HomeMy WebLinkAboutCity Council Committees - Operations - 02/13/1990 EA Cam✓
al+
OPERATIONS COMMITTEE MINUTES RECEIVED
February 13 , 1990 r r t 1 u J d9u
COUNCIL MEMBERS PRESENT: Christi Houser CITY ANAl?''"TRATION
Paul Mann
Jon Johnson
STAFF PRESENT: Jim Hansen
Sandra Driscoll
Tony McCarthy
Rod Frederiksen
Barney Wilson
Fred Satterstrom
Charlie Lindsey
Teri Mertes
SALE OF DRUG FORFEITED PROPERTY
City Attorney Driscoll discussed, for information only, three drug
forfeited properties acquired by the city that are ready to be
sold. They have been appraised and assigned a recommended sale
price. Police Chief Frederiksen added that the city is selling
these properties themselves and are not hiring a realtor. The
procedure includes advertising, showing the property at specified
times, allowing people to submit written bids to City Clerk, and
then coming to Council for approval.
The city will retain 25% of net profits after related expenses are
deducted and the remaining 75% will go to the state. The item is
an information only item but will be discussed with the Council on
February 20th.
MODIFIED UTILITY ADJUSTMENT PROCESS
In response to the Operations Committee request concerning the
Nosler water dispute Finance Director McCarthy introduced a city
policy containing a 5-step process that water customers must
following prior to bringing disputes to the Operations Committee.
The customer will contact the Utility Customer Service unit and ask
for investigation to determine if there is a leak. If no leak is
found then the customer must research further possible problems
themselves. After this the Customer Service Manager will evaluate
the situation to determine if a adjustment is justified. If he is
unable to satisfy the customer then the Finance Director will be
contacted and if no remedy is found then the dispute will be
presented to the Operations Committee. McCarthy added that this
process will be further addressed at the next Council meeting as
Other Business.
PRELIMINARY 1989 FINANCIAL REPORT
Finance Director McCarthy presented, for information only, the 1989
preliminary financial report for December 31, 1989 . He noted the
city is showing a greater year end fund balance position in both
it's General and Capital Improvement Funds. This is primarily
attributable to December sales tax collections received on December
31st. Early in December we were projecting to over collect our
sales tax by 10. 3 percent. Our actual over collection was 12 . 9
percent which represented an additional $172, 000 to the General
Fund. The General Fund also underexpended an additional $125, 000
from its conservative forecast. These in combination with other
minor adjustments allowed the city to start the year with $350, 000
more than anticipated. In our Capital Improvement Funds,
additional real estate excise tax received in December along with
a portion of the sales tax boosted the fund balance to $535,923
above the estimate. $162, 000 of this has been used to prepay the
city share of LID 300 as approved by the Council at their last
meeting.
He also noted as discussed in adopting the final budget in early
December there are some unknowns that are still unknown. All of
our unions aren't settled at this time nor do we know the impact
of the boeing strike. The strike impact on sales tax will be known
at the end of February. The complete impact of union settlements
is still a few months away. Additional updates will be given as
we begin the planning process for the 1991 budget.
HOUSING BOND ISSUE IMPROVEMENTS
Planning Manager Satterstrom explained, for information only, the
process required before the $6.7 million, senior citizen housing
bond issue could be sold. He noted the mayor has established an
advisory committee including some Council, staff and general
public. Finance Director McCarthy added that due to stricter
Federal Tax Regulations the bonds can't be sold until an
implementation plan is in place to insure expenditure of funds
within certain dates. He stated he would like the city's bond
council and financial advisor at the first advisory committee
meeting. He added that the bonds will not be issued until some of
the decisions are addressed including who will own, and manage the
properties and what the cash flow expenditures on the bond proceeds
will be.
DRIVING RANGE IMPROVEMENTS
Parks Director Wilson discussed three improvements that must be
made at the city driving range. 1. Replace the tar and shakes on
the roof costing $7, 914 . 2 . Complete renovation of walls, ceiling,
doors, shelving and storage costing $8, 000. 3 . Replace 19 sets of
Kuroco mats and tees, and purchase 57 replacements costing $15,815.
Councilmember Houser noted concern as to why these items were not
included in the 1990 budget. Wilson responded that it is necessary
to make quick decisions to satisfy customers and he said the golf
course revenue over time will cover these improvements.
The committee recommended the above improvements by a vote of 3-0
to the consent calendar.
HAND HELD METER READING SYSTEM
Customer Service Lindsey explained that the city has ran into a
problem with acquiring hand held water meter reading equipment in
that the company is requesting they contract directly with the city
in lieu of through the utility billing software vendor.
The committee recommended this request to the consent calendar by
a vote of 3-0.