MINUTES OF THE MONTHLY MEETING
SECTOR 2A AT SNOHOMISH
CASCADE ASSOCIATION BOARD
7:00 PM
WEDNESDAY, MARCH 12, 2003
CALL TO ORDER/APPROVAL OF MINUTES
- Steve Yandl called the meeting to order at 7:00 pm. In attendance were Steve Yandl, Sue Ann Goldman, Bill Malowney,
Betty Malowney, Tim Rizzo, and Brian Skinner
(landscaper)
- Steve Yandl presented the minutes from the February 12
meeting. Sue Ann Goldman made a
motion to accept the minutes, Bill Malowney
seconded the motion. Motion to
accept the minutes carried 5-0.
GROUNDS & MAINTENANCE UPDATE
- Initial
cleanup of detention ponds completed by Skinner’s crews. New padlock required (turns out these
belong to county, to be replaced by SWM)
- Boy
Scout troop started trail project Feb 23.
Bill moved property line string over to accommodate adjacent
owners.
- Fence
project is on schedule. We will pay
$35.00/hour for repairs as needed on top of the basic cleaning and
painting.
LETTERS TO THE BOARD
- Sue
Ann Goldman summarized a letter from the Beardsley
family that was for the Architectural Control Committee. Gave the letter to Bill Malowney.
- Sue
Ann Goldman summarized a letter regarding downed trees in the adjacent
development and passed the letter on to Bill Malowney.
- Sue
Ann Goldman summarized the January letter from Leavitt terminating the
development period.
PRESENTATION FROM COUNTY SURFACE WATER MANAGEMENT
- Nat
Washington reported that the homeowner’s association has the
responsibility for landscape type cleaning of both detention ponds
- Because
the pond in the NW corner of the development is considered in the “public
right of way”, the county is obliged to maintain the control structure
(potentially the expensive part of cleanup). The HOA has to maintain the control
structure in the NE corner pond.
- Nat
provided a list of guidelines for the maintenance. Special note that we are prohibited from
adding carp or other non native fish species.
- Nat
provided the drainage plan (schematic map) for the NW pond and promised to
provide a copy for the West side.
He suggested we contact Leavitt for additional copies.
- Suggestion
that we measure the depth of sediment in the control structure on a
regular basis. Nat provided a list
of contractors who can clean the control structures.
- Nat
suggested that actual risk from mosquitoes (West Nile virus) is fairly low
but that county health is assessing options.
- The
$65 paid on our tax bill for surface water management pays for education
programs, inspections, maintenance of previously established storm
detention, etc. but not maintenance of our ponds which is our
responsibility.
- Leavitt
had not been released from his bond for the NE corner pond. They will need to perform a maintenance
on the control structure before they are cleared.
NEW BUSINESS
- Discussion
of the option to have Clearview Water Supply
group to landscape around their concrete vaults along Snohomish Cascade
Drive instead of fencing as they had planned. Bill Malowney
also reported that he has made them aware of sprinkler damage and they plan to make
repairs as specific damage is revealed.
Bill Malowney moved that we OK the bunker
landscaping option, Steve Yandl seconded the
motion which was approved 5-0.
Steve Yandl will prepare the letter and
send to the Clearview Group.
- Discussion
of changing Skinner’s landscape contract to include turf aeration and
detention pond maintenance at an added cost of $56 per month plus a tie to
the CPI for future price increases.
Steve Yandl made the motion to authorize
Bill Malowney to authorize such a contract
renewal, Sue Ann Goldman seconded, motion carried 5-0.
- Plan
to introduce new board members and officers at the large Spring
meeting. We will plan to elect
these officers at next month’s meeting and finalize plans for the General
meeting in the Spring.
OLD BUSINESS
- Bill Malowney reported that he stopped Sherman Knight from
doing more follow-up research on application of a lien on the lot of Dale
and Sandy Wise. This was prompted
by Sandy Wise’s commitment to make payment
beginning with $1000 to be handed over to Steve Yandl
on March 18 with two remaining amounts to be paid before the end of April.
- We
discussed putting the fence budget money in a short term CD rather than
hold in checking. Steve Yandl made the motion to direct Sue Ann Goldman to buy
an extra CD. Bill Malowney seconded the
motion. More discussion resulted on
the particulars. Motion was amended
to say that money in excess of three months operating funds be invested in
3 month CDs. Bill Malowney made the new motion, Steve Yandl seconded and it carried 5-0.
TREASURER’S REPORT
- Sue
Ann Goldman reports that 18 people have not yet paid the annual and
special assessments for 2003
- There
is $60,328 in checking and $28,426 in CDs.
- We
have some credits based on new PUD billing arrangements but rates could go
up and quickly offset the credits.
MEETING ADJOURNED AT 8:55PM