97 0. 00 0' 00 -28. 97 0. 00
05/08/96 BL 575. 45 575. 45 575. 45 Billing 1996/
-05/24/96 BC -165. 00 0. 00 0' 00 -165' 00 410. 45 Cr Leak
06/04/96 PY -30.00 0. 00 0. 00 -30. 00 380' 45
07/03/96 BL 43' 49 43. 49 423. 94 BiAing 1997/
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�sts� �nfo�mation
7yin�''nv Tuesday, July 9, 1996 11 : 00am Page: 3 For acct 210375 )
,/ater Num: 1 Active: Yes Service: Both How: Add C/8: Cubic fhet
Remote: Size: 3/4 Dials: 4 Make: B Read Type:
Flags: Dog [ ] Walkin [ ] Back [ ] Front [ ] Side [ ] Remote [ ]
Date Curr Date Prev Usage Ty Yr /Cyc Adjust Cmt
07/03/96 3, 672 05/08/96 3, 642 30 A 199701 Imported read
05/0S/9S 3, 642 03/ 13/96 3, 209 433 A 199606 Imported read
Q3/ 13/96 3, 209 01 / 17/96 3, 190 19 A 199605 Imported read
` v7,'�S 3, 190 11 /21 /95 3, 175 15 A 199604 imported read
11 / 21 /95 3, 175 09/26/95 3, 163 12 A 199603 Imported read
09/26/95 3, 163 08/02/95 3, 142 21 A 199602 Imported read
08/02/95 3, 142 06/06/95 3, 121 21 A 191601 Imported read
06/06/95 3, 121 04/ 11 /95 3, 099 22 A 199507 Imported read
04/ 11 /95 3, 099 02/ 16/95 3, 086 13 A 199506 Imported read
02/ 1b,'95 3, 086 12/20/94 3, 074 12 M 199505
12/20/94 3, 074 10/25/94 3, 064 10 A 199504 Imported read
10/25/94 3, 064 08/31 /94 3, 047 17 A 199503.. Imported read
06/31 /94 3, 047 07/06/94 3, 007 40 A 199502 Imported read
07/06/94 3, 007 05/ 10/94 2, 989 18 A 199501 Imported read
05/ 10/94 2, 989 04/29/94 2, 985 4 A 199406 Imported read
04/2.S/34 2, 985 M 199405 FINAL READ
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Notes history
einted: Tuesday, July 9, 1996 11 : 03am Page: 2 For acct 2103750
S/��
(SSN 542-02-6748 NORWEST FINANCIAL (H) 620-5976 )
' 0500/9G
(SENT CHERYL TO CHECK FOR A MISREAD OR LEAK, METER WAS )
(TURNING. READ 3657' CALLED CUSTOMER AND SENT CHERYL OUT )
(BY 2-WAY TO MEET CUSTOMER AT HOME TO SHOW HIM HOW TO T/OFF )
(AND ON METER. AB
)
05/24/96
( ISSUED MAX OR OF $165' 00 ON ACCT -- LEFT MSG ON OUST ANS ) '
(MACHINE OF BALANCE STILL OWING AND INDICATED PYMNTS COULD )
(BE SET UP IF SO DESIRED' GAYLE
)
05/2A/96
(RUST CALLED IN RE: CR ISSUED FOR $165' HE IS WRITING LETTER)
(TO "SUPERVISOR" TO ASK FOR AN ADDTN/ L CREDIT, I HAVE ALSO �
( INDICATED THAT HE NEEDS TO MAKE A PYMNT OF $30. 00 TOWARDS ) '
(ACCT FOR AVG NORMAL BILLING. GAYLE )
07/01/96
(OUST CALLED IN TO CK ON PROCESS FOR APPEAL -- HE SENT LTR )
.* (TO WAYNE LOWRY REQUESTING ADDTN' L CREDIT. OUST IS SCHEDULED)
���� (FOR IWB ON 7/10/96 RE: LEAK ISSUE' ADVISED OUST THAT HE )
(NEEDED(NEEDED TO PAY CURRENT BILLING UNTIL $$ DISPUTE IS SETTLED' )
(GAYLE
)
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