Comment
  
  
Additional Comments
  
  
  
Board Letter003831519.pdf
  
Use of Revenues from Fiscal Year 1995-96 (Revised)
8-2 revBoard of Directors^Water Planning and Resources Committee
19971/14/199701-Jan
Board Letter003831532.pdf
  
Use of Revenues from Fiscal Year 1995-96
8-2Board of Directors^Water Planning and Resources Committee
19971/14/199701-Jan
Board Letter003831516.pdf
  
Twelfth Year of Voluntary Research Subscription Program--American Water Works Association Research Foundation
7-5Board of Directors^Executive Committee
19971/14/199701-Jan
Board Letter003831531.pdf
  
Transmittal of Monthly Water Sales by Year 1995-96 Report
9-8Board of Directors^Water Planning and Resources Committee
19971/14/199701-Jan
Board Letter003831518.pdf
  
Statement of Metropolitan's Boundary Changes
9-9Board of Directors
19971/14/199701-Jan
Board Letter003831523.pdf
  
Resolution to Adopt Wheeling Rates Effective January 15, 1997 (Revised)
8-1Board of Directors^Executive Committee^Water Planning and Resources Committee
19971/14/199701-Jan
Board Letter003831515.pdf
  
Resolution to Adopt Wheeling Rates Effective January 15, 1997
8-1Board of Directors^Executive Committee^Water Planning and Resources Committee
19971/14/199701-Jan
Board Letter003831526.pdf
  
Resolution of Necessity Directing the General Counsel to Condemn Property Required for the Inland Feeder Project
8-7Board of Directors^Legal and Claims Committee
19971/14/199701-Jan
Board Letter003831530.pdf
  
Report on Metropolitan's Temporary, Consultant and Regular Employee Trends
9-10Board of Directors^Subcommittee on Organization and Personnel
19971/14/199701-Jan
Board Letter003831536.pdf
  
Recommended Water Rates for Fiscal Year 1997-98 and Resolution Giving Notice of Intention to Impose Charges
8-9Board of Directors^Water Planning and Resources Committee
19971/14/199701-Jan
Board Letter003831537.pdf
  
Raise the Maximum Amount of the Contract by $250,000 to a Maximum of $673,000 for Legal and Related Consulting Services for the New Headquarters at Union Station.
7-4Board of Directors^Executive Committee^Legal and Claims Committee
19971/14/199701-Jan
Board Letter003831527.pdf
  
Operating Data for November 1996
9-1Board of Directors
19971/14/199701-Jan
Board Letter003831533.pdf
  
Legal Department Report for December, 1996
9-2Board of Directors^Legal and Claims Committee
19971/14/199701-Jan
Board Letter003831529.pdf
  
General Manager's Work Plan for Fiscal Year 1996-97
9-11Board of Directors^Executive Committee
19971/14/199701-Jan
Board Letter003831514.pdf
  
Fiscal Year 1996-97 Second Quarter Status Report on the Local Projects and Groundwater Recovery Programs
8-4Board of Directors^Engineering and Operations Committee
19971/14/199701-Jan
Board Letter003831521.pdf
  
Executive Financial Summary
9-4Board of Directors
19971/14/199701-Jan
Board Letter003831535.pdf
  
Business Development Program: Approval to Respond to Black and Veatch's Request for Metropolitan Engineering Services
8-11Board of Directors^Executive Committee
19971/14/199701-Jan
Board Letter003831534.pdf
  
Authorization to Pay 1997 Invoices Under State Water Service and Devil Canyon-Castaic Contracts
8-8Board of Directors^Executive Committee^Water Planning and Resources Committee
19971/14/199701-Jan
Board Letter003831524.pdf
  
Authorization to Execute an Agreement for Relocation and Protection of Portions of the Second Lower Feeder
7-1Board of Directors^Engineering and Operations Committee
19971/14/199701-Jan
Board Letter003831538.pdf
  
Authorization No. 37 to Increase Appropriation No. 15 123 by $48,800,000 from $1,633,052,000 to $1,681,852,000 to Expend Budgeted Funds and to Award a Construction Contract for the Inlet/Outlet Tower of the Eastside Reservoir Project. :,
Board of Directors^Engineering and Operations Committee
19971/14/199701-Jan
Board Letter003831512.pdf
  
Authorization No. 11 to Increase Appropriation No. 15122 by $115,500,000 from $151,760,000 to $267,260,000 to Expend Budgeted Funds and Award a Construction Contract for the Construction of the Arrowhead East Tunnel of the Inland Feeder Project
8-3Board of Directors^Engineering and Operations Committee
19971/14/199701-Jan
Board Letter003831525.pdf
  
Authorization No. 1 to Appropriation No. 15268 to Increase Funding From $1,271,000 to $7,150,000 to Expend Budgeted Funds to Finance all Estimated Costs of Phase Two of the Record Drawing Restoration Program, and to Amend an Agreement
8-6Board of Directors^Engineering and Operations Committee
19971/14/199701-Jan
Board Letter003831522.pdf
  
Audited Cash Basis Financial Statements as of September 30,1996
9-5Board of Directors^Special Audit Committee
19971/14/199701-Jan
Board Letter003831520.pdf
  
Audit Department Report for December 1996
9-3Board of Directors
19971/14/199701-Jan
Board Letter003831517.pdf
  
Appropriation No. 15297 for $1,900,000 to Assess the Condition of Metropolitan's Prestressed Concrete Cylinder Pipe, and Delegation of Authority to Award Contracts RECOMMENDATIONS
7-2Board of Directors^Executive Committee
19971/14/199701-Jan
Board Letter003831528.pdf
  
Amendment to Administrative Code Section 10 100 et seq., Retention and Disposition of Records
7-6Board of Directors^Executive Committee
19971/14/199701-Jan
Board Letter003831513.pdf
  
$267,260,000 to $271,960,000 to Expend Budgeted Funds and Award a Construction Contract for Installation of a Portion of the Mentone Pipeline of the Inland Feeder Project RECOMMENDATIONS
8-4Board of Directors^Engineering and Operations Committee^Water Planning and Resources Committee
19971/14/199701-Jan