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City Council Packet - 11/10/1969 TIGARD CITY COUNCIL REGULAR MEETING NOVEMBER 10, 1969,7:30 P.M, FOWLER JR HIGH SCHOOL LIBRARY ROOM AGENDA: 1_ CALL TO ORDER 2. ROLL CALL 3. PLEDGE OF ALLEGIANCE 4. APPROVAL OF MINUTES, OCTOBER 27, 1969 5. WRITTEN COMMUNICATIONS 6. APPROVAL OF BILLS $114,036.76 7. MONTHLY REPORTS (a) Administrator (b) Building (c) Finance (d) Police (e) Public Works (f) Library 8 ENDORSEMENT OF LIQUOR LICENSE RENEWAL APPLICATIONS (a) Ron Dreeszen, Green Valley Tavern, Malt Beverage Class A (b) C. J. Hess, Lone Oak Restaurant, Class B Dispenser (c) Safeway Store, Tigard Plaza, Package Stcre Class B (d) Recommendation of City Administrator 9.. APPROVE SUBDIVISION AGREEMENT, J. ALLAN`PATERSON, BROOKWAY' SUBDIVISION (a) Continued from October 27, 1969, Council Meeting Recommendation of City Administrator 10. APPROVE CONTRACT, J. W. BRAYSON, BELWOOD, Acceptance and Bonding Those Items Not Completed As Per Conditional Use .Permit (a) Continued from October 27, 1969, CouncilMeeting Recommendation of City_Administrator 1.1. PROGRESS PAYMENTS - IMPROVEMENT DISTRICTS Derry Dell Leron Heights 98th Street Canterbury (a) Recommendation of City Administrator 12. OTHER BUSINESS 13. CALL TO AUDIENCE FOR THOSE DESIRING TO SPEAK 14. ADJOURNMENT a T 1 G A R I+ C I T Y C` G t; N C REGULAR MEETING NOVEMBER 40, 1969, :30 , , , ROLL CALL: Present: Mayor E, G. Kyle, Co :'c-: m.r, F'?oyd H Bergmann, Eaniel L. Larsen. k I ert. re 1FAM ,n A, Anderson, City Attcrne}; Etephr r. Administrator; Keith C. Thomps-n . ,. r_.. r ;-r;i :.c Works; G�ris Aartig, City Record•ei Absent: Councilman Thcn,as M PLELGE OF ALLEGIANCE 3 APPROVAL OF MINUTES, October 27, 1969 (a) Approved as submitted 4 WRITTEN COMMUNICATIONS 'a) Letter from State Highway Engineer r�yar,i: sta:iet._ of traffic light at intersection of S. W. 6-4th and 99W (b) Letter of resignation from Elton Phi;lips. ;ne:mber c_ Planning Commission. Council accepted resignation and reguEsted City to prepare resolution for his years of serc_ce (c) Two letters of commendation regarding police depart:---r', _rc:n William S., Haskett and Cheryl Sharp. 'd). Reprint from Public Works Magazine regard'.!.a Master i,_r Tualatin Basin by Gilbert Meigs, Consult,r,c Engineer: 'e) Letter from Clackamas County regarding hear rg :cn way and construction for extension. of DeavertCr.-T_gttrd :'rZ:.. Way east to Lake Oswego. Hearing will be held C:ecember 9, 1969. 1 APPROVAL OF BILLS $114,036.76 (a) Motion to approve: Councilman Moore, seconded by Counc iman Larsen. Approved by unanimous vote of Council. presEnt. 6. MONTHLY REPORTS 'a) Motion to accept monthly reports: Ccunc!imao Bergmann, seconded by CouncilmanLarsen. Approved by unanimous vote of Council present. 7 ENDORSEMENT OF LIQUOR LICENSE RENEWAL APPLICA -'CNS (a) Ron Dreeszen, Green Valley Tavern,"Malt Deverace Class 'A C. J. Hess, Lone Oak Restaurant, Class B D;,--miser Safeway Store, Tigard Plaza, Package Store C:�iss B Girod's Super Market, Package Store Class B (b) City Administrator stated police department made an investigation and recommended renewal, (c) Motion to`approve: Councilman Larsen, seconded by Cour.ciiman ' Bergmann. Approved by unanimous vote of'Council present, 8 APPROVE BROOKWAY SUBDIVISION AGREEMENT, J. ALLAN PATERSON (a) City Administrator recommended Council authorize Recorder and Mayor to execute contract upon receipt of signed agreement by subdivider (ti Motion authoriz.ng -ayor and Recorder to execute agreement- on behalf of City: Councilman Larsen, seconded by Councilman Bergmann. Approved by unanimous vote of Council present= 9. APPROVE BELLWOOD SUBDIVISION AGREEMENT, J. W. BRAYSON (a) Council and staff discussed and established a policy to require all subdividers to post a corporate surety bond. (b) Motion by Councilman Moore to authorize Mayor and Recorder to execute agreement on behalf of City and change line 3, of item 2, page 1, to "corporate" and line 4t "$18,000 Seconded by Councilman Bergmann, Approved by unanimous vote of Council present. 10, PROGRESS PAYMENT #2 - Derry Dell Improvement District $26,683 65 (a) Motion to approve: Councilman Larsen, seconded by Councilman Moore, Approved by unanimous vote of Council present, 11- PROGRESS PAYMENT #2 - Leron Heights Improvement District $1,122,60 (a) Motion to approve: Councilman Moore, seconded by Councilman Larsen, Approved by unanimous vote of Council`present, 12, PROGRESS PAYMENT #2 - 98th `Street Improvement District $8,262,45 (a) Motion to`approve: Councilman Moore, seconded by Councilman Bergmann. Approved by unanimous vote of Council present. 13� PROGRESSPAYMENT #3 - Canterbury Lane improvement District $2,316,62 (a) Motion to approve: Councilman Bergmann, seconded by Councilman Larsen. Approved by unanimous vote of,Council present, (b) City Administrator explained`contract has expired after 30 day extension. Reason for extension was that right of way has not been completely`clear, ' Contractor 'feels'he will be'able to complete lower portion of street within two weeks. Upper half has been delayed as Water Department had to build a concrete vault in front of storage tank in street right of way. City Administrator recommended giving Contractor an extensionof additional 30:days on that portion 4 of the street in front of Water District being the-approxi- "�iy cast 00 feeL. 'No actio taken on.lower portion cif .uaw c.as a'street. - Page 2 - Council Minutes 11/10/69 W Motion by Councilman mime approving r comme<nd_,ion of City <:......7 ..G ,. 60condodby C:vuuol lmun Bergmann Approved by unanimous v to •:af Counc,i .. .sent. OTHER BUSLNESS A Mr'. Markus of Wcolaich Tire „ '+:r Service rcgucsVCd C'rr:ctl consideration with respect to ndit_onal use granted tot installation of Good Year Store Sign The changes requested are: 1, Add new sign W previously approved freestanding sign with "Woniach 'fire. and Auto Service Center" on it as shown on thL= pians presented. 2 The new sign will be Internally illuminated as shown on z.hc plans presented.; no exposed neon signs will be allowed. 3. The new sawn will be Permitted b c use signing a.r: � the building tpreviously approved; will be reduced as shown ;n the plans presented, a copy of which will be s_..._ to the City, Emily Wied, City Plannut, tequested copy or plans be submitt•Ed for City Records. a. Motion to allow changes as requested: Councilman Moore, seconded by Councilman Lasser, Approved by unanimous vote of Council present, B. Mayor Kyle stated he had received a request rrom Mr. Boselr.on to use city street sweeper on U. S. Bank paiking lot, Matter: was discussed by staff and Council. Council requested City Administrator to explain problems and probable cost to Mr Hoselton, C. Administrator recommended Council agree to pa*ticipate in Metro- Radio Network sponsored by` CRAV Cities ane Courties will participate. Tigard'-s share would be approximately $2,050, and could be included in 1970-71 budget, Councilrequested Adminis- trator indicate City intends to participate in program. D. Adjournment 8:40 p.m City ATTEST: I Ma Page 3 - Council Minutes 11/10/69 BILLS PRESTNTFU FOR P!=' November 10, 1969 GHD,'ERA Fun U. fi NATIONAL 39'N I Balance as of Sept. 30 1a6917,04.4', October Receipts 5,667.12 From Time Deposits 20,105.33 Bills Paid - October 27, 1969 2,094.57 Balance 10,935.4r, Check No. 5241 Robert Q Noore - Parking 12) 75.00 5242 Otto .Sorg - Library hent 115) 150.00 5246 W. B. Saunders Co. Book 16 6.95 5249 Dept. of Motor Vehicles -Teletype serv±J16� 2'.75 5250 a n - License SuspensionF (11) 35.00 5251 Stephen Telfer - :embership Dies 40.00 "revel 29.90 (12) 69.90 5252 Dept.. of Motor Vehicles - Employee Training (16) 50.00 5253 Institute of Gov't.& Public Aff^irs - Book(12) 2.00 5254 Stephen Telfer - Travel 12 200;.00 52.55 United Air Lines - (SMT) Travel 1.2� 232.00 5256 National Safety Council - I=tarshp,i_ues 16^) 15.00 5257 Postmaster 12_) 80.00 5258 Montgomery W rd .: Co. - Building Improvement_ (18) 135.66 5300 Petty Cash (12) 1.67 (13) 4.10 (24) 21.70 (15) 7.32 (16) 8.09 (16A) 8.00 (18) .72 81.60 5305 Oregon Ass�'n. Chiefs of Police - Mbrshp.Dues (16) 20.00 5306 Rachel Cobnny - Witness Fee 11) 6.04 5307 Dick A. Cooper- 11 " 11 5.00 5309 National Municipal League - ."Membership 12 10.00 5310 Eagle Flightways 14 10.00 5311 Gerald R. Pdwards 2 DonAld Rea - Travel 16) 23.30 5346 E. G. Tyle - Expenses 10) 38.10 5347 General Telephone lei 232.28 5348 Northwest Natural. Gas Co. 181 2.1.76 5349 Portland General Electric Co. '_8 54.96 5350 Tigard Suter District 18 8.50 5351 Anderson & Dittman (11)175.00 (18)768.60 943,60 5352 Beaverton Dodge, Inc., Car Repair (16) 2.14 5353 Business Equipment Bureau - Printing (11) .79 (12) 144.24 (13) 5.31 (14) 17.63 (16) 87.41 (16A) 29.61 2.84.-99 5354 Butler's Tiro R Battery - A.uto_Repairqgj 214.00 5355 Flowers by Donna -, m. BowesPuneral 10,00 5356 French f, Dutchman - Maintenance 8 163.50 5357 Howard E. hoer, Sr.- Supplies (16 32.50 5358 Multnomah Couxty - Office Supplies 12 21.39 5358 File'Cabinet J r:" : 1E 83.60 5359 Nine - T- Nine - Auto Service (16 10.11 5360 Northwest Industrial Laundry - I.iaintenance((18 18.55 5361 Shell oil Co., - Gas 16) 20.42 5362 Southwest Office Supply Office Supplies (14) 11.56 (16) 11`.55 23.11 5363 Tigard Autmotive Supply - Auto Repair 16) 1.30 _5364 Tigard Pharmacy - Film 1.6 8.58 5365 Union Oil Co. - Auto Service 16 82.05 5366 Cornell, Hovland, Hayes €c Merryfield 14 394:04 5367 City, of Portland -`supplies 16 21.12 5368 Standard OilCo. - Gas 116 14.99 5369 J.Thayer Co. - Office Supplies (12) 6.79 (16)'21.70 28.49 5370 Johnson Acoustical & Supply Co. - Ceiling in City Hall (18 1,102.00 5126 Wisconsin Dept. of' jdministration (Void) (16}) ( 4.80 Salaries,es, Taxes 5 T1educticns 18,113.0 7 ) � 23,325-55 Book Balance 117,609.91 SEJAG-,! DTSPO1111, FUND, U. S. �.TION.AL A Balance as of Sfe T)tember 30, :'3693O3,f33 October Receipts 1-1.,01 59 From Time Deposits 61,9x,0,58 To Rood Fund - idote 9,0x0 Q0� Dills P id October 2'j, 1069 c, 4,4»0.6£1, Ba1.an^..e •..7 f:.72 ^hec1, NO. 1782 Jncob 'oonif , Jr Ju�.ta. Koo- oi,r Lc " Attorney - n�rt 2 5 j' r 1783 "illsrd O. Pavtor Lit P ton - riser-ent�3?.5) 0 1784 Curtis C. ^ij,ard Juli, . T ...3rd - , . ('2 ', 0. 01785 Lloyd Penperl iEr x2 (Q)1786 J„JPaggastis, D vidJ Ai ex inder I. Arthur J. 3 7sther Poulin paserient f32 11 11 11 .4 107.50 1787 11 - (32.4) 315.00 1791 A. ,�� P Underwriters - Iron I1t.Investment Pe fund- :;ewer Connection Fee 1 2,c 1793 First Natio:;l 'Bank - . r X57.00 king �znd ,,<.94 1794 Ronald r. JOhnson Iileage 30) 1.76 1795 Circuit Court of ' a hington Co. -Logel 1_,000,00 1796 Robt. G. F-. arjorie ,. Pape Lincoln Co,savings z- Loan E,-re ont (3�,r 1 91.50 1797 Fred F. Truenx, ,,1 n. Bogan, Eldon R,Fa Doris Br nch - Rasement 32. '•1 135.00 179E C. J Iontag F_- Sons, Inc.,-- Construction 32.=5 2..,961.95 1799 '-Bryan Morrison, Inc., - 32.5 801.00 1800 Under pond Construction Crl,-Construction ,2.3 �,T77,60 1801 Delia Cose - Easement 32,4.) 9.0.00 1802 Lynn m Miller, Leota J. Miller c: I'lise t5'arnstaff - Easement 32.4 384.00 1803 Carl L, Finley S- ^ a^garet Finley32,4) 195.00 1.804 Roger Thomssen - Recording fees 32.4 6,00 1813 Sheriff of ' Pshington Co Recording Fee 32.5, 17.10 5300 Petty Cash - (30) 1.25 (31) 8.75 10,00 339 Virginia Olsen, Nieta Kelly - >emorit (1,2.4) 410.00 5347 General Telephone (30) 3.20 (32.4) 2.70 5.90 5348 NorthwestNatural Gas Co. 30 83,61 5349 Portland General _Electric Co. 30 289.75 5350 Tigan 14'ater District30 25,1.25 5351 Anderson & Dittman (30) 64.95 (31)253.70 (32.4)48.12 (32.5)10.35 377.12 5353 Business Equipment Bureau-Printing (31) 17.85 535E •',ultnomah County - Equipment repairs 30 37,44 5361 Shell Oil Co. - Gas 3o 219.72 5362 Southwest Office Supply 31 34.91 5363 Tigard Automotive Supply ()) .99 5364 Tigard Pharmacy Film 3i 29.83 1821 A. e,"P, Underwriters - Iron 114t.Investment Refund -'Serer Connection Fee 8,752.00 1824 Beryl G. 'Rich Iileage,(32.3)2.60 (32.4) 6.96 (32.5) 15.04` 24.60 1835 Ronald Johnson - r7 le age (301 7.1 2 1836 ericzn Industrial Service - i,aintennnce (30``� 22.86 1837 American Society of C vil Engineers - Ibr. 31J 25.00 1839 Ingineered Control Products Equipment Repairs 3C} 31.74 1840 Oregon Blue Print Co. uplies 31) 11.50 1841 Rogers Machinery Co. - ':quipment ".aintenance (30)146.00 - Equipment rental (31) 22.21 168.21 1842 Title Ins. Co. (32.3)18,00 (32.4) 93.00 (ten JJ335.00 446.00 1843 Traffic Safety Supply - Equipment main. (31) 18,60 1844 U C.R C 0., Inc., - Supplies 30 127.79 1845 Christ The King Lutheran Church - Easement(32.4) 82.50 -_ 1846 Bearing Sales & Service Equipment Main. 30 7,82 1847 Insurance associate Fire Ins.Policy 30 219.00 1848 Marsh, Mclennan', D K. FacDonald & Co., 30 10.00 1399 Valley Auto Parts (30)2.65 (31) 2.90 5.55 5214 Oregon State Hvri. Dept, (Void) (32,4) { 10.00) Srill:G" DI^POSolI FJITID (cnntId) CI!eck r.To U. S. national Bank -Printing Choc cs IC; t; Spl.ories, T,:xes & Deduction:; 4,991 99 67,972.-94 Book ?::lance ;` 4045.0' STATE TAX STREET :'[UB, U. S. UATIC1 A BAN!: Balance as of September 30, 1969 3,605 October Receipts From Time Deposit nr•, 6 Bill_ Paid October 27, W69 ( 1C.;.35) Balance 5.494.27 Check No. 1376 Feennughty Machinery Co, Equipment Rental (20) 3551.00 5357 Trow^rd F. hoar, Sr. - Supplies ?2O} '2.50 5367 City of Portland - Supplies 265 36.56 5365 Union Oil Co. - Supplies 20 1393 IIomelite - Supplies 19011^ 01) 30 1394 ?ren R. Ilumke Co. - Supplies X20 18.28 1395 3 r,;. Company Supplies 1201 123.00 1396 pacific Bldg. materials - Supplies 20 8.50 1397 Permancst Products Co. - Supplies 20� '75.00 1398 Tigard Sand A Gravel Co. = Supplies 20 31.00 1399 Valley Auto Parts - supplies 1201 22.50 Salaries, Taxes A Deductions 2,134.06 2,884.76 Boot: Balance j 2,609.51 ROAD FUND, U. S. N TIrYAL BANK Balance as of September 30,:,1969 ( 5,711.44) Wtober RecUpts 320.50 rrom Time Deposit .08 From Sewer Fund - Note qo 5,000027.08 Bills Paid - October 27, 1969 ( 274.64) Balance 45,361.50 Check No. 1329 Union Oil Co. (Void) (20) ( 37.12) 1377 Chas. Z Shepard - Contractor2.1.3) 13,902.02 1399 Valley auto Parts - Supplies (41.1)) 6.03 1400 UnitedPipe P Supply Co. Supplies (41.1) 5,723.27 1401 Pacific Steel ;larehcuse Co. Supplies (20) 209,70 1386 .John S Hagman - Nileage (41.1 8;�?2 1824 Beryl G Rich - plileG' (2.1..3) 24.56 1841 Rogers-Nachi :nery Co. - Supplies (41.1) .S3 5300 Petty,Cash 5347 General Telephone 20 50 5349 -Portland General Electric Co. 20 2.50 5350 Tigard'.Mater District 120 12.00 ( 19,853.51 Book Balance ." 28,507.99 a SHIM CONSTRUCTION FUND , U. S. NATIONAL B.•"NK 740.55 BANCROFT BOND 7;'2 n INT., U. S. NATIONAL BANK 850.98 BANCROFT BOND #3 & INT., U. S. NATIONAL MY 292.84 Raw BANCROFT BOND i14 F INT., U. S. NATIONAL BANK 280.10 BANCROFT BOND #5 E INT., U. S. I?ATIONAL BANK 49.52 TOTAL PAYABLES 0114,056.76 TOTAL BANK BALANCE ti 55.226.58 4 a MEMORANDUM November 7, 1969 TO: Mayor and Council FROM: City Administrator SUBJECT: Progress and Status Report 1. CITY HALL REMODELING Our remodeling project is approximately 90% complete. The old Council Chamber space has been converted into offices for the Police Chief, Captain Adams , evidence storage and a small con- ference room. The ceiling and heating system has been completed. There are several finishing touchs to be completed. The front clerical office will have paneling installed along the back wall and Doris' office will be enclosed. We are also planning a bulletin board - screen to be located at approximately the middle of the public counter. Behind the screen will be a series of shelves providing readily accessible storage for the myriad of forms used by the girls in the front office. The bulletin board side will replace the small legal notice board that was removed with the change of the door locations into the rear portion of City Hall. Remodeling budget withstanding, a new paint job in the front office will be accomplished in order to add some life and a new image for our public. 2. WASTE DISCHARGE PERMIT This morning, we received from the Department of Enviromental Quality, our revised waste discharge permit. This permit reflects the 'order established by the Enviromental Quality Commission duringSeptember. It allows us to continue to discharge into Fanno Creek, a treated effluent meeting the same standards that we have been required to meet before. The only significant change with the new permit is the requirement that no additional sewer connections be made. Stevens, Thompson and Runyan has begun work on detailed engineer ing of our plant expansion. A`meeting with Fred Cooper of tbeir staff last; Wednesday revealed several modifications that are likely to insure a better grade of treatment and additional con- nections. We were 'also `assured that we can anticipate the total cost of the project to remain in the $125 to $130 thousand dollar range We will`be reviewing this most recent modification with the Enviromental_Quality staff and City Council before proceed- ing with final working drawings. 3. ANNEXATION STUDY As indicated before, the Portland Metropolitan Boundary Review Commission would like to see the cities with the metropolitan area propose annexations that are meaningful rather than continue to proliferate our already, gerry-meandered boundaries with indi- vidual lot annexations. I am, therefore, having the staff commence Page 2 Mayor - City Council 11/7/69 a study of several areas outside our existing city limits to determine service costs and benefits to these respective areas. One area in particular was discussed at a joint meeting with the Beaverton City Council. This involves the Commonwealth Property - Cascade Industrial Park and perhaps the proposed shopping center property, all lying south of Scholls Ferry Road. I would urge that you do not publicize this fact until we are properly prepared to analyze and explain the impact to the potential dissenters. 4. COUNTY SERVICE DISTRICT A meeting of City Managers and City Attorneys together with the County Administrator and County Counsel was held in Beaverton, Thursday November 6th. The purpose of the meeting was to explore some of the legal ramifications to the proposed county service district. As you are aware, Fred has posed a question relating to the constitutionality of including cities within the original formation of the proposed service district. There was not an enmity regarding this question amongst all in attendance. How- ever, it was agreed that the County Counsel would request an Attorney General's opinion on this particular question and several other fundamental legal questions. Mayor Moore of Beaverton, having worked in the same office as the Attorney General Lee Johnson, has offered to personally expedite the Attorney General's opinion. It was also agreed that after the establishment of the county service district', a confirmation action would be constituented by the 'newly created County Service_'District Board, which would confirm the; validity; of formation of the district .and prohibit any citizen or taxpayer attacking the formation of the district. I will continue to keep you informed on the progress of the legal action. Ed Wells of the firm, Bartle Wells Associates, the financial consultant hired by the Washington County, Council, is progressing rather quickly on a proposed financial plan for the district. The final draft of this plan is anticipated to be available on about the 15th of this month. This plan 'should be "able'to answer` most questions concerning the financing and position of cities and specialdistricts with thei> treatment plants and trunk facilities.. 5. ICMA CONFERENCE My trip to New York to attend the IC'MA Conference was quite enlightening. I, felt the conference itself was, frankly, rather weak. ` However, ;a number of sessions were very useful. The emphasis of the conference was on Management strategy and the shape of things to come in the 701s. Of particular interest was -a series of sessions involving panelists from private industry discussing ,the subject of private enterprise and its management technique and how they might be used in governmental management. The private sector is far ahead of the public sector in management i page 3 :'Mayor and City Council 11/7/69 techniques involving cost effectiveness and efficiency. Ad- mittedly, the private sector has much more flexibility due to its profit making nature. However, many of these techniques have direct applicatively to governmental management. The subject of management strategy is extremely pertinent in todays cities because of the expanded scope of governmental functions. We are no longer involved with just the physical governmental functions. We are now also involved deeply with the social needs of our residents. The role of the city manager or administrator has become much more complex because of these social problems. This broadeniscope requires more emphasis on goals, priorities and systematic solutions. The administrators two principal leadership tasks are; 1. To cause the participant in the system to feel ownership in it and responsibility for it. 2. To help create and participate in a decision system which takes full account of the many interests within the government in the community to be represented. After the conference, my wife and I traveled to Boston which I found to be a very vital city with an excellent mixture of colonial America and well done urban renewal. We rented a car and toured a portion of the New England states and then flew to Washington, D. C. for a one day tour of the metropolitan area. My feelings regarding the need for open space and vertical or high density building was strengthened more after looking at Arlington, Virginia. This area of the country is a combined city and county and has been the subject of, in my opinion, excellent city planning. Along the major expressways, they have taken great care to build centers of five to ten story buildings in clusters, spaced 'one-- half to one mile apart. Visually, this creates an interesting skyline, maintains an open spacious character and facilitates the traffic and circulation problem. The quality of the buildings resulting from the construction over four stories in height adds some 'permannency and avoids the potential slum character of lesser quality construction such as we are experiencing in the Portland metropolitan area. 6. The National Leaque ,Of City Congress to be held in San Diego is not far away. I believe you have each received copies of the information regarding this convention and I would 'urge you inform either Doris or myself if you ,plan to attend so that we may, make appropriate lodging and travel arrangements for you. Respeqfully submitted, SMT/bns CDOoOO o0 0O0c;1 00 O G O C O O v1 0 0 0 0 O O OOOOC Ori C v O� v�O _ O C+n O O O t—C r c--N N O. .(D - C, O ^ ^ O co H d-CO CT,H V UD r-i F H NF O Hri r1 S O N r-1 r r-a c F73 {,3 ttJ 7 u3 tri tri' N U O F' O m U U] z3 O d mi F ri O 6� O - a) d + D d a) 4- hD U U U U O S-, U 0 H s~ P 0-4 'a U a7 ri r-I hD'c9 f-1I •,-+•rl s~ E H N cd POI cd H cd d Pa v)W bDE O W+ Pi ;.4 O O 41 P }+ aD W•rl O O O O ?-� (da) a) O 0 0 H c:00 uPi HH Ei 0 C R'.P+ FEi U) U] F U H H_ R7 0� H Ql Py W F-4 W U CD fi � Fi N 0 W N cd c7 c's O H q O:. 4- hp O A ^.G p H IH-I' O •rl 2 a � cdW aS cd b b C+4 Cd U (d--i OH ai riC'. - P1NNU ° pq m a Lia f-i N:� 4D W (,(fir-+OF W Ln L" -A 10co ID CO u\ A CvnLr,3 lfl ifs r-1 H U7 0 0 0 U U U 0:. �": l %� P� a) a) v E E E C", 0 w C+P P uz Cl.,•i ur..i m o aU o 0 Pi . .i tn•13 a A4IAo od cd.x r..S+: ocd d of.H Fes, O (d E W 41 - 2 (d c3 cd 0 U `:.a W r-1 W 6 0 EiH H U7 FINANCIAL STATEMENT REVENUES October 1969 1969/70 Current Year to GENERAL PUNS Budget Month Date Available Cash 7/1/69 *$ 36,077. Property Taxes $ 38,618. 88,848. -0- 293. Delinquent Taxes 9,872. -0_ Land Sales & Advance Taxes 2,594. 25. -0- LICENSE AND PERMITS Business $ 12,500. $ 526. Liquor $ 11,332. Plumbing & Heating 100. 10. 15. 5,000. 895. 2,414. Building 20,000. Moving 646. 5,980. Sign n S0. -0- -0- Bicycle 300. 10. 60. 18. FINES AND FORFEITURES Court, etc. $ 24,000. $3,117. $ 7,132. USE OF MONEY AND PROPERTY Telephone Pay Booth $ 50. $ 10. $ 21. Interest 500. 108. 154. REVENUES FROM OTHER AGENCIES Cigarette Tax $ 13,160. -0- Liquor Tax 18,095. $ 2,967. Trailer Sales Tax -0- 5,527. 250. -p- _0_ Traffic Safety Grant 5,979. -0- -0- CHARGES FOR`�CURRENT SERVICES Zoning Adjustments $ 3,000. -0- Document Sales $ 100. 600. 70� Library Fees & Fines 239. 375; -0- ' 144. Recreation Use Fees 1,000. 189, Lien Check 309. 350. 16. 122. Sub-division Application Fees 1,000. -0 ' 50. FRANCHISE REVENUES' Portland General Electric $ 18,200. $ -0 $ 10,157. Northwest Natural Gas 4,100. -0 2,405. Telephone 7,000. -0_ Garbage 3,155. 1.960. '.169. 615. NON-REVENUE RECEIPTS Unclaimed Property Sale $ 200, -0- $ 69. RECOVERED EXPENDITURES Adm. of Sewer & Public Works $ 65,010: -0- $ ,16,252, Gas Tax Refund 800. -0- 1;.232. OTHER $ 11000. 7. $ 7. "TOTAL GENERAL FUND *$339,651, $5,775. $1 ,111,981s , *Includes Supplemental Budget Page 1 Revenues SEWER FUND 1969/70 Current Year To Budget Month Date Available Cash 7/1/69 $211,989. $199,105. CHARGES FOR CURRENT SERVICES Sewer Service Charges $ 70,200. $10,978. $ 26,018. Sewer Connection Fees 77,868. 35. 52,385, Sewer Construction Inspection 2,500. -0- 680. LICENSE & PERMITS Sewer Permits $ 500. -0- $ 142. USE OF MONEY & PROPERTY Interest $ 3,000. $ 471. $ 2,814. REVENUES FROM OTHER AGENCIES State Subventions $ 2,325. $ -0- $ -0- Federal Subventions 8,424. -0- -0- RECOVERED EXPENDITURES Assessments Engineering, etc. $ 5,500. $ -0- $ 363. Assessments Legal, etc. 2,000. -0- -0- Other Recovered Expenditures 500. -0- -0- OTHER $ 50. -0- $ 386. IMPROVEMENT DISTRICTS TOTAL SEWER FUND $384,856. $11,484. $281,893. STATE TAX STREET FUND Available Cash 7/1/69 $ 11,561. S 13,936. REVENUES FROM OTHER AGENCIES State Gasoline Tax $ 49,162. -0- $ 23,585. USE OF MONEY Interest $ 50. $ 9. $ 81. TOTAL STATE TAX STREET $ 60,773. $ 9. $ 37,602. ROAD FUND Available Cash 7/1/69 $ 9,358. $ 9,342. Revenues from Other Agencies $ 18,980. $ 30. $ 1,199. County Road Tax 10,000. -0- 347. CHARGES FOR CURP,ENT SERVICES Permits $ 100. -0- -0- Public Works-Construction Fees< 900. $ 150. Sale of Street Signs 400. 60. 160. Other -0 -0- 317. USE OF MONEY Interest $ 75. $ 27. $ 57. Improvement Districts TOTAL ROAD FUND $ 39,813. $ 117. $ 11,572. Page 2`Revenues 1969/70 Current Year to BANCROFT BONDS #2 3,4,5 Int Budget Month Date Available Cash 7/1/69 $ 45,221. $38,071. Assessments #2,3,4,5, 12,000. $ 383. 2,718. Interest 4,958. 152, 911. TOTAL BANCROFT BONDS $ 62,179. $ 535. $41,700. GENERAL OBLIGATION BONDS Available Cash 7/1/69 $ 22,563. Taxes 2,505. TOTAL OBLIGATION BONDS $ 25,068. "Page 3 Revenues FINANCIAL STATEITUET','T rXPENDITURIES October 31,1969 GENERAL FUND 1969-1970 Curr==nt Year to Budget NIonth Date Mayor and Council 3,703. 9 ,'5 Municipal Court 11,130. 053. Administration ! 395. 3!053. BuildingDept. 56,621. 4,395. 16,�?42. 14,685. 1.. 025 4,105. Planning & Zoning 22,279. 1, 316. 4,710. Library 8,552. Police 'Dept. 165,041. 744. 2,290. Police Traffic Safety 7!572. 1?!503. 48,319. Park 539• 1190. 6,412. 200. 807. Non-Departmental 41,656. 3,989, 10!732. Contingency 2 000. Total General Fund ;339,:651. ?:'25,396. "; 93,583. SEWAGEDISPOSAL FUND Operation & Maintenance �'"122,161. 5,545. C ,595.Replacement & Expansion 260,707. 3,110. 17,552. Contingency 1,988. Transfer ( 12,509. ) 0. E. A. 702. 98th Avenue Derry Dell 9,798. 15,059. Leron Heights 27,230. 31,561. Finebrook 2!374. 4,214. Total Sewer Fund ° 1,, 3 2 67zzf. 2 77�5_i. S7'J �-! tirSU, 1- �:1G ,45U. STATE TAX STREET FUND Operation & Maintenance "' 52,306. Park Dept. 8 i 3,047. a' 1?_,971. Contingency 1300. 367, Total State Tax St. Fund dr 0 773, r 3,,U47, 12,971. ROAD FUND _ ! Operation F. Maintenance 39!426. z* 206. Cook Park 5,996 2,032. .' 6 Canterbury'Lane 97. 13,927. 22,573. Contingency 387. Total Road Fund 39,813. x;20,IT ,' " 32,302. SPECIAL ASSESSMENT DEBT FUND Bancroft Bonds 1,2,3,4,5 $ 16,958. 553. GENERAL DEBT FUND General Obligation Bonds $ 26,754. ` TOTAL BUDGET $857,'037. „99,303. $240,867 PJ-11.. C u DEFAR'rMENT CONSUL-IMI`ED MG)MHLY" REPORT _ MONTii OF OCTOBER :19 69 DISTR iBi,.1?' ON SOF P RSONNE4L NUMERICAL i AVERAGF PFRCENT STRENGTH DAILY ABSENCE! ABSEI10E AVERAGE EFFEECPIVE STRENGTH End cf j Sa i� T 15, this month!cion*, i moi1. rr)n.,h aiwnt"7i mon :n mon!_n m.n mcn h ,a yea i i � i� ias V..r year TOTAL PERSONNELI 12 1 8.0 I 4 8 144.4 0 ...40%.....,_._ lo.0 _.. i 8.3 7.2 CHIEF®S OFFICE i u.._ 39-_ ' 2.3 SERVICES DIVIS° -.0 2 _' !.6 ,9 a �..__ -4._ 2•9 .. _1.1v. _ s _ PATROL DPi . 8 ¢. 5i.7 _d�.8�M!}1.2% 14.0._ f _.__6.9u INVEST SECT. m � cm 0 0 _ ' 0 i Q O " . uv_- FORCE ONE 2--.- _8. r 1.1 Y �1 . .2_d7_ 2t3 _._°9 r FORCE TWO o _ ,' 6 �!•2 ° 2.1 1146•x, FORCE THFWE i9_L 1.6 {__._4(?, . ,. _2•_ W� sa 2.1 ee,'= 2. CHANGES IN PERSONNEL, s-- DATLY A.VERAGE�.PATROL STRENGTH to Present for ,duty end of last rron hvo... � This Same month mon'Ih last year 2. Recrait.ed during month.......o..6.866o.. 2 3. Reinstated during month.........0 0 o a o 0 0 v _i 1. Total nuxfbBi a.ield Total to accountf(7"oo0000 ..0000 -:��� CffiCers0000 IO 8 2. Less Agents Assig= 4. Separations from the service, ned to Investi.gatao ,_ 0 ' (a) Volis?tary resignation o..o 0 o I. � ='• Average� daily abs- ences bs-ences of field off- (b) Retirement ..e o o............ I .cers owing"to.- (c) Resigned with charges pend ::g (a) Vacation9 ausp- (d) Dropped during probat4 on.... i ens?on., days of (e) Dismissed .for cause e o 0 0 0 0 0 0 compo "tr189 ata. 4.2 3»1 (f) Killed in lane of du.y o.o.. _ (b) Sick & :Injured. .9 .2 (g) Deceased ....o..000uo....vw. m � (c) Schools, eta... .6 0 Total separations o o o o o o.o o o o o o 1 Total averageda.i�� r absences..0. 5e7 °3 5. Present for duty at end of month �. Available for duty. Page one P; '_'_(:E riEpAfj,rjjFjJ`r n rr: ii\fDF} AND F');.'CT ACS V,,,,,; 'REIND v. �lnFFtdSE.? i<nTU'iJPi .. _ CHPN+.F ao trc. Yea- t N r ce . Nl mre Pe r Z e Nor net` i t mar.5 ra_.. �........_...00 0 0 0 + 0 i: Rape T, 0 1 0 f 0 0 +100, 3. _2 _._ __..b . .__ _ ._,.. 0 I +200 i. �LL i2�� a r 1 2 " 4 i 0 i +200% I 0 _ , Ass a 7 a I1 i 1 0 � 6 > 0 _ 1._.__.._ . .__,. 0 0 0 +10 ._.�_.._ R t i + t rt Wean Pk0200 w 3 �3 F �7 etc.t. O 0 0 0 0 0 d+{ o � o No For L1a= 2 _ +150% +i ��1 lam`' o At� . _. ? 60 ��r ',}._�m.�,.._z.._._.��,. 7_�; �_6?+,2-: 2 _ }250 ' 43_ I +49% i e A.utc T.. of- Ou lrldrAx !n 22 151 i 7 + �228 12 1g + ._.� �.,�.—. �e `am.� lb„ ii`.ans1'ughtle 1 { ... ' t Neglge: 0 ! 0 0 1 0 e 0 0 (No;. A€g a a 3 1 4 12 3 ' 200 m i 12 ' 0 6b Larciny j)"1(.C- c o 00 2 107 12 0 ! +103 +4 PARI 7t7:At 1 22 . 1° i 2L2 Total.: �a r r I7�s�l �tE 66 —12c' h86rT� C criminal Cal:s Total Ca' S Lir Se r -E 211 ce 246 9 2 + + ..� _ 9— 5 v _200,3_. .5_.6%: a � Wage: two POLICE DEPARTMENT MONTHLY REPORT OFFENSES CLEARED BY ARREST YEAR. TO DATE NUMBER OF OFFE.hJSE v °T- F'ER ENT OF OFFENSES CLASS IF CATT'ON OF CLEARED BY ARREST uI4RED BY ARREST OFFENSES . I Tota? G_.�a,r a' Bb Arrest of Total_ Cleared B - of. (Par* T,. Classes) � R y Arne Pe sons Ua ar „, ;$ Person Under 8 __.7_ _._.__--�_ Th s 1 a Phis Ian This Last This L,as r tear° Year. Year Year Year YPari � Year Yea .1„ Cr"minal HcmWc de I a Murder, and Non II negljgent Mans .aughte4 0 ! 0 0 0 0 0 0 0 b. Manslaught=er by Negligence 2. A c c"ble Rape ° _ 'total _ 1 0 � � �_...._,. 0 0 � 10 <�o Rape by Forc_R �1 b, Atternp+, Rape 0 .W. . YO 0 —0 0� ' 0v 3- Robbery Total ." bo No Weapcn 4. Assault Total _.-9_e=o._ _m 2 m 0 l ao Geri 4 d 0 - — m b. Knife -- c. Other Weapon 2 00.E d- Hands, etc. 1G 1 0" -._.a._-- � ° 0 0 0 0 0 0 0 eo `Other Assaults T -- (Not Aggravated) 0 025% 42% 0 0 5. Burglary Tonal 2 5 -18 7% 48 7% 27% a, Forcible Entry ��:� 18 8 ba No Farce Used I 'f 2 z 2 02 � 7 0 o Attempt Entry 0 0 0 0 0 0 0 6. Larceny a- $50,00 & Over � 7 2 1 5% 16% 3% 2% tip Under $50oOG 29 38 lq m_ 27 27% 37 18,E ' 26% 7® Auto Theft ' 5 7 3 4 83% 78 50% 44- GRAND TOTAL G 49 � :. n 8 30 53 18 8 11 22 Page three LEPARTMEN'l' Ni()T':H ;i REFI RT OFFI dSF` FiNUTP@ CH IN iE C,LAAS 7 I YCA t ;ON O � OFFENSE }� r."v7' t lk 1. Y a - `i` - "e a n r' i t's at.- Mr*i:,: . Sane Pe 7;Gd tI•'a. _.:. i _.isJ9' .f Mon.- . ,,..:.:-,..._...................._.,..._...• i ,''rZ. �E'°'- I-'E. ":. � N— e " Per:'ent. .de F fit.;;, & tea•...,, ; ! r fe g 16 ` 2 0 LL ._..:� _ . .._..1o5.. .3. Stolen Propert,Mom. 12 4. SAF.apcns C r-:.les 0 ! 0 2 -20G 5. Sex Of.f sev -...m._ (E-xc p Raz :) v _. 9 0 0 50 Dr-ug Laws 0 15 s 8 +87% 18 8. 9. M'--orderly _ 100 iTanda7 y� �- 90 U.. Curfew Tru nnyIto 12. R-o a.way & A ffi _ Esc aps e E 2 13,, Arson =..m .+27 � bi ° o o 534 � -67% o_Al Other Z6 i PART 1I. TOTAL 3 s 66 461 �' 74 -12% 486 -5% _ PMPICE VEHICLE REPORT ?Jr _t T Miles_Drivaza Final Miles Gas Use i Oz.s. Used Repairs & x Ce tpew a±tale;to Maintenance Operate Vehicle 2 3,309 31,367 386 gal 12 qt. $287.30 Plo.8 - 3 4,910 33,628 603 gal 12 qt. $31.92 3.30 4 1,353 29,897 1211 gal 12 qt. $25.30 4.00 L UNITS 9,572 ------ 1,113 gall 36 gt. $344.52 6.0 Page four- syr FIE Fr. OF OFFENSES ril LD >,Y ARP Pa! C IL 1 I T _..... I L ' + 5''. _.. F F G 6 0 0 0 8b� 0 0 T Y p C Tl . � 7 °.e. ( _. .5% 11 775% ? 1 92ro 6! 75% 9x w 1)r 0 ( 0 0 _..._ ,.. ._ .....,... w..,. -. . ..__,._. 0 10 0% 0 0 0 1 i f 11",", h 1. , __ ..... . .__.. 3 _. �....... 731 _._. ti..-.._3.7,1,.— —17%- 6 17f _. y ¢ _ - ,o 40 2 ' 86' loo ' 68� 6 rr t V 16 16 r 0 4-- 3 . X100% 93% 12 t ?1 26 ! 65 .,_ 889 ! 22rn _ r.. 29 I - i I r .. 4 m _ 7 i 31t7 != 27ro .. 37% 20% 13,�A �L o 88� G RAAD TUIPA1 i LO�t 1218 + 125 99 1al�� )a6` 2 21% OTh'LR A01'1lr T?'..E3 - - -— C`�AS, FZ�AiIGN >F Arlr�rzrsES HIS MONmH� M'� SAr1)s MONTH ISS 7, YEAR` Va a,.,4:. lic ist r heck5 Mai 181 0 �6 86 2. Open Door's & Windows Fou:n+ 3- SPec..a,!, Prowl Check's Made 3 4 ¢ ' .r __�. X9.5 _.916.. A� ytC R �_derad c �1-Ytc: Agey" 2 7 q. } We3 T a.r,.C;e Served pan,. m...u.aa � � d 0 q F elzi .'i` 4, r cgat R.ct Reports, Made .�r 8. Routine C=oTnp-la.rItsI, aes t,.g .,ed 102 _ 149 9. Cr me, Reported and -Envestigated o 0 0 101 r l tOTAILACTIVITrN5 "_ 2,227 1.459 Pag e fi.7e - tF � ,iJ AN- A .� FFCCIV RF i IN('IJJDTNr P114D ' HEGKVALUE 01' FI,tIEi . S FRUPFR'l I ST,)1 c i N: , _ 4'A 2,1�3q,6� FRC)PFRI"Y S`01,LN .`rn.,4 F ;T. tI :A77 ... rROFr7rtA r RE ; ERIp .._i.' TION'' 'P 'AST ""EA ' VAICIE 3LUl1 lin cl'Ech-sa C'A_,C 122 10 BAD CflEC'u•S , VA...L _ h ': P.riF ::UN r:I AS: YEAR ISAD C'IiH 1.h::"S� VALUE }TC .' I rl*r r, TiU r G8 83 BAD C i ECKS VA "A ME vIAR e � ._..,130.69_- PROPER Y '.C)ST THIS MON'-u JAI` - � ,-.._ None._.. .._ FROPERmY LOST SAP'F YON ,. LAST YEAR ?A'a,?J'E M- OFERTY F{:UNILI T9'iS M10"N'Till AI.riJ ' _ �. .. .12. 8... _...: F1 7FE T Y POUND ,SA_ME N1UN r_I VA."" I:C'65' FOR. --f-ILS WINIIT i _. .__.._���..,_,_._1l 9.13 - (,A '? rA;F,t, A.=CIDEN7 .SUNLIPLR' ACCIDPUi :tx^A 17 14 +21% U2 Fat u l 0� () -� � - 1 � 0 +100 Q _l �i Pe ria , 12 ropy Y y Dares e o i :p 3 s30012 r 12 0 yi Hit Ri 2 2 0 18 12 +50% — _. ENFORCEMEN7 SUMMARY 1 Tu ¢ MJNrr �* T YEAR TO DA'L'E his Year Tai* Year,, 19 I TraFr G Tgn� 180 � .?.�9, .��.�2 % - h� -117 0 t hE r C 01a:tJ 0 's n. li Via'._ Q r .0 2 �-12� 4211 _ 27 N- D.U. Baa 6 3=_ ±lam x Acids a , & C.� a' on 2, 10 2 +400% 70 ) 35 +1oo PageS��x - "'KA'_'H .:Y REFORT rrU tZA CSF ;AF„TC FidFOR.UEMENT H r) r r; m j S Ha,;, ,u ti V t o t I 7 ' staaJ TT .. E 4 � S Rule ( peed t g) � 3 +33% 24 89 198 _111 W mr cp ? Pa'is g �us ti 2 2 r Y y 6..,�,._� ! +167 impa 60% R gi of 2 Fc�_ cwm ig Too C rr._, .�. +30% � No or ii7lpT per' S_"zn " C 0 - --� 1........-s.._., �_...�_ ,. +1,00% a.ef'.��l S.agw.......,a„ ,i. _ .._ f q x3T7lB�9 +11% a� 6 0. . -h =21 t � I �� Vlc"Iatixm, 134 99 V of a+ on 43 Parking VI.olat_or.5 ` e'Va 24 27 287 -_ 3a +2 CLERTCAL DATA ACTIVITY_ �THIS MONTH Rads Messages_�E_og.ge ,a c Js U ----------- ;;e— a- - . e— Calls Logged m-o---»-----------ma--------- -----®le t�,560 -- �_ Cardv Typeda d Filed ----------- 3 771 /nn -- - m e cts ----------------------------------- 972 Ass±st s G-i car ;gin Other Ager v o o ---- - — ()the: A.`?- l, e - 188 UNPAID OVERTIME LOGGED Hi AuE PERSONNEL�T ` THIS MONTH' _ SAAB MONTH LAST YEAR HOURS 149 HOURS End of reports for Month olf OCTOB�R _ 19 6 ffugh H. Wilkinson Chief of Police PUBLIC WORKS DEPARTMENT REPORT FOR OCTOBER, 1969 1. SEWER DIVISION REPORT: A. Monthly Data STATE CRITERIA TOTAL AVE. DESIGN CAPACITY Flow (gal) 26,433,000 911,000 700,000 Solids Collected (gal) 36,960 1,945 -0- Chlorine Used (lb) 1,600 55 BOD (ppm) 72 20 Suspended Solids (ppm) 38 20 MPN (per 100 ml) 3,600 1,000 Plant Efficiency 56% 560 85% B. The recirculation pump for the primary digester was out of operation twice this month affecting the plant's operation for the first 1/2 of the month. Also, the primary clarifier was out of operation for about a week affecting the plant's performance. All items are back in operation now. C. A dye test was performed on the chlorine contact chamber October 20th. The average time over the weir was 12-14 minutes. The state requirement is 30 minutes. D. The pump station at 113th was rebuilt. This, pump is operating at capacity and the pump station will have to be revised as soon as our shut down is lifted, that is considering the projected load from this area. E. The revision to pump station number 2 behind Oregon Film ware- house has been completed. If; you will remember this was an addition to the Bonita-Pinebrook Sewer Project. F. The flows in several sewer laterals ,in the City are apparently overcapacity. Three areas of concern have been noted. They are along Burnham, Center, and the S. W. 'Pacific'Highway sewer extension. It is; probable that these lines will have to be enlarged the next budget year. We will know for sure after this winter. II. PARK AND STREET DIVISION REPORT A. The irrigation system at Gook Park has been completed, in the field. The pump ;and controller have not been installed. B. The street sweep is working quite well. We have 173 hours of m operation for a' total of _672 miles 'since may. 4 Page 2 Monthly Report October III. ENGINEERING DIVISION - A. The contractor has not started on 91st or Cook Park Road. A stop work order will be given to him on the Cook Park Road to prevent the project from costing the City for extra gravel and etc. B. The Brookway and Creasmer Subdivisions have been progressing very slowly. C. The L.I.D. projects underway at this time are nearing com-- pletion for the winter. The status of the projects are as follows: Derry Dell Sewer 30% complete Closed Down 98th & Commercial 90% complete Completed by November 15th Leron Heights 50% complete Should be completed by November 15th Canterbury Lane 57% complete Extension of contract expires november 10 D. TRAFFIC COUNTS TAKEN Street At 1968 1969 S. W. Park 99W 507 S. W. Main Street RxR 4200 S. W. Watkins 99W 202 S. W. Frewing 99W 1214 S. 'W.`Garrett 99W 338 Respectfully submitted, KCT/bns