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communities with regard to their experience with <br />this, specifically being particularly sensitive to <br />building code requirements (residential vs commer- <br />cial) and local trai:fic situations. Also, Mohr <br />asked that information be obtained from CML <br />regarding this issue, from the National Associa- <br />tion of Cosmetology School and from the State <br />Board of Cosmetology of Colorado. This will help <br />Council in their review of this proposed <br />Ordinance. <br />Mayor Fauson moved that Ordinance #950 be placed <br />out for publication and a public hearing set for <br />February 16, 1988. Carnival seconded. Unanimous. <br />AUTHORIZATION - DISPOSAL OF SURPLUS <br />EQUIPMENT Phare explained a generator adjacent to the High <br />Zone Pump Station at: the Water Treatment Plant was <br />originally installed to act as backup to Public <br />Service power connections so the High Zone Pump <br />Station would be ab:Le to continue providing water <br />should there be a power interruption. During the <br />expansion of the TrE~atment Plant, a second generator <br />was purchased to provide backup at the Plant. The <br />generator located adjacent to the High Zone Pump <br />Station is no longer needed. After surveying <br />other needs throughout the City, staff felt it was <br />either too expensive to connect for other backup <br />support or the size not adequate to have a <br />significant impact on power needs elsewhere. Staff <br />is requesting permi:~sion to dispose of the generator <br />through a sealed bid! process as surplus equipment. <br />Anderson moved that Council authorize the Public <br />Works Department to obtain sealed bids for the <br />sale/disposal of they diesel generator located <br />adjacent to the Highs Zone Pump Station at the Water <br />Treatment Plant. Scarpella seconded. Unanimous. <br />INFORMATION ONLY - 1987 GENERAL FUND BALANCE <br />SHEET Finance Director Sharon Asti-Caranci prepared an <br />unaudited Balance Sheet of the General Fund for <br />Council's information. The Sheet contained <br />information regarding the General Fund Balance <br />Carryover ($220,665), Operating Surplus ($88,698), <br />percentage of budgeted revenues collected (103$), <br />and expenditures (9~~$). <br />Hundley commended staff for being very cost <br />conscious so that "we could ride through the tough <br />periods." <br />Mayor Fauson agreed and added that Council is also <br />to be commended. <br />6 <br />