HomeMy WebLinkAboutCOUNCIL MINUTES 1955-07-01 SPECIAL Page 1936
MINUTES OF THE THIRTIETH SPECIAL MEETING OF THE COUNCIL
OF THE CITY OF LIVONIA
On July 1, 1955, the above meting was held at 33001 Five Mile Road,
Livonia, Michigan, and was called to order at approximately 5:50 P. M., by the
President of the Council, John T. Daugherty. Roll was called with the following
result: Present-- John T. Daugherty, David L. Jones, Harry R. Killam, Rudolf R.
Kleihert and John W. Whitehead. Absent-- Nettie Carey and Wilson W. Edgar. Mr.
Edgar waived his right to ro tics of special meetings by letter dated June 20, 1955.
Councilman Kleinert introduced the following Ordinance:
NO. 102.
AN ORDINANCE TO AMEND SECTIONS 7, 8 AND 9 OF
ORDINANCE NO. 98 OF THE CITY OF LIVONIA ENTITLED:
"AN ORDINANCE COMBINING ALL SEWAGE DISPOSAL FA-
CILITIES OF THE CITY OF LIVONIA INTO A SINGLE
SEWAGE DISPOSAL SYSTEM; PROVIDING FOR THE MAIN-
TENANCE AND OPERATION OF SAID SYSTEM ON A PUBLIC
UTILITY BASIS; PROVIDING FOR THE FIXING AND COL-
LECTION OF RATES AND CHARGES TO USERS AND BENE-
FICIARIES OF SAID SYSTEM AND CERTAIN STORM SEWERS
CONSTRUCTED; PROVIDING FOR TRE ALLOCATION AND USE
OF THE REVENUES DERIVED FROM THE COLLECTION OF
SUCH RATES AND CHARGES; PROHIBITING UNAUTFORIZED
CONNECTIONS, AND PROVIDING PENALTIES FCR THE
VIOLATION THEREOF," AS SUBSEQUENTLY AMENDED BY
ORDINANCE NO. 100 OF THE CITY OF LIVONIA.
THE CITY OF LIVONIA ORDAINS:
Section 1. Sections 7, 8 and 9 of Ordinance No. 98 of the City of Livonia,
duly adopted and approved on April 18, 1955, as amended by Ordinance No. 100 of the
City of Livonia, duly adopted and approved on May 17, 1955, are hereby amended to
read as follows:
Section 7. All rates and charges herein specified collected
prior to July 1, 1955, shall be allocated arri deposited as follows:
(a) Such rates and charges collected from users of the
District No. I sewers, constructed under the provi sions
of Ordinance No. 26, as amended, of the City, shall be
irms deposited in the Receiving Fund set up under the provisions
of said Ordinance No. 26, as amended, and remain subject to
the requirements of said Ordinance until July 1, 1955,
Page 1937
after which time such moneys shall be allocated and trans-
ferred in accordance with the requirements of Section 9
it/Am
of this Ordinance.
(b) Such rates and charges collected from users of the
District No. II sewers, constructed under the provisions
of Ordinance No. 42 of the City, shall be deposited in the
Receiving Fund set up under the provisions of said Ordinance
No. 42 and remain subject to the requirements of said Ordinance
until said July 1, 1955, after which time such moneys shall be
allocated and transferred in accordance with the requirements
of Section 9 of this Ordinance.
(c) Such rates and charges collected from users of the other
sewers of the System shall be retained in a separate depositary
fund temporarily, and be subject to the allocation and transfer
requirements set forth in Section 9 of this Ordinance.
Section 8. The gross revenues of the Sewage Disposal System de-
rived from the collection of the rates and charges imposed by the provisions
of Section 5 of this Ordinance, from and after July 1, 1955, are hereby
ordered to be set aside as collected in NATIONAL BANK OF DEMOIT (Cranston
Branch), Detroit, Michigan, a bank duly qualified to do business in Michigan,
in an account to be designated Sewage Disposal System Receiving Fund (here-
inafter referred to as the "Receiving Fund"), and said revenues so deposited
are pledged for the purpose of the following funds and shall be transferred
from the Receiving Fund periodically in the manner and at the times herein-
after specified.
(A) OPERATION AND MAINTENANCE FUND:
Out of the revenues in the Receiving Fund there shall first be set aside
during each quarterly period into a separate depositary account designated
OPERATION AND MAINTENANCE FUND, a sum sufficient to provide for the payment
of the next quarter's current expenses of administration and operation of
the Sewage Disposal System and such current expenses for the maintenance
thereof as may be necessary to preserve the same in good repair and working
order.
The City Council, prior to the commencement of each operating year,
shall adopt a budget covering the foregoing expenses for each year and such
total expenses shall not exceed the total amount specified in said budget
unless approved by a five-sevenths (5/7) vote of the menbers of the City
Council.
(B) CONTRACT PAYMENT FUND:
There shall next be established and maintained a separate de-
positary account designated CONTRACT PAYMENT FUND, the honeys from time
to time on deposit therein to be used solely for the purposes herein
ibm specified.
All moneys remaining in the Receiving Fund after the foregoing
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provisions have been made for the requirements of the Operation and
Maintenance Fund, shall semi-annually on December 1st and June 1st of
each year be set aside and transferred to the Contract Payment Fund,
which said moneys shall then be used as follows and in the following
priority:
First: For the fixed debt retirement payments due on January 1st
and July lst of each year, representing interest on the bonds
due on January 1st and principal and interest due on July 1st
of each year.
Second: To the payment of balances owing by the City to the consulting
engineers, George Jerome & Co., pursuant to the provisions of
their contract with the City for the engineering and supervisory
services relative to the construction of the sewers specified in
the contract.
Third: To the repayment to the City of the advances specified in the
contract in the amount of $160,569.02, it appearing tht as a
result of construction bids received on June 28, 1955, there
will not be sufficient moneys remaining after the construction
of the sewers specified in tle contract, out of the proceeds of
the sale of the bonds, to fully reimburse the City for said
advances as contemplated by the provisions of the contract:
Provided, However, that such amounts so used for such purpose
shall not exceed $40,000.00 in any operating year, until said
advances are repaid in full.
Fourth: To the establishment of a Contract Payment Reserve Fund which
shall be maintained as a separate account, until said funds
shall equal the maximum principal and interest becoming due
on the bonds in any future year. The moneys in said Contract
Payment Reserve Fund shall be used solely for the payment of
the fixed debt retirement payments to the extent of any de-
ficiency in current revenues available therefor. Any moneys
so used shall be replaced from the next revenues available
therefor. Moneys in the Contract Payment Reserve Fund may be
invested in obligations of the United States of America, and
any income therefrom shall be credited to said fund.
Fifth: For advance payments or redemption of bonds prior to maturity
in accordance with the authorization contained in Section 9
of the County Ordinance and the provisions of the contract,
at the written option of the City, or, at the option of the
City Council for the construction of additional extensions
and improvements to the Sewage Disposal System, or the payment
of indebtedness incurred therefor.
Section 9. On or before July 20, 1955, an audit and determina-
tion shall be made by the auditor of the City of the fund balances on
imm hand as of said date in (a) any of the funds established pursuant to the
provisions of Ordinance No. 26, as amended, of the City; (b) any of the
funds established pursuant to the provisions of Ordinance No. 42 of the
Page 1939
City; and (c) the funds established pursuant to the provisions of Section
ime
7, subsection (c) of this Ordinance. Such funds shall then, and on or
before July 21, 1955, be transferred into one consolidated account, and
the moneys in said account used and allocated in accordance with the
following requirements, and in the following priority:
First: Subsequent to the sale of the bonds, and on or prior to August
30, 1955, there shall be deposited in trust with Detroit Trust
Company, Detroit, Michigan, a sufficient amount of such moneys
to pay (a) the interest on Sewage Disposal System No. I Revenue
Bonds, and Sewage Disposal System No. II Revenue Bonds, due on
September 1, 1955, in accordance with the provisions of the con-
tract, and (b) there shall be transferred to the Board of County
Road Commissioners of the County of Wayne, acting for and on be-
half of the County of Wayne, for deposit by them with Detroit
Trust Company as a portion of the sum required to be deposited
by them pursuant to the provisions of Section 5(e) of the con-
tract, the sum of $208,000.00, said sum thereby reducing by a
corresponding amount the total sum required to be deposited by
said Board under said provisions of the contract out of the pro-
ceeds of the sale of the bonds, the total sum specified in said
contract provision to be thus provided as follows:
$858,000.00 By the Board out of the proceeds of the
sale of the bonds
$208,000.00 By the Board from the moneys herein trans-
ferred to the Board
$1,066,000.00 - Total
Second: The balance of said moneys shall be deposited into the Receiv-
ing Fund established by this Ordinance and subject to the re-
quirements as set forth in Section 8 hereof.
If, for any reason, the bonds are not sold and delivered prior
to September 1, 1955, all funds in the consolidated account herein referred
to or in any of the funds established pursuant to the provisions of Section
8 of this Ordinance, shall be retransferred to the accounts set up under
the provisions of Ordinances No. 26, as amended, and 42 of the City, or as
to those moneys collected from users of sewers out side of the area served
by the District No. I sewers or the District No. II sewers, shall be trans-
ferred to a temporary account subject to future disposition by the City as
may be authorized or required by law.
Section 2. This Ordinance shall be immediately re corded by the City Clerk
in "The Record of Ordinances" book as soon as it is adopted, which record shall be
authenticated by the signatures of the Mayor and City Clerk in accordance with the
requirements of the City Charter, and shall be published once in The Livonian, a
newspaper of general circulation in said City within ten (10) days after its passage.
Section 3. This Ordinance is hereby declared to be an emergency Ordinance
immediately necessary to provide for the financing of sewers necessary for the public
health of the citizens of the City, and shall become effective on July 1, 1955
Page 1940
being the date of the meeting of the City Council where it was introduced and adopted.
Iwom
A roll call vote was conducted on the foregoing ordinance with the following result:
AYES: Jones, Killam, Kleinert, Whitehead and Daugherty.
NAYS: None.
The President declared the foregoing ordinance duly adopted and would become effective
immediately.
On motion of Councilman Killam, seconded by Councilman Jones and unanimously
adopted, this 30th special meeting of the City Council was duly adjourned at 5:55 P. M.,
July 1, 1955.
--7 L
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Mar = W. lark, City Clerk
Attested:
John Daugherty, President o the Counc
i1
�i:olf . Kleinert, Vice President of the Council