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09-08-1992 (City Council) Agenda Packet TIME POSTED: 2:00 P.M. DATE POSTED: 09/04/92 AGENDA REGULAR MEETING CITY COUNCIL CITY OF WYLIE, TEXAS TUESDAY, SEPTEMBER 8, 1992 7:00 P.M. COUNCIL CHAMBERS MUNICIPAL COMPLEX 2000 HIGHWAY 78 NORTH CALL TO ORDER INVOCATION - Rev. Fred Hall, Christian Church PLEDGE OF ALLEGIANCE ORDER OF BUSINESS BUSINESS 1 Consider Approval of Minutes of the August 25, 1992 Council Meeting 2 Discuss and Consider Proposal to Re-bid for Curb And Guttering of Birmingham Street 3 Discuss and Consider Approving Interlocal Agreement With Farmersville for Dispatch Service 4 Discuss and Consider Approving the Final Plat for Oakridge Subdivision 5 Discuss and Consider Approving Invoice #9171E From Helmberger Associates, Inc. in the amount of $8,853 .51 for Additional Services for Landfill Closure 6 Discuss and Consider Approving Change to Community Park Master Plan to Allow Installation of Fencing Funded By W.S.A. 7 Discuss Southplace Estates - The Developer will Present a Proposed Method to Renovate Southplace Estates 8 Presentation of Financial Report for the Month of July, 1992 by Finance Director Brady Snellgrove iw ORDER OF BUSINESS BUSINESS STAFF REPORTS 9 City Manager's Report 10 City Engineer's Report 11 City Attorney's Report 12 Citizen Participation In accordance with the Open Meeting Act, the City Council will hear comments of Public Interest from citizens residing within the City Limits of Wylie. Any discussion must be limited to placing the item on a future agenda for consideration. Wylie residents wishing to speak before the Council should fill out the form provided at the back of the Chambers and will limit their remarks to a maximum of five (5) minutes. 13 Adjourn NOTICE OF REGULAR MEETING Notice is hereby given that the governing body of the City of Wylie 4will meet at 7:00 P.M. on the 1 day of , 19924 , in the Council Chambers of the Municipal Complex at 2000 Hwy. 78 North in the City of Wylie, Texas for the purpose of considering the attached agenda. a, .•e- ea -,---f-4-- s Anita Collins, Acting City Secretary POSTED THIS THE 'sl DAY OF 74, 6%Apq-Zi!--0- , 1992, AT oo P.M. CITY COUNCIL MEETING MINUTES AUGUST 25, 1992 The City of Wylie City Council met in regular session on Tuesday, August 11, 1992 at 7:00 P.M. in the Council Chambers of the Municipal Complex. A quorum was present and notice of the meeting had been posted in the time and manner required by law. Those present were Mayor John Akin, Mayor Pro Tem Jim Swartz, Council Members Reta Allen, Steve Wright, Ortie Messenger and Bud Naish, City Manager Steve Norwood, Acting City Secretary Anita Collins, Finance Director Brady Snellgrove, City Engineer Paul Beaver, City Attorney Steve Deiter and Director of Community Services Bill Nelson. Councilman Jay Davis was absent. Mayor Akin called the meeting to order and Rev. Don Yeager of the United Methodist Church gave the invocation which was followed by the Pledge of Allegiance. APPROVAL OF MINUTES: Councilman Messenger made a motion that we approve the minutes of the August 11, 1992 Council meeting as written. Councilman Naish seconded the motion. The vote was as follows: Mayor Akin - in favor, Mayor Pro-Tem Swartz - in favor, Councilwoman Allen - in favor, Councilman Wright - in favor, Councilman Messenger - in favor and Councilman Naish - in favor. This motion carried with all in favor. PRESENTATION OF CERTIFICATE OF APPRECIATION TO COLLIN COUNTY COMMUNITY COLLEGE TRAINING AND EMPLOYMENT PROGRAM: Mayor Akin presented a certificate of appreciation plaque to Annette Tillman and thanked her for all the help. CITY MANAGER'S REPORT: At the request of Allen Eason, resident of Rustic Oaks the Mayor moved this item up. The City Manager gave a report on the Rustic Oaks Drainage Ditch. He informed the Council that the contractors would not lower the bid. He also informed the Council that there was only $20,000 in the budget for this project. He did receive a quote on installing 18 new fences. This would be a 1st class fence. Dirt is the big factor in this project - $19.00 a cubic yard. PRESENTATION FROM MRS. NORMA SESSOM. EXECUTIVE DIRECTOR OF COLLIN COUNTY COMMITTEE ON AGING - MEALS ON WHEELS: Mrs. Sessom provided the Council with information on what it would take to have the Meals on Wheels program in Wylie. The City would have to provide a building and utilities. The cost would be $3.45 per meal to prepare and deliver to Wylie. Fifty-six cents of that would be picked up by the United States Agriculture Department. The rest would come from the City, donations from the participants (participants are asked to contribute $1.50, however, the average donation from participants is $1.00) and contributions from churches, civic organizations, etc. The meals are prepared by a dietitian and meet one-third of the daily requirements. They include an entree, two vegetables, milk, bread and a dessert. The City would have to have someone to manage the center and be there for the suggested four hours that the center is open. City Manager stated that we could use a Green Thumb employee. Bill Nelson will be setting up a meeting with the City, the Churches, and other organizations to see how much participation we can get. DESIGNATION OF AN ACTING CITY MANAGER IN COMPLIANCE WITH THE CITY CHARTER: City Manager stated that he had selected Brady Snellgrove, Finance Director, to be the Acting City Manager. Councilman Naish made a motion that they approve the appointment of Brady Snellgrove as Acting City Manager, seconded by Councilman Wright. The vote was as follows: Mayor Akin - in favor, Mayor Pro-Tem Swartz - in favor, Councilwoman Allen - in favor, Councilman Wright - in favor, Councilman Messenger - in favor and Councilman Naish - in favor. This motion carried with all in favor. CONSIDER DIS-ANNEXATION REOUEST OF DAVID & GLENDA LOTT: Ms. Lott asked the council to take a roll call vote on dis-annexation of her property. Ms. Lott stated that she had consulted two attorneys and both said the annexation was illegal and all she needed for dis-annexation was a roll call vote. City Attorney stated that he had not researched the annexation papers to see if the annexation was legal. It would take approximately $35,000 - $40,000 to provide services to this property. Council requested that the City Attorney help the Lott's prepare the necessary documents for dis-annexation. Councilman Naish made a motion to table this item, seconded by Councilwoman Allen. The vote was as follows: Mayor Akin - in favor, Mayor Pro-Tem Swartz - in favor, Councilwoman Allen - in favor, Councilman Wright - in favor, Councilman Messenger - in favor and Councilman Naish - in favor. This motion carried with all in favor. CONSIDER APPROVAL OF PAYMENT REOUEST NO. 6 FROM RANDALL & BLAKE. INC. IN THE AMOUNT OF $25,766.32 FOR LANDFILL CLOSURE: City Engineer stated that the landfill is almost complete. He met with the state last week. The "Landfill Closed" sign will be put up soon and the state will be signing off. The consulting company will then prepare a letter for publication. Councilman Messenger made a motion that we approve this invoice for payment, seconded by Mayor Pro-Tem Swartz. The vote was as follows: Mayor Akin - in favor, Mayor Pro-Tem Swartz - in favor, Councilwoman Allen - in favor, Councilman Wright - in favor, Councilman Messenger - in favor and Councilman Naish - in favor. This motion carried with all in favor. CONSIDER APPROVAL OF PAYMENT REOUEST NO. 03-028907-002 FROM JONES & NEUSE FOR GROUNDWATER MONITOR WELL SAMPLING FOR 2ND QUARTER IN THE AMOUNT OF $1 ,354.20: The City Engineer stated that this was for taking the samples. Councilman Naish made a motion that we approve this invoice for payment, seconded by Councilwoman Allen. The vote was as follows: Mayor Akin - in favor, Mayor Pro-Tem Swartz - in favor, Councilwoman Allen - in favor, Councilman Wright - in favor, Councilman Messenger - in favor and Councilman Naish - in favor. This motion carried with all in favor. CONSIDER APPROVAL OF PAYMENT REOUEST NO. 03-028907-003 FROM JONES & NEUSE FOR PREPARING AND ISSUING MONITORING WELL REPORTS: The City Engineer stated that this was for preparing the report on the samples. Councilman Messenger made a motion that we approve this invoice for payment, seconded by Mayor Pro-Tem Swartz. The vote was as follows: Mayor Akin - in favor, Mayor Pro-Tem Swartz - in favor, Councilwoman Allen - in favor, Councilman Wright - in favor, Councilman Messenger - in favor and Councilman Naish - in favor. This motion carried with all in favor. CONSIDER APPROVAL OF A RESOLUTION AUTHORIZING STAFF TO NEGOTIATE AND ENTER INTO A LEASE PURCHASE AGREEMENT TO FINANCE THE NEW COMPUTER SYSTEM: This is for formality only. Council has already approved this but the finance company requires a resolution to be passed by the Council. Mayor Pro-Tem Swartz made a motion that we approve the resolution, seconded by Councilman Naish. The vote was as follows: Mayor Akin - in favor, Mayor Pro-Tem Swartz - in favor, Councilwoman Allen - in favor, Councilman Wright - in favor, Councilman Messenger - in favor and Councilman Naish - in favor. This motion carried with all in favor. CONSIDER APPROVAL OF A RESOLUTION AUTHORIZING THE CITY MANAGER TO SIGN AGREEMENT WITH DART FOR BORING UNDER THE RAILROAD TRACKS FOR UTILITIES IN THE OAKRIDGE SUBDIVISION: This agreement (copy of agreement at the end of these minutes) was required by the Building Official as a condition to final approval of the plat. Councilman Messenger made a motion that we approve this agreement, seconded by Councilman Naish. The vote was as follows: Mayor Akin - in favor, Mayor Pro-Tem Swartz - in favor, Councilwoman Allen - in favor, Councilman Wright - in favor, Councilman Messenger - in favor and Councilman Naish - in favor. This motion carried with all in favor. CONSIDER APPROVAL OF A RESOLUTION AUTHORIZING THE CITY MANAGER TO SIGN DOCUMENTS INCIDENT TO MAKING APPLICATION FOR A GRANT FROM THE TEXAS COMMUNITY DEVELOPMENT PROGRAM (TCDP) : This is a $250,000 grant and our portion is $50,000 which includes staff time spent. City Engineer Paul Beaver said the application is virtually complete. We will need to make a presentation to COG in November and the grant should be awarded sometime in January of 1993. Councilman Naish made a motion that we approve this resolution, seconded by Mayor Pro-Tem Swartz. The vote was as follows: Mayor Akin - in favor, Mayor Pro-Tem Swartz - in favor, Councilwoman Allen - in favor, Councilman Wright - in favor, Councilman Messenger - in favor and Councilman Naish - in favor. This motion carried with all in favor. CONSIDER APPROVAL OF A RESOLUTION TO THE TEXAS DEPARTMENT OF TRANSPORTATION AND TO THE REGIONAL TRANSPORTATION COMMITTEE OF COG TO SHOW SUPPORT FOR THE HIGHWAY 78 PROJECT: City Manager made the presentation on this resolution. The City Manager wants to present this resolution to the Texas Department of Transportation to show credence to our intentions to participate in acquisition of right-of-way and utility relocation in the State Highway 78 and FM 544 projects. Mayor Pro-Tem Swartz made a motion that we approve this resolution, seconded by Councilwoman Reta Allen. The vote was as follows: Mayor Akin - in favor, Mayor Pro-Tem Swartz - in favor, Councilwoman Allen - in favor, Councilman Wright - in favor, Councilman Messenger - in favor and Councilman Naish - in favor. This motion carried with all in favor. CONSIDER APPROVAL OF ORDINANCE REGULATING TRAFFIC ON THE NEWLY CONSTRUCTED PORTION OF PIRATE DRIVE: City Manager stated that Public Works had done a nice job preparing this road. Jack Jones negotiated with the highway department to get free poles for Pirate Dr. This ordinance will reduce the speed limit from thirty miles per hour to twenty miles per hour, restrict heavy trucks and put stop signs at each end. Councilman Messenger made a motion that we adopt this ordinance, seconded by Councilman Wright. The vote was as follows: Mayor Akin - in favor, Mayor Pro-Tem Swartz - in favor, Councilwoman Allen - in favor, Councilman Wright - in favor, Councilman Messenger - in favor and Councilman Naish - in favor. This motion carried with all in favor. CONSIDER APPROVAL OF W.S.A. STORAGE BLDG/PUBLIC RESTROOMS AND CHANGING OF COMMUNITY PARK MASTER PLAN TO REFLECT ADDITION OF NEW STRUCTURE: This change to the Community Park Master Plan was approved last night by the Park and Recreation Advisory Board. The building will become City property but will be used as storage for W.S.A. property. The City will maintain insurance on the building. A motion was made by Councilman Naish to approve the W.S.A. Storage Building/Public Restrooms and changing to Community Park Master Plan to reflect addition of the new structure, seconded by Councilman Messenger. The vote was as follows: Mayor Akin - in favor, Mayor Pro-Tem Swartz - in favor, Councilwoman Allen - in favor, Councilman Wright - in favor, Councilman Messenger - in favor and Councilman Naish - in favor. This motion carried with all in favor. CONSIDER AWARDING BID FOR BIRMINGHAM STREET CURB AND GUTTER WORK: Bids were solicited for the construction of approximately 3,000 linear feet of concrete curb and gutter on Birmingham from Highway 78 to Marble Street. We received two bids, one from JRJ Paving for $71,050 and one from Ballard Contracting for $43,842. Item 4 of Ballard Contracting's bid (copy of bid tabulation attached) for $11,392 can be done in-house. Councilman Naish made a motion that we award the bid to Ballard Contracting for $32,450, Councilman Wright seconded the motion. The vote was as follows: Mayor Akin - in favor, Mayor Pro-Tem Swartz - in favor, Councilwoman Allen - in favor, Councilman Wright - in favor, Councilman Messenger - in favor and Councilman Naish - in favor. This motion carried with all in favor. STAFF REPORTS: City Manager's Report - The City Manager gave a report on the programs that Bill Nelson, Director of Community Services, is working on for our Senior Citizens. We will be opening up City Hall from 6:00 - 8:00 a.m. for walkers. Joint meetings with the school board and the City Council could be held twice a year if the Council desires. City Engineer's Report - The City Engineer commended Jack Jones on the good job they did on Pirate Drive. City Attorney's Report - The City Attorney reported on the status of water service for the Armory. CITIZENS PARTICIPATION: Mayor Akin invited those wishing to address the Council to come forward at this time. There were no speakers at this time. Mayor Akin recessed the open meeting and convened the Council into executive session at 8:50 P.M. under the Authority of Article 6252-17 V.A.C.S. , Section 2, paragraph "g" Personnel Matters - review performance of City Manager. Mayor Akin reconvened Council into open session at 10:20 P.M. . A motion was made by Councilman Messenger to increase the salary of Steven P. Norwood, City Manager, by 4%, seconded by Councilwoman Reta Allen. The vote was as follows: Mayor Akin - in favor, Mayor Pro-Tem Swartz - in favor, Councilwoman Allen - in favor, Councilman Wright - in favor, Councilman Messenger - in favor and Councilman Naish - in favor. This motion carried with all in favor. There being no other items for discussion, a motion was made to adjourn with all in favor. John W. Akin, Mayor ATTEST: 44Chj_42_, Anita Collins, Acting City Secretary AGREEMENT # LICENSE AGREEMENT THAT THIS AGREEMENT, made this day of , 19 , by and between DALLAS AREA RAPID TRANSIT, ("DART") , a regional transportation authority, created, organized and existing pursuant to Article 1118y, V.A.T.C.S. , as amended (the "Act") , and CITY OF WYLIE ("Licensee") , acting herein by and through its duly authorized officer, whose mailing address is P. O. Box 428, Wylie, Texas (750 V D ITNESSET H: In consideration of (1) FIVE HUNDRED AND NO/100 ($500. 00) DOLLARS cash in hand paid by Licensee to DART, and (2) the faithful performance by Licensee of all of the covenants and agreements contained in this Agreement to be performed by Licensee, DART HEREBY GRANTS A LICENSE to Licensee for the purpose of constructing, installing, operating and maintaining an eight (8") inch water pipe line crossing (the "Permitted Improvements") at Mile Post 580.92 in Wylie, Collin County, Texas, more particularly described in Exhibit "A-1" and "A-2" attached hereto and incorporated herein for all pertinent purposes, (the "Property") . The property shall be used by Licensee solely for the purpose of (1) constructing, installing, operating and maintaining one 8-inch water pipe line crossing (the "Permitted Uses") . Licensee's right to enter upon and use the Property shall be limited solely to the Permitted Uses and the Permitted Improvements. This License is granted subject to the terms and conditions set out below. 1. Term. The term of this license shall be perpetual subject, however, to termination by either party as provided herein. 2. Non Exclusive License. This license is non-exclusive and is subject to (a) any existing utility, drainage or communication facility located in, on, under, or upon the Property owned by DART, any railroad, utility, or communication company, public or private; (b) to all vested rights presently owned by any railroad, utility or communication company, public or private, for the use of the Property for facilities presently located within the boundaries of the Property; and (c) to any existing lease, license or other interest in the Property granted by DART to any individual, corporation or other entity, public or private. 3 . Design, Construction. Operation and Maintenance. DART's _ use of the Property 'and adjoining property will include the use of electrically powered equipment. Notwithstanding DART's inclusion within its system of measures designed to reduce stray current which may cause corrosion, Licensee is hereby warned that such measures may not prevent electrical current being present in WYLIELIC.DOCjms 1 could produce corrosive effects to the Permitted Improvements. 3 . 01. All design, construction, reconstruction, replacement, removal, operation and maintenance of the Permitted Improvements on the Property shall be done in such a manner so as not to interfere in any way with the operations of DART or other • railroad operations, if any. In particular, cathodic protection or other stray current corrosion control measures of the Permitted Improvements as required shall be made a part of the design and construction of the Permitted Improvements. 3 . 02. During the design phase and prior to commencing construction on the Property, a copy of the construction plans showing the exact location, type and depth of the construction, any cathodic protection measures and any working area, shall be submitted for written approval to DART and the Railroad, if any, (the "Railroad", whether one or more) , when the construction is going to be within the area of Railroads operations. Such approval shall not be unreasonably withheld. No work shall commence until said plans have been approved by DART and Railroad. 3 . 03 . By acceptance of this license, Licensee agrees to design and construct the Permitted Improvements in such a manner so as not to create a hazard to the use of the Property, and further agrees to pay any damages which may arise by reason of w Licensee's use of the Property under this Agreement. 3 . 04 . By acceptance of this license, Licensee w covenants and agrees to institute and maintain a reasonable testing program to determine whether or not additional cathodic protection of its Permitted Improvements is necessary and if it is or should become necessary, such protection shall be immediately instituted by Licensee at its sole cost and expense. 3 . 05. Absence of markers does not constitute a warranty by DART that there are no subsurface installations on the Property. 4 . Governmental Approvals. Licensee, at its sole cost and expense, shall be responsible for and shall obtain, any and all licenses, permits, or other approvals from any and all governmental agencies, federal, state or local, required to carry on any activity permitted herein. 5. DART's Standard Contract and Insurance. No work on the Property shall be commenced by Licensee or any contractor for Licensee until such Licensee or contractor shall have executed DART's Standard Contractors Agreement covering such work, and has furnished insurance coverage in such amounts and types as shall be _ satisfactory to DART. 6. Duty of Care in Construction. Licensee or its contractor shall use reasonable care during the construction period and thereafter, to avoid damaging any existing buildings, equipment and vegetation on or about the Property and any adjacent property owned by or under the control of DART. If the failure to WYLIELIC.DOCjms 2 use reasonable care by the Licensee or its contractor causes damage to the Property or such adjacent property, the Licensee and/or its contractor shall immediately replace or repair the damage at no cost or expense to DART. If Licensee or its contractor fails or refuses to make such replacement, DART shall have the right, but not the obligation, to make or effect any such repair or replacement at the sole cost and expense of Licensee, • which cost and expense Licensee agrees to pay to DART. 7. Environmental Protection. 7. 01 Licensee shall not use or permit the use of the Property for any purpose that may be in violation of any laws pertaining to health or the environment, including without limitation, the Comprehensive Environmental Response, Compensation and Liability Act of 1980 ("CERCLA") , the Resource Conservation and Recovery Act of 1976 ("RCRA") , the Texas Water Code and the Texas Solid Waste Disposal Act. 7. 02. Licensee warrants that the Permitted Use of the Property will not result in the disposal or other release of any hazardous substance or solid waste on or to the Property, and that it will take all steps necessary to insure that no such hazardous substance or solid waste will ever be discharged onto the Property by Licensee or its Contractors. 7. 03 . The terms "hazardous substance" and • "release" shall have the meanings specified in CERCLA and the terms "solid waste" and "disposal" (or "disposed") shall have the meanings specified in the RCRA; PROVIDED, HOWEVER, that in the event either CERCLA or RCRA is amended so as to broaden the meaning of any term defined thereby, such broader meaning shall apply subsequent to the effective date of such amendment; and PROVIDED FURTHER, that to the extent that the laws of the State of Texas establish a meaning for "hazardous substance", "release", "solid waste", or "disposal", which is broader than that specified in either CERCLA or RCRA, such broader meaning shall apply. 7. 04. Licensee shall indemnify and hold DART harmless against all cost of environmental clean up to the Property resulting from Licensee's use of the Property under this Agreement. 8. Mechanic's Liens Not Permitted. Licensee shall fully pay for all labor and materials used in, on, or about the Property and will not permit or suffer any mechanic's or materialmen's liens of any nature to be affixed against the Property by reason of any work done or materials furnished to the Property at Licensee's instance or request. 9. Maintenance of Completed Improvements. After the Permitted Improvements have been constructed, they shall be maintained by the 'Licensee in such a manner as to keep the Property in a good and safe condition with respect to Licensee's • use. In the event the Licensee fails to maintain the Property as required, upon discovery, DART shall notift Licensee of such occurrence in writing. In the event Licensee shall not have WYLIELIC.DOCjms 3 remedied the failure within ten (10) days from the date of such notice, DART shall have the right, but not the obligation to remedy such failure at the sole cost and expense of Licensee. In the event DART exercises its right to remedy Licensee's failure, Licensee agrees to immediately pay to DART all costs incurred by DART upon demand. 10. Future Use by DART. 10. 01. This license is made expressly subject and subordinate to the right of DART to use the Property for any purpose whatsoever. 10. 02 . In the event that DART shall, at any time subsequent to the date of this Agreement, at its sole discretion, determine that the relocation of the Permitted Improvements shall be necessary or convenient for DART's use of the Property, Licensee shall, at its sole cost and expense relocate said Permitted Improvements so as not to interfere with DART's or DART's assigns use of the Property. In this regard, DART may, but is not obligated to, designate other property for the relocation of the Permitted Improvements. A minimum of thirty (30) days written notice for the exercise of one or more of the above actions shall be given by DART. 11. Relocation Benefits. The parties hereto agree that the construction of the Permitted Improvements on the Property is subsequent to the acquisition of the Property by DART and that the Licensee has and asserts no claim under the Act, or otherwise, regarding the payment of any and all relocation benefits and that all costs associated with any relocation of such Improvements shall be borne by the Licensee. 12 . Duration of License. This license shall terminate and be of no further force and effect (a) in the event Licensee shall discontinue or abandon the use of the Permitted Improvements; (b) in the event Licensee shall relocate the Permitted Improvements from the Property; (c) upon the expiration of the Term of License; or (d) upon termination in accordance with paragraph 17 of this Agreement, whichever event first occurs. 13 . Compliance With Laws and Regulations. Licensee agrees to abide by and be governed by all laws, ordinances and regulations of any and all governmental entities having jurisdiction over the Licensee and by railroad regulations, policies and operating procedures established by the Railroad, or other applicable railroad regulating bodies, and Licensee agrees to indemnify and hold DART harmless from any failure to so abide and all actions resulting therefrom. 14. Indemnification. Licensee agrees that it will protect, save and keep DART and Railroad forever harmless and indemnified against and from any penalty or damage or charge imposed for any violation of any law or ordinance, whether occasioned by the • neglect of Licensee, its employees, officers, agents, contractors, or assigns, or those holding under Licensee and that Licensee will at all time protect, indemnify and, it is the express intention of WYLIELIC.DOCjms 4 the parties hereto that Licensee hold DART and Railroad harmless against and from any and all loss, cost, damage or expense, including attorney's fees, arising out of or from any accident or other occurrence on or about said Property, whether or not caused or contributed to by the presence or operation of DART or DART's equipment, structures, vehicles, or facilities or by negligence or alleged negligence on the part of DART, its employees, contractors, subcontractors or invitees causing injury to any person or property and will protect, indemnify and hold DART and the Railroad harmless against and from any and all claims and against and from any and all loss, cost, damage or expense, including attorney's fees arising out of any failure of Licensee, its employees, officers, agents, contractors or assigns in any respect to comply with and perform all the requirements and provisions hereof. 15. Action Upon Termination of License. At such time as this license may be terminated or cancelled for any reason whatever, Licensee, upon request by DART, shall remove all improvements and appurtenances owned by it, situated in, under or attached to the Property and shall restore the Property to the condition existing at the date of execution of this License, at Licensee's sole expense. 16. Assignment. Licensee shall not assign or transfer its rights under this Agreement in whole or in part, or permit any other person or entity to use the License hereby granted without the prior written consent of DART which DART is under no obligation to grant. 17. Methods of Termination. This Agreement may be terminated in any of the following ways: 17. 01. Written Agreement of both parties; 17. 02. By either party giving the other party thirty (30) days written notice. 17.03. By either party, upon failure of the other party to perform its obligations as set forth in this Agreement; 17. 04. Expiration of the Term. 18. Miscellaneous. 18. 01. Notice. When notice is permitted or required by this Agreement, it shall be in writing and shall be deemed delivered when delivered in person or when placed, postage prepaid, in the U.S. Mail, Certified, Return Receipt Requested, and addressed to the parties at the following addresses: LICENSOR: Dallas Area Rapid Transit 601 Pacific Avenue Dallas, Texas 75202 Attn: Manager of Right-of-Way LICENSEE: City of Wylie P. O. Box 428 Wylie, Texas 75098 WYLIELIC.DOCjms 5 Either party may from time to time designate another and different address for receipt of notice by giving notice of such change of address. 18. 02 . Attorney Fees. Any signatory to this Agreement who is the prevailing party in any legal proceeding against any other signatory brought under or with relation to this Agreement shall be entitled to recover court costs and reasonable attorney fees from the non-prevailing party. 18. 03 Governing Law. This Agreement shall be construed under and in accordance with the laws of the State of Texas. 18. 04 Entirety and Amendments. This Agreement embodies the entire agreement between the parties and supersedes all prior agreements and understandings, if any, relating to the Property and the matters addressed herein, and may be amended or supplemented only by a written instrument executed by the party against whom enforcement is sought. 18. 05. Parties Bound. This Agreement shall be binding upon and inure to the benefit of the executing parties and their respective heirs, personal representatives, successors and assigns. 18. 06. Number and Gender. Words of any gender used in this Agreement shall be held and construed to include any other gender; and words in the singular shall include the plural and vice versa, unless the text clearly requires otherwise. IN WITNESS WHEREOF, the parties have executed this Agreement in multiple originals this day of , 19 LICENSOR: DALLAS AREA RAPID TRANSIT By: JACK W. EVANS Executive Director LICENSEE: CITY OF WYLIE By: Printed Name: Title: APPROVED AS TO FORM: JOHN T. HOEFT, General Counsel DART WYLIELIC.DOCjms 6 EXHIBIT "A-1" APPLICANT-TO FILL-IN AL NFORMATION.LINES OR N/A. IF IT DOE1 DT APPLY. rxi • NET,INSTILLATION _ • I= RECONSTRUCTION • PIPE, LINE. CARRYING I --1. FLAMMABLE OR HAZARDOUS SUBSTANCES • (:SEE RAILROAD STANDARD C.S. 1742 I _ NON-FLAMMABLE SUBSTANCES - ( SEE RAILROAD STANDARD C.S. 1741 1 1-1: CULYERT • • APPLICANT DOING BL•::INI5S AS: 1narvlou•N.t I JcosrnoRxnon1 Ciui R7iWrl au«Iciauirr_U . APPLICANT Investors Netw _-_nternational, Inca _�' -�--__17_-_ G�L!_ ______ ADDRESS-_2530_F1g Dn7.C__Lanej_ Suitg112___--____---•_-______.___ _ • CITY ._Dallas 220..__-- STATE _ Its _,__-_.__ ZIP 7 5________�___�___ COUNTY_._ Dallas•_�_+-__ ^_-_ r PHONE (214) 368-0200 _--_ CONTACT PERSON Tim Bennett, F.E: --_•PHONE .__(214) 276.8527 _---. FACILITY_,_Residg tial ,Subdivision -__--- _-- PURPOSE .-14::.watex_liue - resid nti a1 water s11I1p.1 L ----- -•-------------- IF PIPE OR CASING DIM.ETER IS GREATER THAN 3•-6• APPLICANT SHALL SUBMIT ENGINEERING PLANS, 'CALCULATIONS;;SPECIFICATIONS, AND SOILS REPORT. Crossing is at Commerce Street or go DISTANCE TO PERMANENT RAILWAY STRUCTURE -5,11II0.._LE_a_1ong the R.R. to F.M. 341• b ANGLE OF CROSSING WITH TRACKS " 90e _• crossing in Wylie, TX SOIL CLASSIFICATION __Clay_ (CH) PIPE SLOPE OR GRADIENT 0.2X- "-"—'-_-'" CARRIER CASING PIPE PIPE CONTENTS TO BE HANDLED . . - water NOMINAL DIAMETER . . .. .. _ 8" 12'_____ PIPE MATER I AL • 23LG ,.s r P P 1 .SPECIFICATION AND GRADE Sch AD_ . 35,000 PSI . WALL-THICKNESS . . . . . . . .. . 0.265" : 3/16"_ OPERATING PRESSURE/ILAXMIUM PRESSURE . . . . . . _1Z5L429 MINIMUM YIELD STRENGTH 70_00_ 35_,000 PSI TYPE OF JOINT ael gigot~ welded COAT(NG'UATERIAL . . . . . ._. . . . . .• - - I,ETHOD.OF INSTALLATION .. . . . . . . ' . . . pushed__ bore LOCATION OF BORING OR JACKING PIT•FROM CENTERLINE OF TRACK .5S'_OIL .bath si dPS__ LENGTH OF CASING (ACTUAL) . . _ - . . . . • DISTANCE OF CASING PERPENDICULAR FROM CENTERLINE OF TRACK L 55' __ R 55' VENTS: NUI6ER.Q_ SIZE_- DISTANCE OUT FROM CENTERLINE L _____.___ R - • DISTANCE TO SHUT-OFF VALVES ON EACH SIDE OF R/W:. . . L 1J0' — R .20 • BURY: BASE OF RAIL TO TOP OF CASING' • _�_0' _ BURY:-ROADWAY DITCHES . . . ` �. . _�! ,0' • TYPE;'SIZE''AND'SPACING OF INSULATORS-OR SUPPORTS ....•. — • SEALS'AT•ENDS'OF_CASIN>r-'•BOTH•EJND$''`.X ' " ONE END TYPE grout . - CATHODtG PROTECTiOH',` - .-. - -- CASING FILLER- - _ - - - LONGITUDIHAL.PIPELINES• - - • • - - . -DISTANCE FROM TRACK CENTERLINE . .. . . . L N/A R • .. . . DEPTH OF BURY TO TOP.OF PIPE •• • • . • • •KIN, WY " • : • HEIGHT FROM"BASE OF-RAIL TO.TOP.OF PIPE. •:`••YIN• . 1i.UL-- - .FLAli1ABLE SUBSTANCE.'PIPELINE: CLASS LOCATION __.N/A�_ DESIGN FACTOR .______:� _ - 'APPROXIMATE—DATE—DARK 1KILL• BE DONE' 11-91 • ::•UINIMUM OF 5 DAYS NOTICE REQUIRED PRIOR TO ENTRY:FOR CONSTRUCTION • UNDERt3ROUND FIBRE OPTIC CABLE MAY BE LOCATED OH R19-IT-OF-PLAY_ CONTACT • S.P: TELECOM AT•(8001 283-4237 TO VER.4FY LOCATION AND PRIOR TO DIG8ING- • EN.C.ST AND ARO.PIPELI NE-X1NC • %4+ ' Dallas Area Rapld Transit h �\ t,. 601 Pacific Avenue • `r'_• • Dallas,Texas 75202-3325 : ' EXHIBIT "A�2" _ \. S. \�• License between • . .. . . • . __ DALLAS AREA RAPID TRANSIT .. � ... ha,- ' • and \ • .•pe.- _ CITY OF WYLIE h�,p :. _• �+ •• ! \, C� •'o es for one 8-inch water pipe line at [z�A a 0 �, approximately MILE POST 580.92 �s H "R i-� Wylie, Texas . ,,; . 1 .cat s ., „ . u' N! i ,� :, } / Sri E ,� .• , +. ; + t� ! ,• r \ • • �'• V2.. Jys� ',�aiq��yC • �• , '�• k�4'�— sT-o he �:. °a''Rk 'b'q --gyp./b'Sjas",GI V ''. `.--.7'` •��"-_ :': .. • Qom' • • oy t �bS�:Au.; .. ... \ • �' •� .• r r :. / . v y �.! • !k;�rG+• ''lye.i '�1� i ,r e . 1+ ti -:� . °�DiY•--i,.7, Qv p poSed `' �,.,, ;.� • : • '•� a • t3 �.,l.I- • . ,c 1� '\ • ` Wes- 'r n"PG '�n� Tr • `.\\: /i1. y; % .f i. ....... .e. ti...:.7 , • •., .,...,‘ -7,..; -Ai:44Y, . .4 / `.� r sW a 1,,,t, ..:.• . •"---;,....1/44, ....4.1/4. f4y,'.... .....,2 ., ..:. i.0 7./., /4", r . 5 !.' 0 a .47.4",. t......./c . .:::::,.)„.....,:.. ....„ • `,..........ji fair : + A p �' Jo . • ,,• ,- s % r , - AN° H. n ` 7 BID TABULATION - BIRMINGHAM CURB AND GUTTER AUG. 21, 1992-2:00 P.M. BIDDER BID BASE BID TOTAL TOTAL SEC. ITEM 1 ITEM 2 ITEM 3 ITEM 4 BID DAYS COMP. JRJ PAVING YES 44,400.00 19,500.00 650.00 6,300.00 71,050.00 45 BALLARD CONTRACTING YES 24,300.00 7,350.00 800.00 11,392.00 43,842.00 25 STAFF RECOMMENDATIAN: AWARD BID TO BALLARD CONTRACTING FOR A TOTAL BID AMOUNT OF $43,842.00, WITH ALL WORK TO BE COMPLETED WITHIN 25 CALENDAR DAYS. City of Wylie AGENDA COMMUNICATION SUBMITTED BY: STEVE NORWOOD DIRECTOR: CITY MANAGER DATE REFERENCE NO. SUBJECT 09/02/92 2 CURB AND GUTTER BID FOR BIRMINGHAM SUMMARY OF SUBJECT: At the last City Council Meeting on August 25th the City Council voted unanimously to award the contract to Ballard Contracting for $32,450 which is $11,392 less than the total bid, since in-house crews could perform that portion. The bid submitted was very specific. After the Tuesday meeting a pre-construction meeting was held and the contractor stated the bid was figured inaccurately. The contractor would only lower the bid by $6,500 (please see status report) . ALTERNATIVES: 1) Award bid at original amount of $43,842.00 2) Award bid at $43,842.000 less the $6,500.00 3) Reject bid and re-bid concrete work and include Oak Street ACTION REQUESTED: Staff recommends rejection of the bid and re-bid concrete work and include Oak Street r • .i REVENUE SOURCES: EXPENDITURE ACCOUNTS: BUDGETED FISCAL YEAR(s): ESTIMATED EXPENDITURE: $ PERSONNEL ❑ OVER/UNDER PROJECTIONS BY: OPERATIONS ❑ ONE-TIME ❑ • $ CAPITAL ❑ RECURRING ❑ OTHER COMMENTS: USER DEPARTMENT COMMENTS: • SUPPORTING DOCUMENTS: BACKGROUND MEMO MINUTES LETTER C.I.P. ORDINANCE/RESOLUTION OTHER BUDGET WYLIE CODE OTHER MAP, PLAN, SKETCH X BID TAB/SPECS OTHER MINUTES LEGAL REVIEWED BY: X CITY MANAGER DIRECTOR OF PARKS/REC. CITY SECRETARY DIRECTOR OF FINANCE DIR. OF PLANNING/ENG. LIBRARY DIRECTOR POLICE CHIEF CITY ATTORNEY - PUBLIC WORKS SUPR.. FIRE CHIEF DIRECTOR OF PUBLIC BUILDING OFFICIAL WORKS = r APPROVED FOR SUBMISSION TO CITY COUNCIL CITY MANAGER • BID TABULATION-BIRMINGHAM CURB AND GUTTER AUG. 21, 1992-2:00 P.M. BIDDER BID BASE BID TOTAL TOTAL SEC. ITEM 1 ITEM 2 ITEM 3 ITEM 4 BID DAYS COMP. JRJ PAVING YES 44,400.00 - 19,500.00 650.00 6,500.00 71,050.00 45 BALLARD CONTRACTING YES 24,300.00 7,350.00 800.00 11,392.00 43,842.00 25 4 STAFF RECOMMENDATION: AWARD BID TO BALLARD CONTRACTING FOR A TOTAL BID AMOUNT OF $43,842.00, WITH ALL WORK TO BE COMPLETED WITHIN 25 CALENDAR DAYS. City of Wylie AGENDA COMMUNICATION SUBMITTED BY: STEVE NORWOOD DIRECTOR: CITY MANAGER DATE REFERENCE NO. SUBJECT 09/03/92 3 INTERLOCAL AGREEMENT FOR DISPATCH SERVICE SUMMARY OF SUBJECT: Attached is the Interlocal Agreement for Communications Center and Dispatch Service for the City of Farmersville. This agreement will provide that the City of Wylie will on a non-exclusive basis, communication and dispatch servcies through its communications/ dipatch center to the City of Farmersville. ALTERNATIVES: 1) Approve the agreement 2) Approve the agreement with appropriate changes 3) Disapprove the agreement ACTION REQUESTED: Staff recommends approval of this agreement. ,. REVENUE SOURCES: EXPENDITURE ACCOUNTS: City of Farmersville $4.400.00 BUDGETED FISCAL YEAR(s): FY92/93 ESTIMATED EXPENDITURE: $ PERSONNEL ❑ OVER/UNDER PROJECTIONS BY: OPERATIONS ❑ ONE-TIME O • $ CAPITAL ❑ RECURRING ❑ OTHER COMMENTS: USER DEPARTMENT COMMENTS: This is an annual contract with the City for dispatch services. SUPPORTING DOCUMENTS: BACKGROUND MEMO MINUTES LETTER C.I.P. ORDINANCE/RESOLUTION OTHER BUDGET WYLIE CODE OTHER MAP, PLAN, SKETCH BID TAB/SPECS OTHER MINUTES LEGAL X AGREEMENT REVIEWED BY: X CITY MANAGER DIRECTOR OF PARKS/REC. CITY SECRETARY DIRECTOR OF FINANCE DIR. OF PLANNING/ENG. LIBRARY DIRECTOR X POLICE CHIEF X CITY ATTORNEY•- - '--1 PUBLIC WORKS SUPR. FIRE CHIEF DIRECTOR OF PUBLIC BUILDING OFFICIAL WORKS APPROVED FOR SUBMISSION TO CITY COUNCIL CI MANAGER INTERLOCAL AGREEMENT FOR COMMUNICATIONS CENTER AND DISPATCH SERVICE STATE OF TEXAS KNOW ALL MEN BY THESE PRESENTS: COUNTY OF COLLIN THIS AGREEMENT is by and between the City of Wylie, Texas, a municipal corporation, 2000 Hwy 78 N. , P. O. Box 428, Wylie, Texas 75098 (hereinafter referred to as "City" ) and the City of Farmersville, 205 South Main Street, Farmereville, Texas 75442 thereinafter referred to as "Farmersville" ) . WITNBSSBTH: WHEREAS, the City deems establishment and development of a comprehensive Regional Public Safety and Public Service Communications and Dispatch Center a desirable obJective; and, WHEREAS, City has in place a communication center equipped with radio, telephone, and data equipment and is designated as a 911 Emergency Communications Public Safety Answering Point (ASAP) ; and, WHEREAS, City currently has equipment and operator availability above and beyond the immediate needs of the City and available to address the regional communications/dispatch needs for the purpose of local government/agency communications; and, WHEREAS, City has determined it to be in the best interest of the public to share its communication facility, equipment and personnel capabilities with cities, towns, fire departments, emergency medical care providers and other governmental entities in order to facilitate more effective and efficient use of the communications center; and, WHEREAS, the Interlocal Cooperation Act, Article 4413 (32c) Vernon' s Annotated Civil Statutes provides the authority to political subdivisions for contracts by and between each other to facilitate the governmental functions and services of said political subdivisions under the terms of the Act; NOV, THEREFORE, in consideration of the above premises and the promises and agreements hereafter set forth, the parties hereby agree and covenant by and between themselves as follows: 1. City does hereby agree to provide on a nonexclusive basis, communication and dispatch services through its communications/ dispatch center to Farmersville. 2. This agreement and all privileges granted thereby shall be in full force and effect from and after the _ day of M _, 1992 at 12: 01 a. m. 3. Farmersville shall bear, pay and discharge any and all obligations, costs, fees or expenses incurred by City of Farmersville for Farmersville' s initial start-up and accessing of the communications/dispatch center including the costs of acquiring its required radio and/or telephone equipment. All such charges shall be paid directly by Farmersville and in no event shall any charges be made or accrued to City. 4. Farmersville shall indemnify and hold harmless City of and from any and all claims, suits, actions or ,judgments, including all expenses, attorney fees, witness fees► cost of defending any such action or claims, or appeals therefrom, or resulting from Farmersville' s sole or joint negligence incident to Farmersville' s use of said communications/dispatch center or occurring because of Farmersville' s use of the communications/ dispatch center as a 911 FSAF. 5. City shall indemnify and hold Farmersville harmless of and from any and all claims, suits, actions or Judgments, including all expenses, attorney fees, witness fees, cost of defending any such action or claims, or appeals therefrom, resulting from City' s sole or joint negligence incident to City' s use of said communications/dispatch center or occurring on the premises where said communications/dispatch center is located. 6. It is the responsibility of Farmersville to ensure that its use of the communications/dispatch center conforms to all Federal Communications Commission rules and regulations. 7, Farmersville agrees to provide complete and adequate ongoing training to personnel selected by Farmersville in the use of the communications/dispatch center. 8. It is specifically agreed and understood by the parties hereto that this agreement is permissive only and no property rights are granted hereunder. 9. It is understood by Farmersville that in times of disasters or acts of God, service under this agreement may be interrupted through no fault of City. In such event, no credit or rebate shall be earned for such interruption of service, unless Farmersville' s use of the communications/dispatch center is continuously interrupted for a period of seven (7) consecutive days, in which event Farmersville shall receive a credit or rebate on a pro rata basis beginning with the eighth day of continuous interruption. 10. Farmersville shall be authorized to activate the telephone lines, telephone equipment, radio equipment (mobile, portable, or desk type) , and other communication or data equipment listed and described in Exhibit "C" attached hereto upon execution of this agreement. Additional equipment► up to a 100% increase in the number of units in any category or equipment, may be added upon written request. Such maximum may be adjusted by amendment of this agreement. 11. Farmersville agrees to pay City for such services an annual service fee, to be determined annually, within 30 days after adoption of City' s fiscal year budget on a per capita basis and set at amount equal to one dollar plus an amount equal to the per minute cost of City' s annual operations cost for its communication division times the number of persons residing in Farmersville' s service area. The service fee so established shall be for the ensuing year beginning October 1 and ending September 30. 12. For City' s FY92 the service fee is one dollar plus City' s per minute operational fee of $. 2185 times 3, 625 persons in Permersville' s service area for total of $4, 417. 06; which said amount shall be paid within 30 days from the execution hereof. Payment for services in future years shall be due annually, in advance and payable within 30 days from receipt of statement from City. 13. Should Farmersville elect to request that a type of service available through the City be provided on a less than full time • basis, the annual service fee for that service shall be calculated, billed and paid on a pro rata basis. The fee in such instance shall be calculated as a percentage of the fee that would be due if the service were to be provided on a full time basis. The percentage of time the service is to be provided shall be used to calculate the annual service fee. 14. The annual population estimates available from the North Central Texas Council of Governments <NCTCOG) shall be used to calculate the annual service fee. If all or part of Farmersville' s service area is outside an area for which NCTCOG makes an annual population calculation, the population for that • area shall be determined annually by adding or subtracting the annual growth rate for Farmersville as determined by NCTCOG, from the population estimate used to calculate the annual service fee for this area in the preceding year. 15., Failure to pay any bill for annual service fees or call for service fees within thirty <30) days of the due date thereof may be considered sufficient reason to temporarily suspend services furnished by City under this agreement. If such suspension of services becomes necessary, City will furnish Farmersville notice of such suspension and the effective date and time thereof in accordance with the procedures for revocation of services stated herein above. 16. So that City and all entities or agencies participating in the regional communications/dispatch center may have projected cost estimates in advance of the normal municipal budgeting cycle, City shall evaluate and determine the estimated annual costs for operating the communications/dispatch center prior to July 1 of each year. Based on this determination of costs, eaoh participating entity shall be furnished an estimated cost for participation for the next fiscal year with this estimate to include the annual service fees and the call for service fees. This estimate will be furnished on or before July 15 of each year. Rate increases, based on this annual review, shall be determined by City prior to September 1 of each year and shall be effective for services received after October 1, the beginning of a new fiscal year for City. City shall notify each participant in the regional communications/dispatch center of any rate increases for services performed or in the annual service fee by certified mail, mailed to the person designated in this agreement to receive such notices, mailed on or before September 1 of each year. 17. City shall provide the equipment, all necessary maintenance, supplies, personnel, and all other expenses necessary for the operation of the regional communications/dispatch center. Farmersville shall pay the startup cost plus annual fees assessed for Parmersville' s portion of the costs of operating the communications/dispatch center. 18. Farmersville shall pay all expenses for operation and maintenance of any equipment or facilities installed and operated at the regional communications/dispatch center for the exclusive use of Farmersville. Radio equipment transmitting on frequencies used only by Farmersville or special telephone equipment to terminate lines for the exclusive use of Farmersville, or its service area, are examples of the types of equipment or facilities that fall into this category for determination of costs and who is responsible for payment of related expenses. 1g. Farmersville' s rights under this agreement may not be assigned to its successors in interest without the written consent of City. 2°. In the event Farmersville shall fail to fulfill any of its obligations hereunder or shall violate (as determined by City in its sole discretion) any municipal, county, state or Federal law, City shall have the option of revoking this agreement by giving written notice of such violation and intent 30 days in advance of the' effective date of the termination. 21.. Farmersville may terminate their agreement, with 60 days prior written notice to City for following circumstances: a) Within 120 days of proposed rate increase, or b) If City has failed for 30 days to remedy breach of any of its obligation hereunder. 22. Any notice, payment, statement, demand or correspondence required or permitted to be given hereunder by either party to the other may be effected by personal deliver in writing or by mail. Notices of rate adjustments, notices of termination of this agreement, and notices of address changes shall be delivered by certified mail. Mailed notices shall be addressed to the parties at the addresses appearing below, but each party may change its address by written notice in accordance with this section. If intended for City, to: Mg al address Steven P. Norwood City Manager City of Wylie Box 428 Wylie, Texas 75098-0428 Physical address Steven P. Norwood City Manager City of Wylie 2000 Hwy 78 North Wylie, Texas If intended for Farmersville, to: Mail and physical ,address Randall F. Holly City Manager City of Farmersville 205 South Main Street Farmersville, Texas 75442 23. Correspondence, comments, requests, and complaints regarding services rendered under this agreement shall be reduced to writing and forwarded to the persons designated above. In no case shall any person make any complaint, request, comment or demand, other than those that would be considered normal business transactions under this agreement, to on duty personnel or to any person other than the persons designated in paragraph 22 above. Failure to properly forward comments, requests, demands, and complaints may be considered as sufficient cause to revoke this agreement under the provisions of paragraph 20 and 21 hereof. 24. Unless otherwise designated in writing and made a part of this agreement, the persons designated in paragraph 22 above are hereby designated as the agent for the parties to this agreement and as such are designated and authorized to make decisions and determinations as may be authorized in this agreement or as may be necessary for the effective, efficient providing of service under this agreement. Such decisions, once made shall be final and binding under the terms of this agreement. 25. This agreement shall expire on September 30, 1994, unless extended by written agreement signed by both parties or sooner terminated as herein provided. IN WITNESS WHEREOF, the parties have executed this agreement on the dates get forth below. CITY OF WYLIE, TEXAS a municipal corporation By: John W. Akin Mayor ATTEST: Carolyn Jones City Secretary ' Date: APPROVED: Steven P. Deiter City Attorney CITY OF FARMERSVILLE By: George G. Crump Mayor ATTEST: Ann Bridges City Secretary Date: APPROVED: Joe Aston, III City Attorney City of Wylie AGENDA COMMUNICATION SUBMITTED BY: Paul Beaver DIRECTOR: Engineering 6.3_0 OATS REFERENCE NO. SUBJECT 9/02/92 4 Oakridge Subdivision - Final Plat Approval SUMMARY OF SUBJECT: Attached under separate cover is a copy of the Final Plat for the proposed Oakridge Subdivision for Council review and approval . This Final Plat was approved by the P & Z Commission on August 17, 1992. All necessary easements to provide utilities and drainage will have been acquired by the September 8, 1992 Council meeting. The City Attorney approved letter of credit to be posted by the Developer for the construction of 1/2 of Fleming Street east of the subdivision will be forthcoming after Council approval and before the Mayor' s Approval for Construction (please note: per the Developer, Council approval is necessary before he can obtain the letter of credit from his financing source) . • ALTERNATIVES: No alternative is recommended. ACTION REQUESTED: Approval is recommended. _ • REVENUE SOURCES: EXPENDITURE ACCOUNTS: BUDGETED FISCAL YEAR(s): ESTIMATED EXPENDITURE: $ PERSONNEL ❑ - _ OVER/UNDER PROJECTIONS BY: _ _ _ _ OPERATIONS 0 ONE-TIME 0 • $ CAPITAL ❑ RECURRING 0 OTHER COMMENTS: USER,DEPARTMENT COMMENTS: _ _ _ SUPPORTING DOCUMENTS: BACKGROUND MEMO MINUTES LETTER C.I.P. ORDINANCE/RESOLUTION OTHER BUDGET WYLIE CODE OTHER MAP, PLAN. SKETCH BID TAB/SPECS OTHER MINUTES LEGAL REVIEWED BY: CITY MANAGER DIRECTOR OF PARKS/REC. CITY SECRETARY DIRECTOR OF FINANCE X DIR. OF PLANNING/ENG. LIBRARY DIRECTOR POLICE CHIEF CITY ATTORNEY y PUBUC WORKSJSUPR. FIRE CHIEF . - DIRECTOR OF PUBUC BUILDING OFFICIAL WORKS • APPROVED FOR SUBMISSION TO CITY COUNCIL CITY M NAGER i / al•t�•wMr // d�` wam , 6145. / / / J./ ' / • / i Brow Strsst . i ��. R ■. NET. US. 7 • 1 1 2 pc.JAM I .i.a la tr. ' Ili: PIM ----• -ortf.-. .5 6. ,_dije 9 10 II -101,4 it dm- yifiokidarra cal_ -• --/ . ' .....-3 J w 2°" .1°41C44Mq 7- 2 IS !- 4 - retra440# -�1. '« 3 14s S 16 " • . '..i. - 4 13 6 16 Q �ity�� • '., o • SLEW AC ..- - S 12 K ! a* � - 6 II _ 8 R "Q 1 T 9 a Mr ��� / 8 9 10 II ,� -- Y . / r Oak St r -- • : ii .1.f-ii -till 17 ups 3, • p 213141617161 29 XI maw Wi ...... • Nom NIL •i_i .,:fprk 4ttlAt 1 t' 111811111, 1.1.11.1111.111111111r. ri■ .!. r: 4411i1. ailiair. iii� 24i t Q - , , �, i • "use' /2t 18 l ta CAaor /�/' r 20 19 I / / ____ al �. ----------------; r---- :.• ,.« I• 1 % (1)14.66e • I Cjubd 1v i or/1 r. a: I (' '.- 1- , i %114444144C,i' . . . . • i V. y - r ... .iJ for 3 a / .r r .... I d i I{ COT r< r ..• 6 n-wrmucT . wruc • C0o'vt aa. I SONG •.. itir ...�. �for, I :.rr.c. . Iwwtcu err ja I 'A..., 8 9 ro ' . !I 11 I s a= SAL WEL OM 4,_ jmorarrL3 I a r tort !� . M.33f•C I I _ - tJ� 4.Q K. CO I ,r f `° i It �yc 1 1. 7i.� .W. NWT. M. I•N pro tINtTT ..• • tYt AC. . WESTGATE /• e. 1�•• • CEIIITER SO TO Icr¢T AC T/ ` • ,,•`.` ADM.AD . +J. Phase 2 •~ ` \, ` • '. 1 _.,.r �� us 1 Lot I • Lot I T*. ' 81k.1 81k. A Mk. 8 'W�`\\ Lot I ( la ` • 81k.A ' ! City of Wylie AGENDA COMMUNICATION SUBMITTED BY: Paul Beaver DIRECTOR: Engineering C�J DATE REFERENCE NO. SUBJECT 9/02/92 Helmberger Associates, Inc. 5 Invoice #9171E Additional Services for Landfill Closure SUMMARY OF SUBJECT: Attached is a payment request from Helmberger Associates, Inc. in the amount of $8, 853. 51 for additional work performed at the landfill based upon the attached letter from Don Eubank with the Texas Water Commission. This TWC required work included revision of the southeast corner of the landfill in order to assure 2% grades were established per State standards. This requirement necessitated additional surveying, a revised final topographic map to be prepared, and construction management. Additional work included monitoring well drainage revisions and a State inspection. ALTERNATIVES: No alternative is recommended. ACTION REQUESTED: Payment is recommended. • REVENUE SOURCES: EXPENDITURE ACCOUNTS: N/A Landfill ArrniirLt BUDGETED FISCAL YEAR(s): N/A ESTIMATED EXPENDITURE: $8, 853. 51 $ PERSONNEL ❑ ' - - OVER/UNDER PROJECTIONS BY: OPERATIONS ❑ ONE-TIME ❑ •- = $ CAPITAL ❑ RECURRING ❑ OTHER COMMENTS: USER DEPARTMENT COMMENTS: SUPPORTING DOCUMENTS: BACKGROUND MEMO MINUTES \ LETTER C.I.P. ORDINANCE/RESOLUTION OTHER BUDGET WYLIE CODE OTHER MAP, PLAN, SKETCH BID TAB/SPECS OTHER MINUTES LEGAL REVIEWED BY: CITY MANAGER DIRECTOR OF PARKS/REC. CITY SECRETARY DIRECTOR OF FINANCE DIR. OF PLANNING/ENG. LIBRARY DIRECTOR POLICE CHIEF CITY ATTORNEY PUBLIC WORKS SUPR. FIRE CHIEF DIRECTOR OF PUBLIC BUILDING OFFICIAL WORKS APPRO D FOR SUBMI SION TO CITY COUNCIL liaPele9 CI. MANAGER HELMBERGER ASSOCIATES ORVOOCC CI�yy L AND ENVIRONMENTAL ENGINEERS HE1.MBERG ASSOC., INC. 1 124 HOOPER RD. P 1 WYLJE, TX 7509A (214)442-7459 City of Wylie INVOICE NO. : 9171E 2000 Highway 78 North PN# : 9171 P.O. Box 428 DATE : August 18, 1992 Wylie, Texas 75098 Attn: Mr. Paul Beaver, P.E. , Director of Planning and Engineering Additional professional engineering services for aerial topog- raphy of the landfill , contract supervision, coordination with the City of Wylie and, the Texas Water Commission associated with closure of the Wylie Municipal Landfill. FOR PROFESSIONAL SERVICES RENDERED FROM 5-17-92 THROUGH 9-2-92 Direct Salary Expense: Technician 34 . 25 Hrs. * $27. 32/Hr. = $ 935.71 Staff Engineer 81. 50 Hrs. * $57. 50/Hr. = $ 4 , 686. 25 Principal 8 . 25 Hrs. * $80. 00/Hr. = $ 660.00 Total Direct Salary Expense $ 6, 281.96 Direct Costs: Metropolitan Aerial $ 1, 650. 00 * 1. 15 = $1, 897 . 50 Office Supplies $ 111. 13 * 1. 15 = $ 127.80 Surveying $ 475. 00 * 1. 15 = $ 546. 25 - $ 2, 571. 55 AMOUNT DUE THIS INVOICE $ 8,853.51 Inv.#9171E SAH WHITE-ORIGINAL YELLOW- REMITTANCE COPY PINK-FILE John Hall, Chairman :: -'+161r yiyi•, Pam Reed, Commissioner Peggy Garner,Commissioner � ; j TEXAS WATER COMMISSION PROTECTING TEXANS'HEALTH AND SAFETY BY PREVENTING AND REDUCING POLLUTION May 18, 1992 The Honorable John Akin Mayor of Wylie P. 0. Box 428 'wlie, Texas 75098 Subject: Solid Waste - Collin County City of Wylie - Permit No. 712 1 mile SW of Wylie, South of SH-78 Dear Mayor Akin: On May 5, 1992, Mr. Boyd M. Cole, P.E. , inspected the subject Type II municipal solid waste disposal site for closure. The inspection report revealed that the site needed some additional closure work and was being operated in violation of the Commission's "Municipal Solid Waste Management Regulations" (M6WMR) . The rules violated and the corrective actions required are as indicated: 1. 325.150(c)(2) : "The final cover for the top portion of a landfill shall have a minimum gradient of 2.0% and shall not exceed 6.0%, but shall possess a sufficient minimuun grade to preclude ponding of surface water." 2. 325.150(c)(3) : "Final cover shall be applied in accordance with the• approved site closure/completion plan required by subsection (b) of 325.152 of this title l(relating to Site Completion and Closure Procedures) ." 3. 325.150(d) : "The on-site ponding of water upgradient of deposited waste shall be prevented." The south portion of landfill needs additional work. The area in front of the monitor well (closest to creek) was wet and water standing in ruts. Please insure that this area drains and water does not flow to the well or pond. Please number the monitor wells. It is requested that the closure work be completed by June 22, 1992 and send a letter by this date to confirm completion. If the growing season is not favorable for the start of vegetation, this may be delayed to the appropriate time. REPLY TO: DISTRICT 4 / 1019 N.DUNCANVILLE ROAD / DUNCANVILLE,TEXAS 75116-2201 / AREA CODE 214/298-6171 / METRO 299.6951 P.O. Box 13087 • 1700 North Congress Avenue • Austin,Texas 78711-3087 • 512/463-7830 The Honorable John Akin Mayor of Wylie, Permit No. 712 May 18, 1992 Page 2 Should you have any questions concerning this letter or if we may be of any assistance to you regarding solid waste management, you may contact Mr. Cole, P.E. at the District 4 office at 214/298-6171. cerely, tH&!4g27."A/( - C. Eubank Hazardous and Solid Waste Program Manager BMC:bb cc: Texas Water Commission, Austin Wylie City Manager./ TWC, District 4 John Hall, Chairman Pam Reed, Commissioner :,, r`• '' r Peggy Garner, Commissioner 14q : TEXAS WATER COMMISSION PROTECTING TEXANS'HEALTH AND SAFETY BY PREVENTING AND REDUCING POLLUTION August 26, 1992 The Honorable John Akin Mayor of Wylie P. 0. Box 428 Wylie, Texas 75098 RE: Solid Waste - Collin County City of Wylie - Permit No. 712 1 mile SW of Wylie, South SH-78 Dear Mayor Akin: On August 20, 1992, Mr. Boyd M. Cole, P.E. , of this district office, inspected the subject municipal solid waste disposal site for verification of closure. During this inspection, our field investigator was accompanied by members of your city staff. During this inspection, it was noted that this site has met all of the closure requirements of the Commission's "Municipal Solid Waste Management Regulations" (MSWMR) , except filing the "Affidavit to the Public" . Upuu acceptance of the affidavit, the Commission will consider the site closed. Post-closure maintenance inspections will be conducted until the post-closure maintenance period has been completed in 1997. All monitoring systems must be maintained throughout the post-closure maintenance period. Your cooperation in this matter is greatly appreciated. Should you have any questions, you may contact Mr. Cole at this District 4 office at 214/298-6171. Sincerely, Don C. Eubank Hazardous and Solid Waste Program Manager BMC:bb cc: TWC, Municipal Solid Waste, Austin TWC, District 4 REPLY TO: DISTRICT 4 / 1019 N.DUNCANVII.LE ROAD / DUNCANVILLE,TEXAS 75116-2201 / AREA CODE 214/298-6171 / METRO 299-6951 P.O. Box 13087 • 1700 North Congress Avenue • Austin,Texas 78711-3087 • 512/463-7830 PRINTED ON RECYCLED PAPER City of Wylie AGENDA COMMUNICATION SUBMITTED BY: BILL NELSON DIRECTOR: COMMUNITY SERVICES DATE REFERENCE NO. SUBJECT 09/02/92 6 FENCING FOR NEW SOCCER/FOOTBALL FIELDS AT COMMUNITY PARK SUMMARY OF SUBJECT: At a special meeting of the Park and Recreation Advisory Board on Monday, August 31st, the board approved the proposed fencing for the soccer/foot- ball fields at Community Park. They also approved changing the Master Plan for Community Park to reflect this fencing. The fencing is being funded by W.S.A. The installation of this fencing will make it safer for the participants. ALTERNATIVES: 1). Reject the proposed fencing of the soccer/football field 2) Postpone fencing of the soccer/football field 3) Allow the change to the Master Plan and the installation of fences ACTION REQUESTED: Staff recommends allowing the change to the Community Park Master Plan and allow the fencing to be installed. r- A REVENUE SOURCES: EXPENDITURE ACCOUNTS: BUDGETED FISCAL YEAR(s): ESTIMATED EXPENDITURE: $ PERSONNEL ❑ OVER/UNDER PROJECTIONS BY: OPERATIONS ❑ ONE-TIME ❑ $ CAPITAL ❑ RECURRING ❑ OTHER COMMENTS: USER DEPARTMENT COMMENTS: SUPPORTING DOCUMENTS: BACKGROUND MEMO MINUTES LETTER C.I.P. ORDINANCE/RESOLUTION OTHER BUDGET WYLIE CODE OTHER X MAP, PLAN, SKETCH BID TAB/SPECS OTHER MINUTES LEGAL REVIEWED BY: X CITY MANAGER X DIRECTOR OF PARKS/REC. CITY SECRETARY DIRECTOR OF FINANCE DIR. OF PLANNING/ENG. LIBRARY DIRECTOR POLICE CHIEF CITY ATTORNEY - _ : PUBLIC WORKS SUPR. FIRE CHIEF DIRECTOR OF PUBLIC BUILDING OFFICIAL WORKS • APPROVED FOR SUBMISSION TO CITY COUNCIL - -. _ • CITY MANAGER . .\ AD Q a I I I I C CA s 111 N os l — S --0S 1 — — pg 1 — _ — oS1 — Y X ` X 9r�NacO �. �NINd0 MI X 9�►►NO• I , 1 /_ At- —i�� OS — o S— . — --C ---G , . _ . '-,rl"-,S o+. 4.-a \t. City of Wylie • AGENDA COMMUNICATION Paul Beaver Engineering SUBMITTED BY: DIRECTOR: DATE REFERENCE NO. SUBJECT 9/02/92 Discussion Item 7 Southplace Estates Renovation SUMMARY OF SUBJECT: The Developer of Southplace Estates will present for Council discussion the proposed method to renovate Southplace Estates regarding all utility work necessary, plus pavement construction repairs and any necessary fees that may be required. ALTERNATIVES: N/A ACTION REQUESTED: N/A • REVENUE SOURCES: EXPENDITURE ACCOUNTS: BUDGETED FISCAL YEAR(s): ESTIMATED EXPENDITURE: S PERSONNEL ❑ OVER/UNDER PROJECTIONS BY: OPERATIONS 0 ONE-TIME 0 • $ CAPITAL ❑ RECURRING 0 OTHER COMMENTS: USER DEPARTMENT COMMENTS: SUPPORTING DOCUMENTS: BACKGROUND MEMO MINUTES LETTER C.I.P. ORDINANCE/RESOLUTION OTHER BUDGET WYLIE CODE OTHER MAP. PLAN. SKETCH BID TAB/SPECS OTHER MINUTES LEGAL REVIEWED BY: CITY MANAGER DIRECTOR OF PARKS/REC. CITY SECRETARY DIRECTOR OF FINANCE X DIR. OF PLANNING/ENG. UBRARY DIRECTOR POLICE CHIEF CITY ATTORNEY • PUBLIC WORKS SUPR: FIRE CHIEF • - DIRECTOR OF PUBUC BUILDING OFFICIAL WORKS • APPROVED FOR SU:MISSION TO CITY COUNCIL . •• • CITY MANAGER CITY OF WYLIE FINANCIAL STATEMENTS NAN C S E NT S For .:.•............"........•.i•....................:....:..........................."...:.........i...............:....:....:...................•,,, PeriodEnding nd Ju 1 1 2 �9 3 99 Se Pt ember 2 1992 ................ CITY OF WYLIE INTERIM COMBINED STATEMENT OF CASH RECEIPTS AND DISBURSEMENTS For the Month Ending July 31, 1992 Balance July July Balance Fund 06-30-92 Receipts Disbursements 07-31-92 General Fund: General Fund Cash $865,354 $97,650 $310,337 $652,667 Resticted City Council Rsv(Cash) 35,000 0 0 35,000 Payroll 9,658 154,343 155,732 8,269 Special Revenue Funds: Community Parks Improvement 13,004 890 730 13,164 Debt Service Funds: G. O. Bonds 199,632 1,678 0 201,310 Utility I&S Fund 10,212 0 0 10,212 Capital Projects Funds: Streets Construction 11,873 0 0 11,873 Street(Perimeter)Improvement 351,847 0 0 351,847 Landfill Closure 502,627 153,977 13,458 643,146 Service Center/Animal Shelter 315,232 0 0 315,232 Enterprise Funds: Utility Fund 492,597 154,791 153,524 493,864 Utility Constr&Engineering 879 0 0 879 Impact/Lift 24,004 6,600 0 30,604 Sanitation Fund 23,910 32,633 35,657 20,886 Trust and Agency Funds State Court 11,188 6,161 7,774 9,575 Municipal Appearance 15,588 5,064 7,746 12,906 Partial Payment Municipal Court 30,602 6,921 14,820 22,703 Police Drug/Crime 7,660 0 0 7,660 TOTAL-ALL FUNDS $2,913,207 $620,708 $699,778 $2,834,136 INVESTMENTS BY MATURITY AND TYPE As of July 31,1992 Average Type Annual Yield Amount CASH AND INVESTMENTS:At 07-31-92 Investments: U.S.Treasury 3.24% $671,065 CD#17330 3.10% $102,572 CD#17379 3.20% $55,706 Demand Deposits $2,004,794 TOTAL CASH AND INVESTMENTS $2,834,136 Page 1 CITY OF WYLIE GENERAL FUND INTERIM COMBINED STATEMENT OF REVENUES AND EXPENDITURES For the Month of July 1992 and the Tenth Month Ended July 31, 1992 Received Year 1991-92 or Spent to Date 1991-92 Annual Year as % of Expected Budget to Date Budget Total BEGINNING BALANCE $189,656 $189,656 100.0% $189,656 REVENUES: Ad Valorem Taxes S1,495,870 $1,453,478 97.2% S1,484,650 Sales Taxes 385,000 311,639 80.9% 385,500 Franchise Fees 339,400 364,218 107.3% 372,920 Licenses and Permits 68,400 53,660 78.5% 64,700 Intergovernmental Revenues 49,930 21,378 42.8% 50,660 Service Fees 50,000 42,919 85.8% 51,800 Court Fees 114,500 130,153 113.7% 140,000 Interest Income 12,000 19,726 164.4% 22,000 Paving Assessments 800 0 0.0% 0 Miscellaneous 30,100 21,412 71.1% 25,950 Transfers From Other Funds 373,080 249,040 66.8% 370,000 TOTAL REVENUES S2,919,080 $2,667,623 91.4% S2,968,180 TOTAL AVAILABLE RESOURCES $3,108,736 $2,857,279 91.9% $3,157,836 EXPENDITURES: City Council $29,120 $25,324 87.0% $24,840 City Manager 86,008 57,080 66.4% 80,960 City Secretary 110,290 83,085 75.3% 104,990 City Attorney 71,891 50,599 70.4% 62,920 Finance 298,948 210,931 70.6% 274,230 Municipal Court 42,679 32,220 75.5% 38,920 Building Services 274,225 210,915 76.9% 246,410 Library 63,559 50,666 79.7% 63,330 Police 800,867 666,416 83.2% 772,650 Fire 186,692 104,643 56.1% 168,390 Emergency Medical Service 132,252 99,189 75.0% 132,250 Animal Control 41,174 26,487 64.3% 32,970 Engineering 183,246 99,202 54.1% 137,330 Community Development&Planning 134,571 101,455 75.4% 120,240 Streets 399,816 216,874 54.2% 360,610 Garage 41,074 31,766 77.3% 39,090 Parks&Recreation 182,976 125,005 68.3% 153,340 Transfer to Other Funds 7,272 0 0.0% 7,272 TOTAL EXPENDITURES S3,086,660 $2,191,857 71.0% $2,820,742 ENDING FUND BALANCE $22,076 $337,094 Page 2 CITY OF WYLIE GENERAL FUND INTERIM STATEMENT OF ACTUAL REVENUE COMPARED TO BUDGET For the Month of July 1992 and the Tenth Month Ended July 31, 1992 Year-to-Date Actual Actual as%of July Year Annual Budget Annual 1992 to Date Unrealized Current Prior Revenue Category Budget Revenue Revenue Revenue Year Year Ad Valorem Taxes: Current Taxes $1,412,650 $3,822 $1,393,880 $18,770 98.7% 99.9% Delinquent Taxes 56,350 44 38,989 17,361 69.2% 117.1% Penalty&Interest 26,870 584 20,609 6,261 76.7% 120.4% Sales Taxes: General 384,250 24,841 311,022 73,228 80.9% 79.9% Alcoholic Beverage 750 0 617 133 82.3% 223.3% Franchise Fees: Electric Franchise 216,000 0 223,534 (7,534) 103.5% 107.8% Telephone Franchise 43,500 0 45,673 (2,173) 105.0% 107.8% Gas Franchise 38,500 0 41,217 (2,717) 107.1% 111.8% Cable Franchise 7,500 0 20,504 (13,004) 273.4% 149.2% Sanitation Franchise 33,900 3,410 33,290 610 98.2% 112.5% Licenses and Permits 68,400 6,766 53,660 14,740 78.4% 74.8% Intergovernmental Revenues: Lake Patrol 18,500 8,121 11,854 6,646 64.1% 45.5% Fire Call Reimbursement 7,300 0 6,710 590 91.9% 110.2% County 3,730 0 2,814 916 75.4% 100.8% ISD/School Guard 7,400 0 0 7,400 0.0% 98.6% Other Govt Reimbursement 13,000 0 0 13,000 0.0% 48.3% Service Fees: Development Fees 1,700 67 1,812 (112) 106.6% 59.0% Alarm Permits 1,000 20 1,270 (270) 127.0% 540.0% 911 Fees 41,000 3,799 37,274 3,726 90.9% 94.0% Animal Control 3,300 0 1,845 1,455 55.9% 70.4% Recreation Fees(Community Room) 3,000 0 718 2,283 23.9% 7.4% Court Fees 114,500 28,617 130,154 (15,654) 113.7% 64.1% Interest Income 12,000 0 19,726 (7,726) 164.4% 89.9% Paving Assessments: Principal 800 0 0 800 0.0% 394.2% Miscellaneous: Rental Income 15,000 1,184 12,465 2,535 83.1% 85.8% Miscellaneous Income 14,600 407 8,947 5,653 61.3% 164.1% Restitutions 500 0 0 500 0.0% 1379.0% Transfers From Other Funds: Sanitation Fund 68,080 0 49,040 19,040 72.0% 25.1% Utility Fund 305,000 0 200,000 105,000 65.6% 76.8% TOTAL REVENUES $2,919,080 $81,681 $2,667,623 $251,457 91.4% 92.7% Page 3 CITY OF WYLIE GENERAL FUND INTERIM STATEMENT OF ACTUAL EXPENDITURES COMPARED TO BUDGET For the Month of July 1992 and the Tenth Month Ended July 31, 1992 Year-to-Date Actual as%of Actual Annual Budget Annual June Year-to-Date Current Prior Expenditure Category Budget Expenditures Expenditures Balance Year Year General Government: City Council $29,120 $276 $25,324 $3,796 87.0% 75.1% City Manager 86,008 7,769 57,080 28,928 66.4% 55.1% City Secretary 110,290 7,039 83,085 27,205 75.3% 93.4% City Attorney 71,891 4,432 50,599 21,292 70.4% N/A Finance 298,947 19,120 210,931 88,016 70.6% 96.7% Municipal Court 42,679 2,559 32,220 10,459 75.5% 70.6% Building Services 274,225 16,664 210,915 63,310 76.9% 93.0% Public Safety: Police 800,867 117,061 666,416 134,451 83.2% 82.8% Fire 186,692 16,241 104,643 82,049 56.1% 75.0% Emergency Medical Service 132,252 11,021 99,189 33,063 75.0% 96.6% Animal Control 41,174 3,095 26,487 14,687 64.3% 111.5% Urban Development: Engineering 183,246 7,953 99,203 84,043 54.1% 83.2% Community Development&Planning 134,571 7,738 101,455 33,116 75.4% 88.2% Public Works: Streets 399,816 29,325 216,874 182,942 54.2% 92.2% Garage 41,074 3,927 31,766 9,308 77.3% 78.5% Community Services: Library 63,559 4,542 50,666 12,893 79.7% 95.5% Parks&Recreation 182,976 18,289 125,005 57,971 68.3% 93.9% Transfer to Debt Service Fund 0 0 0 0 0.0% 0.0% Transfer to Other Funds 7,272 0 0 7,272 0.0% 0.0% TOTAL EXPENDITURES $3,086,659 $277,052 $2,191,857 $894,802 71.0% 89.4% Page 4 CITY OF WYLIE DEBT SERVICE FUND INTERIM COMBINED STATEMENT OF REVENUES AND EXPENDITURES For the Month of July 1992 and the Tenth Month Ended July 31, 1992 Received Year 1991-92 or Spent to Date 1991-92 Annual Year as%of Expected Budget to Date Budget Total BEGINNING BALANCE(1) $71,021 $71,021 100.0% $71,021 REVENUES: Current Ad Valorem Taxes $542,850 $536,516 98.8% $537,850 Delinquent Taxes 21,650 14,384 66.4% 17,000 Ad Valorem Penalty&Interest 10,330 8,126 78.7% 10,330 Interest Income 12,000 9,521 79.3% 12,000 Total Revenues $586,830 $568,548 96.9% $577,180 TOTAL AVAILABLE RESOURCES $657,851 $639,569 97.2% $648,201 EXPENDITURES: Bond Debt Series $601,260 $527,046 87.7% $601,260 Paying Agent Fees 4,000 1,511 37.8% 4,000 TOTAL EXPENDITURES $605,260 $528,557 87.3% $605,260 ENDING FUND BALANCE $52,591 $42,941 Page 5 CITY OF WYLIE UTILITY FUND INTERIM COMBINED STATEMENT OF REVENUES AND EXPENDITURES For the Month of July 1992 and the Tenth Month Ended July 31, 1992 Received 1991-92 or Spent 1991-92 Annual Year Expected Budget to Date Total Beginning Working Cash $297,822 $297,822 $297,822 REVENUES: Water Sales $1,063,800 $721,016 $950,000 Water Tap Fees 12,500 6,720 8,600 Reconnect Fees 6,200 2,390 3,000 Sewer Service 873,650 675,179 823,000 Sewer Pass Thru 109,953 78,302 93,500 Sewer Tap Fees 4,500 2,066 3,000 Interest Income 15,300 5,966 8,200 Penalty&Interest 48,600 27,437 35,000 Misc. Income 6,000 3,274 5,000 Transfer from General Fund 6,937 0 6,937 TOTAL REVENUES $2,147,440 $1,522,350 $1,936,237 TOTAL AVAILABLE RESOURCES $2,445,262 $1,820,172 $2,234,059 EXPENSES: Utility Admin $110,551 $292,780 $104,580 Water 508,834 352,929 449,020 Wastewater 381,773 307,640 361,480 Utilitiy Billing 171,300 101,277 146,370 Combined Services 41,125 20,921 32,740 Debt Service 484,200 406,194 483,680 Administrative Transfer 305,000 0 305,000 TOTAL EXPENDITURES $2,002,783 $1,481,741 $1,882,870 Ending Working Cash $442,479 $351,189 Page 6 CITY OF WYLIE UTILITY FUND INTERIM STATEMENT OF ACTUAL REVENUES AND EXPENSES COMPARED TO BUDGET For the Month of July 1992 and the Tenth Month Ended July 31, 1992 Year-to-Date Actual as%of Annual Budget Actual Current Prior Budget July Year-to-Date Balance Year Year REVENUES: Water Sales $1,063,800 $71,739 $721,016 $740,167 67.8% 77.5% Water Tap Fees 12,500 600 6,720 5,780 53.8% 75.0% Reconnect Fees 6,200 255 2,390 3,810 38.5% 151.1% Sewer Service 873,650 63,889 675,179 198,471 77.3% 74.5% Sewer Pass Thru 109,953 7,165 78,302 31,651 42.7% 119.4% Sewer Tap Fees 4,500 120 2,066 2,435 45.9% 127.6% Interest Income 15,300 0 5,966 9,334 39.0% 122.4% Penalty&Interest 48,600 3,375 27,437 21,163 56.5% 46.5% Misc. Income 6,000 510 3,274 2,726 54.6% 113.5% Transfer from General 6,937 0 0 6,937 TOTAL REVENUES $2,147,440 $147,652 $1,522,350 $1,022,473 70.9% 78.3% EXPENSES: Utility Admin $415,551 $9,789 $292,780 $122,771 70.5% 64.1% Water 508,834 37,285 352,929 155,905 69.4% 75.0% Wastewater 381,773 29,871 307,640 74,133 80.6% 86.7% Utilitiy Billing 171,300 9,847 101,277 13,327 59.1% 81.3% Building Services 41,125 1,356 20,921 20,204 50.9% 69.8% Transfer to Debt Service 484,200 20,000 406,193 78,007 83.9% 78.5% TOTAL EXPENDITURES $2,002,783 $108,149 $1,481,741 $521,042 74.0% 76.9% Page 7 CITY OF WYLIE IMPACT/LIFT FUND INTERIM STATEMENT OF ACTUAL REVENUES AND EXPENSES COMPARED TO BUDGET For the Month of July 1992 and the Tenth Month Ended July 31, 1992 Year-to-Date Actual as%of Annual Budget Actual Current Prior Budget July Year-to-Date Balance Year Year REVENUES: W&S Impact Fees $103,500 $6,600 $55,250 $48,250 53.4% 108.5% Interest Income 1,500 0 610 890 40.7% 65.4% TOTAL REVENUES $105,000 $6,600 $55,860 $49,140 53.2% 107.1% EXPENSES: Impact/Lift $70,000 $0 $13,641 $56,359 19.5% 91.0% TOTAL EXPENSES $70,000 $0 $13,641 $56,359 19.5% 91.0% Page 8 CITY OF WYLIE SANITATION OPERATING FUND INTERIM COMBINED STATEMENT OF REVENUES AND EXPENDITURES For the Month of July 1992 and the Tenth Month Ended July 31, 1992 Received Year 1991-92 or Spent to Date 1991-92 Annual Year as%of Expected Budget to Date Budget Total BEGINNING BALANCE(1) ($3,624) ($3,624) 100.0% ($3,624) REVENUES: Sanitation Collection Fees $391,000 $331,078 84.7% $390,000 Interest Income 1,000 1,262 126.2% 1,700 Transfer From General Fund 335 0 0.0% 335 Total Revenues $392,335 $332,340 84.7% $392,035 TOTAL AVAILABLE RESOURCES $388,711 $328,716 84.6% $388,411 EXPENDITURES: Personal Service $20,212 $14,997 74.2% $20,212 Contract Refuse Service 290,000 224,320 77.4% 303,000 Postage&Printing 150 26 17.3% 30 Travel&Training 100 0 0.0% 0 Landfill Fees 13,773 0 0.0% 0 Administrative Costs 68,080 49,040 72.0% 60,000 TOTAL EXPENDITURES $392,315 $288,383 73.5% $383,242 ENDING FUND BALANCE ($3,604) $5,169 Page 9 CITY OF WYLIE SANITATION FUND INTERIM STATEMENT OF ACTUAL REVENUES AND EXPENSES COMPARED TO BUDGET For the Month of July 1992 and the Tenth Month Ended July 31, 1992 Year-to-Date Actual as%of 1991-92 Actual Annual Budget Annual July Year-to-Date Current Prior Budget Expenditures Expenditures Balance Year Year REVENUES: Sanitation Collection Fees $391,000 $30,001 $331,078 $59,922 84.7% 83.9% Interest on Investments 1,000 0 1,262 (262) 126.2% 123.6% Transfer from General Fund 335 0 0 335 0.0% 0.0% TOTAL REVENUES $392,000 $30,001 $332,340 $59,660 84.8% 84.0% EXPENSES: Sanitation Operating $392,315 $26,288 $288,383 $103,932 73.5% 74.5% TOTAL EXPENSES $392,315 $26,288 $288,383 $103,932 73.5% 74.5% • Page 10