Council Minutes of 1-7-2020
<br />issuance of bonds, to provide funds to pay costs of improving Alden Drive,
<br />Ashbury Park Drive, Brendan Circle, Brendan Lane, Brighton Drive, Cambridge
<br />Drive, Forest Ridge Drive, Hampton Drive and Somerset Drive between certain
<br />termini in the City by reconstructing and rehabilitating the pavement base,
<br />adjusting, constructing and reconstructing catch basins, curbs and curb ramps,
<br />manholes and utility valve and monument boxes, where necessary, preparing the
<br />surface and resurfacing, in each case together with necessary appurtenances and
<br />work incidental thereto. This is the actual list of streets that will be resurfaced. It
<br />may include additional resurfacing depending on money. Councilman Limpert
<br />requested there be a meeting with Council to review the list next year before
<br />bringing the financing legislation. The committee voted 3-0 to recommend to
<br />Council.
<br />• Discussed next was Ordinance 2019-120. An Ordinance providing for the
<br />issuance and sale of not to exceed $300,000 of notes, in anticipation of the
<br />issuance of bonds, to provide funds to pay costs of acquiring and installing
<br />computer hardware and software, together with necessary appurtenances and
<br />work incidental thereto, for use in carrying out city services and functions. Last
<br />year the City did improvements to the electrical system in City Hall because some
<br />of the computers were burning up. The committee voted 3-0 to recommend to
<br />Council.
<br />• Discussed next was Ordinance 2019-121. An Ordinance providing for the
<br />issuance and sale of not to exceed $220,000 of notes, in anticipation of the
<br />issuance of bonds, to provide funds to pay costs of acquiring an aerator, mowers,
<br />a sprayer, a bunker rake, a front end loader, a utility vehicle and other equipment
<br />for use at the City's Springvale Golf Course and Ballroom facility. The committee
<br />voted 3-0 to recommend to Council.
<br />• Discussed last was Ordinance 2019-122. An Ordinance providing for the issuance
<br />and sale of not to exceed $175,000 of notes, in anticipation of the issuance of
<br />bonds, to provide funds to pay costs of renovating, rehabilitating, remodeling,
<br />furnishing, equipping and otherwise improving the City Hall, together with
<br />necessary appurtenances and work incidental thereto. This is to reimburse the
<br />general fund from last year's HVAC project, which is just now starting to get
<br />underway. It also adds a contingency for further work which may be required as
<br />the work progresses. The committee voted 3-0 to recommend to Council.
<br />Councilman Limpert Chairman of the Streets & Transportation Committee:
<br />The Streets & Transportation Committee met on Monday, January 6, 2020 at 7:38 p.m.
<br />Present were committee members Limpert, Kelly and Glassburn; Council members
<br />Brossard, Hemann, Schumann and Williamson; Council President Jones; Mayor
<br />Kennedy, Director of Finance Copfer, Director of Human Resources Gallo, Director of
<br />Safety & Service Glauner, Director of Planning & Community Development and guests.
<br />• Discussed was Resolution 2019-111. A Resolution authorizing the Director of
<br />Public Service to advertise for bids for diesel fuel and gasoline products for use
<br />by the City of North Olmsted, as per specifications on file, and authorizing the
<br />Mayor, after approval of the Board of Control, to enter into a contract to purchase
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