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1999-0615_ ALL CITY MANAGEMENT SERVICES, INC._D9_Item Minutes S. APPROVAL OF AGREEMENT WITH TRAUMA INTERVENTION PROGRAM, INC. (600.30) As set forth in the Report dated June 15, 1999, from the Chief of Police Services, the Agreement with Trauma Intervention Program, Inc., was approved for a one-year period ending June 30, 2000 in the amount of$3,396.72. —� 9. APPROVAL OF AMENDMENT TO AGREEMENT FOR CROSSING GUARD SERVICES (ALL CITY MANAGEMENT SERVICES) (600.30) T As set forth in the Report dated June 15, 1999, from the Chief of Police Services, the Amendment to the Agreement for the provision of crossing guard services was approved for a one-year period ending June 30, 2000, in the amount of$25,834. 10. APPROVAL OF REQUEST FOR PROPOSAL FOR REUSE OF THE OLD FIRE STATION RECREATION FACILITIES COMPLEX (600.30) As set forth in the Report dated June 15, 1999, from the Community Services Director, the Request for Proposal package for the reuse of the City's Old Fire Station Recreation Complex was approved for distribution, and the Parks, Recreation and Equestrian Commission was requested to establish a two-member committee to assist with review of submitted proposals. 11. APPROVAL OF CONTRACT FOR CUSTODIAL MAINTENANCE SERVICES FOR CITY BUILDINGS/FACILITIES AND PARK RESTROOMS(VOCATIONAL VISIONS) (600.30) As set forth in the Report dated June 15, 1999, from the Public Works Director,the contract with Vocational Visions to provide custodial services for City buildings, facilities and park restrooms, was approved for a one-year period ending June 30, 2000, in the amount of $60,166. 12. APPROVAL OF CONTRACT FOR SANITARY SEWER LINE MAINTENANCE (EMPIRE PIPE CLEANING & EQUIPMENT INC.) (600.30) As set forth in the Report dated June 15, 1999, from the Public Works Director, the contract with Empire Pipe Cleaning and Equipment Inc.,to provide annual maintenance and cleaning of City sewer and drainage systems was approved for a two-year period ending .lune 30, 2001, in the amount of$152,000. Ill. RFCEIVI' AND FILE CASH BAI ANCFS BY FUND FOR APRIL 30 1999 130.50 The City I rcasurcr's Report of Cash Fund Balances for the month of April 30, 1999, was ordered received and filed. ('Iiv Council Muurtc� -�_ 6/]5/99