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06/13/1978 - Packet TIGARD WATER DISTRICT 8841 S. W. COMMERCIAL ST. TIGARD, OREGON 97223 PHONE (503) 639-1554 '1rr June 13, 1978 AGENDA CALL TO ORDER 1. RESOLUTION TO APPROVE MINUTES OF LAST MEETING 2. VISITORS 3. RESOLUTION TO PAY VOUCHERS 4. ELECTION OF OFFICERS FOR FISCAL YEAR 1978-79 , COMMENCING JULY 1, 1978 5. OTHER BUSINESS ADJOURNMENT wrr ADMINISTRATOR'S REPORT 1. Resolution to approve minutes of last meeting. 2. Visitors. 3. Resolution to pay vouchers. 4. Election of officers for Fiscal Year 1978-79, commencing July 1, 1978. Past officers and years of service are as follows : Fiscal Year From To Chairman Secretary Treasurer Jul 1974 - Jun 1975 V. Wheelwright J. Schwartz C. Nicoli Jul 1975 - Jun 1976 D. Thomas G. Chamberlin C. Nicoli Jul 1976 - Jun 1977 C. Nicoli H. Brown G. Chamberlin *..• Jul 1977 - Jun 1978 H. Brown J. Heater C. Nicoli Positions up for reelection on April 2 , 1979: Position Number Name 3 Clarence Nicoli 4 To be appointed 5 Hugh Brown 5. Other business. 6. Appointment to Position #4 to fill vacancy due to resignation of Gene Chamberlin. Jon K. Dueker and John Schwartz have expressed a willingness to serve if selected to serve the remaining portion of the term to expire on June 30 , 1979. ° - Don Thomas would serve, but would rather not due to the many commitments he has this summer. -1- ADMINISTRATOR'S REPORT (Continued) miaow 7. Water pumped from wells, Calendar Year 1978 . Month Actual *Actual Allocation 1978 Cubic Feet Acre-Feet Acre-Feet Remarks Jan -0- -0- 88 (All wells off) Feb -0- -0- 88 ( " ) Mar -0- -0- 88 ( " ) Apr 3, 553,450 81. 6 88 (#4 well off) May 4, 071, 030 93. 4 88 (#4 well off) 7 , 624 ,480 175. 0 440 * 1 Acre-Foot = 43 , 560 Cubic Feet Actually pumped in prior years: 1974: 924 Acre-Feet 1975: 930 Acre-Feet 1976: 847 Acre-Feet 1977: 575 Acre-Feet 8. Unmetered water, Fiscal Year 1977-78. 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 % May 1978 4 , 071 3, 402 (L.O. ) 7 ,473 7 , 555 (- 82) 0% -0- (Port) Total: 17, 312 76, 864 94 ,176 89 , 563 4 , 613 4. 9% Summary of water purchased and/or pumped & water losses: FY Well Lake Oswego Portland Water Losses 1973-74 48% 52% 0% 11. 1% 1974-75 40% 59% 1% 16. 2% 1975-76 39% 59% 2% 7. 4% 1976-77 33% 65% 2% 5. 5% 1977-78 (11 mo. ) 18% 74% 8% 4 . 9% -2- ADMINISTRATOR'S REPORT (Continued) 9 . Percentage of Bull Run water purchased for computing amount due for Systems Development Charge, FY 1977-78 . Month & Well Lake Oswego Portland Total Bull Year Cu. Ft. Cu. Ft. Cu. Ft. Cu. Ft. Run Jul 1977 1,478 ,780 8, 090, 600 2 ,065 ,700 11, 635, 080 17. £0 Aug 1977 4, 837, 780 5, 992, 800 5, 198, 400 15,028 ,980 34. 6 Sep 1977 4 , 037 ,070 4, 020,900 657 ,400 8,715,370 7. 5 Oct 1977 251, 560 7 ,087 ,000 -0- 7 ,338 ,560 0. 05 Nov 1977 -0- 7 ,176, 700 300 7,177 ,000 0. 05 Dec 1977 82, 870 7, 229, 800 300 7,312,970 0. 05 Jan 1978 -0- 8 , 631,000 -0- 8 , 631, 000 0. 05 Feb 1978 -0- 7 , 253 , 600 100 7,253, 700 0. 0 Mar 1978 -0- 7 , 667 , 300 100 7 ,667 ,400 0. 05i Apr 1978 3, 553 ,450 3, 344, 000 -0- 6, 897 ,450 0. 05 May 1978 4, 071, 030 3 ,402 , 300 100 7 ,473 ,430 0. 05 Total: 17, 312 , 540 69 , 896 , 000 7 ,922 ,400 95,130 ,940 8 . 35 (11 mo. ) -3- ADMINISTRATOR'S REPORT (Continued) 10. Work accomplished during May 1978 . a. TWD installed 1, 300 feet of 8" D.I . + 3 fire hydrants along S. W. 76th Avenue, north of Durham Road, to serve existing homes in that area. b. TWD installed 160 feet of 6" D.I . pipe + 1 fire hydrant along S. W. Gravens Road, east of Pacific Highway, to serve two existing houses. c. TWD installed 400 feet of 8" D.I . pipe + 4 fire hydrants and an 8" fire sprinkler tap for new lumber facility located on S. W. Hunziker Street, near Western Foundry. (NORTHERN PACIFIC YARDS, PALMER LEWIS , INC. ) . d. TWD installed altitude control valve at #2 reser- voir in preparation of utilizing 10-MG reservoir as the terminal reservoir. e. TWD installed 37 meters. ( 5482 - 5446) . District also serves 41 meters out-of-district. Total: 5, 523 . "'■" 11. Work scheduled to be accomplished during next FY. June 1978: a. TWD install 1,360 feet of 12" D.I . pipe + 2 fire hydrants along S. W. Beef Bend Road, 123rd to 127th Avenue, to complete circulation loop and serve existing homes. b. TWD install 900 feet of 6" D. I. + 2 fire hydrants along S. W. 150th Avenue, north of Sunrise Lane, to serve 3 existing houses. c. TWD install 340 feet of 6" D. I . pipe + 1 fire hydrant along S.W. 111th Place, north of Fonner Street, for new development of 13 single family dwellings . (WILDERNESS, Sam Gotter) . d. TWD install 1st phase (18 homes) for new develop- ment of 99 homes located near 115th Avenue, Fairhaven and Terrace Trails, consisting of 540 feet of 8" D.I . pipe and 320 feet of 4" D. I. pipe + 1 fire hydrant along S. W. Genesis, Nova, and Venus Avenues. (GENESIS) . e. TWD install 1" PVC service line to Grange Hall located on Pacific Highway and Watkins Avenue (and move .11,,,,,,. meter) to replace 1" galvanized ("so-called") main. f. Inventory all supplies and material and prepare for long hot summer. -4- ADMINISTRATOR'S REPORT (Continued) ,.. June 1978 (Continued) : g. Private contractor install 1,060 feet of 6" D. I. pipe and 160 feet of 4" D. I. pipe + 2 fire hydrants along Oakmeadow Lane, near Durham Road and Alderbrook Drive, to serve 35 new single family homes. (SUMMERFIELD #11) (TDC) . h. Private contractor install 120 feet of 24" concrete cylinder pipe + 1 manhole along Hazeltree Drive to drain 10-MG reservoir into drainage system of HAZELTREE Subdivision. July 1978 : a. TWD install 640 feet of 8" D. I. pipe and 850 feet of 6" D. I. pipe along the easterly extension of Sunrise Lane, from B.P.A. to Hi Tor reservoir to complete circulation loop and replace 4" O.D. steel pipe. b. TWD install 640 feet of 8" D. I . pipe along S. W. 141st Avenue, south of Bull Mountain Road, and 1, 370 feet of 6" D. I . pipe on Bull Mountain Road, east of 141st Avenue, to parallel for pressure and replace 6" O.D. steel pipe. c. TWD install 680 feet of 12" D. I . pipe along S. W. Hazeltree Drive and 440 feet of 6" D. I. pipe + 1 fire hydrant along Duchilly Court to serve remaining 19 single family dwellings for Mr. Robert and Gary Ames. (HAZELTREE or AMES ORCHARD) . d. Private contractor install 1,450 feet of 8" D. I . pipe, 1, 350 feet of 6" D. I . pipe, and 100 feet of 4" D. I . pipe + 4 fire hydrants for new development of 40 single family dwellings located north of Bull Mountain Road, near 117th Avenue. (SHADOW HILLS) . e. Private contractor install 1, 040 feet of 6" D. I. pipe + 3 fire hydrants for Phase II of ALDERBROOK Apartments, (63 units) , and 560 feet of 6" D. I . pipe + 2 fire hydrants for Phase III of ALDERBROOK Apartments. (63 units) . (SUMMERFIELD) (TDC) . f. Private contractor install 1, 250 feet of 8" D.I. pipe, 60 feet of 6" D. I. pipe, and 530 feet of 4" D. I. pipe + 3 fire hydrants for new development of 30 single family dwellings located on S. W. 92nd Avenue, north of Sattler Road. (LAUNALYNDA PARK) . -5- ADMINISTRATOR'S REPORT (Continued) August 1978 : a. TWD install 300 feet of 12" D. I . pipe under Fanno Creek on Durham Road, near 76th Avenue. Also, TWD install 660 feet of 12" D.I . pipe under Fanno Creek on North Dakota Street to complete circulation loop. b. TWD install 1 ,300 feet of 12" D. I . pipe + 2 fire hydrants along S. W. 72nd Avenue, Kable to Upper Boones Ferry Road, to serve new commercial development. (EQUITIES NORTHWEST) . c. TWD install 1,170 feet of 12" D. I. pipe and 810 feet of 8" D. I. pipe + 4 fire hydrants along 74th Avenue with a circulation loop to S. W. 72nd Avenue, near Kable Street, to serve new commercial development. (SOUTHERN PACIFIC INDUSTRIAL PARK) . d. Private contractor install 990 feet of 6" D. I. pipe + 2 fire hydrants for development of 15 single family dwellings on Pathfinder Way, 107th to Walnut Street. (YOLO ESTATES) . e. Private contractor install 900 feet of 8" D. I. and 1 350 feet of 6" D. I. pipe pipe + 3 fire hydrants along S. W. Lakeside Drive, near 98th and Sattler Road, to serve 43 new single family homes. (SUMMERFIELD #12) (TDC) . September 1978 : a. TWD install 2, 260 feet of 12" D. I. pipe + 4 fire hydrants from Fern Street pump station to 132nd Avenue pump station to parallel for pressure and elim- inate the Fern Street pump station. b. TWD install 380 feet of 6" D. I. pipe and 110 feet of 4" D. I. pipe + 1 fire hydrant along S. W. View Terrace for new development of 10 houses . (DOUGLAS HEIGHTS) . c. TWD install 1, 030 feet of 8" D. I. pipe, 2 ,340 feet of 6" D. I. pipe, and 100 feet of 4" D. I . pipe + 7 fire hydrants for new development of 75 single family homes located along S. W. 92nd Avenue, south of Durham Road, across 92nd Avenue from Tigard High School. (KNEELAND ESTATES) (Donald E. Pollack, Inc. ) . d. TWD install 60 feet of 6" D. I . pipe + 1 fire hydrant to new office building on Sandburg Lane, near 72nd Avenue. -6- ADMINISTRATOR'S REPORT (Continued) Now October 1978 : a. TWD install 980 feet of 12" D. I. and 1 ,400 feet of 6" D. I. pipe along S. W. Gaarde Street, 121st, and access road to #2 reservoir to replace 6" O. D. steel pipe, pressurize 23 homes on Rose Vista Drive, and prepare for service line to 36" D. I . transmission main along S. W. Gaarde Street, including a pressure- reducing valve in concrete vault. b. Private contractor install 340 feet of 8" D.I . and 140 feet of 4" D. I. pipe to serve 14 single family dwellings along S. W. Highland Drive, east of 109th Avenue. (SUMMERFIELD XI) (TDC) . Future Developments: Units a. New Tigard Elementary School ; 660 feet of 8" D. I. pipe + 3 fire hydrants near Katherine and 124th. b. Canterbury Woods Apartments: 510 feet of 8" D. I. and 1,100 feet of 6" D.I. pipe + 5 fire hydrants at 109th and Murdock St. (76 units in 9 buildings) 76 Now c. Morning Hill (formerly Wedgwood) : 335 single family dwellings to be constructed on the Sunamoto Ranch located at S.W. 135th and Walnut St 335 d. Summer Lake: 148 single family units , 76 duplexes, and 48 multiplex units to be constructed at the old Stark airport, located at 131st and Scholls Ferry Road 400+ e. Garden Place Park: 43 duplexes to be con- structed north of Gaarde, between 110th and Pacific Highway. (2 ,050 feet of 6" D. I . pipe and 430 feet of 4" D. I. pipe + 5 fire hydrants) 86 f. Hambach Park: 15 single family dwellings and 13 duplexes to be constructed along Hall Blvd. , south of Bonita Road 41 g. Scheckla Park Estates: 68 single family dwellings to be constructed on the northwest corner of S. W. Hall Blvd. and Sattler Road 68 h. Tangela Court: 6 duplexes to be constructed along S. W. 95th Avenue, south of Greenburg) . (290 ' 'o- of 6" D.I. pipe + 1 fire hydrant) (Gordon Carpenter) 12 i. Waverly Meadows: 45 single family dwellings on S. W. 80th Court, north of Bonita Road, and east of Hall Blvd 45 TOTAL: 1,063+ -7- GENERAL FUND BUDGET REPORT ESTIMATE ESTIMATE + OVER 1976-77 1977-78 1976-77 MAY 1977-78 1976-77 MAY ACCUM. 1977-78 - UNDER ACCOUNT ACTUAL BUDGET ACTUAL BUDGET ACTUAL ACTUAL BUDGET ACTUAL BUDGET Beginning Working Capital 63,833 111,000 75,593 57,450 61,527 63,833 111,000 129,437 + 18,437 INCOME: 406 Meter Installations 224,925 235,300 31 ,765 25,000 21,700 216,125 202,500 202,685 + 185 407 Line Extension Rebate 1,800 3,000 -0- -0- -0- -0- 3,000 5,764 + 2,764 408 Miscellaneous Income 34,593 9,000 10 750 (58) 6,974 8,250 2,421 - 5,829 412 Interest Income 369 600 -0- 50 -0- 369 550 -0- - 550 418-419 Water Sales 587,754 651,800 45,595 42,500 47,099 531,082 587,700 548,673 - 39,027 425 Penalties for Non-Pay 340 600 45 50 120 330 550 580 + 30 427 Sale of Equipment -0- 600 -0- 50 -0- -0- 550 -0- - 550 430 Developer's - 10% Overhead 33,505 24,000 2,108 2,000 4,574 27,331 22,000 23,644 + 1,644 430-1 Developer's - 8% Engineering 17,950 16,000 600 1 ,000 2,314 16,367 15,000 15,957 + 957 430-2 Developer's - Equipment 8,174 8,000 56 700 2,223 7,764 7,300 5,601 - 1,699 430-3 Developer's - Wage Reimbursement 12,142 12,000 72 1 ,000 3,657 11,377 11,000 9,219 - 1,781 TOTAL INCOME & WORKING CAPITAL 985,385 1,071,900 155,844 130,550 143,156 881,552 969,400 943,981 - 25,419 EXPENDITURES: Personal Services 500,1,2,3,4 Salaries 159,498 177,904 12,904 14,800 14,939 146,226 163,200 159,140 - 4,060 504-1 Overtime 5,441 7,200 538 600 475 5,070 6,600 7,372 + 772 505 Field Labor 26,861 32,996 2,539 2,700 1,532 23,009 30,200 25,276 - 4,924 506,1,2 Office Employees 20,422 22,200 1,650 1,850 2,678 18,772 20,350 22,680 + 2,330 212,222 240,300 17,631 19,950 19,624 193,077 220,350 214,468 - 5,882 EXPENDITURES: Material & Services 507 Blue Cross of Oregon - Medical 3,426 7,200 270 600 926 3,158 6,600 7,894 + 1,294 507-1 Bankers Life Nebraska - Dental 880 1,200 80 100 127 799 1,100 1,024 - 76 508 Retirement 7,663 12,600 (262) (450) (358) 7,926 13,050 11,206 - 1,844 509 Social Security 11,473 13,200 1,032 1,100 1,190 10,353 12,100 11,832 - 268 510 State Accident Insurance Fune 10,305 13,200 15 -0- 15 8,323 9,900 9,111 - 789 511 State Unemployment Comp. 2,451 4,800 -0- -0- 194 1,500 3,600 2,275 - 1,325 512 Advertising & Elections 728 600 687 200 5 728 600 63 - 537 514 Equipment Rentals 283 600 10 50 37 266 550 330 - 220 515 General Insurance 16,495 18,000 154 -0- 154 16,495 18,000 17,254 - 746 516 Miscellaneous Expenses 2,077 1,800 156 150 105 1,959 1,650 2,134 + 484 517 Dues & Subscriptions 678 900 (1) 80 -0- 678 830 796 - 34 518,1,2 Office Supplies & Expenses 10,126 9,000 1,152 800 954 9,452 8,300 9,328 + 1,028 519,1,2 Professional Fees 15,732 10,500 65 -0- -0- 15,650 10,500 9,083 - 1,417 520 Meter Maintenance 1,921 6,000 2 500 328 4,003 5,500 2,466 - 3,034 521,1,2,3 Repairs - Lines, Pumps, etc. 4,863 6,000 111 500 353 4,584 5,500 5,122 - 378 1 1 E GENERAL FUND BUDGET REPORT (Cont.) ESTIMATE ESTIMATE + OVER 1976-77 1977-78 1976-77 MAY 1977-78 1976-77 MAY ACCUM. 1977-78 - UNDER ACCOUNT ACTUAL BUDGET ACTUAL BUDGET ACTUAL ACTUAL BUDGET ACTUAL BUDGET 522,1,2,3 Utilities 6,890 7,200 557 600 569 6,051 6,600 6,623 + 23 523 Fire Hydrant Maintenance 2,078 2,400 176 200 -0- 1,830 2,200 258 - 1,942 524 Truck & Equip. Maintenance 5,453 7,200 412 600 320 5,473 6,600 7,535 + 935 524-1 Gasoline & Oil 6,376 7,200 458 600 613 5,742 6,600 6,839 + 239 524-2 Tores & Batteries 778 1,200 (30) 100 -0- 582 1,100 1,210 + 110 525,1 Water Costs - Electricity 30,766 36,000 2,325 3,000 2,975 28,324 33,000 27,166 - 5,834 525-2 Water Costs - L. 0. & Portland 100,005 371,600 7,555 16,900 8,849 89,885 349,000 341,010 - 7,990 526 Interest Expense 984 13,600 -0- -0- -0- 984 13,600 13,492 - 108 527 Small Tools 887 1,200 30 100 129 844 1,100 1,714 + 614 529 Rain Gear, Safety Equip, etc. 1,025 1,200 25 100 23 789 1,100 940 - 160 530 Employee Training 433 600 -0- 50 -0- 433 550 -0- - 550 247,776 555,000 14,979 25,880 17,508 226,811 519,230 496,705 - 22,525 EXPENDITURES: Capital Outlay 548 Fire Hydrants 2,750 2,400 -0- 100 -0- 2,750 2,300 1,945 - 355 549 Equipment 73,738 5,000 449 500 275 72,511 4,500 3,859 - 641 550 Buildings & Additions -0- 900 -0- -0- -0- -0- 900 -0- - 900 551 Meter Installations 38,063 43,300 3,325 3,600 2,629 33,102 39,600 37,298 - 2,302 552 Land & Improvements 8,434 42,000 593 -0- -0- 8,434 42,000 41,244 - 756 553 Operating Contingencies -0- -0- -0- -0- -0- -0- -0- -0- -0- 554 Line Extensions 1,765 -0- -0- -0- (513) -0- -0- 2,829 + 2,829 555 Line Replacements -0- -0- -0- -0- -0- -0- -0- -0- -0- 124,750 93,600 4,367 4,200 2,391 116,797 89,300 87,175 - 2,125 700 Transfer to Bond Sinking Fund 271,200 72,000 22,600 6,000 -0- 248,600 66,000 42,000 - 24,000 Net Fund Balance 129,437 111,000 96,267 74,520 103,633 96,267 74,520 103,633 + 29,113 TOTAL BUDGETED EXPENDITURES 985,385 1,071 ,900 155,844 130,550 143,156 881,552 969,400 943,981 - 25,419 Inventory Balance May 31, 1978 $ 84,656.31 ( ( ( , BOND SINKING FUND MAY YTD 103 Cash balance at first of period 70 353 108 Invested Monies at first of period 113,372 265,307 INCOME: 400 Transfer-in from General Fund -0- 42,000 412 Taxes: Current 453 115,993 413 Delinquent 98 10,116 414 Trailer House -0- -0- 415A Land Sales -0- -0- 418 Interest Earned from Invested Monies 669 8,916 419 Interest Earned from Property Taxes -0- -0- Transfer-in from Invested Monies 450 315,450 1,670 492,475 EXPENDITURES: 585 Bond Principal -0- 167,000 586 Bond Interest 489 161,149 587 Bank Fees & Postage -0- 363 Transfer-to Invested Monies 1,220 164,285 1,709 492,797 CASH BALANCE AT END OF PERIOD 31 31 INVESTED MONIES AT END OF PERIOD 114,142 114,142 TOTAL CASH AND INVESTED MONIES $ 114,173 $ 114,173 ( ( ( ' BOND CONSTRUCTION FUND - Issue 1976 MAY YTD 101 Cash balance at first of period 40 55 106 Invested Monies at first of period 168,150 770,797 235 Due (to)/from General Fund 57,022 (8,524) INCOME: 410 Sale of Bonds -0- -0- 412 Interest Income 1,182 25,785 Transfer-in from Government Pool -0- 688,250 1,182 714,035 EXPENDITURES: 521 Bond costs -0- -0- 522 Professional Fees -0- -0- 523 Bond Interest -0- -0- TOTAL MATERIAL & SERVICES -0- -0- 540 Purchases of Land -0- -0- 541 10MG Reservoir @ 125th & Bull Mt. Road 14,660 254,830 542 Major Transmission Lines (Extensions) 23,091 270,653 543 Pipeline Replacements -0- 73,986 TOTAL CAPITAL OUTLAY 37,751 599,469 Transfer to Government Pool 1,182 86,784 38,933 686,253 TOTAL CASH BALANCE AT END OF PERIOD 40 40 TOTAL INVESTED MONIES AT END OF PERIOD 169,332 169,332 DUE (TO)/FROM GENERAL FUND 19,271 19,271 $ 188,643 $ 188,643 TIGARD WATER DISTRICT MAY 31, 1978 WELL RECORDS: '— WELL HOURS STATIC PUMPING COSTS-ELECT. NO. OFF LEVEL LEVEL CUBIC FEET PUMPS, ETC. HOURS 1 2,029,510 $ 729.64 744 2 1,549,500 663.60 745 3 492,020 383.33 745 4 -0- 16.60 -0- All 7 Pump stations & Alarm-telemetry Phones 1,181.64 4,071,030 $ 2,974.81 METER RECORDS: Now Meters #5,446 through #5,482 = 37 meters sold. BILLING DETAIL: May $ 47,122.00 Delinquent 140.95 7,554,700 cubic feet of water billed. TIGARD WATER DISTRICT May 1, through 31, 1978 SCHEDULE OF DISBURSEMENTS GENERAL FUND CHECK# PAYEE AMOUNT ACCOUNT 19899 Frank's Disposal Service, Inc. 11.45 201 19900 City of Lake Oswego 8,499.00 201 19901 Case Power & Equipment 94.21 201 19902 Willamette Industries, Inc. 494.93 201 19903 Chevron 1,140.62 201 19904 Mr. C's Camera Co. 47.51 201 19905 L.H. Cobb Crushed Rock 2,938.80 201 19906 The Times Publications 37.00 201, 512 19907 Southwest Office Supply 46.10 201 19908 Pitney-Bowes 1,268.00 201 19909 City of Lake Oswego 110.00 201 19910 Homelite Textron 127.61 201 19911 Murawski Inc. 50.61 201 19912 Doug's Auto Parts 6.86 201 19913 Oregon Toto Dist. , Inc. 6.00 201 19914 Donovan's Custom Paving Co. 125.00 201 19915 Bryan Morrison, Inc. 4,570.20 201 19916 A & W Rock Crilling, Ltd. 870.00 201 19917 Cantel Incorporated 19.60 201 19918 Goodyear Service Store 3.50 201 19919 Hinds Supply Co. 2,446.99 201 19920 Meter Box Equipment Co. 238.55 201 19921 Portland Concrete Pipe Co. 3,093.75 201 19922 Rittenhouse-Zeman & Assoc. 176.00 201 19923 Utilities Supply Co. 714.00 201 19924 Woodbury & Company 38.73 201 19925 Western-Pacific Construction Materials Co. 206.40 201 19926 Queen Pump Company 8.875.00 201 *kw 19927 Farmcraft, Inc. 22.05 201 19928 Pacific Stationery 45.95 201, 518 19929 Waterworks Supplies Co. 72.06 150 19930 Badger Meter Inc. 1,219.60 150, 201 19931 Alaska Steel Co. 47.92 150 19932 Power Rents, Inc. 210.00 201 19933 Pacific Powder, Pipe & Supply, Inc. 279.95 201 19934 Secretarial Answering Service 27.50 518 19935 Pacific Paging 29.00 518 19936 State Accident Insurance Fund 15.00 514 19937 Pittsburgh Testing Laboratory 80.00 125 19938 Vic Alfonso Ford 42.12 524 19939 Oliphant & Bates - Insurance 154.00 515 19940 Watt Welding Supply 20.39 201, 524 19941 Everett L. Wiggins 6,204.25 125 19942 Crawford Door Sales of Portland 57.50 521-1 19943 Layton Sales & Supply Co. 100.00 527 19944 Rentex Corp 2.74 522-3 19945 J. W. Fowler Co. 1,402.00 125 19946 Petty Cash 12.89 516, 518-1 19947 General Telephone 380.84 522, 525-1 19948 Robert E. Santee 636.12 500 19949 Nancy L. Larson 321.77 506 19950 Annie L. Schwartz 219.61 506-1 19951 Brenda S. Healy 236.94 506-1 *ow 19952 John P. Miller 512. 13 502 19953 Russell A. Thomas 397.40 501, 504-1 19954 William C. Bryant 404.60 504 19955 John C. Dixon 434.06 501-1 19956 Harold H. Kuehn 277.85 503-2 19957 Robert M. Adams 259.05 503-1, 504-1 19958 Donnie R. Foster 297.74 503 19959 Randy J. Volk 495.08 502-1, 504-1 TIGARD WATER DISTRICT May 1, through 31, 1978 SCHEDULE OF DISBURSEMENTS GENERAL FUND (Cont.) CHECK# PAYEE AMOUNT ACCOUNT 19960 Curtis D. Heintz 333.36 503-1, 504-1 19961 Bonnie D. Hall 310.79 501-2 ,.... 19962 Michael D. Shock 321.12 505 19963 Harvey E. Parsons 286.92 505 19964 U. S. Postal Service 400.00 518-1 19965 Annie L. Schwartz #78-7 54.96 230D 19966 Gary M. Frey #78-7 77.16 230D 19967 Ernest Rivas #78-7 81.81 230D 19968 Marvel Corp. #78-7 77.16 230D 19969 John W. Havery #78-7 37.49 230D 19970 Knauss Chevrolet Co. #78-7 98.94 230D 19971 Jennie L. Thille #78-7 77.02 230D 19972 Robert E. Santee 685.91 500 19973 Nancy L. Larson 332.06 506 19974 Annie L. Schwartz (Final) 512.86 506-1 19975 Brenda S. Healy 244.62 506-1 19976 John P. Miller 547.77 502 19977 Russell A. Thomas 418.30 501 19978 William C. Bryant 477.73 504, 504-1 19979 John C. Dixon 453.80 501-1 19980 Harold H. Kuehn (Final) 419.88 503-2 19981 Robert M. Adams 231.64 503-1 19982 Donnie R. Foster 366.24 503 19983 Randy J. Volk 448.54 502-1, 504-1 19984 Curtis D. Heintz 396.91 503-1, 504-1 19985 Bonnie D. Hall 257.56 501-2 19986 Michael D. Shock 332.52 505 19987 Richard L. Anderson 198.96 505 """" 19988 Public Employees Social Security 2,379.72 211, 509 19989 U.S.N.B. - Federal Deposit 3,164.80 212 19990 Department of Revenue 1,163.00 213 19991 Blue Cross of Oregon 926.00 507 19992 Washington County Federal Credit Union 1,451.00 216 19993 Bankers Life Nebraska - Dental 251.16 217, 507-1 19994 Bankers Life Nebraska - Life 81.05 217 19995 Family Cancer Plan Insurance Company 36.20 218 19996 State of Oregon - Employment Division 194.45 511 19997 Northwest Natural Gas Co. 14.14 522-1 19998 Portland General Electric Co. 2,944.07 522-2, 525 19999 Frank's Disposal Service, Inc. 11.45 522-3 20000 All Metro Spray, Inc. 32.50 521-1 20001 Brewed Hot Coffee, Inc. 16.10 516 20002 Burroughs Corp. 399.05 518-2 20003 H & T Rototilling 40.00 521-1 20004 Rentex Servcies Corp. 148.22 522-3 20005 Gary Boles #3A-116 6.00 121 set 1 $72,915.47 TIGARD WATER DISTRICT May 1, through 31, 1978 SCHEDULE OF DISBURSEMENTS OTHER FUNDS CHECK# PAYEE AMOUNT ACCOUNT BOND SINKING FUND 233 U.S. National Bank of Ore. - Trust Div. $ 488.75 586 BOND CONSTRUCTION FUND - Issue 1976 None TWD - GENERAL FUND - FNB 182 TWD - General Fund - USNB $ 829.00 107 Budget Hearing FY 1978-79 May 9 , 1978 PRESENT: Don W. Thomas, Chairman H. Dale Johnson Clarence F. Nicoli Jerald R. Heater R. Verne Wheelwright Robert E. Santee, Administrator John P. Miller, Foreman VISITORS. None The meeting was called to order by Chairman Thomas at 7: 30 p.m. There were no visitors present to comment on the budget for FY 1978-79 which was approved by the budget committee on April 18 , 1978 . Motion was made to adjourn at 7: 33 p.m. Motion carried unanimously. Tigard Water District 5-78 Regular Meeting May 9 , 1978 PRESENT: Clarence F. Nicoli, Treasurer Jerald R. Heater, Secretary R. Verne Wheelwright Robert E. Santee, Administrator John P. Miller, Foreman VISITORS. None. The meeting was called to order by Acting Chair- man Nicoli at 7: 34 p.m. Motion was made and seconded to approve the minutes of the last meeting, as written. Motion carried unanimously. 4410, Motion was made and seconded to pay the vouchers . Motion carried unanimously. Motion was made by Verne Wheelwright and seconded by Jerald Heater to adopt the FY 1978-79 budget for all funds, levying taxes, and appropriating expenditures as approved by the budget committee on April 18, 1978. (Complete resolution attached hereto) . Motion carried unanimously. Election of officers for the next fiscal year was postponed until either the June 13 or July 11 regular meeting. (Subsequent to the meeting, Gene H. Chamberlin submitted his resignation due to the fact that he could not devote enough time to his position as commissioner. See attached letter. ) . The Administrator recommended and the Board unani- mously endorsed the nomination of Gary A. Pippin, P. E. , Wolf Creek Highway Water District, as the representative to serve on the CRAG Water Resources Task Force for Washington County. Motion was made to adjourn at 8 :19 p.m. Motion carried unanimously. 4446., C. F. Nicoli Acting Chairman RESOLUTION ADOPTING BUDGET, MAKING APPROPRIATIONS, AND LEVYING TAXES 1. BE IT RESOLVED that the Board of Commissioners, Tigard Water District, hereby adopts the budget approved by the Budget Committee on April 18 , 1978 now on file in the office of the Tigard Water District. 2. BE IT RESOLVED that the Board of Commissioners, Tigard Water District, hereby levies the taxes provided for in the budget adopted in Paragraph 1 of this resolu- tion in the agregate amount of $176, 000 and these taxes are hereby levied upon all taxable property within the Tigard Water District as of 1 : 00 a.m. , January 1, 1978. 3. BE IT RESOLVED that the amount for the fiscal year beginning July 1, 1978 , and for the purposes shown below are hereby appropriated as follows: mow, GENERAL FUND Personal Services $ 334,200 Material and Services 408 ,200 Capital Outlay 119, 600 Operating Contingency 10, 000 Bond Sinking Fund 156, 000 Net Unappropriated Fund Balance102, 000 TOTAL: $1,130, 000 BOND SINKING FUND Principal payments (FY1978-79) $ 179 ,000 Interest payments (FY1978-79) 152, 678 Other charges 344 Principal payments (FY1979-80) 56, 000 Interest payments (FY1979-80) 71,978 TOTAL: $ 460 , 000 -la- RESOLUTION ADOPTING BUDGET (Continued) BOND CONSTRUCTION FUND Personal Services $ -0- Material and Services 10,000 Capital Outlay 260,000 TOTAL: $270, 000 4. BE IT RESOLVED that the Board of Commissioners, Tigard Water District, certifies to the county clerk (or other recording officer) , county assessor (or other assessing officer) of Washington County, Oregon, and the State Tax Commission at its office in Salem, Oregon, the tax levy made by this resolution and shall file with them a copy of the budget as finally adopted. ADOPTED by the Board of Commissioners, Tigard Water District, on May 9, 1978. 4 2. °-1-884A . Hug A. Brown Chairman Board of Commissioners -2a- TIGARD WATER DISTRICT 8841 S. W. COMMERCIAL ST. TIGARD, OREGON 97223 PHONE (503) 639-1554 May 10, 1978 TO: Chairman, Board of Commissioners FROM: Commissioner Gene H. Chamberlin SUBJ: Resignation as Commissioner Please be advised that, effective this date, I hereby submit my letter of resignation as commissioner, position #4, term of which expires on June 30, 1979. My employment precludes me from attending some of the meetings and I am not able to devote enough time to the position. I am proud to have served on the Board of Commis- sioners and wish you and the water district the best of luck and continued success. Thank you. Respectfully submitted, .,/4d-Lc-- eed/ ' / . Gene H. Chamberlin ,w. . . GA( ;') WATER DISTRICT Fi W. COMMECit!AL TIGARD, DREDON .97223 46644 PHfltdE (E,L.3) 639-1554 March 24 , 1978 aid B. Eppley y Manager , 'ity of Lake Oswego North State Street Oswego, Oregon 97034 ar Don: • The Tigard Water District, along with the City of Tualatin, it-her governmentaIThodies , are seriously considering the ' vc, !opment of the Willamette River at WilsonVille as a !-3011T-CO, meet init.. he,f-n 1101 it t he 4 Ie 1 of I I * I .11 n and an updal ed (11(1 nef‘r i rig study w i 1.11 cont. t I rid t is 1)0 ncj prepared by Stevens, Thompson & Runyan, . A decision to proceed appears to be at least six menths away. Both Tigard and. Tualatin are interested in making a capital investment to obtain • a high quality, dependable source .of water with some control on their future water supply. Our representa- tive, Commissioner R. Verne Wheelwright, has suggested that the City of Lake Oswego be contacted to determine if there is an option available to "buy-in" to the Lake Oswego water supply facilities. This concept was initially recommended by the Lake Oswego Chamber of Commerce legislative committee in 1975. Per- haps this is a viable alternative, provided your city council is receptive to such a proposal. There does appear to be common . ground for negotiations since Lake Oswego needs capital to com- plete the recommended construction projects (first five years) as described on page 7 of the water rate study prepared by. , Partle-Wells. • Since Bartle-Wells Associates prepared your water rate -!.tudy, it would be appropriate to request their services again, mutual expense, tO advise: us jointly on how we might improve our long range water supply facilities. Please advise if such a concept is worthy of further con- 1deration. • Sincerely yours, u'c',/(::::t,--::;i441- 4.4 Robert V. 'Santee Administrator City of Tualatin Bartle-Wells Associates r • _ 1 CITY OF LAKE OSWEGO CITY MANAGER'S OFFICE: - a May 8, 1978 Robert E. Santee, Administrator Tigard Water I)istr.ict 8841 SW Commercial Street Tigard, Oregon 97223 Dear Bob: 460 At their meeting of May 2, 1978 the City Council considered your letter of March 24th addressing to improve- ment of long range water supply facilities jointly with other governmental bodies. Please be advised that the Council referred your letter to its subcommittee on water. As soon as a report and recommendation are received, we will be in touch with you further. Thank you for your inquiry and for your continuing cooperation with the City. • Sincerely, Donald1B;. Ep 1 ey City Manager DBE:hb 348 NORTH STATE STREET / POST OFFICE BOX 369 / LAKE OSWEGO, OREGON 97034 / (503) 636-3601