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HomeMy WebLinkAboutCOUNCIL MINUTES 1951-01-29 ADJOURNED Page 295 MINUTES OF THE ADJOURNED TWENTY-NINTH REGULAR ILO MEETING OF THE COUNCIL OF THE CITY OF LIVONIA JANUARY 29, 1951 The adjourned twenty-ninth regular meeting of the Council of the City of Livonia was called to order at 9.00 P M by the President, Harry S. Wolfe. Roll was called with the following result: Present--Harry S Wolfe, Wilson W Edgar, Raymond E Grimm, Nettie Carey, Harvey Jahn, William Taylor and John Whitehead Absent--None. A report was submitted by the Committee of the Whole wherein it was stated that this committee met on this date at 7 :30 P. M., with all members present; conferred with Mr. Al Roth, Consulting Engineer, Mr John Nunnely, Bond Attorney, Mr Schimell, Bond Consultant, Mayor Jesse Ziegler and Herald 110 Hamill, City Engineer; read proposed ordinance in full authorizing sewer pro- ject in Sections 25, 26, 35 and 36 of the City of Livonia, discussed rates and sale of bonds, and informally approved proposed ordinance. Mr. Nunnely explained to the Council and all citizens in attendance at the meeting the provisions of the proposed ordinance and the rates to be charged under the ordinance Mr. Al Roth explained the construction and maintenance of the sewers. Councilman Jahn introduced the following ordinance: NO 26 AN ORDINANCE AUTHORIZING THE ACQUISITION AND CONSTRUCTION OF SANITARY SEWERS FOR THE DISPOSAL OF THE SEWAGE OF A PART OF THE CITY OF LIVONIA; AUTHORIZING THE ISSUANCE OF SELF-LIQUIDATING REVENUE BONDS FOR THE PURPOSE OF DEFRAYING THE COST THEREOF UNDER THE PROVISIONS OF ACT 94, PUBLIC ACTS OF MICHIGAN, 1933, AS AMENDED; PROVIDING FOR THE ESTABLISHMENT OF SEWAGE DIS- POSAL SYSTEM NO 1 IN SAID CITY; PROVIDING FOR THE RETIREMENT Lm OF SAID BONDS FROM THE REVENUES DERIVED FRCU SAID SEL( , DIS- POSAL SYSTEM NO 1; CREATING A STATUTORY LIEN ON SUCH REVENUES, AND PROVLDING FOR OTHER MATTERS RELATIVE TO SAID BONDS, THE SAID PUBLIC IMPROVEMENTS, AND THE REVENUES THEREFROM page 296 THE CITY OF LIVONIA ORDAINS: Section 1 To improve the public health and welfare of the City of 1LN Livonia, it is hereby determined and declared to be necessary to acquire and construct sanitary sewers for the purpose of disposing of the sewage of a portion of the area comprising the City of Livonia in accordance with detailed maps, plans, specifications and estimates therefor, and to operate and maintain said sewage disposal facilities on a utility-rate basis as authorized by Act 94, Public Acts of Michigan, 1933, as amended. Section 2 The City Council has caused maps, plans and specifications for such sanitary sewers to be prepared by Hubbell, Roth and Clark, Inc., consulting engineers, of Detroit, Michigan, which maps, plans and specifications are hereby approved and adopted, and it is hereby determined to acquire such public improvements in accordance with said maps, plans and specifications. That the following is a description of the size, and places where said sanitary sewers are to be constructed- Street, Alley or Length Sizes Easement From To Feet Inches Joy Road Merriman Inkster 10,567 12" - 48" Henry Ruff Joy Cathedral 1,267 12" - 18" Danzig Joy Cathedral 1,262 12" - 18" Oporto Joy Cathedral 1,262 12" - 18" lim Melvin Joy Cathedral 1,262 12" - 18" Louise Joy Cathedral 1,262 12" - 18" Beatrice Joy Cathedral 1,262 12" - 18" Hugh Joy Cathedral 1,262 12" - 18" Fremont Joy Cathedral 1,262 12" - 18" Middlebelt Joy Cathedral 1,249 24" Oxbow Joy Olson 1,059 15" - 18" Olson Oxbow Hartel 873 12" - 15" Hartel Olson Joy 1,059 12" - 15" Floral Joy 760' N 760 18" Deering Joy 1520' N 1,520 15" - 18" Cardwell Joy W. Chicago 2,565 48" VT Chicago Deering Inkster 1,158 18" - 42" Inkster W Chicago 260'N of Joy 2,360 12" - 18" Deering W. Chicago Alley W. cf Chicago 233 36" Easem't N of W Chicago Deering Harrison 1,280 30" - 36" Easem't W of Deering Easem't W of Easem't S of 2,133 12" - 18" Chicago Plymouth Easem't W of Easem't N. of Easem't S. of 1,789 12" - 15" 0 Clements Circle E W Chicago Clements Circle N Easem't W of Seltzer Easem't N of Elmira 1,574 12" - 15" W. Chicago Easement W of Garvet " Elmira 1,574 12" - 36" Easem't S of Elmira Easem't W of Harrison 223 36" Garvet Easem't S of Cleveland Harrison Easem't W of 1,275 15" - 18" Clements Circle W. Easem't S. of Elmira Harrison it it1,036 12" - 15" Page 297 Street, Alley or Length Sizes Easement From To Feet Inches IL Easem't S of Clements Easem't W. of 110' East of Circle N Clements Circle Clements Circle East West 1,822 12" Easem't S. of Plymouth Easem't W of Easem't W of Deering Clements Circle West 2,481 18" - 214" Easem't W. of Clements Easem't S of Easem't S. of Circle W. Cleveland Plymouth 1,018 12" Harrison Easem't S of Plymouth 1,277 18" - 36" Cleveland Alley Vit. of Arcola & r/w in alley Ext'd W. Chicago Orangelawn 901 42" Alley W of Inkster Alley N of W Alley S of Chicago Plymouth 2,375 12" - 36" Arcola Alley S. of Alley N. of Plymouth Plymouth 344 36" Alley S of Plymouth Inkster Cavell 549 12" - 36" Orangelawn Alley W of Alley West of Inkster Cardwell 1,065 21" - 36" Plymouth Harrison Middlebelt 2,740 30" - 36" Hartel Plymouth 2343' North 2,343 12" - 24" Camden Plymouth 2343' North 2,343 12" - 18" Hailer Plymouth 12151 North 1,215 18" Alley N. of Plymouth Inkster Deering 1,243 12" - 30" Ili Alley W. of Inkster Alley N of Grantland 2,116 24" Plymouth Alley W. of Arcola Alley N of " 2,129 12" - 18" Plymouth Alley W. of Cavell Alley N of Plymouth " 2,137 12" - 18" Alley W of Cardwell Alley N of Plymouth it 2,128 24" RJW ;iayne Co Rd Grantland N. of C&0 R.R. 458 24" Yard and C&0 R R Grantland Alley W of Deering 163 24" Cardwell Pumping Station - Northwest Corner Joy Road & Floral - 24' x 24' Said system of sanitary sewers and appurtenances thereto shall be here- after known and designated as CITY OF LIVONIA SEWAGE DISPOSAL SYSTEM NO 1, and shall include all sanitary sewers and appurtenances acquired or constructed under the provisions of this ordinance, and all extensions, connections and improvements thereto existing or which may subsequently be made or acquired. Section 3. The cost of said sanitary sewers has been estimated by Hubbell, Roth ana Clark, Inc , consulting engineers, to be Seven Hundred Thousand ($700,000 00) Dollars, including the payment of incidental expenses as specified IL in Section 4 hereof, which estimate of cost is hereby approved and confirmed, and the period of usefulness of said extensions and improvements is estimated to be not less than forty (140) years Page 298 Section 4. To pay the cost of acquiring said sanitary sewers and appurtenances, in luding the payment of engineering, legal and other expenses ILI incident thereto, and interest for a period of one (1) year, it is hereby determined that the City of Livonia shall Dorrov the sum of Seven Hundred Thousand ($700,000.00) Dollars, and that revenue bonds be issued therefor under the provisions of Act 94, Public Acts of Michigan, 1933, as amended, which bonds are sometimes referred to in this Ordinance as "the bonds " Wherever the wards "the System" or "System" are used in this Ordinance, they shall be understood to mean City of Livonia Sewage Disposal System No 1, as hereinbefore defined. Wherever the words "revenues" and "net revenues" are used in this Ordinance, they shall be understood to have the meaning defined in Section 3 of Act 94, Public Acts of Michigan, 1933, as amended The term "project" shall be construed to mean the sanitary sewers and appurtenances authorized to be acquired and constructed under the terms of this Ordinance. The terms "acquire" or "acquiring" as used in this Ordinance shall include acquisition by purchase, construction, or any other method Section 5 Said bonds shall be designated Sewage Disposal System No. 1 Revenue Bonds, Series I, and shall be, not general obligations of the City of Livonia, but revenue bonds, payable out of the net revenues of the System after 110 provision has been made for the payment of expenses of operation, and shall consist of 700 bonds of $1,000.00 each, dated as of March 1, 1951, numbered and maturing as follows Bond Nos. Inclusive Amount Maturity 1/15 $ 15,000 March 1, 1953 16/30 15,000 March 1, 1954 31/60 30,000 March 1, 1955 61/90 30,000 March 1, 1956 91/120 30,000 March 1, 1957 121/150 30,000 March 1, 1958 151/190 40,000 March 1, 1959 191/230 40,000 March 1, 1960 231/265 35,000 March 1, 1961 266/300 35,000 March 1, 1962 301/335 35,000 March 1, 1963 336/370 35,000 March 1, 1964 371/400 30,000 March 1, 1965 401/430 30,000 March 1, 1966 431/455 25,000 March 1, 1967 456/480 25,000 March 1, 1968 431/500 20,000 March 1, 1969 501/520 20,000 March 1, 1970 521/540 20,000 March 1, 1971 IL 541/560 20,000 March 1, 1972 561/580 20,000 March 1, 1973 581/595 15,000 March 1, 1974 Page 299 Bond Nos Inclusive Amount Maturity 110 596/61015,000 March 1, 1975 611/625 15,000 March 1, 1976 626/640 15,000 March 1, 1977 641/655 15,000 March 1, 1978 656/670 15,000 March 1, 1979 671/685 15,000 March 1, 1980 686/700 15,000 March 1, 1981. Said bonds shall bear interest at a rate or rates not exceeding four per cent (4%) per annum, payable on September 1, 1951, and semi-annually there- after on March 1st and September 1st of each year, both principal and interest to be payable in lawful money of the United States of America at DETROIT TRUST COMPANY, Detroit, Michigan. Bonds of this issue may be called for redemption as a whole, at the option of the City, on any interest payment date on or after September 1, 1953 Bonds numbered 581 to 700, inclusive, maturing in the years 1974 to 1981, inclusive, shall be subject to redemption prior to maturity, at the option of the City, in inverse numerical order, on any interest payment date on or after September 1, 1965. The redemption price of all bonds called for redemption prior to maturity, whether as a whole or in part, shall be par and accrued interest plus a premium as follows. $40.00 on each bond called for redemption prior to March 1, 1965 $20.00 on each bond called for redemption on or after March 1, 1965, but prior to March 1, 1971 $10 00 on each bond called for redemption on or after March 1, 1971, but prior to March 1, 1977 No premiums shall be paid on bonds called for redemption on or after March 1, 1977 Notice of redemption shall be given thirty (30) days in advance of the redemption date by publication in a financial paper published in the State of Michigan, and in case of registered bonds, thirty (30) days' notice shall be given by mail to the registered address. Bonds so called for redemption shall not bear interest after the date fixed for redemption, provided funds are on hand with the paying agent to redeem said bonds. Said bonds may be registered as to principal only in the manner and with the effect set forth on the face thereof, as hereinafter provided Said bonds shall be signed by the Mayor and countersigned by the City Clerk, and shall have interest coupons attached bearing the facsimile signatures of said Mayor and City Clerk, and said official, by the execution of said bonds, shall adopt as and for their awn proper signatures their respective facsimile signatures on said coupons Section 6 Said bonds shall not be a general obligation or indebtedness of the City o1 Livonia, but shall be payable solely from the net revenues derived Page 300 from the operation of the System and to secure such payment there is hereby created a statutory first lien upon the whole of the net revenues of said System, to continue until the payment in full of the principal and interest on said bonds. Section 7 The holder or holders of said bonds or coupons representing in the aggregate not less than twenty per cent (20%) of the entire issue then outstanding may, either at law or in equity, by suit, action, mandamus or other proceedings, protect and enforce the statutory lien upon the revenues of said System, and may, by suit, action, mandamus or other proceedings, enforce and compel performance of all duties of the officers of said City, including the fixing of sufficient rates, the collection of revenues, the proper segregation of the revenues of the System and the proper application thereof: Provided, However, that the statutory lien upon said revenues shall not be construed to give the holder or holders of any bonds or coupons authority to compel the sale of the System If there be any default in the payment of the principal of or interest upon any of said bonds, any Court having jurisdiction in any proper action may appoint a receiver to administer and operate said System on behalf of the City, and under the direction of said Court, and by and with the approval of said Court, to perform all of the duties of the officers of said City, more particularly set forth herein and in Act 94, Public Acts of Michigan, 1933, as amended The holder or holders of any such bonds or any coupons therefrom shall have all other rights and remedies given by said Act 94, Public Acts of Michigan, 1933, as amended, for the collection and enforcement of said bonds and the security therefor Section 8. The construction, alteration, repair and management of the System shall be under the supervision and control of the Mayor Said Mayor may employ such person or persons in such capacity or capacities as he deems advisable to carry on the efficient management and operation of the System The Mayor may make such rules, orders and regulations as he deems advisable and necessary to assure the efficient management and operation of the System. Section 9. The operating year of the System shall begin on the first day of March of each year and shall end on the last day of February of each year. Section 10. The following rates are hereby established for services furnished by the System. SEWAGE DISPOSAL RATES Such rates shall be levied on each lot or parcel of land, building or premises having any sewer connection with the System, on the basis of quantity of water used therein or thereon, as the same is measured by the water meter installed therein. Such consumption rate shall be as follows, to—wit. IL. From 0 to 10,000 cubic feet per month — $0 80 per 1000 cubic feet 10, 00 to 100,000 " rt $0 70 per 1000 " " In excess of 100,000 " " " " — $0.60 per 1000 a rr Page 301 The above consumption charges shall apply to all users connected to sanitary sewers constructed under the provisions of this ordinance, or connected to any existing laterals or any extensions of the System constructed in the future The minimum quarterly charge for sewage disposal shall be $2.00 per quarter Where sewage disposal service is furnished to users not connected to the water system, or if connected to the water system no meter is used to measure the quantity of water used, or in cases where users make use of large quantities of water which may be discharged into storm sewers, or for other miscellaneous users of water for which special consideration should be given, special rates may be fixed by the City Council A debt service charge shall be billed quarterly to each user connected to the Project in accordance with the following: 1. Each residential connection shall pay $3.50 per quarter, or at the rate of $14.00 per year, until a total of $210 00 has been paid 2 Each commercial connection shall pay on the basis of $0 68 per front foot per year, payable in quarterly installments, for a period of fifteen (15) years 3 Each industrial connection shall pay on the basis of $60 00 per acre per year, payable in quarterly installments, for a period of ten (10) years. The debt service charges above itemized shall only apply to those users who abut on and are connected to any of the sanitary sewers constructed under the pro- visions of this Ordinance. The properties of the Michigan Racing Association located within the City of Livonia shall pay a debt service charge at the rate set up for industrial connections. For the reasonable cost and value of the services rendered to the City and its various departments by the System, and the general benefits to the public health in said City derived from the installation of said sanitary sewers, the City of Livonia shall pay out of its appropriate general funds, the sum of Five Thousand ($5,000 00) Dollars per year, payable in equal quarterly installments SEWER CONNECTIONS Sewer Connections shall be made by and at the expense of the property owner so connecting, subject to any rules and regulations therefor now or hereafter established by the City, and subject to inspection and approval prior to use Permit for such connection shall be obtained in advance from the City, and the property owner making such connection shall pay all inspection charges now or hereafter established by the City prior to the use thereof. BILLING The Water Department of the City of Livonia shall have charge of all billing for sewage disposal rates, and such bills shall be collected quarterly, at the same time and in the same manner as provided for water bills On all bills not paid within ten (10) days after the date of the bill, a 10% penalty will be added Page 302 ENFORCEMENT IL; The charges for sewage disposal services which are under the provisions of Section 21 of Act 91, Public Acts of Michigan, 1933, as amended, made a lien on all premises served thereby, unless notice is given that a tenant is responsible, are hereby recognized to constitute such lien and whenever any such charge against any piece of property shall be delinquent for six (6) months, the City officials in charge of the collection thereof shall certify to the City Treasurer of the City, the fact of such delinquency, whereupon such charge shall be entered upon the next tax roll as a charge against such premises and shall be collected and the lien thereof enforced in the same manner as general city taxes against such pre- mises are collected, and the lien thereof enforced. Provided, However, where notice is given that a tenant is responsible for such charges and service as provided by said Section 21 no further service shall be rendered any piece of property until a cash deposit of not less than Ten (610 00) Dollars shall have been made as security for payment of such charges and service In addition to other remedies provided, the City shall have the right to shut off and discontinue the supply of water to any premises for the nonpayment of sewage disposal rates, when due Section 11. No free service shall be furnished by the System to any person, firm or corporation, public or private, or to any public agency or instrumentality, but service so furnished by the System shall be paid for in accordance with the foregoing schedule of rates, or any revision thereof, in compliance with the provisions of this Ordinance Section 12 If the character of sewage or waste from any manufacturing or industrial plant or any other building or premises shall be such as to impose an unreasonable additional burden upon the sewers of the System, then an additional charge may be made over and above the regular rates, or it may be required that such sewage be treated by the person, firm or corporation responsible therefor before being emptied into the sewers, or the right to empty such sewage may be denied, if necessary for the protection of the sewers and sewage disposal facilities of the System or the public health or safety. Section 13. The rates hereby fixed are estimated to be sufficient to provide for the payment of the interest upon and the principal of all the bonds, as and when the same become due and payable, to provide for the creation of a reserve therefor as required by this Ordinance, to provide for the payment of the expenses of administration and operation and such expenses for maintenance of the said System as are necessary to preserve the same in good repair and working order, and to provide for such other expenditures and funds for said System as this Ordinance may require Such rates shall be fixed and revised from time to time as may be necessary to produce these amounts, and it is hereby covenanted and agreed at all times to fix and maintain such rates for services furnished by the System as shall be sufficient to provide for the foregoing. Section 14 The revenues of the System are hereby ordered to be set aside, as collected, and deposited in the First National Bank in Plymouth, Michigan, a bank duly qualified to do business in Michigan, in an account to be designated Sewage Disposal Receiving Flind (hereinafter referred to as the Receiving Fund), and said revenues so deposited are pledged for the purposes of the following funds, and shall be transferred from the Receiving Fund periodically in the manner and at the times hereinafter specified: Page 303 (A) OPERATION AND MAINZENANCE FUND: lir Out of the revenues in the Receiving Fund there shall be first set aside, quarterly, into a separate depositary account designated Operation and Maintenance Fund, a sum sufficient to provide for the payment of the next quarterts current expenses of administration and operation of the System and such current expenses for the maintenance thereof as may be necessary to pre- serve the same in good repair and working order A budget, showing in detail the estimated costs of administration, operation and maintenance of the System for the next ensuing operating year shall be prepared, submitted and approved at the same time required by law for the submission and approval of the annual City budget by the City Council The amounts transferred into the operation and maintenance fund during each operating year shall not exceed said budget unless approved by a two-thirds (2/3) vote of the City Councilmen elect. (B) BOND AND INTEREST REDEMPTION r UND. There shall next be established and maintained a separate depositary account designated the Bond and Interest Redemption Fund, which shall be used solely and only for the purpose of paying the principal of and interest on the bonds hereby authorized The moneys in the Bond and Interest Redemption Fund (incluaing the Reserve Account hereinafter established) shall be kept on hand with the bank or trust company where the principal and interest on the bonds herein authorized are currently payable Out of the revenues remaining in the Receiving Fund after provision has been made for expenses of operation and maintenance of the System, there shall next be set aside, quarterly, in the Bond and Interest Redemption Fund, a sum sufficient to provide for the payment of the principal of and interest upon all outstanding bonds payable from the revenues of the System, as and when the same become due and payable The amount so set aside for interest each quarter shall be not less than one-half (1/2) of the total amount of interest next maturing on the bonds herein authorized The amount set aside for principal each quarter commencing March 1, 1952, shall be not less than one-quarter (1/4) of the amount of principal of the bonds next maturing If there be any deficiency in the amounts previously required to be set aside, then the amount of such deficiency shall be added to the current requirement There is hereby established in the Bond and Interest Redemption Fund, a separate account, to be known as the Bond Reserve Account, into which account there shall be set aside, quarterly, all of the revenues of the System after the required quarterly payments have been made for the Operation and Maintenance Fund and the Bond and Interest Redemption Fund, until such time as there has been accumulated in said Bond Reserve Account the sum of $60,000 00, which account shall be established in the full amount herein required not later than the end of the operating year commencing March 1, 1955. Said Bond Reserve Account shall be used solely for the payment of the principal and interest on the bonds as to which there would otherwise be default. If at any time it shall be necessary to use moneys in the Reserve Account for such payment, then the moneys so used shall be replaced from the net revenues first received thereafter which are not required by this Ordinance to be used for operation and maintenance or for current principal and interest requirements- Provided, However, that such Reserve Account shall not be regarded as moneys otherwise appropriated or pledged for the purpose of determining the page 304 sufficiency of funds available for redemption of callable bonds. 110 No further payments need be made into the Bond and Interest Redemption Fluid after enough of the bonds have been retired so that the amount then held in said fund (including the Bond Reserve Account) is equal to the entire amount of principal and interest which will be payable at the time of maturity of all the bonds then remaining outstanding (C) REPLACEMENT FUND: There shall next be established and maintained a separate depositary account designated the Replacement Fund, which shall be used solely and only for the purpose of making major repairs and replacements to the System for which funds in the Operation and Maintenance Fund are not available or sufficient. There shall be set aside into said account monthly, out of the revenues remaining in the Receiving Fund, after provision has been made for the Operation and Maintenance Fund, and the Bond and Interest Redemption Fund (including the Reserve Account) all of the revenues so remaining until such time as there has been accumulated in said Replacement Fund the sum of $10,000 00. Whenever money shall be used from said fund for making such major repairs and replacements, the moneys so used shall be replaced from the net revenues in the Receiving Fund which are not required by this Ordinance to be used for the Operation and Maintenance Fund or the Bond and Interest Redemption Fund (including the Reserve Account) (D) IMPROVEMENT FUND. Out of the remaining revenues in the Receiving Fund, there may be set aside in any month, after meeting the requirements for the foregoing funds, in a separate depositary account to be designated Improvement Fund, such sum as the City Council may deem advisable, to be used for improvements, enlargements, extensions and repairs to the System. (E) SURPLUS FUND. Moneys remaining in the Receiving I?und at the end of any operating year, after full satisfaction of the foregoing requirements, may be transferred to a separate depositary account to be designated Surplus Fund Moneys in the Surplus Fund may be transferred from time to time, in the discretion of the City Council, to either the Bond and Interest Redemption Fund to be used far the purpose of calling bonds, or to the Improvement Fund: Provided, that if there be any deficit in the Operation and Maintenance Fund, Bond and Interest Redemption Fluid (including the Reserve Account) or the Replacement Fund by reason of defaults in setting aside therein the amounts hereinbefore required, then transfers shall be made from the Surplus Fund to such funds in the order named to the extent of such deficit. Section 15 In the event the moneys in the Receiving Fund are insufficient to provide for the current requirements of the Operation and Maintenance Fund or the Bond and Interest Redemption Fund, any moneys and/or securities in other funds of the System shall be transferred, first, to the Operation and Maintenance Fund, and second, to the Bond and In erest Redemption Fund to the extent of any deficit therein. Page 305 Section 16 Moneys in the Bond and Interest Redemption Fund over and above those being accumulated for the payment of principal and interest next maturing, and moneys in any other fund except the Receiving Fund and the Operation and Maintenance Fund may be invested in obligations of the United States of America. In the event such investments are made, the securities representing the same shall be kept on deposit with the bank or trust ccmpany having on deposit the fund or funds from which such purchase was made. Any income received from such investment shall remain in the funds from which such investments were made. Section 17 Said bonds shall be sold and the proceeds applied in accordance with the provisions of Act 94, Public Acts of Michigan, 1933, as amended Section 18 First National Bank, in Plymouth, Michigan, a Federal Reserve System member bank, is hereby designated depositary of the proceeds of sale of said bonds From said moneys there shall first be transferred to the Bond and Interest Redemption Fund the amount of interest which will accrue during the period for which interest has been capitalized, which is one (1) year, at the interest rate or rates specified in the bonds. The balance of such proceeds shall be used solely to pay the cost of the project and any engineering, legal or other expenses incident thereto, and shall be paid out on authorization of the City Council. Any unexpended balance of the proceeds of sale remaining after completion of the project may, in the dis- cretion of the City Council, and to the extent of fifteen (15%) per cent of the amount of such issue, be used for further improvements, enlargements and extensions of the System, provided that at the time of such expenditure, such use be approved by the Municipal Finance Commission. Any remaining balance after such expenditure shall be paid into the bond and interest redemption fund and snail be used for the redemption of callable bonds Section 19 The City of Livonia covenants and agrees with the successive holders of the bonds and coupons that so long as any of the bonds remain outstanding and unpaid as to either principal or interest -- (a) The City will maintain the System in good repair and working order, and will operate the same efficiently and will faithfully and punctually perform all duties with reference to the System required by the Constitution and laws of the State of Michigan, including the making and collecting of sufficient rates for sewage disposal service rendered by the System and the segregation and application of the revenues of the System in the manner pro- vided in this Ordinance. (b) The City will fix and collect rates and charges for all sewage disposal service supplied by the System in order to obtain revenues fully sufficient to provide for the payment of expenses of administration, operation and maintenance of the System, to provide for the payment of interest on and the principal of all obligations payable therefrom, including the bonds herein authorized, as and when the same become due and payable, and, to create the Reserve Account, and provide for such other expenditures and funds for said System as this Ordinance may require Such rates shall be fixed and revised from time to time as may be necessary to produce these amounts Page 306 (c) The City will not permit free sewage to be supplied by the System lis to the City or any Department or Agency thereof, or to any person, firm or corporation, public or private, or to any public agency or instrumentality. The reasonable cost and value of all sewage disposal service rendered to the City and its various departments shall be charged against the City and shall be paid as the service accrues All payments so made shall be considered revenues of the System, and shall be applied in the manner herein provided for the appli- cation of the revenues of the System (d) The City will maintain and keep proper books of record and account, separate from all otherzecords and accounts, in which shall be made full and correct entries of all transactions relating to the System Not later than three (3) months after the close of each operating year, the City Council will cause to be prepared, on forms furnished by the Municipal Finance Commission, if such forms are available, a statement in reasonable detail, sworn to by its chief accounting officer, showing the cash income and dis- bursements of the System during such operating year, the assets and liabilities of the System at the beginning and close of the fiscal year, and such other information as is necessary to enable any taxpayer, user of the service furnished, or any holder or owner of the bonds, or anyone acting in their behalf, to be fully informed as to all matters pertaining to the financial operation of the System during such year A certified copy of such statement shall be filed with the Municipal Finance Commission, and such statement and books of record and account shall at all reasonable times be open to inspection by any taxpayer, user of the service or holder or holders of any bonds or anyone acting in their behalf. The City Council will also cause an annual audit of such books of IL0 record and account for the preceding operating year to be made by a recognized independent certified public accountant, and will make such audit available to the holder of any bonds A copy of the foregoing statement and a copy of the annual audit shall be sent to the original purchasers of the bonds within ninety (90) days after the close of each fiscal year. (e) The City will maintain and carry for the benefit of the holders of the bonds, insurance on all physical properties of the System, of the kinds and in the amounts normally carried by public utility companies and municipalities engaged in the operation of sewage disposal systems. All moneys received for losses under any such insurance policies shall be applied solely to the replace- ment and restoration of the property damaged or destroyed and to the extent not so used, shall be used for the purpose of calling bonds. (f) The City will not sell, lease or dispose of the System or any substantial part thereof until all of the bonds have been paid in full, both as to principal and interest The City further will cause the operation of the System to be carried on as economically as possible, will cause to be made to the System all repairs and replacements necessary to keep the same in good repair and working order, and will not do or suffer to be done any act which would affect the System in such a way as to impair or affect unfavorably the security of the bonds Section 20 The right is reserved, in accordance with the provisions of Act 94, Public Acts of Michigan, 1933, as amended, to issue additional bonds payable from the revenues of the System which shall be of equal standing with the bonds herein authorized, for the following purposes and on the following conditions and limitations : Page 307 (a) For completion of the project in accordance with the plans and specifications therefor, and such bonds shall not be authorized unless the consulting engineers, Hubbell, Roth & Clark, Inc , or their successor engineers in diarge of construction, shall execute a certificate evidencing the fact that additional funds are needed to complete the project in accordance with the plans and specifications therefor If such certificate shall be so executed and filed with the City Clerk, it shall be the duty of the City Council to provide for and issue additional Revenue Bonds in the amount stated in said certificate to be necessary to conplete the project in accordance with the plans and specifications The aggregate principal amount of Bonds to be issued for such purpose shall not exceed $70,000.00. (b) For subsequent extensions and improvements to the System. Pro- vided, that no such additional bonds shall be issued unless the net revenues for each of the two (2) completed operating years next preceding the issuance of the additional bonds, when supplemented by the net revenues estimated to accrue from the making of the proposed extensions and improvements, are equal to not less than one and one-half (1-1/2) times the largest amount of combined principal and interest to fall due in any future operating year or. any bonds then out- standing payable from the revenues of the System and on the additional bonds so to be issued As a condition precedent to the issuance of said bonds, a ti-rritten estimate of the net revenues estimated to accrue from the acquisition or construction of the proposed extensions and improvements, concurred in and executed by an engineer designated by the City Council, and the engineer of the Municipal Finance Commission (or in the event no such state officer or agent exists, an engineer selected by the Municipal Finance Commission, or successor state agency having jurisdiction over the issuance of municipal bonds), shall be filed with the City Clerk and the Municipal Finance Commission. Permission of the Municipal Finance Commission (or such other Commission as shall have jurisdiction over the issuance of municipal bonds) to issue such additional bonds shall constitute a conclusive presumption of the existence of conditions per- mitting the issuance thereof Except as herein authorized, no additional bonds having equal standing with the bonds of this issue shall be authorized or issued. Section 21. Said bonds and coupons shall be in substantially the following farm• UNITED STAMS OF AMERICA STATE OF MICHIGAN COUNTY OF WAYNE CITY OF LIVONIA SEWAGE DISPOSAL SYSTEM NO I REVENUE BOND, SERIES I No. 1,000.00 KNCX ALL VEN BY THESE PRESENTS that the CITY OF LIVONIA, County of Mayne, State of Michigan, for value received, hereby promises to pay to the bearer, or if registered, to the registered holder hereof, but only out of the revenues of Sewage Disposal System No I of the City of Livonia, including Page 30$ all appurtenances, extensions and improvements thereto, the sum of ONE THOUSAND DOLLARS on the first day of March, A D 19 , with interest thereon from the date hereof until paid at the rate of per cent per annum, payable September 1, 1951, and semi-annually thereafter on the first day of March and September of each year, on presentation and surrender of the proper interest coupons hereto annexed as they severally become due Both principal of and interest on this bond are payable in lawful money of the United States of America at DETROIT TRUST COMPANY, Detroit, Michigan, and for the prompt payment thereof, the gross revenues of said Sewage Disposal System No I including all appurtenances, extensions and improvements thereto, after provision has been made for reasonable and necessary expenses of operation, administration and maintenance are hereby irrevocably pledged, and a statutory first lien on said revenues is hereby recognized and created This bond is one of a series of seven hundred (700) bonds of even date and like tenor except as to date of maturity aggregating the sum of $700,000 00, issued pursuant to Ordinance No. duly adopted by the City Council of the City of Livonia on and under and in full compliance with the Constitution and Statutes of the State of Michigan, including specifically Act 94, Public Acts of Michigan, 1933, as amended, for the purpose of acquiring and constructing sanitary sewers for Sewage Disposal System No. I of the City of Livonia For a complete statement of the revenues from which and the conditions under which this bond is payable, a statement of the conditions under which additional bonds of equal standing may hereafter be issued, and the general covenants and provisions pursuant to which this bond is issued reference is made to the above-described Ordinance Bonds of this issue may be called for redemption as a whole, at the option of the City, on any interest payment date on or after March 1, 1953. The right is reserved of redeeming bonds numbered 581 to 700, inclusive, maturing in the years 1974 to 1981, inclusive, at the option of the City, in inverse numerical order, on any interest payment date on or after March 1, 1965 The redemption price of all bonds called for redemption prior to maturity, whether as a whole or in part, shall be par and accrued interest to the date fixed for redemption plus a premium as follows - $30.00 ollows •$30.00 on each bond called for redemption prior to March 1, 1965 $20 00 on each bond called for redemption on or after March 1, 1965, but prior to March 1, 1971. $10 00 on each bond called for redemption on or after March 1, 1971, but prior to March 1, 1977 No premium will be paid on bonds called for redemption on or after March 1, 1977 Page 309 Notice of redemption shall be given thirty (30) days in advance of the redemption date by publication in a financial paper published in the State of Michigan, and in case of registered bonds, thirty (30) days! notice shall be given by mail to the registered address Bonds so called for redemption shall not bear interest after the date fixed for redemption, provided funds are on hand with the paying agent to redeem said bonds This bond is a self-liquidating bond, and is not a general obligation of the City of Livonia, and does not constitute an indebtedness of the City of Livonia within any Constitutional or statutory limitation, and is payable, both as to principal, and interest, solely from the revenues of said Sewage Disposal System No. 1 of the City of Livonia The principal and interest on this bond are secured by the statutory lien hereinbefore mentioned The City of Livonia has covenanted and agreed, and does hereby covenant and agree, to maintain at all times while any of said bonds are outstanding, such rates for service furnished by said Sewage Disposal System No. 1 as shall be sufficient to provide for the payment of expenses of administration and operation and such expenses for maintenance of said System as may be necessary to preserve the same in good repair and working order, to provide for the payment of interest upon and the principal of all bonds payable therefrom as and when the same become due and payable and for the creation of a reserve therefor, and to provide for such other expenditures and funds for said facilities as are required by said Ordinance. This bond and the interest thereon are exempt from any and all taxation whatsoever by the State of Michigan or by any taxing authority within said State. This bond may be registered as to principal only on the books of the City Treasurer in the name of the holder, and such registration noted on the back hereof by the City Treasurer, after which no transfer shall be valid unless made on the books and noted on the back hereof in like manner, but transferability by delivery may be restored by registration to bearer Such registration shall not affect the negotiability of the interest coupons It is hereby certified and recited that all acts, conditions and things required by law precendent to and in the issuance of this bond and the series of which this is one have been done and performed in regular and due time and form as required by law. IN WITNESS WHEREOF the City Council of the City of Livonia, County of Wayne, State of Michigan, has caused this bond to be signed in the name of said City by the Mayor and countersigned by the City Clerk, and the corporate seal of the City to be affixed hereto, and the coupons hereto attached to be signed by the facsimile signatures of said Mayor and City Clerk, as of the first day of March, A D 1951. CITY OF LIVONIA lio By Mayor (Seal) Countersigned City Cleric Page 310 (Form of Coupon) NO. $ On the first day of A D 19 , unless the bond to which this coupon pertains shall have been called for recTemption, the CITY OF LIVONIA, Wayne County, Michigan, will pay to the bearer the sum of Dollars, in the manner and out of the revenues described in said bond, at Detroit Trust Company, Detroit, Michigan, being the semi—annual interest due that day on its Sewage Disposal System No. I Revenue Bond, Series I, dated March 1, 1951, NO This coupon is not a general obligation of the City of Livonia but is payable from certain revenues as set forth in the bond to which it pertains Mayor City Clerk REGISTRATION NOTHING TO BE WRITTEN HEREON EXCEPT BY THE CITY TREASURER Date of Registration : Name of Registered Owner : Registrar : • Section 22 The City Clerk is hereby authorized and directed to make application to the b!unicipal Finance Commission for authority to issue and sell said bonds, and for approval of the form of notice of sale of said bonds in accordance with provisions of Act 202, Public Acts of Michigan, 1943, as amended, and of Act 94, Public Acts of Michigan, 1933, as amended. Section 23. If any section, paragraph, clause or provision of this Ordinance shall be held invalid, the invalidity of such section, paragraph, clause or provision shall not affect arxr of the other provisions of this Ordinance. Section 24. All ordinances, resolutions, or orders, or parts thereof, in conflict with the provisions of this Ordinance are to the extent of such conflict hereby repealed Section 25 This Ordinance shall be published in full in The Livonian a newspapers general circulation in the City of Livonia within one week of its passage. Section 26 This Ordinance shall become effective immediately upon its adoption, to-wit: January 29th, 1951 Page 311 A roll call vote was taken on the foregoing ordinance with the following result. YEAS. Grimm, Jahn, Carey, Edgar, Taylor, Whitehead and Wolfe. NAYS. None The President declared the foregoing ordinance was adopted The Mayor, Jesse Ziegler, then approved said ordinance and affixed his signature thereto as evidence of such approval The President declared said ordinance shall become effective immediately under the provisions of Section 6, Act 9L., Public Acts of Michigan, 1933, as amended and ordered that said ordinance be published in full in the Livonian on Friday, February 2, 1951. Councilman Taylor made a motion that the following resolution be adopted• g----2--c-0RESOLVED, that Mr Al Roth, consulting engineer, be and hereby is authorized and directed to transmit to the Ford Motor Company, General Motors Corporation and the Michigan Racing Association certified copies of Ordinance #26, together with minutes of its adoption and explanatory material prepared by said engineer, and that said engineer be further authorized to negotiate contracts with said parties relative to their connection with the sewers described in said ordinance and the payment of rates and charges specified therein. The foregoing motion was seconded by Councilman Jahn and a roll call vote was taken with the following result: YEAS• Grimm, Jahn, Carey, Edgar, Taylor, Whitehead and Wolfe NAYS: None The President announced the foregoing resolution was adopted. Mr Roth then presented to the Council a proposed form of advertise- ment for the construction of sewers and pumping station under the provisions Il i of Ordinance #26 Councilman Edgar made a motion that the following resolution be adopted Page 312 /1-351 RESOLVED, that the form of advertisement prepared by Hubbell, Roth & Clark, Inc , consulting engineers, for the con- struction of sewers and pumping station authorized under Ordinance No 26, which form has been identified by the signature of the City Clerk, be and hereby is approved and the City Clerk is hereby authorized and directed to cause said advertisement to be pub- lished in the Michigan Contractors and Builders on February 10, and February 17, 1951, and in the Livonian on February 9, and February 16, 1951 The foregoing motion was seconded by Councilman Whitehead and a roll call vote was taken with the following result: YEAS: Grimm, Jahn, Carey, Edgar, Taylor, Whitehead and Wolfe. NAYS: None The President declared the foregoing resolution was adopted: Mr Nunneley presented a proposed resolution as to Notice of Sale of bonds. Councilman Whitehead made a motion that said resolution be adopted as follows A4 352- WHEREAS by Ordinance No 26 adopted by the City Council on January 29, 1951, the City of Livonia has authorized the issue of $700,000 00 Sewage Disposal System No. I Revenue Bonds, Series I, dated March 1, 1951. IT IS HEREBY RESOLVED that the City Clerk cause notice of sale of said bonds to be published in the Michigan Investor as soon as the form of said notice is approved by the ".unicipal Finance Commission, setting the date of sale for a regular or special meeting of the City Council occurring more than fourteen (14) days after such publication RESOLVED, FURTHER, that said notice be in substantially the following form, subject to any changes which may be required by the Municipal Finance Commission- NOTICE OF SALE $700,000 00 CITY OF LIVONIA, MICHIGAN SEWAGE DISPOSAL SYSTEM NO.I REVENUE BONDS SERIES I Page 313 SEALED BIDS for the purchase of Sewage Disposal System No I Revenue Bonds, Series I, of the City of Livonia, Wayne County, Michigan, 110 of the par value of $700,000 00, will be received by the undersigned at his office in the City of Livonia, Michigan, until the day of , 1951, at o'clock m , Eastern Standard Time, at which time and place they will-7-Publicly opened and read. The bonds will be dated as of March 1, 1951, and shall mature serially as follows $15,000 March 1st of each of the years 1953 and 1954; $30,000 March 1st of each of the years 1955 to 1958, inclusive; $10,000 March 1st of each of the years 1959 and 1960; $35,000 March 1st of each of the years 1961 to 1964, inclusive; $30,000 March 1st of each of the years 1965 and 1966, $25,000 March 1st of each of the years 1967 and 1968, $20,000 March 1st of each of the years 1969 to 1973, inclusive, $15,000 March 1st of each of the years 1974 to 1981, inclusive; Said bonds shall be coupon bonds, registerable as to principal only, of the denomination of $1,000 each, numbered consecutively in direct order of maturity from 1 to 700, inclusive, and shall bear interest from their date at a rate or rates not exceeding four per cent (4%) per annum, expressed in multiples of 1/4 of 1%, and said interest shall be payable on September 1, 1951, and semi-annually thereafter on March 1st and September 1st of each year, both principal and interest being payable at DETROIT TRUST COMPANY, Detroit, Michigan. Accrued interest to the date of delivery of said bonds must be paid by the purchaser at the time of delivery The interest rate for each coupon period on any one bond shall be at one rate only. Bonds of this issue may be called for redemption as a whole, at the option of the City, on any interest payment date on or after September 1, 1953. Bonds numbered 581 to 700, inclusive, maturing in the years 1974 to 1981, inclusive, shall be subject to redemption prior to maturity, at the option of the City, in inverse numerical order, on any interest payment date on or after September 1, 1965. The redemption price of all bonds called for redemption prior to maturity, whether as a whole or in part, shall be par and accrued interest to the date fixed for redemption, plus a premium as follows : $L0 00 on each bond called for redemption prior to March 1, 1965. $20 00 on each bond called for redemption on ar after March 1, 1965, but prior to March 1, 1971 $10.00 on each bond called for redemption on or after March 1, 1971, but prior to March 1, 1977 No premium will be paid on bonds called for redemption on or after March 1, 1977 Notice of redemption shall be given thirty (30) days in advance of the redemption date by publication in a financial paper published in the State of Michigan, and in case of registered bonds, thirty (30) days' notice shall be given by mail to the registered address Bonds so called for redemption shall not bear interest after the date fixed for redemption, provided funds are on hand with the paying agent to redeem said bonds Page 3114 No proposal for the purchase of less than all of the bonds, nor for less than their par value will be considered Said bonds are to be issued under Act 914, Public Acts of Michigan, 1933, as amended, for the purpose of paying the cost of acquiring and constructing sanitary sewers as a part of Sewage Disposal System No I of the City of Livonia Said bonds are not general obligations of the City but are payable solely from the revenues of said System, and are a first and prior lien on all such revenues, subject only to payment of expenses of administration, operation and maintenance. For the purpose of awarding the bonds, the interest cost of each bid will be computed by determining, at the rate or rates specified therein, the total dollar value of all interest on the bonds from (Here insert the first day of the month next following the date of receiving bids or the date of the bonds, whichever is later) to their maturity and deducting therefrom any premium The bonds will be awarded to the bidder whose bid on the above computation produces the lowest interest cost to the City of Livonia A certified or cashier's check in the amount of $14,000 drawn upon an incorporated bank or t rust company and payable to the order of the Treasurer of the City of Livonia must accompany each bid as a guaranty of good faith on the part of the bidder, to be forfeited as liquidated damages if such bid is accepted and the bidder fails to take up and pay for the bonds No interest will be allowed on the good faith checks, and checks of unsuccessful bidders mill be promptly returned to each bidder's representative or by registered mail. Bids shall be conditioned upon the unqualified opinion of Miller, Canfield, Paddock and Stone, attorneys of Detroit, Michigan, which opinion will be furnished without expense to the purchaser of the bonds prior to the delivery thereof, approving their legality. The City shall furnish bonds ready for execution at its expense Bonds will be delivered at the City of Detroit, or at such other place as may be agreed upon with the purchaser. The right is reserved to reject any and all bids Envelopes containing the bids should be plainly marked "Proposal for Bonds " City Clerk Dated The foregoing motion was seconded by Councilman Carey and a roll call vote was taken with the following result: YEAS. Grimm, Jahn, Carey, Edgar, Taylor, Whitehead and Wolfe NAYS: None The President declared the foregoing resolution was adopted Page 315 The Council received the recommendation of the City Planning Commission and the City Engineer that the proposed plat of Rosedale Gardens #10 Subdivision be tentatively approved Councilman Whitehead made a motion that the following resolution be adopted 4'3,53 RESOLVED, that the proposed plat of Rosedale Gardens #10 Subdivision, as submitted to the Council and identified by the signature of the City Clerk, be and hereby is tentatively approved on the condition that final approval shall not be made until the plat is submitted according to law and until all pro- per improvements are completed, including construction of roads and sewers, or adequate bond in lieu thereof furnished; that all improvements shall be subject to the approval of the City Engineer; and that the plans of such improvements as submitted with such proposed plat are hereby approved The foregoing resolution was seconded by Councilman Grimm and a roll call vote was taken with the following result. YEAS- Grimm, Jahn, Carey, Edgar, Taylor, Whitehead and Wolfe NAYS: None The President declared the foregoing resolution was adopted: Pursuant to the instructions of the Council issued on January 22, 1951, the City Attorney presented a proposed ordinance amending the zoning ordinance. Councilman Grimm introduced said ordinance as follows: NO .2.4P AN ORDINANCE TO AMEND PORTIONS OF SECTIONS 23, 25, 27, 33 and 3L OF THE ZONING MAP OF THE CITY OF LIVONIA OF ORDINANCE NO 7 ENTITLED- "AN ORDINANCE TO ESTABLISH DISTRICTS IN THE CITY OF LIVONIA; TO REGULATE TIE USE OF LAND AND STRUCTURES THEREIN, TO REGULATE AND LIMIT THE HIEGHT, THE AREA, THE BULK AND LOCATION OF BUILDINGS, TO REGULATE AND RESTRICT THE LOCATION OF TRADES AND INDUSTRIES AND THE LOCATION OF BUILDINGS DESIGNED FOR SPECIFIC USES, TO REGULATE AND DETERMINE THE AREA OF YARDS, COURTS AND OTHER OPEN SPACES, TO REGULATE THE DENSITY OF POPULATION; TO PROVIDE FOR THE ADMINISTRATION AND ENFORCEMENT OF THIS ORDINANCE; TO PROVIDE FOR A BOARD OF APPEALS AND ITS POKERS AND DUTIES; TO PROVIDE A PENALTY FOR THE VIO- LATION OF THE TERMS THEREOF, AND TO ADOPT THE ZONING ORDINANCE OF THE T( NSItP OF LIVONIA, AMENDMENTS THERETO AND ZONING MAP", AND SECTION 3(A) OF SAID ORDINANCE NO 7. Page 316 THE CITY OF LIVONIA ORDAINS : Section 1 The following definitions are hereby adopted: (a) Zoning Ordinance, as hereinafter used in this ordinance, is defined as Ordinance No 7 of the City of Livonia entitled• "An Ordinance to Establish Districts in the City of Livonia, to Regulate the Use of Land and Structures Therein; to Regulate and Limit the Height, the Area, the Bulk and Location of Buildings, to Regulate and Restrict the Location of Trades and Industries and the Location of BuildingsEesigned for Specific Uses, to Regulate and Determine the Area of Yards, Courts and Other Open Spaces; to Regulate the Density of Population; to Provide for the Administration and Enforcement of this Ordinance, to Provide for a Board of Appeals, and its Powers and Duties; to Provide a Penalty for the Violation of the Terms Thereof; and to Adopt the Zoning Ordinance of the Township of Livonia, Amendments Thereto and Zoning Map", as amended. (b) The term Zoning Map, as used in this ordinance, is here- by defined to mean the Zoning Map adopted in Section 3 of said Zoning Ordinance (c) The term Petition or Petitions, as used in this ordinance, is defined to mean petitions to amend said Zoning Ordinance filed with the Council and referred to the City Planning Commission for report and recommendations. Section 2 The report and recommendations of the City Planning Commission on Petitions Numbered 16, 17, 19, 20 and 22 to amend said Zoning Ordinance is hereby accepted and adopted. Section 3 Portions of Sections 23, 25, 27, 33 and 34 of the Zoning Map of the City-of Livonia of said Zoning Ordinance, as amended, and Section 3(A) of said Zoning Ordinance, are hereby amended as follows (a) Petition #16 is granted and the zoning classification of the premises described therein is hereby changed to M-1, on the condition, however, that the owners of said premises shall observe and maintain a building line set back of at least 60 feet from the center line of both Plymouth and Middlebelt Roads (b) Petition #17 is granted and the zoning classification of the premises described therein is changed to R-1-B. (c) Petition #19 is hereby granted and the zoning classification of the premises described therein is changed to M-1, on the condition, however, that the owners of said premises shall observe and maintain a building line set back of at least 60 feet frau the center line of Plymouth Road (d) Petition #20 is hereby granted and the zoning classification of the premises described therein, to a depth of 425 feet from the center line of Plymouth Road, is changed to C-2, on the condition, however, that the owners of said premises shall observe and maintain a building line set back of at least 60 feet from the center line of Plymouth Road, at least 40 feet from the center line of Stark Road and at least 75 feet from the center line of Farmington Road Page 317 (e) Petition #22 is hereby granted and the zoning classification of the premises therein described is changed to C-2, onthe condition, however, that the owners of said premises shall observe and maintain a building line set back of at least 60 feet from the center line of Plymouth Road and at least 75 feet from the center line of Farmington Road (f) The classification and district changes made by granting Petitions Numbered 16, 17, 19, 20 and 22, to the extent above indicated, are hereby included in Section 3(A) of said Zoning Ordinance, as amended (g) Those portions of Section 23, 25, 27, 33 and 3L of said Zoning Map, which include premises described in said Petitions Numbered 16, 17, 19, 20 and 22, are hereby amended to conform to the changes made in the foregoing paragraphs (a), (b), (c), (d) and (e) of this Section; and the attached amended Zoning Map No 4 showing such changes and amendments, is hereby approved and made a part hereof Section 4. All proceedings on said petitions Numbered 16, 17, 19, 20 and 22 are hereby approved, a public hearing thereon having been duly held as provided by law and proper notice of such hearing, including full description of the premises described in said petition, having been duly published. Section 5 All ordinances or parts of ordinances in conflict herewith are hereby repealed only to the extent necessary to give this ordinance full force and effect. Section 6 Should arty portion of this ordinance be held invalid for any reason, such hading shall not be construed as affecting the validity of any of the remaining portion of this ordinance. The foregoing ordinance was placed on the table for final voting at the next regular meeting of the Council. The City Attorney, William Brashear, made a report on rent control. Councilman Taylor, chairman of the Committee of Garbage Disposal, submitted a report which was read by the clerk On motion of Councilman Edgar, seconded by Councilman Whitehead and unanimously carried by the affirmative vote of all of the Councilmen named as present in the roll call of this meeting, it was : /J, 3S171 RESOLVED, that the report of the Committee on Garbage Disposal be and hereby is accepted and the City Attorney is hereby instructed to prepare an ordinance in accordance with the recommendations contained in such report Page 318 Councilman Edgar, Chairman of Insurance Committee, made a report on distribution of commissions On motion of Councilman Jahn, seconded by Councilman Carey and unanimously carried by the affirmative vote of all of the Councilmen named as present in the roll call of this meeting, it was . ,35-5- RESOLVED, that the report of the Insurance Committee be and hereby is accepted and placed on file The report of City Engineer Hamill and Lester French, Director of Public Works, as to paving of parking lot on school grounds, was read and on motion of Councilman Whitehead, seconded by Councilman Grimm and unanimously carried by the affirmative vote of all of the Councilmen named as present in the roll call of this meeting, it was • -3 SG RESOLVED, that the said report of the City Engineer and the Director of Public Works is accepted and placed on file On motion of Councilman Taylor, seconded by Councilman Jahn and unanimously carried, the meeting was adjourned at 11.22 P M., January 29, 1951. ar , y er Attested. 14), S Mlle, President /