Meeting Name: Finance Committee Agenda status: Final
Meeting date/time: 9/11/2017 5:30 PM Minutes status: Final  
Meeting location: Council Chambers, 6th Floor
Published agenda: Agenda Agenda Published minutes: Minutes Minutes  
Meeting video:  
Attachments: FC Agenda Packet 9-11-17.pdf
File #Ver.Agenda #NameTypeTitleActionResultAction DetailsVideo
17-1392 1  MinutesAugust 21, 2017 and September 6, 2017 Finance Committee MinutesapprovedPass Action details Video Video
17-1383 1  Report Action ItemRequest to approve Contract Amendment/Change Order No. 4 to contract 9-17 for Unit U-17 Sewer and Water Reconstruction No. 2 to increase for 798 L.F. of 10" sanitary sewer reconstruction and steel reinforcement ring replacement on existing 42" water main in the amount of $105,500 resulting in no change to contingency. Overall contract increased from $2,508,485 to $2,613,985.recommended for approvalPass Action details Video Video
17-1384 1  Report Action ItemRequest to deed City owned land along Packard Street between Division Street and Superior Street (Tax Key 31-2-0677-00, 31-2-0706-00 and 31-2-0709-00) to the abutting property owners at 507 N Clark Street, 508 N Clark Street and 509 N Superior Street.recommended for approvalPass Action details Video Video
17-1385 1  Report Action ItemRequest to approve updates to the Energy Conservation Policyrecommended for approvalPass Action details Video Video
17-1386 1  Report Action ItemRequest to approve updates to the Facilities & Grounds Modification policyrecommended for approvalPass Action details Video Video
17-1387 1  Report Action ItemRequest to approve updates to the Furniture policyrecommended for approvalPass Action details Video Video
17-1406 1  Report Action ItemRequest to approve the following 2017 Budget adjustment: HAZMAT Grant Fund Chemicals +$48,717 Federal Grants +$48,717 to record purchase of firefighting foam and the related grant funding.recommended for approvalPass Action details Video Video
17-1407 1  Report Action ItemRequest to approve the following 2017 Budget adjustment: Water Utility Infrastructure +$90,000 Fund Balance - $90,000 Wastewater Utility Infrastructure +$65,000 Fund Balance - $65,000 to record cost of sanitary sewer and watermain through the Pathways Church property.recommended for approvalPass Action details Video Video
17-284 1  Report Action ItemResolution 19-R-09 regarding Borders NOTE: Please see the video from August 9, 2017 Community and Economic Development Committee meeting for Mayor's presentation.heldPass Action details Video Video
17-1388 1  PresentationDirector's Reports Finance - Budget - Tyler Munis Parks, Recreation and Facilities Management - Facilities Project Updatesreceived and filed  Action details Video Video
17-1389 1  PresentationContract 21-15 was awarded to Caldwell Tanks, Inc for $2,467,000 with a contingency of $246,700 for Glendale Water Tower. Change orders were approved totaling ($25,666). Final contract amount is $2,441,334. Payments issued to date total $2,313,780.81. Request final payment of $127,553.04.received and filed  Action details Not available
17-1390 1  PresentationContract 27-17 was awarded to Northeast Asphalt, Inc for the 2017 Water Treatment Facility Hardscapes Repairs project in the amount of $88,987 with a contingency of $13,000. No change orders were issued. Payments issued to date total $84,537.41. Request to issue the final contract payment of $4,449.34received and filed  Action details Not available
17-1391 1  PresentationContract 56-16 was awarded to Carl Bowers & Sons, Inc for $813,365 with a contingency of $34,000 for Sewer/Water Reconstruction #2. Change orders were approved totaling $2,100. Final contract amount is $815,465 with a contingency of $31,900. Payments issued to date total $792,162.87. Request final payment of $20,334.13received and filed  Action details Not available