TC Council Packet 08-22-2000Town Council Meetings
Roll Call Check Sheet
Roll calls are called at start of meeting and for Ordinances. Do not call Mayor except for
meeting roll call or to break a tie vote.
Seating arrangements from west to east: Brown, Reynolds, Cuny, Yoder, McDevitt,
Buckley, Benson
Staff Present:
Bill Efting
X Larry Brooks
Burt Levin
_ Kris Nash
Jacquie Halburnt
_Scott Wright
Jeff Layman
Charlie Moore
Meryl Jacobs
Norm Wood
Bob Reed
Harry Taylor
Mike Matzko
Karen Griffith
Other Staff:
i
STATE OF COLORADO )
COUNTY OF EAGLE ) SS
TOWN OF AVON )
NOTICE IS HEREBY GIVEN THAT A WORK SESSION OF THE TOWN COUNCIL
OF THE TOWN OF AVON, COLORADO, WILL BE HELD AUGUST 22, 2000, AT
3:15 PM IN THE MUNICIPAL BUILDING, 400 BENCHMARK ROAD, AVON,
COLORADO FOR THE PURPOSE OF DISCUSSING AND CONSIDERING THE
FOLLOWING:
3:15 PM - 4:15 PM 1.) Capital Projects Budget (Norm Wood)
4:15 PM - 4:30 PM 2.) Financial Update (Scott Wright)
4:30 PM - 4:45 PM 3.) Holy Cross Franchise (Burt Levin)
4:45 PM - 5:00 PM 4.) Christmas Lights Update (Bob Reed)
v
5:00 PM - 5:20 PM 5.) Community Development Update
,. Consent Agenda Questions
Council Committee Updates
AND SUCH OTHER BUSINESS AS MAY COME BEFORE THE COUNCIL
THIS MEETING IS OPEN TO THE PUBLIC
TO OF AVON, COLORADO
F ?
J
t.` 4 BY:
Kris ash
Tp'Wn Clerk
POSTED AT THE FOLLOWING PUBLIC PLACES WITHIN THE TOWN OF AVON
ON AUGUST 18, 2000:
AVON MUNICIPAL BUILDING IN THE MAIN LOBBY
AVON BEAVER CREEK TRANSIT BUS STOP AT AVON CENTER
- AVON RECREATION CENTER
1 - CITY MARKET IN THE MAIN LOBBY
l
t
I
• Memo
To: Honorable Mayor and Town Council
Thru: Bill Efting, Town Manager
From: Larry Brooks, Assistant Town Manager
Scott Wright, Finance Director
Norm Wood, Town Engineer
Date: August 16, 2000
Re: Capital Improvements Budget - 2001
Summary: The following items are attached for your information and
consideration:
C7
• 2001 CIP Budget Calendar (Revised)
• Current Capital Projects Fund 5-Year Plan
• Potential Capital Project Descriptions
• Potential Capital Projects / Wish List
• Schedule of Real Estate Transfer Taxes collected through July
• Year 2000 CIP Budget Message
With the aid of these items, we would like to accomplish the following in August 22nd
Council Work Session:
• Review Status of Current 5-Year CIP
• Review & Revise Potential Capital Project Descriptions
• Review & Revise Potential Capital Projects / Wish List
• Prioritize Potential Capital Projects / Wish List
Input received at this meeting will be utilized to refine project cost estimates and develop a
First Draft of the Capital Projects Fund 5-Year Plan for Council consideration.
Town Manager Comments:
C,
L\Fngmeamg\AdminisUation\CIP BudgO\Memo N to.Doc 1
V
TOWN OF AVON
2001
CIP BUDGET CALENDAR
August 16, 2000
August 22, 2000 Council - Review Project Descriptions &
Prioritize CIP Wish List Budget
September 20, 2000 Staff -1 St Draft 5-Year CIP Budget
September 26, 2000 Council - Review 1" Draft 5-Year CIP Budget
October 5, 2000 Staff - 2"d Draft 5-Year CIP Budget
October 10, 2000 Council - Review 2nd Draft 5-Yeas CIP Budget
October 16, 2000 Staff -3'd Draft 5-Year CIP Budget
Publish Notice of Public Hearing on 5-Year CIP
In Local Newspaper
October 24, 2000 Council - Public Hearing 5-Year CIP Budget
November 2, 2000 Staff - Final Draft 5-Year CIP Budget
November 7, 2000 Council - Adopt 5-Year CIP Budget
C
\\PW\SHARED\Fngineming\Administration\CIP Budgct\DrR2 Calndr 0I.Doc
TOWN OF AVON
CAPITAL PROJECTS FUND 5-YEAR PLAN
Budget
Projected
Proposed
,
Actual
As Amended
Year-end
Budget
N
MO
D
NO
Imm
1999
2000
2000
2001
A
REVENUES
Real Estate Transfer Tax
$ 2,253,373
$ 1,050,000
$ 1,050,000
$ 1,050,000
$ 1,050,000 $
1,050,000 $
1,050,000 $
1,050,000 $
Interest Earnings
137,801
113,093
113,093
47,893
28,928
21,827
26,875
54,232
Intergovernmental
State of Colorado OEC Grant
-
-
-
-
_
_
_
_
State of Colorado CDOT Grant
80,000
80,000
-
Eagle County RTA (Trails Grant)
200,000
200,000
335,100
Beaver Creek
_
_
_
Bachelor Gulch/Smith Creek
Arrowhead
-
-
-
-
-
-
Village at (Avon) (Roundabout Reimbursement)
200,000
200,000
200,000
200,000
200,000
200,000
200,000
200,000
Village at (Avon) (Chapel Square Rd.)
-
100,000
100,000
-
-
_
_
_
Village at (Avon) (E. Beaver Cr. Blvd. Right-of-Way)
90,000
90,000
-
895,068
_
Eaglebend Housing Authority
_
_
50,000
_
Confluence Metro District (Fire Station Remodel)
-
-
-
160,000
-
_
_
_
Utility Capital Facility Fees
733
2,000
2,000
2,000
2,000
2,000
2,000
2,000
Fireplace Fees
3,000
9,000
9,000
9,000
9,000
9,000
9,000
9,000
Other.
Chapel Square - Benchmark Rd.
-
_
_
50,000
-
_
Miscellaneous
31,450
-
_
_
_
_
_
Total Operating Revenues
2,626,357
1,844,093
1,844,093
1,903,993
2,184,996
1,282,827
1,287,875
1,315,232
Other Sources:
Transfers in from Other Funds 250,836
Proceeds from Water Fund Loan - 1,000,000
Proceeds from Bonds and COPs - _
Capital Lease Proceeds 225,954 _
Total Revenues and Sources of Funds $ 3,103,147 $ 1,844,093 $ 1,844,093 $ 2,903,993 $ 2,184,996 $ 1,282,827 $ 1,287,875 $ 1,315,232 $
Page 1
y 0
TOF AVON
CAPITAL PROJECTS FUND 5-YEAR PLAN
Budget Projected Proposed
Actual As Amended Year-end Budget
1999 2000 2000 2001
EXPENDITURES
Capital Improvements:
Facilities
$ 4,652,394 $
255,218 $
255,218 $
$
$
$
$
$
Land and Land Improvements
2,091
227,909
227,909
-
Roads and Streets
851,523
2,071,665
2,071,665
3,297,958
2,060,068
850,000
205,000
205,000
Recreation
-
185,000
185,000
-
-
-
-
-
Strategic Planning
38,085
25,000
25,000
25,000
25,000
25,000
25,000
25,000
Communications
139,939
100,000
100,000
-
-
-
-
-
Other
2,250
6,000
6,000
6,000
6,000
6,000
6,000
6,000
Debt Service:
Capital Lease Payments
80,605
123,416
123,416
122,711
41,071
-
-
-
Water Fund Loan:
Principal
-
-
-
-
200,000
200,000
200,000
200,000
200,000
Interest
-
-
-
-
50,000
40,000
30,000
20,000
10,000
Total Expenditures
5,766,887
2,994,208
2,994,208
3,451,669
2,382,139
1,121,000
466,000
456,000
210,000
Other Uses:
Bond Issuance Costs
-
-
-
-
-
-
-
-
-
Operating Transfer Out to Debt Service
-
-
-
-
-
-
-
-
-
Operating Transfer Out to Special Assess
16,191
15,211
15,211
14,231
13,251
12,271
11,291
10,311
9,331
Total Expenditures and Uses of Funds
5,783,078
3,009,419
3,009,419
3,465,900
2,395,390
1,133,271
477,291
466,311
219,331
Net Source (Use) of Funds
(2,679,931)
(1,165,326)
(1,165,326)
(561,907)
(210,394)
149,556
810,584
848,921
(219,331)
Fund Balance, Beginning of Year
6,031,173
3,351,242
3,351,242
2,185,916
1,624,009
1,413,615
1,563,171
2,373,755
3,222,676
Fund Balance, End of Year
$ 3,351,242 $
2,185,916 $
2,185,916 $
1,624,009 $
1,413,615 $
1,563,171 $
2,373,755 $
3,222,676
$ 3,003,345
Page 2
TOWN OF AVON
CAPITAL PROJECTS INVENTORY 5-YEAR PLAN
CAPITAL IMPROVEMENT PROJECTS
Facilities
Municipal Building Improvements
Fire Station Expansion/Remodel
Swift Gulch Facility
Pump House and Picnic Shelter
Park Equipment Storage
Land and Land Improvements
Parks:
Garton Property
Roads and Streets
Streetscape:
Streetscape Planning
W. Beaver Creek Blvd.
Wildridge Entry Sign
Eaglebend Dr.
Eaglebend Entry Sign
Nottingham Rd. Imp., 1-70 to Buck Creek
Nottingham Rd. Imp., Buck Creek to end
Street Improvements:
Paving/Road Improvements
Chapel Square Reimbursement
E. Beaver Creek Blvd Improvements
W. Beaver Creek Blvd. RR Crossing
Multi-Modal/Altemative Mobility
Sidewalks
East Avon Access and Circulation
Roundabout Pedestrian Crossings #1, #2, & #5
Roundabout Pedestrian Crosswalk Improvements
Eagle River Bikepath
Eagle River Bikepath - Beaver Creek Bld. To Confluence
Roundabouts
Public Art Work
Budget
Estimated
Proposed , • ; w
Actual
As Amended
Year-end
Budget
~
1999
2000
2000
2001 2042
~ , n 2013 „ r
17,444
187,000
187,000
4,332,319
68,218
68,218
-
302,631
-
-
- -
2,091
227,909
227,909
-
38,979
885,000
885,000
-
104,000
104,000
-
- _
-
-
35,000
315,000
-
-
35,000
-
195,000
195,000
495,000
-
-
200,000
200,000
-
650,000 650,000
140,002
90,000
90,000
195,000
200,000 200,000 205,000 205,000
150,000
50,000
50,000
-
- - _ _
-
90,000
90,000
895,068
19,428
-
-
-
120,947
110,000
110,000
2,096,158
134,914
-
-
_
10
292,665
292,665
-
_
-
55,000
55,000
441,800
247,243
Pa
A
F AVON
TO
CAPITAL
PROJECTS INVENTORY 5-YEAR PLAN
Budget
Estimated Proposed
Actual
As Amended
~r
Year-end Budget ` f
~s
1999
2000
X
2000 2001
Recreation
Nottingham Park Basketball Courts:
-
185,000
185,000
-
Strategic Planning
Development Analysis and Review
34,701
-
-
Planning and Consulting
3,384
25,000
25,000 25,000 25,000 25,000
25,000
25,000
25,000
Communications
800 Mhz Radio System
139,939
100,000
100,000 - - -
-
-
-
Other
Fireplace Conversions
2,250
6,000
6,000 6,000 6,000 6,000
6,000
6,000
6,000
Total Capital Improvement Projects
$ 5,686,282
$ 2,870,792
$ 2,870,792 $ 3,328,958 $ 2,091,068 $ 881,000 $
236,000
$ 236,000
$ 31,000
Page 4
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2001
CIP BUDGET
POTENTIAL CAPITAL PROJECTS
GENERAL DESCRIPTIONS
August 16, 2000
Avon Road Pedestrian Bridge
Description: Pedestrian crossing over Avon Road between Benchmark Road &
Railroad.
Benefit: Separate pedestrian and vehicular traffic for safer crossings and smoother
traffic flow - Improved business environment with convenient pedestrian
access between lodging/residential area west of Avon Road and
commercial area East of Avon Road.
Constraints: Crossing location is not high use crossing area. Needs additional and
specialized development adjacent to area to achieve maximum benefit.
Cost Range: $
Potential Funding Sources: Public Works Fund, Developer Funds
Convention Center
Description: Facilities for small to medium size group meetings and conventions in
conjunction with centralized transportation, lodging, restaurants and other
support facilities
Benefit: Provides facilities that currently do not exist in Avon, and will provide a
broader base for marketing the Town.
Constraints: Construction is currently tied to private development of the Confluence
Site.
Cost Range: $
Potential Funding Sources: Developer Funds per Agreement
E
Eagle River Pedestrian Bridge
Description: Eagle River Pedestrian Crossing on west side of West Beaver Creek Blvd.
- Separate pedestrian bridge or possibly a walkway section cantilevered
from existing roadway bridge
Benefit: Will complete sidewalk along westerly side of West Beaver Creek Blvd.
between West Lake Village (Benchmark Condominiums) and US
Highway 6 - Currently pedestrian traffic along west side of West Beaver
Creek Blvd. must cross roadway north and south of the Eagle River
Bridge
Constraints: Primary constraint is cost of constructing addition to existing bridge or a
separate freestanding pedestrian bridge
Cost Range: $
Potential Funding Sources: Public Works Fund
\\PW\SHARED\FnVneemg\Administrabon\CIP Budget\CIP Dsapt 2001 Doe
Eagle River Park - Garton Property
Description: River front park accessed only by bikepath connecting West Beaver Creek
Blvd. to Eagle County Trail System at Arrowhead - Park development
could include anything from a few picnic tables and trash receptacles to a
full-blown trail system rest area with restrooms, drinking fountains, picnic
shelters and small playground area
Benefit: Quiet, unique park setting in an area along the Eagle River
Constraints: Capacity of area and environment to accommodate potential users -
Access to area for maintenance and security
Cost Range: $
Potential Funding Sources: Public Works Fund, ECO Grant, LOCO Grant, Lottery
Funds
Employee / Affordable Housing
Description: Housing for rent or purchase available to area employees at prices
compatible with salaries and income - Purchase of I I units in Sherwood
Meadows Project may have addressed current needs - Other potential
solutions considered have included units at Swift Gulch site and US Forest
Service land trade below Wildridge
Benefits: Improve and increase the available local labor pool with improved and
more affordable living conditions
Constraints: Lack of available and affordable land and high cost of construction
Cost Range: $
Potential Funding Sources: Public Works Fund, Developer Funds, COP's
Home Mail Delivery
Description: Mail delivery to clustered mailboxes located throughout the various
residential areas of the Town
Benefits: Convenience of picking up mail near your residence - Substantial
reduction in traffic levels in the vicinity of the Post Office - Better Postal
Service due to decreased traffic levels through the Post Office
Constraints: US Postal Service cooperation - lack of available and accessible sites for
mailbox clusters - limited safe pedestrian or vehicular access to potential
clustered mailbox locations
Cost Range: $
Potential Funding Sources: Public Works Fund, US Postal Service, General Fund
\\PW\SHARED\Fngincermg\AdmimAration\CIP Budget\CIP Dsc pt 2001.Doc 2
I-70 Information Center
Description: Facility for dissemination of information to I-70 travelers and area
visitors. This facility could be anything from a temporary, small,
unmanned enclosed area with racks for the distribution of maps and
brochures to a fully staffed center with public restrooms, digital
distribution of information and a centralized reservation system. The key
element of the facility regardless of type and features is ease of access and
visibility from I-70.
Benefits: Business climate improved by distribution of information regarding area
attractions and available services
Constraints: Limited availability of suitable sites, cost of development and equitable
distribution of costs to benefited parties
Cost Range: $
Potential Funding Sources: Public Works Fund, General Fund, Business Community,
Resort Associations, Lodging Community, Area Marketing
Associations
Information Kiosks - Town Center
Description: Small freestanding structures located in high pedestrian traffic areas for
the purpose of disseminating information to area residents and visitors -
Information provided could include general map of Town Center
Commercial Area with names of businesses, services provided and
location indicated on map
Benefits: Business climate improved by readily available information regarding area
businesses, services and their locations
Constraints: Limited pedestrian circulation network and centralized areas for
concentration of pedestrians to effectively utilize Kiosks - Town Center
Mall and East Avon Access & Circulation Improvements should improve
the situation
Cost Range: $
Potential Funding Sources: Public Works Fund, Business Community, General Fund,
Business License Fees
11
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Local Transportation System / Cableliner
Description: Local transportation system to provide quick and convenient circulation
through the core commercial areas in Avon Town Center and Village at
Avon with connection to Regional and Beaver Creek Transportation
Facilities. Ultimate system most likely consists of some type fixed
guideway (Cableliner) system that moves people quickly, quietly and
efficiently between key locations including Beaver Creek Ski Area
Transportation Center, centralized pedestrian distribution areas in Avon
Town Center Area and centralized pedestrian areas in Village at Avon.
Benefits: Improves viability and desirability of the Town as a resort and shopping
center destination. Provides desirable connection to Beaver Creek Ski
Area, reduces need for buses, reduces traffic congestion and enhances
environmental and aesthetic qualities of the Town.
Constraints: Limited available routes for system, land required for terminals,
development density levels required for a viable cost effective system and
cost of system construction. May be desirable to plan now for future
construction of a system to allow proposed development to maximize
utilization of the system and to retain open routes and terminal areas
through undeveloped and future redevelopment areas.
Cost Range: $
Potential Funding Sources:
Public Works Fund, Transportation Funds, Village at Avon
Developer Funds, G.O. Bond Funds, Revenue Bond Funds,
Local Improvement District Funds
Metcalf Road Drainage Improvements
Description: Reconstruct drainage features along and under Metcalf Road to correct
and eliminate erosion damage and remove sediment, regrade ditches and
replace drainage structures as necessary to restore capacity. A proposal
for preliminary engineering design services was recently approved. This
preliminary design will further define problem and methods for correcting.
Benefits: Reduce possibility of significant road and property damage that could
result from major storm event in the Metcalf drainage basin - Will
improve appearance of roadside drainage and reduce future maintenance
costs
Constraints: Maintaining traffic while working adjacent to existing roadway - Steep
grades and resultant high velocities present engineering challenges in
design of structures to control erosion and direction of flow.
Cost Range: $
Potential Funding Sources
Public Works Fund, Water Enterprise Funds
C
E
\\PW\SHARED\Fngineermg\Administration\CIP Budget\CIP Dsapt'2001.Dx 4
Metcalf Road Improvements
Description: Reconstruct Metcalf Road from Nottingham Road to Wildwood Road -
Improvements may include additional lanes to accommodate left turn
movements and uphill passing along with paved shoulders for bike and
pedestrian traffic.
Benefits: Smoother and safer traffic flow plus provisions for bike and pedestrian
traffic
Constraints: Steep grades, narrow valley with major drainage course, existing
development and limited construction area with heavy traffic
Cost Range: $
Potential Funding Sources: Public Works Fund
Municipal Government - Space Needs Analysis
Description: Evaluate existing and future space needs for the Town based on projected
administration needs, level of public services to be provided and required
staffing levels. Needs analysis could include police department,
administrative functions, Swift Gulch (transit / public works / engineering)
and Town Council / Public (meeting & communications).
Benefits: Allow development of a comprehensive plan for various remodeling
projects and eventual expansion of municipal facilities to accommodate
anticipated growth in the Town.
Constraints: Method of projecting types and level of services to be provided and the
impact of technology on space requirements for the provision of these
services
Cost Range: $
Potential Funding Sources:
Public Works Fund, General Fund
Municipal Parking Facilities
Description: Centrally located parking structure constructed independently by the Town
or in cooperation with and in conjunction with private development
Benefits: Can allow more intense development of Town Center Area, reduce traffic
by encouraging pedestrian circulation and works in conjunction with
Transportation Center and Local Transportation System (Cableliner)
Constraints: Available sites for construction - cost of structured parking - direct source
of funds for constructing and maintaining parking structure
Cost Range: $
Potential Funding Sources:
L
Public Works Fund, Local Improvement District Funds,
Special District Funds, Developer Funds, G.O. Bond
Funds, Revenue Bond Funds
\\PW\SHARED\Engineming\Administration\CIP Budget\CIP Dscrpt 2001.Dx
Nottingham Road Bikepath
Description: Ten-foot wide asphalt path on I-70 right-of-way from Roundabout
Number 1 to Metcalf Road
Benefits: Provides bike and pedestrian path away from vehicular traffic
Constraints: Requires CDOT and FHWA approval for construction of I-70 right-of-
way - Relatively expensive construction due to steep cross slopes and
drainage features
Cost Range: $550,000 to $
Potential Funding Sources: Public Works Fund
Nottingham Road - I-70 to Buck Creek Road
Description: Widen road to four lanes with curb & gutter, sidewalks, streetscape lights,
bus stops and center median to control left turns, roundabout at Buck
Creek Road, reconstruct Roundabout No. 1 to full roundabout and possible
relocation of Swift Gulch Road to intersect with Buck Creek Road
Benefits: Increases roadway capacity to accommodate future projected traffic,
provides more efficient and safer access to existing and future
development in this area and streetscape improvements will tie this area
with commercial area south of I-70
Constraints: Limited right-of-way, existing development, maintaining heavy traffic
flow during construction and consensus of adjoining property owners
Cost Range: $1,700,000 to $
Potential Funding Sources: Public Works Fund, Developer Funds
Nottingham Road - Buck Creek Road to Metcalf Road
Description: Reconstruct two lane road with curb & gutter, sidewalk, pedestrian level
lighting and storm drainage
Benefits: Improved traffic flow, pedestrian circulation, storm drainage and
aesthetics
Constraints: Limited right-of-way, steep slopes and construction under heavy traffic
with limited work area
Cost Range: $1,200,000 to $
Potential Funding Sources: Public Works Fund
Railroad Pedestrian Overpass
Description: Pedestrian crossing over railroad tracks to connect Confluence Site with
Town Center. Construction of crossing is addressed in development
agreement for the Confluence and is to be constructed in conjunction with
parking facilities and convention center.
Benefits: Connects Town Center with transportation center, parking facilities,
convention center, commercial development and lodging to be developed
on Confluence Site.
Constraints: Dependent upon Confluence development, railroad approval and suitable
connection point with Town Center development.
Cost Range: $
Potential Funding Sources: Developer Funds per Agreement
\\PW?SHARED\Fngineering\Adnunistration\CIP Budget\CIP Dsapt 2001.Doc
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6
Storm Drainage Improvements - Metcalf Drainage Basin
Description: Construct drainage channels and structures carry stormwater from the
Metcalf Drainage Basin to Eagle River - Preliminary stormwater and
drainage facility design currently in progress will determine location,
extent and type of facilities required.
Benefits: Reduce potential for significant property damage due to major storm event
in the Metcalf Drainage Basin.
Constraints: Existing development, required easement acquisitions and railroad
crossing approval.
Cost Range: $
Potential Funding Sources: Public Works Fund, Water Enterprise Fund
Swift Gulch - Administration Building
Description: Replace existing modular building with permanent structure to house
Public Works, Transit and Engineering Departments administrative
functions.
Benefits: Provide adequate space arranged to allow each of the Departments to
function efficiently now and into the future as demands for service
increase.
Constraints: Maintaining operation of all departments while construction is underway
and loss of currently available parking spaces for buses and personal
vehicles. Projecting future department needs and functions to design
appropriate facility.
Cost Range: $
Potential Funding Sources: Public Works Fund, Transit Fund, Outside Users, COP'S
Swift Gulch - Public Works Shop Space & Equipment Storage
Description: Enclosed and heated shop space for woodworking, sign making and other
similar activities plus storage of weather &c temperature sensitive
equipment such as street sweepers and water tank/spray equipment.
Benefits: Provide safe and efficient workspace for activities that are currently
limited or must be contracted - eliminate the need to continuously shuffle
equipment in and out of maintenance shop bays as work and equipment
storage conditions change throughout the day.
Constraints: Maintaining operation of all departments while construction is underway
and loss of currently available parking spaces. Projecting future
department needs and functions to design appropriate facility.
Cost Range: $
Potential Funding Sources: Public Works Fund, COP's
\\PWVSHAREDT.ngineering\Administration\CIP Budget\CIP DsrrpR 2001.Doc 8
Town Center Mall Improvements
Description: Replace and upgrade existing Town Center Mall streetscape - Expand
Mall improvements to connect Town Center with Nottingham Park,
Confluence and Avon Road East.
Benefits: Improve business climate by creation of an expanded, useable, attractive
and pedestrian friendly area.
Constraints: Disparate interests and ownership of adjoining parcels, coordinated
development of Mall with developed and undeveloped properties, need for
sufficient readily accessible parking and transportation facilities, initial
creation of critical mass needed to generate synergism required for
success, and development of suitable funding source with equitable
distribution of costs - Town Center Mall is now included in Service Plans
for the Confluence.
Cost Range: $
Potential Funding Sources: Confluence Special District Funds, Local Improvement
District Funds, Public Works Funds, Developer Funds
Transportation Center
Description: Centralized Transportation Hub where multi transportation modes connect
and interact - potential interactions include automobile, local buses,
regional buses, passenger rail, local transportation system (Cableliner),
Beaver Creek gondola/funicular and pedestrians.
Benefits: Improved business climate through efficient, environmental and user
friendly access for residents, guests and employees - key element in Avon
being the business and commercial center of the valley
Constraints: Location conforming to access requirements for all transportation modes,
adequate parking facilities for automobile portion of system and compact
design separating pedestrian movements from other transportation modes
while maintaining quick and convenient access to area attractions, features
and commercial ventures.
Cost Range: $
Potential Funding Sources:
Confluence Special District Funds, ECO Funds, Resort
Company Funds, Transit Funds, Public Works Funds,
Developer Funds, G.O. Bond Funds, State & Federal
Transportation Grant Funds
11
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\1PW\SHARED\Eagineering\Adminisuw ion\CIP Budget\CIP Dscapt 2001.Doe 9
Wildridge Park Improvements & Playground
Description: Phase H development of existing park at intersection of Old Trail Road
and O'Neal Spur - Potential Phase H improvements include expanded
lower area with playground, improved play areas, picnic shelters and
connecting trails.
Benefits: Provides typical, centrally located, local park facilities in the town's
largest residential area.
Constraints: Steep site grades and typically higher construction costs associated with
this type of site.
Cost Range: $
Potential Funding Sources: General Fund, Public Works Fund, LOCO Grant, Lottery
Funds
11
11
Wildridge Pavillion
Description: Building with open floor plan, restrooms and minimal kitchen facilities
which can be utilized for local group meetings, individual parties, wedding
receptions and similar type functions - easily accessed with adequate
parking for anticipated activities.
Benefits: Provides space for local meetings and activities that are typically to large
or are inappropriate for the home - this type of space is not readily
available anywhere in the Town of Avon at this time.
Constraints: Suitable site with easy access that can accommodate building and
adequate parking for proposed use.
Cost Range: $
Potential Funding Sources: Public Works Fund
Wildridge Pocket Park - New Block 5
Description: Small neighborhood pocket park located on town owned Tract Q with
minor landscaping and small playground.
Benefits: Provide pedestrian accessible play area for residents of Block 5,
Wildridge.
Constraints: Overhead power lines, bounded on three sides by Wildwood Road and
relatively expensive access to water service for irrigation system and
drinking fountain.
Cost Range: $
Potential Funding Sources: Public Works Fund, GOCO Grant, Lottery Funds
Cost Range: $
Potential Funding Sources
Wildridge Pocket Park - New Block 3 or 4
Description: Small neighborhood pocket park located in the upper areas of Block 3 or 4
with minor landscaping and a small playground.
Benefits: Provide convenient and readily accessible play area for residents of the
upper portions of Wildridge.
Constraints: Availability of suitable site for pocket park.
Public Works Fund, GOCO Grant, Lottery Funds, Private
Land Dedications
\TW\SHARED\Fngineenng\Adminisfration\CIP Budget\CIP Dsc pt 2001.Doc
10
Wildridge Traffic Calming / Pedestrian Circulation
Description: Variety of improvements directed at reducing conflicts between vehicles
and pedestrians - Improvements are expected to include open space
pedestrian trails connecting concentrated residential development areas
with expected destination areas such as parks and neighborhood facilities,
sidewalks or paved paths adjacent to more heavily traveled roads to
provide separation between vehicles and pedestrians, widened and paved
shoulders in other areas with higher residential concentrations & lower
traffic volumes, and use of various design techniques to encourage
reduced but realistic vehicles speeds throughout the area.
Benefits: Improved safety for both pedestrians and motorists, creation of a more
attractive and desirable neighborhood by virtue of reduced conflicts
between motorists and pedestrians, improved pedestrian access between
residential concentrations and between residential concentrations and
neighborhood amenities such as pocket parks and open space.
Constraints: Available space in needed locations, narrow roadbeds with steep cut and
fill slopes, steep road grades, topography & location of open space tracts
and development of consensus among various interests with regard to
reasonable vehicle speeds, traffic calming methods, pedestrian separation
& movements and identifiable specific neighborhood needs.
Cost Range: $
Potential Funding Sources
Public Works Fund, Local Improvement District, LOCO
Grant Funds
11
\\PW\SHARED\Enginceting\Adtninistration\CIP Budgd\CIP Dsctp4 2001.Doc 1 I
® POTENTIAL CAPITAL PROJECTS / WISH LIST
® 2001 CIP BUDGET
August 16, 2000
Project
Avon Road Pedestrian Bridge
Convention Center
Eagle River Park - Garton Property
Employee / Affordable Housing
Home Delivery
I-70 Information Center
Information Kiosks - Town Center
Local Transportation System (Cableliner)
Metcalf Road Drainage Improvements
Metcalf Road Improvements
Municipal Government - Space Needs Analysis
Municipal Parking Facilities
Nottingham Road - Bikepath
Nottingham Road - I-70 to Buck Creek Road
Nottingham Road - Buck Creek Road to Metcalf Road
Public Works Administration Building
Public Works Equipment Storage & Work Area Buildings
Railroad - Pedestrian Overpass
Recreation Center Phase H
Remote Cameras - Website Observations / Security
Storm Drainage Improvements - Buck Creek to Eagle River
Storm Drainage Improvements - Metcalf Drainage to Eagle River
Town Center / Mall Improvements
Transportation Center
Wildridge Park Improvements & Playground
Wildridge Pavilion
Wildridge Pocket Park - New in Block 5
Wildridge Pocket Park - Upper Area (New in Block 3 or 4)
Wildridge Traffic Calming / Pedestrian Circulation
Other ?
Rating (1- 5)
Note: Rate all Projects from 1 to 5, with 1 being lowest priority and 5 being highest
priority.
\\PW\SHARED\Engineering\Adminis tion\CIP BudgetTriority List 2001 Rev.Doc
w
TO* OF AVON
REAL ESTATE TRANSFER TAX BY MONTH
1995 1996 1997 1998 1999 2000
January $ - $
- $ 192,333 $
111,869 $
74,507 $
94,693
February -
- 48,824
113,242
37,848
137,018
March -
- 99,494
83,265
107,512
142,796
April -
- 135,196
103,197
76,048
134,452
May -
- 56,348
185,620
314,672
219,269
June -
- 62,174
190,183
210,646
218,569
July -
- 77,096
167,755
88,212
107,265
August -
- 180,321
93,885
139,862
-
September -
- 171,312
260,502
234,352
-
October -
- 215,331
209,475
327,196
-
November -
- 91,837
190,466
113,993
-
December -
- 213,441
241,211
528,524
-
YTD Total $ 1,011,443 $
963,113 $ 1,543,707 $
1,950,670 $
2,253,372 $
1,054,062
TO: Town of Avon Mayor, Town Council Members and Citizens
FROM: Bill Efting, Town Manager
DATE: November 18, 1999
RE: Capital Improvement Program for FY 2000 and Subsequent Years
BUDGET MESSAGE
The proposed Five-Year Capital Improvements Program Document including the adopted Capital
Improvements Budget for Fiscal Year 2000 is attached. This Program was developed following a
series of work session with the Avon Town Council. These work sessions helped identify and
prioritize various goals and objectives of the Council. This in turn was used to develop a capital
improvements program to achieve these goals and objectives. The attached Document includes a
list of potential capital projects and the council's priority rating for those projects as well as brief
descriptions and preliminary cost estimates for a number of the projects. This information and
projected available revenues was used to develop a Five Year Capital Improvements Program to
implement the goals and objectives of the council within the projected available funds. The Five-
Year Capital Improvements Program also includes projects from the Fiscal Year 1999 Program
which were not included on the potential capital projects list for prioritization.
The top ten projects as prioritized by the Council included; Employee/Affordable Housing; Eagle
River Bike Path; Convention Center; Local Transportation System (Cableliner); Metcalf Road
Shoulder & Drainage Improvements; Transportation Center; Municipal Government Space Needs
Analysis; Railroad-Pedestrian Overpass; Storm Drainage Improvements - Railroad to Eagle River
and Public Works Equipment Storage & Work Area Buildings. Most of these projects are
progressing even though some are not included in the attached Capital Improvements Program.
Various development agreements have committed proposed private developments to providing
Employee/Affordable Housing, a Convention Center and a Railroad-Pedestrian Overpass. It is also
anticipated that the private sector will be heavily involved in a Local Transportation System
(Cableliner) and development of a Transportation Center. The proposed Water Fund Budget
includes funds for evaluation and preliminary design of storm drainage improvements. It is
anticipated these improvements will include Metcalf Road Shoulder & Drainage Improvements and
Storm Drainage Improvements - Railroad to Eagle River. The Eagle River Bike Path is included
in the Five-Year Capital Improvement Program. Current capital projects including the Swift Gulch
Maintenance Facility and the Nottingham Park Equipment Storage Facility have addressed most of
the immediate needs for Public Works Equipment Storage & Work Area Buildings. The Municipal
E
Government Space Needs Analysis is a relatively small project and may be accomplished in-house
or with only minor outside consultant services required.
Anticipated funding sources for the Five-Year Capital Improvement Program include CDOT
Enhancement Grant, ECO Trails Grant, Avon Village - Roundabout Reimbursement, Chapel
Square Road Reimbursement, and East Beaver Creek Boulevard Improvements Reimbursement,
Eaglebend Housing Authority - Eaglebend Drive Improvements Reimbursement, Confluence
Metro District - Fire Station Remodel Reimbursement, Chapel Square - Benchmark Road
Improvements Reimbursement, and a loan from the Water Fund in addition to Interest Earnings
and Real Estate Transfer Tax proceeds. The projected Year-End Fund Balances that would result
from projected revenues and expenses include a minimum fund balance of $646,736 in FY 2002
and a maximum fund balance of $2,454,817 in FY 2005. This compares with an actual fund
balance of $6,031,173 for FY 1998 and a projected fund balance of $2,040,339 for FY 1999. The
FY 1998 fund balance included funds for the Swift Gulch Maintenance Facility that will be
completed in 1999. The projected fund balances represent a very healthy capital improvement
program with the minimum fund balance occurring in the middle of the program as current projects
are completed and the largest fund balance occurring at the end when additional projects will likely
be identified for addition to the program.
In conclusion the attached Fiscal Year 2000 Capital Improvements Budget and the Capital Projects
Fund 5-Year Plan, in conjunction with other activities and agreements approved by the Town
Council represents a comprehensive and financially viable program to achieve the prioritized goals
and objectives established by the Avon Town Council.
E
MEMORANDUM
FROM: Burt Levin
TO: Hon. Mayor and Town Council
CC: Bill Efting, Larry Brooks, Scott Wright, Norm Wood
RE: Renewal of Holy Cross Energy Franchise
DATE: August 16, 2000
The Town's 20 year franchise with Holy Cross Electric (for provision of electricity) is
due to expire this December. Representatives of Holy Cross have provided us with a
draft ordinance for another 20 year renewal of the franchise (see attached).
Holy Cross passes the franchise fee through to its Avon customers, so it has no strong
feelings about the amount of the fee. Under the current franchise the Town collects from
Holy Cross a franchise fee of 3% of its gross revenues from sales of electricity in Avon.
The 3% fee is what about 85% of towns collect (a small percentage collect 4% or 5%).
The 3% fee amounted to about $113,000 in revenue to the Town during 1999.
(If the Town wished to raise the franchise fee, a TABOR election would probably be
required.)
The draft franchise ordinance Holy Cross has presented is the same ordinance which was
recently enacted by the Towns of Vail and Snowmass Village. It continues the fee at 3%.
The Holy Cross representatives asked that I particularly draw your attention to Article 11
on page 19. This new article represents Holy Cross's effort to give something back to the
community. Under this article Holy Cross will donate to the Town an additional I% of
its gross revenues in Avon to a fund maintained by the Town and to be used for any of 7
public purposes enumerated in § 11.1. This will amount to a gift to the Town of over
$30,000 annually if current rates are continued.
If any member of the Council wishes representatives of Holy Cross to attend a work
session to discuss this matter, they would be happy to do so. Please let me know if you
want me to invite them.
So far as I know, the Town has not had any problems with Holy Cross of the nature
encountered with TCI/ATT. If there are no concerns with the ordinance as drafted, I will
put it on the next agenda for enactment.
e ?1t, L
I
TOWN OF AVON
ORDINANCE NO.
(SERIES OF 2000)
AN ORDINANCE OF THE TOWN OF AVON, EAGLE COUNTY,
COLORADO GRANTING A FRANCHISE TO HOLY CROSS ENERGY, ITS
SUCCESSORS AND ASSIGNS, TO LOCATE, BUILD, INSTALL,
CONSTRUCT, ACQUIRE, PURCHASE, EXTEND, MAINTAIN, REPAIR AND
OPERATE INTO, WITHIN AND THROUGH THE TOWN OF AVON, ALL
NECESSARY AND CONVENIENT FACILITIES FOR THE PURCHASE,
GENERATION, TRANSMISSION AND DISTRIBUTION OF ELECTRICAL
ENERGY, AND TO FURNISH, SELL AND DISTRIBUTE SAID ELECTRICAL
ENERGY TO THE RESIDENTS OF THE TOWN FOR LIGHT, HEAT, POWER
AND OTHER PURPOSES BY MEANS OF CONDUITS, CABLES, POLES AND
WIRES STRUNG THEREON, OR OTHERWISE ON, OVER, UNDER, ALONG,
ACROSS AND THROUGH ALL STREETS AND OTHER PUBLIC WAYS IN
SAID TOWN OF AVON, COLORADO, AND FIXING THE TERMS AND
CONDITIONS THEREOF.
NOW THEREFORE, BE IT ORDAINED BY THE TOWN COUNCIL OF
THE TOWN OF AVON, COLORADO:
ARTICLE 1
SHORT TITLE
1.1 This Ordinance shall be known and may be cited as the "Holy Cross Energy Franchise
Ordinance."
ARTICLE 2
DEFINITIONS
For the purpose of this Ordinance, the following terms shall have the meaning given herein:
2.1 "Town" is the Town of Avon, Eagle County, Colorado, the municipal corporation as is
now constituted or as the same may be enlarged or expanded from time to time through
annexation.
2.2 "Company" refers to Holy Cross Energy, a Colorado corporation, its successors and
assigns.
2.3 "Council" refers to the legislative body of the Town, known as the Town Council of the
Town of Avon, Colorado.
2.4 "Facilities" refers to all overhead and underground electric facilities, buildings, and
structures necessary to provide electricity into, within and through the Town including,
but not limited to, such essential apparatus, appliances, plants, systems, substations,
works, transmission and distribution lines and structures, anchors, cabinets, cables,
conduits, guy posts and guy wires, meters, microwave and communication facilities,
overhead and underground lines, pedestals, poles, regulators, sectionalizers, switchgears,
transformers, various pad mounted and pole mounted equipment, vaults, wires, and all
2
other related electrical equipment required for the distribution, generation, maintenance,
operation, purchase, and transmission of electrical energy.
2.5 "Public Easements" refers to easements created and available for use by any public utility
for its facilities.
2.6 "Private Easements" refers to easements created and available only for use by the
Company for its Facilities, or by the Company and other selected users or utilities.
2.7 "Residents" refers to and includes all persons, businesses, industry, governmental
agencies, and any other entity whatsoever, presently maintaining a residence, business,
farm, ranch or other enterprise located within, in whole or in part, the boundaries of the
Town.
2.8 "Revenues", unless otherwise specified, refers to and are the gross amounts of money that
the Company receives from its customers within the Town from the sale of electrical
energy for any particular period of time.
2.9 "Streets and Other Public Ways" refers to streets, alleys, viaducts, bridges, roads, lanes
and other public ways in the Town, subject to limitations stated herein.
ARTICLE 3
GRANT OF FRANCHISE
3.1 Grant of Right to Serve. Subject to the conditions, terms and provisions contained in this
Franchise, the Town hereby grants to the Company a non-exclusive right, privilege and
authority to locate, build, install, construct, acquire, purchase, extend, maintain, repair
and operate into, within and through all of the Town boundaries all necessary and
convenient Facilities for the purchase, generation, transmission, and distribution of
3
electrical energy. Such grant is made together with the non-exclusive right and privilege
to furnish, sell, and distribute said electrical energy to the Residents for light, heat, power
and other purposes.
3.2 Scope of Grant. Such grant includes the right and the obligation to furnish electrical
energy using the Company's Facilities, either overhead, underground, or otherwise, on,
over, under, along, across and through any and all Streets and Other Public Ways, and on,
over, under, along, across and through any extension, connection with, or continuation of,
the same and/or on, over, under, along, across and through any and all such new Streets
and Other Public Ways as may be hereafter laid out, opened, located, or constructed
within the boundaries of the Town. The Company is further granted the right, privilege
and authority to excavate in, occupy and use any and all Streets and Other Public Ways
and Public Easements. Any such excavation, occupation and use must be in accordance
with Town standards and regulations, and will be undertaken under the supervision of the
properly constituted authority of the Town for the purpose of bringing electrical energy
into, within and through the Town and supplying electrical energy to the Residents.
3.3 Service to Town Facilities. The Town hereby grants to the Company the right, privilege,
and authority to provide street and security lighting to the Town, and to serve all Town
owned or operated structures, plants, equipment, or Town apparatus and facilities,
including the right, privilege, and authority to furnish, sell, and distribute electrical
energy necessary for such.
3.4 Duration of Franchise. This Ordinance shall be in full force and effect from and after its
passage as by law required and the terms, conditions and covenants hereof shall remain in
full force and effect for a period of twenty (20) years from and after such enactment.
4
? k l
ARTICLE 4
SPECIFIC ELEMENTS OF GRANT
4.1 Recreational Areas. The Company shall not have the right to locate, build, or construct
Facilities under, across, or through public parks or recreational areas, open space or other
Town owned property located within the Town except as expressly set forth in this
Franchise or with prior written approval granted by the Town's Council. This Ordinance
shall never be construed to limit the Company's rights of eminent domain as provided by
law.
4.2 Trees and Shrubs. The Company shall have the right to control the growth of trees and
shrubs as may be reasonably necessary to protect its Facilities. The Company may use
machinery or other lawful methods to control such growth, but shall not use chemicals for
such purpose. Annually, on a date mutually agreed to by both parties, representatives of
each party shall meet and/or consult to discuss problems related to the means and
methods of controlling such growth. Prior to cutting down or removing any tree, the
Company shall consult with a representative of the Town for the purpose of determining
whether such cutting or removal is the only reasonable and cost effective means of
protecting the Company's Facilities.
4.3 Location of Company's Facilities. Wherever reasonable and practicable, the Company
will endeavor to install its Facilities within Public Easements. The Company shall locate
its Facilities within the Town so as to cause minimum interference with any of the
Town's facilities or property, including without limitation water lines, sewer lines, storm
drains, and the proper use of Streets and Other Public Ways, and so as to cause minimum
5
interference with the rights or reasonable convenience of property owners whose property
adjoins any of the said Streets and Other Public Ways.
4.4 Restoration of Public and Private Improvements. Should it become necessary for the
Company, in exercising its rights and performing its duties hereunder, to interfere with
any sidewalk, graveled or paved street, road, alley, water line, sewer line, storm drain, or
any other public or private improvement, the Company shall at its own expense and in a
quality workmanlike manner, repair or cause to be repaired and restored to its original
condition such sidewalk, graveled or paved street, road, alley, water line, sewer line,
storm drain, or other public or private improvement after the installation of its Facilities,
provided, however, that upon failure of the Company to do such required repairs within a
reasonable time and in a workmanlike manner, the Town may perform the required work
and charge the Company for all reasonable costs thereof.
4.5 Use of Facilities. The Company shall have the right to make such use of its Facilities and
other property owned by Company, for uses other than the uses contemplated in the
Franchise Ordinance, as it deems proper so long as such other uses do not interfere with
its ability to supply electrical energy.
4.6 Changed Conditions - Overhead. If at any time it shall be necessary to change the
position of any overhead electrical Facilities of the Company to permit the Town to lay,
make or change street grades, pavements, sewer mains, water mains, storm drains, or
other Town works, such changes shall be made by the Company at its own expense, after
reasonable notice from the Town. This provision shall not apply to any changes that
result from new development within the Town. The costs associated with changing
6
overhead electric facilities to accommodate such new development shall be borne by the
developer, the Town or some other party, but not the Company.
4.7 Compliance with Town Requirements. The Company shall comply with all Town
requirements regarding curb and pavement cuts, excavating, digging and related
construction, maintenance and operational activities except as otherwise provided for in
this Franchise Ordinance.
4.8 Town Review of Construction and Design. Prior to construction of any significant
Facilities within the Town, if requested by the Town, the Company shall furnish to the
Town the plans for such proposed construction. In addition, the Company shall assess and
report on the impact of its proposed construction on the Town environment. Such plans
and reports may be reviewed by the Town to ascertain, inter alia, (1) that all applicable
laws including building and zoning codes and air and water pollution regulations are
complied with; (2) that aesthetic and good planning principles have been given due
consideration; and (3) that adverse impact on the environment has been minimized.
4.9 Capital Improvement Protects. The Company and the Town shall inform one another of
any capital improvement projects anticipated within the Town that may impact the
facilities or operations of either party. The party proposing such capital improvements
shall inform the other party of the nature of such improvements within a reasonable time
after plans for such improvements have been substantially formulated. Each party shall
cooperate in the timely exchange of all necessary information, design data, drawings, and
reports to properly assess and evaluate the potential impacts of said improvements.
4.10 Maintenance of Facilities. The Company shall install, maintain, repair, replace, and
upgrade its Facilities to ensure both the adequacy of, and quality of, electric service to all
7
Residents. All excavation and construction work done by or under the authority of the
Company shall be done in a timely and expeditious manner which minimizes the
inconvenience to the Town and all Residents.
4.11 Town Not Required to Advance Funds. Upon receipt from the Town of an authorization
to proceed, and a promise to pay for construction, the Company shall extend its Facilities
to the Town for municipal uses therein or for any municipal facility outside the
boundaries of the Town and within the Company's certificated territory, without
requiring the Town to advance funds prior to construction.
4.12 Scheduled Interruptions. The Company shall, whenever possible, give notice, either oral
or written, to the Town and its affected Residents, of planned service interruptions of
significant duration.
4.13 Cooperation with Other Utilities. When undertaking a project of undergrounding, the
Town and the Company shall work with other utilities or companies to attempt to have all
lines undergrounded as part of the same project. The Company shall not be required to
pay the costs of any other utility in connection with work under this section.
ARTICLE 5
RATES, REGULATIONS, UNIFORMITY OF SERVICE AND UPGRADES
5.1 Furnishing Electrical Energy. The Company shall furnish electrical energy within the
boundaries of the Town, and to the Residents thereof at the Company's applicable and
effective rates and under the terms and conditions set forth in the Rate Schedules,
Standards for Service, Rules and Regulations, and Service Connection and Extension
Policies, adopted by and on file with the Company, subject only to regulations thereof as
8
is provided by law. The Company shall not, as to rates, charges, service, facilities, rules,
regulations or in any other respect, make or grant any preference or advantage to any
Resident, provided that nothing in this grant shall be taken to prohibit the establishment
from time to time of a graduated scale of charges and classified rate schedules to which
any customer coming within an established classification would be entitled.
5.2 Facility Upgrades. The Company will, from time to time, during the term of this
Franchise make such improvements, enlargements and extensions of its Facilities
incorporating, when reasonable and practical, technological advances within the industry
as the business of the Company and the growth of the Town justify, in accordance with
its Standards for Service, Rules and Regulations, and Service Connection and Extension
Policies for electric service concurrently in effect and on file with the Company, subject
only to regulations thereof as is provided by law.
5.3 Reliable Supply of Electricity. The Company shall take all reasonable and necessary
steps to provide an adequate supply of electricity to its customers at the lowest reasonable
cost consistent with long-term reliable supplies. If the supply of electricity to its
customers should be interrupted, the Company shall take all necessary and reasonable
actions to restore such supply within the shortest practicable time. In the event the
Company's electric system, or any part thereof, is partially or wholly destroyed or
incapacitated, the Company shall use due diligence to restore its system to satisfactory
service within the shortest practicable time.
5.4 Maps and Regulations. The Company shall submit copies of its Standards for Service,
Service Connection and Extension Policies, Rules and Regulations, and maps of its
Facilities within the Town boundaries to the Town Clerk. All changes in such maps,
9
Standards for Service, Rules and Regulations, and policies, shall be submitted to the
Town as the same may from time to time occur.
5.5 Subdivision Review. The Company shall analyze any subdivision plats or planned unit
development plans submitted to it by the Town and respond to any request by the Town
for information regarding the adequacy of its Facilities necessary to serve such proposed
plat or plan and answer any other questions posed to the Company by the Town regarding
said plat or plan as are within the knowledge of the Company. The Company shall
respond to said requests or questions within reasonable time limits set by the Town's
Subdivision Regulations.
5.6 Interrelationship of Laws, Rates, Regulations and Ordinances. The Company shall
comply with all County, State or Federal laws, and rules and regulations related to the
subject matter hereof. The Company also agrees to abide by all ordinances and
resolutions of the Town, unless and except to the extent that this Franchise Ordinance
shall relieve the Company of the obligation to comply with the terms and conditions of
such other ordinances or any other provisions hereof. The Company, from time to time,
may promulgate such rules, regulations, terms and conditions governing the conduct of
its business, including the use of electrical energy and the payment therefor, and the
interference with, or alteration of, any of the Company's property upon the premises of its
customers as shall be necessary to provide a safe, continuous and uninterrupted service to
each and all of such customers and the proper measurement thereof and payment therefor.
Any such rules, regulations, terms and conditions must not be inconsistent with this
Franchise Ordinance, but no ordinance of the Town may regulate the Company's rates or
charges for the furnishing of electrical energy, or shall lessen the safety of providing such
10
energy to its customers, nor shall any such ordinance alter the manner in which service is
extended to such customers.
ARTICLE 6
USE OF COMPANY FACILITIES
6.1 Use of Poles by Town. The Town shall have the right, without cost, to jointly use all
poles and suitable overhead structures within the Town for the purpose of stringing wires
thereon for any reasonable Town authorized use; which use shall not include the
distribution or transmission of electricity; provided, however, that the Company shall
assume no liability, nor shall it be put to any additional expense, in connection therewith,
and said use shall not interfere in any unreasonable manner with the Company's use of
same, or the use thereof by the Company's permittees, licensees, or other existing users
of such Facilities. The Company agrees to permit Town licensees, permittees and
franchisees, except those holding an electric utility franchise or license from the Town, to
use its Facilities upon reasonable terms and conditions to be contractually agreed upon
with the Company, in writing.
6.2 Joint Use of Trenches. If the Company installs new electric underground conduit or
opens a trench or replaces such conduit, the Company shall provide adequate advance
notice to permit additional installation of similar facilities in the same trench by the
Town, or installation of other types of municipal facilities, subject to applicable rules and
regulations. If the Town elects to use the trench it will so notify the Company. The
Town shall provide the materials at no expense to the Company. The Town shall
reimburse to the Company only those monies paid by the Company to an independent
contractor for labor costs to install Town furnished materials by such independent
contractor. The Company shall include copies of invoices from the independent
contractor to substantiate the Company's request for reimbursement. If the installation of
Town furnished materials is performed solely by the Company's employees, there will be
no labor charge to the Town. Such action by the Town shall not unnecessarily interfere
with the Company's Facilities or delay the accomplishment of the project. The Town
shall be responsible for ensuring that required vertical and horizontal separations between
its facilities and that of the Company's is strictly maintained. The Town and Company
shall jointly hold each other harmless from any liability or damage resulting from their
respective facilities being installed in a joint trench.
ARTICLE 7
INDEMNIFICATION AND POLICE POWER
7.1 Town Held Harmless. The Company shall indemnify, defend and save the Town, its
officers and employees, harmless from and against all liability or damage and all claims
or demands whatsoever in nature arising out of the operations of the Company within the
Town pursuant to this Franchise, and the securing of, and the exercise by the Company
of, the Franchise rights granted in this ordinance and shall pay all reasonable expenses
arising therefrom. The Town shall provide prompt written notice to the Company of the
pendency of any claim or action against the Town arising out of the exercise by the
Company of its Franchise rights. The Company will be permitted, at its own expense, to
appear and defend or to assist in defense of such claim. Notwithstanding any provision
hereof to the contrary, the Company shall not be obligated to indemnify, defend or hold
12
the Town harmless to the extent of any claim, demand, or lien arising out of, or in
connection with, any negligent act or failure to act by the Town or any of its officers,
employees, or agents unless the Company shall become obligated to indemnify, defend or
hold the Town harmless by virtue of the comparative negligence laws of Colorado.
7.2 Police Power Reserved. The right is hereby reserved to the Town to adopt from time to
time, in addition to the provisions herein contained, such ordinances as may be deemed
necessary in the exercise of its police power, provided that such regulations shall be
reasonable and not destructive of the rights herein granted, and not in conflict with the
laws of the State of Colorado, or with orders of other authorities having jurisdiction in the
premises.
ARTICLE 8
FRANCHISE FEE
8.1 Franchise Fee. In consideration for the grant of this Franchise, the Company shall pay to
the Town a sum equal to three percent (3%) of its gross Revenues collected from the sale
of electricity within the boundaries of the Town. Electric Revenues received from service
to the Town facilities will not be assessed a 3% fee under this section nor will the Town
be paid the 3% fee from such Revenues collected from Town facilities. To the extent
required by law, the three percent (3%) shall be surcharged to the Residents. This
surcharge is in addition to any charges specified in the Company's tariffs and any
applicable taxes.
8.2 Change of Franchise Fee - Town Initiated. The Town expressly reserves the right to
notify the Company of its desire to revise the Franchise Fee to a different percentage of
13
revenue prior to October 1 of the even numbered years during the term of this franchise,
8.3
8.4
8.5
which revised Franchise Fee shall become effective on the next succeeding January 1,
following notification. Provided, however, that the maximum amount of the Franchise
Fee shall be five percent (5%) of the Revenues collected within the boundaries of the
Town. Notification to the consumer shall be given by the Town no less than thirty (30)
days prior to January 1, the effective date of the scheduled increase. All expenses
associated with notification shall be paid entirely by the Town.
Pant. Payment of the Franchise Fee shall be made by the Company to the Town on
or before thirty (30) days after the end of each quarter of each calendar year for the
preceding three (3) month period, but shall be adjusted for the portions of the calendar
quarters at the beginning and at the end of this Franchise. All payments shall be made to
the Town Clerk.
Revenue Audit. For the purpose of ascertaining or auditing the correct amount to be paid
under the provisions of this Article, the Company shall file with the Town Manager, or
such other official as shall be designated by the Town from time to time, a statement, in
such reasonable form as the Town may require, showing the total gross receipts received
by the Company from the sale of electricity to Residents within the boundaries of the
Town for the preceding three (3) month period. The Town Manager or any official
appointed by the Council shall have access to the books of said Company for the purpose
of confirming the gross Revenues received from operations within the Town.
Correction of Underpayment/Overpayent. Should either the Company or Town
discover either an underpayment or overpayment of the Franchise Fee, the party making
such discovery shall inform the other party within a reasonable time. If the error is
14
substantiated as an underpayment, the Company shall make payment of the deficiency
within thirty (30) days of the date the error was substantiated. If the error is substantiated
as an overpayment, a credit equal to the overpayment will be applied to the next
Franchise payment due the Town.
8.6 Occupation Tax Alternative. In the event the said Franchise Fee levied herein should be
declared invalid and/or shall be set aside by a Court of competent jurisdiction, then, and
in such event, and in lieu thereof, the Town may thereafter levy an occupation tax upon
the Company, not to exceed in any one calendar year five percent (5%) of the gross
Revenues collected from the sale of electricity within the boundaries of the Town for that
calendar year. Such occupation tax shall be adjusted for any Franchise Fees previously
paid to the Town in such calendar year. In the event the Town shall enact such an
occupation tax, in lieu of the Franchise Fee, all of the remaining terms, conditions and
provisions of this Ordinance shall remain in full force and effect for the period stated
herein. Such occupation tax ordinance or enactment shall be designed to meet all legal
requirements to ensure that it is not construed as an income tax.
8.7 Franchise Fee Payment in Lieu of Other Fees. The Franchise Fee paid by the Company is
accepted by the Town in lieu of any occupation tax, license tax, permit charge, inspection
fee, contractors license fees, or similar tax on the privilege of doing business or in
connection with the physical operation thereof, but does not exempt the Company from
any lawful taxation upon its property or any other tax not related to the Franchise or the
physical operation thereof and does not exempt the Company from payment of head taxes
or other fees or taxes assessed generally upon business.
15
8.8 Payment of Expenses Incurred by Town in Relation to Ordinance. At the Town's option,
the Company shall pay in advance or reimburse the Town for expenses incurred in
publication of notices and ordinances and for photocopying of documents arising out of
the negotiations or process of obtaining this franchise.
8.9 Termination of Franchise. If this Franchise is terminated by either the Company or the
Town for whatever reason, or is declared null and void, all Franchise Fees or occupation
taxes levied herein shall be suspended as of the date the Franchise is legally terminated.
Final payment of any Franchise Fee or occupation tax owed and due the Town shall be
made on or before thirty (30) days after the date the Franchise is legally terminated.
ARTICLE 9
REPORTS
9.1 Reports. The Company shall submit reasonable and necessary reports containing, or
based upon, information readily obtainable from the Company's books and records as the
Town may request with respect to the operations of the Company under this Franchise,
and shall, if requested, provide the Town with a list of real property within the Town
which is owned by the Company.
9.2 Copies of Tariffs. Upon request, the Company shall furnish the Town with copies of any
tariffs currently in use.
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ARTICLE 10
ADMINISTRATION
10.1 Amendments. At any time during the term of this Franchise, the Town through its
Council, or the Company, may propose amendments to this Franchise by giving thirty
(30) days written notice to the other party of the proposed amendment(s) desired, and
both parties thereafter, through their designated representatives, shall within a reasonable
time, negotiate in good faith in an effort to agree upon a mutually satisfactory
amendment(s). No amendment(s) to this Franchise shall be effective until mutually
agreed upon in writing by the Town and the Company and until all public notice
requirements pursuant to Colorado statutes, and ordinance requirements of the Town,
have been met. This section shall not apply to Franchise Fee changes under Article 8.
10.2 Revocation of Privileges by Condemnation. In the event, at any time during the term of
this Franchise, the Town shall condemn any of the Facilities of the Company within the
boundaries of the Town, and thereby revoke all or any part of the privilege and authority
herein granted to the Company to serve the Residents, then and in such event the Town
shall pay to the Company just compensation as provided by the laws of the State of
Colorado for such rights and facilities by reason of such condemnation.
10.3 Compliance Impaired. Both the Company and the Town recognize there may be
circumstances whereby compliance with the provisions of this Franchise is impossible or
is delayed because of circumstances beyond the Company's or Town's control. In those
instances, the Company or Town shall use its best efforts to comply in a timely manner
and to the extent possible.
17
10.4 Company's Failure to Perform. It is agreed that in case of the failure of the Company to
perform and carry out any of the stipulations, terms, conditions, and agreements herein
set forth in any substantial particular, wherein such failure is within the Company's
control and with respect to which redress is not otherwise herein provided, the Town,
acting through its Council, may, after hearing, determine such substantial failure; and,
thereupon, after notice given the Company of such failure, the Company may have a
reasonable time, not less than ninety (90) days, unless otherwise agreed by the parties, in
which to remedy the conditions respecting which such notice shall have been given.
After the expiration of such time and the failure to correct such conditions, the Council
shall determine whether any or all rights and privileges granted the Company under this
ordinance shall be forfeited and may declare this Franchise null and void.
10.5 Ownership of Facilities. All Facilities used or placed by the Company, either within or
outside the boundaries of the Town shall be and remain the property of the Company.
10.6 Transfer of Rights. The Company shall not transfer or assign any rights under this
Franchise to a third party, excepting only corporate reorganizations of the Company not
including a third party, unless the Town shall approve in writing such transfer or
assignment. Approval of the transfer or assignment shall not be unreasonably withheld.
10.7 Removal of Facilities. Upon the expiration of this Franchise, if thereafter the Company
Facilities shall not be used for electric, telephone, or cable TV purposes for a period of
twelve (12) successive months, the Town shall have the option of having the Company
remove such Facilities or claim such Facilities as its own. If the Town should require the
Company to remove its Facilities such removal shall only apply to those Facilities that
are above ground and have a visual impact on the surrounding area. If the Town elects to
18
have the Company remove the Facilities, it shall give written notice to the Company
within thirty (30) days after expiration of the twelve (12) month period above described
directing it to remove such Facilities, and the Company shall remove the same no later
than ninety (90) days after the date of such notice, unless the Company and the Town
agree to a longer period within which removal shall occur. Any Facilities, either
underground or overhead, remaining after the twelve (12) month, thirty (30) day, and
ninety (90) day periods above described, that have not been expressly claimed by the
Town or removed by the Company, shall be deemed to have been abandoned. Any cost
incurred by the Town in removing abandoned Facilities, and any liability associated with
Facilities abandoned by the Company shall be the liability of the Company. For any
Facilities claimed by the Town, any liability associated with such Facilities shall become
the liability of the Town.
10.8 Non-renewal of Franchise; Alternative Electric Service. If this Franchise is not renewed,
or if it is declared null and void, or the Company terminates any service provided for
herein for any reason, and the Town has not provided for alternative electric service to the
Residents, the Company shall not remove its Facilities and shall be obligated to continue
electric service to the Residents until alternative electric service is provided. The
Company will not withhold any temporary services necessary to protect the public.
ARTICLE 11
COMMUNITY ENHANCEMENT FUND
11.1 Purpose. The Company is committed to programs designed to make a difference in
people's lives and the communities in which they reside. The Company will voluntarily
19
make monetary resources available to the Town for such programs and/or activities.
Programs for which such funds shall be spent shall be limited to: (1) Beautification
projects; (2) Energy conservation projects; (3) Equipment and technology upgrades for
schools; (4) Scholarship funds; (5) Acquisition of open space and/or park land and
development thereof, (6) Sponsorship of special community events; (7) Undergrounding
of overhead electric and other utility lines. Funds made available under this Article may
be spent for other purposes only with the express written consent of the Company. This
program has been initiated solely by the Company; the Town has not made the program a
requirement for this Franchise. Funding for this program is not a cost of doing business
but is a voluntary contribution by the Company.
11.2 Payments to the Fund. After enactment of this Ordinance, the Company will establish an
initial fund amount of $2,000.00. The Company shall then make annual payments to the
fund equal to one percent (1%) of its prior year's gross Revenues, prorated for the
portions of the months at the beginning and end of the term of this Franchise, collected
from the sale of electricity within the boundaries of the Town, or $2,000.00, whichever
amount is greater. Said payments shall be made into the fund no later than February 15`h
of the year subsequent to the year in which the gross Revenues are received by the
Company.
11.3 The Fund. The Fund established by the Company shall be maintained in a bank account
in the name of the Town, but shall be maintained separately from all other funds and
accounts held by the Town.
11.4 Payments from the Fund. All payments from the fund shall be for projects described in
Section 11.1 hereof. Prior to any such expenditure, authorization to withdraw from the
20
fund shall be given by resolution or ordinance duly enacted by the Council, and such
resolution or ordinance shall clearly describe the nature and purpose of the project for
which the expenditure is made. Prior to any expenditure, the Town shall notify the
Company of its intended use of the funds. Unless the Company objects, in writing, prior
to such expenditure, the Company shall have waived its right to object in the future if the
funds are expended for the use identified in the notice.
11.5 Audits. The Town may audit the Company's books related to gross Revenues collected
within the Town at any reasonable time and with reasonable prior notice. The Company
may audit the fund account, expenditures from the fund, and resolutions and ordinances
authorizing such expenditures at any reasonable time and with reasonable prior notice.
11.6 Forfeiture of Enhancement Funds. The Company shall have the express right to
temporarily suspend or terminate in full its annual contributions to the Enhancement
Fund if it is determined that funds allocated and paid to the Town are being, or have been,
misappropriated, administered with bias or discrimination, or for other inappropriate
actions.
11.7 Advances of Funds. The Company shall consider advances of funds, subject to the
provisions of this Section, for all such projects that specifically involve undergrounding
of overhead lines or projects acceptable to the Company which are related to the
Company's existing Facilities. The Town shall make all reasonable attempts to plan and
budget use of the Fund without advancement of future Funds. However, if the Town
requests and the Company and the Town agree that it is in the mutual interest of both, the
Company shall anticipate Fund amounts to be available for up to three (3) years in
advance. Both parties shall enter into a special agreement concerning the advanced
21
Funds. Any amounts advanced shall be credited against amounts to be expended in
succeeding years until such advances are eliminated.
ARTICLE 12
UNDERGROUNDING
12.1 At Consumer's Request. If a customer within the Town should request that new facilities
be installed underground, or for the conversion of existing overhead facilities to
underground facilities, or if Town ordinances or resolutions require a customer or
customers to install facilities underground, the Company shall proceed in accordance with
its Line Extension Policy, Advice Letter Number 8, dated July 30, 1976 (herein "Line
Extension Policy") and in accordance with its Policy Statement, Conversion From
Overhead to Underground Facilities, June 15, 1988 (herein "Underground Conversion
Policy"), as each may from time to time be amended.
12.2 Town Requested Undergrounding. Except for the Company's contributions to the
Community Enhancement Fund, which may be used by the Town to pay for the
undergrounding of the Company's Facilities, any request, requirement imposed by
resolution or ordinance, or other communication from the Town to the Company, asking,
or requiring the Company to underground new facilities or existing overhead facilities, or
move, remove, or replace existing underground facilities, shall be responded to in
accordance with the provisions of the Company's Line Extension Policy, Underground
Conversion Policy, or other customary practice in use by the Company. The Town
acknowledges receipt of a copy of both policies.
22
12.3 Relocation of Underground Facilities. Nothing hereinabove shall be construed to
obligate the Company to pay for the removal and relocation of its Facilities where such is
at the request or demand of a person, or a public or private entity under circumstances
which require the parry requesting or demanding such to pay for the relocation under
other provisions hereof, or under the provisions of the Company's Line Extension Policy,
Underground Conversion Policy, or other customary practice in use by the Company.
12.4 Governmental Mandates. This Franchise or the Town Municipal Code, as either may be
amended from time to time, shall not prohibit or limit the Company's right to enforce its
collection of the increased costs of new underground construction, or conversion, in
accordance with the provisions of the Company's Line Extension Policy, Underground
Conversion Policy, customary practices of the Company, or state law. Anything in this
Franchise, or in the Municipal Code, that would be a contributing factor to the ultimate
effect of causing the Company to convert overhead electric lines or Facilities to
underground lines or Facilities, or which would result in new construction of lines or
Facilities being placed underground, when such could have been constructed overhead,
shall be deemed to be a mandatory requirement of the Town.
ARTICLE 13
MISCELLANEOUS
13.1 Chanfzes in Utility Regulation. In the event new legislation materially affects the terms
and conditions of this Franchise Ordinance, the parties agree to renegotiate the affected
terms and conditions in good faith. The parties hereto acknowledge that regulatory and
legislative changes in the electric utility, gas utility and other energy industries are
23
? y
currently being discussed nationwide and statewide; that some changes in utility industry
sectors have already been implemented; and that other changes may be made in the
future, during the term of this Franchise. One likely scenario is the implementation of
open access to electric customers, and other energy customers, making such customers
available to all utilities, thus eliminating or limiting territorial protections. Under this
scenario one utility may contract to sell a type of energy to a customer, while another
utility transports the energy to the customer for a fee charged to the other utility or the
customer.
The parties agree, that insofar as future changes in the utility laws will allow, the
Company shall always retain the right to bill customers for utility transportation services
and energy sales within the Town if it is the provider of either the energy product or the
transportation of such product. The parties agree that this will provide the most efficient
and convenient utility service to the Residents and provide assurance to the Town of
franchise fee collection for each component charged for the sale and delivery of energy
products within the boundaries of the Town.
13.2 Successors and Assigns. The rights, privileges, franchises and obligations granted and
contained in this Ordinance shall inure to the benefit of and be binding upon the
Company, its successors and assigns.
13.3 Representatives. Both parties shall designate from time to time in writing representatives
to act as franchise agents for the Company and the Town. Such will be the persons to
whom notices shall be sent regarding any action to be taken under this Ordinance. Notice
shall be in writing and forwarded by certified mail or hand delivery to the persons and
addresses as hereinafter stated, unless the persons and addresses are changed at the
24
written request of either party. Until any such change shall hereafter be made, notices
shall be sent to the Town Mayor and to the Company's General Manager. Currently the
addresses for each are as follows:
For the Town:
Judy Yoder, Mayor
Town of Avon
P. O. Box 975
400 Benchmark Road
Avon, CO 81620
For the Company:
Holy Cross Energy
Attention: General Manager
P.O. Drawer 2150
3799 Highway 82
Glenwood Springs, CO 81602
13.4 Severability. Should any one or more provisions of this Franchise be determined to be
illegal or unenforceable, all other provisions nevertheless shall remain effective;
provided, however, the parties shall forthwith enter into good faith negotiations and
proceed with due diligence to draft provisions that will achieve the original intent of
stricken provisions.
13.5 Entire Agreement. This Franchise constitutes the entire agreement of the parties. There
have been no representations made other than those contained in this Franchise.
ARTICLE 14
APPROVAL
14.1 Town Approval. This grant of Franchise shall not become effective until approved by the
Town in accordance with its ordinances and the statutes of the State of Colorado.
14.2 Company Approval. The Company shall file with the Town Clerk its written acceptance
of this Franchise and of all its terms and provisions within fifteen (15) business days after
the final adoption of this Franchise by the Town. The acceptance shall be in the form and
25
content approved by the Town Attorney. If the Company shall fail to timely file its
written acceptance as herein provided, this Franchise shall become null and void.
14.3 Public Health, Safety and Welfare. The Council hereby finds, determines and declares
that this Ordinance is necessary and proper for the health, safety and welfare of the Town
and the Residents thereof.
INTRODUCED, PASSED ON FIRST READING, APPROVED AND ORDERED POSTED,
this day of , 2000, and a public hearing on this
Ordinance shall be held at the regular meeting of the Town Council of the Town of Avon,
Colorado on the day of 2000, at 5:30 p.m., in the
Municipal Building of the Town of Avon, Colorado.
Judy Yoder, Mayor
Attest:
Kris Nash, Town Clerk
INTRODUCED, PASSED ON SECOND READING, APPROVED AND ORDERED POSTED,
this day of , 2000.
Judy Yoder, Mayor
Attest:
Kris Nash, Town Clerk
APPROVED AS TO FORM:
Burt Levin, Town Attorney
26
AVON METROPOLITAN DISTRICT
MEETING AGENDA
August 22, 2000 - 5:20 PM
1. Call to Order/Roll Call 6?, q,;
2. Resolutions
a.) Resolution No. 00-01, Series of 2000, A Resolution Approving a4 Amendment to the
Agreement and Plan for Dissolution of the Avon Metropolitan District
l
3. Unfinished Business
4. New Business
® 5. Other Business
6. Adjournment
f/
E
MEMORANDUM
FROM: Burt Levin
TO: Hon. Mayor and Town Council
CC: Bill Efting, Larry Brooks, Scott Wright
RE: Resolutions Approving Refinancing of Avon Metro District Debt
DATE: August 16, 2000
In February 1998 the Avon Metro District and the Town of Avon entered into an
agreement for the dissolution of the Avon Metro District. The agreement provided that
the District would stay in existence for the sole purpose of paying off its bonded
indebtedness, and that after such indebtedness was retired, the District would dissolve.
Judge Hart passed a Decree dissolving the District, consistent with the agreement, in July
1998.
® Pursuant to the agreement and the Decree, the Town Council members serve as ex officio
members of the Avon Metro District. The Decree provides that "The Town Council of
the Town of Avon shall serve as the Board of Directors of the Avon Metropolitan District
for the sole purpose of setting and certifying mill levies to the Eagle County Board of
County Commissioners, as is necessary to raise property tax revenue equal to the sum
necessary to pay the annual debt service payments on the outstanding bonds." (19.)
At present, the interest rate on the District's indebtedness is 8.3%; the maturity date is 11-
l -10; and the principal amount remaining due is $3,705,000.
It appears that a significant savings can be realized if the debt is refinanced.
Attached hereto are resolutions of the Town Council and the Avon Metro District
approving an amendment to the Dissolution Agreement so as to permit the District to
refinance its debt at a rate not to exceed 7% (and at a maturity date not later than 11-0-
10).
A meeting of the Council members, sitting as ex officio members of the Board of the
District, will be called for the purpose of approval of the resolution of the District.
E
RESOLUTION NO. 1
SERIES OF 2000
A RESOLUTION APPROVING AN AMENDMENT TO THE AGREEMENTAND PLAN
FOR DISSOLUTION OF THE AVON METROPOLITAN DISTRICT
WHEREAS on February 20, 2000, the Town of Avon and the Avon Metropolitan District
("District") entered into that certain Agreement and Plan for Dissolution of the District, and
WHEREAS the District wishes to amend the Agreement and Plan for Dissolution so as to
recognize the right of the District to refinance its bonded indebtedness, and
WHEREAS such refinancing, if accomplished, will result in a savings to the taxpayers of the
District, and be in the interest of the health, welfare, and safety of the such taxpayers,
NOW, THEREFORE, BE IT RESOLVED BY THE AVON METROPOLITAN
DISTRICT:
Section I . The District hereby authorizes Board Member Judy Yoder to execute
on behalf of the District the attached First Amendment to Plan for Dissolution of the District.
ADOPTED this _ day of , 2000.
AVON METROPOLITAN DISTRICT
Judy Yoder, President
ATTEST:
Kris Nash, Secretary
FIRST AMENDMENT TO AGREEMENT AND PLAN FOR DISSOLUTION
AVON METROPOLITAN DISTRICT
TOWN OF AVON
THIS FIRST AMENDMENT TO THE AGREEMENT AND PLAN FOR
DISSOLUTION is made this - day of , 2000, by and between the Avon
Metropolitan District, a Colorado quasi-municipal corporation and political subdivision of the
State of Colorado ("District") and the Town of Avon, a municipal corporation and political
subdivision of the State of Colorado ("Town").
RECITALS
A. The District and the Town entered into that certain Agreement and Plan for
Dissolution on February 20, 1998 ("Agreement").
B. By Decree of the District Court of Colorado for Eagle County, dated June 12,
1998 ("Decree"), the District was dissolved in accordance with the Special District Act and
pursuant to the Agreement. Pursuant to the Decree (¶ 8) the District "shall continue in existence
for the sole purpose of securing payment in full of the principal and interest of [its bonded
® indebtedness]."
C. The District and the Town have determined that it is in the best interest of the
taxpayers of the District to refund the remaining bonded indebtedness of the District.
D. Neither the Agreement nor the Decree contemplated the refunding of the bonded
indebtedness of the District.
E. The District and the Town hereby find that this Amendment is in the best interest
of the taxpayers of the District and the Town, and will benefit the public health, safety, and
welfare.
NOW THEREFORE, in consideration of the covenants, agreements, mutual promises,
and conditions contained in this Amendment, and for other good and valuable consideration, the
receipt and sufficiency of which is acknowledged, the District and the Town hereby agree as
follow:
1. Refinancing Plan.
The District currently has outstanding indebtedness in the principal
amount of $3,705.000. Such indebtedness is based on bonds with a maturity date of
November 1, 2010, which carry an interest rate of 8.3%.
U
The District and the Town shall jointly petition the Court for an order
modifying the Decree to authorize the refunding of the District's remaining bonded
indebtedness consistent with the terms of this Amendment.
As soon as practicable after the approval by the Court of this Amendment,
as evidenced by the entry of an order modifying the Decree, the District shall issue new
long-term fixed rate refunding bonds in an amount sufficient to defease, and retire as it
comes due, all of the remaining bonded indebtedness of the District, plus pay customary
costs and fees associated with the refunding. Any new bonds issued shall remain a
continuing obligation of the District.
The terms and conditions of the new bonds shall be as the District shall
determine to be in the best interest of the taxpayers of the District, but such terms and
conditions shall in any event include a maturity date not later than November 1, 2010,and
an interest rate not higher than 7%.
IN WITNESS WHEREOF, the parties have caused this Amendment to be executed on
the date stated above.
AVON METROPOLITAN DISTRICT
By:
President
ATTEST:
By:
Secretary
TOWN OF AVON
By:
Mayor
ATTEST:
By:
Town Clerk
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TOWN OF AVON
G REGULAR COUNCIL MEETING AGENDA;
vy_ August 22, 2000 - 5:30 PM
1. Call to Order / Roll Call
2. Citizen Input - t
a.) Triathlon/Concert Update (John Curutchet)
?J b.) Real Estate Transfer Tax Appeal, Leo Palmos, Chapel Square, Unit 403 (D n Schaper)
3. Ordinances
a.) First Reading of Ordinance No. 00-10, Series of 2000, An Ordinance Approving an
Amendment to the Wildridge PUD for Lot 12, Block 4, Wildridge Subdivision, Town of
Avon
4. f Resolutions
? a.) Resolution No. 00-37, Series of 2000, A Resolution Authorizing the Use of a Previously
Approved Governmental Lease-Purchase Master Agreement Dated May 19, 1999 and
' Approving a Supplement Thereto and Related Documents and Certificates
i ?,t/b.) Resolution No. 00-38, Series of 2000, A Resolution to Amend the 2000 Town of Avon
Budget
S
5. Unfinished Business a
6. New Business 7. Town Manager Report TC
8. Town Attorney Report
??rE
9. Mayor Report rir
10. Other Business
11. Consent Agenda
t a.) Approval of the August 8, 2000 Council Meeting Minutes
b.) Approval of the Coordinated Election Intergovernmental Agreement with Eagle County
c.) Resolution No. 00-36, Series of 2000, A Resolution Approving the Final Plat, A
Resubdivision of Lot 41, Block 1, Wildridge, Town of Avon, Eagle County, Colorado
d.) West Beaver Creek Blvd. - Change Orders
e.) Resolution No. 00-39, Series of 2000, A Resolution Approving an Amendment to the
Agreement and Plan for Dissolution of the Avon Metropolitan District
£) Financial matters
12. Adjournment
L
M
E
MEMORANDUM
FROM: Burt Levin
TO: Hon. Mayor and Town Council
RE: Property Tax Appeal: Leo Palmos
DATE: August 9, 2000
Leo Palmos has appealed the denial of his request for exemption from the transfer tax for
his purchase of unit #403 of Chapel Square. The appeal will be heard on August 22,
2000.
His application for exemption and the denial are attached for your review.
Here are two forms of motion for either granting or denying the exemption.
GRANTING EXEMPTION
"I make a motion that the request for transfer tax exemption be granted."
DENYING EXEMPTION
"I make a motion that the request for transfer tax exemption be denied."
11
C O L O R A D O
08/03/00
Donald G. Schaper, Comptroller
Palmos Development Corp.
2775 Iris Ave.
Boulder, CO 80304
Re: Tax Exemption Application: Chapel Square Unit 403 (received August 1, 2000)
Dear Mr. Schaper:
The Town of Avon has received and considered Mr. Palmos's request for an
exemption from the transfer tax owed on the transfer of the above property. I am providing
this response on behalf of the Town Manager. Based on the information you provided, the
Avon Code does not provide an exemption.
Unless an exemption applies, the Avon transfer tax applies to transfers in which the
consideration for the transfer is more than $500. The transfer described in your application is
for $242,100. The grounds for exemptions are set forth in § 3.12.060 of the Avon Code. As
I understand, Mr. Palmos will purchase Chapel Square Unit 403 from a business entity for
full value and own it in his name. Although Mr. Palmos has an interest in the entity selling
the unit, the transfer is not part of a business reorganization or restructuring as intended by §
3.12.060.E: that section provides exemptions for transfers such as those from a parent
corporation to a subsidiary. Nor does the other exemption you call to our attention apply.
Mr. Palmos is not taking out a mortgage or second mortgage on property he already owns,
rather, he is buying a unit from the current owner. (The section you cite, would, of course,
exempt Mr. Palmos from paying transfer tax on the amount of any mortgage he grants on the
property to secure a debt.)
Pursuant to § 3.12.070 of the Avon Code, Mr. Palmos may appeal this denial to the
Town Council within 30 days after he receives this notice.
Sincerely yours,
Burt evin
Town Attorney
Post Office Box 975
400 Benchniar )4d d Bill Elting, Town Manager
A,,ot. Colorado 81620 Julie Kessenich, Accounting Assistant
970-748-4000
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re- LI}d f
July 20, 2000
Town of Avon
Burt Levin, Esq.
500 Swift Gulch Road
Avon, CO 81620
Re: Application for Exemption of Real Property Transfer Tax
Dear Mr. Levin:
A?l 'j
Attached please find the Application for Exemption of Real Property Transfer Tax for
Unit 403 at Chapel Square which is being purchased by Leo Palmos from Chapel Square,
LLC, an affiliate of Leo Palmos, at the request of the construction lender for Chapel
Square, LLC.
Please review and contact me or Leo Palmos with any questions or further documentation
needed. Your prompt response would be appreciated as Mr. Palmos is currently working
with a lender to purchase Unit 403 from Chapel Square, LLC. Thank you.
Sincerely,
?'V /'? A ?-
Donald G. Schaper
Controller
chaptown.le4
I
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_? Ii
APPLICATION FOR EXEMPTION
REAL PROPERTY TRANSFER TAX
The undersigned, as Grantee of a deed or instt`ument of Ocnveyance
of Lot 22 (see attached Exhibit A)
-?.-?. Block_ Subdivision. Filing.,
Street Address. 240 Chapel Place
Complex Name ChaPei Square Buildinq/Unit ;Bldg B/unit 403
Leonidas Palms {NamQ of Grantee)
2775 Iris Ave. Boulder, CO 80304 (Mailing Address)
S 242,100.00 07/20/00 y pp
(Amount of Cartsideration) dated hereby applies
lies
for exemption from the payment of the Avon Real Property Transfer
Tax, imposed by Chapter 3.12 of the Municipal Code of the Town of
Avon.
The basis for such exemption is:
See attached Exhibit B.
(State grounds for requested exemption, including appplicable
section and subsection of the Real Property Tran er Tax Minance
under which the exemption is re sted, ch supporting
documents if necessary for full dare nd n of transaction,
preferably affidavit, setting out ad 'tints rat 1 concerning
the transaction for which exempt stat in r sted).
S hereby certify under penal of a to Q foie oin
etatament is true and correct. g 4
1 1k ? tit \J VA \1 V V 1A 0720/00
I hereby certify that the above described transfer ?f real
property should bra exempted from the payment of the Avon Real
Property Transfer Tax tinder chapter 3.1 2, section 3.12.060 of the
municipal Code of the Town of Avon.
Town Manager Date
I hereby certify that the above described trensfor of real
property should be exempted from the payment of the Avon Real
Property Transfer Tax under Chapter 3.12.060 of the Municipal Code
of the Tosco of Avon.
Tome Attorney Date
Rev 7/93
•
EXHIBIT A
CONDOMINIUM UNIT BR-403, CHAPEL SQUARE, BUILDING B, ACCORDING TO THE CONDOMINIUM
MAP RECORDED SEPTEMBER 24, 1999, AT RECEPTION NO. 709894 AND AS DEFINED AND
DESCRIBED IN THE DECLARATION FOR CHAPEL SQUARE, BUILDING B, RECORDED SEPTEMBER
30, 1999, AT RECEPTION NO. 710507, AND CORRECTION THERETO RECORDED NOVEMBER 19,
1999, RECEPTION NO. 715320, COUNTY OF EAGLE, STATE OF COLORADO.
11
EXHIBIT B
APPLICATION FOR EXEMPTION OF REAL PROPERTY
TRANSFER TAX
July 18, 2000
Leo Palmos is in the process of purchasing Unit 403 at the Chapel Square development in
Avon, Colorado. Mr. Palmos is seeking an exemption from the Town of Avon Real
Property Transfer Tax under exemption:
"3.12.060 Exemptions.
E. Transfers made pursuant to business organization, reorganization or
restructuring.
L. Transfers to secure a debt or other obligation, or transfers of releases
of property which is security for a debt or other obligation."
BACKGROUND
Chapel Square, LLC is owned 90.0% by Palmos Family, Ltd. and 10.0% by
Palmos Development Corporation. Leo Palmos owns 100.0% of Palmos Development
Corporation and 85.7% of Palmos Family, Ltd. with the remainder owned as follows:
9.0% by his wife, 4.3% by his children and 1.0% owned by Palmos Development
Corporation.
Chapel Square, LLC purchased the land and built the Chapel Square development
which consists of 67 residential condominiums and commercial buildings of
approximately 150,022 of gross square footage (142,187 of net leaseable square footage).
The construction of the development is substantially complete, over 92% of the
residential condominiums have been sold and approximately 80% of the leaseable
commercial square footage has been leased.
PERTINENT TAX EXEMPTION REVIEW
Chapel Square, LLC desires to hold, as an asset, residential condominium Unit
403 in the Chapel Square development. Unit 403 is security (in addition to the other
unsold residential condominiums, the commercial building areas and the land) for the
construction lenders. However, the construction lenders, in modifying the construction
loans for Chapel Square, LLC, are requiring that the Unit 403 be transferred and
purchased by Leo Palmos, individually, and not through Chapel Square, LLC. Thus, the
security interest is being transferred from Chapel Square, LLC to Leo Palmos. In
addition, the new lender, who is financing the purchase of Unit 403 for Mr. Palmos, has
stated that due to bank requirements only Leo Palmos can purchase the unit and not
Chapel Square, LLC.
CONCLUSION
Thus, the entities owned by Mr. Palmos are being reorganized and restructured to
move one asset (residential condominium unit 403) from Chapel Square, LLC to Leo
Palmos. In addition, the construction lender is requiring that (1) the transfer from Chapel
Square, LLC to Leo Palmos take place to secure the debt/obligation to the construction
lender and (2) Unit 403 be released to the new lender which is financing the purchase of
Unit 403 for Leo Palmos.
In addition, it appears reasonable not to tax transfers between an individual and
his/her wholly owned entities.
Chapavon-taxex
n
U
11
N
MEMORANDUM
FROM: Burt Levin, Town Attorney
TO: Hon. Mayor and Town Council
RE: Ordinance No. 10, Series of 2000
DATE: August 16, 2000
Attached is a first reader copy of Ordinance 10, Series of 2000, which, if enacted,
changes the zoning for Lot 12, Block 4, Wildridge Subdivision, from single family to
duplex.
Also attached is Community Development's Staff Report to the Planning & Zoning
Commission regarding the rezoning of the lot. Community Development recommended
to P&Z that the lot be rezoned.
This rezoning application is made in the name of the Town and at the request of the
owner of the lot in question. The reason the application has been made in the name of the
Town is to correct an unfairness, or a potential unfairness, to the owner of the lot.
Before purchasing the lot in question, the current owner inquired of the Community
Development Department whether the zoning on the lot would permit construction of a
duplex as well as a single family home. A staff member of the Community Development
Dept. erroneously informed the owner that the lot was zoned to allow either single family
or duplex. The staffer also faxed the owner a sheet prepared by Community
Development listing her lot as being zoned for a duplex. (A copy of the fax with the
erroneous information is attached hereto.) (Also attached is a copy of a Commmunity
Development Staff Report dated April 2, 1999, showing the zoning on the lot as duplex.)
In reliance on the statement she received from the Town, the owner entered into a
contract to purchase the lot. The contract was silent concerning the zoning.
After she purchased the lot, the owner made inquiries to the Town concerning
construction of a duplex, but was informed that the lot is zoned to permit only a single
family home. The owner asserts that she would not have purchased the lot if she had been
aware that it was not zoned to permit construction of a duplex. The owner requested that
the zoning on the lot be changed to be consistent with the information she received from
the Town, and upon which she relied.
As a staff, we asked ourselves whether the owner should have realized the zoning was
single family notwithstanding the contrary information she received from the Community
Development Dept. prior to entering into a contract to purchase the lot. We concluded
that as a practical matter the owner had done exactly what she should have done to
ascertain the zoning on the lot before signing the contract. There would have been no
practical reason for the owner to doubt what she had been informed by the Town
department which includes the Zoning Administrator (i.e. no reason for her to come in
and inspect the official zone map). So, we concluded that the owner's reliance on the
erroneous factual information she received from the Town was reasonable.
The owner has not threatened to sue the Town to conform the zoning of her lot to duplex,
but such a suit could have merit. The legal principle involved is a simple one based on
fairness. If a governmental entity makes a factual assertion to a citizen, and the citizen
changes his or her position in reasonable reliance on such factual assertion, the
government may not later disavow its factual representation. In other words, if a citizen
reasonably and detrimentally relies on a factual representation of a responsible
government official, the government is "estopped" from denying the validity of its
assertion. See Colorado Water Quality Control Commission v. Town of Frederick, 641
P.2d 958 (Colo. 1982).
The doctrine of estopped supports the Town's application to rezone the lot in question.
The owner claims she relied on the information she received from the Town concerning
the zoning, and that she would not have purchased the lot had she know the zoning was in
fact other that what she had been told by the Town. The owner's reliance on the Town's
representation was reasonable because (1) it came from the responsible official, and (2) in
fact the vast majority of lots in Wildridge, including the lots immediately surrounding her
lot, are zoned for duplex (or three or four-plex).
As the staff report of Community Development to the P&Z on this matter indicates,
setting aside the unfairness to the owner which would result if the lot is not rezoned, the
lot in fact is appropriate for a duplex. There are only 9 lots in Wildridge zoned single
family. (Indeed, at one time the lot in question was itself zoned as a duplex lot.) Since
the vast majority of the lots in the vicinity of the lot in question are zoned duplex, there is
no question but that rezoning to duplex would be consistent with the Town's
comprehensive plan and the surrounding neighborhood. Obviously there is adequate
infrastructure to accommodate a duplex on the lot in question.
P&Z denied the Town's application to rezone the lot. I advised P&Z that it could and
should consider the legal principle of estoppel in deciding this matter. Based on its
comments, the Commission appears to have believed that it should disregard the equities
of the situation and not take into account the doctrine of estoppel, instead, leaving the
equities of the question to the Town Council. In denying the Town's application to
rezone the lot in question, the Commission seems to have determined simply that as an
abstract matter Wildridge should not be up-zoned.
Attached please find five letters of conm ment from members of the public.
In conclusion, the Town staff believes a rezoning of the lot is the only fair outcome in
this case in view of the owner's reasonable reliance on the Town's representation to her
that the lot she was about to purchase was zoned for a duplex.
2
ORDINANCE NO. 00 - 10
AN ORDINANCE APPROVING AN AMENDMENT TO THE WILDRIDGE PUD
FOR LOT 12, BLOCK 4, WILDRIDGE SUBDIVISION, TOWN OF AVON
WHEREAS the Town has applied for approval of an amendment to the Wildridge
PUD for Lot 12, Block 4, so as to change the zoning on said lot from single family to
duplex, and
WHEREAS after a public hearing before the Planning and Zoning Commission
conducted in accordance with law said Commission forwarded its recommendation on
said application to the Town Council, and
WHEREAS a public hearing before this Council was held on said application, and
WHEREAS this Council finds that approval of the application to rezone Lot 12,
Block 4, Wildridge Subdivision, from single family to duplex, is consistent with the goals
of the Town's Comprehensive Plan, is compatible with the surrounding neighborhood, is
in the public interest, and is in satisfaction of all legal requirements,
NOW THEREFORE, BE IT ENACTED BY THE TOWN COUNCIL OF THE
i TOWN OF AVON, COLORADO:
Section 1. PUD Amendment. Lot 12, Block 4, Wildridge
Subdivision, is hereby rezoned from single family to duplex.
INTRODUCED, PASSED ON FIRST READING, APPROVED AND
ORDERED POSTED, this day of , 2000, and a public hearing on
this Ordinance shall be held at the regular meeting of the Town Council of the Town of
Avon, Colorado on the day of , 2000, at 5:30 p.m., in the
Municipal Building of the Town of Avon, Colorado.
Judy Yoder, Mayor
Attest:
0 Kris Nash, Town Clerk
INTRODUCED, PASSED ON SECOND READING, APPROVED AND ORDERED
POSTED, this day of , 2000.
Judy Yoder, Mayor
ATTEST:
Kris Nash, Town Clerk
APPROVED AS TO FORM:
Burt Levin, Town Attorney
E
11
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Town of Avon
Final Design
Staff Report
April 6, 1999, Planning & Zoning Commission meeting
Report date April 2, 1999
Project type Single family Residence
?? ?? Lot 12. Black 4. Wildridge Subdivision
Zoning Planned Unit Development (PUD) - 2 units
Address 5712 East Wildridge Road
Introduction
The project is a large single family residence (3774 square feet). Exterior materials consist
primarily of beige stucco, stone base, dark green wood trim, and antique slate asphalt shingles.
The site is extremely steep. Over half the site has slopes greater than 40% and the building
envelope has slopes near 60%.
Design Review Considerations
According to the Commission's Procedures, Rules & Regulations, Section 4. 10, the Commission
shall consider the following items in reviewing the design of this project:
1. The conformance with setbacks, massing, access, land use and other provisions of the Zoning
Code.
• Allowed use: Conforms with the allowed residential use.
• Density: Single-family use complies with this lot's one dwelling unit designation.
• Lot Coverage: The proposed 5.4% of building coverage complies with the 50%
maximum.
• Setbacks: No proposed encroachments.
• Easements: No proposed encroachments and proposed grading in the 10' Slope
Maintenance and Snow Storage Easement is acceptable.
• Building Height: The largest determined height of 33' on the west elevation complies
with the 3 5', maximum limit.
• Grading: All proposed grades conform with the maximum of 2:1 slope guideline and the
proposed driveway grades comply with Town standards.
• Parking: The two (2) garage and the two (2) surface parking spaces conform with the
required three (3) spaces.
• Snow Storage: Submitted plans show snow storage area equal to the minimum standard
of 20% of the proposed impermeable surface area.
• Landscaping: Submitted landscape plan appears suitable.
11
E
11
Town of Avon Community Development \\ntserver\file server\p&z\staft reports\1999\040699\12b4wrfd.doc
(970) 7484030 Fax (970) 949-5749
Lot 12, Block 4, Wildridge Subdivision, Final Design Review, page 2
April 6, 1999 Planning & Zoning Commission meeting
2. The conformance with other applicable rules and regulations of the Town of Avon.
A 12-foot high retaining wall is proposed immediately above the garage. Though this height
exceeds the recommended maximum height, staff believes given the site's steepness and the
wall's limited visibility from the surrounding neighborhood and public roadway, the wall
will not significantly impact the project's overall appearance or massing.
3. The type and quality of materials of which the structure is to be constructed.
The plans lack specific material and color information for the following items:
• Retaining wall above the garage.
• Apparent wood siding within various gabled dormers on the south elevation.
• Trim elements above windows.
• Decks and associated posts.
• Window cladding.
• Garage and entry doors.
4. The design of site grading and drainage to minimize impacts to adjacent sites, rights-of-way
and easements.
5. The compatibility of proposed improvements with site topography, to minimize site
disturbance, orient with slope, step building with slope, and minimize benching or other
significant alteration of existing topography.
6. The appearance of proposed improvements as viewed from adjacent and neighboring
properties and public ways, with respect to architectural style, massing, height, orientation to
street, quality of materials, and colors.
Staff recommends that a chimney cap or other means of screening the flue be provided.
7. The objective that no improvement be so similar or dissimilar to others in the vicinity that
monetary or aesthetic values will be impaired.
8. The general conformance of the proposed improvements with the adopted Goals, Policies and
Programs for the Town of Avon.
Staff Recommendation
Based upon the project's general conformance with the above criteria, staff recommends
approval with conditions.
Recommended Motion
"I move to approve the final design for a single family residence for Lot 12, Block 4, Wildridge
Subdivision as depicted on the application and plan set dated March 17, 1999 with the following
conditions:
1. That a chimney cap or other means of screening the flue be provided with the building permit
submittal.
2. That the missing materials and color information be provided with the building permit
submittal.
And furthermore, that the 12-foot retaining wall immediately above the garage is approved based
upon the findings that the wall is necessary due to the grading difficulties caused by the site's
Is extreme steepness and the wall's limited visibility from adjacent properties and the public
roadway."
Town of Avon Community Development \\ntserver\file server\p&z\staff reports\1999\040699\12b4wrfd.doc
(970) 748-4030 Fax (970) 949-5749
Lot 12, Block 4, Wildridge Subdivision, Final Design Review, page 4
April 6, 1999 Planning & Zoning Commission meeting
Planning & Zoning Commission Action
? Approved as submitted ? Approved with conditions (noted below)
? Denied ? Tabled ? Withdrawn by applicant
Conditions of approval, reasons for tabling or withdrawal of application, or basis for denial (refer
to code or guidelines by number):
Signed:
Date
Chris Evans, Chair
Attest:
Date
Sue Railton, Secretary
C7
Town of Avon Community Development AntserverAle server\p&z\staff reports\1999\040699\12b4wrtd.aoc
tn,7in 7en_enan Fay 107M QQQ-5749
JOHN & GREER GARDNER
5723 Wlldridge Road East
Avon, Colorado 81620
ailing Address:
P.O. Box 3026
Vail, Colorado 81658
August 4, 2000
Avon Planning & Zoning Commission
PO Box 975
Avon, Colorado 81620
Attn: Recording Secretary
Re: Lot 12, Block 4, Wlldridge Subdivision
With respect to the Avon Community Development Department's application for
duplex development of the above-referenced property, we wish to express our strong ions
to such development. Our residence is directly across Wildridge Road from the subject lot and is
a single family structure, even though our lot (Lot 82, Block 4) was designated for a duplex and
is large enough (13 acres) to easily accommodate such development.
The downgrade of zoning to duplex residential for Lot 12, Block 4, would not be
consistent with other development from our property to the west, on both sides of Wildridge
Road. Duplex development would also severely decrease our property value.
Looking at how Wildridge has been developed, we think it should be obvious that
some duplex designs are not very successful for their lots. As Wildridge is built out, it is our
hope that many of the duplex lots, like ours, will be developed as single family. Certainly, from
a Community Development perspective, duplex development should not be officially encouraged
by the Town, and downgrading of zoning should not be permitted.
Sincerely,
4::? t 4;z?
John M. Gardner
0 Greer S. Gardner
v
August 4, 2000 0
Town of Avon
Planning and Zoning Commission's Recording Secretary
P.O. Box 975
Dear P&Z Commissioners,
We are writing to oppose the amendment to the Wildridge PUD concerning Lot 12,
Block 4. We believe the property should remain a single-family lot for the following
reasons:
• There is already a mix of single family and duplex lots. In this case we believe the
topography and current density argues best for a single family as currently
designated.
• Crowding duplexes onto more lots creates twice the vehicle traffic and human
congestion distracting from the potential ambiance and character of Wildridge.
• While we understand there are improvements scheduled for Nottingham Road, there
are presently none for Metcalf Road or Wildridge Road. Consider infrastructure
improvements first! Set a precedent for the region.
• There are no plans to separate Metcalf commercial traffic from Wildridge residential
traffic; it is already congested at times and Wildridge is only 60% built out.
• Property values are affected when density increases; the area becomes less attractive
to potential buyers and existing residents.
• With the remaining supply of lots in Wildridge we believe the efforts of the P&Z
should be to enhance the subdivision, not increase its already high density. You
should consider the desires of existing residents who have invested in the future of
Avon.
• If the Town of Avon changes zoning on a residential property a precedent is set for
individuals who want to change zoning, something not always in the best interest of
Avon or existing property owners.
As residents we depend upon the P&Z to make thoughtful and strategic decisions
regarding architectural standards and requests for changes in density. Please make your
decisions based upon the long-term vision of Avon and the needs of current residents.
Consider quality enhancements when considering requests for change, not how to place
more duplexes in a subdivision with limited access. Look for ways to decrease density,
widen roads, encourage tree and vegetation planting, and increase open space.
Thank you for your consideration.
Lyn and :7e Morgan
5735 Wildridge Road East
H) 949-4436
Russell & Margaret Stuut
5717A Wildridge Road East
Avon, Colorado 81620
MAILING ADDRESS
5931 Egypt Valley
Belmont, MI 49306
August 10, 2000
Avon Planning & Zoning Commission
PO Box 975
Avon, Colorado 81620
Attn: Recording Secretary
Re: Lot 12, Block 4, Wildridge Subdivision
We wish to express our strong objections with respect to the Avon Community
Development Departments application for duplex development of the above-referenced
property.
Our property is southeast and directly across Wildridge Road from the subject lot.
Although we own a duplex careful consideration was given at the time of purchase as to
the number of single-family homes and zoned single-family lots around our property. We
did this because we believe it is the single-family homes that add the most value to
properties in the area. We realized then, as we do now, that Wildridge is an area with
some less than quality duplexes. Indeed, one or two are eyesores and others do not
work well on their lots. We believe that the downgrading of zoning of the subject lot will
decrease our property value and should not be permitted.
We understand that there is always the possibility of any property owner applying for
variance of zoning. The Town, however, should not officially encourage the downgrading
LJ
of zoning.
1-29-1 ? b 8: 1 1 ISM f- RLIM
N. I
FAX TRANSMISSION
Marvin B. Si
FAX NO: 1222 DATE: August 1
TO: Town of Avon
SENDER: Marvin Simon
NUMBER OF PAGES: COVER SHEE
1. This lot is zoned Single Family by
2. Lots purchased nearby, including
zoned Single Family.
3. An. increase in the zoning would pry
able to build 2 units is greater than the
?.on
2000 FAX PHONE: 970-949-9139
ATTN: Community Development
SUBJECT: Lot 12, Blk 4, Wildridge
+ P = l PAGES,
original developer; Benchmark Properties.
, were valued somewhat higher because the subject lot was
the owner with an unjust enrichment since the value of being
ction of building 1 unit.
4. Approval of this application would establish the precedent for requests to increase the density of other
lots. The Avon Town Council is on record as being concerned of the high density in Wildridge, I was
required to provide a certified traffic study for my 4 bedroom home.
5. Many of the homes built at the top of Wildridge arc single family homes. An approval of this
application would insert 2 units on a single property surrounded by single family homes. Thereby
adversely affecting the value of the single family homes and the neighborhood
6, It should be a concern to the Town and this Commission to avoid increasing the density in Wildridge
and to encourage voluntary downzoning and absolutely ban any increase in zoning. There are owners of
multiple zoned properties in the Town of Avon who could use this precedent to demand increased density
zoning for their properties.
This property is not suitable for 2 units, and may not really be suitable for a single unit since it is subject
to very heavy snowfall, deep snow accumulations and snow avalanches.
We encourage the Commission to ignore the conflict established by the ownership of this property and
reject this application as they certainly would from any other owner.
Thank you.
Marvin B. Simon
Patty Simon
CONFIDENTIALITY NOTICE
s feosimile uftVni"ion oontaius information belonging to the sander that may be CONFIDENTIAL AND LEGA11.Y drl27Vll b Cifsl3. Phis information is hstatded only
the pcr-we to whom rt is dixtow d tts in h - ad above. If you are not the. mtoadcd rcc ipunt, any dincloaure, copyis4t distribution, or use of the infurmation aunt iDed in or
this transmitttil is strictly prohibited. if you have ra>cived this ftansmission in error, pleam call us w1locla ut (303) 377-2870 to erranw Fns rho return to a1 at our =TM1A m
Thank you
1453 6irrh Street - Denvar CnInmIn A(-09M947A - IRM1 377_7A7n - ommil- _h mtQ&1aYlnn4%hn4mai1 rem
IJb114/ ZU1317 lU: L4 71UO4ZIU014 VIA J.ui ?u
14 August 2000
John and Donnis McDonald
5130 Wildridge Rd. E.
Avon, CO 81620
Town of Avon, Planning and Zoning Commission
PO Box 975
Avon, CO 81620
Attn: Recording Secretary
Dear COmmis6Oners;
We strongly object to the rezoning of Lot 12 Block 4 Wildridge Subdivision from
single family to duplex residential.
This section of Wildridge was planned originally to be mostly single family lots.
Lots 8 through 14 are now zoned or constructed by owners as single family homes.
Several other lots on the downhill side of Wildridge, although zoned duplex, have been
built as single family homes to increase their value and livability.
If you have not had the opportunity recently, please drive along this section of
Wildridge before you consider increasing the house density and devaluing the atmosphere
and present value of the existing homes.
You will notice also that the topography of Lot 12 is particularly challenging. It
will require additional study and engineering to insure safe successful development. One
residence would be much more homogeneous to the site, neighborhood and subdivision.
Any increase in residential density would be directly counter productive to the
recent effort of the city to control vehicle flow and speed limits within the subdivision.
Water, police security and fire protection resources would be further diluted. Especially at
the highest elevation of a neighborhood with only one access road.
Please deny the change of zoning for Lot 12 and maintain the ambiance of this
section of Wildridge as it has been developed.
Respectfiilly,
171(_ G
John McDonald
Donnis McDonald
Lot 10 B14
cc; Ruth O. Borne
L'
Town of Avon
PUD
Staff Report 1
August 15, 2000 Planning & Zoning Commission meeting
Report date August 1, 2000
Project type Amended Planned Unit Development (PUD)
Legal description Lot 12, Block 4, Wildridge Subdivision
Current Zoning Single Family (PUD)
Address 5712 Wildridge Road East
Introduction
According to the Final Subdivision Plat, Replat Number 2 of Wildridge, Town of Avon, Lot 12, Block 4,
Wildridge Subdivision has development rights for a single family residence. The Town of Avon is
modifying the PUD to increase the development rights on the site for a duplex residence on the site.
This issue is brought before you because incorrect development information on Lot 12, Block 4,
Wildridge Subdivision was provided to the owner. Staff erroneously informed the owner that the
property had development rights for a duplex residence. The owner apparently relied upon this
information in purchasing the property.
A few weeks ago, the owner was informed that this property was indeed a single family lot and a duplex
was not permitted under the Wildridge PUD.
Based upon discussions with the Town Attorney, the Town has filed an application for a PUD
Amendment to increase the amount of development rights on the property to a duplex. Attached, please
find a memo prepared by Burt Levin, Town Attorney, outlining the legal theory supporting this matter.
The criteria for amending the PUD are set forth below and provide an adequate basis for approving the
PUD amendment for this property.
PUD Review Criteria
1. Conformance with the Town of Avon Comprehensive Plan's Goals and Objectives.
Goal Al: Ensure a balanced system of land uses that maintains and enhances Avon's identity as
a residential community and as a regional commercial, tourism and entertainment
center.
Goal H1: Establish and maintain a high quality visual image of the Town.
This proposal is consistent with the goal and policies of the Town by supporting a range of residential
uses.
2. Conformity and compliance with the overall design theme of the town, the sub-area
design recommendations and design guidelines of the Town.
The project is surrounded by duplex properties. Lot 12, Block 4, is almost an acre in size. The site
abuts Tract J, which is Town owned designated open space and then extends onto Forest Service
property. The project will have to conform to all of the design criteria established by the Town
through the final design review process.
3. Design compatibility with the immediate environment, neighborhood, and adjacent
properties relative to architectural design, scale, bulk, building height, buffer zones,
character, and orientation.
Town of Avon Community Development \\finance\cd-public\p&z\staff reports\2000\081500U12b4pudreport.doc
107m 7da-Ansn Fay 19701949-5749
E
Planned Unit Development Amendment
Lot 11, Block 4, Wildridge Subdivision
August 15, 2000 Planning & Zoning Commission Meeting
Page 2 of 3
The property was granted Final Design review in 1998 for a single family home. Staff erroneously
identified this property as a duplex lot in the Staff Report. All of the design factors suggest that a
duplex design is compatible with the environment, neighborhood and the adjacent properties. Most
of the adjacent lots are duplex or triplex lots. There are only nine (9) single family lots in Wildridge.
Five (5) of the single-family lots are in Block I located on Beaver Creek Point.
4. Identification and mitigation or avoidance of natural and/or geologic hazards that
affect the property upon which the PUD is proposed.
There are no known natural or geologic hazards on this site.
5. A circulation system designed for both vehicles and pedestrians addressing on and
off site traffic circulation that is compatible with the town transportation plan.
One access point from Wildridge Road for this property will accommodate the traffic and circulation
constraints for this site compatible with Town requirements.
6. Functional and aesthetic landscaping and open space in order to optimize and
preserve natural features, recreation, views and function.
A duplex on this property will not have a significant impact on the views from surrounding properties
nor will it effect adjacent Town owned open space (Tract J) and the existing easement for the Town
water storage facilities.
7. Phasing plan or subdivision plan that will maintain a workable, functional, and
efficient relationship throughout the development of the PUD. The phasing plan shall
clearly demonstrate that each phase can be workable, functional and efficient without
relying upon completion of future project phases.
8. Adequacy of public services such as sewer, water, schools, transportation systems,
roads, parks, and police and fire protection.
Public services are adequate to accommodate the addition of one dwelling unit.
9. That the existing streets and roads are suitable and adequate to carry anticipated
traffic within the proposed PUD and in the vicinity of the proposed PUD.
Traffic will not be adversely impacted by the addition of one dwelling unit.
10. Development Standards
Other that the change from a single family to a duplex residence, this amendment will not affect the
Wildridge PUD development standards now in effect for this property.
Recommended Motion
I move to approve the Planning & Zoning Resolution 00-6, recommending approval of the application for
amendment to the Wildridge PUD to establish Lot 12, Block 4 as a duplex lot.
If you have any questions regarding this project or anything in this report, please call me at 748-4009 or
stop by the Community Development Department.
Respectfully submitted,
Ruth O. Borne, Assistan Director
Community Development
Town of Avon Community Development
970) 746-4030 Fax (970) 949-5749
i
Memo 0
To: Planning & Zoning Commission
From: Burt Levin, Town Attorney
Date July 24, 2000
Re: Resolution No. 00,6 PUD Amendment for Lot 12, Block 4,
Wildridge Subdivision (from a single-family lot to a duplex lot)
Summary: The owner of the property known as Lot 12, Block 4,
Wildridge Subdivision, purchased the property in 1999. Prior to her
purchase of the property, staff in the Community Development
Department provided the owner with land use information via fax, which
erroneously indicated the property was zoned duplex. The owner
reasonably relied upon this information in purchasing the property.
Recently, the owner contacted Community Development staff and was
informed that the property is in fact zoned as a single-family lot. The
owner presented to Community Development the fax she had received
from the Town erroneously advising her that her property was zoned as
a duplex lot. The owner now requests that the Wildridge PUD be
amended to show, consistent with the information coming from the Town
which she relied upon, that the property is zoned as a duplex lot.
The property in question is surrounded by duplex lots, abuts Forest
Service property, and is almost an acre in size. The property is
appropriate for a duplex.
The case law in Colorado as it applies to this situation is clear.
The doctrine of equitable estoppel is founded upon principles of
fair dealing and is designed to aid the law in the administration
of justice in cases where without its aid, manifest injustice
would result. City & County of Denver v. Stackhouse, 135 Colo.
289, 310 P.2d 296 (1957). In proper cases, it is applicable to
governmental entities. Colorado Water Quality Control
F:coundVmemos/2000A12b4wr
f ?
Commission v. Town of Frederick, 641 P.2d 958 (Colo. 1982).
In order for the doctrine of equitable estoppel to be invoked, it
must be established that the party to be estopped knew the
relevant facts and that it intended its conduct or representations
to be the basis of action by the party seeking the estoppel, or at
least that he acted in such a way that the party seeking
estoppel had a right to believe it was so intended. In addition,
the party asserting the doctrine must have been ignorant of the
true facts and must have changed its position in reliance on the
conduct or representations, to his injury. Chamberlain v. Poe,
127 Colo. 215, 256 P.2d 229 (1953). An actual intent to
mislead or defraud is not essential to the creation of an
equitable estoppel. Piz v. Housing Authority, 132 Colo. 457,
289 P.2d 905 (1955). The critical element is reliance. See
Cline v. City of Boulder, 168 Colo. 112, 450 P.2d 335 (1969).
CORPORATION OF the PRESIDING BISHOP OF the CHURCH OF
JESUS CHRIST OF LATTER DAY SAINTS v. BOARD OF COUNTY
COMMISSIONERS OF JEFFERSON COUNTY, 689 P.2d 738
(Colorado Court of Appeals, 1984)
In this case, the owner of Lot 12, Block 4, Wildridge, purchased the
property based at least in part upon incorrect information supplied by the
Town that the property allowed a duplex. The owner contends that she
would not have purchased the property had she been informed by the
Town that that the property as currently zoned is limited to a single family
residence.
Under these circumstances the Town could well be estopped from
prohibiting the owner to build a duplex (or sell her lot as a duplex lot). As
such, the Wildridge PUD should be amended.
Recommendation: I recommend that the Planning & Zoning
Commission recommend to the Town Council approval of the PUD
Amendment for Lot 12, Block 4, Wildridge Subdivision.
E
0 Page 2
TOWN OF AVON 0
PLANNING & ZONING COMMISSION
RESOLUTION NO. 00-6
SERIES OF 2000
A RESOLUTION RECOMMENDING TO THE TOWN COUNCIL OF
THE TOWN OF AVON DENIAL OF AN AMENDMENT TO THE
WILDRIDGE PUD FOR LOT 12, BLOCK 4, WILDRIDGE SUBDIVISION,
TOWN OF AVON, EAGLE COUNTY, COLORADO
WHEREAS, the Town has applied for an amendment to the Wildridge PUD to convert the
zoning on Lot 12, Block 4 from a single family lot to a duplex lot.
WHEREAS, after notices required by law, a public hearing on said application was held
by the Planning & Zoning Commission of the Town of Avon.
WHEREAS, the Planning & Zoning Commission hereby finds that such amendment is
not supported by the criteria for approving a PUD amendment.
NOW, THEREFORE, BE IT RESOLVED, that the Planning and Zoning Commission
hereby recommends to the Town Council of the Town of Avon denial of the application for
amendment of the Wildridge PUD to establish Lot 12, Block 4 as a duplex lot.
ADOPTED THIS 15th DAY OFAUGUST 2000 0
Planning & Zoning Commission Resolution 00-06, Series of 2000 August 15, 2000
Page 2 of 2
Signed:
Date: ? 7i000
Chris Evans, Chair
0
11
To: Honorable Mayor and Town Council
Thm: Bill Efting, Town Manager
From: Scott Wright, Finance Directo Qr_.?Date. August 17, 2000
Re: Resolution 00-37, Supplement to Lease Purchase Agreement
Summary:
This resolution adopts a Supplement to the 1999 Master Lease-Purchase Agreement with Norwest
Investment Services, Inc. for financing of 2 pumper trucks for the Fire Department.
Previous Council Action:
Council previously approved through Ordinance the 1999 Master Lease-Purchase Agreement
Discussion:
This supplement is for the purchase of 2 pumper trucks for the Fire Department. One truck was
originally budgeted for purchase in 2000. The 2nd truck is a replacement for the one that was wrecked
in an accident earlier this year. The debt service payments for this lease supplement will be
reimbursed to the Town through an Intergovernmental Agreement (IGA) with the new fire protection
district.
In addition, the Town has received an insurance payment from CIRSA in the amount of $298,299. The
Town will make a contribution to the fire protection district in a corresponding amount.
Financial Implications:
The amount of the supplement is $1121,865.16 to be amortized over a period of 7 years at an interest
rate of 6.15%.
Recommendation:
Staff recommends that Council adopt the resolution discussed above as presented.
Town Manager Comments:
Page 1
Attachments:
A - Resolution 00-37
B -1999 Governmental Lease-Purchase Agreement and Supplement #0900-004
L
0 Page 2
RESOLUTION NO. 00-37
A RESOLUTION AUTHORIZING THE USE OF A PREVIOUSLY
APPROVED GOVERNMENTAL LEASE-PURCHASE MASTER
AGREEMENT DATED MAY 19,1999 AND APPROVING A SUPPLEMENT
THERETO AND RELATED DOCUMENTS AND CERTIFICATES
WHEREAS, the Town of Avon has entered into a governmental lease-purchase master
agreement dated May 19, 1999 for the purchase of certain municipal equipment; and
WHEREAS, the Town, in it's 2000 budget has appropriated funds for the purchase of municipal
equipment; and
WHEREAS, the Town desires to use capital lease financing for the purchase of certain items of
equipment.
NOW, THEREFORE, BE IT RESOLVED BY THE TOWN COUNCIL OF THE TOWN
OF AVON, COLORADO:
Section 1. The Supplement attached to the previously approved Governmental Lease-
Purchase Master Agreement (the "Agreement" or the "Master Lease") with Norwest Investment
Services, Inc. dated May 19, 1999 is hereby approved substantially in the form presented to this
is Council and on file in the office of the Town Clerk.
Section 2. The Finance Director of the Town of Avon is hereby authorized to execute
this Supplement thereto on behalf of the Town, and to execute such other certificates and
documents as may be necessary and appropriate to effectuate the transactions contemplated by
the Agreement and said Supplement. The Agreement, the Supplement and the related documents
may contain such necessary and appropriate variations, omissions and insertions as the Finance
Director shall determine to be necessary, and the execution thereof by the Finance Director shall
be conclusive evidence of such determination and its approval by the Council.
Section 3. Lessee does not reasonably anticipate that it will issue tax-exempt obligations
(not including "private activity bonds" as defined in Section 141 of the Internal Revenue Code of
1986, as amended) in an aggregate amount in excess of $10 million during the calendar year in
which the Lease commences. The Lease is designated as a qualified tax-exempt obligation for
the purposes of Section 265(b)(c) of the Internal Revenue Code of 1986, as amended, relating to
deductibility of interest by financial institutions.
ADOPTED this 22`d day of August, 2000.
TOWN OF AVON, COLORADO
C
Judy Yoder, Mayor
ATTEST:
C]
Kris Nash, Town Clerk
11
E
( I ) the amount of all rent and other amounts payable by Lessee hereunder due but unpaid as of such dare, plus (2) the amount stated in
thlement or an exhibit thereto as the Termination Balance, plus (3) an amount equal to the applicable purchase price set forth in
th lement.
Upon the occurrence of an Event of Default and at any time thereafter, Lessor may exercise any one or more of the remedies listed
below as Lessor in its sole discretion may lawfully elect: provided, however, that upon the occurrence of an Event of Default specified
in Section 20 (d), an amount equal to Lessor's Loss as of the date of such occurrence shall automatically be and become immediatelv
due and payable without notice or demand of any kind.
A. Lessor may. by wTitten notice to Lessee. terminate this Lease and declare an amount equal to Lessor's Loss as of the date of such
notice to be immediately due and payable. and the same shall thereupon be and become immediately due and payable without further
notice or demand. and all rights of Lessee to use the Equipment shall terminate but Lessee shall be and remain liable as provided in
this Section 21. Lessee shall at its expense promptly deliver the Equipment to Lessor at a location or locations within the continental
United States designated by Lessor. Lessor may also enter upon the premises where the Equipment is located and take immediate
possession of and remove the same with or without instituting legal proceedings.
B. Lessor may proceed by appropriate court action to enforce performance by Lessee of the applicable covenants of this Lease or to
recover. for breach of this Lease. Lessor's Loss as of the date Lessor's Loss is declared due and payable hereunder: provided. however.
that upon recovery of Lessor's Loss from Lessee in any such action without having to repossess and dispose of the Equipment. Lessor
shall transfer the Equipment to Lessee at its then location upon payment of any additional amount due under clause (C. D, E) below.
C. In the event Lessor repossesses the Equipment. Lessor shall either retain the Equipment in full satisfaction of Lessee's obligation
hereunder or sell or lease each irem of Equipment in such a manner and upon such terms as Lessor may in its sole discretion determine.
The proceeds of such sale or lease shall be applied to reimburse Lessor for Lessor's Loss and any additional amount due under clause
(D. E) below. Lessee shall be entitled to any surplus and Lessee shall remain liable for any deficiency. For purposes of this
subparagraph. the proceeds of any lease of all or any pan of the Equipment by Lessor shall be the amount reasonably assigned by
Lesssrr as the cost of such Equipment in derermininLy the rent under such Lease.
D. Lessor may recover interest on the unpaid balance of Lessor's Loss from date it becomes payable until fully aid at a rate of 8°' per
P ?P
annum.
E. Lessor may exercise anv other righr or remedy available to it by law or by agreement. and may in anv event recover legal fees and
other expenses incurred by reason of an Event of Default or to the exercise of anv remedv hereunder. including, expenses of
repossession. repair. storage, transportation. and disposition of the Equipment.
No remedv liven in this section is intended to be exclusive, and each shall be cumulative but only to the extent necessary to permit
Lessor to recover amounts for which Lessee is liable hereunder. No express or implied waiver by Lessor of any Event of Default shall
constitute a waiver of anv other Event of Default.
22. NOTICES. Any wTitten notice hereunder to Lessee shall be deemed to have been given when delivered personally or deposited in
the United States mails. postage prepaid, addressed to Lessee at its address set forth above or at such other address as may be last
known to Lessor.
_?. NET LEASE AND UNCONDITIONAL OBLIGATION. This Lease is a completely net lease and Lessee's obligation to pay the
rent --d amounts payable by Lessee under Sections 15 and 21 is unconditional and not subject to any abatement. reduction. setoff or
Defense of any kind except as expressly provided herein.
24. PREPAYMENT. This lease and any related Supplement may be prepaid in whole. but not in pan, and on a regular payment date
,vith Corry-five i45i days wTitten nonce to Lessor. upon payment of the amount set forth as Termination Value on the Exhibit A
rnached to said Supplement.
'.j. NON-CANCELLABLE LEASE. This Lease "annor be canceled or terminated except as expressly provided herein.
'6 WIVAL OF INDEMNITIES. Lessee's obii?zations under Sections 10 and t t shall sun-ive termination of this Lease.
7. MISCELLANEOUS. Any provision of this Lease which is unenforceable in any jurisdiction shall, as to jurisdiction. be ineffective is
the extent of such unenforceabiliry without invalidating the remaining provisions of this lease, and any such unenforceabiliry in any
trisdiction shall not render unenforceable such provision in any other jurisdiction. This Lease shall in all respects be governed by, and
Dnstrued in accordance with, the substantive laws of the state in which the Lessee is located.
)ated: May 13, 1999
.essee: Town of Avon; Avon, Colorado
3v:
ts: Mayor
,fi vices, Inc.
,essor: vorwst Investpaent
3v:
ts: Vj6e President
11
E
Wells Fargo Brokerage Services, LLC
Public Finance Division
1740 Broadway, MAC C7322-026
Denver, CO 80274
is
SUPPLEMENT TO MASTER LEASE
Name and address of Lessee:
Town of Avon
400 Benchmark Road
Avon, Colorado 81620
Supplement # 0900-004
This is a Supplement to the Governmental Lease-Purchase Master Agreement dated May 13, 1999 between Lessor and
Lessee (the "Master Lease") and Supplement dated August 25, 2000. Upon the execution and delivery by Lessor and
Lessee of this Supplement, Lessor hereby agrees to lease to Lessee, and Lessee hereby agrees to lease from Lessor, the
Proverty described below upon the terms and conditions of this Supplement and the Master Lease.
PROPERTY DESCRIPTION
Quantity Serial Number
1 Pierce Quantum Chassis
1 Pierce Quantum Chassis
Location of Property if different from Lessee's address SCHEDU LE OF RENT PAYMENTS
Basic Rental Number Of Advance
Payments Payments Payments
Rent commencement date: August 25, 2000
$121,865.16 7 -0-
Term in months from rent commencement Interest Rate First Payment Final Purchase
Due Option Price
84 months
6.15% Aug. 25, 2001 $1.00
Rental payment period (check one)
? Monthly ® Annually FINANCE AMOUNT: $676,685.70
? Quarterly ? Other - see additional provisions
? Semi-annually OTAL RENT: $853,056.12
Additional Provisions:
LESSOR: Wells Fargo Brokerage Services, LLC
By
Its
Senior Vice President
LESSEE: Town of Avon, Colorado
By
Its
0 Date August 25, 2000 Date August 25, 2000
Two Pierce Quantum Chassis
Town of Avon, Colorado
Exhibit A
Costs Funded Payment Rate
150%
70 6
685
$676 7 Payments
1 per year Level Payment
$121,865.16 Closing Fees
$0.00 Average Life
4.24 years
.
.
, 150% Rate
6 Fctr-.180091 50.84 months
.
Commencement: Au 25, 2000
Closing Date: Au 25, 2000
Pmt Total Payment
Due Interest
Payment Due Principal
Payment Due After Payment
Principal
Balance After Payment
Termination
Value Payment Due
Date
$676,685.70 Aug 25, 2000
1 $121,865.16 $41,616.17 $80,248.99 $596,436.71 $603,986.49 Aug 25, 2001
2 $121,865.16 $36,680.86 $85,184.30 $511,252.41 $516,850.55 Aug 25, 2002
3 $121,865.16 $31,442.02 $90,423.14 $420,829.27 $424,704.29 Aug 25, 2003
4 $121,865.16 $25,881.00 $95,984.16 $324,845.11 $327,259.63 Aug 25, 2004
5 $121,865.16 $19,977.97 $101,887.19 $222,957.92 $224,211.90 Aug 25, 2005
6 $121,865.16 $13,711.91 $108,153.25 $114,804.67 $115,238.92 Aug 25, 2006
7 $121,865.16 $7,060.49 $114,804.67 $0.00 $1.00 A 25, 2007
FINAL PURCHASE OPTION PRICE: $1.00
By:
Its:
Dated as of
E
n
E
[pamelox4l]Lease 08/15/20001:04 PM Wells Fargo Brokerage Services, LLC
T Alk
To: Honorable Mayor and Town Council
Thru: Bill Efting, Town Manager
From: Scott Wright, Finance Director
Date: August 17, 2000
Re: Resolution 00-38, Budget Amendment
Summary:
A budget amendment is proposed for the 2000 budget for the following item:
Fire Operations Fund
• Previously approved expenditures in the amount of $180,000 for salaries for the staffing of
the Wildridge Fire Station.
• Replacement of the wrecked pumper in the amount of $321,686 to be financed through a
supplement to the existing 1999 master lease (see Resolution 00-37).
• Final fund balance amounts from the 1999 audit.
General Fund
• Receipt of CIRSA insurance proceeds from the wrecked pumper truck in the amount of
$298,299 and an offsetting contribution to the fire protection district in a corresponding
amount.
• Final fund balance amounts from the 1999 audit.
Recommendation:
Staff recommends that Council adopt the resolution discussed above as presented.
Tovvn Manager Comments:
Attachmenta.
A - Resolution 00-38
B - Financial Statements of Amended Funds
Page 1
RESOLUTION NO. 00-38
SERIES OF 2000 0
A RESOLUTION TO AMEND THE 2000 TOWN OF AVON BUDGET
A RESOLUTION SUMMARIZING EXPENDITURES AND REVENUES BY
FUND AND AMENDING THE 2000 BUDGET FOR THE TOWN OF AVON,
COLORADO, FOR THE CALENDAR YEAR BEGINNING ON THE FIRST DAY OF
JANUARY, 2000, AND ENDING ON THE LAST DAY OF DECEMBER, 2000.
WHEREAS, the Town Council of the Town of Avon has adopted the 2000
budget; and
WHEREAS, the Town Council reviewed the revised estimated revenues and
expenditures for 2000; and
WHEREAS, the Town Council finds it necessary to amend the 2000 budget to
more accurately reflect the revenues and expenditures for 2000; and
WHEREAS, whatever increases may have been made in the expenditures, like
increases were added to the revenues so that the budget remains in balance as required by
law. 0
NOW, THEREFORE, BE IT RESOLVED BY THE TOWN COUNCIL OF THE
TOWN OF AVON, COLORADO:
Section 1. That estimated revenues and expenditures for the following fund is as
follows for 2000:
Original or Current
Previously Proposed
Amended Amended
2000 2000
Budget Budget
General Fund
Beginning Fund Balance
Revenues and Other Sources
Expenditures and Other Uses
$ 4,431,166
9,976,105
10,250,523
$ 4,849,928
10,274,404
10,548,822
Ending Fund Balance
$ 4,156,748
$ 4,575,510
C
1
•
Original or
Previously
Amended
2000
Budget
Fire Operations Fund
Beginning Fund Balance $ 29,051
Revenues and Other Sources 2,327,354
Expenditures and Other Uses 2,327,354
Ending Fund Balance $ 29,501
Current
Proposed
Amended
2000
Budget
$ 38,772
2,829,040
2,829,040
$ 38,772
Section 2. That the budget, as submitted, amended, and hereinabove summarized
by fund, hereby is approved and adopted as the budget of the Town of Avon for the year
stated above.
Section 3. That the budget hereby approved and adopted shall be signed by the
Town Manager and made part of the public record of the Town.
ADOPTED this 22"d day of August 2000.
TOWN OF AVON, COLORADO
Judy Yoder, Mayor
11
ATTEST:
Kris Nash, Town Clerk
2
General Fund
Amendment #2
Fund Summary
Original or Current
Prev. Amend. Proposed Difference
Actual Actual Budget Amendment Increase
1998 1999 2000 2000 (Decrease)
REVENUES
Taxes $ 5,859,214 $ 6,095,992 $ 6,731,744 $ 6,731,744 $ -
Licenses and Permits 312,278 277,810 294,000 294,000 -
Intergovernmental 599,815 587,886 572,498 572,498 -
Charges for Services 1,283,954 1,381,846 1,406,096 1,406,096 -
Fines and Forfeitures 51,376 55,125 52,125 52,125 -
Investment Earnings 444,423 375,000 375,000 375,000 -
Other Revenue 367,019 513,670 422,105 720,404 298,299
Total Operating Revenues 8,918,079 9,287,329 9,853,568 10,151,867 298,299
Other Sources 464,874 155,000 122,537 122,537 -
TOTAL REVENUES $ 9,382,953 $ 9,442,329 $ 9,976,105 $ 10,274,404 $ 298,299
EXPENDITURES
General Government $ 1,721,277 $ 1,794,543 $ 1,847,204 $ 2,145,503 298,299
Community Development 460,628 624,954 605,648 605,648 -
Public Safety 1,024,811 1,264,317 1,578,926 1,578,926 -
Public Works 2,422,355 2,408,831 2,486,418 2,486,418 -
Recreation and Culture 1,776,425 2,238,203 2,213,333 2,213,333 -
Total Operating Expenditures 7,405,496 8,330,848 8,731,529 9,029,828 298,299
Other Uses
Transfers-Out to Mall Maintenance Fund 31,558 41,628 35,000 35,000 -
Transfers-Out to Fire Operations Fund 303,334 344,216 294,333 294,333 -
Transfers-Out to Employee Housing Fund - 22,156 - - -
Transfers-Out to Debt Service Funds 695,352 1,040,974 723,434 723,434 -
Transfers-Out to Capital Projects Fund 559,507 - - - -
Transfers-Out to Transit Enterprise Fund 519,427 439,287 366,227 366,227 -
Transfers-Out to Equipment Replacement Fund - 200,000 100,000 100,000 -
TOTAL EXPENDITURES 9,514,674 10,419,109 10,250,523 10,548,822 298,299
NET SOURCE (USE) OF FUNDS (131,721) (976,780) (274,418) (274,418) -
FUND BALANCES, Beginning of Year 5,539,667 5,407,946 4,431,166 4,849,928 418,762
FUND BALANCES, End of Year $ 5,407,946 $ 4,431,166 $ 4,156,748 $ 4,575,510 $ 418,762
Page 1
General Fund
Amendment #2
Revenue Detail
Original or Current
Prev. Amend. Proposed Difference
Account Actual Actual Budget Amendment Increase
Number Description 1998 1999 2000 2000 (Decrease)
Taxes:
51101 General Property Tax
51201 Specific Ownership Tax
51301 Sales Tax
51302 Utility Tax
51304 Penalties and Interest
51402 Franchise Fees
51000 Total Taxes
Licenses and Permits:
52101 Liquor Licenses
52102 Business Licenses
52103 Contractor's Licenses
52201 Building Permits
52202 Electrical Permits
52203 Plumbing Permits
52204 Mechanical Permits
52205 Road Cut Permits
52206 Other Licenses and Permits
52000 Total Licenses and Permits
Intergovernmental:
Federal Grants:
53101 Federal Drug Forfeiture Funds
53101 COPS
Subtotal: Federal Grants
$ 1,082,154 $ 1,119,418 $ 1,298,616 $ 1,298,616 $ -
141,948 145,000 150,000 150,000 -
4,373,880 4,592,574 5,018,128 5,018,128 -
63,698 59,000 65,000 65,000 -
10,174 2,500 10,000 10,000 -
187,360 177,500 190,000 190,000 -
5,859,214 6,095,992 6,731,744 6,731,744 -
3,555 2,500 2,500 2,500 -
18,463 17,250 17,500 17,500 -
10,000 8,560 9,000 9,000 -
170,397 180,000 185,000 185,000 -
23,143 17,500 20,000 20,000 -
50,935 25,000 25,000 25,000 -
24,951 15,000 25,000 25,000 -
2,035 2,000 2,500 2,500 -
8,799 10,000 7,500 7,500 -
312,278 277,810 294,000 294,000 -
5,799 - - -
55,117 65,000 - - -
60,916 65,000 -
State Grants:
53299 Other Miscellaneous State Grants
Subtotal: State Grants
State/County Shared Revenue:
53301 Conservation Trust
53302 Motor Vehicle Registration
53303 Highway User's Tax
53304 Cigarette Tax
53305 County Sales Tax
53306 Road & Bridge Fund
Subtotal: Shared Revenue
53000 Total Intergovernmental
24,564 22,500 25,000 25,000 -
20,504 17,500 20,000 20,000 -
130,008 132,886 152,498 152,498 -
53,819 45,000 55,000 55,000 -
214,787 205,000 225,000 225,000 -
95,217 100,000 95,000 95,000
538,899 522,886 572,498 572,498 -
599,815 587,886 572,498 572,498 -
Page 2
General Fund
Amendment #2
Revenue Detail
Original or Current
Prev. Amend. Proposed Difference
Account Actual Actual Budget Amendment Increase
Number Description 1998 1999 2000 2000 (Decrease)
Charges for Services:
General Government:
54101 Sale of Map and Publications 35 1,500 1,500 1,500 -
54102 Photocopying Charges 350 500 500 500 -
54103 License Hearing Fees - 100 100 100 -
54104 Other Fees and Charges 2,512 1,500 1,500 1,500 -
54201 Plan Check Fees 104,035 140,000 140,000 140,000 -
54202 Subdivision Review Fees 5,290 8,000 8,000 8,000 -
54203 Design Review Fees 12,623 11,500 12,500 12,500 -
54204 Animal Control Fees 455 800 1,000 1,000 -
54301 Police Reports 357 250 250 250 -
54302 Police Contract Services 6,226 2,500 2,500 2,500 -
54303 Fingerprinting Fees 1,172 250 1,000 1,000 -
54304 VIN Inspection Fees 10,831 7,000 10,000 10,000 -
Subtotal: General Govern. 143,886 173,900 178,850 178,850
Recreation Facility:
54601 Admission Fees 844,760 880,000 920,000 920,000 -
54602 Program Fees 68,239 40,000 40,000 40,000 -
54603 Rentals 5,665 6,500 6,500 6,500 -
54604 Merchandise Sales 7,082 6,000 6,000 6,000 -
54605 Childcare 11,300 8,500 8,500 8,500 -
54606 Rec Center Services 16,094 18,000 18,000 18,000 -
54607 Fitness Program Revenues - 11,378 11,378 11,378 -
Other Recreation:
54651 Adult Program Revenues 87,229 36,016 36,016 36,016 -
54652 Cabin Equipment Rentals 39,584 41,000 41,000 41,000 -
54653 Athletic Field Rentals 3,953 3,500 3,500 3,500 -
54654 Cabin Concessions 6,497 7,880 7,880 7,880 -
54655 Youth Program Revenues - 86,872 86,872 86,872 -
54676 Sponsorships 29,819 26,700 25,050 25,050 -
54677 Advertisements 2,934 2,600 3,600 3,600 -
54678 Event Fees 16,912 33,000 12,950 12,950 -
Subtotal: Recreation 1,140,068 1,207,946 1,227,246 1,227,246 -
54000 Total Charges for Services 1,283,954 1,381,846 1,406,096 1,406,096 -
Fines and Forfeitures:
55101 Court Fines - Traffic 9,170 12,000 9,000 9,000 -
55102 Court Fines - Criminal 32,050 32,000 32,000 32,000 -
55103 Court Fines - Parking 5,048 5,000 5,000 5,000 -
55104 Court Fines - General 675 500 500 500 -
55105 Court Costs 2,420 3,500 3,500 3,500 -
55106 Jury Fees 340 350 350 350 -
55107 Court Restitution 1,671 1,750 1,750 1,750 -
Page 3
General Fund
Amendment #2
Revenue Detail
Original or Current
Prev. Amend. Proposed Difference
Account Actual Actual Budget Amendment Increase
Number Description 1998 1999 2000 2000 (Decrease)
55108 Food Fines 2 25 25 25
55000 Total Fines and Forfeitures 51,376 55,125 52,125 52,125 -
Investment Earnings:
57101 Interest Earnings 444,423 375,000 375,000 375,000 -
57000 Investment Earnings 444,423 375,000 375,000 375,000 -
Other Revenues:
58101 Recreational Amenity Fees 160,832 165,000 160,000 160,000
58201 Lease of Town-Owned Property 120,697 248,670 162,105 162,105 -
58999 Miscellaneous Nonclassified Revenues 85,490 100,000 100,000 398,299 298,299
58000 Total Other Revenues 367,019 513,670 422,105 720,404 298,299
Other Sources:
59101 Sales of Fixed Assets 36,200 25,000 25,000 25,000 -
59201 Transfer in from AMD Debt Service Fund - 130,000 - -
59303 Capital Lease Proceeds 428,674 - 97,537 97,537 -
59000 Total Other Sources 464,874 155,000 122,537 122,537 -
50000 TOTAL REVENUES $ 9,382,953 $ 9,442,329 $ 9,976,105 $ 10,274,404 $ 298,299
Page 4
Town of Avon
Line Item Detail
r'1
LJ
Function: General Government/Legislative #110
Department: N/A
Program: Public Relations #114
Original or Current
Prev. Amend. Proposed Difference
Account Actual Actual Budget Amendment Increase
Number Account Description 1998 1999 2000 2000 (Decrease)
Commodities:
62802 Food and Beverage $ 889 $ 554 $ - $ - $ -
Total Commodities 889 554 - - -
Purchased and Contracted Services:
63199 Other Professional Services 4,069 - - -
63203 Printing and Reproduction Services 4,853 3,249 6,000 6,000 -
63999 Other Purchased and Contracted Services 1,376 980 - -
63000 Total Purchased and Contracted Services 10,298 4,229 6,000 6,000 -
Other Operating Costs:
64104 Meeting Expenses - 164 - '
64301 Postage - 1,708 5,500 5,500 -
64901 Advertising and Legal Notices 4,606 2,549 - - -
64902 Financial Support, Donations, and Contributions 273,700 287,200 270,000 568,299 298,299
64904 Operating Fees, Assessments, and Charges 29,225 20,297 13,000 13,000
64000 Total Other Operating Costs 307,531 311,918 288,500 586,799 298,299
60000 Total Expenditures $ 318,718 $ 316,701 $ 294,500 $ 592,799 $ 298,299
?J
Page 5
Fire Operations Fund
Amendment #1
Fund Summary
Original or Current
Prev. Amend. Proposed Difference
Actual Actual Budget Amendment Increase
1998 1999 2000 2000 (Decrease)
REVENUES
Intergovernmental $ 1,251,803 $ 1,416,943 $ 1,606,721 $ 1,786,721 $ 180,000
Other Revenue 2,246 25,424 - - -
Total Operating Revenues 1,254,049 1,442,367 1,606,721 1,786,721 180,000
Other Sources
Transfers-In from General Fund
Capital Lease Proceeds
TOTAL REVENUES
EXPENDITURES
Public Safety:
Fire
Total Operating Expenditures
TOTAL EXPENDITURES
NET SOURCE (USE) OF FUNDS
303,334 344,216 294,333 294,333 -
200,698 213,615 426,300 747,986 321,686
1,758,081 2,000,198 2,327,354 2,829,040 501,686
1,729,030 1,990,477 2,327,354 2,829,040 501,686
1,729,030 1,990,477 2,327,354 2,829,040 501,686
1,729,030 1,990,477 2,327,354 2,829,040 501,686
29,051 9,721 - - -
FUND BALANCES, Beginning of Year -
FUND BALANCES, End of Year $ 29,051 $
29,051 29,051 38,772 9,721
38,772 $ 29,051 $ 38,772 $ 9,721
Page 1
Fire Operations Fund
Amendment # 1
Original or Current
Prev. Amend. Proposed Difference
Actual Actual Budget Amendment Increase
Description 1998 1999 2000 2000 (Decrease)
Intergovernmental:
State Grants:
Wildland Study Grant
Local Government/Other Agency
Local Intergovernmental Participation
Fire:
Contracted Fire Operations
Non-District Fire Protection
Other Fire Revenues
Total Intergovernmental
Other Revenue
Lease of Town-owned Property
Miscellaneous Nonclassified Revenue
Total Other Revenue
Other Sources:
Operating Transfers In - General Fund
Capital Lease Proceeds
Total Other Sources
TOTAL REVENUES
$ 4,000 $ - $ - $ - $
1,000 - - - -
1,233,465 1,355,751 1,581,721 1,761,721 180,000
7,766 24,042 20,000 20,000 -
5,572 37,150 5,000 5,000 -
1,251,803 1,416,943 1,606,721 1,786,721 180,000
2,170
76 14,040 - - -
11,384 - -
2,246 25,424 - - -
303,334 344,216 294,333 294,333 -
200,698 213,615 426,300 747,986 321,686
504,032 557,831 720,633 1,042,319 321,686
$ 1,758,081 $ 2,000,198 $ 2,327,354 $ 2,829,040 $ 501,686
e
Page 2
Town of Avon
Line Item Detail
Function: Public Safety #300
Department: Fire #320
Program: Emergency Response #322
Account Actual Actual
Number Account Description 1998 1999
Personnel Services:
61101 Regular Full-time Salaries
61102 Regular Part-time Salaries
61122 PTS Bonuses
61151 Overtime Wages
61301 FT Pension
61302 PTS Pension
61303 Wellness
61304 Employee Assistance Program
61401 FICA/Medicare
61501 Group Health and Life Health Insurance
61505 Long-term Disability Insurance
61507 Dental Insurance
61509 Worker's Compensation
61510 Unemployment Insurance
61000 Total Personnel Services
Commodities:
62141 Firefighting Equipment
62142 Rescue Equipment and Materials
62143 HAZMAT Equipment and Materials
62144 Protective Clothing and Materials
62401 Gasoline
62402 Diesel
62403 Oil and Lubricants
62404 Shop and Mechanical Tools and Supplies
62405 Automotive and Equipment Replacement Parts
62406 Automotive and Equipment Maintenance Supplies
62802 Food and Beverage
62805 Clothing and Uniforms
62806 Safety Materials and Supplies
62807 Consumable Tools/Small Equipment
62811 Communication Supplies
62000 Total Commodities
Original or Current
Prev. Amend. Proposed Difference
Budget Amendment Increase
2000 2000 (Decrease)
$ 368,411 $ 401,049 $ 465,910 $ 645,910 $ 180,000
51,286 54,558 68,000 68,000 -
- 700 - - -
40,859 41,847 54,000 54,000 -
39,095 45,502 51,250 51,250 -
1,598 1,472 938 938 -
1,600 1,950 3,650 3,650 -
334 372 864 864 -
6,500 7,603 8,514 8,514 -
30,823 51,170 71,567 71,567 -
4,766 7,297 6,563 6,563 -
5,429 5,991 8,784 8,784 -
9,029 9,149 9,567 9,567 -
1,928 1,497 1,761 1,761 -
561,658 630,157 751,368 931,368 180,000
15,555 28,100 33,625 33,625 -
5,347 3,908 6,035 6,035 -
5,539 1,807 13,920 13,920 -
17,203 18,149 48,625 48,625 -
414 330 594 594 -
4,515 6,376 4,795 4,795 -
29 86 500 500 -
649 1,947 650 650 -
9,015 15,289 - - -
437 461 1,500 1,500 -
331 902 800 800 -
23,466 17,474 17,200 17,200 -
12,319 7,464 7,500 7,500 -
3,829 3,037 3,000 3,000 -
- - 2,200 2,200 -
98,648 105,330 140,944 140,944 -
Purchased and Contracted Services:
63199 Other Professional Services 197 2,075 2,350 2,350 -
63205 Police Checks 20 - - - _
63501 R&M - Buildings and Facilities 73 - - -
63507 R&M - Machinery & Equipment - - 6,000 6,000 -
63999 Other Contract Services 122,689 129,967 133,800 133,800 -
63000 Total Purchased and Contracted Services 122,979 132,042 142,150 142,150 -
?J
Page 3
Town of Avon
Line Item Detail
Function: Public Safety #300
Department: Fire #320
Program: Emergency Response #322
Account
Number Account Description
Other Operating Costs:
64201 Telephone
64206 Cellular and Paging
64401 Fleet Maintenance Charges
64907 Paid Claims
64000 Total Other Operating Costs
Debt Service:
65201 Capital Lease Payments
65000 Total Debt Service
Capital Outlay:
66402 Computers and Peripheral Equipment
66405 Radios and Communication Equipment
66406 Public Safety Equipment
66501 Automobiles and Light-duty Trucks
66599 Other Transportation Equipment
66000 Total Capital Outlay
60000 Total Expenditures
Original or Current
Prev. Amend. Proposed Difference
Actual Actual Budget Amendment Increase
1998 1999 2000 2000 (Decrease)
- 174 - - -
- 5,408 6,000 6,000 -
13,706 68,918 66,743 66,743 -
5,952 704 - - -
19,658 75,204 72,743 72,743 -
50,195 66,927 87,478 87,478 -
50,195 66,927 87,478 87,478 -
3,211 10,005 - - -
5,175 - 66,000 66,000 -
119,960 48,905 45,300 5,300 (40,000)
37,079 - - - -
73,019 113,516 325,000 686,686 361,686
238,444 172,426 436,300 757,986 321,686
$ 1,091,582 $ 1,182,086 $ 1,630,983 $ 2,132,669 $ 501,686
Page 4
i
MINUTES OF THE REGULAR MEETING OF THE TOWN COUNCIL
HELD AUGUST 8, 2000
A regular meeting of the Town of Avon, Colorado was held in the Municipal Building,
400 Benchmark Road, Avon, Colorado in the Council Chambers.
The meeting was called to order by Mayor Judy Yoder at 5:30 PM. A roll call was taken
with Councilors Jim Benson, Michael Brown, Debbie Buckley, Rick Cuny, Mac
McDevitt and Mayor Protem Buz Reynolds present. Also present were Town Manager
Bill Efting, Town Attorney Burt Levin, Assistant Town Manager Larry Brooks, Town
Clerk Kris Nash, Police Chief Jeff Layman, Fire Chief Charles Moore, Recreation
Director Meryl Jacobs, Town Engineer Norm Wood, Transportation Director Harry
Taylor, Community Development Director Michael Matzko, Special Events Coordinator
Sarah Lai, as well as members of the public.
Citizen Input:
Special Events Coordinator Sarah Lai updated Council on the Bob SummerFest to take
place on Saturday, August 12. The day includes a barbecue, Bob Ball Tournament
(volleyball in lawn chairs), a disc jockey playing beach music, and children's activities.
There will be a concert starting at 4:00 PM to include Night Wolf, New Shoes, and
Firefall. There will also be food and craft vendors, and beer will be sold by the Chamber
of Commerce.
Citizen Input:
Mr. Charles Crist, candidate for District I County Commissioner, approached the
Council. Mr. Crist commented on the Tax Cut Amendment and the Growth Amendment
that may be on the November ballot. He expressed his concerns if these amendments are
passed. Mr. Crist urged the Council to read these amendments very carefully.
Ordinances:
Second Reading of Ordinance No. 00-09, Series of 2000, An, An Ordinance Amending
the Real Property Transfer Tax
Mayor Yoder stated that this is a public hearing.
Town Attorney Levin stated this Ordinance adds the new exception for the 1031 transfers
and transfers made pursuant to business organizations. This Ordinance is amended to
avoid paying a transfer tax twice.
17-?
There being no further comments, Mayor Yoder closed the public hearing.
Councilor Benson motioned approval of Ordinance No. 00-09, Series of 2000 on second
reading. Councilor McDevitt seconded the motion.
Mayor Yoder asked for a roll call.
The motion carried unanimously.
Town Manager Report:
Town Manager Efting stated that Staff will be working on a Resolution regarding the
Grown Initiative.
Mayor Report:
Mayor Yoder stated that petitions are available for Avon citizens to run for Avon Town
Council.
Consent Agenda:
a.) Approval of the July 25, 2000 Council Meeting Minutes
b.) Resolution No. 00-35, Series of 2000, A Resolution Approving and
Adopting an Updated Version of the Town of Avon Employee Drug and
Alcohol Policy
c.) W. Beaver Creek Change Orders
Councilor Cuny motioned approval of the Consent Agenda. Mayor Protem Reynolds
seconded the motion. The motion carried unanimously.
There being no further business to come before the Council, Councilor Benson motioned
to adjourn the meeting. Councilor McDevitt s conded the motion. The motion carried
unanimously and the meeting adjourned at 5:; PM.
PECTFULLY SUBMITTED:
ash, Town Clerk
•
11
T-- of A-. R-4- C-Inril Meetinv
APPROVED:
Jim Benson
Michael Brown
Debbie Buckley
Rick Curly
Mac McDevitt
Buz Reynolds
Judy Yoder
C
L`
Town of Avon Regular Council Meeting
August 8, 2000
0
August 2, 2000
Town of Avon
Kris Nash, Town Clerk
PO Box 975
Avon, CO 81620-0975
Dear Kris:
EAGLE COUNTY COLORADO
D
TO -.,W N OF pVA N
f?l
Enclosed please find the Intergovernmental Agreement for Town of Avon. In accordance with CRS 1-7-
116(2), September 8, 2000, which is sixty days prior to the date of this November's election, is the last day
this agreement can be signed by both parties enabling participation in said election. Authorization for the
Chairman to sign this agreement on behalf of the Eagle County Board of Commissioners will be granted on
August 7, 2000.
All Political Subdivisions are asked to pay special attention to Appendix A. Please do not use tables or
columns when formatting your ballot races, questions or TABOR.
Do not hesitate to contact this office should you have any questions, comments or concerns regarding the
enclosed agreement or the up-and-coming election. Otherwise, I will anticipate receiving this signed
agreement prior to the September 8 deadline.
Sincer y,
Sara J. Fisher
Eagle County Clerk & Recorder
P.S. The enclosed calendar is a basic outline of the requirements and duties as defined in the
Intergovernmental Agreement. Do not rely on this information regarding aspects of the election for
which the political subdivision is specifically responsible.
Coordinated Election
Intergovernmental Agreement
This Agreement is made and entered into this day of
2000, by and between Eagle County and Town of Avon
(hereinafter referred to as "Political Subdivision"), concerning
the administration and the conduct of the November 7, 2000
Coordinated Polling Place Election.
In consideration of the benefits and promises contained
herein, and subject to the terms and conditions as are hereinafter
set forth, the parties agree as follows:
1. Coordinated and Designated Election Officials
Except as otherwise provided in this Section, the County Clerk
shall act as the Coordinated Election Official for the conduct of
the Election for the Political Subdivision for all matters in the
Uniform Election Code which require action by the Coordinated
Election Official. The Political Subdivision shall name a
"Designated Election Official" who shall act as the primary liaison
between the Political Subdivision and the County Clerk and who will
have responsibility for the conduct of the election procedures to
be handled by the Political Subdivision. Nothing herein shall be
deemed or construed to relieve the County Clerk or the Governing
Body of the Political Subdivision from their official
responsibilities for the conduct of the Election.
2. Jurisdictional Limitation
This agreement shall apply only to the portion of the
Political Subdivision within the boundaries of Eagle County.
3. Costs
The County Clerk shall keep a careful and accurate accounting
of all chargeable items to the Political Subdivision and shall
submit to the Political Subdivision, a statement of charges (for
costs incurred by the County and not billed directly to the
Political Subdivision by an outside vendor) within thirty work days
following the date of the Election. Costs shall include but are
not limited to: election judges and other associated personnel,
ballots and related election forms, printing, election supplies,
legal notices paid for by the County, postage, rental charges,
software updates, related computer hardware and technical support.
The County Clerk shall charge each Political Subdivision
taking part in the Coordinated Election on a prorated basis based
primarily on the number of ballot issues and/or items to be
included on the ballot for each Political Subdivision. In the
event that additional costs are incurred, the Political Subdivision
promulgating such costs will be charged accordingly.
The Political Subdivision shall remit all payments due to the
County upon receipt of an itemized statement.
4. Call and Notice
The Political Subdivision shall publish all legal notices
relative to the Political Subdivision's election. The County Clerk
will publish one notice required by 1-5-205 of the Uniform Election
Code in the Eagle Valley Enterprise and the Roaring Fork Sunday.
5. Petitions: Preparation and Verification
The petition process for the Political Subdivision shall be
entirely the responsibility of the Political Subdivision, and shall
be done in compliance with applicable Colorado statutes, ordinances
or charter provisions. This process includes, but is not limited
to, approving the candidate or initiative petitions to be
circulated within the Political Subdivision, receiving the
petitions, and verifying the signatures on the petitions.
6. Ballot Certification
The Political Subdivision is responsible for furnishing the
text of the ballot to the County Clerk at least 55 days before the
Election (September 15, 2000)in final written form and on an IBM
DOS formatted 3 1/2 inch Double Density or High Density floppy
disk. Appendix A further specifies all format requirements. Disks
not meeting these requirements will be subject to additional fees.
7. Preparation of Voter Lists
All lists shall be provided to the Political Subdivision when
specifically requested by the Political Subdivision in writing and
in accordance with 1-5-304 of the Uniform Election Code.
8. Tabor Notice
Each Political Subdivision shall determine the order of the
ballot issues for their Political Subdivision in accordance with
the requirements of Article X, Section 20 of the Colorado
Constitution.
Each Political Subdivision shall provide an opportunity for
all comments concerning ballot issues to be summarized as required
by Article X, Section 20 of the Colorado Constitution. The
Designated Election official shall transmit the summaries and any
other required material to the Coordinated Election Official no
later than 42 days before the Election (October 26, 2000)in final
written form and on an IBM DOS formatted 3 1/2 inch Double Density
or High Density floppy disk. Appendix A further specifies all
format requirements. Disks not meeting these requirements will be
subject to additional fees and may be rejected by the County Clerk
in the event they can not be reformatted.
The County Clerk shall be responsible for mailing the notice
required by Article X, Section 20(3)(b) in the most cost effective
manner feasible to all Eagle County residents. The Political
Subdivision is responsible for supplying mailing labels to the
County Clerk for all eligible electors residing outside of Eagle
County prior to the deadline for mailing said notice.
The County Clerk shall charge each Political Subdivision for
costs relating to the Tabor Notice on a prorated basis based on the
number of ballot issues and/or items to be included in said notice
for each Political Subdivision. In the event that additional costs
are incurred, the Political Subdivision promulgating such costs
will be charged accordingly.
9. Appointment and Training of Election Judges
All Election Judges shall be appointed and trained by the
County Clerk. In the event that additional Judges are needed, the
Political Subdivision will be required to provide one individual to
serve in that capacity.
10. Testing and Tabulation
Processes relating to the tabulation of ballots shall be the
responsibility of the County Clerk. An unofficial abstract of
votes will be provided to the Political Subdivision upon completion
of the counting of all ballots.
11. Canvass of Votes
The Canvass of votes will be conducted by the Board of
Canvassers appointed by the County Clerk. Such canvass will be
completed no later than ten days after the Election and official
results of the canvass will be provided to all Political
Subdivisions participating in the Election. Any additional
Certificates of Election which are required by law to be forwarded
to another division of government shall be the responsibility of
the Political Subdivision.
12. Indemnification
The Political Subdivision agrees to indemnify, defend and hold
harmless the County, its officers and employees, from any and all
losses, costs, demands or actions, arising out of or related to any
actions, errors or omissions of the Political Subdivision in
completing its responsibilities relating to the Election and
related tasks.
13. Cancellation
In the event the Election is canceled by the Political
Subdivision after the signing of this Agreement and on or before
the day of the Election, the Political Subdivision shall be
responsible for all expenses incurred on behalf of the Political
Subdivision to the date that notice was received by the County
Clerk together with all expenses incurred thereafter which could
not be avoided by reasonable effort.
14. Time is of the Essence
The statutory time requirements of the Uniform Election Code
and the time requirements set by the Secretary of State in the
Rules and Regulations Governing Election Procedures shall apply to
the completion of the tasks required by this Agreement.
In witness whereof, the Parties hereto have executed this
Agreement to be effective the day of 2000.
Designated Election Official
for Town of Avon
Tom C. Stone, Chairman Attest - Sara J. Fisher
County Clerk & Recorder
11
Y
Appendix A
Coordinated Election
Intergovernmental Agreement
DISKS Disks must be formatted with IBM DOS 3.0 or
higher. All disks submitted must be 3 1/2
inch Double Density or High Density.
SOFTWARE WordPerfect 4.1, 4.2, 5.x, 6.x
Word 2.0, 3.x, 5.x, 6.x
MS-DOS Text (ASCII file)
FONTS All fonts must be 10 pt. Only the following
fonts will be accepted:
Arial
Centruy Gothic
Universe
Courier
MARGINS Set margins so that text appears in an area
measuring 5" x 811. Sides @ 1.75, top and
bottom @ 1.5). 0
SPACING All text must have single line spacing.
TEXT For TABOR Notice, all ballot issue text must
be in CAPITAL LETTERS. Pro/Con statements
themselves may appear in upper and lower
case.
TABLES/COLUMNS Do not use tables or columns in setting up
files. These are difficult to reformat and
often require type size adjustments. USE
TABS to put information in rows and/or
columns.
PRINT OUT A hard copy must be submitted with the disk
and the file name clearly noted on first
page.
LABELING The disk must be labeled as follows:
(example)
Political Subdivision Name
Contact Name & Phone Number
Word-processing Software and version
File Name(s)
•
ELECTION CALENDAR FOR
NOVEMBER 7, 2000
COORDINATED POLLING PLACE ELECTION
July 31, 2000 Last day to notify County Clerk for
coordinated election -1-7-116(5)
September 8, 2000 Intergovernmental Agreement due in County
Clerk's office - CRS 1-7-116
September 18, 2000 Certify ballot content to County Clerk
CRS 1-5-203(1)
September 26, 2000 Transmittal of Tabor Notice Summary to
County Clerk - CRS 1-7-904
October 6, 2000 Ballots printed and available - CRS 1-5-403
Send absentee ballots within 72 hours
CRS 1-8-111
October 8, 2000 Deadline for mailing Tabor Notice
Article X, Section 20(3)(b)
October 10, 2000 Last day to register to vote for the
General Election - CRS 1-2-201
October 13, 2000 Last day to mail voter information cards
CRS 1-5-206
October 23, 2000 Begin early voting - CRS 1-8-202
October 26, 1998 Notice of Election to be published by
County Clerk - CRS 1-5-205
November 3, 2000 Last day to request an absentee ballot
CRS 1-8-104(3)
Last day for early voting - CRS 1-8-208(3)
November 2, 2000 Deliver election supplies to polling places
CRS 1-5-301 and 1-5-410
November 7, 2000 Election Day - Polling location open
7:00 a.m. - 7:00 p.m.
November 14, 2000
Complete Canvass of Ballots - CRS 1-10-102
11
11
Memo
To: Honorable Mayor and Town Council
Thru: Bill Efting, Town Manager
From: Norman Wood, Town Engineer 0"
Anne Martens, Engineer I
Date: August 9, 2000
Re: Resolution No. 00 - 36, Approving the Final Plat, A Resubdivision of Lot 41, Block 1,
Wildridge, Town of Avon, Eagle County, Colorado (2121 Long Spur)
Summary: David and Michael Dantas, owner's of Lot 41, Block 1, Wildridge, have
submitted a Final Plat to resubdivide Lot 41, Block 1, Wildridge, Town of Avon, Eagle County,
Colorado. This is a Duplex Subdivision of a developed lot, creating Duplex lots
41A and 41B. The Subdivision is in conformance with the Title 16 of the Avon Municipal
Code, Subdivisions.
Recommendations: Staff recommends approval of Resolution No. 00 - 36, Series
of 2000, A Resolution Approving the Final Plat, a Resubdivision of Lot 41, Block 1, Wildridge,
Town of Avon, Eagle County, Colorado, subject to completion of technical corrections to be
approved by staff.
Town Manager Comments:
11
TOWN OF AVON
RESOLUTION NO. 00 - 36
Series of 2000
A RESOLUTION APPROVING THE FINAL PLAT, A RESUBDIVISION OF LOT 41,
BLOCK 1, WILDRIDGE, TOWN OF AVON, EAGLE COUNTY, COLORADO.
WHEREAS, David and Michael Dantas have submitted a Final Plat for a Resubdivision of Lot
41, Block 1, Wildridge, Town of Avon, Eagle County, Colorado; and
WHEREAS, the Final Plat has been reviewed by the Town Staff; and
WHEREAS, the Final Plat was found to be substantially in conformance with Title 16 of the
Avon Municipal Code; and
WHEREAS, the proposed subdivision complies with the requirements for consideration as a
Final Plat.
NOW, THEREFORE BE IT RESOLVED BY THE TOWN COUNCIL OF THE TOWN
OF AVON, that the Final Plat for A Resubdivision of Lot 41, Block 1, Wildridge, Town of
Avon, Eagle County, Colorado, is hereby approved by the Town of Avon subject to:
The completion of technical corrections as identified by Town Staff.
ADOPTED THIS
DAY OF , 2000.
TOWN COUNCIL
TOWN OF AVON, COLORADO
Judy Yoder, Mayor
ATTEST:
Kris Nash
Town Clerk
C
\\PW\SHARED\Engineering\Subdivision\W ildridge\L41 B 1 WRres0036.doc
Memo
To: Honorable Mayor and Town Council
Thru: Bill Efting, Town Manager
From: Norm Wood, Town Engineer
Date: August 17, 2000
Re: West Beaver Creek Boulevard Streetscape Improvements
Change Orders 5 through 9
Summary: Attached Change Orders 5 through 9 for the West Beaver
Creek Boulevard Streetscape Project represent minor changes required to address
clarification of the construction plans and actual conditions encountered in the field.
Change Order Number 5 is for the installation of new guardrail rather than straightening
and relocation of the existing guardrail at the southeasterly corner of the Eagle River
Bridge. Change Order Number 6 is for the installation of a water service tap for a water
fountain at the tennis courts and proposed basketball courts. Change Order Number 7
revises and flattens slopes between sidewalk and site landscaping as requested by Sunridge
H in easement acquisition negotiations. Change Order Number 8 removes and replaces
existing cracked and broken concrete gutter pan and sidewalks and redefines entrance to
the Regional Water Authority water treatment plant. Change Order No. 9 to remove and
replace a tree that was not shown on the plans. The cost of these Change Orders is
summarized as:
Change Order No. 5 Add 1,000.00
Change Order No. 6 Add 1,100.00
Change Order No. 7 Add 7,630.00
Change Order No. 8 Add 9,527.70
Change Order No. 9 Add 550.00
Total All Change Orders Add $ 19,807.70
The net effect of these Change Orders is to increase the Contract Amount from
$ 630,888.00 to $ 650,695.70. These changes are typical for this type of construction and
are provided for by the contingency item in the project budget as shown on attached
Project Cost Schedule.
C
L•\Enginee ing\CMW Bvr CK BIW 4.0 Const Docs\4.5 Change Orde sWemo 5 Thru 9.Doc
Approval of Change Orders 5 through 9 to the Meldor Construction, Inc. contract for
construction of the West Beaver Creek Boulevard Streetscape Improvements is
recommended, increasing the Contract amount $ 19,807.70 from $ 630,888.00 to
$ 650,695.70.
Recom mendations: Approve Change Orders 5 through 9 to the Meldor
Construction, Inc. contract for construction of the West Beaver Creek Boulevard
Streetscape Improvements, increasing the Contract amount $ 19,807.70 from $ 630,888.00
to $ 650,695.70.
Town Manager Comments:
11
1:\Engineering\CIP1W Bvr CK B1v&4.0 Const DocsA.5 Change Orders\Memo 5 Thru 9.Doe 2
West Beaver Creek Boulevard
Project Cost Schedule
Revised August 1 7, 2000
Budget Changes Revised
Construction Contract $ 627,915 $ 627,915
1) CO #1 - 8" PVC with Cleanout $ 815 $ 815
2) CO #2 - 4" PVC Conduit - Add 120' $ 1,560 $ 1,560
3) CO #3 - 6" Bus Shelter Pads $ 450 $ 450
4) CO #4 - Pavement Crack Treatment $ 149 $ 149
5) CO #5 - Replace Guardrail $ 1,000 $ 1,000
6) CO #6 - Water Tap for Basketball Court $ 1,100 $ 1,100
7) CO #7 - Revised Grading - Sunridge II $ 7,630 $ 7,630
8) CO #8 - Replace Entrance & Sidewalk WP $ 9,528 $ 9,528
9) CO #9 - Remove & Replace Additional Tree $ 550 $ 550
Engineering (Design) $ 9,596 $ 9,596
1) Construction Control Staking $ 1,825 $ 1,825
2) Pavement Design $ 2,474 $ 2,474
Easement Documentation $ 23,550 $ 23,550
Sunridge II Appraisal $ 4,700 $ 4,700
Easement Acquisition $ 82,733 $ 82,733
Sunridge II - Over Appraisal $ 7,790 $ 7,790
Contract Administration $ 27,840 $ 27,840
Construction Testing $ 30,000 $ 30,000
Contingencies $ 80,866 $ 39,571 $ 41,295
Total Estimated Cost $ 882,500 $ 882,500
U
Aug-18-00 09:21A Town of Avon 970 748 1958
C:IIANC'E C") 1I)ER
Order No,
Date:
Agreement Date:
A 1 a ? t"? : I'It.(=)J t: l l rest Beaver Creok Bouleva.rd Street: Improvernent_s
-J'cmi of
C O1' `l"h.A("j'0F',.' Moldor Construction Inc.
Tbf,,t t'Jk,,win?j c:hwige.s are hereby invade to the CONTRACT DOCUMENTS: Revise I.Ane It-em.
'14 f 0 1 t p lace Ga aardrail.
3ajatifar.;a.tion Xf').ile the guardrail could be removed, bent, ?re-coated and re-set; it will lc7Qk
oL.vio,usly rep.aired. Contrtctojt is willing tc5 split the oost of the difference between new rail and
ilia t)id a.rnomit fi_1r resetting the old rad. with the Owner_
CC) N'TRACT PRICE: ? _l C)0[)_t)t)
On final ("C)NITRACIT PK[C. ": $_6211 ,9I_4.50
Gurrelm ('(_)N`j"R.A('`I' PR;IC'F, adjusted by previous (1-ANC-111.ORI)h.R. 530,988.00
"I"he t ONTRM"'I' PRIC'E7 duc to this C _IIA:NC r? C)1?1?3 .R. will be increased by
"l'Iw 11CW 0-' TFA.C T I-1R."(':I:j, incAuding this C',H.'?,NGE ORDER will be S _631,888.00
Clumgc= to (.'0 N'rR.A{"T TWE",
Ila _ Ca)N'i'R. ' 1-111 lt?l"I will be (i.nrrea ed)l,tiecre.2sed} by
ocinripletion of all work will be
October 3, 2000
A,c .3?. d 3v .-ttTitt-iitaDI . ?
ii calendar days.
(Date)-
P. 02
0
11
Aug-18-00 09s22A Town o-F Avon 970 748 1958 N.U.3
E
CHANGE ORDER
Order No
Date
6
5-?{?
Aueement Tate _
NA'M OF .1IROJI CTWest Heaver Creek Boulevard Street Improvements
OW'N R Town cif AWOn
CONTRAC.'..TOR Meldor Construction Inc.
The f6 flowing changes are hereby made to the CONTRACT DOCCJ> E *'I'S: Extend a -/4"
copper water stirviacc about 10' beyond the right-of-way, near Sta. 15-1-20 right (after- tap by
Distilct)_ complete in place. (Includes, but is riot limited to,, excavation, Corp :top, service line,
ca-p, bAckfill, curnpaciion and sidewalk. replacement, in accr?rdance with Distr iea_ requirements, )
Justification: TowTi }Mans a water 1bunttrin and a possible small irrigation symern for oom-ts.
Change to CON'f'R.A.C'T .PRICE: $ 1.10
Original CE N'TRACT PRICE.- $ 627,914.50
__ __631,888W
Current CONTRAC'C PRICE adjusted by provious CHANGE ORDER ---.63
The CONTRACT PRICE due to this CHANGE ORDER will be increased by,
1.1 C}t , 00
The uew CO.'N"1`RACT PRICE including this CIIA.NG ORDER will be $__-_.1.632,988,00
[Change to MAN"'1'ItRACT TIME:
C7
The CONTRACT riNm will be (increas€d)(decreased) by
The date for c-ompletion of all work- w=ill be _-October 3, 2000
APPROVALS REQUTIRED:
Approved by.Engineer.
0 ce lendar days.
Accepted by Contractor:
Necep#ed and Al-,)proved by C)wne*:
Aug-18-00 09:22A Town of Avon 970 748 1958 N-U4
E
C11ANCT, ORDER
Order
Date: 8-10 0
Agreement Date:
, AN11 O PR OJECJ: West Beaver Creak Boulevard Street improvements
0"E W Town of Avon
CONTRACTOR-. it9eldor Construction Inc,
Tyne following changes are hereby made to the CONTRACT DOCUMENTS: Add additional fill
at Sta 2+00 left as shown on drawings dated 7-28-00 by Inter-Mocintain Engineering, Includes fill
material to line and grade shown, sprinkler repair, sod, silt fierce relocation, and utilitz
adjustments.
Justification: Drainage improvement.
Change to CONTRACT PRICE. $_.__.._.....7630.00 - -
Oragij,al CONTRACT PRICE: `x_...._.__.._627,914.50
Current CONTRACT PRICE adjusted by previous CHANGE ORDER 1_1_.__632.988.00__ __-
The CONTRACT PRICE due to this CHANGE ORDER will be increased by
The new C}NTRAC.1` :PRICI including this CHANCE ORDER will be _640,61 S.00
Change to COMRACT TIME:
The CONTRACT TIME r will be (increased)(decreased) by 0__ calendar days,
The date for completion of all work will be --__October a, 2000 ----._..----------.__ _ irate).
APPROVALS R,EQUMD:C
_
Approved by Engineer: _ ................ ....
?kcc;ep?.ed by Contractor:
A?xcpted and Approved by Chimer'
Aug- 18-00 09:23A Town of Avon 970 /4t3 19t>k$
d
CIIANGE ORDER.
Order Nca.: 8
Date 8-16-00
Agreement Date: ____
NAME OF PROJECT West Beaver Creek Boulevard Street Improvements..____MWER: Town of Avon
.......-__.-.w._?
CONTRACTOR'. Iv'ieldc?r Construction Inc.
The following changes are hereby made to the CONT.RNCT DOCTJMENTS: Reconstruct the
Eagle River Water & Sanitation District driveway as shown on drawing dated 7-215-00 by Inter-
Mountain Engineering. lnzJudes all work necessary to construct the changes shown on the revised
plans, complete in place,
is JustiticatiOn: Decrease driveway width to 30 feet.
Change to CONTRAC'r PRICE: S?_ 9527.70 ---.__--
Original CONTRACT PRCE: $._._62'7,914.50 -- -.--
Current CONTRACT PRICE adjusted by previous CHANGE ORDER __..._.__(A0,61 &00
The CONTRACT PRICE due to this CHA.N(M ORDER. will be increased by
_-----
The new C:ONTRAC.1' PRICE including this CHANGE ORDER will be $ _ 650145 .70
Change to CON"I'1LkCT TIM :
The CONTRACT TIME will be (increased)(decreased') by calendar days.
The date Im completion of all workwill be ___ October 3, 2000
APPROVALS 'RI QC_nRED:?. .
Approved by I r- ineer:
Accepted by Contractor:
Accepted and Approved by Owner,
----.--,t_1"'N-
I-_v-'>
(Date)
W
CHANGE ORDER
Order No.: 9
Date: 8-16-00
Agreement Date:
NAME OF PROJECT: West Beaver Creek Boulevard Street Improvements
OWNER: Town of Avon
CONTRACTOR: Meldor Construction Inc.
The following changes are hereby made to the CONTRACT DOCUMENTS: Remove and
replace tree left of about Sta. 11+00 as required by property owner, complete in place.
Justification: Tree interferes with sidewalk. Plans did not show existing tree or indicate treatment.
Change to CONTRACT PRICE: $ 550.00
.7
Original CONTRACT PRICE: $ 627,914.50
Current CONTRACT PRICE adjusted by previous CHANGE ORDER 650,145.70
The CONTRACT PRICE due to this CHANGE ORDER will be increased by
$ 550.00
The new CONTRACT PRICE including this CHANGE ORDER will be $_650,695.70
Change to CONTRACT TIME:
The CONTRACT TIME will be (increased)(decreased) by
0_ calendar days.
The date for completion of all work will be -October 3, 2000
APPROVALS
Approved by E
Accepted by Contractor:
(-
(Date).
Accepted and Approved by Owner:
Federal Agency Approval (where applicable):
r
U
CO-1
MEMORANDUM
FROM: Burt Levin
TO: Hon. Mayor and Town Council
CC: Bill Efting, Larry Brooks, Scott Wright
RE: Resolutions Approving Refinancing of Avon Metro District Debt
DATE: August 16, 2000
In February 1998 the Avon Metro District and the Town of Avon entered into an
agreement for the dissolution of the Avon Metro District. The agreement provided that
the District would stay in existence for the sole purpose of paying off its bonded
indebtedness, and that after such indebtedness was retired, the District would dissolve.
Judge Hart passed a Decree dissolving the District, consistent with the agreement, in July
1998.
Pursuant to the agreement and the Decree, the Town Council members serve as ex officio
members of the Avon Metro District. The Decree provides that "The Town Council of
the Town of Avon shall serve as the Board of Directors of the Avon Metropolitan District
for the sole purpose of setting and certifying mill levies to the Eagle County Board of
County Commissioners, as is necessary to raise property tax revenue equal to the sum
necessary to pay the annual debt service payments on the outstanding bonds." (¶9.)
At present, the interest rate on the District's indebtedness is 8.3%; the maturity date is 11-
1-10; and the principal amount remaining due is $3,705,000.
It appears that a significant savings can be realized if the debt is refinanced.
Attached hereto are resolutions of the Town Council and the Avon Metro District
approving an amendment to the Dissolution Agreement so as to permit the District to
refinance its debt at a rate not to exceed 7% (and at a maturity date not later than l 1-0-
10).
A meeting of the Council members, sitting as ex officio members of the Board of the
District, will be called for the purpose of approval of the resolution of the District.
11
RESOLUTION NO. 39
SERIES OF 2000
A RESOLUTION APPROVING AN AMENDMENT TO THE AGREEMENTAND PLAN
FOR DISSOLUTION OF THE AVON METROPOLITAN DISTRICT
WHEREAS on February 20, 2000, the Town of Avon and the Avon Metropolitan District
("District") entered into that certain Agreement and Plan for Dissolution of the District, and
WHEREAS the Town Council wishes to amend the Agreement and Plan for Dissolution so
as to recognize the right of the District to refinance its bonded indebtedness, and
WHEREAS such refinancing, if accomplished, will result in a savings to the taxpayers of the
District, and be in the interest of the health, welfare, and safety of the such taxpayers,
NOW, THEREFORE, BE IT RESOLVED BY THE TOWN COUNCIL OF THE
TOWN OF AVON, COLORADO:
•
Section 1. The Town Council hereby authorizes the Mayor to execute on behalf
of the Town the attached First Amendment to Plan for Dissolution of the District.
ADOPTED this _ day of , 2000.
TOWN OF AVON, COLORADO
Judy Yoder, Mayor
ATTEST:
Kris Nash, Town Clerk
C7
k _
C O-L-O R A D O
FINANCIAL MATTERS
August 22, 2000
1. Detail - Building Activity Report
2. Detail-Real Estate Transfer Taxes-2000
3. Detail-Sales Tax Update
4. Detail-Accomodations Tax Update
Post Office Box 97.5
Benchmark Road
. Colorado 81630
970-1-48-4000
970-949-9139 Fax
970-845-7708 TTY
I
Town of Avon 970-748-4030
P.O.Box 975
Avon, Co. 81620
748-4094 For Inspection Request
Permit Tally
For: July, 2000 Printed:8/2/00
Page1 of 2
Permit Purpose:
Public: Construction Value: $.00
# of Bldgs: # of Units: Permit Charges: $.00
Private: 3 Construction Value: $20,000.00
# of Bldgs: # of Units: Permit Charges: $744.90
Permit Purpose: Commercial
Public: Construction Value: $.00
# of Bldgs: # of Units: Permit Charges: $.00
Private: 2 Construction Value: $1,202,610.80
# of Bldgs: 1 # of Units: Permit Charges: $16,901.01
Permit Purpose: New SF Residence
Public:1 Construction Value: $2,120,804.40
# of Bldgs: 1 # of Units: 1 Permit Charges: $19,717.80
Private: 2 Construction Value: $2,824,917.47
# of Bldgs: 2 # of Units: 2 Permit Charges: $25,825.05
Permit Purpose: New SF Residential
Public: Construction Value: $.00
# of Bldgs: # of Units: Permit Charges: $.00
Private: 1 Construction Value: $433,630.49
# of Bldgs: 1 # of Units: 1 Permit Charges: $5,764.37
Permit Purpose: Repair/Remodel Comm/Indust
Public: Bldg. Construction Value: $.00
# of Bldgs: # of Units: Permit Charges: $.00
Private: 1 Construction Value: $3,227.00
# of Bldgs: # of Units: Permit Charges: $166.18
Permit Purpose: Tenant finish
I
Permit Tally Printed:8/2/00
For: July, 2000 Page2 of 2
Permit Purpose: Tenant finish
Public: Construction Value: $.00
# of Bldgs: # of Units: Permit Charges: $.00
Private: 1 Construction Value: $84,768.75
# of Bldgs: # of Units: Permit Charges: $2,241.78
Totals:
Public: 1 Construction Value: $2,120,804.40
# of Bldgs:1 # of Units:1 Permit Charges: $19,717.80
Private: 10 Construction Value: $4,569,154.51
# of Bldgs:4 # of Units: 3 Permit Charges: $51,643.29
n
U
Town of Avon
Real Estate Transfer Tax Transactions
Calendar Year 2000
Purchaser Amount of RETT
Name Property Received
$946,798.08
Dry Tortugas Development LLC Brookside #303 9,770.00
Watts Lot 51 Blk 3 WR $2,700.00
Soroka Lot 48 Blk 2 WR $6,800.00
Lot 81 Mountian Star LLC Lot 81 Mountain Star 22,000.00
Marks Lot 28B WR 9,200.00
P.O.C. Realty Inc Lakeside Terrace Timeshare 689.90
Land Title Guarantee Co Falcon Pointe Timeshares 1,639.90
Kuwahara Family Trust The Seasons #312 500.00
Vistana Disbursements Christie Lodge Timeshares 1,806.90
P.O.C. Realty Inc Christie Lodge Timeshares 1,109.50
P.O.C. Realty Inc Christie Lodge Timeshares 1,711.20
Holiday Reslaes Christie Lodge Timeshares 478.00
P.O.C. Realty Inc Lakeside Terrace Timeshares 939.70
Harmon/Morrison Lot 51 Blk 1 WR 3,400.00
Mcconathy Lot 25 Mountain Star 23,500.00
Holguin Benchmark #621 1,240.00
Petrash Lot 42 Blk 2 WR 4,450.00
Weber Benchmark #A2 900.00
Powell Ridgeline Condominiums #B4 1,000.00
Mcconnaughey Greenbrier #C24 2,100.00
P.O.C. Realty Inc Lakeside Terrace Timeshares 450.00
1
Town of Avon
Real Estate Transfer Tax Transactions
Calendar Year 2000
U
E
Purchaser
Name Property
Gregg III Brookside #304
Total through July
Amount of RETT
Received
10,880.00
$1,054,063.18
TOWN OF AVON
SALES TAX BY MONTH
1996 95-96'% 1997 96'-97'% 1998 97'-98'% 1999 98'-99'% 2000 991-001% Total 5-Y
Change Change Change Change Change % Increase
January 332,198.39 6.07% 377,597.32 13.67% 379,424.41 0.48% 384,939.69 1.45% 359,721.88 -6.55% 8.29%
February 327,012.10 10.25% 362,516.58 10.86% 378,112.00 4.30% 397,323.16 5.08% 397,291.59 -0.01% 21.49%
March 407,980.62 9.10% 468,675.51 14.88% 460,191.56 -1.81% 474,933.06 3.20% 457,053.94 -3.76% 12.03%
April 252,927.51 11.46% 265,356.48 4.91% 310,197.72 16.90% 302,864.19 -2.36% 337,087.43 1130% 33.27%
May 222,069.74 10.58% 241,012.56 8.53% 249,079.90 3.35% 265,405.35 6.55% 286,191.36 7.83% 28.87%
June 298,113.41 11.31% 313,11639 5.03% 337,562.03 7.81% 395,755.68 17.24% 398,869.89 0.79% 33.80%
July 335,119.67 17.15% 353,101.99 5.37% 370,086.73 4.81% 395,954.38 6.99% - -100.00% -100.00%
August 324,451.49 13.80% 338,134.48 4.22% 363,110.96 7.39% 366,648.94 0.97% -100.00% -100.00%
September 302,523.86 12.68% 319,410.91 5.58% 333,508.38 4.41% 364,432.54 9.27% -100.00% -100.00%
October 266,05037 19.56% 263,685.99 -0.89% 305,035.11 15.68% 295,541.62 -3.11% -100.00% -100.00%
November 285,17812 9.28% 339,200.41 18.94% 335,073.59 -1.22% 320,335.28 -4.40% -100.00% -100.00%
December 509,177.82 14.39% 533,904.08 4.86% 550,077.22 3.03% 564,813.35 2.68% -100.00% -100.00%
YTD Total 3,862,80150 12.04% 4,175,713.10 8.10% 4,371,459.61 4.69% 4,528,947.24 3.60% 2,236,216.09 0.68% 21.51%
YTD Through June Collections 1996-2000
2,500,000.00 - .? .
-- - - -.2,000,000.00 '
1,500,000.00
1,000,000.00
500,000.00
1996 1997 1998 1999 2000
Year
400,000.00 T
350,000.00 -1
300,000.00
250,000.00
i
200,000.00 }
150,000.00
100,000.00
50,000.00
1996 1997 1998 1999 2000
k
TOWN OF AVON
ACCOMODATIONS TAX BY MONTH
H
1996 95'-96'% 1997 96'-97% 1998 97'-98% 1999 981-99% 2000
Change Change Change Change
January 37,787.01 -6.65% 39,958.27 5.75% 39,357.21 -1.50% 41,102.99 4.44% 24,753.92
February 42,386.61 10.86% 45,305.47 6.89% 42,769.24 -5.60% 36,985.03 -13.52% 32,158.10
March 55,882.23 5.26% 63,054.38 12.83% 51,035.34 -19.06% 42,018.24 -17.67% 42,385.82
April 11,890.97 8.18% 11,850.40 -0.34% 13,556.94 14.40% 11,609.15 -1437% 10,166.11
May 6,703.77 23.14% 8,759.53 30.67% 5,762.93 -34.21% 6,117.50 6.15% 5,712.27
June 12,633.34 -1.61% 13,982.39 10.68% 12,609.03 -9.82% 14,958.28 18.63% 15,610.67
July 19,949.49 18.21% 21,298.64 6.76% 20,845.64 -2.13% 21,120.57 1.32% -
August 20,391.40 32.67% 22,365.12 9.68% 22,875.39 2.28% 16,452.89 -28.08%
September 13,09339 -2.35% 11,17141 -14.66% 11,262.18 0.79% 10,300.61 -8.54%
October 10,832.98 13.95% 8,819.05 -18.59% 8,315.76 -5.71% 7,258.18 -12.72%
November 12,824.84 -12.55% 12,112.05 -5.56% 10,81312 -10.72% 7,889.97 -27.03%
December 33,623.20 6.25% 40,000.05 18.97% 32,602.89 -18.49% 25,606.29 -21.46%
YTD Total 277,999.23 5.88% 298,678.76 7.44% 271,805.77 -9.00% 241,419.70 -11.18% 130,786.89
991-00% Total5-Yr
Change % Increase
39.78% 1.54%
-13.05% -3.27%
0.87% -20.86%
-12.43% 5.61%
-6.62% 12.37%
4.36% 16.50%
-100.00% 25.14%
-100.00% 7.05%
-100.00% -23.18%
-100.00% -23.65%
-100.00% -46.20%
-100.00% -19.09%
-14.40% -8.05%
YTD Through June Collections 1996-2000
200,000.00 -
180,000.00 -
160,000.00 -
140,000.00 -
120,000.00 -
100,000.00 -
80,000.00
60,000.00 -
40,000.00 -
20,000.00
Monthly Collections for June 1996-2000
16,000.00
14,000.00
12,000.00 -?
10,000.00
7
8,000.00
6,000.00 '
4,000.00 -
2,000.00 {
1996 1997 1998 1999 2000
Year
1996 1997 1998 1999 2000
?08/25/00 TOWN OF AVON
ACCOUNTING PERIOD: 8/00 CHECK REGISTER - DISBURSEMENT FUND
?TION CRITERIA: tran sact.check_no between 1 69904' and 170053'
FUND - 99 - DISBURSEMENT FUND
CASH ACCT CHECK NUMBER DATE ISSUED --------------VENDOR-------------- PROGRAM ---- - -DESCRIPTION-------
11101 69904 08/25/00 4QUEENSM 4-QUEENS MOTEL 312 LODGING/ARNOLD
11101 69905 08/25/00 4IMPRINT 4IMPRINT 314 SPORTS BOTTLES
11101 69906 08/25/00 A-lAUTOE A-1 AUTO ELECTRIC COMPANY 434 MISC PARTS
11101 69906 08/25/00 A-lAUTOE A-1 AUTO ELECTRIC COMPANY 61 REGULATOR
TOTAL CHECK
11101 69907 08/25/00 ARBUILDE A.R. BUILDERS CONSTRUCTIO 321 FIRE STATION REMODEL
11101 69908 08/25/00 ALPINECO ALPINE COFFEE SERVICE, IN 149 COFFEE SUPPLIES
11101 .69908 08/25/00 ALPINECO ALPINE COFFEE SERVICE, IN 432 COFFEE SUPPLIES
11101 69908 08/25/00 ALPINECO ALPINE COFFEE SERVICE, IN 149 COFFEE SUPPLIES
11101 69908 08/25/00 ALPINECO ALPINE COFFEE SERVICE, IN 149 SUGAR
11101 69908 08/25/00 ALPINECO ALPINE COFFEE SERVICE, IN 311 COFFEE SUPPLIES
11101 69908 08/25/00 ALPINECO ALPINE COFFEE SERVICE, IN 432 CREAMER
11101 69908 08/25/00 ALPINECO ALPINE COFFEE SERVICE, IN 432 COFFEE SUPPLIES
11101 69908 08/25/00 ALPINECO ALPINE COFFEE SERVICE, IN 211 COFFEE & SUPPLIES
TOTAL CHECK
11101 69909 08/25/00 ALPINELS ALPINE LOCK AND SAFE 321 INSTALL NEW COMBO LOCK
01 69910 08/25/00 ALPINEPA ALPINE PAINTING & CUSTOM 413 REPAINT BUS STOP/AVON CTR
11101 69911 08/25/00 AMICH&JE AMICH & JENKS, INC 311 POLYGRAPH/MCGONIGAL
11101 69912 08/25/00 ASSOCCOM ASSOCIATED EQUIPMENT SPEC 311 HP DESKJET PRINTER
11101 69913 08/25/00 AT&TWIRE AT&T WIRELESS SERVICES 321 CELL SVC 7/7-8/6/00
11101 69913 08/25/00 AT&TWIRE AT&T WIRELESS SERVICES 322 CELL SVC 7/7-8/6/00
11101 69913 08/25/00 AT&TWIRE AT&T WIRELESS SERVICES 323 CELL SVC 7/7-8/6/00
TOTAL CHECK
11101 69914 08/25/00 B&BEXCAV B&B EXCAVATING 415 ST & BIKE PATH IMPROVMNTS
11101 69914 08/25/00 B&BEXCAV B&B EXCAVATING 415 SAND FOR FIREWORKS
11101 69914 08/25/00 B&BEXCAV B&B EXCAVATING 415 SAND FOR FIREWORKS
TOTAL CHECK
11101 69915 08/25/00 T0000565 BERNARD MCGOVERN 312 REIMB FOR TRAINING EXP
11101 69916 08/25/00 T0000520 BMHS ATHLETIC BOOSTER CLU 433 1/4 PAGE AD
11101 69917 08/25/00 BRANDENB BOB BRANDEN 516 REIMB FOR TRAVEL EXP
11101 69918 08/25/00 BOUNDTRE BOUND TREE 322 MISC SUPPLIES
11101 69919 08/25/00 T0000718 BRIDGEWATER TERRACE CONDO 800 EASEMENT
11101 69920 08/25/00 BROWNING BROWNING FERRIS INDUSTRIE 434 TRASH REMOVAL/JULY
101 69920
TOTAL CHECK 08/25/00 BROWNING BROWNING FERRIS INDUSTRIE 414 TRASH REMOVAL/AUG
PAGE 1
AMOUNT
119.85
483.71
187.88
245.75
433.63
2,180.00
25.71
82.42
27.48
1.97
21.45
5.93
77.14
67.90
310.00
498.80
5,745.00
90.00
377.00
22.80
41.34
20.56
84.70
4,332.00
278.10
278.55
4,888.65
20.00
200.00
274.87
204.50
8,972.00
70.07
70.07
140.14
RUN DATE 08/25/00 TIME 08:37:40 PENTAMATION - FUND ACCOUNTING MANAGER
08/25/00 TOWN OF AVON PAGE 2
• ACCOUNTING PERIOD: 8/00 CHECK REGISTER - DISBURSEMENT FUND
TION CRITERIA: transact.check_no between 169904' and 170053'
FUND - 99 - DISBURSEMENT FUND
CASH ACCT CHECK NUMBER DATE ISSUED --------------VENDOR-------------- PROGRAM -------DESCRIPTION------- AMOUNT
11101 69921 08/25/00 GILLMULS CAROL GILL-MULSON 323 REIMB FOR TRAVEL 70.00
11101 69922 08/25/00 CENTRALT CENTRAL TELECOM, INC. 311 COMPUTER SVC 105.30
11101 69923 08/25/00 CITYMARK CITY MARKET 513 BAND FOOD/BOBFEST 93.44
11101 69923 08/25/00 CITYMARK CITY MARKET 513 BEVERAGES FOR STAFF/BOBFS 43.12
TOTAL CHECK 136.56
11101 69924 08/25/00 COSAFETY CO SAFETY ASSOCIATION 432 DEFENSIVE DRIVING/WETZEL 450.00
11101 69925 08/25/00 COLLETTE COLLETT ENTERPRISES, INC. 61 UNLEADED FUEL 5,447.37
11101 69925 08/25/00 COLLETTE COLLETT ENTERPRISES, INC. 434 WASHER FLUID 86.65
11101 69925 08/25/00 COLLETTE COLLETT ENTERPRISES, INC. 61 MOTOR OIL 465.85
11101 69925 08/25/00 COLLETTE COLLETT ENTERPRISES, INC. 61 DIESEL FUEL 7,451.76
TOTAL CHECK 13,451.63
11101 69926 08/25/00 COLLINSA COLLINS COCKREL & COLE 321 ATTORNEY FEES 1,864.50
11101 69927 08/25/00 CODEPTPU COLORADO DEPT. OF PUBLIC 324 HAZMAT CERTIFICATION 10.00
11101 69927 08/25/00 CODEPTPU COLORADO DEPT. OF PUBLIC 324 FIREFIGHTER CERTIFICATION 100.00
1 69927 08/25/00 CODEPTPU COLORADO DEPT. OF PUBLIC 132 BACKGROUND CHECKS 115.50
40 TOTAL CHECK 225.50
11101 69928 08/25/00 CMC COLORADO MOUNTAIN COLLEGE 324 TUITION/KUHN 200.00
11101 69929 08/25/00 COSTATFO COLORADO STATE FOREST SER 322 NOZZLES,HOSES,BALL VALVE 1,623.40
11101 69929 08/25/00 COSTATFO COLORADO STATE FOREST SER 322 UNIFORM PANTS 1,626.75
TOTAL CHECK 3,250.15
11101 69930 08/25/00 COWESTME COLORADO WEST MENTAL HEAL 10 EMPLOYEE CONFLICT RESOLUT 130.00
11101 69930 08/25/00 COWESTME COLORADO WEST MENTAL HEAL 10 EMPLOYEE ASSIST/JULY 260.00
TOTAL CHECK 390.00
11101 69931 08/25/00 COMPLEAR COMPUTER LEARNING CENTER, 433 ADOBE PHOTOSHOP/BURDEN 149.00
11101 69932 08/25/00 CONSOLIE CONSOLIDATED ELECTRICAL D 414 ELECTRICAL INVENTORY 96.00
11101 69932 08/25/00 CONSOLIE CONSOLIDATED ELECTRICAL D 414 ELECTRICAL INVENTORY 235.56
11101 69932 08/25/00 CONSOLIE CONSOLIDATED ELECTRICAL D 414 BALLAST KIT 65.70
11101 69932 08/25/00 CONSOLIE CONSOLIDATED ELECTRICAL D 414 ELECTRICAL INVENTORY 131.40
TOTAL CHECK 528.66
11101 69933 08/25/00 CONSOLID CONSOLIDATED PLASTICS COM 520 PLUMBING PARTS 520.85
11101 69933 08/25/00 CONSOLID CONSOLIDATED PLASTICS COM 520 12 SPRAY BOTTLES 40.26
TOTAL CHECK 561.11
11101 69934 08/25/00 COPYCOPY COPY COPY 800 COPIES, PAPER 30.50
11101 69934 08/25/00 COPYCOPY COPY COPY 411 COPIES 6.75
11101 69934 08/25/00 COPYCOPY COPY COPY 521 COPIES 86.77
TOTAL CHECK 124.02
RUN DATE 08/25/00 TIME 08:37:42 PENTAMATION - FUND ACCOUNTING MANAGER
.08/25/00 TOWN OF AVON PAGE 3
ACCOUNTING PERIOD: 8/00 CHECK REGISTER - DISBURSEMENT FUND
or ION C RITERIA: tran sact.check_no between 1 69904' and 170053'
FUND - 99 - DISBURSE MENT FUND
CASH ACCT CHECK NUMBER DATE ISSUED --------------VENDOR-------------- PROGRAM -------DESCRIPTION------- AMOUNT
11101 69935 08/25/00 CORPORAT CORPORATE EXPRESS 115 MISC OFFICE SUPPLIES 26.22
11101 69935 08/25/00 CORPORAT CORPORATE EXPRESS 149 COPY PAPER 103.60
11101 69935 08/25/00 CORPORAT CORPORATE EXPRESS 141 ELECTRIC STAPLER 130.40
11101 69935 08/25/00 CORPORAT CORPORATE EXPRESS 149 LASER LABELS 47.93
11101 69935 08/25/00 CORPORAT CORPORATE EXPRESS 149 MISC OFFICE SUPPLIES 67.26
11101 69935 08/25/00 CORPORAT CORPORATE EXPRESS 149 COPY PAPER 103.60
TOTAL CHECK 479.01
11101 69936 08/25/00 COTTRELL COTTRELL PRINTING & COPY 149 ENVELOPES 90.00
11101 69937 08/25/00 CPACONFE CPA CONFERENCE 312 REGIST FOR CITIZ POL ACAD 75.00
11101 69938 08/25/00 CROWNTRO CROWN TROPHY 516 MISC SUPPLIES 129.80
11101 69936 08/25/00 CROWNTRO CROWN TROPHY 521 MISC TROPHIES 232.05
11101 69938 08/25/00 CROWNTRO CROWN TROPHY 515 TROPHY 22.95
TOTAL CHECK 384.80
11101 69939 08/25/00 CUMMINSR CUMMINS ROCKY MOUNTAIN, I 434 CREDIT FOR RETURNS -378.75
11101 69939 08/25/00 CUMMINSR CUMMINS ROCKY MOUNTAIN, I 61 0 RING SEAL 14.64
11101 69939 08/25/00 CUMMINSR CUMMINS ROCKY MOUNTAIN, I 434 INJECTOR & CORE 666.35
TOTAL CHECK 302.24
69940 08/25/00 CONVERGE CONVERGENT COMMUNICATIONS 113 LONG DIST/JULY 12.57
10, 69940 08/25/00 CONVERGE CONVERGENT COMMUNICATIONS 131 LONG DIST/JULY 36.27
11101 69940 08/25/00 CONVERGE CONVERGENT COMMUNICATIONS 141 LONG DIST/JULY 27.14
11101 69940 08/25/00 CONVERGE CONVERGENT COMMUNICATIONS 143 LONG DIST/JULY 5.12
11101 69940 08/25/00 CONVERGE CONVERGENT COMMUNICATIONS 211 LONG DIST/JULY 60.40
11101 69940 08/25/00 CONVERGE CONVERGENT COMMUNICATIONS 115 LONG DIST/JULY 8.38
11101 69940 08/25/00 CONVERGE CONVERGENT COMMUNICATIONS 311 LONG DIST/JULY 50.97
11101 69940 08/25/00 CONVERGE CONVERGENT COMMUNICATIONS 132 LONG DIST/JULY 1.24
11101 69940 08/25/00 CONVERGE CONVERGENT COMMUNICATIONS 321 LONG DIST/JULY 46.04
11101 69940 08/25/00 CONVERGE CONVERGENT COMMUNICATIONS 514 LONG DIST/JULY 119.06
11101 69940 08/25/00 CONVERGE CONVERGENT COMMUNICATIONS 411 LONG DIST/JULY 49.56
11101 69940 08/25/00 CONVERGE CONVERGENT COMMUNICATIONS 431 LONG DIST/JULY 73.96
11101 69940 08/25/00 CONVERGE CONVERGENT COMMUNICATIONS 149 LONG DIST/JULY 209.50
TOTAL CHECK 700.21
11101 69941 08/25/00 DAYTIMER DAY-TIMERS, INC. 415 DAYTIMER REFILLS/JANUSZ 41.48
11101 69942 08/25/00 DWPROMOT DW PROMOTIONS, LLC 513 DISTRIBUTION OF RACE BROC 150.00
11101 69943 08/25/00 EACOCLER EAGLE COUNTY CLERK 141 JULY SALES BOOK 7.50
11101 69944 08/25/00 EAGLEBEN EAGLEBEND AFFORDABLE HOUS 436 EMPLOYEE HOUSING/SEPT 5,440.00
11101 69945 08/25/00 EATONSAL EATON SALES & SERVICE 434 FUEL CARDS 11.25
11101 69946 08/25/00 ELECTRON ELECTRONIC DEVICES, INC. 149 CASSETTE TAPES 116.10
11101 69947 08/25/00 FATSFUND F.A.T.S. FUND 312 TRAINING MAINT FUND 210.00
0
RUN DATE 08/25/00 TIME 06:37:44 PENTAMATION - FUND ACCOUNTING MANAGER
08/25/00
y TOWN OF AVON PAGE 4
ACCOUNTING PERIOD: 8/00 CHECK REGISTER - DISBURSEMENT FUND
?TION CRITERIA: tran sact.check_no between 169904' and '70053'
FUND - 99 - DISBURSEMENT FUND
CASH ACCT CHECK NUMBER DATE ISSUED --------------VENDOR-------------- PROGRAM -------DESCRIPTION------- AMOUNT
11101 69948 08/25/00 FAIRPLAY FAIRPLAY POLICE DEPARTMEN 312 GROUND FIGHTING/MCKOWN 85.00
11101 69949 08/25/00 FOTOFINI FOTO FINISH 412 PHOTOS 35.46
11101 69949 08/25/00 FOTOFINI FOTO FINISH 313 FILM 47.03
TOTAL CHECK 82.49
11101 69950 08/25/00 FRONTRAN FRONT RANGE FIRE APPARATU 434 REAR SPRING HANGAR 185.57
11101 69951 08/25/00 G&KSERVI G&K SERVICES 434 UNIFORM CLEANING 111.17
11101 69951 08/25/00 G&KSERVI G&K SERVICES 434 UNIFORM CLEANING 149.88
TOTAL CHECK 261.05
11101 69952 08/25/00 GALLSINC GALL'S INC. 322 SIREN, SIREN SPEAKER 369.97
11101 69953 08/25/00 GAYJOHNS GAY JOHNSON'S, INC 434 REV LUG SIPES 220.00
11101 69953 08/25/00 GAYJOHNS GAY JOHNSON'S, INC 434 TIRES 560.00
11101 69953 08/25/00 GAYJOHNS GAY JOHNSON'S, INC 434 TIRES 3,652.60
11101 69953 08/25/00 GAYJOHNS GAY JOHNSON'S, INC 434 TIRES 1,236.52
TOTAL CHECK 5,669.12
11101 69954 08/25/00 GEMINIGA GEMINI GARDENS 520 JULY PLANT MAINT 110.00
69955 08/25/00 GILLIGCO GILLIG CORPORATION 434 CHARGE AIR COOLER 894.88
1 69955 08/25/00 GILLIGCO GILLIG CORPORATION 61 CREDIT FOR RETURN -34.97
11101 69955 08/25/00 GILLIGCO GILLIG CORPORATION 61 ACCESS DOOR HINGE 15.74
11101 69955 08/25/00 GILLIGCO GILLIG CORPORATION 61 MIRROR HEAD, JOY STICK 90.22
11101 69955 08/25/00 GILLIGCO GILLIG CORPORATION 61 MIRROR HEAD 139.88
11101 69955 08/25/00 GILLIGCO GILLIG CORPORATION 61 HI FLOW NYLON FAN 76.67
TOTAL CHECK 1,182.42
11101 69956 08/25/00 GLENFORD GLENWOOD SPRINGS FORD 434 GEAR ASSY 357.35
11101 69956 08/25/00 GLENFORD GLENWOOD SPRINGS FORD 434 PIGTAIL 13.30
TOTAL CHECK 370.65
11101 69957 08/25/00 GOLDMEDA GOLD MEDAL-CHICAGO, INC 812 POPCORN POPPER 722.30
11101 69958 08/25/00 GOLFENVI GOLF ENVIRO SYSTEMS, INC. 415 FERTILIZER 921.00
11101 69959 08/25/00 GRAINGER GRAINGER PARTS 413 CONVEX MIRROR 26" 163.86
11101 69959 08/25/00 GRAINGER GRAINGER PARTS 520 AMP RELAY 25.67
11101 69959 08/25/00 GRAINGER GRAINGER PARTS 520 SPANNER WRENCH 11.80
11101 69959 08/25/00 GRAINGER GRAINGER PARTS 520 COMMERCIAL SHELF 100.74
TOTAL CHECK 302.07
11101 69960 08/25/00 GRANDJUN GRAND JUNCTION PIPE & SUP 417 IRRIGATION PARTS 33.00
11101 69960 08/25/00 GRANDJUN GRAND JUNCTION PIPE & SUP 417 IRRIGATION PARTS 358.30
11101 69960 08/25/00 GRANDJUN GRAND JUNCTION PIPE & SUP 415 IRRIGATION PARTS/HURD LN 2,140.44
11101 69960 08/25/00 GRANDJUN GRAND JUNCTION PIPE & SUP 415 HUNTER ROTOR 269.46
11101 69960 08/25/00 GRANDJUN GRAND JUNCTION PIPE & SUP 415 CREDIT FOR RETURN -410.40
TOTAL CHECK 2,390.80
0 RUN DATE 08/25/00 TIME 08:37:47 PENTAMATION - FUND ACCOUNTING MANAGER
08/25/00 TOWN OF AVON PAGE 5
ACCOUNTING PERIOD: 8/00 CHECK REGISTER - DISBURSEMENT FUND
?TION CRITERIA: tran sact.check_no between 169904' and 170053'
FUND - 99 - DISBURSEMENT FUND
CASH ACCT CHECK NUMBER DATE ISSUED --------------VENDOR-------------- PROGRAM -------DESCRIPTION------- AMOUNT
11101 69961 08/25/00 GREENSMA GREEN'S MACHINES, INC. 520 TOWEL LAUNDRY/JULY 462.66
11101 69961 08/25/00 GREENSMA GREEN'S MACHINES, INC. 520 TOWEL LAUNDRY/JUNE 369.60
TOTAL CHECK 832.26
11101 69962 08/25/00 HARTINFO HART INFORMATION SERVICES 115 LIQUOR LICENSES 213.71
11101 69963 08/25/00 MILLERHA HAZEL MILLER 513 FINAL PMT/9/10 CONCERT 1,500.00
11101 69964 08/25/00 HEARTSMA HEARTSMART, INC 323 CPR CERTIFICATES 6.25
11101 69965 08/25/00 T0000721 HELENA WINKLER 10 RESTITUTION 300.00
11101 69966 08/25/00 HICOUNTR HIGH COUNTRY COPIERS 211 FAX MACHINE 1,995.00
11101 69966 08/25/00 HICOUNTR HIGH COUNTRY COPIERS 211 TONER, DRUM 348.00
TOTAL CHECK 2,343.00
11101 69967 08/25/00 HICOUNSH HIGH COUNTRY SHIRTWORKS, 515 VOLLEY BALL T-SHIRTS 235.00
11101 69967 08/25/00 HICOUNSH HIGH COUNTRY SHIRTWORKS, 513 BOB T-SHIRTS 282.50
TOTAL CHECK 517.50
11101 69968 08/25/00 HOGANMFG HOGAN MFG., INC. 61 HEX SCREWS 31.96
69969 08/25/00 HOLYCROS HOLY CROSS ENERGY 321 ELECTRIC 7/12-8/9 57.74
1 69969 08/25/00 HOLYCROS HOLY CROSS ENERGY 413 ELECTRIC 6/27-7/26 123.59
11101 69969 08/25/00 HOLYCROS HOLY CROSS ENERGY 321 ELECTRIC 7/12-8/9 11.75
11101 69969 08/25/00 HOLYCROS HOLY CROSS ENERGY 321 ELECTRIC 7/12-8/9 17.86
11101 69969 08/25/00 HOLYCROS HOLY CROSS ENERGY 414 ELECTRIC 7/13-8/10 11.55
11101 69969 08/25/00 HOLYCROS HOLY CROSS ENERGY 413 ELECTRIC 7/12-8/9 7.80
11101 69969 08/25/00 HOLYCROS HOLY CROSS ENERGY 415 ELECTRIC 7/12-8/9 2.37
11101 69969 08/25/00 HOLYCROS HOLY CROSS ENERGY 413 ELECTRIC 6/28-7/27 20.21
TOTAL CHECK 252.87
11101 69970 08/25/00 HONNENEQ HONNEN EQUIPMENT COMPANY 434 MISC PARTS 82.07
11101 69971 08/25/00 T0000723 HYATT REGENCY SAN FRANCIS 143 LODGING/ROUNDS 680.58
11101 69972 08/25/00 INTERCAR INTERCARE HEALTH PLANS 10 LIFE INS 2,671.76
11101 69972 08/25/00 INTERCAR INTERCARE HEALTH PLANS 10 HEALTH,VISION INS 63,380.56
11101 69972 08/25/00 INTERCAR INTERCARE HEALTH PLANS 10 DENTAL INS 7,440.00
TOTAL CHECK 73,492.32
11101 69973 08/25/00 INTERNAS INTERNATIONAL ASSOC OF EL 213 ANNUAL DUES/HILDRETH 60.00
11101 69974 08/25/00 IPMA INTERNATIONAL PERSONNEL M 132 MEMBERSHIP DUES 100.00
11101 69975 08/25/00 T0000722 JONAH CURTAIN 10 RESIDENT DEP REFUND 250.00
11101 69976 08/25/00 T0000176 JULIE KESSENICH 141 MILEAGE REIMBURSEMENT 72.80
46 69977 08/25/00 KARPRODU KAR PRODUCTS COMPANY 434 MISC PARTS 231.78
RUN DATE 08/25/00 TIME 08:37:48 PENTAMATION - FUND ACCOUNTING MANAGER
.08/25/00
y TOWN OF AVON PAGE 6
ACCOUNTING PERIOD: 8/00 CHECK REGISTER - DISBURSEMENT FUND
?TION CRITERIA: tran sact.check_no between 169904' and 170053'
FUND - 99 - DISBURSEMENT FUND
CASH ACCT CHECK NUMBER DATE ISSUED --------------VENDOR-------------- PROGRAM -------DESCRIPTION------- AMOUNT
11101 69978 08/25/00 KATHCOTT KATHCOTT DISTRIBUTING 515 ICE CREAM BARS 100.80
11101 69978 08/25/00 KATHCOTT KATHCOTT DISTRIBUTING 515 ICE CREAM 117.60
11101 69978 08/25/00 KATHCOTT KATHCOTT DISTRIBUTING 515 ICE CREAM BARS 67.20
TOTAL CHECK 285.60
11101 69979 08/25/00 KEVINBIR KEVIN BIRD 324 SWIFTWTR 1ST RESPNDR CRS 990.00
11101 69980 08/25/00 KINGOLDS KING OLDSMOBILE GMC SUBAR 811 MINI DUMP TRUCK 41,271.00
11101 69981 08/25/00 KRISTABE KRISTA JARAMILLO 311 REIMB FOR POSTAGE 11.54
11101 69982 08/25/00 KZYRFMRA KZYR-FM RADIO 513 ADVERTISING/SALUTE 180.00
11101 69983 08/25/00 LLJOHNSO L. L. JOHNSON DISTRIBUTIN 434 GAS CAP 11.05
11101 69983 08/25/00 LLJOHNSO L. L. JOHNSON DISTRIBUTIN 434 IDLER PULLEY,BELT 28.78
TOTAL CHECK 39.83
11101 69984 08/25/00 LABSAFET LAB SAFETY SUPPLY, INC. 415 SHOE COVERS,GLOVES 185.86
11101 69984 08/25/00 LABSAFET LAB SAFETY SUPPLY, INC. 322 REPAIR TAGS 74.73
TOTAL CHECK 260.59
01 69985 08/25/00
00 LABORREL LABOR RELATIONS INFORMATI
LEADINGE LEADING EDGE TECHNOLOGIES 311
434 RIGHTS OF OFFICERS/BOOK
RADIO REPAIRS 110.80
478.50
1 69986 08/25/
11101 69987 08/25/00 LIGHTHOU LIGHTHOUSE, INC. 61 LENSES 15.82
11101 69987 08/25/00 LIGHTHOU LIGHTHOUSE, INC. 61 LENSES 2.26
TOTAL CHECK 18.08
11101 69988 08/25/00 LIL'JOHN LIL'JOHN'S WATER TREATMEN 149 DRINKING WATER/SEPT 80.00
11101 69989 08/25/00 LACHMAGG MAGGIE LACH 10 REFUND FOR DAYCAMP 68.00
11101 69990 08/25/00 MAXIMUMC MAXIMUM COMFORT POOL & SP 520 POOL CHEMICALS 34.40
11101 69990 08/25/00 MAXIMUMC MAXIMUM COMFORT POOL & SP 520 POOL CHEMICALS 233.06
11101 69990 08/25/00 MAXIMUMC MAXIMUM COMFORT POOL & SP 520 CHLORINE 412.20
11101 69990 08/25/00 MAXIMUMC MAXIMUM COMFORT POOL & SP 520 TILE SCRUBBERS 9.90
TOTAL CHECK 689.56
11101 69991 08/25/00 MAXWELLC MAXWELL CONSULTING SERVIC 323 FIRE PROT ENGINEERING SVC 705.33
11101 69992 08/25/00 MCLEMORE MCLEMORE PUMP, INC. 520 SEAL KITS 741.61
11101 69993 08/25/00 MOCEAN MOCEAN 312 UNIFORM CLOTHING 277.37
11101 69994 08/25/00 MTNCOMMU MOUNTAIN COMMUNIC. & ELEC 312 PAGING/JUNE 8876 19.48
11101 69994 08/25/00 MTNCOMMU MOUNTAIN COMMUNIC. & ELEC 514 PAGING/WRIGHT/4817 62.50
11101 69994 08/25/00 MTNCOMMU MOUNTAIN COMMUNIC. & ELEC 312 PAGING 195.00
11101 69994 08/25/00 MTNCOMMU MOUNTAIN COMMUNIC. & ELEC 312 REPLACE BRAVO PLUS 9.50
TOTAL CHECK 286.48
0 RUN DATE 08/25/00 TIME 08:37:50 PENTAMATION - FUND ACCOUNTING MANAGER
08/25/00 TOWN OF AVON PAGE 7
ACCOUNTING PERIOD: 8/00 CHECK REGISTER - DISBURSEMENT FUND
TION CRITERIA: transact.check_no between 169904' and 170053'
FUND - 99 - DISBURSEMENT FUND
CASH ACCT CHECK NUMBER DATE ISSUED --------------VENDOR-------------- PROGRAM -------DESCRIPTION------- AMOUNT
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 HYD FILTER 3.93
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 TUBING 15.15
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 BEARING 45.55
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 TUBING 18.00
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 CREDIT FOR RETURN -14.80
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 BRAKE PADS 34.53
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 BRAKE PADS 54.92
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 SOCKET 3.32
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 CORE DEPOSIT 219.39
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 DOME LAMP 15.65
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 MISC PARTS 45.21
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 CLEANER 7.79
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 322 CREDIT FOR RETURN -18.49
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 MISC PARTS 7.66
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 BALL JOINTS 140.78
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 OIL FILTER 2.96
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 BRAKE PADS 108.98
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 ALTERNATOR, V-BELT 266.97
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 SWIVEL, HOSE 12.58
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 BALL JOINT 141.13
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 BEARING 169.35
O1 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 HALOGEN 28.26
1 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 TRIANGLE,AIR,OIL FILTERS 124.10
1 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 MISC PARTS 16.91
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 BATTERY 130.61
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 CALIPER, SEAL 29.54
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 CORE CREDIT -10.00
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 EMBLEM 28.37
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 MISC PARTS 176.44
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 GREASE 4.99
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 SWITCH 6.10
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 MISC PARTS 48.26
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 BEARINGS 197.61
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 GREASE 15.38
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 MISC PARTS 48.26
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 SWITCH 6.45
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 BEARING, SCOTSEAL 210.35
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 SWITCH 32.79
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 MISC PARTS 3.46
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 WASHERS 1.75
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 FUEL FILTERS 7.21
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 HARDWARE 31.95
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 AIR HOSE 17.34
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 ADAPTER,BUSHING 3.84
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 TRIANGLE 29.32
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 MISC PARTS 176.44
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 BRK PADS,AIR,FUEL,OIL FIL 344.71
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 MISC PARTS 126.89
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 MISC PARTS 10.15
O1 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 MISC PARTS 31.43
0
1 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 ROTOR 48.07
RUN DATE 08/25/00 TIME 08:37:52 PENTA1ATION - FUND ACCOUNTING MANAGER
08/25/00 TOWN OF AVON
ACCOUNTING PERIOD: 8/00 CHECK REGISTER - DISBURSEMENT FUND
W ION CRITERIA: traneact.check_no between 169904' and 170053'
FUND - 99 - DISBURSEMENT FUND
CASH ACCT CHECK NUMBER DATE ISSUED --------------VENDOR----------- -- PROGRAM -------DESCRIPTION-------
PAGE 8
AMOUNT
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 BRAKE PADS 93.48
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 LAMP 5.85
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 PIN SEAL 35.71
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 PRIMER 24.23
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 SWITCH 9.21
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 FUEL FILTERS 7.56
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 3IN1 OIL 3.34
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 MISC PARTS 228.29
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 TURN ROTOR 44.00
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 ROTORS 162.95
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 SWITCH 7.07
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 CORE CREDIT -20.00
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 SWITCH 9.21
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 CREDIT FOR RETURN -47.37
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 SWITCH 6.10
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 RAD HOSE 14.46
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 GREASE 8.04
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 SENSOR 100.67
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 CREDIT FOR RETURN - .70
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 MISC PARTS 3.84
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 OIL,AIR FILTERS 60.76
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 FUEL,AIR FILTERS,BRK PADS 115.48
70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 MISC PARTS 55.00
ol 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 MISC PARTS 12.46
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 MISC PARTS 47.43
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 SWITCH 5.94
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 ABRASIVE, CUT-OFF 27.48
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 CREDIT FOR RETURN -19.99
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 CLEANER 56.45
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 PIN SEAL 24.15
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 PLASTIC LENS 14.75
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 FRIG OIL 19.11
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 FRIG OIL 9.73
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 LAMPS 12.65
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 LIC LAMP 3.89
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 BASE 3.31
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 ROTOR 133.54
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 FRIG OIL 37.87
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 WHL NUT 10.55
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 WHL NUT 6.45
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 MISC PARTS 16.09
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 MISC PARTS 9.03
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 SLEEVE 24.70
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 MISC PARTS 183.90
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 MISC PARTS 174.83
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 MISC PARTS 6.40
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 MISC PARTS 11.90
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 CORE CREDIT -135.00
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 SWITCH 8.23
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 ROTOR,CALIPER,CORE 326.15
70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 SEAL 8.42
RUN DATE 08/25/00 TIME 08:37:54 PENTAMATION - FUND ACCOUNTING MANAGER
08/25/00 TOWN OF AVON PAGE 9
ACCOUNTING PERIOD: 8/00 CHECK REGISTER - DISBURSEMENT FUND
?TION C RITERIA: tran sact.check_no between 169904' and '70053'
FUND - 99 - DISBURSEMENT FUND
CASH ACCT CHECK NUMBER DATE ISSUED -------- ------VENDOR-------------- PROGRAM - -----DESCRIPTION------- AMOUNT
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 MISC PARTS 183.90
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 CALIPER, CORE 186.91
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 MISC PARTS 181.93
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 MISC PARTS 75.92
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 BULBS 61.15
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 BULBS 12.23
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 SWITCH 13.02
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 BATTERY 46.45
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 CORE CREDIT -2.50
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 FILTER KIT 22.22
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 AIR HOSE 13.99
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 RELAY 7.51
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 61 MISC PARTS 126.69
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 MISC PARTS 114.57
11101 70004 08/25/00 NAPAAUTO NAPA AUTO PARTS 434 HEATER VALVE 4.26
TOTAL CHECK 6,223.39
11101 70005 08/25/00 NEVESUNI NEVE'S UNIFORMS, INC. 312 WOMENS VEST 499.95
11101 70006 08/25/00 NORTHSTA NORTHSTAR LUMBER 322 MISC SUPPLIES, TOOLS 268.26
11101 70006 08/25/00 NORTHSTA NORTHSTAR LUMBER 322 3M PURPLE BELT 12.90
TOTAL CHECK 281.16
01 70007 08/25/00 OFFICEDE OFFICE DEPOT 514 MISC OFFICE SUPP 172.72
11101 70007 08/25/00 OFFICEDE OFFICE DEPOT 514 OFFICE SUPPLIES 73.61
11101 70007 08/25/00 OFFICEDE OFFICE DEPOT 412 LEGAL FILE FOLDERS 10.80
11101 70007 08/25/00 OFFICEDE OFFICE DEPOT 411 MISC OFFICE SUPP 54.36
11101 70007 08/25/00 OFFICEDE OFFICE DEPOT 211 MISC OFFICE SUPP 259.08
TOTAL CHECK 570.57
11101 70008 08/25/00 ORKINPES ORKIN PEST CONTROL 321 PEST CONTROL/BC FIRE STAT 50.00
11101 70009 08/25/00 OVERLAND OVERLAND & EXPRESS COMPAN 143 AIRLINE TICKET/ROUNDS 463.00
11101 70010 08/25/00 PALINEQU PALIN EQUIPMENT CORP 435 REPLACED SOLENOID 271.12
11101 70011 08/25/00 PARADIGM PARADIGM SERVICES, LLC 520 GAS SVC/JUNE 2,551.88
11101 70012 08/25/00 T0000724 PAUL ARNOLD 10 TRAVEL ADVANCE 125.00
11101 70013 08/25/00 PIONEERR PIONEER RESEARCH CORPORAT 415 NON-SKID COATING 633.92
11101 70014 08/25/00 PUBLSERV PUBLIC SERVICE COMPANY 414 GAS SVC 6/27-7/27 12.00
11101 70015 08/25/00 QUILLCOR QUILL CORPORATION 431 PENS 7.89
11101 70015 08/25/00 QUILLCOR QUILL CORPORATION 432 MISC OFFICE SUPP 31.42
11101 70015 08/25/00 QUILLCOR QUILL CORPORATION 432 MISC OFFICE SUPP 62.63
TOTAL CHECK 101.94
di 1 70016 08/25/00 RADIOSHA RADIO SHACK 211 CELL PHONE ACCESS. 39.95
RUN DATE 08/25/00 TIME 08:37:56 PENTAMATION - FUND ACCOUNTING MANAGER
08/25/00 TOWN OF AVON PAGE 10
ACCOUNTING PERIOD: 8/00 CHECK REGISTER - DISBURSEMENT FUND
?TION C RITERIA: tran sact.check_no between 1 69904' and 170053'
FUND - 99 - DISBURSEMENT FUND
CASH ACCT CHECK NUMBER DATE ISSUED -------- ------VENDOR------- - ----- PROGRAM -------DESCRIPTION------- AMOUNT
11101 70017 08/25/00 READYCAR READY CARE INDUSTRIES 520 CLEANING SUPPLIES 162.80
11101 70018 08/25/00 RENTX RENTX 513 RENTED EQUIP FOR BOBFEST 487.50
11101 70018 08/25/00 RENTX RENTX 111 TABLES, CHAIRS RENTAL 353.00
11101 70018 08/25/00 RENTX RENTX ill CHARCOAL GRILL RENTAL 265.00
TOTAL CHECK 1,105.50
11101 70019 08/25/00 ROMTINFO ROCKY MOUNTAIN INFORMATIO 311 JULY-JUNE 100.00
11101 70020 08/25/00 T0000162 SCOTT SHELLHAAS 10 TRAVEL ADVANCE 70.00
11101 70021 08/25/00 T0000162 SCOTT SHELLHAAS 312 REIMB FOR DRY CLEANING 15.00
11101 70022 08/25/00 SERCKSER SERCK SERVICES 434 CLEAN & TEST AIR COOLER 163.76
11101 70023 08/25/00 SHELVING SHELVING RACK & LOCKERS, 812 SHELVING 1,618.90
11101 70024 08/25/00 SNOWBRID SNOWBRIDGE, INC. 435 PUMP MAINT WASH BAY 451.00
11101 70024 08/25/00 SNOWBRID SNOWBRIDGE, INC. 435 PUMP SAND TRAP 655.00
TOTAL CHECK 1,106.00
101
1
161 70025
70026 08/25/00
08/25/00 SPRINTRO
BERNSTEI SPRINT ROTHHAMMER INTERNA
STAN BERNSTEIN AND ASSOCI 519
191 ANTI-FOG GOGGLE, CAPS
PROF SVC/JULY
4
688.8
450.00
11101 70026 08/25/00 BERNSTEI STAN BERNSTEIN AND ASSOCI 800 PROF SVC/CONFLUENCE 300.00
TOTAL CHECK 750.00
11101 70027 08/25/00 SUMMITSP SUMMIT SPORTSWEAR 521 T-SHIRTS 224.00
11101 70027 08/25/00 SUMMITSP SUMMIT SPORTSWEAR 521 SHIRTS 143.00
11101 70027 08/25/00 SUMMITSP SUMMIT SPORTSWEAR 521 SHIRTS 70.50
TOTAL CHECK 437.50
11101 70028 08/25/00 SUMMITSU SUMMIT SUPPLY CORPORATION 415 SWING HANGERS 66.60
11101 70029 08/25/00 SUNGUARD SUNGUARD PENTAMATION, INC 141 OPEN SERVER RELEASE 749.00
11101 70030 08/25/00 SUTHERLA SUTHERLAND MIDWEST LUMBER 415 FENCING WOOD 230.00
11101 70030 08/25/00 SUTHERLA SUTHERLAND MIDWEST LUMBER 415 FENCING WOOD 1,874.75
TOTAL CHECK 2,104.75
11101 70031 08/25/00 DENVERPO THE DENVER POST 131 SUBSCRIPTION 79.95
11101 70032 08/25/00 VAILTRAI THE VAIL TRAIL 433 ADVERTISING/JULY 108.00
11101 70032 08/25/00 VAILTRAI THE VAIL TRAIL 513 ADVERTISING/JULY 161.50
TOTAL CHECK 269.50
11101 70033 08/25/00 THEVICTO THE VICTOR 519 LATEX CAPS 460.00
11101 70034 08/25/00 T0000356 THOMAS LEAKE 312 RIEMB FOR TOWN PURCHASES 300.81
70035 08/25/00 TOA TOWN OF AVON 415 BOBFEST T-SHIRTS 110.00
RUN DATE 08/25/00 TIME 08:37:58 PENTAMATION - FUND ACCOUNTING MANAGER
08/25/00 TOWN OF AVON
ACCOUNTING PERIOD: 8/00 CHECK REGISTER - DISBURSEMENT FUND
OT ION CRITERIA: transact.check_no between 169904' and '70053'
FUND - 99 - DISBURSEMENT FUND
CASH ACCT CHECK NUMBER DATE ISSUED --------------VENDOR-------------- PROGRAM -------DESCRIPTION-------
PAGE 11
AMOUNT
11101 70036 08/25/00 TREATMEN TREATMENT TECHNOLOGY INC. 520 HYDROCHLORIC ACID 107.80
11101 70036 08/25/00 TREATMEN TREATMENT TECHNOLOGY INC. 520 POOL CHEMICALS 373.05
TOTAL CHECK 480.85
11101 70037 08/25/00 TWORIVER TWO RIVERS CHEVROLET 61 CABLE 43.93
11101 70037 08/25/00 TWORIVER TWO RIVERS CHEVROLET 434 MAT PKG 379.87
TOTAL CHECK 423.80
11101 70038 08/25/00 UNISOURC UNISOURCE WORLDWIDE, INC 414 CREDIT FOR DUP PMT -269.22
11101 70038 08/25/00 UNISOURC UNISOURCE WORLDWIDE, INC 414 TRASH LINERS 142.52
11101 70038 08/25/00 UNISOURC UNISOURCE WORLDWIDE, INC 520 CUSTODIAL SUPPLIES 30.80
11101 70038 08/25/00 UNISOURC UNISOURCE WORLDWIDE, INC 414 CREDIT FOR RETURN -64.87
11101 70038 08/25/00 UNISOURC UNISOURCE WORLDWIDE, INC 520 CUSTODIAL SUPPLIES 105.00
11101 70038 08/25/00 UNISOURC UNISOURCE WORLDWIDE, INC 520 CUSTODIAL SUPPLIES 1,026.73
TOTAL CHECK 970.96
11101 70039 08/25/00 UNITEDPO UNITED STATES POSTAL SERV 149 POSTAGE 5,000.00
11101 70040 08/25/00 USWELDIN UNITED STATES WELDING, IN 434 CYLINDER RENTAL 83.12
1
O 70041 08/25/00 URBANLAN URBAN LAND INSTITUTE 211 MEMBERSHIP DUES 170.00
1
46 70042 08/25/00 USWESTCO US WEST COMMUNICATIONS 311 PHONE 8/13-9/12 90.71
11101 70042 08/25/00 USWESTCO US WEST COMMUNICATIONS 411 PHONE 8/13-9/12 45.23
11101 70042 08/25/00 USWESTCO US WEST COMMUNICATIONS 412 PHONE 8/13-9/12 45.23
11101 70042 08/25/00 USWESTCO US WEST COMMUNICATIONS 431 PHONE 8/13-9/12 90.46
11101 70042 08/25/00 USWESTCO US WEST COMMUNICATIONS 435 PHONE 8/13-9/12 45.23
11101 70042 08/25/00 USWESTCO US WEST COMMUNICATIONS 149 PHONE 8/13-9/12 1,495.13
11101 70042 08/25/00 USWESTCO US WEST COMMUNICATIONS 433 PHONE 8/13-9/12 45.23
11101 70042 08/25/00 USWESTCO US WEST COMMUNICATIONS 321 PHONE 8/4-9/3 44.32
11101 70042 08/25/00 USWESTCO US WEST COMMUNICATIONS 431 PHONE 8/13-9/12 44.77
11101 70042 08/25/00 USWESTCO US WEST COMMUNICATIONS 321 PHONE 8/4-9/3 131.68
TOTAL CHECK 2,077.99
11101 70043 08/25/00 VAILHONE VAIL HONEYWAGON 415 DUMPSTER SVC/JULY 484.47
11101 70044 08/25/00 VAILLOCK VAIL LOCK AND KEY 431 CHANGE LOCK 66.50
11101 70044 08/25/00 VAILLOCK VAIL LOCK AND KEY 431 EXTRACT BROKEN KEY 54.00
11101 70044 08/25/00 VAILLOCK VAIL LOCK AND KEY 431 ADJUST LOCK ON DRAWER 63.00
TOTAL CHECK 183.50
11101 70045 08/25/00 VAILRESO VAIL RESORTS MANAGEMENT C 514 CH 17 ADVERTISING 400.00
11101 70046 08/25/00 VAILNET VAILNET 143 INTERNET CONNECTION/AUG 150.00
11101 70047 08/25/00 VENTURES VENTURE TEAM SPORTS 515 BIKE RENTAL/JULY 888.00
11101 70048 08/25/00 VERIZONW VERIZON WIRELESS 312 CELL SVC 6/4-7/3 585.41
1
O 70048 08/25/00 VERIZONW VERIZON WIRELESS 315 CELL SVC 6/4-7/3 35.34
46
1 70048 08/25/00 VERIZONW VERIZON WIRELESS 311 CELL SVC 6/4-7/3 99.30
RUN DATE 08/25/00 TIME 08:38:00 PENTAMATION - FUND ACCOUNTING MANAGER
_08/25/00 TOWN OF AVON PAGE 12
ACCOUNTING PERIOD: 8/00 CHECK REGISTER - DISBURSEM ENT FUND
10TION CRITERIA: tran sact.check_no between 169904' and 170053'
FUND - 99 - DISBURSEMENT FUND
CASH ACCT CHECK NUMBER DATE ISSUED -------- ------VENDOR-------------- PROGRAM -------DESCRIPTION------- AMOUNT
11101 70048 08/25/00 VERIZONW VERIZON WIRELESS 10 CELL SVC 7/13-8/4 22.38
TOTAL CHECK 742.43
11101 70049 08/25/00 T0000725 WESTIN HOTELS & RESORTS 312 LODGING/SHELLHAAS 194.00
11101 70050 08/25/00 T0000726 WESTLUND INVESTMENTS 41 TRANSFER TAX REFUND 3,190.00
11101 70051 08/25/00 WHEATLAN WHEATLAND FIRE EQUIPMENT 322 HIGH PRESSURE HOSE,VALVE 133.37
11101 70052 08/25/00 XEROXCOR XEROX CORPORATION 431 COPIER CHARGES/AUG 259.28
11101 70052 08/25/00 XEROXCOR XEROX CORPORATION 311 COPIER CHARGES/JUNE 77.25
11101 70052 08/25/00 XEROXCOR XEROX CORPORATION 431 COPIER CHARGES/JULY 141.00
TOTAL CHECK 477.53
11101 70053 08/25/00 ZEEMEDIC ZEE MEDICAL, INC. 149 RESTOCK 1ST AID KIT 58.95
11101 70053 08/25/00 ZEEMEDIC ZEE MEDICAL, INC. 432 MEDICAL SUPPLIES 96.71
TOTAL CHECK 155.66
TOTAL CASH ACCOUNT 233,039.17
TOTAL FUND 233,039.17
REPORT 233,039.17
•
RUN DATE 08/25/00 TIME 08:38:00 PENTAMATION - FUND ACCOUNTING MANAGER