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Council Minutes of 1-7-2020 <br />subject to approval of the Board of Control, to enter into a contract for lawn care <br />services, and declaring an emergency. Director Gallo explained this is an annual <br />request for nuisance abatement work on residential and commercial properties. <br />The committee voted 3-0 to recommend to Council. <br />Councilman Schumann Chairman of the Finance Committee: <br />The Finance Committee met on Monday, January 6, 2020 at 7:41 p.m. Present were <br />committee members Schumann, Brossard and Kelly; Council members Glassburn, <br />Hemann, Limpert and Williamson; Council President Jones; Mayor Kennedy, Director of <br />Finance Copfer, Director of Human Resources Gallo, Director of Safety & Service <br />Glauner, Director of Planning & Community Development Lieber, Recreation <br />Commissioner Drenski and guests. <br />• Discussed first was Resolution 2019-109. A Resolution authorizing the Mayor to <br />enter into a contract with TTX Electronics to provide infrastructure upgrades to <br />the City telephone system, as approved by the Board of Control, and declaring an <br />emergency. The City needs to replace its outdated 30 year old phone system and <br />this company was chosen out of six applicants by the Board of Control. The total <br />cost will be $163,086.29. The committee voted 3-0 to recommend to Council. <br />• Discussed next was Ordinance 2019-110. An Ordinance to make appropriations <br />for Capital Improvements for the City of North Olmsted for the year ending <br />December 31, 2020. This is over four million dollars that will be spent in capital <br />improvements throughout the City. This covers road construction, storm sewer, <br />Country Club East Project, the Recreation Center Ice Rink improvements, <br />Springvale and Waste Water Treatment Plant. The committee voted 3-0 to <br />recommend to Council. <br />• Discussed next was Ordinance 2019-117. An Ordinance providing for the <br />issuance and sale of not to exceed $2,200,000 of notes, in anticipation of the <br />issuance of bonds, to provide funds to pay costs of improving the City's <br />Recreation Center by renovating, remodeling, rehabilitating, furnishing, <br />equipping and otherwise improving the ice rinks, the warming area and other <br />related facilities, together will all necessary appurtenances and work incidental <br />thereto. The committee voted 3-0 to recommend to Council. <br />• Discussed next was Ordinance 2019-118. An Ordinance providing for the <br />issuance and sale of not to exceed $1,165,000 of notes, in anticipation of the <br />issuance of bonds, to provide funds to pay costs of improving Country Club <br />Boulevard between certain termini in the City by reconstructing and rehabilitating <br />the pavement base, constructing a new center island, constructing and <br />reconstructing sidewalks, curbs and curb ramps and adjusting manholes and <br />utility valve and monument boxes, where necessary, preparing the surface and <br />surfacing and resurfacing, and acquiring and installing street lighting and <br />landscaping, in each case together with necessary appurtenances and work <br />incidental thereto, and making related sidewalk improvements on Columbia Road. <br />This will be paid for with TIF funds. The committee voted 3-0 to recommend to <br />Council. <br />• Discussed next was Ordinance 2019-119. An Ordinance providing for the <br />issuance and sale of not to exceed $1,055,000 of notes, in anticipation of the <br />N <br />