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03/08/1977 - Packet TIGARD WATER DISTRICT 91341S. W. COMMERCIAL ST. TIGARD, OREGON 97223 PHONE (503) 639-1554 Wiry March 8 , 1977 AGENDA CALL TO ORDER 1. RESOLUTION TO APPROVE MINUTES OF LAST MEETING 2 . VISITORS 3. RESOLUTION TO PAY VOUCHERS 4. RESOLUTION TO AUTHORIZE CITY OF TIGARD TO ANNEX PROPERTY OWNED BY TIGARD WATER DISTRICT; NAMELY: PROPERTY WHERE #2 RESERVOIR AND 10—MG RESERVOIR ARE LOCATED 5. RESOLUTION TO APPROVE 10—YEAR CONTRACT WITH CITY OF PORTLAND TO PURCHASE SURPLUS *ow WATER 6. RESOLUTION TO TRANSFER FUNDS WITHIN THE GENERAL FUND 7 . OTHER BUSINESS ADJOURNMENT ADMINISTRATOR'S REPORT wow 1. Resolution to approve minutes of the last meeting as written. 2. Visitors. 3. Resolution to pay vouchers. 4. Resolution to authorize City of Tigard to annex property owned by Tigard Water District; namely: property where #2 reservoir and 10-MG reservoir are located. #2 reservoir: Map 2S 1 10B -- Tax Lot 1100 0. 8 acres 10-MG reservoir: Map 2S 1 10B -- Tax Lot 1301 2. 5 acres *rr, Recommend approval. 5. Resolution to approve 10-year contract with City of Portland to purchase surplus water. A copy of the proposed contract with the City of Portland is enclosed. Our present contract expires on June 30, 1978. Ken Baines and I met with Bob Hyle on March 1, 1977 to discuss the new contract. We both recommend that the contract be signed at this time. 6. Resolution to transfer funds within the General Fund. As the end of the fiscal year approaches it becomes evident that a transfer of funds within the G.F. will be necessary if specific accounts are not to be exceeded. The can be accomplished by a resolution of the Board. Specific amounts and accounts will be resolved at the meeting. 7. Other business. -1- ADMINISTRATOR' S REPORT (Continued) 8 . Budget Meeting. The first Budget Committee meeting has been sched- uled for April 12th at 8 : 00 p.m. , immediately following the regular Board of Commissioner' s meeting. In view of the fact that all members of the Board and the Budget Committee have had experience with the budget, there appears to be no reason why the entire document cannot be tentatively approved in one meeting. Minutes of the last few meetings have been sent to each committee member in an effort to get them acquainted with current events. 9. Budget Preview. In compliance with your request for a preview of the new budget, the following information is presented. Prior to submitting a detailed projection of (perhaps) the controversial items in the budget it would be appro- *ow priate to examine the anticipated status of the water dis- trict two or three years from now. We have talked about becoming a "maintenance" district with a significant reduction in major construction projects. This can become a reality by June, 1979 when the pipe re- placement program will be finished. The storage needs of the district will be met until 1990 when the 10-MG reservoir is fully operational in the Spring of 1978. If the Willam- ette River project does not materialize immediately there- after, there will be several years of only minor construc- tion work, primarily, by developers. It would appear that the earliest that approval from the electorate for funding of a project for development of the Willamette River would be at the General Election in November 1978. 1979 would be a planning year and con- struction could start in 1980. (Water available in 1982) . In summary, goals for the next two years are well- established with the prospects of developing the Willamette River not before 1980. '`r -2 - ADMINISTRATOR'S REPORT (Continued) 4411r Capital Outlay: The district needs the following assets within the next two years: a. Computerized billing machine 1977 b. Auxiliary power at #1 reservoir 1977 c. Dump truck 1978 d. Auxiliary power at Hi Tor reservoir1978 About $38, 000 will be required from the General Fund to complete the planned pipe replacements for the next fiscal year. Whether all of the assets, together with the capital improvements noted above,can be ac- quired with funds in the new budget will have to be determined after available resources are computed. Personal Services : Proposed salaries for employees are shown on the attached page. Essentially, the rate increases suggested — reflect an overall 6.5% cost-of-living raise with merit pay increases for the two office employees. This totals $11, 152 above last year's payroll. Most water districts pay the Blue Cross medical premiums for dependents as well as the employee. It is recommended that this be included as a fringe benefit. Total cost: $3 ,180/year. For the past 8 months an additional employee has been utilized to assist the Foreman, John Miller, in his various, numerous duties. Many of the tasks normally performed by the Foreman were not getting accomplished because of other more important matters. We must realize that with each new meter connection, additional time and work are involved as well as another potential problem arising. This new employee, called "Assistant Foreman" would respond immediately to all "trouble calls" which have increased substantially during the past few years. He would relieve the meter reader of meter "turn-ons and offs" because of residents moving,etc. It should be noted that with the new meter connections, the meter reader now takes twice as long (8 days) to accomplish this monthly task compared to just 4 years ago. Finally, he would identify main locations for other utility companies, and 'err read and record all well and reservoir levels daily. In conclusion, I believe the district is on the right track, (with direction) , on schedule, and fast becoming the finest water district in the State of Oregon. The proposed budget will promote the attainment of that objec- tive. -3- ADMINISTRATOR'S REPORT (Continued) 10. Water Source Study by Wolf Creek Highway Water Dis- trict. An extensive study of water sources for the future has been prepared for the Wolf Creek Highway Water Dis- trict by Andrew Klein, Consulting Engineer. A summary report of that study is enclosed. Five (5) possible sources of water were considered: a. City of Portland, including ground water b. Sauvie Island Ground Water c. Columbia River at Sauvie Island d. Hillsboro-Forest Grove Complex (Scoggins) e. McKay Creek Project Mr. Klein recommended and the Board of Commissioners adopted, as a matter of policy, (a) above. This alterna- tive was considered the most economical with an initial cost of $27 million for Phase I and $9 million for Phase II in 1986. Nis", The project would, in many ways , be a joint venture with the City of Portland. The water district would pay 60% of the development costs of a well field to be located in the vicinity of Blue Lake near the Columbia River. This water would be pumped (when necessary to offset Bull Run water) to a large reservoir site on Powell Butte. A 60-inch main would deliver the water to the west side of the Willamette River to booster pumping stations. Finally, the water would be pumped to smaller sized mains to the existing reservoirs of Wolf Creek Highway W. D. Because of being part-owners of the well field, and additional capital investments, it was believed that the water district could get a "betterment" arrangement with the City of Portland with a guaranteed amount of water versus the surplus concept. This betterment arrangement would, hopefully, reduce the unit wholesale cost of water. I have reviewed the entire study and believe it to be very comprehensive and well done. I would not, however, envision the Tigard Water District participating in such a venture. On the surface, it would appear that a well field ought to be located closer than 20 miles away. The Willamette River was not considered as a possible ., source of water. I believe early in the planning process a decision was made to eliminate this source of water, and for possible development by those entities in southeastern Washington County. An inter-tie at a later date would provide an excellent alternate source of water. -4- ADMINISTRATOR'S REPORT (Continued) 4rrr 11. Water pumped from wells , Calendar Year 1977 . Month Actual *Actual Allocation/Month 1977 Cubic Feet Acre-Feet Acre-Feet Jan 1, 955, 100 44 . 9 88 (2 wells off) Feb 1,795,820 41. 2 88 (2 wells off) Total: 3 , 750,920 86. 1 176 *1 acre-foot = 43 ,560 cubic feet Actually pumped in prior years : 1970 : 1, 616 acre-feet 1974 : 924 acre-feet 1971: 1,418 acre-feet 1975: 930 acre-feet 1972: 1,501 acre-feet 1976: 847 acre-feet 1973 : 1,269 acre-feet 12. Unmetered Water. Pumped Purchased Total Sold Loss Month & Cu. Ft. Cu., Ft. Cu. Ft. Cu. Ft. Cu. Ft. Loss °"'` Year x 1000 x 1000 x 1000 x 1000 x 1000 Feb 1977 1,796 *4 , 544 (L.O. ) 6 ,340 6, 849 (509) ** 0% -0- (Port) Cumulative Total : FY 1976-77: (8 months) Total: 22 ,100 44 , 032 (L.O. ) 1, 888 (Port) 68, 020 67 , 521 499 0. 7% 45,920 * 71. 7% of water consumed during February 1977 was purchased from Lake Oswego. ** Negative number because billing is accomplished bi-monthly while master meters are read monthly. Summary of past years: FY Well Lake Oswego Portland Water Losses 1972-73 78% -0- 22% (CapHwy) 18 . 3% 1973-74 48% 52% -0- 11.1% 1974-75 40% 59% 1% 16. 2% 1975-76 39% 59% 2% 7 . 4% (8 mo. ) 1976-77 32. 5% 64 .7% 2 . 8% 0 . 7% -5- ADMINISTRATOR'S REPORT (Continued) 13 . Work accomplished during February 1977. a. TWD installed 400 feet of 12" D.I . pipe + 1 fire hydrant along S. W. 72nd Avenue, southerly to Kable Street. b. TWD assisted Loy Clark Construction Company in making bores with steel casings under Pacific Highway and railroad tracks at following locations : (1) Pacific Highway at MacDonald Street. (36" bore for 24" pipe) (113 feet long) . (2) 72nd Avenue, south of Kable Street. (20" bore for 12" pipe) (70 feet long) . c. TWD installed 35 meters. (4988 - 4954) . District also serves 41 meters in Metzger Water District. Total: 5029 . 14 . Work to be accomplished during remainder of FY 1976-77 . March 1977 : a. TWD install 400 feet of 6" D.I . along Bonita Road, between 74th Avenue and General Chain Bar Company, 200 feet of which will be installed within an existing 36" steel casing, to complete a circulation loop. b. TWD install anti-surge and pressure-reducing valve with manifold in concrete vault at S. W. 132nd Street pump station. c. Private contractor modify well #1 by lowering bowls from 340 feet to 550 feet, reducing column size from 8" to 4" for extended portion, which, hopefully, will double the capa- city of the well pump to 300 GPM. d. TWD install fire hydrants at following locations: (All 6" unless otherwise specified) . (1) Easement (Penrose) and Mt. View Lane. (2) 72nd and Landmark Lane. (Georgia-Pacific) (3) 125th and Karen Street. (4) Tigard and Summercrest Street. (5) Terminus of Summercrest Drive. (4") . '+ww -6 ADMINISTRATOR'S REPORT (Continued) April 1977 : a. TWD install 1400 feet of 12" D.I. and 1300 feet of 6" D. I. pipe + 3 fire hydrants along S. W. 103rd Avenue, Inez to MacDonald, to replace 6" O.D. steel pipe and par- allel for pressure system. b. Private contractor or TWD install 540 feet of 8" D. I . pipe + 2 fire hydrants along S. W. Scholls Ferry Road, east of 121st Avenue, to serve multi-family complex of 6 buildings. (53 units) . (Developers) . (Randall Construc- tion Company) . May and June 1977 : a. TWD install 4500 feet of 16" D.I . pipe along S . W. MacDonald Street, Hall Blvd. to Pacific Highway, to rein- force the district' s capability to receive more Clackamas River water from the City of Lake Oswego. 15. Work to be accomplished during remainder of CY 1977. July 1977: a. TWD install 1400 feet of 12" D. I . pipe + 4 fire hydrants along Pacific Highway, Watkins to Gaarde Street, and 500 feet of 12" D. I . pipe + 1 fire hydrant along Gaarde Street, westerly, to replace 6" O.D. steel pipe. August 1977: a. TWD install control vault for 10-MG reservoir. b. Private contractor install 2 , 000 feet of 36" D.I . pipe, including a 24" drain line, from 10-MG reservoir to S. W. 121st and Gaarde Street. c. Private contractor install 3900 feet of 24" D.I . pipe and 3300 feet of 12" D.I. pipe + 4 fire hydrants along S. W. Gaarde, Pacific Highway to 121st Avenue. September 1977: a. TWD install 600 feet of 12" D. I. and 600 feet of 6" D.I. pipe + 1 fire hydrant along easement road from #2 Now reservoir to S. W. Gaarde Street, to replace 6" O.D. steel pipe and parallel for pressure system. -7 GENERAL FUND BUDGET REPORT ESTIMATE ESTIMATE + OVER 1975-76 1976-77 1975-76 FEBRUARY 1976-77 1975-76 FEB. ACCUM. 1976-77 - UNDER ACCOUNT ACTUAL BUDGET ACTUAL BUDGET ACUTAL 1 ACTUAL BUDGET ACTUAL BUDGET Beginning Working Capital 64,564 55,500 55,275 55,994 124,418 64,564 55,500 97,356 + 41,856 INCOME: 406 Meter Installations 142,573 188,300 4,761 6,000 23,340 89,933 121,000 144,080 + 23,080 407 Line Extension Rebate 2,089 3,000 -0- -0- -0- 2,089 2,000 -0- - 2,000 408 Miscellaneous Income 4,873 18,000 16,187 1,500 30,930 19,412 12,000 33,853 I + 21,853 412 Interest Income 178 300 -0- 50 -0- -0- 200 369 + 169 418-419 Water Sales 538,606 630,000 37,521 43,200 43,298 377,312 434,000 405,540 - 28,460 425 Penalties for Non-Pay 375 600 20 50 20 222 400 250 j - 150 427 Sale of Equipment 16,072 600 55 50 -0- 55 400 -0- I - 250 430 Developer's - 10% Overhead 13,250 24,000 753 2,000 1 9,116 16,000 22,513 j + 6,513 430-1 Developer's - 8% Engineering 9,611 18,000 558 1,500 -0- 7,104 12,000 15,794 + 3,794 430-2 Developer's - Equipment 7,524 9,000 804 750 -0- 6,234 6,000 7,626 + 1,626 430-3 Developer's - Wage Reimbursement 13,127 15,000 1,122 1,250 -0- 11,248 10,000 11,441 + 1,441 TOTAL INCOME & WORKING CAPITAL 812,842 962,300 117,056 112,344 222,007 587,289 669,500 738,822 + 69,322 EXPENDITURES: Personal Services 500,1,2,3,4 Salaries 125,422 152,760 10,144 12,730 13,163 80,888 101,840 106,134 + 4,294 504-1 Overtime 5,455 6,840 448 285 361 4,050 3,990 3,804 - 186 505 Field Labor 22,770 29,400 1,026 2,450 1,362 17,417 19,600 17,474 - 2,126 506,1,2 Office Employees 16,423 19,800 1,370 1,650 1,719 10,943 13,200 13,822 + 622 170,070 208,800 12,988 17,115 16,605 113,298 138,630 141,234 + 2,604 EXPENDITURES: Materials & Services 507 Blue Cross of Oregon 2,603 3,000 236 250 293 1,638 2,000 2,326 + 326 507-1 Banker's Life Nebraska - Dental 400 1,000 -0- 84 101 117 664 591 - 73 508 Retirement 6,328 8,000 (212) (286) (263) 7,842 6,284 6,010 - 274 509 Social Security 9,159 9,600 760 750 971 5,838 6,300 7,319 + 1,019 510 State Accident Insurance Fund 7,010 8,000 -0- -0- -0- % 3,895 4,000 5,694 + 1,694 511 State Unemployment Compensation 7,813 6,000 -0- -0- 1 5,070 4,500 903 - 3,597 512 Advertising & Elections 751 600 62 100 -0- 67 300 -0- - 300 514 Equipment Rentals 359 600 12 100 17 291 400 223 - 177 515 General Insurance 13,519 15,000 133 6,250 14,145 12,657 15,000 16,341 + 1,341 516 Miscellaneous Expenses 2,000 1,500 22 125 32 862 1,000 1,307 ' + 307 517 Dues & Subscriptions 602 600 25 50 40 , 541 400 618 + 218 'I 518,1,2 Office Supplies & Expenses 8,587 7,200 476 600 706 I 4,687 4,800 6,516 + 1,716 519,1,2 Professional Fees 18,953 12,000 561 -0- 110 10,872 8,000 10,545 + 2,545 520 Meter Maintenance 1,642 4,200 378 350 (130) 2,186 2,800 3,792 + 992 521,1,2,3 Repairs - Lines, Pumps, etc. 7,233 4,800 68 400 8 4,335 3,200 3,534 + 334 ( ( ( , GENERAL FUND BUDGET REPORT (cont.) ESTIMATE i ESTIMATE + OVER 1975-76 1976-77 1975-76 FEBRUARY 1976-77 1975-76 FEB. ACCUM. 1976-77 - UNDER ACCOUNT ACTUAL BUDGET ACTUAL BUDGET ACTUAL ACTUAL BUDGET ACTUAL BUDGET 522,1,2,3 Utilities 6,140 6,400 567 600 626 4,030 4,300 4,338 + 38 523 Fire Hydrant Maintenance 1,176 1,200 -0- -0- -0- 1,010 800 1,639 + 839 524 Equipment Maintenance & Repair 6,848 6,000 650 500 188 ! 5,075 4,000 4,749 + 749 524-1 Gasoline & Oil 5,426 6,000 399 500 363 3,616 4,000 4,283 + 283 524-2 Tires & Batteries 1,058 900 -0- 75 -0- 652 600 500 - 100 525,1 Water Costs - Electricity 30,853 24,800 2,741 2,900 2,111 i 21,179 23,200 21,793 - 1,407 525-2 Water Costs - L. 0. , Portland 87,817 168,500 4,766 9,700 6,565 61,062 118,600 68,875 - 49,725 526 Interest Expense 216 -0- -0- (216) -0- -0- -0- 984 + 984 527 Small Tools 512 1,200 -0- 100 74 j 1,577 800 740 - 60 529 Rain Gear, Safety Equip. , etc. 482 900 4 75 -0- 847 600 743 + 143 530 Employee Training 329 400 11 200 179 i 131 400 433 + 33 227,816 308,400 11,659 23,207 26,137 160,077 216,948 174,796 - 42,152 ,- EXPENDITURES: Capital Outlay 548 Fire Hydrants 3,653 3,600 -0- -0- -0- 3,353 600 93 - 507 549 Equipment 55,926 60,400 17 -0- -0- 54,035 54,000 53,675 - 325 550 Buildings & Additions 27,874 1,000 1,036 -0- -0- 27,859 -0- -0- -0- 551 Meter Installations 28,907 46,800 3,450 3,900 1,918 21,679 31,200 27,470 - 3,730 552 Lnad & Improvements 750 1,800 -0- -0- -0- 574 1,800 6,007 + 4,207 553 Operating Contingencies -0- 1,000 -0- -0- -0- -0- -0- -0- -0- 554 Line Extensions 19,804 2,800 3,749 -0- -0- 19,665 -0- -0- -0- 555 Pipeline Replacements 109,886 1,000 -0- -0- -0- 59,512 -0- -0- -0- 7 246,800 118,400 8,252 3,900 1,918 1 186,677 87,600 87,245 - 355 700 Transfer to Bond Sinking Fund 70,800 271,200 4,120 22,600 22,600 47,200 180,800 180,800 -0- Net Fund Balance 97,356 55,500 80,037 45,522 154,747 1 80,037 45,522 154,747 + 109,225 812,842 962,300 117,056 112,344 202,007 587,289 669,500 738,822 + 69,322 February 28, 1977 Inventory Balance = $ 51,313.66 * Account #408 - Miscellaneous Income reflects $27,673 increase due to our sale of the obligation to the Bureau of Reclaimation. The amount is the interest Deme written off by the auditors at the end of 1975-76 FY. t BOND SINKING FUND FEBRUARY 103 Cash balance at first of month 19 108 Local Government Pool at first of month 142,466 INCOME: 400 Transfer-in from General Fund 22,600 412 Taxes: Current -0- 413 Delinquent -0- 414 Trailer House -0- 415A Land Sales -0- 418 Interest earned from Invested Monies 698 419 Interest earned from Property Taxes -0- Transfer in from Government Pool -0- 23,298 EXPENDITURES: 585 Bond Principal -0- 586 Bond Interest -0- 587 Bank Fees & Postage -0- Transfer to Government Pool 23,298 23,298 TOTAL CASH AT END OF MONTH 19 TOTAL INVESTED MONIES AT END OF MONTH 165,763 TOTAL CASH AND INVESTED MONIES AT END OF MONTH $ 165,782 ( t BOND CONSTRUCTION FUND - Issue 1976 FEBRUARY ACCUMULATED 101 Cash balance at first of month 41 -0- 106 Local Government Pool at first of month 1,359,015 -0- INCOME: 410 Sale of Bonds -0- 1,900,000 412 Interest Income 7,136 14,651 Transfer-in from Local Government Pool 76,600 335,100 83,736 2,249,751 EXPENDITURES: 521 Bond Costs -0- 1,984 522 Professional Fees -0- 9,620 523 Bond Interest -0- 8,781 540 Purchase of Land -0- 50,039 541 10 MG Reservoir @ 125th & Bull Mt. Road 65,916 482,866 542 Major Transmission Lines (Extensions) 5,643 35,023 543 Pipeline Replacements 1,259 43,687 Transfer to Local Government Pool 7,136 1,624,651 79,954 2,256,651 TOTAL CASH AT END OF MONTH 2 2 TOTAL INVESTED MONIES AT END OF MONTH 1,289,551 DUE TO GENERAL FUND (6,902) (6,902) $1,282,651 $ (6,900) TIGARD WATER DISTRICT FEBRUARY 28, 1977 WELL RECORDS: WELL HOURS STATIC PUMPING COSTS—ELECT. vow. NO. OFF LEVEL LEVEL CUBIC FEET PUMPS, ETC. HOURS 1 790,320 $ 415.70 673 2 1,005,500 584.74 674 3 OFF 19.67 4 OFF 15.40 All 7 pump stations & Alarm-Telemetry Phones 1,075.29 1,795,820 $2,110.80 METER RECORDS: Meters # 4,954 through $4,988 = 35 meters sold. Ar✓ BILLING DETAIL: February $ 43,336.00 Delinquent 5,085.67 6,849,200 cubic feet of water billed. TIGARD WATER DISTRICT February 1, through 28, 1977 SCHEDULE OF DISBURSEMENTS GENERAL FUND CHECK# PAYEE AMOUNT ACCOUNT 18295 TWD - Bond Sinking Fund 22,600.00 700 vow 18296 Guy Williams 179.00 530 18297 Monogram Homes #3A-260 15.00 121, set 1 18298 Steve Speigel #9-91-14 3.50 121, set 1 18299 Ron Aiken #10A-181 6.00 121, set 1 18300 Art Lutz #4957 Refund 500.00 406 18301 Tigard Station Paid Men 40.00 201 18302 King City Branch - U. S. National Bank 2.70 201 18303 King City Branch - First National Bank 13.00 201 18304 Frank's Disposal Service, Inc. 9.00 201 18305 Queen Pump Co. 84.90 201 18306 L. H. Cobb Crushed Rock 1,680.00 201 18307 Hinds Supply Company 30.75 201 18308 Doug's Auto Parts 75.94 201 18309 State of ORegon - Employment Division 285.00 201 18310 Watt Welding Supply 4.15 201 18311 Consolidated Supply Company 95.40 201 18312 Cantel Incorporated 2.10 201 18313 Miller Paint Co. , Inc. 30.96 201 18314 Willamette Industries 106.78 201 18315 Halray Auto Supply, Inc. 7.75 201 18316 Knauss Chevrolet 5.89 201 18317 Coast to Coast Stores 11.00 201 18318 Marine Lumber Company 24.70 201 18319 Case Power & Equipment 59.47 201 18320 Inventory Data Systems 39.96 201 18321 Chevron - shop gasoline 534.00 201 18322 Frahler Electric Company 289.86 201 18323 Portland Typewriter 120.00 201 18324 The Tire Factory, Inc. 91.48 201 18325 Alaska Steel Company 31.50 201 18326 Homelite 127.81 201 18327 Valley Auto Parts 10.45 201 18328 Badger Meter, Inc. 901.08 201 18329 Pacific Stationery 124.14 201 18330 Southwest Office Supply 42.10 201, 518 18331 American Brush Company 20.32 201 18332 I B M 59.66 201 18333 City of Lake Oswego 7,864.78 201 18334 Water Metrics Co. 22.50 201 18335 Utilities Supply Co. 58.08 201 18336 Waterworks Supplies Co. 2.29 201 18337 Pacific Water Works Supply Co. , Inc. 35.30 201 18338 B & B Auto Supply Co. 63.80 201 18339 Chevron - credit card 173.35 201 18340 Meter Box Equipment Company 4,016.95 201 18341 Cascade Microfilm Systems, Inc. 913.47 201 18342 Sanderson Safety Supply Co. 114.18 201 18343 Goodyear Service Stores 3.50 201 18344 Secretarial Answering Service 25.00 518 18345 Metro Southwest Chamber of Commerce 40.00 517 18346 Wheelock, Niehaus, Baines, Murphy & Ogilvy 55.59 519-1 '4+1, 18347 Oliphant & Bates, Insurance 13,085.00 515 18348 Petty Cash 54.05 201, 516, 518, 518-1, 18349 U. S. Postal Service 500.00 518-1 /527 18350 Robert E. Santee 611.08 500 18351 Nancy L. Larson 299.79 506 18352 Janice E. Roderick 187.08 506-1 18353 Annie L. Schwartz 165.14 506-1 18354 John P. Miller 541.09 502 TIGARD WATER DISTRICT February 1, through 28, 1977 SCHEDULE OF DISBURSEMENTS GENERAL FUND (cont.) CHECK# PAYEE AMOUNT ACCOUNT 18355 Russell A. Thomas 431.49 501, 504-1 18356 William C. Bryant 457.35 504, 504-1 18357 John C. Dixon 346.09 501-1 18358 Harold H. Kuehn 262.00 503-2 18359 Gregory M. Storeder 285.54 503-1 18360 Robert M. Adams 318.85 503-1 18361 Michael G. McDermott 242.43 501-2 18362 Donnie R. Foster 432.23 503 18363 Randy J. Volk 403.77 503-1 18364 Curtis D. Heintz 239.81 505 18365 Ervin A. Soot 300.84 505 18366 Travport, Inc. 544.70 240, (430) 18367 Robert E. Santee 657.72 500 18368 Nancy L. Larson 294.39 506 18369 Janice E. Roderick 187.32 506-1 18370 Annie L. Schwartz 165.06 506-1 18371 John P. Miller 526.48 502 18372 Russell A. Thomas 358.48 501 18373 William C. Bryant 395.88 504 18374 John C. Dixon 401.28 501-1 18375 Harold H. Kuehn 147.19 503-2 18376 Gregory M. Stroeder 263.26 503-1 18377 Robert M. Adams 238.61 503-1, 504-1 18378 Michael G. McDermott 307.48 501-2 18379 Donnie R. Foster 333.83 503 18380 Randy J. Volk 351.55 503-1, 504-1 18381 Curtis D. Heintz 199.14 505 18382 Ervin A. Soot 300.84 505 18383 Social Security 1,942.84 211, 509 18384 U.S. National Bank - Federal Deposit 2,525.20 212 18385 Department of Revenue 918.00 213 18386 Blue Cross of Oregon 558.55 215, 507 18387 Washington County Federal Credit Union 808.00 216 18388 Banker's Life Nebraska - Dental 191.11 217, 507-1 18389 Banker's Life Nebraska - Life 39.74 217 18390 Family Cancer Plan Insurance 36.20 218 18391 General Telephone Company of the NW 363.65 522, 525-1 18392 Portland General Electric Company 2,092.44 522-2, 525 18393 Frank's Disposal Service, Inc. 13.00 201, 522-3 18394 Western Freight Assoc. 23.85 518 18395 Oliphant & Bates Insurance 1,031.00 515 $77,034.56 TWD - GENERAL FUND - FNB 167 TWD - General Fund - USNB $ 112.00 107 BOND SINKING FUND None milow BOND CONSTRUCTION FUND - Issue 1976 114 TWD - General Fund 10,723.24 235 115 Benny Larson 500.00 541 116 Richard L. Martin, Inc. 65,415.58 541 $76,638.82 Tigard Water District 2-77 Regular Meeting February 8, 1977 PRESENT: Clarence F. Nicoli, Chairman Don W. Thomas R. Verne Wheelwright Robert E. Santee, Administrator John P. Miller, Foreman Kenneth W. Baines, Attorney VISITORS: None. The meeting was called to order by Chairman Nicoli at 7 : 34 p.m. Motion was made and seconded to approve the minutes of the last meeting, as written. Motion carried unani- mously. Motion was made and seconded to pay the vouchers. Motion carried unanimously. A draft report of the water quality of the Willam- ette River at Wilsonville prepared by ST&R was reviewed. The one-year testing program covered by the report indi- cated that the quality of the water, in its raw state, essentially met the standards of the Federal Safe Drink- ing Water Act. Further, it was concluded in the report that "the Willamette River at Wilsonville lends itself to a standard water treatment process" . The finished report will be available within a month at which time it will be disseminated to all interested parties. A discussion ensued on possible restrictive mea- sures to be taken in case of a water shortage. Motion was made by Verne Wheelwright and seconded by Don Thomas to approve annexation of Tax Lots 1400 (18. 84 acres) and 1401 (0. 22 acres) , Map 2S 1 11D, owned by Mrs. Mildred Barker. (This area is a portion of an island located north of Tigard High School) . Motion carried unanimously. Motion was made to adjourn at 8: 26 p.m. Motion carried unanimously. • '' - . . " C "2.7 Y(...)".'f., N. Y. 5, 1976 Ccr•.7..n :ieaus, Baines, !--.'.r.nhy -7, • • 7r2.in Plaza - a?:•_77-11):Tr', :•--: 13 7-, to :0-It'orn yc,n. Ccin7c1ttee han ,)17 1',-evi :nieni A -i rat:!_r7s r,,re ass-:r77eC -: - onOs 7ot yet "1)CC(:'71, defiritive vi cre nnid, ond the "77:ininio-r1'." in rel,love „ 'Naar that ve riay maintain the eurrercy r this ratinn 007 —ind of the loan, -ce ii equire eur:'en; firn.ncial na-",f..en„ We will ap7.-ociate cr cont-T-.1yc cc-7nrnt.,-7 -'s*e Sincerely yours, , J:71..c:ksen F7c-7.utive Vice Preside-,,t •