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parks and Recreation Committee <br /> March 23, 1992 <br /> Page 2 <br /> perspective. Mr. Nussbaum also noted that Cole Associates provided a maintenance manual <br /> for various fixtures located within the Stadium. <br /> Council Member Coleman noted that the balance in the Next Door Neighborhood Account <br /> is $8,000.00 rather than the $12,000.00 indicated earlier. He further added that having a <br /> capital improvement program was in line with other dedicated funds from revenue <br /> generating operations under the direction of the Park Department. <br /> In response to a question raised by Council President Luecke, it was noted that the City <br /> receives a percentage of the gross revenues from concessions, ticket sales, suite rentals, <br /> radio and television contracts, and advertising. Mr. Nussbaum noted that between 800 to <br /> 900 season tickets are sold each year. It is also noted that the stadium debt payments <br /> would be paid in full in 1997. <br /> Following further discussion, Council Member Kelly made a motion, seconded by Council <br /> Member Slavinskas, that Bill No. 20-92 be recommended favorably to Council. The <br /> motion passed. There being no further business to come before the Committee the meeting <br /> was adjourned at 5:30 p.m. <br /> Respectfully submitted, <br /> Council Member Sean Coleman, Chairperson <br /> Parks and Recreation Committee <br />