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City Council Packet - 06/07/1962 d T I G 'A R D C I T Y C O U N C I L 'i MINUTES OF MEETING JUNE 7, 1962 x. BUDGET .HEARING Those present: Mayor Phillips, councilmen Aitken, gerha�SnSnd Woodard, and from the Budget Committee Rutherford, pietila, Girod and Ball. ' Mayor Phillips-called the meeting to order at S:00 P. M. 'There ' being no citizens present to`register suggestions or complaints �.t on the 1962-63 Budget, which lead been published May21, 31, and N�, June 7, and would be published again June 14, "1962, and the Ssc meeting having accomplished it's purpose, Councilman Verharen p MOVED to adjourn, SECOND by Councilman Aitken, and approved: e: Meeting adjourned at 8:05 P. M. �£s Respectfully submitted, Via. Clerk c fi z• y�. k June 7, 1962 TIGARD C .T. T Y ';C OUNCIL May 1962 Bills presented for payment .lune 7, 1962: Sewage Disposal Fund Balance April 30, 1962 - - - - - $6,339.99 Check No. 141 Tigard Sand & Gravel (11450 S w 90th) 13.00 142 Portland Concrete Pipe & Products(sewer repair) 21.70 143 Portland Gen.Ele&•tric (Plant electricity) 133.79 144 145 aaiu � oT -ug2uti Z.ic(-P}la1n?nt Gl ae "j< �' 8370..621 )o 5 146 James L Savage (April 162 Accounting Service 100.00 147 West Coast Tel.Co. `(� office phone) 13.12 148 West Coast Tel.Co. (Plant phone) 24.75 149 Frederick A Anderson ,(Legal Service 3-1/4-16-62) 232.'50 150 Pacific Stationery (office supplies) 7.30 151 'Coast-to-Coast Stores (Plant supplies) 12.89 152 Bonita Glass Shop (Plant repair) 15.08 153 Pennsalt Chemical Corp. (Plant Chl6rine) 37.50 154 International Business Machines_(Elec.Typewriter) 427.50 155 Dr'R A Bissett (Credit Report on applicant) 2.50 156 Tigard Water District (May '162 office rent) 30.00 157 C E Janoe (May 162 truck rent) 70.00 158 11 M-Propst (May 162 Adding Machine rent) 5.00 159 C E Janoe (May 162 net salary) 410.61 160 B J Edwards (May 162 net salary) 193.29 161 Pearl C,Brandon (May 162 net salary) 274.22 162 Public Employes Retirement Board (May 162 65.64) 113.46 To adjust last Quarter '61 '47.82) 163 Mote's Pharmacy (May 162 Collection fee)- 14.58 164 Petty Cash (Sewer Plant; Supplies 2.10 )< 4.23 (Office Supplies Balance- - - - - - - - - - $4,065.11 Street highting Fund Balance April 30, 1962 $921.52 Check No. 102 Portland Gianeral Elec.Co. (Dist #1) 165.37 Balance - - - - - - -$756.15 Sewer Construction Fund #1 Check No. 107 'Duplex Tray Co. ;(special Projects) $222.11 108 Portlandconcrete Pipe & Products 184.62 406.73 i 'z