2022-06-14 CC Agenda PacketPLEASE TURN OFF ALL CELL PHONES & PAGERS IN COUNCIL CHAMBERS.
CITY OF MOUND MISSION STATEMENT: The City of Mound, through teamwork and cooperation, provides at a reasonable cost,
quality services that respond to the needs of all citizens, fostering a safe, attractive and flourishing community.
AGENDA
MOUND CITY COUNCIL
REGULAR MEETING
1. Opening meeting
2. Pledge of Allegiance
3. Approve agenda, with any amendments
TUESDAY, JUNE 14, 2022 - 7:00 PM
MOUND CITY COUNCIL CHAMBERS
*Consent Agenda: Items listed under the Consent Agenda are considered routine in nature, have been evaluated by
staff, recommended by staff for approval by the Council, and will be enacted by a single roll call vote. There will be no
separate discussion of these items unless a Council Member or Citizen so requests. At this time, anyone present who
wishes to offer dissenting comment to any items on the Consent Agenda is invited to identify themselves and the item
of concern so that the it may be removed from the Consent Agenda and considered after discussion in normal sequence.
Separate introduction or further support from petitioners or requestors is not required at this time and removal of an
item from the Consent Agenda for this purpose is not required or appropriate.
4. *Consent Agenda Page
*A. Approve payment of claims 1185 - 1217
*B. Approve minutes: May 24, 2022 Regular Meeting 1218 - 1222
*C. Approve Resolution Approving Public Gathering Permit for use of Surfside 1223 - 1226
Park and Beach on Lake Minnetonka by Westwood Church for Baptisms on 1225
Sunday, June 26, 2022 from 11:00 a.m. to Noon
*D. Approve Resolution Approving Public Gathering Permit and Musical Concert 1227 - 1232
Permit for Youth Skateboarding Competition to be held at Zero Gravity Skate 1229
Park on Sunday, June 26, 2022 from Noon to 4:00 p.m.
*E. Approve miscellaneous pay request for 2021 Liftstation Improvement Project 1233 - 1234
PW 21-03 in the amount of $3,750.00 to Norling's Lake Minnetonka Landscapes
for restoration plantings in support of the project
5. Comments and suggestions from citizens present on any item not on the agenda.
(Limit to 3 minutes per speaker.)
6. Sergeant Sonnek and the Mound Activity Report for May 2022.
7. Steve McDonald from Abdo, Eick and Meyers, LLP presenting the 2021
City Annual Financial Report and requesting action receiving same
(Also see separate report).
1235 - 1249
1250 - 1254
PLEASE TURN OFF ALL CELL PHONES & PAGERS IN COUNCIL CHAMBERS.
8. City Engineer requesting discussion and action on resolutions to approve quotations 1255 - 1260
and award 2022 Public Works Project contracts:
A. Resolution Accepting Bed for the Downtown Paver Sidewalks Replacement 1256
Project Phase 1 City Project No. PW 22-08
B. Resolution Accepting Bid for the 2022 Crack Repair Project, PW 22-06 1258
C. Resolution Awarding Contract for 2022 Fog Seal Improvement Project, PW 22-07 1260
9. Review/consideration of proposed purchase agreement from NHH Properties to 1261 - 1287
acquire City property in Harbor District
A. Requested Action:
Approve Resolution Approving the Purchase Agreementfor the Sale of One 1286
Parcel of City -Owned Property Located in the City ofMound
10. Review/consideration of actions related to Mound Harbor 2°d Addition for Artessa 1288 - 1322
Mound (formerly Zvago Mound) in Harbor District by Lifestyle Communities, LLC
A. Requested Action:
Approve Resolution Approving Third Amendment to Purchase and 1289
Development AgreementforMound Harbor 2"d Addition
B. Requested Action:
Approve Resolution Approving Revisions to the Timelines in the 1294
Development AgreementforMound Harbor 2"d Addition
11. Review/consideration of action related to declaring public nuisance and authorizing 1323 - 1328
an enforcement action to abate for property at 4900 Edgewater Drive
A. Requested Action
Approve Resolution Declaring a Public Nuisance and Authorizing an Enforcement 1324
Action to Abate the Nuisance
12. Review/discussion of City Code Sec 42 (nuisances) related to noxious weed and 1329 - 1330
grass height regulations and City process for notification and abatement to include
any required Council action
13. Information/Miscellaneous
A. Comments/Reports from Council members
B. Reports: Finance Dept. —April 2022 1331 - 1333
Liquor Store — May 2022 1334
C. Minutes:
D. Correspondence: LMCD Updates 1335 - 1337
PLEASE TURN OFF ALL CELL PHONES & PAGERS IN COUNCIL CHAMBERS.
Gillespie Center "Rockin' the Block" Flyer 1338 - 1339
Met Council 2022 Population and Households Estimates 1340 - 1344
Email from Hans Hummel RE Wolner Field Scoreboards 1345 - 1347
14. Adjourn
COUNCIL BRIEFING
June 14, 2022
Council meetings are held in the City Council Chambers in the Centennial Building on the second and
fourth Tuesday each month at 7:00 PM with agendas and meeting details/locations posted to the City
website the Thursday prior under the "Mayor and Council' section of the "Government" tab of the
Home Page. Government I Mound, MN (cityofmound.com)
*** All Meetings At City Council Chambers, Centennial Building ***
Upcoming Events Schedule: Don't Forget!!
June 14— 6:55 PM — HRA Regular Meeting (as may be required)
June 14 — 7:00 PM — City Council Regular Meeting
June 28— 6:55 PM — HRA Regular Meeting (as may be required)
June 28 — 7:00 PM — City Council Regular Meeting
July 12— 6:55 PM — HRA Regular Meeting (as may be required)
July 12 — 7:00 PM — City Council Regular Meeting
July 26— 6:55 PM — HRA Regular Meeting (as may be required)
July 26 — 7:00 PM — City Council Regular Meeting
August 9 — MN Primary Elections, Meetings RESCHEDULED to August 10
August 10 — 6:55 PM — Rescheduled HRA Regular Meeting (as may be required)
August 10 — 7:00 PM — Rescheduled City Council Regular Meeting
August 23 — 6:55 PM — HRA Regular Meeting (as may be required)
August 23 — 7:00 PM — City Council Regular Meeting
Events and Activities:
Subscribe to RAVE messaging tool for emergency notifications and updates
RAVE Emereencv Notifications I Mound, MN (citvofmound.com)
Summer -long — Farmers' Market and More continues Saturday mornings through summer
June 18 — "Rockin' The Block at Gillespie" 4:00 pm — 8:00 pm
July 21-23 — Spirit of the Lakes
August 2 — National Night Out
Aug 9 — Primary Elections
Aug 13 — Dog Days
City Offices:
Closed July 4
City Official's Absences
Please notify the City Manager in advance of an absence.
Inquire in advance. please......
Council members are asked to call or email their questions in advance of a public meeting so that more
research may be done or additional information may be provided that will assist in your quality decision -
making.
2022 City of Mound Claims 06-14-22
YEAR BATCH NAME DOLLAR AMOUNT
2022
KENGRAV0422
$
11,349.58
2022
060622HWSMAN
$
118,296.19
2022
060722CTYMAN
$
77,193.22
2022
060922CTYMAN
$
601.41
2022
061422CITY
$
206,457.90
2022
061422HWS
$
62,195.52
TOTAL CLAIMS 11 $ 476,093.82
s`E:1011
CITY OF MOUND 06/09/2211: 38 AM
Page 1
Payments
Current Period: June 2022
Payments Batch KENGRAV0422 $11,349.58
Refer
331 KENNEDY AND GRAVEN
_
Cash Payment
E 101-41600-300 Professional Srvs
NUISANCE ORDINANCE -ADMINISTRATIVE
$136.00
LEGAL SVCS MAY 2022
Invoice 167899
5242022
Cash Payment
E 101-41600-300 Professional Srvs
ADMINISTRATIVE LEGAL SVCS MAY 2022
$1,088.53
Invoice 167899
5242022
Cash Payment
G 101-23440 4848/4852 LANARKABATE
4848/4852 LANARK RD ENFORCEMENT
$133.00
MATTER -LEGAL SVCS MAY 2022
Invoice 167899
5242022
Cash Payment
G 101-23454 2396 COMMERCE BLVD HA 2396 COMMERCE BLVD HAZARDOUS BLDG
$3,651.05
MATTER -LEGAL SVCS MAY 2022
Invoice 167899
5242022
Cash Payment
G 101-23453 5872 GLENWOOD ABATE
5872 GLENWOOD RD HAZARDOUS BLDG
$114.00
ABATEMENT -LEGAL SVCS MAY 2022
Invoice 167899
5242022
Cash Payment
G 101-23455 3053 BRIGHTON BLVD ABA 053 BRIGHTON BLVD HAZARDOUS BLDG
$1,382.00
ABATEMENT MATTER -LEGAL SVCS MAY
2022
Invoice 167899
5242022
Cash Payment
E 101-41600-316 Legal P & I
CITY PLANNING LEGAL SVCS FOR
$551.00
NORTHLAND REAL ESTATE GROUP
APPLICATIONS - MAY 2022
Invoice 167899
5242022
Cash Payment
G 101-23470 Northland Real Estate-104 un
NORTHLAND REAL ESTATE GROUP- MISC
$4,294.00
LEGAL SVCS MAY 2022
Invoice 167899
5242022
Transaction Date 6/92022
U.S. Bank 10100 10100 Total
$11,349.58
Fund Summary
10100
U.S. Bank 10100
101 GENERAL FUND
$11,349.58
$11,349.58
Pre -Written Checks $0.00
Checks to be Generated by the Computer $11,349.58
Total $11,349.58
NdRUN
Payments Batch 060622HWSMAN
Refer 20056 BREWING, LLC
CITY OF MOUND
Payments
Current Period: June 2022
$118,296.19
Cash Payment E 609-49750-252 Beer For Resale BEER
Invoice 5618845 5242022
Cash Payment E 609-49750-252 Beer For Resale BEER
Invoice 56185404 5/102022
Transaction Date 6/62022 U.S. Bank 10100 10100
Total
Refer
201 ARTISAN BEER COMPANY
_
Cash Payment
E 609-49750-255 Misc Merchandise For R
MDSE- 12 SPIEG WINELOVERS RED 12 PK-
ORIGIN
Invoice 16881
622022
Cash Payment
E 609-49750-253 Wine For Resale
WINE- ORIGIN
Invoice 16880
622022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR- ORIGIN
Invoice 16787
5252022
Cash Payment
E 609-49750-252 Beer For Resale
BEER CREDIT
Invoice 332686
5/162022
Cash Payment
E 609-49750-252 Beer For Resale
BEER- MRM 754770
Invoice 3532070-1
622022
Transaction Date
6/62022
U.S. Bank 10100 10100 Total
Refer 202 BACK CHANNEL BREWING
06/09/22 10:00 AM
Page 1
$108.00
$228.67
$336.67
$58.00
$128.00
$168.00
-$91.23
$80.00
$342.77
Cash Payment E 609-49750-252 Beer For Resale
BEER
$144.00
Invoice 1207 5252022
Transaction Date 6/62022
U.S. Bank 10100 10100 Total
$144.00
Refer 204 BELLBOY CORPORATION _
Cash Payment E 609-49750-210 Operating Supplies
SUPPLIES, BAGS
$43.75
Invoice 0105224200 6/12022
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa
MIX
$179.30
Invoice 0105224200 6/12022
Cash Payment E 609-49750-255 Misc Merchandise For R
MDSE- GIFT BAGS, WAITERS
$102.65
CORKSCREWS, DOUBLE JIGGERS, JELLO
SHOT CUPS, TIMBERWOLVES & PACKERS
CAN COOLERS, SLIM TWINS CANS
Invoice 0105224200 6/12022
Transaction Date 6/62022
U.S. Bank 10100 10100 Total
$325.70
Refer 205 BELLBOY CORPORATION _
Cash Payment E 609-49750-253 Wine For Resale
WINE
$65.65
Invoice 0095028000 5252022
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
$153.65
Invoice 0095114000 6/12022
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
$2,965.55
Invoice 0095114000 6/12022
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
$2,408.20
Invoice 0095027500 5252022
Transaction Date 6/62022
U.S. Bank 10100 10100 Total
$5,593.05
Refer 203 BELLBOY CORPORATION _
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa
MIX
$22.00
Invoice 0105178200 5/192022
Transaction Date 6/62022
U.S. Bank 10100 10100 Total
$22.00
Refer 206 BOOM ISLAND BREWING COMPAN _
_ 1 1 87
CITY OF MOUND
Payments
Current Period: June 2022
Cash Payment E 609-49750-252 Beer For Resale BEER
Invoice 12054 5242022
Transaction Date 6/62022 U.S. Bank 10100 10100
Refer 207 BREAKTHRU BEVERAGE MN BEE
Cash Payment E 609-49750-252 Beer For Resale
Invoice 344346265 6/12022
Cash Payment E 609-49750-252 Beer For Resale
Invoice 344346269 6/12022
Cash Payment E 609-49750-252 Beer For Resale
Invoice 344346267 6/12022
Cash Payment E 609-49750-252 Beer For Resale
Invoice 344346268 6/12022
Cash Payment E 609-49750-252 Beer For Resale
Invoice 344243936 5252022
Cash Payment E 609-49750-252 Beer For Resale
Invoice 344243937 5252022
Cash Payment E 609-49750-252 Beer For Resale
Invoice 344243938 5252022
Transaction Date 6/62022
Total
06/09/22 10:00 AM
Page 2
$41.00
$41.00
BEER
$288.00
BEER
$110.00
BEER
$2,241.20
BEER
$93.00
BEER
$89.70
BEER
$83.10
BEER
$13,339.50
U.S. Bank 10100 10100
Total $16,244.50
Refer 208 BREAKTHRU BEVERAGE MN WINE _
Cash Payment E
609-49750-253 Wine For Resale
WINE
Invoice 344244736
5252022
Cash Payment E
609-49750-251 Liquor For Resale
LIQUOR
Invoice 344244737
5252022
Cash Payment E
609-49750-253 Wine For Resale
WINE
Invoice 344244737
5252022
Cash Payment E
609-49750-251 Liquor For Resale
LIQUOR
Invoice 344179481
5/192022
Cash Payment E
609-49750-254 Soft Drinks/Mix For Resa
MIX
Invoice 344244738
5252022
Cash Payment E
609-49750-251 Liquor For Resale
LIQUOR
Invoice 344350590
6/12022
Cash Payment E
609-49750-253 Wine For Resale
WINE
Invoice 344350591
6/12022
Transaction Date
6/62022
U.S. Bank 10100 10100
Refer
210 CAPITOL BEVERAGE SALES, L.P.
Cash Payment
E 609-49750-251 Liquor For Resale
Invoice 2693920
6/12022
Cash Payment
E 609-49750-252 Beer For Resale
Invoice 2693921
6/12022
Cash Payment
E 609-49750-252 Beer For Resale
Invoice 2693922
6/12022
Cash Payment
E 609-49750-252 Beer For Resale
Invoice 2693919
6/12022
Transaction Date
6/62022
Total
$880.00
$1,199.00
$0.00
$202.28
$31.46
$6,238.66
$1,236.80
$9,788.20
LIQUOR
$552.50
BEER
$4,370.65
BEER
$220.20
BEER
$300.70
U.S. Bank 10100 10100 Total
Refer 209 CAPITOL BEVERAGE SALES, L.P. _
Cash Payment E 609-49750-252 Beer For Resale BEER
Invoice 2690940 5242022
Cash Payment E 609-49750-252 Beer For Resale BEER
Invoice 2690941 5242022
$5,444.05
$487.00
$5,899.20
NIRUN
CITY OF MOUND
Payments
Current Period: June 2022
Cash Payment E 609-49750-252 Beer For Resale BEER
Invoice 2690983 5242022
Transaction Date 6/62022 U.S. Bank 10100 10100
Refer 211 CLEAR RIVER BEVERAGE CO.
Cash Payment E 609-49750-252 Beer For Resale BEER
Invoice 632479 5232022
Cash Payment E 609-49750-252 Beer For Resale BEER
Invoice 633544 5/312022
Transaction Date 6/62022 U.S. Bank 10100 10100
Refer
212 DAHLHEIMER BEVERAGE LLC _
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 1593186
622022
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 1590328
5252022
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa
MIX
Invoice 1593185
622022
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 1589587
5252022
Transaction Date
6/62022
U.S. Bank 10100 10100
Refer 213 DRASTIC MEASURES BREWING
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 2278
5/192022
Transaction Date
6/62022
U.S. Bank 10100 10100
Refer
214 HOHENSTEINS, INCORPORATED _
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 507613
5242022
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa
MIX
Invoice 507613
5242022
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 507614
5242022
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 509013
5/312022
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 509012
5/312022
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 506915
5202022
Transaction Date
6/62022
U.S. Bank 10100 10100
Refer
216 INBOUND BREWCO _
Cash Payment E 609-49750-252 Beer For Resale BEER
Invoice 13719 5242022
Transaction Date 6/62022 U.S. Bank 10100 10100
Refer
217 JJ TAYLOR. DISTRIBUTING MINN
06/09/22 10:00 AM
Page 3
$230.25
Total $6,616.45
$407.40
$360.50
Total
Total
Total
$767.90
$6,401.65
$142.50
$60.00
$120.00
$6,724.15
$333.40
$333.40
$52.50
$46.00
$1,007.20
$557.25
$79.50
$360.00
Total $2,102.45
$400.50
Total $400.50
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$33.85
Invoice 3297306
5262022
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$5,606.50
Invoice 3297305
5262022
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$205.65
Invoice 3297329
622022
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$5,613.25
Invoice 3297330
6=022
- 1189 -
Transaction Date 6/62022
CITY OF MOUND
Payments
Current Period: June 2022
U.S. Bank 10100 10100
Refer
218 JOHNSON BROTHERS LIQUOR _
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa
MIX
Invoice 2065192
622022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 2065190
622022
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 2065191
622022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 2065189
622022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 2065188
622022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 2059981
5252022
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 2059982
5252022
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa
MIX
Invoice 2059983
5252022
Transaction Date
6/62022
U.S. Bank 10100 10100
Refer 219 LIBATION PROJECT
Cash Payment E 609-49750-251 Liquor For Resale
Invoice 46155 6/12022
Transaction Date 6/62022
Refer 220 LUPULIN BREWING COMPANY
Cash Payment E 609-49750-252 Beer For Resale
Invoice 45118 5/192022
Cash Payment E 609-49750-252 Beer For Resale
Invoice 45288 5272022
Cash Payment E 609-49750-252 Beer For Resale
Invoice CN10637 5252022
Transaction Date 6/62022
Refer 221 MARLIN S TRUCKING DELIVERY
Cash Payment E 609-49750-265 Freight
Invoice 38109 5/192022
Cash Payment E 609-49750-265 Freight
Invoice 38125 5262022
Transaction Date 6/62022
Refer 222 MAVERICK WINE COMPANY
Cash Payment E 609-49750-251 Liquor For Resale
Invoice 781681 5252022
Transaction Date 6/62022
LIQUOR
U.S. Bank 10100 10100
BEER
BEER
BEER CREDIT
U.S. Bank 10100 10100
DELIVERY SVC 5-19-22
DELIVERY SVC 5-26-22
U.S. Bank 10100 10100
LIQUOR
U.S. Bank 10100 10100
Total
Total
Total
06/09/22 10:00 AM
Page 4
$11,459.25
$66.00
$2,771.26
$2,432.08
$1,944.00
$797.50
$5,920.91
$2,589.19
$32.00
$16.552.94
$142.00
$142.00
$426.05
$480.40
-$318.15
Total $588.30
$437.10
$514.60
Total $951.70
$3,340.50
Total
Refer 223 MINNEHAHA BUILDING MAINTENA _
Cash Payment E 609-49750-400 Repairs & Maintenance WASH WINDOWS INSIDE & OUT 4-18-22
Invoice 180205815 5/152022
Transaction Date 6/62022 U.S. Bank 10100 10100 Total
Refer 224 MODIST BREWING CO. LLC
Cash Payment E 609-49750-252 Beer For Resale
Invoice 31681 6/12022
BEER
$3,340.50
$74.81
$74.81
$314.00
MU1oll
CITY OF MOUND
Payments
Current Period: June 2022
Cash Payment E 609-49750-252 Beer For Resale BEER
Invoice 31583 5252022
Transaction Date 6/62022 U.S. Bank 10100 10100
Refer
226 OUTS TATE BREWING COMPANY _
Cash Payment
E 609-49750-252 Beer For Resale BEER
Invoice 2079
5/192022
Transaction Date
6/62022 U.S. Bank 10100 10100
Refer
225 PAUSTIS AND SONS WINE COMPA
_
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 166083
5232022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 166089
5232022
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 167098
5/312022
Transaction Date
6/62022
U.S. Bank 10100 10100
Refer
228 PHILLIPS WINE AND SPIRITS, INC
_
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 6406217
622022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 6406216
622022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 6406215
622022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 6406214
622022
Transaction Date
6/62022
U.S. Bank 10100 10100
Refer
227 PHILLIPS WINE AND SPIRITS, INC _
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 6402392
5252022
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 6402393
5252022
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa
MIX
Invoice 6402394
5252022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR credit- pd credit 48.86
Invoice 664556cr
4212022
Transaction Date
6/62022
U.S. Bank 10100 10100
Refer 229 PRYES BREWING COMPANY, LLC _
Cash Payment E 609-49750-252 Beer For Resale BEER
Invoice 37550 5262022
Transaction Date 6/62022 U.S. Bank 10100 10100
Refer
230 SMALL LOT MN
_
Cash Payment
E 609-49750-252 Beer For Resale
WINE
Invoice 80992
6/12022
Transaction Date
6/62022
U.S. Bank 10100 10100
Refer
231 SOUTHERN WINE & SPIRITS OF M
_
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 2218480
622022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 2218479
622022
06/09/22 10:00 AM
Page 5
$521.70
Total $835.70
$107.00
Total
Total
Total
Total
$107.00
$868.50
$1,049.58
$1,193.00
$3.111.08
$410.78
$180.00
$88.50
$545.00
$1.224.28
$7,068.00
$529.34
$127.60
-$97.72
$7,627.22
$493.00
Total $493.00
$753.42
Total $753.42
$1,317.00
$1,453.00
MINE
CITY OF MOUND
Payments
Current Period: June 2022
Cash Payment E 609-49750-253 Wine For Resale
Invoice 2215625 5252022
Cash Payment E 609-49750-251 Liquor For Resale
Invoice 2215624 5252022
Cash Payment E 609-49750-251 Liquor For Resale
Invoice 5084070 5/302022
Cash Payment E 609-49750-253 Wine For Resale
Invoice 9398034 5/312022
Cash Payment E 609-49750-253 Wine For Resale
Invoice 9398034 5/312022
Transaction Date 6/62022
WINE
LIQUOR
LIQUOR
WINE CREDIT- TWO VINES SYRAH- 981719
WINE CREDIT- H3 CABERNET SAUVIGNON-
986915
06/09/22 10:00 AM
Page 6
$2,956.00
$3,050.38
$230.65
-$270.00
-$540.00
U.S. Bank 10100 10100 Total $8,197.03
Refer
232 TOTAL REGISTER SYSTEMS, INC. _
Cash Payment
E 609-49750-205 Computer Hardware/Soft
KEYSTROKE SOFTWARE UPDATES ANNUAL $635.91
RENEWAL- REGISTERS- COMPUTERS- HWS
June 2022 thru June 2023
Invoice 59744
5202022
Cash Payment
E 609-49750-205 Computer Hardware/Soft
TOTAL CARE KEYSTROKE ANNUAL $1,170.28
REGISTER SYSTEM ONLINE BACKUP-
HWS - June 2022 thru June 2023
Invoice 59744 5202022
Transaction Date 6/62022
Refer
233 TRADITION WINE & SPIRITS, LLC
Cash Payment
E 609-49750-253 Wine For Resale
Invoice 31992
6/12022
Cash Payment
E 609-49750-253 Wine For Resale
Invoice 31793
5/192022
Transaction Date
6/62022
U.S. Bank 10100 10100
Total
$1,806.19
WINE $922.00
WINE $428.00
U.S. Bank 10100 10100
Refer
234 VINOCOPIA, INCORPORATED _
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 0305202
5262022
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 0305200
5262022
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa
MIX
Invoice 0305201
5262022
Transaction Date
6/62022
U.S. Bank 10100 10100
Refer
235 VINOCOPIA, INCORPORATED
Cash Payment
E 609-49750-251 Liquor For Resale
Invoice 0304705
5/182022
Cash Payment
E 609-49750-253 Wine For Resale
Invoice 0304706
5/182022
Cash Payment
E 609-49750-251 Liquor For Resale
Invoice 0305570
6/12022
Cash Payment
E 609-49750-253 Wine For Resale
Invoice 0305571
6/12022
Transaction Date
6/62022
Refer
236 WINE COMPANY
Cash Payment E 609-49750-253 Wine For Resale
Invoice 205718 622022
Cash Payment E 609-49750-253 Wine For Resale
Invoice 205718 622022
Total $1,350.00
$568.25
$114.50
$74.50
Total $757.25
LIQUOR
$182.75
WINE
$343.50
LIQUOR
$365.08
wine
$229.00
U.S. Bank 10100 10100
Total $1,120.33
WINE
$358.00
WINE
$346.00
M`R.yE
Transaction Date 6/62022
CITY OF MOUND
Payments
Current Period: June 2022
Jr
U.S. Bank 10100 10100
Refer
237 WINE MERCHANTS _
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 7382140
622022
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 7381235
5252022
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa
MIX
Invoice 7382141
622022
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa
MIX
Invoice 7381236
5252022
Transaction Date
6/62022
U.S. Bank 10100 10100
Refer
238 WOODEN HILL BREWING COMPAN _
Cash Payment
E 609-49750-251 Liquor For Resale BEER
Invoice 3448
5272022
Transaction Date
6/62022 U.S. Bank 10100 10100
Fund Summary
10100 U.S. Bank 10100
609 MUNICIPAL LIQUOR FUND $118,296.19
$118,296.19
Pre -Written Checks $0.00
Checks to be Generated by the Computer $118,296.19
Total $118,296.19
Total
Total
06/09/22 10:00 AM
Page 7
$704.00
$160.00
$1,536.00
$23.00
$23.00
$1,742.00
$131.40
Total $131.40
s`1.0xM
Payments Batch 060722CTYMAN
CITY OF MOUND
Payments
Current Period: June 2022
$77,193.22
Refer 250 CORE & MAIN LP
Cash Payment E 601-49400-210 Operating Supplies
Invoice P635377 5/192022
Transaction Date 6172022
27 QTY 510M S/POINT M2 WIRED WATER
METERS
U.S. Bank 10100 10100
Refer 251 CRYSTEEL TRUCK EQUIPMENT, 1 _
Cash Payment E 101-43100-404 Machinery/Equip Repairs SWING ARM LOWER 89"- STREETS
EQUIPMENT
Invoice FP186425 5/312022
Transaction Date 6172022 U.S. Bank 10100 10100
Refer 252 CUMMINS INC.
Cash Payment E 602-49450-500 Capital Outlay FA
Invoice E3-8286 5/192022
Transaction Date 6172022
06/07/22 1:56 PM
Page 1
$5,018.35
Total $5,018.35
$387.22
Total $387.22
36 KW GAS GENSET- 2021 LIFT STATION
IMRPOV PROJ PW 21-03
Project PW2103
U.S. Bank 10100 10100 Total
Refer 253 FRONTIER/CITIZENS COMMUNICA _
Cash Payment E 222-42260-321 Telephone, Cells, & Radi NETWORK ETHERNET SVC 5-22-22 THRU 6-
21-22
Invoice 060722 5222022
Cash Payment E 101-41920-321 Telephone, Cells, & Radi NETWORK ETHERNET SVC 5-22-22 THRU 6-
21-22
Invoice 060722 5222022
Transaction Date 6172022 U.S. Bank 10100 10100 Total
Refer 254 FRONTIERICITIZENS COMMUNICA _
Cash Payment E 602-49450-321 Telephone, Cells, & Radi PHONE SVC-5-30-22 TO 6-29-22
Invoice 060722-2 5/302022
Cash Payment E 609-49750-321 Telephone, Cells, & Radi PHONE SVC-5-30-22 TO 6-29-22
Invoice 060722-2 5/302022
Cash Payment E 602-49450-321 Telephone, Cells, & Radi PHONE SVC-5-30-22 TO 6-29-22
Invoice 060722-2 5/302022
Cash Payment E 601-49400-321 Telephone, Cells, & Radi PHONE SVC-5-30-22 TO 6-29-22
Invoice 060722-2 5/302022
Cash Payment E 101-43100-321 Telephone, Cells, & Radi PHONE SVC-5-30-22 TO 6-29-22
Invoice 060722-2 5/302022
Cash Payment E 101-41930-321 Telephone, Cells, & Radi PHONE SVC-5-30-22 TO 6-29-22
Invoice 060722-2 5/302022
Cash Payment E 222-42260-321 Telephone, Cells, & Radi PHONE SVC-5-30-22 TO 6-29-22
Invoice 060722-2 5/302022
Cash Payment E 101-41910-321 Telephone, Cells, & Radi PHONE SVC-5-30-22 TO 6-29-22
Invoice 060722-2 5/302022
Cash Payment E 101-42110-321 Telephone, Cells, & Radi PHONE SVC-5-30-22 TO 6-29-22
Invoice 060722-2 5/302022
Transaction Date 6172022 U.S. Bank 10100 10100
Refer 240 HAMATY, NICK
Cash Payment G 101-23007 Erosion Control Escrow
Invoice 68504 6/6/1962
Transaction Date 6/62022
$23,975.00
$23,975.00
$150.00
$175.00
$325.00
$52.58
$226.15
$190.73
$185.12
$185.12
$481.75
$160.58
$80.29
$80.29
Total $1,642.61
REFUND EROSION CONTROL ESCROW-
4856 ISLAND VIEW DRIVE - N. HAMATY
U.S. Bank 10100 10100 Total
$1,000.00
$1,000.00
Refer 254 HAWKINS, INCORPORATED _ —1194-
CITY OF MOUND
Payments
Current Period: June 2022
Cash Payment E 601-49400-227 Chemicals 150 LB CHLORINE CYLINDERS
Invoice 6184668 5/152022
Transaction Date 6172022 U.S. Bank 10100 10100
Total
Refer 241 KIRBY BUILT QUALITY PRODUCTS _
Cash Payment E 101-45200-220 Repair/Maint Supply 1 NGROUND MOUNT HEAVYWEIGHT PARK
BENCHE- BUY A BENCH PROGRAM- IN
MEMORY OF -TOM & AMY REESE-
SURFSIDE PARK
Invoice KSA3263 5272022
Cash Payment E 101-45200-210 Operating Supplies 6 QTY SUPERSAVER WASTE RECEPTACLE
32 GALLON TRASH CANS- W/DOME LIDS &
BLACK LINER- PARKS
Invoice KSA9376 5272022
Transaction Date 6/62022 U.S. Bank 10100 10100 Total
Refer 255 MINNEAPOLIS SAW INC. _
Cash Payment
E 601-49400-218 Clothing and Uniforms
PROTECTIVE FORESTRY BOOTS- PUBLIC
WORKS & PARKS STAFF- M. TESSEN
Invoice 137034
5/112022
Cash Payment
E 602-49450-218 Clothing and Uniforms
PROTECTIVE FORESTRY BOOTS- PUBLIC
WORKS & PARKS STAFF- T. SORENSEN
Invoice 137034
5/112022
Cash Payment
E 101-45200-218 Clothing and Uniforms
PROTECTIVE FORESTRY BOOTS- PUBLIC
WORKS & PARKS STAFF- D. VORPAHL
Invoice 137034
5/112022
Transaction Date 6172022 U.S. Bank 10100 10100 Total
Refer 242 MINNESOTA TROPHIES & GIFTS
Cash Payment E 101-45200-220 Repair/Maint Supply
Invoice 45510 5202022
Transaction Date 6/62022
ENGRAVED MEMORIAM PLAQUE- BUY A
BENCH PROGRAM-- IN MEMORY OF TOM &
AMY REESE
U.S. Bank 10100 10100 Total
Refer 256 MINNESOTA VALLEY TESTING LA _
Cash Payment E 601-49400-470 Water Samples MONTHLY CHLORINE REPORT & COLIFORM
WATER TESTS -10
Invoice 1143149 5/162022
Transaction Date 6172022 U.S. Bank 10100 10100 Tota
Refer 257 MINT ROOFING, INC.
_
Cash Payment E 609-49750-400 Repairs & Maintenance
SVC CALL TO MEET W/ HVAC TECH ON
SITE- DETERMINE CAUSE OF LEAK- LIFT
UNIT- FOUND & REPAIRED HOLE 3-18-22
HWS
Invoice 136933939 3232022
Transaction Date 6172022
U.S. Bank 10100 10100 Total
06/07/22 1:56 PM
Page 2
$60.00
$60.00
$1,794.18
$3, 231.70
$5,025.88
$324.99
$324.99
$324.99
$974.97
$214.99
$214.99
$130.00
$130.00
$905.59
$905.59
Refer 258 MOUND, CITY OF _
Cash Payment E 609-49750-382 Water Utilities
WATER SERVICE 3-31-22 THRU 4-29-22-
$67.59
HWS
Invoice 060722 5202022
Transaction Date 6172022
U.S. Bank 10100 10100 Total
$67.59
Refer 259 MTI DISTRIBUTING, INC. _
Cash Payment E 101-45200-404 Machinery/Equip Repairs
FORK CASTOR, 8" FOAM FILLED WHEEL
$615.26
ASSEMBLY- PARKS EQUIPMENT
Invoice 1344310-00 5/182022
i`OR
CITY OF MOUND
Payments
Current Period: June 2022
Cash Payment E 101-45200-220 Repair/Maint Supply CREDIT MDSE RETURN PARKS DEPT
Invoice 1344310-00 5/182022
Transaction Date 6172022 U.S. Bank 10100 10100
Refer 260 MULCH STORE, THE
Cash Payment E 101-45200-232 Landscape Material
Invoice 1104078390 5/122022
Transaction Date 6172022
06/07/22 1:56 PM
Page 3
-$130.00
Total $485.26
4 CUBIC YARDS OF BRUSH DISPOSAL- $32.00
PARKS DEPT
U.S. Bank 10100 10100 Total
Refer
261 NELSON ELECTRIC MOTOR REPAI _
Cash Payment
E 602-49450-440 Other Contractual Servic
LIFT STATION MTCE- ADJUSTSED
MILTRONICS @ MAC-C LIFT & SUNSET LIFT
STATIONS- CHECKED PUMP #2
WOODLAND & DOVE
Invoice 2045
5/192022
Cash Payment
E 602-49450-440 Other Contractual Servic
REPLACED PUMP #2 MOTOR STARTER
WOODLAND & DOVE LIFT STATION
Invoice 2048
5202022
Transaction Date
6172022
U.S. Bank 10100 10100 Total
Refer 262 NORTHERN TOOL AND EQUIPMEN _
Cash Payment E 101-43100-220 Repair/Maint Supply 2" COUPLER REPAIR KIT ULTRATOW -
STREETS DEPT
Invoice 4061205087 5/122022
Transaction Date 6172022 U.S. Bank 10100 10100
Refer 264 OFFICE DEPOT (FIRE)
Cash Payment E 222-42260-200 Office Supplies
Invoice 247115869001 5262022 PO 25299
Cash Payment E 222-42260-200 Office Supplies
Invoice 247116393001 5252022 PO 25299
Transaction Date 6172022
Total
$32.00
$450.00
$400.00
$850.00
$14.99
$14.99
LAMINATING POUCHES- FIRE DEPT $34.57
BLUE PAINTERS TAPE, 1" BINDER - FIRE $25.18
DEPT
U.S. Bank 10100 10100 Total $59.75
Refer 263 OFFICE DEPOT _
Cash Payment E 101-41930-200 Office Supplies
OPY PAPER, RUBBERBANDS-CITY HALL
$129.51
Invoice 242200317001 5/112022 PO 25318
Cash Payment E 609-49750-200 Office Supplies
6 PK CLEAR TAPE- HWS
$12.75
Invoice 242153420001 5/112022 PO 51022
Cash Payment E 101-41500-200 Office Supplies
ANTI-FATIQUE MAT FOR DESK
$54.63
WORKSPACE- C.ROBERTS
Invoice 242378412001 5/112022 PO 25319
Cash Payment E 101-42400-200 Office Supplies
ANTI-FATIQUE MAT FOR DESK
$54.63
WORKSPACE- S.SMITH
Invoice 242378412001 5/112022 PO 25319
Cash Payment E 609-49750-205 Computer Hardware/Soft
10 PK 8 GB DATASTIK PRO- USB- HWS
$50.79
Invoice 242153411001 5/112022 PO 51022
Cash Payment E 609-49750-200 Office Supplies
CORRECTION TAPE- HWS
$8.19
Invoice 242153409001 5/112022 PO 51022
Cash Payment E 609-49750-200 Office Supplies
MANILLA FILE FOLDERS, DOUBLE SIDED
$45.88
TAPE, PACKAGING TAPE- 6 PK, THERMAL
ROLL - HWS
Invoice 242148474001 5/112022 PO 51022
Transaction Date 6172022
U.S. Bank 10100 10100 Total
$356.38
Refer 266 OPUS 21 MGMT SOLUTIONS, LLC _
- 1196
CITY OF MOUND
Payments
Current Period: June 2022
Cash Payment E 601-49400-307 Admin/Finance/Compute APRIL 2022 -UTILITY BILLING -CIS DATA
HOSTING, PRODUCTION, BILLING, CALL
CTR SUPPORT
Invoice 220461 5/162022
Cash Payment E 602-49450-307 Admin/Finance/Compute APRIL 2022 -UTILITY BILLING -CIS DATA
HOSTING, PRODUCTION, BILLING, CALL
CTR SUPPORT
Invoice 220461 5/162022
Cash Payment E 601-49400-322 Postage
Invoice 220461 5/162022
Cash Payment E 602-49450-322 Postage
Invoice 220461 5/162022
Transaction Date 6172022
Refer 265 ORONO, CITY OF
Cash Payment E 101-41600-450 Board of Prisoners
Invoice 20141986 5/162022
Transaction Date 6172022
Refer 267 REPUBLIC SERVICES
APRIL 2022- UTILITY BILLING POSTAGE
APRIL 2022- UTILITY BILLING POSTAGE
06/07/22 1:56 PM
Page 4
$1,844.55
$1,844.56
$327.66
$327.65
U.S. Bank 10100 10100 Total $4,344.42
HENNEP CTY JAIL CHARGES- PER DIEM $1,310.40
FEES APRIL 2022
U.S. Bank 10100 10100 Total $1,310.40
Cash Payment E 602-49450-384 Refuse/Garbage Dispose JUNE 2022 GARBAGE SVC- PUB WRKS
Invoice 0894-005733847 5252022 Project 22-3
Cash Payment E 670-49500-440 Other Contractual Servic MAY 2022 CITYWIDE RECYCLING SVC
Invoice 0894-005732335 5252022
Cash Payment E 101-45200-384 Refuse/Garbage Dispose JUNE 2022 GARBAGE SVC- PARKS
Invoice 0894-005733847 5252022
Cash Payment E 670-49500-430 Miscellaneous JUNE 2022 CITY ORGANICS PROGRAM
PICKUP SVC
Invoice 0894-005734681 5252022
Transaction Date 6172022 U.S. Bank 10100 10100 Total
Refer 243 SHAMROCK GROUP, INC. _
Cash Payment E 609-49750-255 Misc Merchandise For R ICE
Invoice 2762750 5212022
Cash Payment E 609-49750-255 Misc Merchandise For R ICE
Invoice 2765207 5282022
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX
Invoice 2765319 5282022
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX
Invoice 2757963 5/142022
Cash Payment E 609-49750-255 Misc Merchandise For R ICE
Invoice 2757963 5/142022
Cash Payment E 609-49750-255 Misc Merchandise For R ICE
Invoice 2763096 5252022
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX
Invoice 2763096 5252022
Cash Payment E 609-49750-255 Misc Merchandise For R ICE
Invoice 2740883 5252022
Cash Payment E 609-49750-255 Misc Merchandise For R ICE CREDIT- 053122 STATEMENT
Invoice 053122 5/312022
Transaction Date 6/62022 U.S. Bank 10100 10100
Refer 268 SITE ONE LANDSCAPE SUPPLY, L
$96.62
$18,650.70
$289.87
$134.09
$19,171.28
$105.75
$211.20
$114.00
$21.00
$149.05
$96.00
$206.35
$181.45
-$78.35
Total $1,006.45
M`SYM
CITY OF MOUND 06/07/22 1:56 PM
Page 5
Payments
Current Period: June 2022
Cash Payment E 601-49400-220 Repair/Maint Supply
UTILITY DEPT PARTS- BASE UNIT
$209.60
CONTROLLER, MODULAR INDOR 4
STATION, PLUG-IN EXPANSION MODULE
Invoice 119529598-001 5232022
Cash Payment E 602-49450-220 Repair/Maint Supply
UTILITY DEPT PARTS- BASE UNIT
$209.60
CONTROLLER, MODULAR INDOR 4
STATION, PLUG-IN EXPANSION MODULE
Invoice 119529598-001 5232022
Transaction Date 6172022
U.S. Bank 10100 10100 Total
$419.20
Refer 246 SOUTHWEST TRAILS ASSOCIATIO _
Cash Payment G 101-22801 Deposits/Escrow
SW TRAILS ASSOC 2022 SNOWMOBILE
$1,698.30
MTCE-DNR PMT #4 2022- RECVD 6-7-22
Invoice 7438073 6172022
Transaction Date 6172022
U.S. Bank 10100 10100 Total
$1,698.30
Refer 239 STRUCTURES HARDSCAPES SPE _
Cash Payment G 101-23150 New Construction Escrow
REFUND NEW CONSTRUCTION ESCROW-
$5,000.00
4942 EDGEWATER DRIVE- M. MESSNER-
STRUCTURES, INC.
Invoice 2022-00089 6/32022
Transaction Date 6/62022
U.S. Bank 10100 10100 Total
$5,000.00
Refer 269 SWEEPER SERVICES, LLC
Cash Payment E 101-43100-404 Machinery/Equip Repairs
WATER SHUTDOWN ALARMSTAT- STREETS
$168.00
SWEEPER
Invoice 22053 5/172022
Cash Payment E 101-43100-404 Machinery/Equip Repairs
RIGHT HAND DIRT SHOE PLATE, LONG
$248.81
CLAMP STRIP, MISC BOLTS, WASHERS,
NUTS- STREETS SWEEPER
Invoice 22053 5262022
Cash Payment E 101-43100-404 Machinery/Equip Repairs
RETURN CREDIT- WATER SHUTDOWN
-$75.00
SENDER- STREETS SWEEPER
Invoice 22074 5/172022
Transaction Date 6172022
U.S. Bank 10100 10100 Total
$341.81
Refer 245 TUCKER, JOHN _
Cash Payment R 101-42000-34114 Planning Commish Ap
REFUND VARIANCE APPLICATION FEE- NOT
$300.00
NEEDED FOR PROJECT-4949 ISLAND VIEW
DRIVE
Invoice 061422 5252022
Transaction Date 6/62022
U.S. Bank 10100 10100 Total
$300.00
Refer 271 VERIZON WIRELESS
Cash Payment E 101-43100-321 Telephone, Cells, & Radi
CELL PHONE CHARGES 4-14-22 THRU 5-13-2
$107.94
Invoice 9906452271 5/132022
Cash Payment E 601-49400-321 Telephone, Cells, & Radi
CELL PHONE CHARGES 4-14-22 THRU 5-13-2
$107.94
Invoice 9906452271 5/132022
Cash Payment E 602-49450-321 Telephone, Cells, & Radi
CELL PHONE CHARGES 4-14-22 THRU 5-13-2
$65.46
Invoice 9906452271 5/132022
Cash Payment E 101-42400-321 Telephone, Cells, & Radi
CELL PHONE CHARGES 4-14-22 THRU 5-13-2
$28.26
Invoice 9906452271 5/132022
Cash Payment E 101-45200-321 Telephone, Cells, & Radi
CELL PHONE CHARGES 4-14-22 THRU 5-13-2
$95.61
Invoice 9906452271 5/132022
Cash Payment E 101-41310-321 Telephone, Cells, & Radi
CELL PHONE CHARGES 4-14-22 THRU 5-13-2
$55.87
Invoice 9906452271 5/132022
Cash Payment E 101-42115-321 Telephone, Cells, & Radi
CELL PHONE CHARGES 4-14-22 THRU 5-13-2
$15.94
Invoice 9906452271 5/132022
- 1198 -
CITY OF MOUND 06/07/22 1:56 PM
Page 6
Payments
Current Period: June 2022
Cash Payment G 101-22816 Personal Cell Phone
CELL PHONE CHARGES 4-14-22 THRU 5-13-2
$27.13
Invoice 9906452271 5/132022
Transaction Date 6172022
U.S. Bank 10100 10100 Total
$504.15
Refer 270 VERIZON WIRELESS _
Cash Payment E 101-43100-321 Telephone, Cells, & Radi
STREETS LEAD WORKER TABLET-
$35.01
INTERNET SVC- 4-11-22 THRU 5-10-22
Invoice 9906162095 5/102022
Cash Payment E 602-49450-321 Telephone, Cells, & Radi
PUBLIC WORKS SUPERVISOR- RYAN
$35.01
PRICH TABLET- INTERNET SVC- 4-11-22
THRU 5-10-22
Invoice 9906162095 5/102022
Project 22-5
Cash Payment E 602-49450-321 Telephone, Cells, & Radi
PUBLIC WORKS DEPT-TABLET- HOT SPOT
$35.01
SVC 4-11-22 THRU 5-10-22
Invoice 9906162095 5/102022
Project 22-5
Cash Payment E 602-49450-321 Telephone, Cells, & Radi
UTILITY LEAD WORKER TABLET- INTERNET
$17.50
SVC- SVC 4-11-22 THRU 5-10-22
Invoice 9906162095 5/102022
Cash Payment E 601-49400-321 Telephone, Cells, & Radi
UTILITY LEAD WORKER TABLET- INTERNET
$17.51
SVC- SVC 4-11-22 THRU 5-10-22
Invoice 9906162095 5/102022
Cash Payment E 101-45200-321 Telephone, Cells, & Radi
PARKS LEAD WORKER TABLET- INTERNET
$35.01
SVC 4-11-22 THRU 5-10-22
Invoice 9906162095 5/102022
Cash Payment E 101-43100-321 Telephone, Cells, & Radi
STREETS DEPT TABLET INTERNET SVC 4-
$35.01
11-22 THRU 5-10-22
Invoice 9906162095 5/102022
Cash Payment E 602-49450-321 Telephone, Cells, & Radi
PUB WKS OPEN LINE INTERNET SVC 4-11-
$35.01
22 THRU 5-10-22
Invoice 9906162095 5/102022
Project 22-5
Cash Payment E 101-42400-321 Telephone, Cells, & Radi
FIELD OFFICER INTERNET SVC 4-11-22
$17.51
THRU 5-10-22
Invoice 9906162095 5/102022
Cash Payment E 101-42115-321 Telephone, Cells, & Radi
FIELD OFFICER INTERNET SVC 4-11-22
$17.50
THRU 5-10-22
Invoice 9906162095 5/102022
Cash Payment E 602-49450-321 Telephone, Cells, & Radi
UTILITY DEPT TABLET- INTERNET SVC 4-11-
$17.51
22 THRU 5-10-22
Invoice 9906162095 5/102022
Cash Payment E 601-49400-321 Telephone, Cells, & Radi
UTILITY DEPT TABLET- INTERNET SVC 4-11-
$17.50
22 THRU 5-10-22
Invoice 9906162095 5/102022
Cash Payment E 101-45200-321 Telephone, Cells, & Radi
PARKS DEPT TABLET- INTERNET SVC 4-11-
$35.01
22 THRU 5-10-22
Invoice 9906162095 5/102022
Transaction Date 6172022
U.S. Bank 10100 10100 Total
$350.10
Refer 272 VESSCO, INCORPORATED
Cash Payment E 601-49400-440 Other Contractual Servic
WELL #3- ONSITE WATER SYSTEM
$1,140.58
SERVICE PLUS EVOQUA PM KIT, STEM
REGULATOR & SEAT REGULATOR
Invoice 086676 5252022
Cash Payment E 601-49400-440 Other Contractual Servic
WELL #3 WATER SYSTEM SERVICE- PARTS-
$80.95
Y STRAINER 1" CLEAR PVC
Invoice 086020 5252022
Transaction Date 6172022
U.S. Bank 10100 10100 Total
$1,221.53
- 1199 -
Fund Summary
101 GENERAL FUND
222 AREA FIRE SERVICES
601 WATER FUND
602 SEWER FUND
609 MUNICIPAL LIQUOR FUND
670 RECYCLING FUND
CITY OF MOUND
Payments
Current Period: June 2022
10100 U.S. Bank 10100
$18,172.73
$370.33
$9,464.75
$28,077.23
$2,323.39
$18,784.79
$77,193.22
Pre -Written Checks $0.00
Checks to be Generated by the Computer $77,193.22
Total $77,193.22
06/07/22 1:56 PM
Page 7
EFF01810
CITY OF MOUND 06/09/22 12:42 PM
Page 1
Payments
Current Period: June 2022
Payments Batch 060922CTYMAN $601.41
Refer 327 FOX, JOANNA
_
Cash Payment E 609-49750-305 Medical Services
REIMS MILEAGE- POST OFFER
$26.91
EMPLOYMENT TESTING- NOVACARE EDINA-
HWS-J. FOX
Invoice 061422 6/32022
Transaction Date 6/92022
U.S. Bank 10100 10100 Total
$26.91
Refer 326 NATURAL SHORE TECHNOLOGIES
_
Cash Payment E 101-45200-232 Landscape Material
PLANTS FOR NATIVE GARDENS-
$574.50
LANDSCAPING @ EDGEWATER PARK
Invoice 5133 5/132022
Transaction Date 6/92022
U.S. Bank 10100 10100 Total
$574.50
Fund Summary
10100
U.S. Bank 10100
101 GENERAL FUND
$574.50
609 MUNICIPAL LIQUOR FUND
$26.91
$601.41
Pre -Written Checks $0.00
Checks to be Generated by the Computer $601.41
Total $601.41
ENGE
CITY OF MOUND
Payments
Current Period: June 2022
Payments Batch 061422CITY $206,457.90
Refer 328 ABDO EICKAND MEYERS, LLP _
Cash Payment E 101-41500-301 Auditing and Acct g Servi CERTIFIED AUDIT SVCS- YEAR ENDED 12-
31-2021- FINAL PYMT
Invoice 458978 6/82022
Cash Payment E 222-42260-301 Auditing and Acct g Servi CERTIFIED AUDIT SVCS- YEAR ENDED 12-
31-2021- FINAL PYMT
Invoice 458978 6/82022
Cash Payment E 281-45210-301 Auditing and Acct g Servi CERTIFIED AUDIT SVCS- YEAR ENDED 12-
31-2021- FINAL PYMT
Invoice 458978 6/82022
Cash Payment E 601-49400-301 Auditing and Acct g Servi CERTIFIED AUDIT SVCS- YEAR ENDED 12-
31-2021- FINAL PYMT
Invoice 458978 6/82022
Cash Payment E 602-49450-301 Auditing and Acct g Servi CERTIFIED AUDIT SVCS- YEAR ENDED 12-
31-2021- FINAL PYMT
Invoice 458978 6/82022
Cash Payment E 609-49750-301 Auditing and Acct g Servi CERTIFIED AUDIT SVCS- YEAR ENDED 12-
31-2021- FINAL PYMT
Invoice 458978 6/82022
Cash Payment E 670-49500-301 Auditing and Acct g Servi CERTIFIED AUDIT SVCS- YEAR ENDED 12-
31-2021- FINAL PYMT
Invoice 458978 6/82022
Cash Payment E 675-49425-301 Auditing and Acct g Servi CERTIFIED AUDIT SVCS- YEAR ENDED 12-
31-2021- FINAL PYMT
Invoice 458978 6/82022
Cash Payment E 285-46388-301 Auditing and Acct g Servi CERTIFIED AUDIT SVCS- YEAR ENDED 12-
31-2021- FINAL PYMT
Invoice 458978 6/82022
Transaction Date 6/92022 U.S. Bank 10100 10100 Total
Refer 317 ADVANCED FIRST AID INC _
Cash Payment E 222-42260-210 Operating Supplies
Invoice 0522-290 5/172022
Transaction Date 6/92022
Refer 300 AMERICAN MESSAGING
LITHIUM BATTERY FOR POWERHEART 9200
RD DEFIBRULATOR- FIRE DEPT
U.S. Bank 10100 10100 Total
Cash Payment E 602-49450-321 Telephone, Cells, & Radi
QUARTERLY PAGER SERVICE, PUBLIC
WORKS & PARKS
Invoice D2062026WF 6/12022
Cash Payment E 601-49400-321 Telephone, Cells, & Radi
QUARTERLY PAGER SERVICE, PUBLIC
WORKS & PARKS
Invoice D2062026WF 6/12022
Cash Payment E 101-43100-321 Telephone, Cells, & Radi
QUARTERLY PAGER SERVICE, PUBLIC
WORKS & PARKS
Invoice D2062026WF 6/12022
Cash Payment E 101-45200-321 Telephone, Cells, & Radi
QUARTERLY PAGER SERVICE, PUBLIC
WORKS & PARKS
Invoice D2062026WF 6/12022
Transaction Date 6/72022
U.S. Bank 10100 10100
Total
Refer 324 AMERICAN PUBLIC WORKS ASSO _
Cash Payment E 602-49450-433 Dues and Subscriptions AMERICAN PUBLIC WORKS ASSOC
MEMBERSHIP DUES & MN CHAPTER DUES-
E. HOVERSTEN 9-1-22 THRU 8-31-23
Invoice 061422 6=022 Project 22-5
- 1202 -
06/09/22 11:15 AM
Page 1
$1,173.29
$866.43
$216.61
$568.59
$568.59
$1,173.29
$144.40
$144.40
$144.40
$5,000.00
$915.00
$915.00
$9.94
$9.95
$9.94
$9.94
$39.77
$231.25
CITY OF MOUND 06/09/2211: 15 AM
Page 2
Payments
Current Period: June 2022
Cash Payment
E 602-49450-433 Dues and Subscriptions
AMERICAN PUBLIC WORKS ASSOC
$231.25
MEMBERSHIP DUES & MN CHAPTER DUES-
R. PRICH 9-1-22 THRU 8-31-23
Invoice 061422
622022
Project 22-5
Transaction Date 6/82022
U.S. Bank 10100 10100 Total
$462.50
Refer
318 ANCOM COMMUNICATIONS _
Cash Payment
E 222-42260-325 Pagers -Fire Dept.
8 SETS- NEW MINITOR VI VHF 5 CHANNEL
$4,928.00
PAGERS, CHARGERS, 5-YEAR MTCE PLAN,
MATTERIES, ENGRAVING- FIRE DEPT
Invoice 108204
5232022
Transaction Date 6/92022
U.S. Bank 10100 10100 Total
$4,928.00
Refer
319 ASPEN MILLS _
Cash Payment
E 222-42260-210 Operating Supplies
1 PAIR NAVY PANTS- CHIEF G. PEDERSON
$59.95
Invoice 294158
5/172022
Cash Payment
E 222-42260-210 Operating Supplies
4 NAVY JACKETS W/ PATCHES SEWN ON-
$467.40
M. JABS, J. STUHR, S. CALDERON, D.
BEININGEN
Invoice 294120
5/172022
Transaction Date 6/92022
U.S. Bank 10100 10100 Total
$527.35
Refer
320 BERRY COFFEE COMPANY _
Cash Payment
E 222-42260-430 Miscellaneous
RENTAL & MTCE- COFFEE MACHINE FIRE
$83.46
DEPT- 6-1-22 THRU 8-31-22
Invoice 902908
6/12022
Transaction Date 6/92022
U.S. Bank 10100 10100 Total
$83.46
Refer
301 BLACKSTONE GREENWORKS _
Cash Payment
E 601-49400-440 Other Contractual Servic
FERTILIZER & WEED CONTROL- 2022-
$173.00
TREATMENT #1 -CITY WATER WELL AREAS
Invoice 1900
5/312022
Cash Payment
E 101-43100-440 Other Contractual Servic
FERTILIZER & WEED CONTROL- 2022 -
$55.00
TREATMENT #1 -ALONG CITY BLVD-
COUNTY RD 15
Invoice 1900
5/312022
Cash Payment
E 101-45200-440 Other Contractual Servic
FERTILIZER & WEED CONTROL- 2022 -
$3,991.00
TREATMENT #1 -CITY PARKS
Invoice 1900
5/312022
Cash Payment
E 602-49450-440 Other Contractual Servic
FERTILIZER & WEED CONTROL- 2022 -
$50.00
TREATMENT #1-CITY BAYWOOD SHORES
LIFT STATION AREA
Invoice 1900
5/312022
Cash Payment
E 285-46388-440 Other Contractual Servic
FERTILIZER & WEED CONTROL- 2022 -
$180.00
TREATMENT #1-PARKING DECK &
VETERANS MEMORIAL PLAZA AREA
Invoice 1900
5/312022
Cash Payment
E 101-41910-440 Other Contractual Servic
FERTILIZER & WEED CONTROL- 2022 -
$84.00
TREATMENT #1 -CENTENNIAL BLDG
Invoice 1900
5/312022
Cash Payment
E 101-41930-440 Other Contractual Servic
FERTILIZER & WEED CONTROL- 2022 -
$40.00
TREATMENT #1-CITY HALL AREA
Invoice 1900
5/312022
Cash Payment
E 222-42260-440 Other Contractual Servic
FERTILIZER & WEED CONTROL- 2022 -
$40.00
TREATMENT #1 -FIRE DEPT AREA
Invoice 1900
5/312022
Cash Payment
E 101-45200-440 Other Contractual Servic
FERTILIZER & WEED CONTROL- 2022 -
$170.00
TREATMENT #1-GILLISPIE CTR, POST
OFFICE, WELCOME TO MOUND AREA
Invoice 1900
5/312022
- 1203 -
CITY OF MOUND
Payments
Current Period: June 2022
Cash Payment E 602-49450-440 Other Contractual Servic FERTILIZER & WEED CONTROL- 2022 -
TREATMENT #1- PUBLIC WORKS
Invoice 1900 5/312022 Project 22-3
Cash Payment E 101-45200-440 Other Contractual Servic FERTILIZER & WEED CONTROL- 2022 -
TREATMENT #1 -CITY CEMETERY
Invoice 1900 5/312022
Transaction Date 6/12022 U.S. Bank 10100 10100 Total
06/09/22 11:15 AM
Page 3
$50.00
$590.00
$5,423.00
Refer
302 BOYER TRUCKS-MPLS
Cash Payment
E 601-49400-404 Machinery/Equip Repairs
COVER KIT- WATER TRUCK#315
$298.74
Invoice 007P33842
5/312022
Transaction Date 6/72022
U.S. Bank 10100 10100 Total
$298.74
Refer
303 CADY BUILDING MAINTENANCE
_
Cash Payment
E 101-41930-460 Janitorial Services
JUNE 2022 CLEANING SVCS- CITY HALL
$550.00
/POLICE
Invoice 4983941
6/12022
Cash Payment
E 222-42260-460 Janitorial Services
JUNE 2022 CLEANING SVCS- FIRE DEPT
$299.00
Invoice 4983941
6/12022
Cash Payment
E 602-49450-460 Janitorial Services
JUNE 2022 CLEANING SVCS- PUBLIC
$425.00
WORKS BLDG
Invoice 4983941
6/12022
Project 22-5
Cash Payment
E 101-41910-460 Janitorial Services
JUNE 2022 CLEANING SVCS- CENTENNIAL
$425.00
BLDG
Invoice 4983941
6/12022
Cash Payment
E 101-41910-210 Operating Supplies
CLEANING SUPPLIES- MULTI -FOLD
$26.30
TOWELS, LARGE & MEDIUM TRASH CAN
LINERS
Invoice 4983941
6/12022
Cash Payment
E 602-49450-210 Operating Supplies
CLEANING SUPPLIES- MULTI -FOLD
$26.30
TOWELS, LARGE & MEDIUM TRASH CAN
LINERS
Invoice 4983941
6/12022
Project 22-5
Cash Payment
E 101-41930-210 Operating Supplies
CLEANING SUPPLIES- MULTI -FOLD
$34.19
TOWELS, LARGE & MEDIUM TRASH CAN
LINERS
Invoice 4983941
6/12022
Cash Payment
E 222-42260-210 Operating Supplies
CLEANING SUPPLIES- MULTI -FOLD
$18.41
TOWELS, LARGE & MEDIUM TRASH CAN
LINERS
Invoice 4983941
6/12022
Transaction Date 6/72022
U.S. Bank 10100 10100 Total
$1,804.20
Refer
304 CENTERPOINT ENERGY (MINNEG
_
Cash Payment
E 602-49450-383 Gas Utilities
5808 GRANDVIEW BLVD LS GENERATOR
$32.94
NATL GAS SVC 4-20-22 TO 5-20-22
Invoice 061422
5232022
Transaction Date 6/72022
U.S. Bank 10100 10100 Total
$32.94
Refer
305 CENTRAL MCGOWAN, INCORPOR
_
Cash Payment
E 602-49450-210 Operating Supplies
HIGH PRESSURE MEDIUM & ACETYLENE
$20.46
MEDIUM CYLINDER RENTALS
Invoice 0000174797
5/312022
Project 22-5
Transaction Date 6172022
U.S. Bank 10100 10100 Total
$20.46
Refer
306 CINTAS
_
Cash Payment
E 602-49450-210 Operating Supplies
MATS, TOWELS, CENTERPULL TOWEL
$58.16
REFILL- PUB WKS SHOP- 52021
Invoice 4120056357 5202022
Project 22-5
- 1204 -
CITY OF MOUND
Payments
Current Period: June 2022
Cash Payment E 602-49450-210 Operating Supplies
Invoice 4120761029 5272022
Cash Payment E 609-49750-210 Operating Supplies
Invoice 4120056434 5202022
Cash Payment E 602-49450-210 Operating Supplies
Invoice 4121388942 6/32022
Cash Payment E 609-49750-210 Operating Supplies
Invoice 4120761108 5272022
Cash Payment E 609-49750-210 Operating Supplies
Invoice 4121388955 6/32022
Transaction Date 6172022
MATS, TOWELS, CENTERPULL TOWEL
REFILL- PUB WKS SHOP- 5/27/21
Project 22-5
MATS, TOWELS, DUST MOP, WET MOP-
HWS- 5/20/22
MATS, TOWELS, CENTERPULL TOWEL
REFILL- PUB WKS SHOP- 6/321
Project 22-5
MATS, TOWELS, DUST MOP, WET MOP-
HWS- 5/27/22
MATS, TOWELS, DUST MOP, WET MOP-
HWS- 6/322
U.S. Bank 10100 10100 Total
06/09/22 11:15 AM
Page 4
$58.16
$56.84
$58.16
$54.79
$54.79
$340.90
Refer 314 COPPIN SEWER & WATER _
Cash Payment E 601-49400-440 Other Contractual Servic
Invoice 2600 5262022
Transaction Date 6/72022
REPAIR DAMAGED 6" PVC IN STREET @
6381 MAPLE RD
U.S. Bank 10100 10100 Total
$2,300.00
$2,300.00
Refer 316 DAVES MULCH STORE _
Cash Payment E 101-45200-232 Landscape Material
NORTHERN WHITE CEDAR
$890.00
Invoice 26396 5272022
Transaction Date 6/92022
U.S. Bank 10100 10100 Total
$890.00
Refer 315 DAVEY TREE EXPERT COMPANY _
Cash Payment E 101-43100-440 Other Contractual Servic
TREE TRIMMING WORKAPRIL 2022- 2927
$3,840.00
CAMBRIDGE LN
Invoice 916456575 5/112022
Cash Payment E 101-43100-440 Other Contractual Servic
TREE TRIMMING WORKAPRIL 2022- 2547
$1,791.00
BLACK LAKE LN
Invoice 916456575 5/112022
Cash Payment E 101-43100-440 Other Contractual Servic
TREE TRIMMING WORKAPRIL 2022- 2217
$3,840.00
BASSWOOD LN
Invoice 916456575 5/112022
Cash Payment E 101-43100-440 Other Contractual Servic
TREE TRIMMING WORKAPRIL 2022-
$1,515.00
ACCRISS FROM PUBLIC WORKS BLDG
Invoice 916456575 5/112022
Cash Payment E 101-43100-440 Other Contractual Servic
TREE TRIMMING WORKAPRIL 2022- 5513
$805.00
THREE POINTS BLVD
Invoice 916456575 5/112022
Transaction Date 6/72022
U.S. Bank 10100 10100 Total
$11,791.00
Refer 307 DURKIN, DAVID
Cash Payment E 401-43100-500 Capital Outlay FA
Invoice 061422 5232022
Transaction Date 6/72022
TEAR DOWN EXISTING MODULAR WALL &
INSTALL NEW @ 4991 BRIGHTON BLVD-
2022 RETAINING WALL IMRPOV PROJ PW
22-02
Project PW2202
U.S. Bank 10100 10100 Total
Refer 316 ESS BROTHERS AND SONS, INCO _
Cash Payment E 602-49450-220 Repair/Maint Supply QUICK SET REPAIR CONCRETE 20 QTY 40
LB BAGS- PUBLIC WORKS & PARKS
Invoice CC2973 5242022
$10,105.00
$10,105.00
$249.90
EFF01�
CITY OF MOUND
Payments
Current Period: June 2022
Cash Payment E 601-49400-220 Repair/Maint Supply QUICK SET REPAIR CONCRETE 20 QTY 40
LB BAGS- PUBLIC WORKS & PARKS
Invoice CC2973 5242022
Cash Payment E 101-43100-220 Repair/Maint Supply QUICK SET REPAIR CONCRETE 20 QTY 40
LB BAGS- PUBLIC WORKS & PARKS
Invoice CC2973 5242022
Cash Payment E 101-45200-220 Repair/Maint Supply QUICK SET REPAIR CONCRETE 20 QTY 40
LB BAGS- PUBLIC WORKS & PARKS
Invoice CC2973 5242022
Transaction Date
6172022
U.S. Bank 10100 10100 Total
Refer
321 FIRE CHIEFS, INTNL ASSOCIATIO
_
Cash Payment
E 222-42260-434 Conference & Training
REGISTRATION FEE-#16438019- INTL FIRE
CHIEFS ASSOC SYMPOSIUM IN THE SUN-
NOV 10 HRU 13, 2022- CLEARWATER
FLORIDA- G. PEDERSON- MEMBER
Invoice 061422
5252022
Cash Payment
E 222-42260-434 Conference & Training
REGISTRATION FEE- #16438107 -INTL FIRE
CHIEFS ASSOC SYMPOSIUM IN THE SUN-
NOV 10 HRU 13, 2022- CLEARWATER
FLORIDA-T. PALM
Invoice 061422
5252022
Cash Payment
E 222-42260-434 Conference & Training
REGISTRATION FEE-#16438194 -INTL FIRE
CHIEFS ASSOC SYMPOSIUM IN THE SUN-
NOV 10 HRU 13, 2022- CLEARWATER
FLORIDA- M. MCCARVILLE
Invoice 061422
5252022
Transaction Date
6/92022
U.S. Bank 10100 10100 Total
06/09/22 11:15 AM
Page 5
$249.90
$249.90
$249.90
$999.60
$430.00
$590.00
$590.00
$1,610.00
Refer 323 FIRE SAFETY EDUCATION _
Cash Payment E 222-42260-217 Fire Prevention Supplies
Invoice 66137 5202022
Transaction Date 6/92022
100- CUSTOM LOLLIPOPS- STOP DROP
ROLL BLACK IMPRINT ON STICKS- FIRE
DEPT
U.S. Bank 10100 10100 Total
$190.00
$190.00
Refer 308 FIRS TNET _
Cash Payment E 222-42260-321 Telephone, Cells, & Radi
DATACARD SVC- XXX-0353 FIRE UNIT #39
$38.23
FIRE CHIEF RESCUE UTILITY 4-26-22 THRU
5-25-22
Invoice 06032022 5252022
Cash Payment E 222-42260-321 Telephone, Cells, & Radi
DATACARD SVC XXX-0545 FIRE #43
$38.23
RESCUE TRUCK SVC 4-26-22 THRU 5-25-22
Invoice 06032022 5252022
Cash Payment E 222-42260-321 Telephone, Cells, & Radi
DATACARD SVC XXX-1887 FIRE LADDER
$38.23
TRUCK#44 SVC 4-26-22 THRU 5-25-22
Invoice 06032022 5252022
Cash Payment E 222-42260-321 Telephone, Cells, & Radi
DATACARD SVC XXX-1962 FIRE ENGINE #29
$38.23
SVC 4-26-22 THRU 5-25-22
Invoice 06032022 5252022
Cash Payment E 222-42260-321 Telephone, Cells, & Radi
DATACARD SVC XXX-4845 FIRE UNIT #42
$38.23
DUTY OFFICER SVC 4-26-22 THRU 5-25-22
Invoice 06032022 5252022
Cash Payment E 222-42260-321 Telephone, Cells, & Radi
CELLPHONE SVC XXX-0150- CHIEF G.
$53.54
PEDERSON-4-26-22 THRU 5-25-22
Invoice 06032022 5252022
Transaction Date 6/72022
U.S. Bank 10100 10100 Total
$244.69
Refer 309 FIVE TECHNOLOGY _
- 1206 -
CITY OF MOUND 06/09/2211: 15 AM
Page 6
Payments
Current Period: June 2022
Cash Payment E 101-41920-440 Other Contractual Servic
MONTHLY MANAGED SVC & NETWORK
$1,290.00
MTCE- JUNE 2022
Invoice 10622-13 6/12022
Transaction Date 6172022
U.S. Bank 10100 10100 Total
$1,290.00
Refer 341 FLEETPRIDE TRUCK & TRAILER P _
Cash Payment E 602-49450-404 Machinery/Equip Repairs
SOLENOID VALVE- SEWER TRUCK#1604
$107.05
Invoice 99987571 6172022
Transaction Date 6/92022
U.S. Bank 10100 10100 Total
$107.05
Refer 317 GO VDEALS _
Cash Payment R 602-49450-39101 Sales of General Fixe
7.5 % ONLINE AUCTION FEE- WACKER
$39.45
JUMPING JACKS- SOLD- STREET DEPT
Invoice 7967-052022 5/312022
Project 22-5
Cash Payment R 602-49450-39101 Sales of General Fixe
7.5 %ONLINE AUCTION FEE- DIMENSIONS
$15.52
PURE -SINE INVERTER- SOLD - SEWER DEPT
Invoice 7967-052022 5/312022
Project 22-5
Cash Payment R 602-49450-39101 Sales of General Fixe
7.5 % ONLINE AUCTION FEE- COATS 1250
$153.75
BALANCER- SOLD- PUBLIC WORKS SHOP
EQUIPMENT
Invoice 7967-052022 5/312022
Project 22-5
Cash Payment R 602-49450-39101 Sales of General Fixe
7.5 %ONLINE AUCTION FEE -ATLAS TIRE
$84.45
MACHINE- SOLD- PUBLIC WORKS SHOP
EQUIPMENT
Invoice 7967-052022 5/312022
Project 22-5
Transaction Date 6172022
U.S. Bank 10100 10100 Total
$293.17
Refer 310 GROVE NURSERY, INC. _
Cash Payment E 601-49400-400 Repairs & Maintenance
7 QTY 5' TECHNY ARBORVITAE-
$1,330.00
WELLHOUSE #3
Invoice 32334100 5242022
Transaction Date 6/72022
U.S. Bank 10100 10100 Total
$1,330.00
Refer 311 HECKSEL MACHINE SHOP, INC. _
Cash Payment E 101-43100-440 Other Contractual Servic
FABRICATE 2 PIPE HANDLES- WATER DEPT
$450.00
Invoice 109506 5262022
Transaction Date 6172022
U.S. Bank 10100 10100 Total
$450.00
Refer 312 HENNEPIN COUNTY INFORMATIO _
Cash Payment E 602-49450-321 Telephone, Cells, & Radi
PW RADIO LEASE & ADMINISTRATION FEE-
$335.06
MAY 2022
Invoice 1000187065 622022
Project 22-5
Cash Payment E 222-42260-321 Telephone, Cells, & Radi
FIRE DEPT RADIO LEASE &
$2,300.94
ADMINISTRATION FEE- MAY 2022
Invoice 1000187008 622022
Cash Payment E 101-42115-321 Telephone, Cells, & Radi
EMERGENCY MGMT RADIO LEASE &
$65.61
ADMINISTRATION FEE- MAY 2022
Invoice 1000187008 622022
Transaction Date 6/72022
U.S. Bank 10100 10100 Total
$2,701.61
Refer 2501STATE TRUCK CENTER _
Cash Payment E 101-43100-404 Machinery/Equip Repairs
PARTS- OIL SEAL RETAINER, AXLE SHAFTS,
$552.50
MOTOR -BLOWER, TENSIONER BELT,
PULLEY IDLER, BELT 8-RIB- STREETS
TRUCK#312
Invoice C241360383 1/122022
Cash Payment E 101-43100-404 Machinery/Equip Repairs
PARTS- OIL SEAL RETAINER, AXLE SHAFT-
$193.00
STREETS TRUCK #312
Invoice C241362123 1282022
- 1207 -
CITY OF MOUND 06/09/2211: 15 AM
Page 7
Payments
Current Period: June 2022
Transaction Date 2222022 U.S. Bank 10100 10100 Total $745.50
Refer 2501STATE TRUCK CENTER _
Cash Payment E 101-43100-404 Machinery/Equip Repairs
PARTS- OIL SEAL RETAINER, AXLE SHAFTS,
$552.50
MOTOR -BLOWER, TENSIONER BELT,
PULLEY IDLER, BELT 8-RIB- STREETS
TRUCK#312
Invoice C241360383 1/122022
Cash Payment E 101-43100-404 Machinery/Equip Repairs
PARTS- OIL SEAL RETAINER, AXLE SHAFT-
$193.00
STREETS TRUCK#312
Invoice C241362123 1282022
Transaction Date 2222022
U.S. Bank 10100 10100 Total
$745.50
Refer 3131STATE TRUCK CENTER _
Cash Payment E 602-49450-404 Machinery/Equip Repairs
FILTER ELEMENT, PRIMARY AIR CL,
$297.61
CRANKCASE VENTILATION KIT- PUB WKS
Invoice C241375085 6/62022
Project 22-5
Cash Payment E 602-49450-404 Machinery/Equip Repairs
FILTER KIT 4" SUMP- PUB WKS
$121.44
Invoice C241374835 5/312022
Project 22-5
Transaction Date 6172022
U.S. Bank 10100 10100 Total
$419.05
Refer 318 JUBILEE FOODS _
Cash Payment E 609-49750-210 Operating Supplies
JOHNNY'S OUTDOOR PLANTS- SUMMER
$230.66
FLOWER POTS FOR EXTERIOR @ HARBOR
WINE & SPIRITS
Invoice 061422 5/162022
Transaction Date 6/72022
U.S. Bank 10100 10100 Total
$230.66
Refer 319 LAND EQUIPMENT, INCORPORAT _
Cash Payment E 101-43100-220 Repair/Maint Supply
CUTTING EDGES- STREETS DEPT
$218.28
Invoice 03-915618 622022
Transaction Date 6/72022
U.S. Bank 10100 10100 Total
$218.28
Refer 322 LEAGUE MN CITIES INSURANCE T _
Cash Payment G 222-22801 Deposits/Escrow
FISH FRY EVENT 6-4-22 LIQUOR
$2,401.00
ENDORSEMENT- LMCIT
Invoice 061422 5/312022
Transaction Date 6/82022
U.S. Bank 10100 10100 Total
$2,401.00
Refer 320 LUBE-TECH & PARTNERS, LLC
Cash Payment E 602-49450-220 Repair/Maint Supply
Invoice 1538670 1232020
Cash Payment E 602-49450-220 Repair/Maint Supply
Invoice 2935894 6/82022
Transaction Date 2/62020
5W40 HD FULL SYNTHETIC ENDURANCE
OIL- PUBLIC WORKS SHOP SUPPLY
Project 22-5
USED BULK OIL PICK UP- PUB WKS SHOP
06-8-22
Project 22-5
U.S. Bank 10100 10100 Total
Refer 324 MACQUEEN EMERGENCY _
Cash Payment E 222-42260-219 Safety supplies CYLINDER BOOT & CYLINDER VALVE BOOT
RETAINER KIT- FIRE TRUCK PARTS
Invoice P02223 4/192022
Transaction Date 6/92022 U.S. Bank 10100 10100 Tota
$1,208.55
$230.00
$1,438.55
$92.61
$92.61
Refer 323 MARTIN MARIETTA MATERIALS _
Cash Payment E 101-43100-224 Street Maint Materials MV4 WEAR RECLAIMED ASPHALT- 13.43 $895.85
TONS DELIVERED MAY 2022
Invoice 220531 5/312022
Transaction Date 6/82022 U.S. Bank 10100 10100 Total $895.85
CITY OF MOUND 06/09/2211: 15 AM
Page 8
Payments
Current Period: June 2022
Refer
325 METRO WATERSHED PARTNERS _
Cash Payment
E 675-49425-433 Dues and Subscriptions
2022 MEMBERSHIP CLEAN WATER MN &
$1,000.00
ADOPT A DRAIN
Invoice 061422
5/312022
Transaction Date 6/82022
U.S. Bank 10100 10100 Total
$1,000.00
Refer
325 METROPOLITAN COUNCIL WASTE _
Cash Payment
E 602-49450-388 Waste Disposal-MCIS
WASTEWATER SVCS FEE JULY 2022
$71,941.74
Invoice 0001134819 1/62022
Transaction Date 2222022
U.S. Bank 10100 10100 Total
$71,941.74
Refer
326 MIDWEST SERVICES _
Cash Payment
E 602-49450-404 Machinery/Equip Repairs
MECHANIC SVCS- MAY 2022- TRUCK #316,
$724.50
#304, #107
Invoice 8846
5/312022
Project 22-5
Cash Payment
E 602-49450-404 Machinery/Equip Repairs
MECHANIC SVCS- MAY 2022- TRUCK #218,
$672.75
SHERVEN & WINDSOR GENERATORS
Invoice 8846
5/312022
Project 22-5
Cash Payment
E 602-49450-404 Machinery/Equip Repairs
MECHANIC SVCS- MAY 2022- TRUCK #1604,
$776.25
STEEP TRAILER #117, NORTHERN &
WATERBURY GENERATORS, PELICAN
SWEEPER
Invoice 8846
5/312022
Project 22-5
Cash Payment
E 602-49450-404 Machinery/Equip Repairs
MECHANIC SVCS- MAY 2022- TRUCK #1604,
$802.13
TRUCK#316, SDMOTRAILER
Invoice 8846
5/312022
Project 22-5
Cash Payment
E 602-49450-404 Machinery/Equip Repairs
MECHANIC SVCS- MAY 2022 -MECHANIC
$828.00
SVCS-MAY 2022-TRUCK#515, LAKEWOOD,
LAKEWINDS & DEVON GENERATORS,
PELICAN SWEEPER
Invoice 8846
5/312022
Project 22-5
Cash Payment
E 602-49450-404 Machinery/Equip Repairs
MECHANIC SVCS- MAY 2022- TRUCK #316,
$724.50
#604, #217, #214- VAC TRUCK, TOOL CAT
#216, TORO GROUNDS MOWER,
Invoice 8846
5/312022
Project 22-5
Cash Payment
E 602-49450-404 Machinery/Equip Repairs
MECHANIC SVCS- MAY 2022 - PELICAN
$828.00
SWEEPER #204, WELL #8 GENERATOR,
UNLOAD A WET WELL HATCH FROM XPO
LOGISTICS
Invoice 8846
5/312022
Project 22-5
Cash Payment
E 602-49450-404 Machinery/Equip Repairs
MECHANIC SVCS- MAY 2022- TRUCK #1604,
$354.04
#504 PLUS PARTS- THIN -LINE ZINC DIE-
CAST & DOUBLE -FACE LIGHT
Invoice 8846
5/312022
Project 22-5
Cash Payment
E 602-49450-404 Machinery/Equip Repairs
MECHANIC SVCS- MAY 2022- TRUCK #119,
$517.50
#214 VAC TRUCK, EMERALD, FERNSIDE &
CARLOW GENERATORS, PELICAN
SWEEPER
Invoice 8846
5/312022
Project 22-5
Transaction Date 6/82022
U.S. Bank 10100 10100 Total
$6,227.67
Refer
327 MINNESOTA DEPTOFHEALTH _
Cash Payment
R 601-49400-37170 State fee - Water
2ND QTR 2022 COMMUNITY WATER SUPPLY
$9,141.00
SVC CONNECTION FEE
Invoice 061422
5/192022
Transaction Date 6/82022
U.S. Bank 10100 10100 Total
$9,141.00
Refer
329 MNSPECT _
Cash Payment
E 101-42400-308 Building Inspection Fees
MAY 2022 BUILDING INSPECTION FEES
$16,185.35
Invoice 8988
6/92022
- 1209 -
CITY OF MOUND
Payments
Current Period: June 2022
Cash Payment G 101-20800 Due to Other Governments MAY 2022 - ELECTRICAL STATE
SURCHARGE FEE CREDIT
Invoice 8988 6/92022
Cash Payment R 101-42000-32220 Electrical Permit Fee MAY 2022- ELECTRICAL INSPECTION
PERMIT FEE CREDITS
Invoice 8988 6/92022
Transaction Date 6/92022 U.S. Bank 10100 10100
Refer 328 MRI SOFTWARE LLC
06/09/22 11:15 AM
Page 9
-$27.00
-$391.40
Total $15,766.95
Cash Payment E 609-49750-305 Medical Services CRIMINAL BACKGROUND SCREENING & $27.00
REPORT-PREEMPLOYMENT-2
PROSPECTIVE EMPLOYEES- HWS
Invoice 1149962
5/312022
Transaction Date
6/82022
U.S. Bank 10100 10100 Total
Refer
329 NASSEFF MECHANICAL CONTRAC
_
Cash Payment
E 601-49400-440 Other Contractual Servic
TEST RPZ - CHATEAU LN WATERTOWER
Invoice 41488
5202022
Cash Payment
E 601-49400-440 Other Contractual Servic
TEST RPZ - EVERGREEN WATERTOWER
Invoice 41489
5202022
Transaction Date
6/82022
U.S. Bank 10100 10100 Total
Refer 330 NEWMAN SIGNS, INC. _
Cash Payment E 101-43100-226 Sign Repair Materials SIGN MATERIALS- GALV PIPE ROUND
POSTS 12' - 37 QTY,
Invoice 0309827 5232017
Transaction Date 6/62017 U.S. Bank 10100 10100 Total
$27.00
$220.00
$220.00
$440.00
$1,737.73
$1,737.73
Refer
342 OPUS 21 MGMT SOLUTIONS, LLC _
Cash Payment
E 601-49400-322 Postage
MAY 2022- UTILITY BILLING POSTAGE
$382.97
Invoice 220509
6/62022
Cash Payment
E 602-49450-322 Postage
MAY 2022- UTILITY BILLING POSTAGE
$382.97
Invoice 220509
6/62022
Cash Payment
E 601-49400-307 Admin/Finance/Compute
MAY 2022 -UTILITY BILLING -CIS DATA
$1,853.92
HOSTING, PRODUCTION, BILLING, CALL
CTR SUPPORT
Invoice 220509
6/62022
Cash Payment
E 602-49450-307 Admin/Finance/Compute
MAY 2022 -UTILITY BILLING -CIS DATA
$1,853.92
HOSTING, PRODUCTION, BILLING, CALL
CTR SUPPORT
Invoice 220509
Transaction Date
6/62022
2222022
U.S. Bank 10100 10100 Total
$4,473.78
Refer
331 RJ MECHANICAL, INC
_
Cash Payment
E 602-49450-500 Capital Outlay FA
GAS PIPE GENERATOR @ 3080 HIGHLANDS
$1,845.81
BLVD- 2021 B-2 LIFT STATION PROJECT- PW
21-03
Invoice 13911
5262022
Project PW2103
Transaction Date
6/82022
U.S. Bank 10100 10100 Total
$1,845.81
Refer 332 SPLASH DOCKS, LLC _
Cash Payment E 281-45210-440 Other Contractual Servic DOCK PROGRAM- MULTIPLE SLIP $8,035.00
INSTALLATION SPRING 2022
Invoice
Cash Payment E 281-45210-440 Other Contractual Servic SURFSIDE PARK- DOCK INSTALLATION $575.00
SPRING 2022
Invoice
Transaction Date 6/82022 U.S. Bank 10100 10100 Total $8,610.00
iFRAIt
CITY OF MOUND
Payments
Current Period: June 2022
Refer
333 SUN PATRIOT NEWSPAPER -CITY
Cash Payment
E 281-45210-351 Legal Notices Publishing
LEGAL NTCE- AMEND ZONING ORD CHPT
78-WATERWAYS- PUBLISHED 5--28-22
Invoice 894417
5282022
Cash Payment
E 101-41110-351 Legal Notices Publishing
LEGAL NTCE- AMEND ZONING ORD CHPT 54
SOLID WASTE- PUBLISHED 5--28-22
Invoice 894416
5282022
Cash Payment
E 609-49750-340 Advertising
BEST OF THE LAKES AREA- BEST LIQUOR
STORE- HWS- THANK YOU
ADVERTISEMENT- PUBLISHED 5-28-22
Invoice 895253
5292022
Transaction Date 6/82022
U.S. Bank 10100 10100 Total
Refer 334 TONKA PLUMBING HEATING & CL _
Cash Payment E 601-49400-440 Other Contractual Servic CLEAN OUT DRAIN LINE FOR WATER PUMP
& CHECK OPERATIONS @ EVERGREEN &
CHATEAU WELL HOUSES- 5-26-22
Invoice 7760 6/12022
Transaction Date 6/82022 U.S. Bank 10100 10100 Tota
Refer 335 TRI-STATE BOBCAT, INCORPORA
Cash Payment E 101-43100-404 Machinery/Equip Repairs AVANT CUTTING BAR
Invoice W95185 5242022
Transaction Date 6/82022 U.S. Bank 10100 10100
Total
Refer 337 WASTE MANAGEMENT OF WI -MN
Cash Payment E 101-41930-384 Refuse/Garbage Dispose GARBAGE SERVICE JUNE 2022- CITY HALL
& FIRE DEPT- INCLUDES OVERAGE 5-23-22
Invoice 7654083--1593-3 6/32022
Cash Payment E 222-42260-384 Refuse/Garbage Dispose GARBAGE SERVICE JUNE 2022- CITY HALL
& FIRE DEPT- INCLUDES OVERAGE 5-23-22
Invoice 7654083--1593-3 6/32022
Cash Payment E 101-45200-384 Refuse/Garbage Dispose GARBAGE SERVICE JUNE 2022- OVERAGE
5-23-22
Invoice 7654083--1593-3 6/32022
Transaction Date 6/82022 U.S. Bank 10100 10100 Tota
Refer 336 WORKSTRATEGIES
Cash Payment E 609-49750-305 Medical Services
Invoice 845645789 5202022
Transaction Date 6/82022
Refer 338 XCEL ENERGY
Cash Payment E 602-49450-381 Electric Utilities
Invoice 781426617 5262022
Cash Payment E 602-49450-381 Electric Utilities
Invoice 781541398 5262022
Cash Payment E 101-43100-381 Electric Utilities
Invoice 781506991 5262022
Transaction Date 6/82022
Refer 344 XCEL ENERGY
POST OFFER EMPLOYMENT TESTING-
A.JAN I KU LA - 4-25-22
U.S. Bank 10100 10100
Total
ELECTRIC SVC 4-26-22 THRU 5-25-22
CARLOW RD LIFT STATION
ELECTRIC SVC 4-26-22 THRU 5-25-22 1871
COMMERCE BLVD LIFT STATION
1790 COMMERCE STREET LIGHTS 4-26-22
THRU 5-25-22
U.S. Bank 10100 10100 Total
Cash Payment E 101-45200-381 Electric Utilities ELECTRIC SVC - 4-25-22 TO 5-25-22
Invoice 782244597 622022
06/09/22 11:15 AM
Page 10
$50.12
$46.26
$319.00
$415.38
$300.00
$300.00
$2,512.85
$2,512.85
$183.53
$183.53
$135.00
$502.06
$185.00
$185.00
$88.36
$139.26
$29.05
$256.67
$96.21
NVA`E
Cash Payment E 101-45200-381 Electric Utilities
Invoice 782244597 622022
Cash Payment E 602-49450-381 Electric Utilities
Invoice 782244597 622022
Cash Payment E 101-43100-381 Electric Utilities
Invoice 782244597 622022
Cash Payment E 601-49400-381 Electric Utilities
Invoice 782244597 622022
Cash Payment E 609-49750-381 Electric Utilities
Invoice 782244597 622022
Cash Payment E 101-41930-381 Electric Utilities
Invoice 782244597 622022
Cash Payment E 222-42260-381 Electric Utilities
Invoice 782244597 622022
Cash Payment E 101-41910-381 Electric Utilities
Invoice 782244597 622022
Cash Payment E 285-46388-381 Electric Utilities
Invoice 782244597 622022
Cash Payment E 101-42115-381 Electric Utilities
Invoice 782244597 622022
Transaction Date 6/92022
Refer 343 XCEL ENERGY
Cash Payment E 101-43100-381 Electric Utilities
Invoice 782411229 6/32022
Transaction Date 6/92022
CITY OF MOUND 06/09/2211: 15 AM
Page 11
Payments
Current Period: June 2022
ELECTRIC SVC - 4-25-22 TO 5-25-22- DEPOT
$68.80
BLDG
ELECTRIC SVC -4-25-22 TO 5-25-22
$3,146.46
ELECTRIC SVC - 4-25-22 TO 5-25-22
$740.47
ELECTRIC SVC - 4-25-22 TO 5-25-22
$3,705.05
ELECTRIC SVC- 4-25-22 TO 5-25-22
$1,382.79
ELECTRIC SVC- 4-25-22 TO 5-25-22
$1,019.21
ELECTRIC SVC- 4-25-22 TO 5-25-22
$1,019.21
ELECTRIC SVC- 4-25-22 TO 5-25-22
$1,055.77
ELECTRIC SVC- 4-25-22 TO 5-25-22
$1,544.63
ELECTRIC SVC - 4-25-22 TO 5-25-22
$49.18
U.S. Bank 10100 10100
Total $13,827.78
ELECTRIC SVC 5-03-22 THRU 6-02-22 CITY $5,516.22
OWNED STREET LIGHTS
U.S. Bank 10100 10100 Total
Refer 339 ZIEGLER, INCORPORATED
Cash Payment E 101-43100-404 Machinery/Equip Repairs SCRAPER ASSEMBLY- QTY 2 - #604 CAT
ROLLER - STREETS & WATER DEPTS
Invoice 000542996 5/192022
Cash Payment E 601-49400-404 Machinery/Equip Repairs SCRAPER ASSEMBLY- QTY 2 - #604 CAT
ROLLER - STREETS & WATER DEPTS
Invoice 000542996 5/192022
Cash Payment E 101-43100-404 Machinery/Equip Repairs STRAINERS, SEALS, REPLACEMENT CAPS,
NOZZLES- QTY 2 OF EACH - #604 CAT
ROLLER - STREETS & WATER DEPTS
Invoice 000545461 5202022
Cash Payment E 601-49400-404 Machinery/Equip Repairs STRAINERS, SEALS, REPLACEMENT CAPS,
NOZZLES- QTY 2 OF EACH - #604 CAT
ROLLER - STREETS & WATER DEPTS
Invoice 000545461 5202022
Transaction Date 6/82022
U.S. Bank 10100 10100 Total
$5,516.22
$146.80
$146.80
$35.61
$35.61
$364.82
NFRAFRE
Fund Summary
101 GENERAL FUND
222 AREA FIRE SERVICES
281 COMMONS DOCKS FUND
285 HRA/HARBOR DISTRICT
401 GENERAL CAPITAL PROJECTS
601 WATER FUND
602 SEWER FUND
609 MUNICIPAL LIQUOR FUND
670 RECYCLING FUND
675 STORM WATER UTILITY FUND
CITY OF MOUND
Payments
Current Period: June 2022
10100 U.S. Bank 10100
$53,889.84
$15,719.63
$8,876.73
$1,869.03
$10,105.00
$20,935.53
$90,289.18
$3,484.16
$144.40
$1,144.40
$206,457.90
Pre -Written Checks $0.00
Checks to be Generated by the Computer $206,457.90
Total $206,457.90
06/09/22 11:15 AM
Page 12
SFRAICE
Payments Batch 061422HWS
Refer 40056 BREWING, LLC
Cash Payment E 609-49750-252 Beer For Resale
Invoice 5618968 6172022
Transaction Date 6/92022
Refer 401 ARTISAN BEER COMPANY
CITY OF MOUND 06/09/22 12:36 PM
Page 1
Payments
Current Period: June 2022
$62,195.52
BEER $72.00
U.S. Bank 10100 10100 Total
$72.00
Cash Payment E 609-49750-252 Beer For Resale
Invoice 3539672 6/32022
Cash Payment E 609-49750-252 Beer For Resale
Invoice 3539673 6/32022
Cash Payment E 609-49750-252 Beer For Resale
Invoice 3539672 6/32022
Cash Payment E 609-49750-252 Beer For Resale
Invoice 3539672 6/32022
Transaction Date 6/92022
BEER
BEER
BEER
BEER CREDIT
U.S. Bank 10100 10100 Total
$529.75
$36.90
$903.60
-$211.26
$1,258.99
Refer 404 BELLBOY CORPORATION _
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
$2,081.15
Invoice 0095206800 6/82022
Cash Payment E 609-49750-253 Wine For Resale
WINE
$57.65
Invoice 0095207000 6/82022
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
$112.05
Invoice 0095156500 6/82022
Transaction Date 6/92022
U.S. Bank 10100 10100 Total
$2,250.85
Refer 402 BELLBOY CORPORATION _
Cash Payment E 609-49750-210 Operating Supplies
SUPPLIES, BAGS
$0.00
Invoice 0105264400 6/82022
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa
MIX
$144.85
Invoice 0105264400 6/82022
Cash Payment E 609-49750-255 Misc Merchandise For R
MDSE- CHAMPAGNE STOPPER, CARDED
$36.18
AUGER CORKSCREWS, SHAKER SET, SHOT
GLASSES
Invoice 0105264400 6/82022
Transaction Date 6/92022
U.S. Bank 10100 10100 Total
$181.03
Refer 405 BREAKTHRU BEVERAGE MN BEE _
Cash Payment E 609-49750-252 Beer For Resale
BEER
$8,496.60
Invoice 344424692 6/82022
Cash Payment E 609-49750-252 Beer For Resale
BEER
$33.00
Invoice 344424693 6/82022
Transaction Date 6/92022
U.S. Bank 10100 10100 Total
$8,529.60
Refer 406 BREAKTHRU BEVERAGE MN WINE _
Cash Payment E 609-49750-253 Wine For Resale
WINE
$184.00
Invoice 344425779 6/82022
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
$4,897.62
Invoice 344425776 6/82022
Cash Payment E 609-49750-253 Wine For Resale
WINE
$1,428.60
Invoice 344425778 6/82022
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa
MIX
$31.46
Invoice 344425777 6/82022
Transaction Date 6/92022
U.S. Bank 10100 10100
Total $6,541.68
CITY OF MOUND
Payments
Current Period: June 2022
Refer 407 CAPITOL BEVERAGE SALES, L.P
Cash Payment
E 609-49750-252 Beer For Resale
BEER CREDIT
Invoice 2696312
6172022
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 2695146
6172022
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 2695836
6/32022
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 2696316
6172022
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa
MIX
Invoice 2696316
6172022
Cash Payment
E 609-49750-252 Beer For Resale
BEER CREDIT
Invoice 2696313
6172022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 2696314
6172022
Transaction Date
6/92022
U.S. Bank 10100 10100
Refer
408 CLEAR RIVER BEVERAGE CO.
Cash Payment
E 609-49750-252 Beer For Resale
Invoice 634656
6/62022
Transaction Date 6/92022
Refer 409 DRASTIC MEASURES BREWING
Cash Payment E 609-49750-252 Beer For Resale
Invoice 2338 6/82022
Transaction Date 6/92022
BEER
U.S. Bank 10100 10100
BEER
U.S. Bank 10100 10100
Refer
410 HOHENSTEINS, INCORPORATED _
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 511251
6172022
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 511250
6172022
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa
MIX
Invoice 511250
6172022
Transaction Date 6/92022
U.S. Bank 10100 10100
Refer
411 INBOUND BREWCO
Cash Payment
E 609-49750-252 Beer For Resale
Invoice 13823
6/82022
Transaction Date 6/92022
Refer
412 JJ TAYLOR. DISTRIBUTING MINN
Cash Payment
E 609-49750-252 Beer For Resale
Invoice 3297362
6/92022
Cash Payment
E 609-49750-252 Beer For Resale
Invoice 3297361
6/92022
Transaction Date
6/92022
Refer
413 JOHNSON BROTHERS LIQUOi
Cash Payment E 609-49750-251 Liquor For Resale
Invoice 2069680 6/82022
Cash Payment E 609-49750-253 Wine For Resale
Invoice 2069681 6/82022
Cash Payment E 609-49750-251 Liquor For Resale
Invoice 2062225 5/312022
BEER
06/09/22 12:36 PM
Page 2
-$18.10
$3,658.85
$316.50
$219.80
$108.47
-$6.14
$409.75
Total $4,689.13
$723.25
Total $723.25
$478.00
Total $478.00
$3,190.40
$79.50
$57.50
Total $3,327.40
U.S. Bank 10100 10100 Total
$134.00
$134.00
BEER $400.85
BEER $6,743.40
U.S. Bank 10100 10100 Total $7,144.25
LIQUOR
$4,952.79
WINE
$2, 868.82
LIQUOR
$2,212.50
NFRA1�
CITY OF MOUND
Payments
Current Period: June 2022
Cash Payment E 609-49750-253 Wine For Resale WINE
Invoice 2062226 5/312022
Transaction Date 6/92022 U.S. Bank 10100 10100
Refer
414 LUPULIN BREWING COMPANY _
Cash Payment
E 609-49750-252 Beer For Resale BEER
Invoice 45413
6/32022
Transaction Date
6/92022 U.S. Bank 10100 10100
Refer
417 PHILLIPS WINE AND SPIRITS, INC _
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 6409736
6/82022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 6409735
6/82022
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa
MIX
Invoice 6409737
6/82022
Transaction Date
6/92022
U.S. Bank 10100 10100
Refer
418 PRYES BREWING COMPANY, LLC _
Cash Payment
E 609-49750-252 Beer For Resale BEER
Invoice 38230
6/92022
Transaction Date
6/92022 U.S. Bank 10100 10100
Refer 419 SHAMROCK GROUP, INC. _
Cash Payment E 609-49750-255 Misc Merchandise For R ICE
Invoice 2768045 6/82022
Cash Payment E 609-49750-255 Misc Merchandise For R ICE
Invoice 2765532 6/12022
Cash Payment E 609-49750-255 Misc Merchandise For R ICE
Invoice 2767848 6/42022
Transaction Date 6/92022 U.S. Bank 10100 10100
06/09/22 12:36 PM
Page 3
$351.90
Total $10,386.01
$445.35
Total
$445.35
$4,455.13
$2,175.95
$55.90
Total $6,686.98
$799.00
Total
Total
Refer 420 SHANKEN COMMUNICATIONS, INC _
Cash Payment E 609-49750-255 Misc Merchandise For R WINE SPECTATOR PUBLICATIONS 5-31-22
EDITION
Invoice S0774000 6/12022
Cash Payment E 609-49750-255 Misc Merchandise For R WINE SPECTATOR PUBLICATIONS 6-15-30-
22 EDITION
Invoice S0775997 6/12022
Transaction Date 6/92022 U.S. Bank 10100 10100 Total
Refer
421 SOUTHERN WINE & SPIRITS OF M
_
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 2221094
6/92022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 2221091
6/92022
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 2221092
6/92022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 2221090
6/92022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 2218478
622022
Transaction Date
6/92022
U.S. Bank 10100 10100
Refer
422 WINE MERCHANTS
_
Cash Payment E 609-49750-253 Wine For Resale WINE
Invoice 7382915 6/82022 - 1216 -
Total
$799.00
$76.00
$265.05
$299.75
$640.80
$17.50
$17.50
$35.00
$1,416.00
$1,936.12
$1,256.00
$274.95
$1,710.03
$6,593.10
$928.00
CITY OF MOUND
Payments
Current Period: June 2022
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX
Invoice 7382916 6/82022
Transaction Date 6/92022 U.S. Bank 10100 10100
Refer
423 WOODEN HILL BREWING COMPAN _
Cash Payment
E 609-49750-252 Beer For Resale BEER
Invoice 3464
6/32022
Transaction Date
6/92022 U.S. Bank 10100 10100
Fund Summary
10100 U.S. Bank 10100
609 MUNICIPAL LIQUOR FUND $62,195.52
$62,195.52
Pre -Written Checks $0.00
Checks to be Generated by the Computer $62,195.52
Total $62,195.52
Total
Total
06/09/22 12:36 PM
Page 4
$115.00
$1,043.00
$236.10
$236.10
srFArm
MOUND CITY COUNCIL MINUTES
May 24, 2022
The City Council of the City of Mound, Hennepin County, Minnesota, met in regular session on
Tuesday, May 24, 2022 at 7:00 p.m. in the Council Chambers in the Centennial Building.
Members present: Mayor Ray Salazar; Council members, Paula Larson, Sherrie Pugh, Phil
Velsor and Jason Holt.
Members absent: None
Others present: City Manager Eric Hoversten, City Clerk Kevin Kelly, Community Development
Director Sarah Smith, Jennifer Zullo and Ed Ring.
Consent agenda: All items listed under the Consent Agenda are considered to be routine in
nature by the Council. There will be no separate discussion on these items unless a
Councilmember or citizen so requests, in which event it will be removed from the Consent
Agenda and considered in normal sequence.
1. Open meeting
Mayor Salazar called the meeting to order at 7:00 p.m.
2. Pledae of Alleaiance
2.5 Moment of Silence
3. Approve agenda
Salazar mentioned the May 20'h incident in which the Eli Hart, who attended Shirley Hills
Elementary School, lost his life. Salazar said an investigation is in process and the community
is in mourning.
Salazar called for a moment of silence in honor of Eli
Salazar said much has transpired regarding Eli and there is an outcry for a vigil and he is
working with Christine Foley and Jessica Gould to organize the vigil. Salazar said the vigil will
be held on Friday night at the Westonka Library in Mound at 7:00 p.m. Salazar urged
community members to attend the vigil for Eli Hart. Salazar added that our prayers go out to Eli
and his Father and family.
Hoversten said the moment of silence will be added to the agenda as item 2.5 along with Item
4F the resolution for the Community Vigil musical concert permit.
MOTION by Velsor, seconded by Larson, to approve the amended agenda. All voted in favor.
Motion carried.
4. Consent agenda
Hoversten added the Item 2.5 Moment of Silence and 4F Musical Concert Permit for Community
Vigil being held on Friday, May 27, 2022 at Mound Westonka Library.
MOTION by Velsor, seconded by Pugh, to approve the amended consent agenda. Upon roll
call vote, all voted in favor. Motion carried.
- 1218 -
Mound City Council Minutes — May 24, 2022
A. Approve payment of claims in the amount of $325,093.40.
B. Approve minutes: 05-10-22 regular meeting
C. Approve a 1-4 day on -sale temporary liquor permit for Northwest Tonka Lions for the
June 18, 2022 Rockin' the Block at the Gillespie Center Fundraiser
D. RESOLUTION 22-39: RESOLUTION APPROVING PERMITS FOR 2022 SPIRIT OF
THE LAKES FESTIVAL BEING HELD ON THURSDAY, JULY 21, 2022 THROUGH
SATURDAY JULY 23, 2022 AND WAIVING FEES DUE TO PUBLIC PURPOSE OF
GATHERING
E. RESOLUTION NO. 22-40: RESOLUTION APPROVING MUSICAL CONCERT
PERMIT FOR GILLESPIE COMMUNITY CENTER ROCKIN' THE BLOCK FUNDRAISER
ON SATURDAY, JUNE 18, 2022 AND WAIVING FEES DUE TO THE PUBLIC PURPOSE
OF GATHERING
F. (Added) RESOLUTION NO. 22-41: RESOLUTION APPROVING MUSICAL CONCERT
PERMIT BEING HELD ON FRIDAY MAY 27, 2022 AT MOUND WESTONKA LIBRARY
AND WAIVING FEES DUE TO PUBLIC PURPOSE OF GATHERING
5. Comments and suggestions from citizens present on any item not on the agenda.
Velsor said a friend questioned how the City enforcement of mowing lawns is done in Mound.
Velsor said if the resident is complaining to the City about a lawn and nothing gets done he
would like to see an improvement to the complaint -based system so if people complain
something gets done about it.
Velsor said his lawn mower broke down last year and he needed to get a new mower and he
didn't want staff knocking on his door if his lawn didn't get mowed.
Velsor said the City needs to get these problem lawns, which were complained about, taken
care of. Velsor said he does not see an improvement in town if there isn't enforcement. Velsor
said he will send the information to staff about the property which was complained about.
Velsor said he received communication about the No Mow May movement and said every
month is no -mow in Mound.
Velsor said these residents should be given a week to clean up their lawns and then the City
should mow it.
Hoversten said the procedures and timelines for lawn care were established under Council
purview and if the Council would like to tighten this up staff can do that. Velsor said he would
like to review the procedures at the next meeting.
Pugh said she agrees with Velsor on the need to clean up yards but she said she feels strongly
about participation in No Mow May. Pugh said after the 31 st of May they need to cut their lawn.
Pugh said typically there isn't much to cut in May but this May isn't a usual year. Velsor said a
lot of yards in Mound aren't just leaving dandelions grow a couple of extra weeks. Velsor said
many are left to grow and look awful. Velsor said he doesn't see this situation driving around
other towns.
- 1219 -
Mound City Council Minutes — May 24, 2022
6. Public Hearing - Review/consideration of conditional use permit application to allow
outdoor seating/dining, to include alcohol service, at Hibachi Daruma located at 2330
Wilshire Boulevard in the Stonegate Shopping Center
Applicants: Ying Alvarez/Jennifer Zullo from Hibachi Daruma
Owner: Ed Ring, EGR Premier Prop. LLC
Requested Action:
Approval of Resolution Approving Conditional Use Permit to Permit Outdoor Dining
Area Patio for Hibachi Daruma at 2330 Wilshire Boulevard in Stonegate Shopping Center
Smith presented the Conditional Use Permit (CUP) for outdoor seating and dining at Hibachi
Daruma restaurant in the Stonegate Shopping Center. Smith said this is a public hearing for
review and consideration of outdoor dining on the sidewalk adjacent to the restaurant. Smith
said the Council, a year ago, approved the liquor license for Daruma and this request is to allow
for outdoor dining and beverage service which must be approved by the CUP process. Smith
said the Planning Commission (PC) reviewed the Hibachi Daruma application and this public
hearing has been noticed properly. Smith said the application was submitted by Daruma and
Ed Ring, the property owner. Smith presented an aerial photo which showed the location of the
outdoor seating which is the sidewalk on the west side of the building. Smith said there is an
existing overhang over the proposed outdoor seating which will allow for 10 tables and 30 seats
which will only be used during restaurant hours. Smith said there are additional improvements
proposed which include a barricade to protect the diners seated at the table from the parking
area. Smith said there will be no change to the building or parking but will allow Daruma to
extend liquor service to the sidewalk area.
Smith said the PC approved and was very supportive of the application as was the property
owner Ed Ring.
Smith said there were questions from the PC regarding existing lighting in the overhead canopy
that Smith said will provide adequate lighting. Smith said there will be no heating or music
outside of the building and the sidewalk will only be used during the nice and seasonal months.
Smith said the location is on a County Road and staff routed the request through Hennepin
County, Utility Companies and those property owners within 350' of the property. Smith said
Mediacom did respond and did not have any objection and there were no other responses.
Smith added the Mound Fire Department and Building Official did review the outdoor dining plan
regarding fire egress and accessibility. Smith added the PC did offer unanimous approval.
Smith said both Staff and PC recommend approval of the CUP.
Salazar called for a Public Hearing at 7:16.
Jennifer Zullo, Manager of Hibachi Daruma, 2530 Pleasant Ave., Minneapolis, and Ed Ring,
owner of Stonegate Plaza, 12393 James Road, Minnetonka, addressed the Council. Zullo
thanked the Council and said customers have been asking when the patio will be open and they
are excited to expand their business. Ring also thanked Council and Staff for the support they
have received. Salazar said he has heard great things about the restaurant.
Salazar closed the public hearing at 7:18.
- 1220 -
Mound City Council Minutes — May 24, 2022
Velsor said the approval of the CUP is a no brainer. Salazar added it is nice to have another
new business in town.
MOTION by Velsor, seconded by Holt, to approve the following resolution. All voted in favor.
Motion carried.
RESOLUTION NO. 22-42: RESOLUTION GRANTING APPROVAL OF A
CONDITIONAL USE PERMIT TO ALLOW AN OUTDOOR DINING AREA/PATIO
FOR HIBACHI DARUMA LOCATED AT 2330 WILSHIRE BOULEVARD IN THE
STONEGATE SHOPPING CENTER
PLANNING CASE NO. 22-04
7. Information/Miscellaneous
A. Comments/reports from Council members/City Manager: Salazar said he would like to
address what has been going on with the State legislature.
Salazar said in late 2020 the Minnesota Department of Health handed the City a problem in
regards to the testing for and the presence of Manganese in the City water supply. Salazar said
the City did a study to fix the problem and came up with a plan which was presented to the
elected officials who represent Mound. Salazar said the funding for the improvement to the
water supply is tied up in the Omnibus bill which didn't get approval by the Minnesota Senate.
Salazar added a lot of things didn't get done in the legislative session. Salazar said there needs
to be a Special Legislative Session called in order to tie up the many loose ends which weren't
addressed. Salazar said he hopes the Omnibus Bill will get voted on and passed.
Salazar said he has spoken to both State Senator Osmek and State Representative Morrison
and the bill is still alive though the clock has run out. Salazar said it is up to the Governor to call
for the Special Session. Salazar said the cost of the water treatment can't be passed on to
Mound's citizens to fix this problem. Salazar said City water bills are high and the City needs
the $24Million in funding in the Omnibus Bill. Salazar said the City has spent $35Million on
infrastructure in the City without asking for state funding for these projects. Salazar asked
residents to contact Morrison and Osmek in support of the Omnibus Bill.
Pugh said Representative Morrison drafted the bill on this issue and worked with Senator
Osmek on it. Pugh added Morrison met with the City early on and was responsive to the issue.
Salazar said there is plenty of money at the State and right now, state-wide, things are at a
standstill. Salazar added that U.S. Congressman Dean Phillips got $680Million in federal funds
awarded to the state.
Salazar reminded residents of the Vigil for Eli Hart at Mound Westonka Library at 7:00 on Friday
and stated it would be nice for residents to attend.
Hoversten added the following:
June 4 - Mound Fire Relief Association Fish Fry
June 18 — "Rockin' the Block at Gillespie" Center
There will be an event at Shirley Hills Elementary on May 28th for Eli Hart.
Salazar has been in conversation with Eli Hart's Father and family who live in Chetek,
Wisconsin, which is 2 % hours from Mound. Salazar said they appreciate the support from
- 1221 -
Mound City Council Minutes — May 24, 2022
Mound but are in tremendous grief and will not be able to attend the event on Friday. Salazar
said the event is for Eli and will help the community to heal from this incident.
B. Reports: Finance Department —April 2022
Engineering — 1 st Quarter 2022
C. Minutes: Parks & Open Space Commission — April 14, 2022
D. Correspondence: Mediacom's Affordable Connectivity Program
U.S. Department of Treasury — Amer. Rescue Plan SLFRF
8. Adjourn
ACTION by Larson, seconded by Pugh, to adjourn at 7:31 p.m. All voted in favor. Motion
carried.
Attest: Kevin Kelly, Clerk
Mayor Raymond J. Salazar
61
- 1222 -
2415 Wilshire Boulevard
Mound, MN 55364
(952) 472-0604
MEMORANDUM
To: Honorable Mayor and City Council
From: Sarah Smith, Community Development Director
Date: June 7, 2022
Re: Consent Agenda Item for June 14, 2022 Meeting— Public Gathering Permit for Special Event
at Surfside Park and Beach
Overview. Dan Hays, Westonka Community Church-Westonka Campus, submitted a Public
Gathering Permit Application for City Council consideration to approve use of Surfside Park and Beach
on Lake Minnetonka on Sunday, June 26, 2022 from 11 a.m. to noon for baptisms.
Details.
• Approximately 45 guest/attendees are anticipated for the event.
• Applicant was notified that the noon end time must be adhered to as the Mound Depot is
rented for a private activity for the day.
• Staff notified the Orono Police Department, the Public Works Department and the Mound Fire
Department about this event. Staff also notified affected public agencies (i.e., Three Rivers
Park District Hennepin County Transportation Department etc.).
Recommendation. Staff recommends approval of the requested permits subject to the following
conditions:
1. Applicant shall be responsible for procurement of all required local and public
agency permits that are needed to hold the event.
2. Applicant shall work with the Orono Police Department, the Mound Fire Department
(MFD) and the Public Works Department, as needed, regarding logistics for the
upcoming event including, but not limited to, equipment and personnel needs, site
set-up and staging, traffic/pedestrian control and circulation, road closure needs, etc.
Applicant is responsible for payment of fees for public safety or public services that
may apply. A copy of the permit from Hennepin County for the event was submitted
by the applicant and is included as an attachment.
3. Amplified music, speakers and PA/sound systems are to be directed in the direction
best suited to minimize impact upon neighbors.
- 1223 -
4. Placement of any and/or all temporary signs shall be subject to regulations contained
in City Code Chapter 119 and may include issuance of a permit and payment of the
required fee.
5. No signage can be placed upon private property unless permission from the private
property owner and/or other interested party has been provided to the applicant who
shall be responsible for obtaining same.
6. Signage placement is subject to review and approval by the City of Mound. No signage
shall be placed in a location so as to affectvehicular and pedestrian traffic. The City of
Mound reserves the right to modify sign placement in the field.
7. The submittal of a Certificate of Insurance, naming the City of Mound as an
additional insured, is required and shall be provided prior to the release and issuance
of the Public Gathering Permit and Musical Concert Permit. Required insurance and
coverage shall be in accordance with the City's established policies.
8. If different from the application, contact information, including name and cell phone
number, for the person(s) who will be on site the day of the event shall be
provided prior to the release of the Public Gathering Permit.
9. Applicant is required to comply with the CDC guidelines for the COVID 19 pandemic
and the Governor's Executive Order in effect at the time.
A resolution, approving the permit application, subject to conditions, based on Staff's
recommendation, has been prepared for Council's consideration. Staff recommends approval.
• Page 2
- 1224 -
CITY OF MOUND
RESOLUTION NO. 22-
RESOLUTION APPROVING PUBLIC GATHERING PERMIT FOR WESTWOOD COMMUNITY
CHURCH-WESTONKA CAMPUS AND USE OF SURFSIDE PARK AND BEACH ON SUNDAY,
JUNE 26, 2022 FROM 11:00 A.M. TO NOON
WHEREAS, on December 14, 2021, the City Council of the City of Mound approved
Resolution 21-129 which adopted the 2022 Fee Schedule; and
WHEREAS, the Fee Schedule sets the Public Gathering Permit Category I Location Fee
at $300 per day and the Damage Deposit at $500 per day; and
WHEREAS, Dan Hays, Westonka Community Church-Westonka Campus,
submitted a Public Gathering Permit Application for City Council consideration to approve
use of Surfside Park and Beach on Lake Minnetonka on Sunday, June 26, 2022 from
11:00 a.m. to noon for baptisms; and
WHEREAS, City Staff has reviewed said applications and has recommended
reasonable conditions to protect the public's investment in its public parks and common areas
as set forth in a staff memorandum to the City Council dated June 7, 2022 ("Conditions"); anc
follows:
NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of Mound as
The recitals set forth above are incorporated into this Resolution.
The permit for the special event approved with Conditions.
Passed by the City Council this 14'h day of June, 2022
Attest: Kevin Kelly, City Clerk
Mayor Raymond J. Salazar
- 1225 -
CITY OF MOUND
2415 WILSHIRE BLVD.
MOUND, MINNESOTA 55364 SUN U 6 2022
PUBLIC GATHERING PERMIT
Use of a public park or commons by any group consisting of 15 or more individuals.
Use is not to interfere with traffic and general use of the park or commons or to be beyond the
ability of the police in maintaining order.
NO LIQUOR OR BEER MAY BE USED IN ANY OF THE CITY PARKS OR
BUILDINGS.
Group is to remove all litter and trash and provide a deposit to insure cleaning up of the park
area.
Category I Locations: Surfside Park, Greenway, Centerview Park and Parking Deck
PERMIT FEE: $300/DAY DAMAGE DEPOSIT: $500/DAY
Category II Locations: Other Parks (neighborhoods, veteran's parks)
PERMIT FEE: $50/DAY DAMAGE DEPOSIT: $200/DAY
A Certificate of Insurance naming the City of Mound as Certificate Holder/Additional
Insured is required with respect to the City's ownership of the public lands.
Date(s) of Use 1 Z 6 7i �
Area to be Used f it CL P6,r1�
Time Frame I I G Vim- — i j L?o h
Intended Use "
Expected Attendance
1_/ S_
Organization GI a d
Representative's Name
w4— fKt �Xk ct
CeU4 yyJ l�t�v� — Ile, (G vS
1 1
pp / 'd �
Address �� �7 �� o V w 1
Telephone No. Daytime: 7" 77 S- SZWork:
E-Mail: J& �A . k A"j) � P 7 vo 4
Departmental Approval
City Clerk
Police Dept.
Public Works D
Fire D
2415 Wilshire Boulevard
Mound, MN 55364
(952) 472-0604
MEMORANDUM
To: Honorable Mayor and City Council
From: Sarah Smith, Community Development Director
Date: June 7, 2022
Re: Consent Agenda Item for June 14, 2022 Meeting— Permits for Mound Westonka Youth
Skateboarding Competition at Zero Gravity Skate Park
Overview
Lisa Batchelor, 2933 Cambridge Lane, submitted a Public Gathering Permit Application, a
Musical Concert Permit Application and supporting information for a youth skateboard
competition to be held at the Zero Gravity Skate Park located on Maywood Road n June 26,
2022 from noon to 4:00 p.m. The skate park is located at the terminus of Maywood Road
immediately west of Cypress Lane. The event, which is geared to Mound Westonka
community youth, is being planned by a local family, and will include judges, a BMX bike
exhibition and a possible food truck; also music/boom box and speaker use. The organizers
are also lookingto obtain local sponsors in addition to a large scale sponsor (Red Bull).
Staff notified the Orono Police Department, the Public Works Department and the Mound Fire
Department about this event. Staff also notified affected public agencies (i.e., Three Rivers Park
District Hennepin County Transportation Department etc.).
Recommendation. Staff recommends approval of the requested permits subject to the following
conditions:
1. Applicant shall be responsible for procurement of all required local and public
agency permits that are needed to hold the event.
2. Applicant shall work with the Orono Police Department, the Mound Fire Department
(MFD) and the Public Works Department, as needed, regarding logistics for the
upcoming event including, but not limited to, equipment and personnel needs, site
set-up and staging, traffic/pedestrian control and circulation, road closure needs, etc.
Applicant is responsible for payment of fees for public safety or public services that
may apply. A copy of the permit from Hennepin County for the event was submitted
by the applicant and is included as an attachment.
3. Amplified music, speakers and PA/sound systems are to be directed in the direction
best suited to minimize impact upon neighbors.
- 1227 -
4. Placement of any and/or all temporary signs shall be subject to regulations contained
in City Code Chapter 119 and may include issuance of a permit and payment of the
required fee.
5. No signage can be placed upon private property unless permission from the private
property owner and/or other interested party has been provided to the applicant who
shall be responsible for obtaining same.
6. Signage placement is subject to review and approval by the City of Mound. No signage
shall be placed in a location so as to affectvehicular and pedestrian traffic. The City of
Mound reserves the right to modify sign placement in the field.
7. The submittal of a Certificate of Insurance, naming the City of Mound as an
additional insured, is required and shall be provided prior to the release and issuance
of the Public Gathering Permit and Musical Concert Permit. Required insurance and
coverage shall be in accordance with the City's established policies.
8. If different from the application, contact information, including name and cell phone
number, for the person(s) who will be on site the day of the event shall be
provided prior to the release of the Public Gathering Permit.
9. Applicant is required to comply with the CDC guidelines for the COVID 19 pandemic
and the Governor's Executive Order in effect at the time.
A resolution, approving the permit application, subject to conditions, based on Staff's
recommendation, has been prepared for Council's consideration. Staff recommends approval.
• Page 2
- 1228 -
CITY OF MOUND
RESOLUTION NO. 22-
RESOLUTION APPROVING PUBLIC GATHERING PERMIT AND MUSICAL CONCERT
PERMIT FOR MOUND WESTONKA YOUTH SKATEBOARDING COMPETITION AND
USE OF ZERO GRAVITY SKATE PARK ON SUNDAY, JUNE 26, 2022 FROM NOON
TO 4:00 P.M.
WHEREAS, on December 14, 2021, the City Council of the City of Mound
approved Resolution 21-129 which adopted the 2022 Fee Schedule; and
WHEREAS, the Fee Schedule sets the Public Gathering Permit Category
Location Fee at $50 per day and the Damage Deposit at $ 200 per day; and
WHEREAS, the Fee Schedule does not require a fee for a Musical Concert Permit
if a Public Gathering Permit is approved for a special event; and
WHEREAS, Lisa Batchelor, 2933 Cambridge Lane, submitted a Public Gathering
Permit Application, a Musical Concert Permit Application and supporting information for a
youth skateboard competition to be held at the Zero Gravity Skate Park located on
Maywood Road on June 26, 2022 from noon to 4:00 p.m.. The skate park is located at the
terminus of Maywood Road immediately west of Cypress Lane. The event, which is
geared to Mound Westonka community youth, is being planned by a local family, and will
include judges, a BMX bike exhibition and a possible food truck; also music/boom box and
speaker use. The organizers are also looking to obtain local sponsors in addition to a large
scale sponsor (Red Bull).
WHEREAS, City Staff has reviewed said applications and has recommended
reasonable conditions to protect the public's investment in its public parks and common
areas as set forth in a staff memorandum to the City Council dated June 7, 2022
("Conditions"); and
NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of Mound
as follows:
The recitals set forth above are incorporated into this Resolution.
2. The permit for the special event approved with Conditions.
Passed by the City Council this 14th day of June, 2022
Attest: Kevin Kelly, City Clerk
Mayor Raymond J. Salazar
- 1229 -
CITY OF MOUND
2415 WILSHIRE BLVD.
MOUND, MINNESOTA 55364
PUBLIC GATHERING PERMIT U0Q
Use of a public park or commons by any group consisting of 15 or more individuals.
Use is not to interfere with traffic and general use of the park or commons or to be beyond the
ability of the police in maintaining order.
NO LIOUOR OR BEER MAY BE USED IN ANY OF THE CITY PARKS OR
BUILDINGS.
Group is to remove all litter and trash and provide a deposit to insure cleaning up of the park
area.
Category I Locations: Surfside Park, Greenway, Centerview Park and Parking Deck
PERMIT FEE: $300/DAY DAMAGE DEPOSIT: $500/DAY
Category II Locations: Other Farks (neighborhoods, veteran's parks)
PERMIT FEE: $50/DAY DAMAGE DEPOSIT: $200/DAY
A Certificate of Insurance naming the City of Mound as Certificate Holder/Additional
Insured is required with respect to the City's ownership of the public lands.
Date(s) of Use �0 1d\A I
Area to be Used
Time Frame I 'a-' y
Intended UsejL�
Expected Attendance N wx^ �
Organization NJ(\
Representative's Name
Address
U't ,- ()" eL6<
Telephone No. Daytime: U V:: 11
Dk 03
Work: G'i'Lti{bi 1-*\�)
E-Mail: U `y�� \'i 1-2D1�`f u,"3E �&L t' ilbvl,� 1 L__ C,6, 1
Departmental Approval
City Clerk Police Dept.
Public Works Dept. Fire Dept.
$50/event (only if no Public Gathering Permit Issued)
Date(s) of Musical Concert
LICENSE #
CITY OF MOUND
2415 WILSHIRE BLVD. JUN
MOUND, MINNESOTA 55364 3 1�?2
MUSICAL CONCERT PERMIT APPLICATION
(Including, but not limited to, live music, music provided by a disc jockey, and/or any type of amplified
music)
EVENT: a4-"-.\A��� �' �1��. `j� �►� i }�"i `�
LOCATION OF MUSICAL CONCERT:r]V-
TYPE OF MUSICICAL CONCERT: �b� 1 q
TIME PERIOD OF MUSICAL CONCERT J �
(HOURS PERMITTED: Mon - Sun: 7:00 am - 10: 0 pm)
REQUESTED EXTENSION OF HOURS: W
(Council approval must be received to conduct a musical concert after 10:00 pm)
APPLICANT: N CONTACT: U',
ADD � S�� ADDRES C
E-MAIL lJ e-7 \i 0DP -,((Ak6`(���
HOME PHONE #: M l'II A o io 3
Date
WORK PHONE #: CA G E u D 1 %'bW
�� ry a%�
Applicants Signature
A certificate of insurance naming the City of Mound as Certificate Holder/Additional Insured
is required with respect to the City's ownership of the public lands, if applicable.
Department Review
Approved Denied.
Police Dept.
Adm.
Fire Dept.
- 1231 -
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- 1232 -
T
BOLTON
& MENK
Real People. Real Solutions.
June 9, 2022
Mr. Eric Hoversten, City Manager
City of Mound
2415 Wilshire Boulevard
Mound, MN 55364
RE: 2021 Lift Station Improvements
City Project No. PW-21-03
Miscellaneous Pay Request
Dear Mr. Hoversten:
2638 Shadow Lane
Suite 200
Chaska, MN 55318-1172
Ph:[9521448-8838
Fax:[9521448-8805
Bolton-Menk.com
Please find enclosed the following related pay request which has been reviewed and is in
accordance with the approved proposal.
We recommend payment in the amount of $3,750.00 to Norling's Lake Minnetonka Landscapes.
Sincerely,
Bolton & Menk, Inc.
Matthew S. Bauman, P.E.
Assistant City Engineer
Bolton & Menk is an
MORLINGvS
Lake Minnetonka Landscapes, Inc.
P. O. Box 361, Spring Park, MN 55384
Phone:952-471-0255 FAX:952-471-1181
BILL TO
Bolton & Menk
ATTN: Matt Bauman
2638 Shadow Lane
Chaska, MN 55318
INVOICE
DATE INVOICE #
5/27/2022 40264
TERMS JOB #
NET 30 9524
QUANTITY DESCRIPTION RATE AMOUNT
Landscape Service (Tax -Exempt)
LANDSCAPE PLANTING (Proposal #05182022BOL)
Highland Boulevard Lift Station
Install (5) 6' Techny Arborvitae with mulch
Install water bags
1.5% finance charge on balances over 30 days.
Please write Job Number on check.
3,000.001 3,000.00
750.00 750.00
Total $3,750.00
- 1234 -
Orono Police Department
Crime Summary Report
Cities: MOUND
Date Range: 5/12022 12:00:01 AM - 5/312022 11:59:59 PM
Crime Category: Aggravated Assault
609.2242.1(2) Domestic Assault -Misdemeanor -Intentionally Inflicts/Attempts to Inflict Bodily Harm on Another 1
Crime Category: All Other Offenses
14-39 (Mound)Owner of any dog or cat prevent them from committing a nuisance -Including barking, crying, or howling 1
171.306.6(b) Ignition Interlock - Tampers, circumvents or bypasses device or assists another 1
44-141 (Mound)Noise in residential areas 1
518B.01.14(a) Domestic Abuse - Violate Order for Protection 1
609.487.6 Fleeing a Peace Officer By a Means Other Than a Motor Vehicle 1
609.546(2) Tamper With Motor Vehicle/Enter w/o Owner Permission 1
Crime Category: Burglary/Breaking & Entering
609.582.3 Burglary-3rd Deg-Steal/Commit Felony or Gross Misd 1
Crime Categ
609.595.3 Damage to Property-4th Deg -Intentional Damage -Other Circumstances 1
Crime Category: Disorderly Conduct
609.72.1 Disorderly Conduct 1
169A.20.1(1) Traffic - DWI - Operate Motor Vehicle Under Influence of Alcohol 1
169A.20.1(3) Traffic - DWI - Operate Motor Vehicle Under Influence of intoxicating substance - Impaired 1
169A.20.1(5) Traffic - DWI - Operate Motor Vehicle - Alcohol Concentration 0.08 Within 2 Hours 1
169A.20.2(1) Traffic - DWI - Refuse to submit to chemical test; Breath or test refusal or failure 1
169A.24.1(2) Traffic - DWI - First -Degree DWI; previous felony DWI conviction 1
169A.25.1(a) Traffic - DWI - Second -Degree Driving While Impaired; 2 or more Aggravating Factors 1
152.092(a) Drugs- Possession of Drug Paraphernalia- Use or Possession Prohibited 2
Report Ran: 6/6/2022 11:16:40 AM Page 1 of 4
Report: OR - FBR - Crime Summary Report
- 1235 -
Crime Category: Drug/Narcotic Violations
152.027.3 Drugs -Possess Over 1.4 Grams Marijuana In Motor Vehicle
Crime Category: Fondling .
609.343.1a(e) Criminal Sexual Conduct - 2nd Degree- Contact under 14 - Actor> 36m older
Crime Category:
169A.35.4 Traffic - Open bottle law; Liability of nonpresent owner; crime described
1
LTRTIe Category: Murder and Non -Negligent Mansla
609.185(a)(1) Murder -1st Degree - Premeditated 2
Crime Category: Non -Reportable
169.09.4 Traffic Collision - Collision with Unattended Vehicle - Notify Victim or Police
169.09.5 Traffic Collision - Failure to Notify Owner of Damaged Property
169.14.2(a) Traffic - Speeding - Exceed Limit
169.18.8(a) Traffic regulation - following vehicle more closely than reasonable and prudent
169.791.2(a) Traffic Regulation - Driver Must Carry Proof of Insurance when Operating Vehicle
169.797.2 Traffic Regulation -Uninsured Vehicle -Owner Violation
171.24.2 Traffic -Drivers License -Driving After Revocation
171.24.5 Traffic-DL-Driving after cancellation -inimical to public safety
ACPD ACC -MOTOR VEHICLE PROPERTY DAMAGE
ACPDHR ACC -MOTOR VEH PROPERTY DAMAGE -HIT & RUN
ACPI ACC -MOTOR VEHICLE PERSONAL INJURY
ACPUB ACC -ACCIDENT PUBLIC
ALFIRE ALARM FIRE
ALRES ALARM RESIDENCE
ANAL ANIMAL AT LARGE
ANBIT ANIMAL BITE
ANCOMP ANIMAL COMPLAINT/OTHER
ANINJ ANIMAL INJURED/SICK
ASLI FT LIFT ASSIST
ASOAASSIST OTHER AGENCY
ASPUB ASSIST PUBLIC
DEATH DEATH INVESTIGATION
DISDOM DISTURB DOMESTIC
DISHAR DISTURB HARASSMENT
DISNEI DISTURB NEIGHBORHOOD
Report Ran: 6/6/2022 11:16:40 AM
Report: OR - FBR - Crime Summary Report
Page 2 of 4
- 1236 -
DISNOI DISTURB NOISE COMPLAINT
DISUNW DISTURB UNWANTED PERSON
FOPR FOUND PROPERTY
JUVPROB JUV-CHILD PROBLEM
JUVPROT JUV-CHILD PROTECTION
LOSTDOG LOST DOG
LOSTPER LOST/MISSING PERSON
LOSTPR LOST PROPERTY
MED MEDICAL
MEDMH MEDICAL MENTAL HEALTH
MIS911 MISC FALSE 911 CALL
MISCIV MISC PUBLIC CIVIL MATTER
MISFRA MISC OFCR FRAUD
MISINFO MISC OFCR INFORMATION
MISINFOID MISC OFCR INFO ID THEFT -TRANS CARD FRAUD
MISLOC MISC OFCR VEHICLE LOCKOUT
MISRUNLOC MISC OFCR JUVENILE RUNAWAY LOCATED
MISSCAM MISC OFCR SCAM/SWINDLE
MISTRAFC MISC OFCR TRAFFIC COMPLAINT
MISTRES MISC OFCR TRESPASS NOTICE SERVED
MISUB MISC OFCR UNFOUNDED BURGLARY
MISUTL MISC OFCR UTILITIES
MISWA MISC OFCR WARRANT ARREST
MISWEL MISC OFCR WELFARE CHECK
PERSOL PERMIT SOLICITOR
PKCOMP PARKING COMPLAINT
SUTATT SUICIDE ATTEMPT
SUSACT SUSPICIOUS ACTIVITY
SUSPER SUSPICIOUS PERSON
SUSVEH SUSPICIOUS VEHICLE
Crime Category: Shoplifting
609.52.2(a)(1) Theft-Take/Use/Transfer Movable Prop -No Consent
Crime Category: Simple Assault 2
609.224.1 Assault-5th Degree -Misdemeanor 1
609.2242.1(2) Domestic Assault -Misdemeanor -Intentionally Inflicts/Attempts to Inflict Bodily Harm on Another 1
Report Ran: 6/6/2022 11:16:40 AM
Report: OR - FBR - Crime Summary Report
Page 3 of 4
- 1237 -
Crime Category: Theft From Motor Vehicle
609.52.2(a)(1) Theft-Take/Use/Transfer Movable Prop -No Consent
Crime Category: Weapon Law Violations —
624.714.1a Carry/Possess Pistol w/out Permit - Public Place - Gross Misdemeanor; Second or Subsequent - Felony
Report Ran: 6/6/2022 11:16:40 AM
Report: OR - FBR - Crime Summary Report
Total All Categories: 192
Page 4 of 4
- 1238 -
Orono Police Department
Activity Report - Public
(If Juvenile involved, no address provided)
Cities: MOUND
Date Range: 5/1/2022 12:00:01 AM - 5/31/2022 11:59:59 PM
Case; OR22003208 Reported: 5/1/2022 2:56:22 AM Address: 40 COMMERCE BLVD, MOUND
Offense: MED MEDICAL
Offense: DEATH DEATH INVESTIGATION
Case: OR22003221 Reported: 5/1/2022 3:20:27 PM Address: >iLESLIE RD ' MOUND
Offense: ACPD ACC -MOTOR VEHICLE PROPERTY DAMAGE
Offense: 152.092(a) Drugs - Possession of Drug Paraphernalia - Use or Possession Prohibited
Offense: 169.14.2(a) Traffic - Speeding - Exceed Limit
Offense: 624.714.1 a Carry/Possess Pistol w/out Permit - Public Place - Gross Misdemeanor; Second or Subsequent - Felony
Case: OR22003229 Reported: 5/1/2022 7:31:34 PM Address: iW BARTLETT BLVD MOUND
Offense: MED MEDICAL
Offense: MED MEDICAL
Case: OR22003237 Reported: 5/2/2022 5:07:18 AM
Address: AM LOST LAKE LN
MOUND
Offense: MED MEDICAL
Case: OR22003250 Reported: 5/2/202210:26:29 AM
Address: 4M KILDARE RD
MOUND
Offense: MED MEDICAL
Case: OR22003251 Reported: 5/2/2022 12:20:20'PM
Address::CUMBERLAND RD
MOUND
Offense: MED MEDICAL
Case: OR22003259 Reported: 5/2/2022 4:41:34 PM
Address:� SANDY LN
MOUND
Offense: 169A.20.1(3) Traffic - DWI - Operate Motor Vehicle Under Influence of intoxicating substance - Impaired
Offense: 169A.20.2(1) Traffic - DWI - Refuse to submit to chemical test; Breath or test refusal or failure
Offense: 169A.24.1(2) Traffic - DWI - First -Degree DWI; previous felony DWI conviction
Offense: 171.24.5 Traffic-DL-Driving after cancellation -inimical to public safety
Offense: 609.487.6 Fleeing a Peace Officer By a Means Other Than a Motor Vehicle
Offense: MISWA MISC OFCR WARRANT ARREST
Case: OR22003262 Reported: 5/2/2022 6:25:29 PM Address: AM LYNWOOD BLVD MOUND
Offense: 609.595.3 Damage to Property-4th Deg -Intentional Damage -Other Circumstances
Case: OR22003286 Reported: 5/3/2022 9:05:58 AM Address: 4WROXBURY LN MOUND
Offense: MEDMH MEDICAL MENTAL HEALTH
Report Ran: 6/6/2022 11:20:20 AM
Report: OR - FBR - Activity Report - Public - 1 239 - Page 1 of 11
Case: OR22003291 Reported: 5/3/2022 12:53:52 PM
Address: AWWARNER LN
MOUND
Offense: 14-39 (Mound)Owner of any dog or cat prevent them from committing a nuisance -Including barking, crying, or howling
Case: OR22003292 Reported: 5/3/2022 1:11:23 PM
Address: at BASSWOOD LN
MOUND
Offense: JUVPROB JUV-CHILD PROBLEM
Case: OR22003296 Reported: 5/3/2022 5:17:00 PM
Address: AM BEACHWOOD RD
MOUND
Offense: MISTRAFC MISC OFCR TRAFFIC COMPLAINT
Case: OR22003297 Reported: 5/3/2022 5:46:33 PM
Address:a BELLAIRE LN
MOUND
Offense: 518B.01.14(a) Domestic Abuse - Violate Order for Protection
Case: OR22003301 Reported: 5/3/2022 8:17:41 PM
Address:EDGEWATER DR
MOUND
Offense: MISCIV MISC PUBLIC CIVIL MATTER
Case: OR22003306 Reported: 5/3/2022 9,12:02 PM
Address:�ROXBURY LN
MOUND
Offense: MISWEL MISC OFCR WELFARE CHECK
Case: OR22003319 + Reported: 5/4/2022 8:00:00 AM
Address:BASSWOOD LN
MOUND
Offense: MEDMH MEDICAL MENTAL HEALTH
Case:OR22003323' Reported: 5/4/2022 10:07:00 AM
Address: fW COMMERCE BLVD
MOUND
Offense: 609.52.2(a)(1) Theft-Take/Use/Transfer Movable Prop -No Consent
Offense: MISTRES MISC OFCR TRESPASS NOTICE SERVED
Case: OR22003325 Reported: 5/4/202211:06:43iAM
Address: Ift COMMERCE' BLVD
MOUND
Offense: MED MEDICAL
Case: OR22003326, Reported: 5/41202212:32:20; PM
Address: RED' OAK RD
MOUND
Offense: MED MEDICAL
Case: OR22003328i Reported: 5/4/2022 12:49:04 PM
Address:M COMMERCE BLVD
MOUND
Offense: ACPUB ACC -ACCIDENT PUBLIC
Case: OR22003335 Reported: 5/4/2022 5:00:39 PM
Address: to WILSHIRE BLVD
MOUND
Offense: MISCIV MISC PUBLIC CIVIL MATTER
Case: OR22003337 Reported: 5/4/2022 6:23:18 PM
Address:411111111MBARTLETT BLVD
MOUND
Offense: 171.24.5 Traffic-DL-Driving after cancellation -inimical to public safety
Case: OR22003338 Reported: 5/4/2022 6:23:31 PM
Address: so CHATEAU LN
MOUND
Offense: DISDOM DISTURB DOMESTIC
Case: OR22003353: Reported: 5/5/2022 9*59:33 AM
Address: t♦ VILLAGE TRI,
MOUND
Offense: MED MEDICAL
Case: OR22003354' Reported: 5/5/2022 10:07:21 AM
AddressAMWILSHIRE BLVD
MOUND
Offense: FOPR FOUND PROPERTY
Case: OR22003359 Reported: 5/4/2022'2:00:00 PM
Address:
MOUND
Offense: 609.343.1 a(e) Criminal Sexual Conduct - 2nd Degree - Contact under 14 - Actor > 36m older
Case: OR22003365 Reported: 5/5/2022'3:41:21 PM
Address: WILSHIRE BLVD
MOUND
Offense: SUSACT SUSPICIOUS ACTIVITY
Report Ran: 6/6/2022 11:20:20 AM
- 240 -
Page 2 of 11
Report: OR - FBR - Activity Report - Public
Case: OR22003366 i Reported: 5/5/2022 3:58:35 PM Address: AW COMMERCE BLVD MOUND
Offense: MISFRA MISC OFCR FRAUD
Case: OR22003369 Reported: 5/5/2022 6:07:39 PM Address: COMMERCE BLVD MOUND
Offense: MISCIV MISC PUBLIC CIVIL MATTER
Offense: MISWEL MISC OFCR WELFARE CHECK
Case: OR22003375 Reported: 5/5/2022 8:07:00 PM
Address: IM, PIPER RD
MOUND
Offense: MED MEDICAL
Case: OR22003393 Reported: 5/6/2022 1:20:13 PM
Address:� MAYWOOD RD
MOUND
Offense: ASLIFT LIFT ASSIST
Case: OR22003396 Reported: 5/612022 2:25:47 PM
Address: SHORELINE DR &'AUDITORS RD
MOUND
Offense: ACPUB ACC -ACCIDENT PUBLIC
Case: OR22003397 Reported: 5/6/2022 2:52:30 PM
Address: SANDY LN & EDGEWATER DR
MOUND
Offense: DISNEI DISTURB NEIGHBORHOOD
Case: OR22003401 Reported: 5/6/2022 8:01:34 PM
Address:�SUNSET RD' .
MOUND
Offense: MISSCAM MISC OFCR SCAM/SWINDLE
Case: OR22003403; Reported; 5/6/2022 11:33:21 PM
Address:�WILSHIRE BLVD
MOUND
Offense: MED MEDICAL
Case: OR22003404 Reported: 516/202211:17:23'PM
Address:MWBARTLETT BLVD
MOUND
Offense: MED MEDICAL
Case: OR22003406Reported: 5/6/2022 11:52:55 PM
Address:dW WILSHIRE BLVD
MOUND
Offense: 609,224.1 Assault-5th Degree -Misdemeanor
Case: OR22003408 Reported: 5/7/2022 3:34:56 AM
Addresses RED OAK RD
MOUND
Offense: MED MEDICAL
Case: OR22003410 Reported: 5/7/2022 6:05:29 AM
Address: jft DONALD DR'
MOUND
Offense: SUSACT SUSPICIOUS ACTIVITY
Case: OR22003411 Reported: 5/7/2022 7:50:42 AM
Address:' DONALD DR'
MOUND
Offense: 609.52.2(a)(1) Theft-Take/Use/Transfer Movable Prop -No Consent
Case: OR22003415 Reported: 5/7/2022 9:15:21 AM
Address: = DONALD DR
MOUND
Offense: 609.546(2) Tamper With Motor Vehicle/Enter w/o Owner Permission
Case: OR22003416' Reported: 5/7/2022 9:32:05 AM
Address: JONES LN & THREE POINTS BLVD
MOUND
Offense: ACPDHR ACC -MOTOR VEH PROPERTY DAMAGE -HIT
& RUN
Case: OR22003417 Reported: 5/7/2022 9:53:37 AM
Address:� EDGEWATER DR
MOUND
Offense: MISINFOID MISC OFCR INFO ID THEFT -TRANS CARD FRAUD
Case: OR22003418' Reported: 5/7/2022 11:28:42AM
Address: NOBRIGHTON BLVD
MOUND
Offense: ANCOMP ANIMAL COMPLAINT/OTHER
Report Ran: 6/6/2022 11:20:20 AM
- 24 -
Page 3 of 11
Report: OR - FBR - Activity Report - Public
Case: OR22003445Reported: 5/8/2022 8:00:01 AM
Address: 1a SUMACH LN
MOUND
Offense: MISCIV MISC PUBLIC CIVIL MATTER
Case: OR22003447 iil Reported: 5/8/2022 8:54:58 AM
Address:DRURY LN
MOUND
Offense: SUSACT SUSPICIOUS ACTIVITY
Case: OR22003452' Reported: 5/8/2022 12:57:38 PM
Address: MWBARTLETT BLVD
MOUND
Offense: MISINFO MISC OFCR INFORMATION
Case: OR22003459 Reported: 5/8/2022 6:34:46 PM
Address: M BRIGHTON BLVD
MOUND
Offense: 169.791.2(a) Traffic Regulation - Driver Must Carry Proof of Insurance when Operating Vehicle
Offense: MISWA MISC OFCR WARRANT ARREST
Case: OR22003460 Reported: 5/8/2022 7:44:49 PM
Address: JWWILSH IRE BLVD
MOUND
Offense: MED MEDICAL
Case: OR22003461 Reported: 5/8/2022 8:36:35 PM
Address:4W PIPER RD
MOUND
Offense: MISLOC MISC OFCR VEHICLE LOCKOUT
Case: OR22003476' Reported: 5/9/2022 12:57:53 PM
Address:+�COMMERCEi BLVD
MOUND
Offense: DISHAR DISTURB HARASSMENT
Case: OR22003479 Reported; 5/9/2022 3:65:38 PM
Address: OWCOMMERCE' BLVD
MOUND
Offense: ASPUB ASSIST PUBLIC
Case: OR22003486 i Reported: 5/9/2022 7:12:26 PM
Address:= COMMERCE BLVD
MOUND
Offense: MED MEDICAL
Case: OR22003488 Reported: 5/9/2022 8:52:33 PM
Address: WESTEDGE BLVD & LYNWOOD BLVD
MOUND
Offense: SUSVEH SUSPICIOUS VEHICLE
Case: OR22003493 Reported: 5/10/2022 5:02:53' AM
Address:qW SEABURY RD
MOUND
Offense: DEATH DEATH INVESTIGATION
Case: OR22003494 Reported: 5/10/2022 7:25:36 AM
Address: tW EMERALD DR
MOUND
Offense: ANBIT ANIMAL BITE
Case: OR22003498 Reported: 5/10/2022 8:22:10 AM
Address:THREE POINTS BLVD
MOUND
Offense: MED MEDICAL
Case: OR22003507 Reported: 5/10/202212:20:28 PM
Address::BAY RIDGE RD
MOUND
Offense: MED MEDICAL
Case: OR22003510; Reported: 5/10/20221:49:12 PM
Address: COMMERCE BLVD
MOUND
Offense: MED MEDICAL
Case: OR22003523 Reported: 5/10/2022 7:17:53 PM
Address; MW ACORN RD
MOUND
Offense: MED MEDICAL
Case: OR22003524 Reported: 5/10/2022 7:39:47 PM
Address:JWTONKAWOOD RD
MOUND ,
Offense: ANINJ ANIMAL INJURED/SICK
Case: OR220035216 Reported: 5/11/20221:03:19 AM
Address: IMCENTERVIEW LN
MOUND
Offense: DISNOI DISTURB NOISE COMPLAINT
Report Ran: 6/6/2022 11:20:20 AM
- 242 -
Page 4 of 11
Report: OR - FBR - Activity Report - Public
Case: OR22003533 Reported: 5/11/2022 9:26:18 AM Address:4M BARTLETT BLVD MOUND
Offense: MISUTL MISC OFCR UTILITIES
Case: OR22003535 Reported: 5/11/2022 9:03:00 AM Address: MOUND
Offense: 609.2242.1(2) Domestic Assault -Misdemeanor -Intentionally Inflicts/Attempts to Inflict Bodily Harm on Another
Case: OR22003536Reported: 5/11/202210:17:40 AM Address:llCOMMERCE'BLVD MOUND
Offense: 609.52.2(a)(17) Theft-Take/Drive Motor Vehicle -No Owner Consent
Offense: 609.595.3 Damage to Property-4th Deg -Intentional Damage -Other Circumstances
Case:OR22003538' Reported: 5/11/2022 11:41:11AM
Address:SWILSHIREBLVD
MOUND
Offense: PERSOL PERMIT SOLICITOR
Case: OR22003539' Reported: 5/11/2022 12:16:47 PM
Address: AVON DR
MOUND
Offense: MED MEDICAL
Case: OR22003540' Reported: 5/11/202212:26:24 PM
Address:AW WILSHIRE BLVD
MOUND
Offense: MED MEDICAL
Case: OR22003541 Reported: 5/11/2022 1:52:36'PM
AddressAftSHOREWOOD LN
MOUND
Offense: ASPUB ASSIST PUBLIC
Case: OR22003544 Reported: 5/11/2022 3:25:06 PM
Address: SHOREWOOD LN'& RESTHAVEN LN
MOUND
Offense: PKCOMP PARKING COMPLAINT
Case: OR22003547' Reported: 5/11/2022 4:19:50 PM
Address:0ft000NTY ROAD 110 N
MOUND
Offense: 152.027.3 Drugs - Possess Over 1.4 Grams Marijuana In Motor Vehicle
Offense: 152.092(a) Drugs - Possession of Drug Paraphernalia - Use or Possession Prohibited
Offense: 171.24.5 Traffic-DL-Driving after cancellation -inimical to public safety
Offense: 171.306.6(b) Ignition Interlock - Tampers, circumvents or bypasses device or assists another
Case: OR22003557' Reported: 5/12/2022 9:30:38'AM
Address:IMWILSHIRE BLVD
MOUND
Offense: ASOA ASSIST OTHER AGENCY
Case: OR22003559' Reported: 5/12/202210:33:12 AM
Address:MHIGHLAND BLVD
MOUND
Offense: DISNEI DISTURB NEIGHBORHOOD
Case. OR22003560 Reported: 5/12/202211:04:11 AM
Address: fte FINCH LN
MOUND
Offense: SUSACT SUSPICIOUS ACTIVITY
Case: OR22003571 Reported: 5/12/2022 2:52:56 PM
Address: SURFSIDE PARK AND BEACH
MOUND
Offense: MISLOC MISC OFCR VEHICLE LOCKOUT
Case- OR22003575; Reported: 5/12/2022 4:54:11' PM
Address: #WOLD SCHOOL RD
MOUND
Offense: MISUB MISC OFCR UNFOUNDED BURGLARY
Case: OR22003577 Reported: 5/12/2022 6:10:23 PM
Address:WBELMONT LN
MOUND
Offense: MED MEDICAL
Case: OR22003596 Reported: 5/13/2022 9:40:44 AM
Address:IMEDGEWATER DR
MOUND
Offense: DISDOM DISTURB DOMESTIC
Report Ran: 6/6/2022 11:20:20 AM
Report: OR - FBR - Activity Report - Public - 243 - Page 5 of 11
Case: OR22003635 Reported: 5/13/202211:10:53 PM
Address: AM CARLOW RD
MOUND
Offense: DISNOI DISTURB NOISE COMPLAINT
Case: OR22003639 + Reported: 5/14/2022 2:42:48 AM
Address: COMMERCE BLVD
MOUND
Offense: MISWEL MISC OFCR WELFARE CHECK
Case: OR22003641 Reported: 5/14/2022 6:01:38 AM
Address: AM COMMERCE'BLVD
MOUND
Offense: MED MEDICAL
Case: OR22003647 Reported: 5/14/2022 9:46:54 AM
Address: PMCOMMERCE BLVD
MOUND
Offense: MISCIV MISC PUBLIC CIVIL MATTER
Case: OR22003656 Reported: 5/14/202212:49:04 PM
Address: SMSHORELINE DR
MOUND
Offense: MISCIV MISC PUBLIC CIVIL MATTER
Case: OR22003676Reported: 5/14/2022 10:08:12 PM
Address:�MCOMMERCE 'BLVD
MOUND
Offense: MISINFO MISC OFCR INFORMATION
Case: OR22003670 Reported: 5/14/2022 11:02:54 PM
Address!I=CARLOW RD
MOUND
Offense: DISNOI DISTURB NOISE COMPLAINT
Case:OR22003697 Reported: 5/15/2022 11:07:46 AM
Address:WBRIGHTONBLVD
MOUND
Offense: MISWA MISC OFCR WARRANT ARREST
Case: OR22003701 Reported: 5/15/2022 2:15:48 PM
Address:4W SHORELINE DR
MOUND
Offense: MISWEL MISC OFCR WELFARE CHECK
Case: OR22003704'I Reported: 5/15/2022 3:25:07'PM
Address:4WCOMMERCE BLVD
MOUND
Offense: ACPUB ACC -ACCIDENT PUBLIC
Case: OR22003707 Reported: 5/15/2022 6:51:55 PM
AddressAWCARLOW RD
MOUND
Offense: DISNOI DISTURB NOISE COMPLAINT
Case: OR22003708 Reported: 5/15/2022 7:20:53' PM
Address DEVON LN
MOUND
Offense: DISNEI DISTURB NEIGHBORHOOD
Case: OR22003710' Reported: 5/15/2022 7:52:32 PM
Address: BARTLETT BLVD & DICKENS LN
MOUND
Offense: MISWEL MISC OFCR WELFARE CHECK
Case: OR22003715' Reported: 5/16120221:49:27 AM
AddressaaNCENTERVIEW LN
MOUND
Offense: MISRUNLOC MISC OFCR JUVENILE RUNAWAY LOCATED
Case: OR22003717 Reported: 5/16/2022 3:43:29 AM
AddressktMBARTLETT BLVD
MOUND
Offense: MED MEDICAL
Case: OR22003725' Reported: 5/16/2022 9:53:02 AM
Address:WBELLAIRE LN
MOUND
Offense: MEDMH MEDICAL MENTAL HEALTH
Offense: SUSACT SUSPICIOUS ACTIVITY
Case: OR22003733 Reported: 5/16/202211:55:29 AM AddressAft EMERALD DR MOUND
Offense: MISINFO MISC OFCR INFORMATION
Case: OR22003742 Reported: 5/16/2022 2:31:52 PM Address: 8WRANDVIEW BLVD MOUND
Offense: MED MEDICAL
Report Ran: 6/6/2022 11:20:20 AM
Report: OR - FBR - Activity Report - Public - 244 - Page 6 of 11
Case: OR22003750 Reported: 5/16/2022 5:08:26 PM
Address: HIGHLAND BLVD & GLENWOOD RD
MOUND
Offense: SUSACT SUSPICIOUS ACTIVITY
Case: OR22003752 Reported: 5/16/2022 5:17:21 PM
Address: MJENNINGS RD
MOUND'
Offense: MED MEDICAL
Case: OR22003758 Reported: 5/17/2022 2:15:25 AM
Address:�WWILSHIRE BLVD
MOUND
Offense: 44-141 (Mound)Noise in residential areas
Case: OR22003777 Reported: 5/17/20221:15:00 PM
Address+THREE POINTS BLVD
MOUND
Offense: MISWEL MISC OFCR WELFARE CHECK
Case: OR22003791 Reported: 5/17/2022 9:59:17 PM
Address:WCUMBERLAND RD
MOUND
Offense: MIS911 MISC FALSE 911 CALL
Case: OR22003792Reported: 5/17/202210:13:46 PM
Address:JMCENTERVIEW LN
MOUND
Offense: SUTATT SUICIDE ATTEMPT
Case: OR22003797 II Reported: 5/17/2022 2:30:00'PM
Address:dW COMMERCE BLVD
MOUND
Offense: MEDMH MEDICAL MENTAL HEALTH
Case: OR22003800 Reported: 5/18/2022 10:08:11 AM
Address4ft COMMERCE BLVD
MOUND
Offense: LOSTPR LOST PROPERTY
Case: OR22003805 Reported: 5/18/20221:14:34PM
AddressAWBELMONT LN
MOUND
Offense: MED MEDICAL
Case: OR22003811: Reported: 5/18/2022 7:02:31 PM
Address: 'UP WILSHIRE BLVD
MOUND
Offense: MED MEDICAL
Case: OR22003819 Reported: 5/19/20221:26:26 AM
Address;W MANCHESTER RD "
MOUND
Offense: MISWEL MISC OFCR WELFARE CHECK
Case: OR22003821 Reported: 5/19/2022 7:48V AM
Address;WHAWTHORNE RD
MOUND
Offense: LOSTDOG LOST DOG
Case: OR22003822 Reported: 5/19/2022 9:07:14 AM
Address:d6viCEDAR LN
MOUND
Offense: ASPUB ASSIST PUBLIC
Case: OR22003825i Reported: 5/19/2022 9:59:04 AM
AddressAMCOMMERCE BLVD
MOUND
Offense: MISCIV MISC PUBLIC CIVIL MATTER
Case: OR22003828i Reported: 5/19/202211:42:44 AM
Address:
MOUND
Offense: 609.748.6(a) Harassment; Restraining Order - Violate
Restraining Order
Offense: 629.75.2(b) Domestic Abuse No Contact Order - Violate No Contact Order - Misdemeanor
Case: OR22003829 Reported: 5/19/2022 3:02:40 PM
Address: BARTLETT BLVD & HIGHLAND BLVD
MOUND
Offense: 169.797.2 Traffic Regulation -Uninsured Vehicle -Owner Violation
Offense: ACPI ACC -MOTOR VEHICLE PERSONAL INJURY
Case: OR22003831 Reported: 5/19/2022 5:01:00 PM Address:4MSUGAR MILL LN MOUND
Offense: ACPUB ACC -ACCIDENT PUBLIC
Report Ran: 6/6/2022 11:20:20 AM
Report: OR - FBR - Activity Report - Public - 245 - Page 7 of 11
Case: OR22003834 Reported: 5/19/2022 7:38:35 PM
Address: ie COMMERCE BLVD
MOUND
Offense: MED MEDICAL
Case: OR22003836 Reported: 5/19/2022 8:49:53'PM
Address:4MTONKAWOOD RD
MOUND
Offense: MED MEDICAL
Case: OR22003843 Reported: 5/20/2022 7:05:43 AM
Address:
MOUND
Offense: 609.185(a)(1) Murder -1st Degree - Premeditated
Case: OR22003855 i Reported: 5/20/2022 7:33:13'IPM
AddressAW MAYWOOD RD
MOUND
Offense: MEDMH MEDICAL MENTAL HEALTH
Case:OR22003860; Reported: 5/21/20226:53:56AM
Address:IWWILSHIREBLVD
MOUND
Offense: ACPDHR ACC -MOTOR VEH PROPERTY DAMAGE -HIT & RUN
Offense: MED MEDICAL
Case:OR22003875'Reported: 5/21/20223,12:31 PM
Addressi0ft SHORELINE DR
MOUND
Offense: MED MEDICAL
Case: OR22003878 Reported: 5/21/2022 3:31:38 PM
AddressAMEDGEWATER DR
MOUND
Offense: ANAL ANIMAL AT LARGE
Case: OR22003881 Reported: 5/2112022 3:56:58 PM
Address:41MGRANDVIEW BLVD
MOUND
Offense: MISWEL MISC OFCR WELFARE CHECK
Case: OR22003883 Reported: 5/21/2022 6:25:42 PM
Address:41WEDFORD RD
MOUND
Offense: ANCOMP ANIMAL COMPLAINT/OTHER
Case: OR22003887: Reported: 5/22/2022 2:02:50iAM
Address:4@jjCOMMERCE BLVD
MOUND
Offense: 169.09.4 Traffic Collision - Collision with Unattended Vehicle - Notify Victim or Police
Offense: 169.09.5 Traffic Collision - Failure to Notify Owner of Damaged Property
Offense: ACPUB ACC -ACCIDENT PUBLIC
Case: OR22003890 Reported: 5/22/2,022 4:12:30 AM
Address:ftrCOMMERCE BLVD
MOUND
Offense: ALFIRE ALARM FIRE
Case: OR22003906' Reported: 5/22/2022 7:27:58 PM
Address: DEVON LN
MOUND
Offense: MED MEDICAL
Case: OR22003908 Reported: 5/22/202210:41:07 PM
Address:*0SUFFOLK RD
MOUND
Offense: MED MEDICAL
Case: OR22003915' Reported: 5/23/2022 8:41:47 AM
Address: COMMERCE BLVD
MOUND
Offense: DISUNW DISTURB UNWANTED PERSON
Case: OR22003927i Reported: 5/23/2022 4:12:35' PM
Address:4MCOMMERCE BLVD
MOUND
Offense: JUVPROB JUV-CHILD PROBLEM
Case: OR22003935 Reported: 5/24/2022 12:40:08 AM
Address: MMCENTERVIEW LN
MOUND
Offense: LOSTPER LOST/MISSING PERSON
Report Ran: 6/6/2022 11:20:20 AM
Report: OR - FBR - Activity Report - Public - 246 - Page 8 of 11
Case: OR22003942 Reported: 5/24/202211:31:30 AM Address: AMFINCH LN MOUND
Offense: MED MEDICAL
Case: OR22003943 Reported: 5/24/202211:44:54 AM Address: LYNWOOD BLVD & CARDINAL LN MOUND
Offense: SUSPER SUSPICIOUS PERSON
Offense: DISHAR DISTURB HARASSMENT
Case: OR22003950 Reported: 5/24/2022 2:58:21'PM
AddressAft LYNWOOD BLVD
MOUND
Offense: MISWA MISC OFCR WARRANT ARREST
Case: OR22003956 Reported: 5/24/2022 7:42:24 PM
AddressAft DEXTER LN
MOUND
Offense: MISWEL MISC OFCR WELFARE CHECK
Case: OR22003957 Reported: 5/24/2022 7:52:20 PM
Addressl4ftBAYWOOD SHORES DR
MOUND
Offense: ALFIRE ALARM FIRE
Case: OR22003958Reported: 5/24/2022 7:56:12 PM
Address:4MBRYANT LN
MOUND
Offense: MED MEDICAL
Case: OR22003980 Reported: 5/25/2022 1:00:00 PM
Address:
MOUND
Offense: JUVPROT JUV-CHILD PROTECTION
Case: OR22003981 Reported: 5/25/2022 2:21:09 PM
Address:4M FERNSIDE LN
MOUND
Offense: MISWEL MISC OFCR WELFARE CHECK
Case: OR22003983! Reported: 5/25/2022 3:05:26'PM
AddressAAM COMMERCE BLVD
MOUND
Offense: MISCIV MISC PUBLIC CIVIL MATTER
;ase: OR22003988 Reported: 5/25/2022 9:49:38' PM Address: 40� SHOREL
Offense: 169.18.8(a) Traffic regulation - following vehicle more closely than reasonable and prudent
Case: OR22003989 Reported: 5/25/2022 9:52:58'PM Address: SHORELINE DR MOUND
Offense: 169.18.8(a) Traffic regulation - following vehicle more closely than reasonable and prudent
Offense: 169,791.2(a) Traffic Regulation - Driver Must Carry Proof of Insurance when Operating Vehicle
Offense: 171,24.2 Traffic -Drivers License -Driving After Revocation
ase:OR22003991' Reported: 5/26/20221:59:50'AM
Offense: DISNOI DISTURB NOISE COMPLAINT
Case: OR22003993 Reported: 5/26/2022 6:17:38 AM Address: COMMERCE BLVD MOUND
Offense: MED MEDICAL
Case: OR22004002 Reported: 51261202210:48:58 AM Address: GRANDVIEW CT MOUND
Offense: MEDMH MEDICAL MENTAL HEALTH
Case: OR22004004; Reported: 5/26/202210:56:34 AM Address400 GRANDVIEW BLVD ! MOUND
Offense: FOPR FOUND PROPERTY
Case: OR22004006 Reported: 5/26/2022 2:06:22 PM Address:IMABERDEEN RD MOUND
Offense: MISCIV MISC PUBLIC CIVIL MATTER
Report Ran: 6/6/2022 11:20:20 AM - 1 247 - Page 9 of 11
Report: OR - FBR - Activity Report - Public
Case: OR22004008 Reported: 5/26/2022 3:36:28 PM
AddresslWWILSHIRE BLVD
MOUND
Offense: ALFIRE ALARM FIRE
Case: OR22004020 Reported: 5/27/20221:22:49 AM
Address:�SHORELINE IDR
MOUND
Offense: MISWEL MISC OFCR WELFARE CHECK
Case: OR22004029 Reported: 6/27/2022 9:31:17 AM
Address:IMCARLOW RD
MOUND
Offense: MED MEDICAL
Case:OR220040373 Reported: 5/271202212:53:31 PM
Address:-BEACHWOODRD
MOUND
Offense: 169A.20.1(1) Traffic - DWI - Operate Motor Vehicle Under
Influence of Alcohol
Offense: 169A.20.1(5) Traffic - DWI - Operate Motor Vehicle - Alcohol Concentration 0.08 Within 2 Hours
Offense: 169A.25.1(a) Traffic - DWI - Second -Degree Driving While Impaired; 2 or more Aggravating Factors
Offense: 169A.35.4 Traffic - Open bottle law; Liability of nonpresent owner; crime described
Case: OR22004040Reported: 5/27/2022 2:44:57 PM
Address: 41� MAYWOOD RD
MOUND
Offense: ANAL ANIMAL AT LARGE
Case: OR22004042 Reported' 5/27/2022 3:47:16' PM
Address: J"CUMBERLAND RD
MOUND
Offense: MED MEDICAL
Case:OR22004046 Reported: 5/27/20226:17:34'PM
AddressAWBAY 'RIDGE, RD
MOUND
Offense: DISNOI DISTURB NOISE COMPLAINT
Case: OR22004051 Reported: 5/27/2022 8:35:16 PM
Address: MWOODRIDGE RD
MOUND
Offense: DISNOI DISTURB NEIGHBORHOOD
Case: OR22004061' Reported: 5/27/202210:10:26 PM
AddressAWWOODRIDGE RD
MOUND
Offense: 609.72.1 Disorderly Conduct
Case: OR22004064 Reported: 5/28/2022 2:32:45' AM
Address COMMERCE BLVD
MOUND
Offense: MED MEDICAL
Case: OR22004079f Reported: 5/281202211:21:34 AM
Address: 1WHOREWOOD LN
MOUND
Offense: ANCOMP ANIMAL COMPLAINT/OTHER
Offense: MISWA MISC OFCR WARRANT ARREST
Case: OR22004087+ Reported: 5/28/2022 1:42:24 PM
Address:lWILSHIRE BLVD
MOUND
Offense: DISDOM DISTURB DOMESTIC
Case:'OR22004098 Reported: 5/28/2022 6:33:04 PM
Addresses COMMERCE BLVD
MOUND
Offense: ASLIFT LIFT ASSIST
Case: OR22004115' Reported: 5/29/2022 10:33:37 AM
Address4W HILLCREST RD
MOUND
Offense: MED MEDICAL
Case: OR22004117' Reported: 5/29/2022 12:38:18 PM
Address4WCOMMERCE BLVD
MOUND
Offense: MED MEDICAL
Case: OR22004164 Reported: 5/30/202211:07:21 AM
Address:
MOUND
Offense: 609,2242.1(2) Domestic Assault -Misdemeanor -Intentionally Inflicts/Attempts to Inflict Bodily Harm on Another
Report Ran: 6/6/2022 11:20:20 AM
Report: OR - FBR - Activity Report - Public - 248 - Page 10 of 11
Case: OR22004168 Reported: 5130/2022 2:53:37 iPM Address: IMCOMMERCE BLVD MOUND
Offense: 609.582.3 Burglary-3rd Deg-Steal/Commit Felony or Gross Misd
Case: OR22004170 Reported: 5/30/2022 3:16:43;PM Address: AM CLARE LN MOUND
Offense: ALRES ALARM RESIDENCE
Case; OR22004174 Reported: 5/30/2022 3:53:27 PM Address:8"COMMERCE BLVD MOUND
Offense: IVIED MEDICAL
Case: OR22004199Reported: 5/31/2022 8:44:39 AM Address:41WSLAND VIEW DR MOUND
Offense: ANBIT ANIMAL BITE
Total 172
Cases:
Report Ran: 6/6/2022 11:20:20 AM 249 -
Report: OR - FBR - Activity Report - Public - Page 11 of 11
A."b#4o
City of Mound
2021 Financial StatementAudit
Audit Results
Auditor's opinion Ylnnasoto Legal
oomplhnw
ok
-Modified opinion— -NO Legal CompHence
GASB BB and 75 Findings Reported
- No Internal Conbol
Findings
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eneral Fund Results
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nterpdse Funds
sy Perfomrance Indicators
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Budgeted Amoulds
Actual
Variance with
Original
Final
Amounts
Final Budget
Revenues
$ 5,162364
$ 5,162,364
$ V623W
$ 99,999
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5,060317
5,060317
4.]]0.01$
29OA99
Emm of Revenues
OwrUpenditures
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1O2A47
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Therefore In
200,000
20O00O
200,000
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(6ftgIFO)
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(695,970)
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(495,97O)
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(393,923)
(393,923)
(3,625)
390999
Fund Balanom, January l
3327320
3327320
3327320
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$ 2.933397
$ 2,933397
$ 3323,695
$ 390199
Rbd
Fund
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Arm Fire Service
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:St, 00a
,:44000
$1,204000
$904000
$604000
$304000
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l3ecember3l, Increase
2020 U21 (0eprem)
S 1,105A67 S 1A70,927 S (36,140)
291p33 341,932 W,499
111A42 193,931 82,889
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- 1254 -
S B&MLENK
Real People. Real Solutions.
June 9, 2022
Honorable Mayor and Members of the City Council
City of Mound
2415 Wilshire Boulevard
Mound, MN 55364
RE: Downtown Paver Sidewalks Replacement Project — Phase 1
City Project No. PW 22-08
Project Nos.: OC1.124110
Dear Mayor and Members of the Council:
2638 Shadow Lane
Suite 200
Chaska, MN 55318-1172
Ph: (952) 448-8838
Fax: (952) 448-8805
Bolton-Menk.com
Quotes were received on June 7, 2022, for the Downtown Paver Sidewalks Replacement Project — Phase
1 with the following results:
CONTRACTOR
TOTAL AMOUNT BID
NEW LOOK CONTRACTING
$244,631.00
BITUMINOUS ROADWAYS
$267,301.10
Evaluation of the bids indicates the bidding process was competitive. The low bid was 43% above the
engineer's estimate of $171,475.75 and was 9% below the high bid. The nature of the work, a very busy
construction season, and rising material and labor prices contributed to the higher prices than
estimated. Lower prices are not guaranteed by delaying and rebidding.
The low bidder, New Look Contracting of Rogers, MN, has successfully completed similar improvements
for nearby Cities and are a responsible and responsive bidder. It is our recommendation that the
Council approve the attached resolution awarding the bid for Downtown Paver Sidewalks Replacement
Project — Phase 1 to New Look Contracting for the Contract amount of $244,631.00.
Sincerely,
Bolton & Menk, Inc.
�iil7i,,.ti
Matthew S. Bauman, P.E.
Assistant City Engineer
H.AMOONVOC1124410\1 CorresVC To Others\2022-06-09_Ltr Recmd Award_Sldewalks 1 docx
Bolton & Monk is an
CITY OF MOUND
RESOLUTION NO. 22-
RESOLUTION ACCEPTING BID FOR THE DOWNTOWN PAVER SIDEWALKS
REPLACEMENT PROJECT PHASE 1
CITY PROJECT NO. PW-22-08
WHEREAS, as part of the Capital Improvement Plan the City of Mound has replaced and
rehabilitated its aging infrastructure; and
WHEREAS, the Capital Improvement Plan for 2022 includes the replacement of paver
sidewalks in the CSAH 110 and CSAH 15 intersection corridor: and
WHEREAS, the Capital Improvement Plan for 2022 includes the replacement of sidewalks in
the CSAH 110 corridor: and
WHEREAS, the Downtown Paver Sidewalks Replacement Project - Phase 1 was estimated to
cost less than $175,000, the statutory limit requiring public advertisement for bids; and
WHEREAS, quotes were solicited from six qualified contractors and two were received on June
7th at the office of Bolton & Menk, Inc. and New Look Contracting is the lowest responsible
bidder; and
WHEREAS, New Look Contracting is a responsible and responsive contractor, that has
completed projects in the past for nearby cities of similar size and scope successfully,
NOW, THEREFORE BE IT RESOLVED by the City Council of the City of Mound, Minnesota, to
award the contract for the Downtown Paver Sidewalks Replacement Project - Phase 1 to New
Look Contracting, out of Rogers, MN in the amount of $244,631.00.
Adopted by the City Council this 14'h day of June, 2022.
ATTEST:
Kevin Kelly, City Clerk
Raymond J. Salazar, Mayor
- 1256 -
S B&MLENK
Real People. Real Solutions.
June 8, 2022
Honorable Mayor and Members of the City Council
City of Mound
2415 Wilshire Boulevard
Mound, MN 55364
RE: 2022 Crack Repair Project
City Project No. PW-22-06
Award of Bid
Dear Mayor and Members of the City Council:
2638 Shadow Lane
Suite 200
Chaska, MN 55318-1172
Ph: (952) 448-8838
Fax: (952) 448-8805
Bolton-Menk.com
The areas to be repaired with this project are all of the 2006 and 2011 Street Reconstruction
Project areas.
Quotes were requested from six contractors, due by June 8' with four responses as follows:
1. MP ASPHALT MAINTENANCE $29,000.00
2.ASTECH $44,500.00
3.FAHRNER ASPHALT $76,400.00
4.ALLIED BLACKTOP $97,000.00
MP Asphalt Maintenance, of Hanover, MN, has successfully completed several crack sealing
projects throughout Minnesota. The contractor is required to complete this work by September,
2022.
It is our recommendation to award the 2022 Crack Repair Project to MP Asphalt Maintenance. in
the amount of $29,000.00. A resolution is included recommending award of contract in this
amount to MP Asphalt Maintenance.
Sincerely,
Bolton & Menk, Inc.
Brian D. Simmons, P.E.
City Engineer
IT \M0UNV0Cl129096\1 CorresVC To others\2022-06-08 Ltr To council Award 22 crack Repair. docx
Bolton & Monk is an
CITY OF MOUND
RESOLUTION NO. 22-
RESOLUTION ACCEPTING BID FOR
THE 2022 CRACK REPAIR PROJECT (PW-22-06)
WHEREAS, the City has an annual road maintenance program consisting of crack repair and
seal coating that is contracted work and funded by the City's crack repair fund; and
WHEREAS, this type of road maintenance is typically completed initially on streets that are four
to six years old; and
WHEREAS, the 2022 crack repair project area includes the bituminous streets reconstructed
with the 2006 and 2011 Street Reconstruction Projects; and
WHEREAS, the crack repair is estimated to cost less than $175,000, the statutory limit requiring
public advertisement for bids; and
WHEREAS, five quotes were solicited, and four were received on June 8, 2022, at the office of
Bolton & Menk, Inc. and it appears that MP Asphalt Maintenance is the lowest responsible
bidder;
NOW, THEREFORE BE IT RESOLVED by the City Council of the City of Mound, Minnesota,
that the Mayor and City Clerk are hereby authorized and directed to enter into a contract with
MP Asphalt Maintenance in the name of the City of Mound for the 2022 Crack Repair Project in
the amount of $29,000.
Adopted by the City Council this 14'h day of June 2022
ATTEST:
Kevin Kelly, City Clerk
Raymond J. Salazar, Mayor
- 1258 -
S B&MLENK
Real People. Real Solutions.
June 8, 2022
Honorable Mayor and Members of the City Council
City of Mound
2415 Wilshire Boulevard
Mound, MN 55364
RE: 2022 Fog Seal Project
City Project No. PW-22-07
BMI Project OC1.127095
Award of Bid
Dear Mayor and Members of the City Council:
2638 Shadow Lane
Suite 200
Chaska, MN 55318-1172
Ph: (952) 448-8838
Fax: (952) 448-8805
Bolton-Menk.com
This project is typically a seal coat project, however this year the areas to be sealed are better
suited for fog sealing, which serves a similar purpose, but a rock surfacing is not applied. The
areas include alleyways in the Tonkawood area that were too narrow to seal coat in 2021 and
several trails around town in the Three Points, Shirley Hills and Highlands neighborhoods.
Quotes were requested from seven contractors, due by June 8' with one response as follows:
1. Allied Blacktop Company
$16,705.00
Allied Blacktop Company, out of Maple Grove, MN, has successfully completed several seal
coat and fog seal projects throughout Minnesota. The contractor is required to complete all work
by September, 2022. The streets must be swept within one to three days followed by a second
sweeping within ten days.
It is our recommendation to award the 2022 Fog Seal Project to Allied Blacktop in the amount of
$16,705.00. A resolution is included recommending award of contract in this amount to Allied
Blacktop Company.
Sincerely,
Bolton & Menk, Inc.
Brian D. Simmons, P.E.
City Engineer
IT \M0UN\0c1129095\1 CocresVC To others\2022-06-08 Ltc To council Award 22 Fog Seal.docx
Bolton & Monk is an
CITY OF MOUND
RESOLUTION NO. 22-
RESOLUTION AWARDING CONTRACT FOR
2022 BITUMINOUS FOG SEAL IMPROVEMENT PROJECT (PW-22-07)
WHEREAS, the City has an annual road maintenance program consisting of crack repair and
seal coating that is contracted work; and
WHEREAS, this type of road maintenance is typically completed initially on streets that are four
to six years old and again roughly 7-10 years later; and
WHEREAS, the Capital Improvement program did not have any roadways for seal coating this
year since they will be rehabilitated by different methods within the next few years; and
WHEREAS, the 2022 project is a Fog Seal project which includes the narrow alleyways and
trails that are not suited for seal coating; and
WHEREAS, the Fog Seal Project was estimated to cost less than $175,000, the statutory limit
requiring public advertisement for bids; and
WHEREAS, quotes were solicited from four qualified contractors and one was received on June
8th at the office of Bolton & Menk, Inc. and Allied Blacktop Company is the lowest responsible
bidder,
NOW, THEREFORE BE IT RESOLVED by the City Council of the City of Mound, Minnesota, to
award the contract for the 2022 Bituminous Fog Seal Improvement Project to Allied Blacktop
Company, out of Maple Grove, MN in the amount of $16,705.00.
Adopted by the City Council this 14'h day of June, 2022.
ATTEST:
Kevin Kelly, City Clerk
Raymond J. Salazar, Mayor
- 1260 -
2415 Wilshire Boulevard
Mound, MN 55364
(952)472-0604
MEMORANDUM
To: Honorable Mayor and City Council
From: Sarah Smith, Community Development Director and Eric Hoversten, City Manager -
Director of Public Works
Date: June 7, 2022
Re: Regular Agenda Item for June 14, 2022 Meeting— Consideration/Action on Proposed
Purchase Agreement for City Property (Outlot B, Mound Harbor) Commonly Known
as the Former Longpre Property.
Overview
At its June 7, 2022 meeting, the City Council will consider a proposed purchase
agreement, submitted by Adam Seraphine of NHH Properties on May 31, 2022, to
purchase the City property described as Outlot B, Mound Harbor. The property, which
is commonly known as the former Longpre property, is approximately 8276 square feet
and is located near the intersection of Commerce Boulevard and (Old) Shoreline Drive.
NHH Properties has a purchase agreement on the property located at 5581 Shoreline
Drive and is proposing to combine it with the City owned property and undertake a
proposed mixed use redevelopment project to include both residential and
commercial/office uses. The submittal from NHH Properties is included as an
attachment to this memorandum. Excerpts from the submitted project narrative about
the proposed redevelopment are provided below:
Proposed Redevelopment: The proposed project consists of 7 market rate row
homes and approximately 4,000 to 6,000 SF of commercial office space. The
development is located at the southeast corner of the intersection of Old Shoreline
Drive and Commerce Boulevard. The project site is bound by Commerce Boulevard
to the west, Old Shoreline Drive to the north and neighboring commercial
buildings to the south and east.
Row Homes: The row homes will flank the commercial site to the south and to the
west with 4 units on Commerce Boulevard and 3 units on Old Shoreline Drive. The
row homes consist of a 3-story design with a 2-car garage and storage on the first
level, the kitchen, dining room and living room on the second level and the
bedrooms on the third level. There will be 2-3 options for the bedroom layout: a
standard 3-bedroom option and 2-bedroom option with a loft or home office.
- 1261 -
The garage design will allow additional space to accommodate electric vehicle (EV)
charging stations and bicycle storage.
The first -level front entrance and second -level accessible outdoor decks will be located on
the street side (Commerce Blvd & Old Shoreline Dr). The garage entrance will be located
to the rear of the units.
Commercial Office Space: The commercial office space will consist of 4,000 to 6,000 SF of
rentable space on 2 or 3 levels. The front entrance of the commercial office space will be
located on the street level at the intersection of Commerce Boulevard & Old Shoreline
Drive with a secondary entrance and a parking lot to the rear of the building. The parking
lot will accommodate 8-10 vehicles and will be the location of the handicap accessible
parking.
information
• NHH Properties has requested City Council response to the purchase agreement proposal
prior to the submission of planning and development applications due to the dependency of
their proposed project concept on the assembly of both private and City -owned land.
• Mr. Seraphine will be present at the June 141' meeting to discuss the proposed purchase
agreement with the City Council.
• Information about the proposed purchase agreement and concept for the property to be
discussed at the June 141' City Council meeting was posted on the City website on June 8th.
• A resolution has been prepared for City Council consideration to approve the purchase
agreement subject to conditions and to include findings of fact.
• Page 2
- 1262 -
NHH PROPERTIES
May 31, 2022
To: Eric Hoversten
City Manager & Public Works Director
City of Mound
2415 Wilshire Blvd
Mound, MN 55364
From: Adam M Seraphine
NHH Properties
7455 France Ave S, Suite 3531
Edina, MN 55435
RE: OLD SHORELINE DRIVE PRELIMINARY PROJECT APPLICATION & LAND
PURCHASE OFFER
Dear Mr. Hoversten:
Enclosed is the preliminary concept for NHH Properties' proposed mixed -use project
in Downtown Mound. The proposed project encompasses both the site located at
5581 Shoreline Dr AND the parcel located directly to the west - owned by the City of
Mound. As part of the redevelopment, NHH would propose to purchase the land
owned by the city. The purpose of this letter is to propose the purchase and sale of
the city owned land and to provide you with an adequate description of the overall
development so that we can begin the discussion of advancing this project through
the application process. Attached to this letter is a draft version of the proposed
purchase and sale agreement as well as conceptual plans for the proposed project.
Proposed Redevelopment:
The proposed project consists of 7 market rate row homes and approximately 4,000
to 6,000 SF of commercial office space. The development is located at the southeast
corner of the intersection of Old Shoreline Drive and Commerce Boulevard. The
project site is bound by Commerce Boulevard to the west, Old Shoreline Drive to the
north and neighboring commercial buildings to the south and east.
Row Homes:
The row homes will flank the commercial site to the south and to the west with 4 units
on Commerce Boulevard and 3 units on Old Shoreline Drive. The row homes consist
of a 3-story design with a 2-car garage and storage on the first level, the kitchen,
dining room and living room on the second level and the bedrooms on the third level.
There will be 2-3 options for the bedroom layout: a standard 3-bedroom option and
2-bedroom option with a loft or home office. The garage design will allow for
7455 France Ave S:: Suite 351 :: Edina, MN:: 55435
NHHPROPERTIES.COM
- 1263 -
NHH PROPERTIES
additional space to accommodate electric vehicle (EV) charging stations and bicycle
storage.
The first -level front entrance and second -level accessible outdoor decks will be
located on the street side (Commerce Blvd & Old Shoreline Dr). The garage entrance
will be located to the rear of the units.
Commercial Office Space:
The commercial office space will consist of 4,000 to 6,000 SF of rentable space on 2
or 3 levels. The front entrance of the commercial office space will be located on the
street level at the intersection of Commerce Boulevard & Old Shoreline Drive with a
secondary entrance and a parking lot to the rear of the building. The parking lot will
accommodate 8-10 vehicles and will be the location of the handicap accessible
parking.
City and Neighborhood Betterment:
The proposed redevelopment of these parcels from vacant lots and a vacant single-
family home (with previous commercial use) will provide a multitude of benefits to
the City and the surrounding community in the following ways:
• Provides the much -needed connectivity and continuity of building frontage
along Commerce Boulevard.
• Improves the site with more active uses and attractive, newer buildings.
• Provides housing and increased density near convenient, local retail uses.
• Provides a buffer from noise and light pollution between the commercial uses
on Commerce Boulevard and the to -be -constructed residential and park uses
to the east.
• Landscaped building frontadds character and beautifies Commerce Boulevard
& Old Shoreline Drive.
• Provides a proof of concept and a supplement to the much -needed new
construction commercial office space that local businesses need and desire.
Comprehensive Plan/Downtown Lakes Mixed -Use District Land:
The current comprehensive plan has recommended a mixed -use concept with
medium to high density residential uses for this site. This site is one of the key
transitional sites in the City of Mound's Downtown Lakes District, as it sits directly
between Commerce Boulevard and the to -be -constructed Lifestyle Communities
development. This property is the first site to be redeveloped on Commerce
Boulevard between Auditors Road and Shoreline Drive - making itself a true catalyst
for future redevelopment within the Commerce Boulevard corridor. This proposed
project is keeping true to the neighborhood's mixture of uses and scale. The project
is complementary to the higher density neighboring Lifestyle Communities property
in that it assists in the downward transition in density toward to Lake Langdon to the
west. All of this is done while providing intuitive, well defined pedestrian
connectivity points at all four corners of the site. This property shows that a new
7455 France Ave S:: Suite 351 :: Edina, MN:: 55435
NHHPROPERTIES.COM
- 1264 -
NHH PROPERTIES
construction development can be successful in the high -density Downtown Lakes
Mixed -Use District while remaining true to the mass, scale and architecture of the
current community.
Traffic and Parldng:
Housing at this location will be able to take full advantage of the recent pedestrian
and bike improvements completed by the City. The range of goods and services
within an easy 1/2 mile radius of the site offers a built-in amenity to residents. The site
is uniquely situated where residents can easily access the commercial shops and
services of the Downtown Lakes, Village Center, Promenade and Eden mixed -use
areas without requiring the use of a car.
The rowhomes will provide 2-car wide, extended depth (28-30 feet deep) garages to
accommodate for in -garage EV charging stations, bicycle storage, etc.
The commercial space will have 8 dedicated surface level parking spaces to the rear
of the building. The same spaces will be able to be utilized as guest parking for
residents during off hours. The commercial space will have a front entrance at the
corner of Commerce Boulevard and Old Shoreline Drive with a rear entrance on the
parking lot side. The front entrance will not only allow the development to promote
walkability and to have an active appearance on Commerce Boulevard, but also allow
for employees and customers to utilize on -street parking and the City of Mound
parking ramp.
This development is well positioned to meet and exceed the City's goals as outlined
in the Comprehensive Plan with respect to the Downtown Lakes guiding principles.
We firmly believe that the redevelopment of the site will be an improvement for both
the neighborhood and the overall City.
Sincerely,
Adam Seraphine
President
7455 France Ave S:: Suite 351 :: Edina, MN:: 55435
NHHPROPERTIES.COM
- 1265 -
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- 1271 -
PURCHASE AGREEMENT
(0.19-acre site - Mound, MN)
This Purchase Agreement (the "Agreement') is made as of , 2022 (the
"Effective Date'), between The City of Mound, a Minnesota municipal corporation (the "Seller'),
and Old Shoreline, LLC, a Minnesota limited liability company, and/or its permitted assigns (`Buyer').
In consideration of this Agreement, Seller and Buyer agree as follows:
1. Sale of Property. Seller agrees to sell to Buyer, and Buyer agrees to buy and accept from Seller,
the following property on and pursuant to the terns and conditions herein set forth: an approximately 0.19
acres of land located in Mound, MN (the "City") and legally described on Exhibit A attached hereto and
made a part hereof, together with all privileges, rights, easements, hereditaments and appurtenances
thereto belonging and all right, title and interest of Seller in and to any streets, alleys, passages and other
rights of way included therein or adjacent thereto (before or after the vacation thereof) and together with
all improvements located therein (collectively the `Property'). Buyer shall purchase and take the
Property from Seller, and Seller shall sell and convey the Property to Buyer, upon, and subject to, the
terms and conditions herein set forth.
2. Purchase Price and Manner of Payment. The total purchase price (`Purchase Price") to be paid
by Buyer to Seller for the Property shall be the amount equal to the "as -is" value of the Property as
determined by the real property appraisal ordered by the City of Mound, Minnesota, dated
. The Purchase Price shall be payable as follows:
2.1 Notwithstanding any contrary provision herein, it shall be a condition precedent to the
effectiveness of this Agreement that, within five (5) days of the execution and delivery of this
Agreement, Buyer shall deposit with Executive Associates Title, 600 Twelve Oaks Center
Drive, Suite 686, Wayzata, MN 55391 (the "Title Company") the sum of One Thousand and
00/100 Dollars ($1,000.00) (the "Initial Deposit") as earnest money (together with the interest
and income thereon, the "Earnest Money"), which shall be held by the Title Company, in
accordance with the terms of this Agreement.
2.2 At the Closing (as hereinafter defined), the amount calculated by subtracting the
Earnest Money from the Purchase Price shall be paid by Buyer to Seller by wire transfer of
immediately available funds to Seller's designated account. At the Closing, the Earnest
Money shall be disbursed by the Title Company to Seller. Any prorations or credits allocable
to Buyer or Seller pursuant to the terms of this Agreement shall be credited against, or added
to, the balance of the Purchase Price payable to Seller at Closing, as applicable.
3. Delivery of Seller Documents. It is acknowledged by and between the parties that with the
execution of this Agreement Seller will provide copies to Buyer of:
3.1 The documents included on Exhibit B;
4. Contingencies. The obligations of Buyer under this Agreement are contingent upon the matters
set forth below (collectively, the `Buyer's Contingencies"):
4.1 Due Diligence Period. For a period of one hundred and eighty (180) days after
the Effective Date (the "Due Diligence Period") Buyer shall have the right to (i)
review the Seller's Deliverables and further ascertain: (a) the physical and
environmental condition of the Property; (b) all other aspects and characteristics
- 1272 -
of the Property related to redevelopment feasibility and land use, including
zoning compliance; and complete the architectural design for the planned
improvements at the Property.
4.1.1 Adjacent Property. Buyer shall have successfully closed on its
acquisition of the Adjacent Properties. For purposes of this Section, "Adjacent
Properties" means those parcels of real property in Hennepin County, Minnesota
with PID#: 1311724330015.
4.1.2 Title. By the Closing Date, title shall have been found acceptable, or
been made acceptable, in accordance with the requirements and terms of Section
8.
4.1.3 Seller's Closing Documents. Seller shall have delivered all of the
Seller's Closing Documents as defined in Section 5.1 at Closing.
4.1.4 Approvals. Buyer shall have obtained all governmental and third -party
approvals as deemed necessary by Buyer, in Buyer's sole discretion, for Buyer's
intended development of the Property, including building permits and any public
protests of the governmental and third -party approvals, which would delay the
Buyer's receipt of any resolutions of approval by the City of Mound.
4.1.5 Financing. Buyer shall have obtained financing to complete the
transaction contemplated hereby, on terms satisfactory to Buyer in its sole
discretion.
Buyer shall have the right to terminate this Agreement at any time during the
Inspection Period, for any reason, in Buyer's sole discretion, and receive a full
refund of the Earnest Money upon delivering written notice to Seller (the "Due
Diligence Period Termination Notice'). Should Buyer not terminate this
Agreement by delivering a Due Diligence Period Termination Notice prior to
5:00 p.m. on the one hundred and eightieth (180') day of the Due Diligence
Period, Buyer and Seller shall proceed to Closing pursuant to Section 5.
4.2 Seller's performance of the obligations and covenants included in Section 9.3
and Section 9.4.
5. Closing. The closing of the transaction contemplated hereby ("Closing') shall occur on the date
mutually agreed to by Seller and Buyer that is within sixty (60) days after the expiration of the Due
Diligence Period, or such other date mutually agreed upon in writing by Seller and Buyer. The Closing
shall take place at the office of the Title Company as an escrow closing. The date on which the Closing
takes place is referred to herein as the "Closing Date." Seller agrees to deliver possession of the Property
to Buyer as of the Closing Date, subject to any Permitted Encumbrances included in Section 8.4 of this
Agreement.
5.1 Seller's Closing Documents. On the Closing Date, Seller shall execute and deliver or
cause to be executed and delivered to Buyer the following (collectively, "Seller's
Closing Documents"), all in form and content reasonably satisfactory to Buyer:
2
- 1273 -
5.1.1 Deed. A warranty deed (the `Deed") conveying the Property to Buyer,
free and clear of all encumbrances, except for the Permitted Encumbrances (as
hereinafter defined).
5.1.2 Seller's Affidavit. An affidavit of seller, in customary form, indicating
that on the Closing Date there are no outstanding, unsatisfied judgments, tax liens or
bankruptcies against or involving Seller or the Property; that there has been no skill,
labor or material furnished to the Property at the request of Seller which has not been
paid for or, to Seller's knowledge at the request of others (except as otherwise
disclosed in writing to Buyer and Seller), for which payment has not been made or
for which mechanic's liens could be filed; that there are no unrecorded interests in
the Property known to Seller and that, to the knowledge of Seller, except as shown by
the Survey (as hereinafter defined), there are no encroachments onto or off of the
Property.
5.1.3 FIRPTA Affidavit. A non -foreign affidavit, properly executed,
containing such information as is required by Section 1445(b)(2) of the Internal
Revenue Code of 1986, as amended, and the regulations thereunder (the "Code").
5.1.4 IRS Form. A Designation Agreement designating the `reporting person"
for purposes of completing Internal Revenue Form 1099 and, if applicable, Internal
Revenue Form 8594.
5.1.5 Other Documents. All other documents reasonably necessary to transfer
the Property to Buyer free and clear of all encumbrances, except Permitted
Encumbrances.
5.2 Buyer's Closing Documents. On the Closing Date, Buyer shall execute and
deliver or cause to be executed and delivered to Seller the following (collectively,
"Buyer's Closing Documents"), all in form and content reasonably satisfactory to Seller:
5.2.1 Title Documents. Such affidavits of purchaser, certificates of real estate
value or other documents as may be reasonably required by the Title Company in
order to record the Seller's Closing Documents and issue the Owner's Title Policy (as
hereinafter defined).
5.2.2 IRS Form. A Designation Agreement designating the `reporting person"
for purposes of completing Internal Revenue Form 1099 and, if applicable, Internal
Revenue Form 8594.
Buyer and Seller shall also jointly execute and deliver to each other and to the Title Company
a Settlement Statement, in customary form, prepared by the Title Company.
6. Buyer's Activities. From the period of the Effective Date through the Closing Date (the
"Executory Period'), Seller shall allow Buyer, and Buyer's agents and consultants (collectively
"Buyer Representatives" and individually a "Buyer Representative") access to the Property
without charge upon the following terms and conditions: (a) prior to any access to the Property
by Buyer or any Buyer Representative, Buyer shall give not less than one (1) business day notice
to Seller and shall permit Seller to have a representative present during all investigations and
testing with respect to the Property, (b) Buyer shall not conduct any destructive or invasive
investigation or testing without the prior written consent of Seller, which consent shall not be
- 1274 -
unreasonably withheld, delayed or conditioned, (c) Buyer shall pay all costs and expenses of such
investigation and testing, including the cost of any Phase I environmental testing, or Geotechnical
testing, (d) Buyer shall repair and restore any damage to the Property caused by or occurring
during Buyer's or Buyer Representative's testing or entry upon the Property and return the
Property to substantially the same condition as existed prior to such entry, (e) Buyer shall take all
commercially reasonable precautions to minimize the extent and duration of any interference with
the Seller's use, enjoyment and occupancy of the Property, (f) Buyer shall not permit any
mechanic's or materialmen's liens or any other lien to attach to the Property or any portion
thereof by reason of the performance of any work by Buyer or any Buyer Representative, (g)
Buyer shall maintain and cause each Buyer Representative to maintain liability insurance, in form
and content satisfactory to Seller with limits reasonably acceptable to Seller, naming Seller as an
additional insured. This Agreement, the terms and conditions of this Agreement, and all
information made available by Seller to Buyer in accordance with this Agreement or obtained by
Buyer in the course of its investigations and testing of the Property shall be treated as confidential
information by Buyer, and, prior to the purchase of the Property by Buyer, Buyer shall prevent its
agents and employees, including any Buyer Representative from divulging such information to
any third party, except as reasonably necessary to third parties engaged by Buyer for the purpose
of analyzing and investigating such information for the purpose of consummating the transaction
contemplated by this Agreement, including Buyer's investors or financing partners. Buyer shall
indemnify, defend and hold Seller harmless for, from and against any and all claims, liabilities,
causes of action, damages, liens, losses and expenses (including without limitation attorney fees
and costs) incident to or resulting from or in any way arising out of any of Buyer or any Buyer
Representatives' activities on the Property (including without limitation any tests or inspections
conducted by Buyer or Buyer Representatives), or from Buyer's breach of its obligations under
this Section 6 Notwithstanding the foregoing, Buyer shall not be required to indemnify or hold
Seller harmless from costs or expenses resulting from the mere discovery of environmental
contamination or other conditions on the Property. Buyer's agreements and indemnity
obligations set forth herein shall survive both the Closing hereunder and any cancellation or
termination of this Agreement
7. Proration. Seller and Buyer agree to the following prorations and allocations of costs regarding
this Agreement:
7.1 Title Insurance and Closing Costs. Seller shall pay for the cost of: (i) the Title
Commitment and (ii) one-half (1/2) of the reasonable and customary closing fee or
charge imposed by any closing agent designated by the Title Company. Buyer shall pay
for the cost of: (i) the premiums for the Owner's Title Policy and (ii) one-half (1/2) of
the reasonable and customary closing fee or charge imposed by any closing agent
designated by the Title Company.
7.2 Deed Tax. Seller shall pay all state deed tax regarding the Deed to be delivered
by Seller under this Agreement.
7.3 Real Estate Taxes and Special Assessments. Seller will pay all real estate taxes
and installments of special assessments payable with the year's real estate taxes which
are due and payable in the years prior to the year in which the Closing occurs. Real
estate taxes payable in the year in which the Closing occurs, and installments of special
assessments payable therewith, shall be prorated based upon a calendar year based
upon Closing Date, with the pro -rated amount for the Closing Date being the
responsibility of Buyer. Seller shall pay at Closing the balance of all assessments
which are levied as of the Effective Date of this Agreement and Buyer shall assume the
4
- 1275 -
obligation to pay all assessments which are levied or become pending on or after the
Effective Date of this Agreement All real estate taxes and installments of special
assessments which are payable in the years after the year in which the Closing occurs
shall be paid by Buyer.
7.4 Recording Costs. Buyer will pay the cost of recording the Deed. Seller shall pay
the cost of recording all documents necessary to place record title in the condition
required by this Agreement. Buyer will pay the cost of recording all other documents
7.5 Attomevs' Fees. Each of the parties will pay its own attorneys' fees.
7.6 Property Assessments. Buyer shall pay the cost of any Phase II Environmental
Assessment and property condition assessments of the Property, including
Geotechnical Testing, that it may elect to obtain.
8. Title Examination. Title examination will be conducted as follows:
8.1 Title Evidence. Buyer shall have the right to examine the Title Commitment, the
Survey and legible copies of all documents referred to in the Title Commitment or
Survey as creating exceptions to title (collectively, "Title Evidence'):
8.2 Title Insurance Commitment. Seller will promptly furnish (no later than thirty
(30) days after the Effective Date) to Buyer a commitment ("Title Commitment") for
an ALTA Form 2006 Owner's Policy of Title Insurance ("Owner's Title Policy"), to
be issued at the Closing, insuring title to the Property, in the amount of the Purchase
Price, issued by the Title Company. The Title Commitment will include searches
covering levied and pending special assessments, legible copies of Schedule B
Documents, and will commit the Title Company to insure title to the Property subject
only to the Permitted Encumbrances.
8.3 Survey. Buyer may, at its sole cost, obtain a current ALTA/NPS survey covering
the Property certified to Buyer, Buyer's lender and the Title Company containing the
level of detail required by 2016 Table A items 1,2, 3, 4, 5, 6(a), 7(a), 8, 9, 11, 16 and 17
(the "Survey) within thirty (30) days after Buyer's receipt of the Title Commitment
8.4 Buver's Title Objections. Within fourteen (14) days after receiving the Survey,
Buyer may deliver written objections ("Objections") to the form and/or contents of the
Commitment and the Survey. Any Objections based on matters designated on the
Survey shall include a copy of the Survey. Any matter shown on the Title Evidence
not objected to by Buyer shall be deemed a "Permitted Encumbrance" hereunder.
Notwithstanding the foregoing, Buyer shall be deemed to have automatically made
Objections to any mortgage, judgment, tax lien, mechanic's lien and any other
monetary lien against the Property other than property taxes/assessments not yet due
and payable and other than mechanic's liens or similar claims made by vendors or
contractors or subcontractors of Buyer (collectively, "Monetary Liens'). Seller will
have thirty (30) days after receipt of the Objections (the "Cure Period") to cure such
Objections and/or provide notice to Buyer confirming actions that Seller shall perform
on or before Closing to cure any such Objections, which future actions to cure, if any,
shall thereafter be obligations of Seller under this Agreement (the "Seller's Cure
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Obligations"). If the Objections are not cured within the Cure Period or Buyer is not
satisfied with Seller's Cure Obligations, Buyer may elect any of the following options
by providing written notice thereof to Seller and to Title Company: (a) terminate this
Agreement within fifteen (15) days after the expiration of the Cure Period. Upon
receipt of such notice from Buyer, Title Company shall promptly return the Earnest
Money to Buyer. Upon such return, neither Seller nor Buyer shall have any further
rights or obligations under this Agreement, except for any covenants hereunder that
expressly survive such termination; or (b) with respect to Monetary Liens, proceed to
Closing but withhold from payment of the Purchase Price an amount which, in the
reasonable judgment of Title Company is sufficient to satisfy the Monetary Liens, and
apply such amount in payment and satisfaction of the Monetary Liens. Any amount so
withheld shall be placed in escrow with the Title Company. Seller shall pay the cost
and expense to create and administer the escrow. If Seller does not cure the Objections
relating to such Monetary Liens within forty-five (45) days after such escrow is
established, Buyer may then cure such Objections within a reasonable time and charge
the costs against the escrowed amount. The parties agree to execute and deliver such
documents as may be reasonably required by the Title Company to cure such
Objections. Upon cure of such Objections, any unused escrow funds shall be refunded
to Seller; or (c) waive the Objections and close the transaction contemplated by this
Agreement as if such Objections had not been made, in which event the matters that
were the subject of such waived Objections shall be deemed to be Permitted
Encumbrances.
9. Representations and Warranties by Seller. Seller represents and warrants to Buyer as of the date
hereof as follows:
9.1 There has been no skill, labor or material furnished to the Property at the request
of Seller which has not been paid for or, to Seller's knowledge at the request of others for
which payment has not been made or for which mechanic's liens could be filed (except as
specifically identified in writing by Seller to Buyer).
9.2 Seller represents that there is no tenant under any lease agreement at the
Property, nor does Seller know of any other possessory rights by third parties except for
the rights of the holders of any easements.
9.3 Except as shown by the Environmental Report, Seller warrants that to its
knowledge (i) there are no underground storage tanks on the Property; (ii) there are no
known environmental conditions associated with the Property; and (iii) there are no
environmental proceedings, applications, petitions, court proceedings, resolutions or
investigations, or other matters pending before any governmental agency, which could
reasonably be expected to prohibit, impede, delay, or adversely, affect the use of the
Property. Seller has received no notice of any uncured violation of any zoning, building,
health and safety, fire safety and environmental codes and laws from the City, or other
local authority.
9.4 Seller has received no notice of a violation of any statutes, ordinances,
regulations, judicial decrees or orders, or the pendency of any lawsuits or arbitration
hearings or governmental investigations or proceedings affecting the Property.
9.5 Seller is not a `foreign person," "foreign partnership," `foreign trust" or `foreign
estate" as those terms are defined in Section 1445 of the Code.
6
- 1277 -
9.6 "AS IS, WHERE IS. " The Buyer acknowledges that it has inspected or has had
the opportunity to inspect the Property and agrees to accept the Property "AS IS" with no
right of set off or reduction in the Purchase Price. Such sale shall be without
representation of warranties, express or implied, either oral or written (except for the
representations and warranties in Section 9 herein), made by the Seller or any official,
employee or agent of the Seller with respect to the physical condition of the Property,
including but not limited to, the existence or absence of petroleum, hazardous substances,
pollutants or contaminants in, on, or under, or affecting the Property or with respect to the
compliance of the Property or its operation with any laws, ordinances, or regulations of
any government or other body, except as stated above. The Buyer acknowledges and
agrees that the Seller has not made and does not make any representations, warranties, or
covenants of any kind or character whatsoever, whether expressed or implied, with
respect to warranty of income potential, operating expenses, buildability, uses,
habitability, tenant ability, or suitability for any purpose, merchantability, or fitness of the
Property for a particular purpose, all of which warranties the Seller hereby expressly
disclaims, except as provided in Section 9 herein.
At Closing, Seller shall execute and deliver to Buyer a certificate that restates the foregoing
warranties and representations of Seller in this Section 10 to the extent that such representations and
warranties remain accurate (the `Bring Down Certificate"); provided, the Bring Down Certificate shall
provide that any action with respect to any breach of a warranty or representation set forth in the Bring
Down Certificate must be commenced on or before the first anniversary of the Closing Date or shall be
deemed waived. In the event that the representations and warranties set forth in the Bring Down
Certificate are materially different than the representations and warranties in this Section 10, or in the
event that Buyer otherwise confirms that one or more of the representations and warranties in this Section
10 is no longer true, and if, in Buyer's reasonable determination, the occurrence or condition that is
thereby identified or disclosed has a material adverse effect on the value or operation of the Property or
Buyer's intended use thereof, Buyer may give written notice of Buyer's objections to the Bring Down
Certificate to Seller (the `Buyer's Warranty Notice'). Within ten (10) days after Seller's receipt of a
Buyer's Warranty Notice, Seller will notify Buyer if, in its sole discretion, it will attempt to correct the
event or circumstance which affected the misrepresentation(s) (the "Seller Warranty Notice"). If Seller
notifies Buyer that Seller will attempt to correct the event or circumstance, Seller will have up to thirty
(30) days from the date the Seller Warranty Notice was sent to do so (the "Warranty Cure Period'),
and, if necessary, the Closing Date will be rescheduled accordingly. If Seller corrects the event or
circumstance within the Seller Warranty Cure Period, Seller will notify Buyer, in writing (the "Seller's
Cure Notice"), and the parties will close pursuant to the terms of the Agreement If Seller notifies Buyer
that Seller does not intend to correct the event or circumstance or if Seller notifies Buyer that Seller
intends to correct the event or circumstance but is unable to do so within the Warranty Cure Period, Buyer
may, as its sole remedies in connection with such notice or failure, either (i) terminate this Agreement
through the delivery of written notice to that effect to Seller (a "Warranty Termination Notice"), or (ii)
notify Seller that Buyer waives its right to terminate this Agreement. The delivery of a Warranty
Termination Notice shall be deemed an election by Buyer to terminate this Agreement, in which event
this Agreement shall be deemed terminated and of no further force or effect (except for any provisions of
this Agreement that, by the express terms thereof, survive termination) and the Earnest Money shall be
refunded to Buyer; provided, however, if Buyer fails to deliver the Warranty Termination Notice to Seller
prior to the date of Buyer's receipt of the Seller's Cure Notice, Buyer's right to terminate this Agreement
as a consequence of such formerly untrue warranty or representation shall be deemed waived and of no
further force and effect If Buyer waives its right to terminate this Agreement, the parties will fully
perform their obligations under this Agreement. In such event, the parties will establish a new Closing
7
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Date by mutual agreement, but if the parties cannot establish a new Closing Date by mutual agreement,
the Closing Date will be the date ten (10) days from the effective date of Buyer's waiver of its right to
terminate this Agreement or the Closing Date, whichever is later.
The representations and warranties of Seller set forth in this Section 9 shall survive the Closing
for a period of twelve (12) months subsequent to Closing, and any action brought upon a claim by Buyer
against Seller for breach of any representation or warranty contained in this Section 9 must be brought, if
at all, within twelve (12) months after Closing or such claim and action shall be forever barred.
10. Disclosure of Real Estate Agents. Buyer's entity includes members or interested
parties of members who are real estate agents licensed in the State of Minnesota.
11. Condemnation and Casualty. If, prior to the Closing, eminent domain proceedings are
commenced against all or any part of the Property, Seller shall immediately give notice to Buyer of such
fact and this Agreement, at Buyer's option (to be exercised through the delivery of written notice to that
effect to Seller within ten (10) days of such notice), shall terminate, in which event neither party will have
further obligations under this Agreement, except the Earnest Money, and any Additional Deposit shall be
paid to Buyer and for those obligations that expressly survive such termination. In the event Buyer fails to
so terminate this Agreement, there shall be no reduction in the Purchase Price and Seller shall assign to
Buyer at Closing all of Seller's right, title and interest in and to any such award made or to be made in the
condemnation proceedings. If prior to Closing any of the Property is damaged or destroyed by fire or
other casualty, Seller shall immediately give notice thereof to Buyer, and Buyer at its option (to be
exercised through the delivery of written notice to that effect to Seller within ten (10) days after Seller's
notice) may either (a) terminate this Agreement in which event neither party will have further obligations
under this Agreement, except the Earnest Money, and any Additional Deposit shall be paid to Buyer and
for those obligations that expressly survive such termination, or (b) proceed to Closing and receive at
Closing a payment or an assignment of all amounts recovered or recoverable by Seller on account of
insurance on the Property or part thereof less any sums expended by Seller in connection with collecting
such sums or the restoration of the Property and less insurance proceeds in the nature of loss of rent
proceeds for rents accruing prior to the Closing Date.
12. Broker's Commission. Seller and Buyer represent and warrant to each other that they
have dealt with no other brokers, finders or the like other than EXIT Realty Edina, as advisor to Buyer
(which Buyer shall pay, and Seller shall have no obligation to pay any commission or other compensation
to EXIT Realty Edina) in connection with this transaction, and agree to indemnify each other from, and to
hold each other harmless against, all claims, damages, costs or expenses of or for any other such fees or
commissions resulting from their actions or agreements regarding the execution or performance of this
Agreement, and will pay all costs of defending any action or lawsuit brought to recover any such fees or
commissions incurred by the other party, including reasonable attorneys' fees.
13. Notices. Any notice required or permitted hereunder shall be given by personal delivery
upon an authorized representative of a party hereto; or if mailed by United States registered or certified
mail, return receipt requested, postage prepaid; or if deposited cost paid with a nationally recognized,
reputable overnight courier, properly addressed as follows:
If to Seller:
With a copy to:
If to Buyer: Old Shoreline, LLC
- 1279 -
7455 France Ave S, Suite 351
Edina, MN 55435
Attn: Adam Seraphine
Email: adamAnhhproperties.com
With Copy to: EXIT Realty Edina
5100 Edina Industrial Blvd, Suite 221
Edina, MN 55439
Attn: Michael Barnett
Email: mbamett@exitsellsedina.com
Notices shall be deemed effective and received on the earlier of the date of receipt or the date of
deposit, as aforesaid; provided, however, that if notice is given by deposit, the time for response to any
notice by the other party shall commence to run two (2) business days after any such deposit. Any party
may change its address for the service of notice by giving notice of such change ten (10) days prior to the
effective date of such change.
14. Captions. The section headings or captions appearing in this Agreement are for
convenience only, are not part of this Agreement and are not to be considered in interpreting this
Agreement.
15. Entire Agreement; Modification. This Agreement constitutes the complete agreement
between the parties and supersedes any prior oral or written agreements between the parties regarding the
Property. There are no verbal agreements that change this Agreement and no waiver of any of its terms
will be effective unless in a writing executed by the parties.
16. Binding Effect and Assignment. This Agreement binds and benefits the parties and their
successors and assigns. Except as hereinafter set forth, neither party may assign this Agreement without
the prior written consent of the other party. Notwithstanding the foregoing, Buyer may assign this
Agreement prior to Closing to an affiliate, without the written consent of Seller in connection with an
assignment by Buyer to an "Affiliate" in which the Affiliate assumes all obligations of the assignor
hereunder that accrue from and after the effective date of the assignment in an instrument that may be
enforced at law by Seller and in which notice of the occurrence and effect of such assignment is delivered
to Seller together with a copy of such agreement of assumption. As used herein, the term "Affiliate"
means an entity that directly or indirectly through one or more intermediary's controls, or is controlled by,
or is under common control with the assignor. In addition, if requested by either party, the other party
shall cooperate with the exchanging party in structuring this transaction as a like -kind exchange under
Section 1031 of the Code, provided that the cooperating party shall incur no liability, additional cost or
delay in connection therewith. The exchanging party(ies) shall bear the additional transactional costs
attributable to the election of a qualifying exchange. In connection with such exchange, the exchanging
party's rights and obligations hereunder shall be assignable to a qualified intermediary party.
17. Controlling Law. This Agreement has been made under the laws of the State of
Minnesota, and such laws will control its interpretation.
18. Remedies. If Buyer defaults under this Agreement, Seller shall have the right to terminate
this Agreement by giving written notice as provided for pursuant to Minnesota Statutes. In the event of
such termination, Seller will be entitled to receive the Earnest Money as liquidated damages, time being
of the essence of this Agreement. The termination of this Agreement and receipt of the Earnest Money
will be the sole remedy available to Seller for such default by Buyer, and Buyer will not be liable for
damages or specific performance; provided, however, such remedy of termination shall not limit or
9
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restrict Seller's remedies in connection with Buyer's agreements, covenants and obligation to indemnify
and hold Seller harmless pursuant to Section 6 hereof. If Seller defaults under this Agreement, and if
such default remains without a cure or correction thereof for a period of ten (10) days after the date of
Buyer's delivery to Seller of written notice of such defect, Buyer, as its sole remedy, may either terminate
this Agreement through the delivery of written notice to that effect to Seller, and upon such termination,
Buyer will be entitled to receive the Earnest Money or seek specific performance of this Agreement and
such action for specific performance shall be commenced within six (6) months after the Closing Date or
otherwise Buyer waives its rights to seek specific performance of this Agreement.
19. Counterparts. This Agreement may be executed in two or more counterparts and shall be
deemed to have become effective and binding when and only when one or more of such counterparts shall
have been signed by or on behalf of each of the parties hereto (although it shall not be necessary that any
single counterpart be signed by or on behalf of each of the parties hereto, and all such counterparts shall
be deemed to constitute but one and the same instrument), and shall have been delivered by each of the
parties to the other. Furthermore, the parties agree that (i) a facsimile, xerographic, electronically
transmitted, or similar copy of a handwritten signature or an electronic signature (as defined in the
Uniform Electronic Transactions Act (Minn. Stat. Ch. 325L)) to this Agreement shall have the effect of
an original signature; and (ii) this Agreement may be delivered by facsimile machine or by other
electronic transmission.
hereof.
20. Time of the Essence. Time is of the essence of this Agreement and of every provision
[The remainder of this page is intentionally blank; signature page to follow.]
10
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IN WITNESS WHEREOF, Seller and Buyer have executed this Agreement as of the date first
above written.
SELLER:
CITY OF MOUND,
a Minnesota municipal corporation
BUYER:
OLD SHORELINE, LLC,
a Minnesota limited liability company
By:
By:
Its:
Its:
By:
Its: City Manager
11
- 1282 -
ESCROW RECEIPT
The undersigned, Old Republic Title Insurance Company ("Escrow Agent'), acknowledges
receipt of $1,000.00 (the "Initial Deposit') to be held by it as "Earnest Money" pursuant to the Purchase
Agreement to which this Escrow Receipt is attached. Escrow Agent agrees to hold the Deposit in
accordance with the terms of the Purchase Agreement and disburse the same strictly in accordance with
such terms. Escrow Agent shall invest the Initial Deposit in such interest -bearing accounts or instruments
as shall be approved by both Buyer and Seller. Interest shall accrue for the benefit of the party receiving
payment or return of the Earnest Money in accordance with the provisions of the Purchase Agreement.
Seller and Buyer represent that their respective Social Security and/or Tax Identification Numbers
are as follows: Seller: ; Buyer:.
Escrow Agent shall have no responsibility for any decision concerning performance or
effectiveness of the Purchase Agreement or to resolve any disputes concerning the Purchase Agreement.
Escrow Agent shall be responsible only to act in accordance with the joint and mutual direction of both
Seller and Buyer, or in lieu thereof, the direction of a court of competent jurisdiction. Seller and Buyer
undertake to hold Escrow Agent harmless from all claims for damages arising out of this Escrow Receipt
and do hereby agree to indemnify Escrow Agent for all costs and expenses in connection with this
escrow, including court costs and attorneys' fees, except for Escrow Agent's failure to account for the
funds held hereunder, or acting in conflict with the terms hereof.
ESCROW AGENT:
C
OLD REPUBLIC TITLE INSURANCE OLD SHORELINE, LLC
COMPANY
By: By:
Its: Its:
SELLER:
CITY OF MOUND,
a Minnesota municipal corporation
R
Its:
Its: City Manager
12
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EXHIBIT A
LEGAL DESCRIPTION
13
- 1284 -
EXHIBIT B
DUE DILIGENCE MATERIALS
(SAMPLE LIST - NEED TO EDIT)
Physical Items
Site plans
Existing Environmental reports
Existing Engineering reports
Past Appraisal and Market Study Reports
Building plans and specifications
Licenses and permits
Government Applications and Approvals
Architect and Engineer Contracts
Other Third Party Contracts
Other Third Party Reports
Current Survey
Financial Information
Tax Increment Financing Documentation
Invoices & Payment Verification of Paid Predevelopment Invoices
Unpaid Predevelopment Invoices, if any
Real estate tax statements and assessments for past 3 years & current
Title
Easement Documents
Legal description
X
X
X
X
X
X
X
X
X
X
X
X
X
14
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CITY OF MOUND
RESOLUTION NO. 22-
RESOLUTION APPROVING THE PURCHASE AGREEMENT FOR THE SALE OF ONE
PARCEL OF CITY -OWNED PROPERTY LOCATED IN THE CITY OF MOUND
WHEREAS, the City of Mound (the "City") is the owner of real property depicted on
Exhibit A attached hereto, non -homesteaded and vacant land (the 'Property"); and
WHEREAS, NHH Properties has made an offer to purchase a City -owned parce
(the "City Parcel") to be purchased by Old Shoreline LLC (the 'Buyer") for the appraised
value of the Property; and
WHEREAS, the City and the Buyer desire to enter into a purchase agreement,
pursuant to which the City will convey the Property to the Buyer; and
WHEREAS, the Planning Commission and City Council will determine consistency
with Comprehensive Planning as a separate proceeding and as part of the consideration
of the future land use and subdivision applications to follow; and
WHEREAS, consideration of the purchase agreement does not indicate or
presume approval of further and future land use and subdivision applications regarding
development of the lands.
NOW, THEREFORE, BE IT RESOLVED, by the City Council of the City of Mound as follows:
1. The City Council adopts, as factual findings, all of the above recitals.
2. The proposed sale of the City Parcel, in accordance with the terms and conditions
of the Purchase Agreement, is hereby approved, subject to modifications and
addenda that do not alter the substance of the transaction and that are approved
by the Mayor and City Manager
3. The Mayor and City Manager are hereby authorized and directed to execute all
documents as may be needed to complete the sale and conveyance of the City
Parcel.
4. City officials, staff, and consultants are authorized and directed to take such
additional actions as may be needed to carry out the intent of this Resolution to
complete the sale of the City Parcel.
- 1286 -
Adopted by the City Council this 14th day of June 2022.
Attest: Kevin Kelly, City Clerk
Raymond J. Salazar
- 1287 -
2415 Wilshire Boulevard
Mound, MN 55364
(952) 472-0604
MEMORANDUM
To: Honorable Mayor and City Council
From: Sarah Smith, Community Development Director and Eric Hoversten, City
Manager -Director of Public Works
Date: June 8, 2022
Re: June 14, 2022 Regular Agenda Item — Review/ Consideration of Actions
related to Mound Harbor 2"d Addition for Artessa Mound (formerly Zvogo
Mound) in Harbor District by Lifestyle Communities, LLC
Summary
Ben Landhauser from Lifestyle Properties, LLC will be present at the June 10 City Council
meeting to discuss the requested Third Amendment to the Purchase and Development
Agreement for the proposed Artessa Mound project in the Harbor District.
In summary, the purpose for the requested amendment is to update project dates in the
Purchase and Development Agreement due to unforeseen delays resulting from issues related
to recording of the City's plat (Mound Harbor). Additionally, action is also requested to
approve updating of the Development Agreement. This agreement was previously approved
in substantial form, but has not yet executed, and is requested to be revised and updated to
mirror the new project dates in the Third Amendment to the Purchase and Development
Agreement. Members are advised that both documents were reviewed by the City Attorney
who did not have any concerns.
Requested Actions
Resolutions approvingthe Third Amendment the Purchase and Development Agreement
and to modify the Development Agreement have been prepared for City Council
consideration. Both resolutions were prepared by the City Attorney. Staff recommends
approval.
CITY OF MOUND
RESOLUTION NO. 22-
RESOLUTION APPROVING THE THIRD AMENDMENT TO THE PURCHASE
AND DEVELOPMENT AGREEMENT FOR MOUND HARBOR 2"D ADDITION
WHEREAS, the City of Mound ("City") sold property it owned at to
Lifestyle Communities, LLC pursuant to a Purchase and Development Agreement dated
August 12, 2020, which was recorded in the office of the Registrar of Titles of Hennepin
County, on October 1, 2021, as Document No. 5879082, and in the office of the County
Recorder on October 5, 2021, as Document No. 11021336 ("PDA"); and
WHEREAS, Lifestyle Communities assigned the PDA to Mound Harbor Holdings,
LLC ('Buyer"); and
WHEREAS, the PDA has been amended twice before and now Buyer is proposing
the attached Third Amendment to Purchase and Development Agreement ("Third
Amendment') to revise the timelines set out in Section 19.2 of the PDA; and
WHEREAS, the proposed new timelines are: infrastructure improvements will
commence by November 1, 2022; building construction will be completed on or before
January 1, 2024; landscaping will be completed by April 1, 2024; and Buyer may request
the City approve an extension of the indicated dates of up to six months.
NOW, THEREFORE, BE IT RESOLVED, by the City Council of the City of Mound that it
hereby approves the attached Third Amendment and authorizes and directs the Mayor
and City Manager to execute it on behalf of the City.
Adopted by the City Council this 14th day of June 2022.
Attest: Kevin Kelly, City Clerk
Raymond S. Salazar
- 1289 -
THIRD AMENDMENT TO
PURCHASE AND DEVELOPMENT AGREEMENT
THIS THIRD AMENDMENT TO PURCHASE AND DEVELOPMENT AGREEMENT
(this "Third Amendment") is made, entered into and effective as of the Third Amendment
Effective Date (defined below) by and between CITY OF MOUND, MINNESOTA, a statutory
city and political subdivision of the State of Minnesota (the "Seller") and MOUND HARBOR
HOLDINGS, LLC, a Minnesota limited liability company (the `Buyer"), successor by
assignment from Lifestyle Communities, LLC, a Minnesota limited liability company
("Lifestyle"). The "Third Amendment Effective Date" of this Agreement shall be the later date
on which both the Seller and the Buyer have executed this Agreement, as shown by the dates next
to their signature blocks.
RECITALS:
WHEREAS, Seller and Lifestyle entered into that certain Purchase and Development
Agreement with an Effective Date of August 12, 2020, recorded in the office of the Registrar
of Titles of Hennepin County, on October 1, 2021, as Document No. 5879082, and in the office of
the County Recorder on October 5, 2021, as Document No. 11021336, as amended by that certain
First Amendment to Purchase and Development Agreement dated March 2, 2021, recorded in the
office of the Registrar of Titles of Hennepin County, on October 1, 2021, as Document No.
5879083, and in the office of the County Recorder on October 5, 2021, as Document No.
11021337, as further amended by that certain Second Amendment to Purchase and Development
Agreement dated September 30, 2021, recorded in the office of the Registrar of Titles of Hennepin
County, on October 1, 2021, as Document No. 5879084, and in the office of the County Recorder
on October 5, 2021, as Document No. 11021338, and as assigned to Buyer by that certain
Assignment and Assumption of Purchase and Development Agreement by and between Buyer and
Lifestyle dated August 24, 2021, recorded in the office of the Registrar of Titles of Hennepin
County, on October 1, 2021, as Document No. 5879085, and in the office of the County Recorder
on October 5, 2021, as Document No. 11021339, (collectively, the "PDA"), pursuant to which
Seller agreed to sell to Buyer, and Buyer agreed to purchase from Seller, the Property, as described
the PDA; and
WHEREAS, Buyer acquired the Property pursuant to a Warranty Deed from Seller dated
as of September 30, 2021, recorded in the office of the Registrar of Titles of Hennepin County, on
October 1, 2021, as Document No. 5 87908 1; and
WHEREAS, Buyer and Seller now desire to amend the PDA to adjust certain dates
applicable to the development of the Property, as more particularly set forth below.
NOW, THEREFORE, in consideration of the recitals, which are hereby incorporated
herein, the mutual covenants contained herein, and other good and valuable consideration, the
receipt and sufficiency of which are hereby acknowledged by Seller and Buyer, it is hereby agreed
as follows:
herein.
1. Recitals. The foregoing recitals are true and accurate and incorporated by reference
2
- 1290 -
2. Capitalized Terms. Any capitalized term used herein but not otherwise defined
herein shall have the meaning assigned to such term in the PDA.
3. Construction of Minimum Improvements. Section 19.2 of the PDA is hereby
amended and restated in the entirety as follows:
19.2 The Buyer agrees to commence and complete construction of each phase of the
Minimum Improvements as follows:
Phase 1: Infrastructure Improvements: Grading, street, parking, water main,
sanitary sewer, storm sewer, and small utilities (as described in the Development
Agreement referred to in Section 20) will be performed in one phase which will
commence by November 1, 2022. The Buyer may request an Early Start
Agreement for consideration by the City Council of the Seller prior to release of
the Final Plat and completion of the Development Agreement for recording to allow
issuance of a building permit to begin construction of the infrastructure
improvements.
Phase 2: Building Construction: Construction of the 52-unit building will be
completed on or before January 1, 2024.
Phase 3: Landscaping / Site Restoration: Landscaping and site restoration shall
be completed no later than April 1, 2024. The Buyer is solely responsible for
meeting storm water and erosion control permitting conditions until establishment
of ground cover site wide.
The Buyer may request an extension of the commencement and/or completion dates
described above of up to 6 months for consideration by the City Council of the
Seller, which extension shall not be unreasonably withheld.
4. Reaffirmation. Buyer and Seller hereby agree that the PDA, as amended hereby, is
and shall be valid, binding upon and fully enforceable against Buyer and Seller in accordance with
its terms and all the terms, conditions, provisions, agreements, requirements, promises,
obligations, duties, covenants and representations in the PDA, as amended hereby, are hereby
ratified and reaffirmed in all respects.
5. Counterparts; Fax and PDF Signatures. This Third Amendment may be executed
in counterparts, each of which shall be deemed an original and all of which together shall constitute
one and the same instrument. Signature pages of this Third Amendment transmitted to any Party
via facsimile or Portable Document Format (PDF) shall be deemed to be originals for all purposes
hereunder.
6. Effect of Third Amendment. Except as expressly amended in this Third
Amendment, the terms and provisions of the PDA shall remain in full force and effect. In the
event of any conflict between the terms of the PDA and the terms of this Third Amendment, the
terms of this Third Amendment shall control.
[Signature Pages to Follow]
- 1291 -
[Signature Page to Third Amendment to Purchase and Development Agreement]
IN WITNESS WHEREOF, the undersigned has caused this Third Amendment to be
executed by its duly authorized representative effective as of the Third Amendment Effective Date.
SELLER:
CITY OF MOUND, MINNESOTA
Raymond J. Salazar
Its: Mayor
Date:
By:
Eric Hoversten
Its: City Manager
Date:
STATE OF MINNESOTA )
SS.
COUNTY OF )
The foregoing instrument was acknowledged before me this day of 12022
by Raymond J. Salazar, the Mayor of the City of Mound, Minnesota, a statutory city and political
subdivision of the State of Minnesota, on behalf of the City.
Notary Public
STATE OF MINNESOTA )
SS.
COUNTY OF )
The foregoing instrument was acknowledged before me this day of 12022
by Eric Hoversten, the City Manager of the City of Mound, Minnesota, a statutory city and political
subdivision of the State of Minnesota, on behalf of the City.
Notary Public
4
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[Signature Page to Third Amendment to Purchase and Development Agreement]
IN WITNESS WHEREOF, the undersigned has caused this Third Amendment to be
executed by its duly authorized representative effective as of the Third Amendment Effective Date.
BUYER:
MOUND HARBOR HOLDINGS, LLC,
a Minnesota limited liability company
By:
Ben Landhauser
Its: Vice President
Date:
STATE OF MINNESOTA )
SS.
COUNTY OF )
The foregoing instrument was acknowledged before me this day of 12022
by Ben Landhauser, the Vice President of Mound Harbor Holdings, LLC, a Minnesota limited
liability company on behalf of the company.
Drafted by:
Winthrop & Weinstine, P.A. (CLS)
225 South Sixth Street, Suite 3500
Minneapolis, Minnesota 55402-4629
24018357v2
Notary Public
5
- 1293 -
CITY OF MOUND
RESOLUTION NO. 22-
RESOLUTION APPROVING REVISIONS TO THE TIMELINES IN THE
DEVELOPMENT AGREEMENT FOR MOUND HARBOR 2"D ADDITION
WHEREAS, the City of Mound ("City") entered into a Purchase and Development
Agreement ("PDA") dated August 12, 2020 with Lifestyle Communities, LLC for the sale of
certain property in the City and development of it as Mound Harbor 2"d Addition ("Project');
and
WHEREAS, the City prepared a development agreement ("Development
Agreement') for development of the Project that sets out requirements and timelines for
completion; and
WHEREAS, the City Council acted by resolution at its April 13, 2021 meeting to
approve the Development Agreement, authorize the City Manager and City Attorney to
work to finalize the document, and to authorize the Mayor and City Manager to execute it
once it is in final form; and
WHEREAS, Lifestyle Communities assigned its interest in the Project to Mound
Harbor Holdings, LLC ("Developer"); and
WHEREAS, the Developer has proposed, and the City Council has approved, a
Third Amendment to the Purchase and Development Agreement to amend the timelines in
the PDA, which necessitates revisions to the timelines in the Development Agreement;
and
WHEREAS, the Development Agreement has not yet been executed, but the City
Council desires to indicate its support for revising the Development Agreement to reflect to
the updated timelines in the PDA.
NOW, THEREFORE, BE IT RESOLVED, by the City Council of the City of Mound
that it hereby approves revising the Development Agreement to reflect the updated
timelines approved for the Project in the Third Amendment to the Purchase and
Development Agreement and making such other revisions as may be needed to update
and finalize the Development Agreement for the Project.
Adopted by the City Council this 14th day of June 2022.
Attest: Kevin Kelly, City Clerk
Raymond J. Salazar
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DEVELOPMENT AGREEMENT
BY AND BETWEEN
THE CITY OF MOUND
AND
MOUND HARBOR HOLDINGS, LLC
FOR
MOUND HARBOR 2ND ADDITION
This document drafted by:
Kennedy & Graven, Chartered
700 Fifth Street Towers
150 South Fifth Street
Minneapolis, MN 55402
(612) 337-9300 (TJG)
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TABLE OF CONTENTS
PAGE
1.
Right to Proceed................................................................................................................1
2.
Multi -Phase Development................................................................................................2
3.
Public and Private Improvements.....................................................................................3
4.
Construction of Subdivision Improvements.....................................................................4
5.
Subdivision Improvement Requirements..........................................................................6
6.
Homeowners Association.................................................................................................9
7.
Fees, Rates, Charges, and Costs........................................................................................9
8.
Financial Security and Warranties..................................................................................10
9.
Developer's Default........................................................................................................12
10.
Insurance and Indemnification........................................................................................13
11.
Development within the Subdivision..............................................................................13
12.
General Provisions..........................................................................................................14
SIGNATURES...........................................................................................................................
18-19
EXHIBIT A LEGAL DESCRIPTION OF PROPERTY
EXHIBIT B CITY APPROVALS
EXHIBIT C ENGINEERING AND CONSTRUCTION PLANS
EXHIBIT D IMPROVEMENT COSTS
EXHIBIT E MORTGAGE CONSENT
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This Development Agreement ("Agreement") is made and entered into this day of
2022 by and between the City of Mound, a municipal corporation under the laws of
Minnesota ("City"), and Mound Harbor Holdings, LLC, a Minnesota limited liability company or its
assigns, having its principal office at 1301 American Boulevard, Suite 200, Bloomington, Minnesota
55425 ("Developer"). The City and the Developer may hereinafter be referred to individually as a
"Party" or collectively as the "Parties."
RECITALS
A. The Developer is the fee owner of land in the City which is legally described in Exhibit A
attached hereto ("Property") and which is being platted as Mound Harbor 2nd Addition.
B. The Developer acquired the Property from the City through a purchase and development
agreement dated August 20, 2020, as amended (collectively, the "Purchase Agreement").
As part of the Purchase Agreement, the Developer agreed to construct certain minimum
improvements on the Property, which include a 4-story, 52-unit, market -rate, age -restricted,
multi -family housing cooperative with 71 enclosed underground parking spaces; and site
improvements including: site recreation, pedestrian circulation, re -aligned access roadway, 36
at -grade uncovered parking spaces along with an access roadway, stormwater management,
and landscaping improvements.
C. The City issued various approvals related to the development of the Property as listed in
Exhibit B (collectively, the "City Approvals").
D. The approval of the final plat of Mound Harbor 2nd Addition is contingent upon the
Developer entering into a development agreement satisfactory to the City regarding the
subdivision and development of the Property ("Subdivision").
E. The Parties desire to enter into this Agreement to set out the terms and conditions, in addition
to those in the City Approvals, under which the Subdivision is to be developed.
AGREEMENT
Based on the mutual covenants and obligations contained herein, and intending to be legally
bound, the parties hereby agree as follows:
1. Right to Proceed. The Developer may not commence the construction of any public or
private improvements, or of any buildings, within the Subdivision until all of the conditions
precedent have been satisfied or an early start agreement has been requested by the Developer
and approved by the City, which approval shall not be unreasonably withheld, conditioned, or
delayed.
(a) Conditions Precedent. The conditions precedent which must be satisfied are as
follows:
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(1) The final plat of Mound Harbor 2nd Addition has been recorded with
Hennepin County;
(2) This Agreement has been executed by the Developer and the City and
recorded with Hennepin County;
(3) Final engineering and construction plans in paper and digital form for the
Subdivision Improvements (as hereinafter defined) have been submitted by
the Developer and approved by the City Manager -Public Works Director;
(4) The Developer has reimbursed the City for all Administrative Costs (as
hereinafter defined) incurred to date regarding the Subdivision;
(5) All erosion control measures are in place;
(6) The Developer has received all required permits or licenses from the
Minnehaha Creek Watershed District, Hennepin County, the Minnesota
Pollution Control Agency, the Minnesota Department of Health, the
Metropolitan Council, the Lake Minnetonka Conservation District, and any
other entity having jurisdiction over the Subdivision;
O The Developer or the Developer's engineer has initiated and attended a
preconstruction meeting with the City Engineer -Public Works Director and
staff, which is to include the general contractor and private utility
representatives. The City Manager -Public Works Director and Developer
may request attendance from subcontractors or public agencies; and
(8) The City has issued a notice that all conditions precedent have been
satisfied and that the Developer may proceed.
2. Multi -Phase Development. The Developer intends to develop the Subdivision in phases
within certain timelines as agreed to in the Purchase Agreement for the Property. Without
limiting or modifying the Developer's obligations under the Purchase Agreement, the
following is a description of the phases in which the Developer agrees to develop the
Subdivision:
Phase 1: Infrastructure Improvements: Grading, street, parking, water main, sanitary
sewer, storm sewer, and [private] [small] utilities will be performed in one phase which
will commence by November 1, 2022. [NTD: CONFORM TO PURCHASE AND
DEVELOPMENT AGREEMENT, WHICH REFERS TO" SMALL UTILITIES"
AS COMMUNICATIONS, GAS, ELECTRIC, ETC.] Developer may request an
Early Start Agreement for consideration by the City Council of the Seller prior to release
of the Final Plat and completion of the Development Agreement for recording to allow
issuance of a building permit to begin construction of the infrastructure improvements.
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Phase 2: Building Construction: Construction of the 52-unit building will be
completed on or before January 1, 2024.
Phase 3: Landscaping / Site Restoration: Landscaping and site restoration shall be
completed no later than April 1, 2024. Developer is solely responsible for meeting storm
water and erosion control permitting conditions until establishment of ground cover site
wide.
The Developer may request an extension of the commencement and/or completion dates
described above of up to 6 months for consideration by the City Council of the City,
which extension shall not be unreasonably withheld.
3. Public and Private Improvements. The Developer is required, as part of developing the
Subdivision, to construct the Public Improvements and the Private Improvements, as such
terms are defined below (collectively, the "Subdivision Improvements"). In order to secure
the Developer's obligation to construct the Subdivision Improvements at its own cost, the
Developer shall provide the City Improvement Security as provided later in this Agreement.
(a) Public Improvements. The Developer shall construct the following public
improvements on and adjacent to the Property at the Developer's sole cost
(collectively, the "Public Improvements"):
(1) Site grading.
(b) Private Improvements. The Developer shall construct the following private
improvements on and adjacent to the Property at the Developer's sole cost
(collectively, the "Private Improvements"):
(1) Private streets, parking lots and sidewalks;
(2) Storm sewer system;
(3) Landscape irrigation system;
(4) Landscaping;
(5) Street lighting, signage, and boulevard landscaping;
(6) Private drives and parking areas;
O Retaining walls; and
(8) All proposed recreational amenities.
4. Construction of Subdivision Improvements. The Developer agrees to develop the
Subdivision in accordance with this Section, , the other provisions of this Agreement, the
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applicable City specifications, the City Approvals, the City Code, the Plans as identified
herein, and the requirements of the City Engineer. Any such documents that are not attached
to this Agreement as an exhibit are hereby incorporated by reference into this Agreement and
made a part hereof.
(a) Plans. The Developer agrees to construct the Subdivision Improvements in
accordance with the approved engineering and construction plans, which are listed
in Exhibit C (collectively, the "Plans"). The Plans must be prepared by a registered
professional engineer, filed with the City Manager -Public Works Director, and
approved prior to commencement of construction of the required Subdivision
Improvements. Plans shall be consistent with the City Approvals and no
modifications to the Plans shall occur without the prior written approval of City
Manager -Public Works Director. Any listed improvement for which no plan sheet
is identified shall be subject to review and approval by the City Manager -Public
Works Director. Construction of the improvements shall not commence until the
City Manager -Public Works Director has reviewed and approved the plans and
specifications, which review shall be consistent with standard City practices. The
City Manager -Public Works Director shall not unreasonably withhold, condition or
delay any approval required under this Agreement.
(b) Preconstruction Meeting. Prior to commencing construction of the Subdivision
Improvements, the Developer or the Developer's engineer shall schedule a
preconstruction meeting with all parties concerned, including City staff and
engineers, to review the program for construction work.
(c) Permits. The Developer shall be required to obtain any necessary permits from the
Minnesota Pollution Control Agency, the Metropolitan Council, the Minnesota
Department of Health, the Minnehaha Creek Watershed District, Hennepin County,
the Lake Minnetonka Conservation District, and any other agency having
jurisdiction over the Subdivision before proceeding with construction.
(d) Legal Compliance. The Developer shall be responsible for complying with all
applicable federal, state, and local laws, rules, regulations, and ordinances related to
the construction of the Subdivision Improvements.
(e) Erosion Control.
(1) Compliance. All construction regarding the Subdivision Improvements shall
be conducted in a manner designed to control erosion and in compliance with
the regulations from the Minnehaha Creek Watershed District ("MCWD") and
all City ordinances and other applicable governmental requirements, including
the City's permit with the Minnesota Pollution Control Agency regarding
municipal separate storm sewer system program. Before any portion of the
Property or adjacent area is rough graded, the Developer shall obtain all
required agency permitting for the site alteration activities including, but not
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limited to, an erosion control permit from the MCWD. The erosion control
plan for the site shall also be subject to review and acceptance by the City's
Public Works Director or designee, which shall not be unreasonably withheld,
conditioned or delayed. The City may impose additional reasonable erosion
control requirements after the MCWD's approval of the permit, if deemed
necessary due to a change in conditions. All areas disturbed by grading shall
be reseeded promptly after the completion of the work in that area (subject to
removal of winter conditions) unless construction of streets or utilities,
buildings, or other improvements is anticipated immediately thereafter.
Except as otherwise provided in the approved MCWD erosion control permit,
seed shall provide a temporary ground cover as rapidly as possible. All seeded
areas shall be mulched and disc anchored as necessary for seed retention. The
parties recognize that time is of the essence in controlling erosion. The erosion
control measures specified in the Plans or otherwise required within the
Property or adjacent areas shall be binding on the Developer and its successors
and assigns.
(2) Failure to Comply. If the Developer does not comply with the erosion control
plan and schedule, or supplementary instructions received from the City, the
City shall contact the MCWD or may take such action as it deems reasonably
necessary to control erosion based on the urgency of the situation. The City
agrees to provide reasonable notice to the Developer in advance of any
proposed action, including notice by telephone or email in the case of
emergencies, but notice by the City may be given after the proposed action
when conditions so dictate and such notice after the proposed action will not
affect the Developer's obligations or the City's rights hereunder. The
Developer agrees to reimburse the City for all expenses it incurs in connection
with any action it takes to control erosion. No grading or construction of the
Subdivision Improvements will be allowed and no building permits will be
issued within the Subdivision unless the Developer is in compliance with the
erosion control requirements.
(f) Construction Hours. All work performed by or on behalf of the Developer on or
related to the Subdivision, including construction of the Subdivision Improvements
and construction of buildings on the lots, shall be restricted to the hours of 7:00 a.m.
through 7:00 p.m., Monday through Friday, and 8:00 a.m. through 6:00 p.m. on
Saturday. No construction work shall be performed on Sundays or on New Year's
Day, Memorial Day, Independence Day, Labor Day, Thanksgiving, or Christmas.
(g) Clean up and Dust Control. The Developer shall clean on a daily basis dirt and
debris from impacted segments of Auditors, Marion, and Old Shoreline Roads, and
any other public roads impacted by construction work by the Developer, its
contractors, agents, or assigns, including any party constructing buildings within the
Subdivision. Prior to any construction on the Property, the Developer shall identify
to the City in writing a responsible party for erosion control, street cleaning, and
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street sweeping. The Developer shall provide dust control to the reasonable
satisfaction of the City's engineer throughout construction within the Subdivision.
(h) Inspections. The City shall inspect all work performed by the Developer, its
contractors, and subcontractors at the Developer's expense, the estimated cost of
which is included in the Administrative Costs set forth in Section 8(a). The
Developer, its contractors, and subcontractors shall follow all instructions received
from the City's inspectors.
(i) Construction Deadline. The Developer shall complete the construction of all
Subdivision Improvements required by this Agreement by no later than April 1,
2024, except as extended or otherwise noted in this Agreement.
(j) Iron Monuments. The Developer shall place iron monuments in the Subdivision in
accordance with Minnesota Statutes. The Developer's surveyor shall submit a
written notice to the City certifying that the monuments have been installed.
(k) As Constructed Plans. Within 180 days after the completion of the Subdivision
Improvements, the Developer shall supply the City with a complete set of
reproducible "as constructed" plans and three complete sets of paper "as
constructed" plans, each prepared in accordance with City standards and in
AutoCAD format based on Hennepin County coordinates. Sanitary sewer, water,
and stormwater "as constructed" plans shall also be submitted to the City in GIS
format compatible with ArcMap 10 in the coordinates and with the attributes
directed by the City engineer.
5. Subdivision Improvement Requirements. In addition to the other requirements of this
Agreement, the Developer agrees to, and shall comply with, all of the following with
respect to the Subdivision Improvements.
(a) Site Grading.
(1) Compliance. All site and other grading must be done in compliance with the
Plans, required erosion control measures and permitting by the MCWD and all
requirements of the Minnesota Pollution Control Agency regarding
contaminated soils. The City may withhold issuance of a building permit for
any structure within the Subdivision until the approved certified grading plan
is on file with the City and all erosion control measures are in place as
reasonably determined by the City.
(2) Haul Route. The Developer agrees that any fill material which must be
brought to or removed from the Property while grading or during construction
of the Subdivision Improvements or any buildings within the Subdivision will
be transported using the haul route established by the City. Construction
equipment and building materials used in constructing the Subdivision
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Improvements and the buildings on the Property will also be transported over
the haul route. The City designates Commerce Blvd, Shoreline Drive and
Auditors Road as the haul route.
(3) As Constructed Plan. Within 30 days after completion of the grading, or such
other period acceptable to the City's engineer, the Developer shall provide the
City with an "as constructed" grading plan and a certification by a registered
land surveyor or engineer.
(b) Sanitary Sewer and Water Improvements. The Developer agrees to construct
sanitary sewer and water lines to serve the buildings within the Subdivision. The
Developer's work in constructing and extending the utilities must be in accordance
with the Plans and must comply with all City requirements regarding such utilities.
The sanitary sewer and water Subdivision Improvements will be dedicated by the
Developer to the City as public improvements upon completion and acceptance by
the City. The City agrees to accept the sanitary sewer and water improvements for
maintenance after receipt of the required warranty bond if they are deemed by the
City to have been constructed according to City specifications, including the
Engineering Standards and the Plans.
(c) Stormwater Improvements.
(1) Compliance. The Developer agrees to construct the stormwater facilities in
accordance with the Plans, the City's requirements regarding such
improvements, and in compliance with the permit approved by the MCWD.
The stormwater facilities include, but are not limited to, any ponds, chambers,
and all other related improvements shown on the Plans.
(2) Remain Private. The stormwater facilities serving the Subdivision will remain
private and will be maintained by the Developer at its sole expense until turned
over to the Cooperative, as hereinafter defined. The City does not intend to
accept the stormwater facilities as public and does not intend to maintain them.
The Developer acknowledges and agrees that: (i) the stormwater facilities will
not be accepted by the City; (ii) the City does not plan to maintain or pay for
maintenance, repair or replacement of the stormwater facilities; (iii) the
Developer initially, and the Cooperative ultimately, will have responsibility for
such maintenance, repair or replacement of the stormwater facilities; (iv) as
provided in Section 9(b)(4), the City has the right but not the obligation to
perform necessary work upon the failure or refusal by the Developer or the
Cooperative to do so; and (v) as provided in Section 9(b)(4), if the City
performs any work on the stormwater facilities, the City has the right to
specially assess or otherwise recover the cost of such work against the
Property.
(d) Streets.
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(1) Construction. The Developer shall construct the following streets
(collectively, the "Streets"):
Connection between Auditors Road and Marion Road west of the
project area as shown in Exhibit C; and
Re -alignment of Auditors Road east of the project site as shown in
Exhibit C.
(2) Standards. The Streets shall be constructed in accordance with the Plans and
the City's specifications. The City's street specifications are contained in the
most recent edition of its engineering standards (the "Engineering
Standards"), which is hereby incorporated into this Agreement by reference.
If there is a conflict between the Plans and the Engineering Standards, the
Engineering Standards shall prevail except when an alternative has been
explicitly approved in writing by the City.
(3) Temporary Easement. In order to facilitate the Developer's construction of a
cul-de-sac on Auditors Road, the City hereby grants to the Developer an
appurtenant, temporary easement for the benefit of the Property for purposes
of street and utility installation over, under and across the portions of Auditors
Road, Marion Road, and the Parking Lot north of Old Shoreline located within
Mound. The temporary easement will commence upon filing of the plat with
Hennepin County and shall terminate upon completion and acceptance by the
City of the work described herein regarding Street construction and the
connection of utilities to the City's systems.
(4) Remain Private. The Streets constructed within the Subdivision shall remain
private. The Developer shall initially be responsible for the maintenance of the
Streets within the Subdivision until the Cooperative assumes the maintenance
obligation. The City shall maintain the cul-de-sac the Developer constructs on
Auditors Road Marion Street and the connection between Marion and Auditors
as provided in Exhibit C.
(e) Street Lighting. The Developer agrees to install all street lighting within the
Subdivision required in the Plans and the City Approvals at its own cost. All street
lighting placed within the Subdivision shall remain private. Prior to the issuance of
any building permits, the Developer shall submit lighting details to the City for
review and approval by City staff, in their reasonable discretion. All lighting shall
meet City standards. Street lighting shall include lighting fixtures approved by the
City, in its reasonable discretion, and shall be equipped with luminaries which allow
no light more than five percent above the horizontal plane. The Developer initially
and the Cooperative ultimately will maintain and replace the street lighting fixtures
and be responsible for the electric bill for same.
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(f) Street Signs. The Developer agrees to install all street signs within the Subdivision
required in the Plans and the City Approvals at its own cost. The Developer
initially, and the Cooperative ultimately, will be required to pay for repair or
replacement of street signs within the Subdivision.
(g) Landscaping and Irrigation. The Developer agrees to install all landscaping within
the Subdivision required in the Plans and the City Approvals at its own cost. All
landscaping shall include hardy, non-invasive and drought tolerant species
appropriate for Minnesota. All landscaping materials shown on the Plans shall be
maintained and replaced if they die within two years after the date of installation.
The Developer also agrees to install the private landscape irrigation system shown
on the Plans. Maintenance for all landscaping and plantings for the Project,
including irrigation, shall initially be the responsibility of the Developer, then the
responsibility of the Cooperative, and shall be included in the covenants of the
Cooperative.
6. Cooperative. The Developer agrees to establish a cooperative form of common interest
community upon the Property (the "Cooperative"), which shall include all land within the
Subdivision. The Developer agrees to record a common interest community declaration
("Declaration") against the Subdivision for this purpose, which Declaration must be in
form and substance reasonably acceptable to the City. The Developer agrees to include the
following in the disclosure statement for the Cooperative: (i) the City does not plan to
maintain or pay for maintenance, repair or replacement of the stormwater facilities, streets,
street lighting, street signs, landscaping or irrigation system, and that the Cooperative will
be responsible for all such maintenance, repair or replacement; (ii) the City has the right,
but not the obligation, to perform necessary work on the stormwater facilities upon the
failure or refusal by the Cooperative to do so; and (iii) if the City performs any work on the
stormwater facilities, the City intends to recover the cost of such work from the
Cooperative. The Declaration shall be filed by the Cooperative with applicable recording
office of Hennepin County upon issuance of a certificate of occupancy for the building
within the Subdivision. The Declaration must provide for maintenance by the Cooperative
of all those lands and improvements within the Subdivision required by this Agreement.
The Declaration must provide that certain provisions thereof as required by this Agreement
may not be amended without prior written approval of the City.
Fees, Rates, Charges, and Costs. The Developer agrees to pay the following fees, rates,
charges, and costs in addition to any other amounts required to be paid by the Developer
under this Agreement.
(a) Sanitary Sewer.
(1) Trunk Area Sewer Charge. The Developer agrees to pay atrunk area
sewer charge of $2,000.00 per unit prior to the release of the final plat of
Mound Harbor 2nd Addition for recording. The number of units for the Sewer
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Trunk Area Charges shall be 52 units, or as reasonably determined by the
Metropolitan Council Environmental Services ("MCES') determination for
the project minus any credits given from previous land uses by MCES.
(2) Sewer Connection Fee. Sanitary sewer connection fees are $240 per unit and
shall be due at the time of issuance of the building permit.
(3) MCES SAC Charges. The number of units for the MCES Sewer Area Charge
("SAC") to be collected shall be 52 units or as reasonably determined by the
MCES. The MCES SAC charge amount shall be collected at the time the
building permit(s) is issued. The 2021 MCES SAC charge for a residential
unit is $2,485 which may be adjusted by the Met Council in future years.
(b) Water.
(1) Trunk Area Water Charge. The Developer agrees to pay atrunk area water
area charge of $2,000 per unit prior to the release of the final plat of Mound
Harbor 2nd Addition for recording. The number of units for the Water Trunk
Area Charges shall be 52 units, or as reasonably determined by the MCES
determination for the project minus any credits given from previous land uses
by MCES.
(2) Water Connection Fee. Water connection fees are determined by the specific
connection pipe sizing and metering equipment specified by the engineer for
the project and shall be due at the time of issuance of the building permit(s) for
the number of unit(s) which shall be as reasonably determined by the Public
Works Director.
(c) Park Dedication Fee. The park dedication fee for Mound Harbor 2nd Addition is
$70,000. The City will consider off -property improvements to public property benefitting
the public at large as in -kind fulfilment of customary dedication requirements when
approved by the City, which approval shall not be unreasonably withheld, conditioned or
delayed.
(d) City's Administrative Costs. The Developer agrees to pay to the City an
administrative fee in the amount necessary to reimburse the City for its reasonable
administrative and professional costs, fees, and expenses in reviewing the
Subdivision, including the drafting and negotiation of this Agreement, inspecting
the construction of the Subdivision Improvements, and enforcing this Agreement
until completion of Developer's obligations hereunder (collectively,
"Administrative Costs"). In order to secure the Developer's obligation to
reimburse the City for its Administrative Costs, the Developer shall provide the City
a cash escrow as provided below.
8. Financial Security and Warranties.
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(a) Cash Escrow for Administrative Costs. Within five business days after receipt of a
fully executed copy of an executed Agreement, the Developer agrees to provide the
City a cash escrow in the amount of $ [to be determined based on
Engineer's estimate for inspection cost of the Subdivision Improvements] ("Cash
Escrow") from which the City may reimburse itself for the Administrative Costs it
incurs related to the Subdivision. If at any time the City determines that Cash
Escrow is not sufficient to reimburse it for its anticipated Administrative Costs, it
shall notify the Developer in writing of the additional amount the Developer must
provide the City to replenish the Cash Escrow. The Developer shall provide the
City the additional funds for the Cash Escrow within 30 days of the date of the
notice. The City will return any unused portion of the Cash Escrow, without
interest, to the Developer within 30 days after conclusion of the warranty period and
the completion of all warranty work. If the Developer fails to fully reimburse the
City for its Administrative Costs, the City may draw on the Improvement Security
provided for below as may be needed to reimburse itself, including any collection
costs. The City may also exercise any authority available to it under law to recover
any unreimbursed Administrative Costs it incurs related to the Subdivision,
including related collection costs.
(b) Financial Security for Subdivision Improvements.
(1) Required. Prior to commencement of construction of the Subdivision
Improvements, the Developer shall furnish the City an irrevocable letter of
credit, cash escrow or other form of acceptable financial security
("Improvement Security"), which shall be subject to review and approval by
the City Attorney, in the amount of 125% of the estimated project costs for the
Subdivision Improvements as set forth in Exhibit D which totals
$ . If the Improvement Security consists of a letter of credit,
the letter of credit shall renew automatically until released by the City. Failure
of the Developer to provide the required Improvement Security shall constitute
a default that shall be grounds for the City to immediately draw on the
Improvement Security in such amount as the City determines is necessary to
complete construction of the Subdivision Improvements as the City may
determine is in the public interest and to otherwise button -up the Property to
avoid it becoming a public nuisance.
(2) Reductions. The City Council may grant a reduction in the Improvement
Security upon written request by the Developer based upon the value of the
completed work at the time of the requested reduction. The Improvement
Security may not be reduced to less than 20% of the original amount until all
work required of the Developer by this Agreement has been completed and
accepted by the City.
(3) Default. The City shall be reimbursed from the proceeds of the Improvement
Security for any attorneys' fees, engineering fees or other technical or
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professional assistance, including the work of the City staff and employees,
and the remainder thereof shall be used by the City to complete the
Subdivision Improvements as determined appropriate and to otherwise button -
up the Property. The Developer shall be liable to the City to the extent that the
Improvement Security is inadequate to reimburse the City its costs and pay for
the completion of the work.
(c) Warranty Bond. The Developer agrees to require its contractor to provide the City
with a warranty bond which covers against defects in labor and materials for the
Streets, sanitary sewer, municipal water distribution system, storm water facilities,
trees, and landscaping ("Warrantied Improvements") for a period of two years
from the date of their acceptance by the City or from their completion if they are not
to be dedicated to the City. During such period, the Developer agrees to repair or
replace any Warrantied Improvements, or portion or element thereof, which shows
signs of failure, normal wear and tear excepted. A decision regarding whether any
of the Warrantied Improvements shows signs of failure shall be made by the City in
the reasonable exercise of its judgment. If the Developer fails to repair or replace
any defective Warrantied Improvements during the warranty period, the City may
repair or replace the defective portion and may use the Improvement Security, as
hereinafter defined, to reimburse itself for such costs. During the warranty period,
the Developer agrees to reimburse the City fully for the cost of repair or
replacement of the Warrantied Improvements if the cost thereof exceeds the
remaining amount of the Improvement Security. Such reimbursement must be made
within 45 days of the date upon which the City notifies the Developer of the cost
due under this section. If the Developer fails to make required payments to the City,
the City may recover its costs as provided in this Agreement.
9. Developer's Default.
(a) Events of Default. One or more of the following shall constitute an event of default
("Event of Default") by the Developer:
(1) Subject to Unavoidable Delays, failure by the Developer to commence and
complete construction of the Subdivision Improvements as required by the
Plans within the period provided herein to complete such work, as the same
may be extended;
(2) Failure by Developer to provide or maintain the Cash Escrow or the
Improvement Security as required herein; or
(3) Failure by the Developer to substantially observe or perform any material
covenant, condition, obligation, or agreement on its part to be observed or
performed under this Agreement, within 30 days after notice thereof by the
City to Developer, or such longer period of time as may reasonably be required
to cure such default provided the Developer is proceeding with diligence to do
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so. A material obligation includes, but is not limited to, paying any amounts to
the City required by the Agreement.
(b) Remedies on Default. Whenever an Event of Default occurs, the City may take any
one or more of the following actions:
(1) The City may suspend its performance under this Agreement until it receives
assurances from the Developer, deemed adequate by the City in its reasonable
discretion, that the Developer will cure its default and continue its performance
under the Agreement.
(2) The City may initiate such action, including legal or administrative action,
whether in law or in equity, as is necessary for the City to secure performance
of any provision of this Agreement or recover any amounts due under this
Agreement from the Developer, or recover any damages sustained by the City
as a result of the Developer's default.
(3) The City may immediately draw on the Improvement Security as needed to
complete the Subdivision Improvements, perform any warranty work, and to
reimburse itself for its actual costs and related expenses to perform the work.
(4) The City may, at its option and after 30 days written notice to the Developer,
perform the work and the Developer shall promptly reimburse the City for any
expense incurred by the City. This Agreement is a license for the City to act,
and it shall not be necessary for the City to seek an order from any court for
permission to enter the Subdivision for such purposes. If the City does any
such work, the City may, in addition to its other remedies, exercise any
authority available to it to recover its costs including but not limited to, levy
special assessments against the land within the Subdivision.
(5) The City may withhold the building permit(s) until the necessary corrective
action is completed by the Developer.
10. Insurance and Indemnification.
(a) Insurance. The Developer agrees to take out and maintain or cause to be taken out
and maintained until six months after the City has accepted the Subdivision
Improvements, public liability and property damage insurance covering personal
injury, including death, and claims for property damage which may arise out of
Developer's work or the work of its contractors or subcontractors. Liability limits
shall not be less than $500,000 when the claim is one for death by wrongful act or
omission or for any other claim and $1,500,000 for any number of claims arising out
of a single occurrence. The City shall be named as an additional insured on the
policy. The certificate of insurance shall provide that the City must be given the
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same advance written notice of the cancellation of the insurance as is afforded to the
Developer.
(b) Indemnification. The Developer hereby agrees to indemnify and hold the City and
its officers, employees, and agents harmless from claims by third parties arising
directly from approval of the final plat of Mound Harbor 2nd Addition and the City
Approvals and any costs, damages, cost or expenses, including reasonable attorney
fees, paid or incurred by the City in connection with any such claim; provided,
however, that the foregoing indemnity shall not apply to claims involving: (i) any
negligent or otherwise wrongful acts of any staff employee of the City; or (ii) any
allegations that the City has acted in a grossly negligent manner. Notwithstanding
anything to the contrary herein, in no event shall the U.S. Department of Housing
and Urban Development be obligated to perform the obligations under this
paragraph.
11. Development within the Subdivision.
(a) Conditions Precedent. Except as may be expressly allowed in an early start
agreement executed by the parties, no buildings may be constructed within the
Subdivision until all of the following have occurred:
(1) The Developer has submitted and the City has approved the site plan. The site
plan must include the architectural guidelines to be used within the
Subdivision;
(2) Until adequate street access and sanitary sewer and water are available to the
building to be constructed; and
(3) All required building permits have been obtained from the City. If any
building permits are issued pursuant to an early start agreement prior to the
completion and acceptance of all Subdivision Improvements serving any
building, the final wear course of bituminous excepted, the Developer assumes
all liability and costs resulting in delays in completion of the Subdivision
Improvements and damage to the Subdivision Improvements caused by the
City, the Developer, its contractors, subcontractors, materialmen, employees,
agents, or third parties.
(b) Building Permits. The City Approvals and the approvals granted by the City
regarding the Subdivision in this Agreement do not include approval of a building
permit for any structure within the Subdivision. Following approval of the site plan
by the City, the Developer must submit and the City must approve building plans
prior to an application for a building permit for a structure within the Subdivision.
All building pads must be certified prior to initiation of construction of a structure.
The Developer or the party applying for a building permit shall be responsible for
14
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payment of the customary fees associated with the building permit and all other
deferred fees as specified in this Agreement.
(c) Certificates of Occupancy. No temporary or permanent certificate of occupancy
shall be issued for any building constructed in the Subdivision until all Subdivision
Improvements related to such building and all utilities serving the building have
been installed in accordance with the Plans. In cases in which seasonal weather
conditions make compliance with these conditions impossible, the City may issue a
temporary certificate of occupancy upon its receipt of an escrow of sufficient
amount to ensure completion of the work during the following construction season.
(d) Floodplain Regulations. Except for docks and related improvements and reasonable
access thereto, no structures, including fences and accessory structures, may be
constructed within the Subdivision below the regulatory flood protection elevation.
The Developer must comply with the requirements of the City with regard to flood
protection. Any utilities which are installed by the Developer on ground the surface
of which is below the regulatory flood protection elevation must be flood proof in
accordance with the state building code and City requirements.
12. General Provisions.
(a) Unreimbursed Costs. In addition to any other remedies provided in this Agreement,
if the Developer fails to pay the City any amounts required by this Agreement, or
fails to reimburse the City for any costs it incurs under this Agreement for which the
Developer is responsible, and such failure continues for 30 days after written notice
from the City, the parties agree the City may utilize any or all of the following to
collect such unpaid amounts together with all collection costs.
(1) Special Assessments. Levy special assessments against the Property
pursuant to the City's authority under Minnesota Statutes, chapter 429. For
this purpose, the Developer, on behalf of itself and its successors and
assigns, acknowledges the benefit to the Property resulting from the City's
work and expressly waives any and all procedural and substantive objections
to the special assessments including, but not limited to, hearing requirements
and any claim that the assessments exceed the benefit to the land so
assessed. The Developer waives any appeal rights otherwise available
pursuant to Minnesota Statues, section 429.081.
(2) Service Charge. The Developer agrees all such unpaid amounts shall
constitute a service charge the City may collect pursuant to Minnesota
Statutes, section 366.012, which is available to the City under Minnesota
Statutes, section 415.01, subdivision 1, by certifying them to the County
Auditor for collection together with the property taxes levied against the
Property. The City will provide written notice to the Developer before
September 15 of its intent to certify the service charge to the County Auditor
15
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for collection in the upcoming year. The service charges shall be subject to
the same penalties, interest, and other conditions provided for the collection
of property taxes.
(3) Intentionally Deleted.
(4) Other Authority. Take such other actions as may be available to the City
under law to collect the unpaid amounts.
(b) Compliance with Laws. The Developer agrees to comply with all laws, resolutions,
ordinances, regulations and directives of the state of Minnesota and the City
applicable to the Subdivision. This Agreement shall be construed according to the
laws of Minnesota.
(c) Entire Agreement. This document, including the recitals, exhibits attached to, and
the document incorporated herein by reference, contains the entire agreement
between the parties with respect to the construction of the Subdivision
Improvements and development of the Subdivision. This Agreement may not be
modified or amended except in writing signed by the parties. The requirements of
this Agreement are in addition to the requirements of the Purchase Agreement,
which is incorporated herein by reference, and nothing herein shall be interpreted as
modifying or limiting the Developer's obligations under the Purchase Agreement.
All City Approvals, Engineering Standards, Plans, and other documents referred to
herein are incorporated by reference to the extent necessary to give full effect to
terms and conditions of this Agreement.
(d) Agreement Runs With the Land. This Agreement shall run with the Property, shall
be recorded against the title thereto, and shall bind and inure to the benefit of the
City and the Developer and their successors and assigns. The Developer's successor
in title may be responsible for obligations under this Agreement as required by the
City. Upon completion of the Developer's obligations under this Agreement, the
City shall execute and deliver an instrument evidencing the completion of the
Developer's obligations under this Agreement, in recordable form, upon request.
The Developer warrants that it has not caused or permitted any unrecorded
encumbrances or interests relating to the Subdivision. The Developer agrees to
indemnify and hold the City harmless for any breach of the foregoing warranty.
Notwithstanding anything to the contrary herein, in no event shall the U.S.
Department of Housing and Urban Development be obligated to perform the
foregoing indemnification obligation under this paragraph.
(e) Assignment. The Developer may not assign this Agreement without the prior
written permission of the City, which consent shall not be unreasonably withheld,
conditioned or denied so long as the Developer and assignee are in compliance with
the terms of this Agreement and there has been no uncured default by the
Developer. Notwithstanding the foregoing, Developer shall have the right, at
16
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Developer's sole discretion and at any time during the term of this Agreement, to
assign this Agreement to Artessa Cooperative at Mound Harbor, a Minnesota
cooperative corporation, and City hereby provides its written permission for said
assignment.
(f) Notices. Any notice or correspondence to be given under this Agreement shall be
deemed to be given if delivered personally or sent by United States certified or
registered mail, postage prepaid, return receipt requested:
To City: Eric Hoversten
City Manager
City of Mound
2415 Wilshire Blvd
Mound, MN 55364
With Copy to: Troy Gilchrist
City Attorney
Kennedy & Graven
700 Fifth Street Towers
150 South Fifth Street
Minneapolis, MN 55402
To Developer: Mound Harbor Holdings, LLC
4938 Lincoln Drive
Edina, MN 55436
Attn: Ben Landhauser, VP
With a copy to: Winthrop & Weinstine, P.A
225 S. 6"' Street, Suite 3500
Minneapolis, MN 55402
Attn: Trina Sjoberg
or at such other address as either party may from time to time notify the other in
writing in accordance with this section. The Developer shall notify the City if there is
any change in its name or address.
(g) Consent. The Developer represents and warrants that there are no other persons or
entities with interests in the Property except such lenders who hold mortgages on the
Property and have consented to this Agreement by executing the Consent attached
as Exhibit E.
(h) Severability. In the event that any provision of this Agreement shall be held invalid,
illegal or unenforceable by any court of competent jurisdiction, such holding shall
pertain only to such section and shall not invalidate or render unenforceable any
other section or provision of this Agreement.
17
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(i) Non -waiver. Each right, power or remedy conferred upon the City by this
Agreement is cumulative and in addition to every other right, power or remedy,
express or implied, now or hereafter arising, or available to the City at law or in
equity, or under any other agreement. Each and every right, power and remedy
herein set forth or otherwise so existing may be exercised from time to time as often
and in such order as may be deemed expedient by the City and shall not be a waiver
of the right to exercise at any time thereafter any other right, power or remedy. If
either party waives in writing any default or nonperformance by the other party,
such waiver shall be deemed to apply only to such event and shall not waive any
other prior or subsequent default.
(j) Counterparts. This Agreement may be executed simultaneously in any number of
counterparts, each of which shall be an original and shall constitute one and the
same Agreement.
(k) Effective Date. This Agreement shall be effective as of the date of execution by the
City.
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IN WITNESS WHEREOF the parties hereto have caused this Agreement to be executed on
the day and year first above written.
CITY OF MOUND
By:
Raymond J. Salazar, Mayor
Eric Hoversten,
City Manager -Public Works Director
STATE OF MINNESOTA )
ss.
COUNTY OF HENNEPIN )
The foregoing instrument was acknowledged before me this day of
, 2022, by Raymond J. Salazar and Eric Hoversten, the Mayor and City
Manager -Public Works Director, respectively, of the City of Mound, a Minnesota municipal
corporation, on behalf of the corporation.
Notary Public
19
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MOUND HARBOR HOLDINGS, LLC
STATE OF MINNESOTA )
ss.
COUNTY OF )
The foregoing instrument was acknowledged before me this day of ,
2022, by , the
of Mound Harbor Holdings, LLC, a
Minnesota limited liability company, on behalf of the limited liability company.
This document drafted by:
Kennedy & Graven, Chartered
700 Fifth Street Towers
150 South Fifth Street
Minneapolis, MN 55402
(612) 337-9300 (TJG)
20
Notary Public
109918056.5 0072072-00003
- 1316 -
EXHIBIT A TO
DEVELOPMENT AGREEMENT
Legal Description of the Property
Lot 1, Block 1, Mound Harbor 2nd Addition, Hennepin County, Minnesota.
548197v1 TJGMU200-204
A-1
109918056.5 0072072-00003
- 1317 -
EXHIBIT B TO
DEVELOPMENT AGREEMENT
City Approvals
Type of Approval
Resolution
Number
Date of Approval
Major Subdivision - Preliminary Plat
20-119
December 8, 2020
Rezoning to Pedestrian PUD
20-120
December 8, 2020
Conditional Use Permit for PUD
20-121
December 8, 2020
2040 Comp Plan Consistency Determination
20-122
December 8, 2020
Major Subdivision -Final Plat
21
548197v1 TJGMU200-204
C
109918056.5 0072072-00003
- 1318 -
EXHIBIT C TO
DEVELOPMENT AGREEMENT
Engineering and Construction Plans
The following documents constitute the Plans:
PLAN NAME
PLAN DATE
ANY OTHER IDENTIFYING
INFORMATION
Site Plan
Grading Plan
Underground Utility Plans
Stormwater Plan
Erosion Control Plan
Landscaping and Planting
Plan
548197v1 TJGMU200-204
C-1
109918056.5 0072072-00003
- 1319 -
EXHIBIT D TO
DEVELOPMENT AGREEMENT
Subdivision Improvement Costs
(List ofltems and Cost Estimates to be provided by Developer)
548197v1 TJGMU200-204
D-1
109918056.5 0072072-00003
- 1320 -
EXHIBIT E TO
DEVELOPMENT AGREEMENT
Mortgage Consent
("Bank") holds a mortgage encumbering the following property
("Subject Property"):
The Subject Property is subject to the foregoing Development Agreement and, accordingly, Bank
hereby consents to the Development Agreement; provided, that in doing so, Bank shall not be liable
to the City or any other person for the performance or non-performance of the Development
Agreement by the Developer; provided further, that in the event that Bank acquires fee title to the
Subject Property by foreclosure or sale in lieu of foreclosure, Bank shall not be required to perform
any of the obligations required of the Developer in said Agreement during the Bank's term of
ownership so long as Bank is actively marketing the Subject Property for sale and maintaining the
Subject Property in compliance with applicable ordinances.
Dated:
Its:
2022
ACKNOWLEDGEMENT FOR BANK
STATE OF MINNESOTA )
)ss.
COUNTY OF
The foregoing instrument was acknowledged before me this
2022, by the
,a_
on behalf of the
548197v1 TJGMU200-204
of
under the laws of
Notary Public
[Developer to provide the required consents]
E-1
day of
109918056.5 0072072-00003
- 1321 -
24068647v2
548197v1 TJGMU200-204
E-2
109918056.5 0072072-00003
- 1322 -
2415 Wilshire Boulevard
Mound, MN 55364
(952) 472-0604
MEMORANDUM
To: Honorable Mayor and City Council
From: Sarah Smith, Community Development Director; Andy Drilling, Field Officer
Date: June 8, 2022
Re: Regular Agenda Item for June 14, 2022 Meeting— Consideration/Action — Public
Nuisance Declaration at 4900 Edgewater Drive
Summary. At its June 14, 2022 meeting, the City Council will discuss and consider action on a
resolution declaring an unshielded yard light on the lakeside of the property at 4900
Edgewater to be a public nuisance.
Background/Discussion. The City Attorney contacted the property owners at 4900 Edgewater
Drive on March 21, 2022 and May 18, 2022, respectively, regarding a yard light on the lakeside
that is casting excessive lighting that is in violation of Section 42-4(26) of the City Code. As of
this date, neither the City Attorney or Staff have heard back from the property owners
regarding the matter. As mentioned in the May 18, 2022 letter from the City Attorney, the
property owners were advised the matter would be referred to the City Council for
discussion at its regarding the presence of a public nuisance at its June 14th meeting if no
response was received.
Requested Action. A resolution declaring a public nuisance and to authorize an enforcement
action was prepared by the City Attorney for Council consideration. Staff recommends
approval.
- 1323 -
CITY OF MOUND
RESOLUTION NO. 22-
RESOLUTION DECLARING A PUBLIC NUISANCE AND AUTHORIZING
AN ENFORCEMENT ACTION TO ABATE THE NUISANCE
WHEREAS, the City of Mound ("City") received complaints regarding the pole light
located in the rear yard of the property located at 4900 Edgewater Drive ("Property"); and
WHEREAS, the pole light is unhooded, is extremely bright, and shines onto neighboring
properties and Harrison Bay; and
WHEREAS, Section 42-4 of the City Code identifies certain conditions as constituting a
public nuisance affecting public peace and safety, including:
(26) Any lighting used to illuminate an off-street parking area, structure, or area that is
not arranged to deflect light away from any adjacent residential property or away
from any public right-of-way or navigable body of water in accordance with the
following provisions: (a) the light source shall be hooded or controlled so as not
to shine light toward adjacent property; and (b) floodlights or spotlights must be
aimed no higher than 45 degrees above straight down (halfway between straight
down and straight to the side).
WHEREAS, the City's attempts to communicate with the property owners to correct the
nuisance were unsuccessful;
WHEREAS, on March 21, 2022, the City Attorney sent the property owners a letter
indicating the City has determined the light constitutes a public nuisance and directing the
nuisance be corrected within 10 days of the letter;
WHEREAS, the owners failed to correct the nuisance as directed in the letter and did not
appeal the nuisance declaration to the City Council within seven days as provided in the City
Code;
WHEREAS, on May 18, 2022, the City Attorney sent the property owners a follow up
letter indicating that since they failed to take corrective action the matter will be presented to the
City Council at its June 14, 2022 meeting to confirm the nuisance declaration and to authorize
an enforcement action to abate the nuisance.
follows:
NOW, THEREFORE, BE IT RESOLVED, by the City Council of the City of Mound as
The City Council hereby ratifies the City staff's determination and declares the yard
light located on the Property constitutes a public nuisance affecting public peace and
safety in violation of Section 42-4(26) of the City Code.
The City Council hereby authorizes an enforcement action to abate the nuisance on
the Property including, but not necessarily limited to, referring the matter to the City
Prosecutor for review and action as may be appropriate under law.
- 1324 -
Adopted by the City Council this 14'h day of June 2022.
Attest: Kevin Kelly, Clerk
Mayor Raymond J. Salazar
- 1325 -
C H A R T E R E D
Offices in
150 South Fifth Street
Suite ]00
Minneapolis
Mimeepolis,MN 55402
(612)33]-9300 telephone
Saint Panl
(612) 337-9310 fax
St. Cloud
AAA kmoedy-graven corn
Affiremove Acton, Equal Opportim, Employer
TROY S. GILCHRIST
Aftomey atLaw
Cored mal (612)337-9214
Email . tgilclmst kmuedy-grave rum
Also: St Cloud Office
501 W 6mmiu Steel, Suite 30.4
St Cloud, MN 56301
(320) 240 8200
March 21, 2022
Daniel Link & Heather Berger
4900 Edgewater Drive
Mound, MN 55346
RE: Order to Cease Yard Light Nuisance
Dear Property Owners:
This firm represents the City of Mound ("City") and I have served as City Attorney for several
years. I am writing on the City's behalf regarding complaints it has received related to the yard
light you have on the lakeside portion of your property (PID 1311724410010) located at 4900
Edgewater Drive in Mound ("Property"). The light is very bright, is not shielded or hooded, and
it shines on adjacent properties. The City has determined your light constitute a nuisance under
Section 42-4(26) of the Mound, Minnesota City Code ("City Code") that must be corrected
within 10 calendar days from the date of this notice. If the light is not brought into compliance
with the City Code within that time, further use of the light is prohibited.
The City Code provides, in part, as follows:
Sec. 42-4. Same —Affecting peace and safety.
The following are declared to be public nuisances affecting public peace and
safety:
(26) Any lighting used to illuminate an off-street parking area, structure, or area that is
not arranged to deflect light away from any adjacent residential property or away
from any public right-of-way or navigable body of water in accordance with the
following provisions: (a) the light source shall be hooded or controlled so as not
to shine light toward adjacent property; and (b) floodlights or spotlights must be
MU220 2A8643 at
1326 -
Danial Link & Heather Berger
March 21, 2022
Page 2 of 2
aimed no higher than 45 degrees above straight down (halfway between straight
down and straight to the side).
If you intend to continue using the light, it must be hooded or otherwise controlled so that it does
not shine light toward any adjacent property. Failure to bring the light into compliance within
the identified period may result in the City acting under Sections 42-6 & 42-7 of the City Code,
and any other applicable laws, to abate the nuisance and to recover the City's abatement costs,
including all administrative, legal, and engineering fees.
Please note that the continued use of the light in its current condition constitutes a violation of
the City Code. Under Section 1-6 of the City Code, a violation constitutes a misdemeanor
offense, which is punishable with a fine up to a $1,000 and/or up to 90 days in jail.
You have a right under Section 42-7(e) of the City Code to appeal this designation of a public
nuisance by submitting a written request to appeal with the City within seven calendar days from
receipt of this notice. The request should explain the basis for the appeal. If a timely appeal is
received, the matter will be scheduled for a public hearing before the City Council. The City
Council would then make a final decision on this matter and may include authorization to
specially assess any abatement costs against your Property under Minnesota Statutes, section
429.101.
I look forward to an amicable resolution of this situation through your prompt efforts to bring the
light into compliance. You are welcome to contact the City if you have any questions regarding
this order.
Sincerely,
y J. Gilchrist
cc: City of Mound
MU220-2-786743.v1
- 1327 -
C H A R T E R E D
Offices in
150 South Fifth Street
Suite ]00
Minneapolis
Minneepolis,MN 55402
Saint Panl
(612) 3379300 telephone
(612) 33]-9310 fax
St.Clond
w.kmnedy-gavencom
Affinclave Action, must Opportwrty Enplo➢a
TROY S. GILCHRIST
Attorney at Laos
DirectDial (612) 337 9214
Email . tgilohnA@kmnedy-Deven coin
Also: St Cloud Office
501 W Germain Street, Suite30.4
St Cloud, MN 56301
(320) 2408200
May 18, 2022
Daniel Link & Heather Berger
4900 Edgewater Drive
Mound, MN 55346
RE: Failure to Abate Yard Light Nuisance
Dear Property Owners:
I am following up on the letter I sent you dated March 21, 2022 on behalf of the City of Mound
ordering you to correct the nuisance created by your yard light within 10 days from the date of
the letter. The City informed me that you have not corrected the violation as directed in the
letter. Additionally, you did not file an appeal of the nuisance designation within seven days as
provided in the City Code.
As a result, this matter is scheduled to go before the City Council at its June 14, 2022 meeting to
confirm the nuisance designation and to authorize an enforcement action. You are welcome to
attend the meeting to present your position on this matter. As noted in my previous letter, a
violation of the City Code may result in a civil action or criminal prosecution for a misdemeanor,
which carries a potential penalty of up to a $1,000 fine or up to 90 days injail, or both.
If you correct the nuisance as previously directed before the City Council meeting, staff will
recommend this item be removed from the agenda. Please direct any questions you may have
regarding this matter to the City.
Sincerely,
Toy J. Gilchrist
cc: City of Mound
MU220 2 798289.v3
- 1328 -
2415 Wilshire Boulevard
Mound, MN 55364
(952) 472-0604
MEMORANDUM
To: Honorable Mayor and City Council
From: Andy Drilling, Field Officer
Date: June 8, 2022
Re: June 14, 2022 Regular Agenda Item —Grass/Noxious Weeds Abatement Process
(City Code Chapter 42 - Nuisances)
Summary. At the request from the City Council from its May 24, 2022 meeting, Staff has
prepared an overview of the process the City uses to abate noxious grass/weeds matters for
properties in the City of Mound. Provided below is a bulleted summary of the process of
notifying and abating a noxious weed nuisance, and a suggested way the process may be
streamlined.
• City receives a complaint about a property with long grass/weeds.
• Field Officer visits the property to verify it is out of compliance with the nuisance code. A
warning is posted on the property if it has a principal structure. If it is a rental property, a
warning is posted on the property and a letter is sent to the property owner listed with
Hennepin County. If there is no principal structure then a letter is sent to the property
owner listed with Hennepin County.
• The property owner is given 10 days to comply with the request for it to be mowed.
• Once the 10 days has passed and the property is not brought into compliance, Beniek
Property Services is then contacted to force mow the property.
• Beniek Property Services schedules the property to be mowed the following week,
depending on weather conditions. Rainy days may delay mowing.
• The Field Officer monitors the property to see if it has been mowed before the scheduled
day for Beniek Property Services. If the property has been mowed, Beniek Property
Services is then cancelled and the City is saved the $45.00 trip charge.
• If the property is not mowed , Beniek Property Services then mows the property and
invoices the City.
• The City invoices the property owner the cost of Beniek Property Services and the Field
Officer's time.
• If the invoice is not paid, the fees are assessed to the property.
- 1329 -
Where the Process Can be Streamlined:
• Instead of notifying Beniek Property Services after the 10 day period is expired, Beniek
Property Services can be notified within a day of the property owner being given the
warning. This allows Beniek Property Services to schedule a day for it to be mowed closer
to the expiration of the notice instead of giving the property owner basically an extra
week to abate the nuisance.
• Beniek Property Services has crews in the area on Tuesdays, Thursdays, and Fridays for
other service contracts. Fridays are usually relatively open and typically the days when
force mowings can be done.
• Reduce the 10 day compliance period.
Staff will be present at the June 14 City Council meeting to discuss the City's current
grass/weed abatement procedures and the current regulations.
• Page 2
- 1330 -
City of Mound Cash Balances Reporting
As of 01-31-22 As of 02-28-22 As of 03-31-22 As of 04-30-22
General Fund (101)
4,180,773
2,852,510
2,569,558
2,447,614
Area Fire Services (222)
412,955
387,915
394,398
394,171
Dock Fund (281)
464,675
492,768
498,677
499,623
Harbor District (285)
214,676
220,511
264,579
266,516
Debt Service Funds (3XX) **
2,597,235
2,493,196
2,517,431
2,546,869
Captial Project Reserve Funds
401Infrastructure/Street
2,257,566
2,224,909
2,254,248
2,244,096
403-Cap
Reserve - Vechicles & Equip
457,559
457,559
457,559
457,559
404-Community
Investment Fund
(5,636)
(16,438)
(16,438)
(17,757)
405-Cap
Reserve City Buildings
137,500
140,291
140,291
140,291
427-Street
Maintenance Fund
610,629
643,110
643,110
643,110
454-TIF
1-1 Harrison Bay
77,934
22,985
22,985
22,985
475-TIF
1-3 Mound Harbor District
515,767
515,767
513,143
513,143
Subtotal Capital Funds
4,051,319
3,988,183
4,014,898
4,003,427
Enterprise Funds
Liquor (609)
722,917
738,419
641,333
714,805
Water (601)
(4,721,705)
(4,817,539)
(4,747,474)
(4,674,240)
Sewer (602)
923,655
1,057,362
1,017,124
1,061,068
Storm (675)
(1,607,726)
(1,595,566)
(1,587,264)
(1,578,780)
Recycling(670)
191,780
199,569
184,772
183,265
Subtotal Enterprise Funds (4,491,079) (4,417,755) (4,491,509) (4,293,882)
Pooled Investments/CDs (884) (3,003,864) (2,996,102) (2,994,691) (2,994,187)
TOTAL ALL FUNDS - CASH BALANCE 4,426,690 3,021,226 2,773,341 2,870,151
** Debt Service Fund Balance - prepaid special assessments
SAFINANCE DEPT\REP0RTS\2022\CASH BALANCES.XLS _ 1331
CITY OF MOUND
EXPENSES- BUDGET REPORTING
APRIL 2022
Percentage of Budget 33.33%
APRIL 2022 YTD PERCENT
FUND BUDGET EXPENSE EXPENSE VARIANCE EXPENDED
GENERALFUND
Council
Promotions
City Manager / City Clerl
Elections
Finance
Assessing
Legal
Centennial Buildinc
City Hall - Wilshire
Computer
Police
Emergency Preparedness
Planning & Inspections
Streets
Parks
Transfers
Cable TV
Contingency
TOTALS
OTHER FUNDS
Area Fire Service
Docks
Transit District Maintenance
Capital Projects
Capital Replacement- Equipmen
Community Investment Resew,
Capital Replacement - Building!
Sealcoatinc
TIF 1-1-Harrison Bay
TIF 1-2 - Metroplains
TIF 1-3 - Mound Harboi
Water Utility
Sewer Utilit}
Liquor Store
Recycling Utilit}
Storm Water Utility
83,826
12,580
29,319
54,507
34.98%
1,500
-
-
1,500
0.00%
193,521
15,202
59,420
134,101
30.70%
15,700
25
2,392
13,308
15.24%
461,487
41,817
152,605
308,882
33.07%
132,000
-
-
132,000
0.00%
90,212
12,781
29,418
60,794
32.61%
53,950
4,109
11,322
42,628
20.99%
54,731
4,375
17,418
37,313
31.82%
41,500
1,981
13,467
28,033
32.45%
1,949,782
2,171
969,485
980,297
49.72%
48,288
3,276
13,382
34,906
27.71%
503,231
36,168
128,709
374,522
25.58%
868,567
50,057
277,099
591,468
31.90%
498,929
36,351
111,452
387,477
22.34%
757,946
39,829
439,315
318,631
57.96%
42,300
-
-
42,300
0.00%
66,000
1,159
3,268
62,732
4.95%
JAN FEB MAR APR
2,395
8,783
5,561
12,580
14,539
14,804
14,875
15,202
27
2,274
66
25
35,513
36,417
38,858
41,817
11,482
-
5,155
12,781
837
782
5,594
4,109
2,460
1,585
8,998
4,375
1,465
3,383
6,638
1,981
44
966,872
398
2,171
3,473
2,672
3,961
3,276
23,168
21,835
47,538
36,168
29,649
91,281
106,112
50,057
18,331
21,570
35,200
36,351
319,828
39,829
39,829
39,829
- - 2,109 1,159
5,863,470 261,881 2,258,071 3,605,399 38.51% 463,211 1,212,087 320,892 261,881
1,441,662
114,427
513,319
928,343
35.61%
199,227
69,970
129,695
114,427
164,857
2,620
13,841
151,016
8.40%
805
6,116
4,300
2,620
49,126
5,613
15,478
33,648
31.51%
334
399
9,132
5,613
-
10,153
11,280
(11,280)
n/a
-
1,127
-
10,153
25,000
-
-
25,000
0.00%
-
-
-
-
-
1,319
35,400
(35,400)
n/a
33,471
610
-
1,319
-
-
-
-
n/a
-
-
-
-
-
-
7,115
(7,115)
n/a
6,767
348
-
-
-
-
-
-
n/a
-
-
-
-
-
-
-
-
n/a
-
-
-
-
-
-
2,624
(2,624)
n/a
-
-
2,624
-
1,911,239
149,736
692,613
1,218,626
36.24%
278,881
124,273
139,723
149,736
2,279,773
199,704
907,565
1,372,208
39.81%
272,519
190,345
244,997
199,704
667,446
22,802
204,830
462,616
30.69%
36,267
84,493
61,268
22,802
242,092
19,812
72,802
169,290
30.07%
719
19,370
32,901
19,812
336,800
21,909
131,203
205,597
38.96%
65,490
21,467
22,337
21,909
- 1332 -
CITY OF MOUND
REVENUE - BUDGET REPORTING
APRIL 2022
Percentage of Budget 33.33%
APRIL 2022 YTD PERCENT
FUND BUDGET REVENUE REVENUE VARIANCE RECEIVED
GENERALFUND
Property Taxes
Business Licenses & Permits
Non -Business Licenses & Permits
Intergovernmenta
Charges for Services
City Hall Renl
Fines & Forfeitures
Special Assessments
Street Lighting Fees
Franchise Fees
Transfers
Miscellaneous
TOTALS
3,918,283
-
-
3,918,283
0.00%
27,250
1,000
12,565
14,685
46.11%
209,200
13,804
54,156
155,044
25.89%
343,146
-
15,000
328,146
4.37%
226,750
18,074
73,787
152,963
32.54%
40,000
3,668
14,672
25,328
36.68%
28,000
3,492
8,442
19,558
30.15%
15,000
-
-
15,000
0.00%
40,000
3,233
13,120
26,880
32.80%
397,000
62,998
84,530
312,470
21.29%
250,000
-
250,000
-
100.00%
203,000
1,140
176,274
26,726
86.83%
5,697,629
107,409
702,546
4,995,083
12.33%
JAN FEB MAR APR
5,165
4,000
2,400
1,000
15,990
8,450
15,912
13,804
-
15,000
-
-
21, 813
15,192
18,708
18,074
3,668
3,668
3,668
3,668
-
2,699
2,251
3,492
3,229
3,309
3,349
3,233
-
-
21,532
62,998
250,000
-
-
-
172,663
847
1,624
1,140
472,528
53,165
69,444
107,409
OTHER FUNDS
Area Fire Services
1,370,761
101,065
440,755
930,006
32.15%
173,388
40,426
125,876
101,065
Docks
180,100
3,565
176,940
3,160
98.25%
68,875
94,290
10,210
3,565
Transit District Maintenance
160,100
7,550
89,400
70,700
55.84%
19,550
9,100
53,200
7,550
Water Utility
2,030,000
155,781
618,105
1,411,895
30.45%
154,843
157,122
150,359
155,781
Sewer Utility
2,550,403
209,142
843,353
1,707,050
33.07%
206,611
212,185
215,415
209,142
Liquor Store
3,500,000
266,082
1,026,755
2,473,245
29.34%
238,105
274,507
248,061
266,082
Recycling Utility
242,825
19,090
77,650
165,175
31.98%
18,761
19,803
19,996
19,090
Storm Water Utility
140,000
11,515
46,179
93,821
32.99%
11,475
11,560
11,629
11,515
Investments
-
504
2,159
(2,159)
n/a
186
58
1,411
504
- 1333 -
HarborMAY 2022 VS 2021
DATE
SALES
CUSTOMERS
AVERAGE TICKET
'22
'21
'22
'21
+/-
'22 '21
+/-
'22
'21
+/-
Saturday
1
18,184
-100%
570
32
Sunday
1
2
61603
5,842
13%
252
232 9%
26
25
4%
Monday
2
3
61219
6,214
0%
239
259 -8%
26
24
8%
Tuesday
3
4
71869
6,802
16%
295
273 8%
27
25
7%
Wednesday
4
5
7,716
9,113
-15%
305
323 -6%
25
28
-10%
Thursday
5
6
12,107
8,701
39%
348
331 5%
35
26
32%
Friday
6
7
16,963
20,044
-15%
555
587 -5%
31
34
-10%
Saturday
7
8
19,202
17,202
12%
563
488 15%
34
35
-3%
Sunday
8
9
61574
9,951
-34%
258
328 -21%
25
30
-16%
Monday
9
10
51959
5,663
5%
237
246 -4%
25
23
9%
Tuesday
10
11
81330
8,306
0%
314
312 1%
27
27
0%
Wednesday
11
12
8,133
9,155
-11%
272
349 -22%
30
26
14%
Thursday
12
13
11,551
9,379
23%
393
348 13%
29
27
9%
Friday
13
14
19,585
17,241
14%
586
505 16%
33
34
-2%
Saturday
14
15
16,866
17,940
-6%
530
545 -3%
32
33
-3%
Sunday
15
16
61802
7,645
-11%
271
279 -3%
25
27
-8%
Monday
16
17
61070
7,598
-20%
265
273 -3%
23
28
-18%
Tuesday
17
18
71610
7,421
3%
290
286 1%
26
26
1%
Wednesday
18
19
6,018
8,747
-31%
226
323 -30%
27
27
-2%
Thursday
19
20
91688
9,170
6%
332
339 -2%
29
27
8%
Friday
20
21
17,063
18,613
-8%
515
566 -9%
33
33
1%
Saturday
21
22
14,560
19,350
-25%
444
593 -25%
33
33
0%
Sunday
22
23
51447
8,295
-34%
226
290 -22%
24
29
-16%
Monday
23
24
51888
7,877
-25%
263
292 -10%
22
27
-17%
Tuesday
24
25
81595
8,986
-4%
340
347 -2%
25
26
-2%
Wednesday
25
26
8,564
10,605
-19%
310
349 -11%
28
30
-9%
Thursday
26
27
91917
9,035
10%
331
307 8%
30
29
2%
Friday
27
28
21,936
19,477
13%
631
572 10%
35
34
2%
Saturday
28
29
21,469
15,586
38%
572
482 19%
38
32
16%
Sunday
29
30
12,340
10,324
20%
351
354 -1%
35
29
21%
Monday
30
31
71995
10,894
-27%
277
386 -28%
29
28
2%
Tuesday
31
71235
276
26
TOTAL - May
330,874
349,360
-5.29%
11,067 11,734
-5.68%
30
30
OA2%
Sales
Customer
Avg Ticket
2022
2021
,
2022
2021
2022
2021
FIRST QTR
760,983
788,940
-4%
26,457
27,978
-5%
29 28
2%
April
266,014
295,338
-10%
9,257
10,188
-9%
29 29
-1%
May
330,874
349,360
-5%
11,067
11,734
-6%
30 30
0%
SECOND QTR
596,888
644,698
-7%
20,324
21,922
-7%
29 29
0%
TOTAL - YTD
1,357,871
1,433,638
-5%
46,781
49,900
-6%
29 29
1%
-1334 -
y.•~~••,� Lake Minnetonka Update
May 25, 2022
LMCD
Lake Minnetonka continues to be a popular destination to live, visit, and do business and we depend on
all the stakeholders to help protect the lake and those who enjoy it. Some information is highlighted
below regarding current lake activities and ways people can get involved in important lake initiatives.
We are looking forward to another active summer season with many accomplishments. A PDF Version
with attachments is attached for your convenience.
AIS & Vegetation Management. The LMCD provides an opportunity for funding AIS
management activities. Information to guide lakeshore owners in managing vegetation
individually or as part of a group is available at https://Imcd.org/lake-shore-owners/managing-
lake-vegetation/. Learn some tips to organize a bay and apply for funding at
https://Imcd.org/lake-shore-owners/ma paging-lake-vegetation/ais-funding-opportunities-for-
ba s .
A new program was approved on October 27, 2021, for funding opportunities for first-time
whole -bay or large area AIS management on Lake Minnetonka. The program funding for eligible
and approved AIS bay treatment plans up to 25 percent for the first -year treatment cost, and up
to 35 percent of AIS surveys total cost. Any applications for treatments in subsequent years of
the project initiative will require new applications and are not guaranteed. To apply, please
complete the Application Form. Preliminary review of the applications will be conducted by the
AIS Committee and referred to the LMCD Board for consideration. Additional pages and project
details may be submitted with the application.
More than ever before, Lake Minnetonka is subject to new infestations of AIS. If you see
suspicious vegetations or animals, please contact the LMCD right away. Please consider
participating in sponsored AIS activities throughout the year and contact us regarding any
suspicious aquatic animals or vegetation.
• Boater Safety Education Program June 13, 2022 — Register Now to Save Your Spot. Please join
us on Monday, June 13, 2022, from 7:45 am to 6 pm at the Hennepin County Sheriffs Office
Water Patrol Building, 4141 Shoreline Dr, Spring Park. Learn how to safely operate a boat and
obtain Minnesota DNR Watercraft Operator's Permit. This class is for youth (ages 12 to 17) and
adults. Course presenters will work alongside participants, share unique boating experiences,
and key on -board safety practices. For more information and to register, please visit
https://Im cd. org/2022-lake-m i n neton ka-boa ter-sa fete-education-program-registration-now-
o en . Register now for this enjoyable and rewarding event. Please forward to interested
parties.
• Boater Safety Education Legislation. While progress was made in developing the language and
support for the boater safety education bill, the bill did not pass this Legislative Session.
(Omnibus HF 4492/SF4062). An update will be provided about any future actions.
• MAISRC Zebra Mussels Control Research Community Open House. On May 25, 2022, scientists
from the Minnesota Aquatic Invasive Species Research Center (MAISRC) and US Geological
Lake Minnetonka Update May 25, 2022 Page 1 of 3
- 1335 -
Survey (USGS) hosted an open house event regarding the zebra mussel control project using
copper on Maxwell Bay. They stated an overview of the project will be provided. A copy will be
provided on the LMCD website when available.
Save the Lake. The Save the Lake fund helps support critical services for Lake Minnetonka.
These services such as boater education, navigational enhancements, and other lake safety
efforts are made possible by your generous financial gifts. With the increase of activity on the
lake, a focus of this year's Save the Lake campaign is supporting dedicated patrol and emergency
response personnel for Lake Minnetonka. Two summer deputies were funded in 2021 and
planned again for 2022. Historically only one summer deputy has been funded. The Save the
Lake handout is available on the Save the Lake webpage and directly at https://Imcd.org/wp-
content/uploads/2022/05/2022-Spring-STL-Fiver-Final-20220426-Fillable-Ext.pdf. Learn more
about Save the Lake at https://Imcd.org/save-the-lake/. The flyer will be mailed to Iakeshore
owners soon.
• Solar Lights. The solar lights have been maintained and are ready for installation. Many of the
older models have been replaced this year with newer more effective ones. Our volunteers, Al &
Almas and Paradise Cruises, assists with the installation of the lights. The lights are installed on
certain channel buoys throughout the lake to promote safe navigation.
• Healthy & Safe Swimming Week. The week of May 23, 2022, is Healthy and Safe Swimming
Week. At the Lake Minnetonka Conservation District (LMCD), we want everyone to be safe and
healthy while enjoying the lake this summer which is why certain measures and regulations are
in place. Bacteria, viruses, and other organisms in the water can cause ear and eye infections,
stomach aches, diarrhea, and flu -like symptoms. Fortunately, the MDH, Hennepin County
Environmental Health, and the CDC offer tips that everyone can take to minimize risk of illness
while enjoying the water and keep the lake healthy for everyone. Learn more about staying
healthy on the lake at Tips for Staying Healthy on the Lake Handout. More tips will be provided
throughout Healthy & Safe Swimming Week.
Summer Rules Brochure. The Lake Minnetonka Conservation District LMCD has published its
2022 Summer Rules Brochure. It can viewed on our website at our Handouts & Manuals
Webpage or at the LINK. Several hundred brochures have been distributed and we are actively
taking requests for print copies to share to promote safe and responsible boating. To request
printed copies, please contact us at (952)-745-0789 or email us at ImcdPImcd.ore.
• 2023 Preliminary Budget. At the Board Meeting on May 25, 2022, a review of the 2023
Preliminary Budget will occur. After review and preliminary approval, the draft 2023 budget will
be distributed to the cities for review. The Board approves the budget by July 1" for the
upcoming calendar year as prescribed by state law.
Special Events
• Trista Days. On May 21, 2022, the Lake Minnetonka Conservation District (LMCD) attended
Trista Days in Minnetrista. It was a great event and a great opportunity to speak with other lake
enthusiasts.
Licks & Lakes Event. This Saturday, May 21, 2022, the Lake Minnetonka Conservation District
(LMCD) attended Lick's Unlimited, Licks & Lakes Event in Excelsior. This event focused on lake
Lake Minnetonka Update May 25, 2022
- 1336 -
Page 2 of 3
conservation and ways to incorporate more eco-friendly practices and products into its business
operations such as more biodegradable products. We appreciate all the environmental
initiatives of our lake area business community.
Inquiries and Complaints
• The LMCD Office continues to receive numerous inquiries and concerns about lake safety,
vegetation, and other lake management topics. We are in the process of onboarding our two
new employees and working hard to catch up on the filing, organization, customer responses
and other activities. We appreciate everyone's patience and positive comments during these
past several months.
Welcome New LMCD Staff
Help us welcome the two new staff members, filling the previously vacant positions. We are
looking forward to having them on board and being part of the team that protects the lake and
all those who enjoy it. Stop by and say hello. We are pleased to introduce Maisyn Prueter and
Thomas Tully, who join existing staff Tammy Duncan, Administrative Assistant, and Vickie
Schleuning, Executive Director.
Maisyn Prueter joined the LMCD on January 31" as the new Administrative Coordinator. Maisyn
holds a Bachelor of Arts degree in Environmental Sustainability from the University of
Minnesota Duluth. She has a background in environmental conservation and is very happy to be
joining the district to help protect the Lake we all know and enjoy. As a Lake Minnetonka
resident herself, she is especially excited to preserve the Lake she has called home her entire life
and is eagerly looking forward to working on all the Lake Minnetonka projects.
Thomas Tully joined the LMCD on April 251" as the Environmental Administrative Technician. He
holds a Bachelor of Science degree in Water Resources from the University of Wisconsin Stevens
Point. He has a background in water resource management and is excited to be joining LMCD to
help manage the lake. As a Lake Minnetonka resident himself, he is especially excited to protect
and preserve the Lake he has called home his entire life. Thomas is eagerly looking forward to
working with the LMCD on lake initiatives.
Thank you for your cooperation and efforts to preserve and enhance the Lake Minnetonka experience.
Please let me know if you have questions.
Vickie Schleuning
Executive Director I Lake Minnetonka Conservation District
5341 Maywood Road, Suite 200 1 Mound, MN 55364
Ph 952-745-0789 1 vschleuning(cDlmcd.org
www.lmcd.ore
CONNECT WITH US M 13
To preserve and enhance the lake Minnetonka experience
Lake Minnetonka Update May 25, 2022
- 1337 -
Page 3 of 3
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- 1339 -
Famm
al pro
TO
De Heni
Sunni
Mi counsel preliminary sonneteer estimates or 202 1
oearMr. Hoversten:
The Metropolitan Council has prepared preliminary 2021 population and household
estimates for the City of Mound.
As of Apol 1, 2021, the City of Mound had 4,496 housing units, 4,182 households,
and 9,408 people (of whom 0 lived in group quarters facilities). Household size
averaged 2.250 persons per household.
To assist local officials and staff who may be working remotely, we have placed POF files of
the 2021 estimates materials on our website. You may access them using the following
links. (If your email software does not recognize them as Inks, you an copy them and
pace them Into the address bar of yourweb browser)
Transmittal letter.
mosHmetrocounol o rg/METC/me dia/Eci mates202 1 /Appointed Letter 4446_M
ound put
Summary of results
mosHmetrocounol org/METC/media/Ecimates2o21/EstmatesReport 4447605
3 Mound put
Overview of estimates calculations httpsHmetmcouncil org/Oataand
Maps/Publications And FfesourcesFiles and reports/How We Calculate
Population Estimates aspx
A paper copy of these materials has been sentto you via regular mall. Additional
Information, including a detailed methodology, Is available at
htWsHmetrocounc I om/000ulat ones[ mates.
Information about local review and commentscan be found In the transmittal letter. We
much receive all comments and challenges In writing by Friday, June 24, 2022.
Please contact me if you have trouble accessing these electronic materials or have other
questions
I hope all Is well with you.
Sincerely,
soi r�_ SG.aa'l
Matt Schroeder
Principal bdaMMs
Principal Researcher Council
CommonResearcly
390 Check
Cnu Saammo nlry Development
390 Roba2 Pon Baln1 Paul, MN 55101
P. 61-602-1513
metrocounchropinfacebook factor
May 26, 2022
Eric Hoversten, City Manager
City of Mound
2415 Wilshire Blvd
Mound, MN 55364-1687
Dear Mr. Hoversten:
The Metropolitan Council has prepared preliminary population and household estimates foryour community
as of April 1, 2021. This is an annual process governed by Minnesota Statutes 473.24.
As of April 1, 2021, the City of Mound had 4,496 housing units, 4,182 households, and 9,408 people
(of whom 0 lived in group quarters facilities). Household size averaged 2.25 persons per household.
How was this estimate calculated?
We estimate households and population with a housing stock -based method, which involves three
questions:
1. How many housing units did each community have?
2. How many households occupied these housing units?
3. How many people lived in these occupied housing units?
This letter includes an overview of our estimation method along with a report showing the data inputs and
calculations used to develop the preliminary estimates foryourcommunity. Formore information, visit
https://www.metrocouncil.org/populationestimates, or contact me at 651-602-1513.
How can local governments provide feedback on this estimate?
We welcome discussion of the preliminary estimates and invite you to review and comment on them. We are
particularly interested in feedback on the housing type estimates and the group quarters facilities, since this
data has been refreshed following the 2020 Census and has not yet been reviewed by local governments.
Please send any comments orquestions to,iaii.acnroederLmeic.siaie.mn.us (preferred)orto Matt
Schroeder, Community Development Research, 390 Robert St N, Saint Paul, MN 55101. Under Minnesota
Statutes 473.24, we must receive your comments or specific objections, in writing, by June 24, 2022.
What happens after local governments provide feedback?
The Council will certify final estimates by July 15, 2022 forstate government use in allocating certain funds.
Sincerely,
i
Matt Schroeder
Principal Researcher
METROPOLITAN
C 0 U N C I L
Mound city, Hennepin County
2021 Annual Population Estimate
Published May 26, 2022 (preliminary; distributed for local government review)
Housing Occupancy
units rate Households
2021 4,496 93.02% 4,182
Estimate
2020 E4,497 92.51% 4,160
Census
METROPOLITAN
C O U N C I L
Persons per Population in Population in Total
household households group quarters population
2.2496 9,408 0
2.2591 9,398 0
The Metropolitan Council estimates population using the housing unit method, which answers three main questions for each
jurisdiction as of April 1, 2021.
First, how many housing units did the community have?
• We start with housing units measured by the 2020 Census. We broke down the total number of housing units in the 2020
Census into different housing types using county parcel data and other data sources.
• We then add units built between April 1, 2020 and April 1, 2021, based on permits reported to us by communities. Permit
data is available on our website.
• We assume that 85% of single-family detached units and 80% of townhome/duplex/triplex/quadplex units permitted in
2020 were completed and occupiable by April 1, 2021.
• Multifamily units permitted in and before 2020 are assumed to be completed if they received a certificate of occupancy
by April 1, 2021.
• Manufactured home data comes from our annual surveys of manufactured home park operators and local
governments.
• Data on other housing (boats, RVs, etc. used as housing) comes from the most recent American Community Survey
data; this housing is included in the estimates only if occupied.
• We also examine other housing stock changes reported by jurisdictions. These include demolitions, building conversions
(units added or lost), boundary changes (units annexed in or out), and other changes reported by city and township staff.
Housing stock
Permitted and
Other changes
Housing stock
April 1, 2020
built since 2020
since 2020
April 1, 2021
Single-family detached
3,579
6
-7
3,578
Townhome (Single-family attached)
105
0
0
105
Duplex/triplex/quadplex
109
0
0
109
Multifamily (5 or more units)
704
0
0
704
Accessory dwelling units (ADUs)
0
0
0
0
Manufactured homes
0
0
Other units
0
0
Total
4,497
4,496
- 1342 -
Second, how many of these housing units were occupied by households?
• Each housing type has an estimated occupancy rate. These data come from the most recent American Community Survey
estimates for housing units and households, decennial census data from the U.S. Census Bureau, and the U.S. Postal
Service. To estimate multifamily occupancy rates, we also use Costar, a proprietary data source covering the apartment
market.
• Multiplying the number of housing units of each type by the occupancy rate yields the number of households (occupied
housing units).
Third, how many people lived in these occupied housing units?
• Each housing type has an estimated average household size. These data come from the most recent American Community
Survey estimates of households and population in households as well as decennial census data from the U.S. Census
Bureau.
• Multiplying the number of households in each housing type by the average household size yields the population in
households.
Single-family detached
Townhome (Single-family
attached)
Dupl ex/triplex/quadpl ex
Multifamily (5 or more units)
Accessory dwelling units (ADUs)
Manufactured homes
Other units
Total
Households
Housing stock Occupancy (Occupied Persons per Population
April 1, 2021 rate housing units) household in households
4,496
93.02%
3,347
103
106
626
0
0
0
4,182
2.3802
2.3802
2.2089
2.2496
7,967
245
215
981
0
0
0
9,408
To obtain the total population, we also add the number of residents in group quarters facilities.
These are residences that are not part of the standard housing market, such as college dormitories, nursing homes, prisons and
jails, and group homes. Data come from the Metropolitan Council's annual survey. A list of facilities in each community can be found
at https://www.metrocounci1.org/populationestimates.
Population Population in Total population
in households group quarters April 1, 2021
0
Due to rounding, not all estimates can be reproduced exactly from the above inputs.
For more information, see our methodology document, available from https://www.metrocouncil.org/populationestimates.
- 1343 -
The Metropolitan Council's housing -stock -based approach to estimating population involves answering three questions:
HOW MANY
HOUSING UNITS
ARE IN THE
COMMUNITY?
Housing units in 2020
(U.S. Census Bureau)
+ x
=angeshousing stock
e 2020
Council surveys)
We start with the housing units
from the 2020 Census, then we
add units identified in our annual
surveys of residential construction
(building permits and other
housing stock changes) and
manufactured housing parks.
This results in the estimated
number of housing units in each
community, broken down by the
type of housing.
HOW MANY
HOUSEHOLDS
OCCUPY THESE
HOUSING UNITS?
Occupancy rates
(U.S. Census Bureau,
U.S. Postal Service, and Costar)
Not all of these housing units are
occupied; some are vacant.
To estimate the number of households,
we examine occupancy rates in the
community for different types of
housing. These data come from the
U.S. Census Bureau's American
Community Survey and Decennial
Census as well as the U.S. Postal
Service and Costar.
This results in the estimated number of
households in each community, again
broken down by the type of housing.
HOW MANY PEOPLE
LIVE IN THESE
OCCUPIED HOUSING
UNITS?
Average household sizes
(persons per household)
(U.S. Census Bureau)
Finally, we examine the average
household sizes in the community for
different types of housing. These data
come from the U.S. Census Bureau's
American Community Survey and
Decennial Census.
To arrive at the total population, we
add in residents of "group
quarters" (places like correctional
facilities, college dormitories,
emergency housing shelters, and
nursing homes), measured by our
annual survey of such facilities.
For more detail, see the estimates methodology, available from https://www.metrocouncil.org/population estimates.
- 1344 -
METROPOUTAN
C O U N C I L
Hi Ent
Hope this email finds you doing welll
Thought you might like to see some pictures of the final product Theboards for both fields are up and
timing and fully functonal.
Thands again for 91 of yew helpl
Hans
1345-
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