2023-01-10 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. Open the meeting
2. Oaths of Office by City Manager Eric Hoversten
A. Mayor Jason Holt
B. Council Member Sherrie Pugh
C. Council Member Kathy McEnaney
3. Pledge of Allegiance
4. Approve agenda, with any amendments
TUESDAY, JANUARY 10, 2023 - 7:00 PM
MOUND CITY COUNCIL CHAMBERS
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.
5. *Consent Agenda
Page
*A. Approve payment of claims 1-57
*B. Approve a resolution appointing Paula Larson as Acting Mayor for 2023 58
*C. Approve a resolution appointing City Council Members as Representatives 59
of the City Council to Committees and Commissions for 2023
*D. Approve a resolution appointing Catherine Pausche as the Acting City 60
Manager for 2023
*E. Approve a resolution appointing Field Officer Andrew Drilling as Assistant 61
Weed Inspector for 2023
*F. Approve a resolution approving the purchase of bonding as provided under 62
Minnesota State Statute 412.111 78
*G. Approve a resolution designating the Official Depositories for 2023 63
PLEASE TURN OFF ALL CELL PHONES & PAGERS IN COUNCIL CHAMBERS.
*H.
Approve a resolution designating The Laker as the 2023 Official Newspaper
64
*I.
Approve request for commercial kennel license for Mound Emergency
65
Management Division, waiving the fee
*J.
Approve resolution making selection not to waive the statutory tort limits for
66
liability insurance purposes
*K.
Approve resolution recommending continuation of CDBG funding of Westonka
67
Community Action Network (WeCAN)
*L.
Approve resolution expressing support for CDBG funding of Senior Community
68
Services
*M.
Approve Hennepin County Assessor Open Book Meeting for Wednesday, April 26,
2023 from 3:00 pm to 7:00 pm in the Centennial Building Council Chambers
*N. Approve Special Meeting Workshops/Regular Schedule Changes in 2023
1) Schedule February 21, 2023 7:00 pm - Concurrent Planning
Commission & City Council
2) Schedule April 18, 2023 6:30 PM Department Head Annual Reports to Council
3) Cancel December 26, 2023 City Council Regular Meeting due to Christmas
Holiday
*O. Approve Public Works Project Pay Items
1) Pay request #1 in the amount of $156,067.43 to Pember Companies for the 69-72
2022 Liftstation Improvement Project PW 22-03
2) In the amount of $3,120.00 to Quality Counts for 2022 Municipal State Aid 73-76
route traffic counting for 2022
*P. Approve Resolution Approving Minnesota Department of Transportation 77-91
Agency Agreement for Federal Highway Transportation Administration Aid 78
Funding
*Roll Call vote to approve Consent Agenda*
6. Comments and suggestions from citizens present on any item not on the agenda.
This is an opportunity for members of the public to bring a matter that is not on tonight's
agenda to the attention of the Mayor and Council. Please state your first and last name as
well as your address for the record. Please limit your comments to 3 minutes.
PLEASE TURN OFF ALL CELL PHONES & PAGERS IN COUNCIL CHAMBERS.
7. Hennepin County Chief Judge Toddrick Barnett with District Court Report 92-93
8. Orono Police Sergeant Matt Siltala presenting the December 2022 Activity Report
9. City Engineer Brian Simmons requesting approval of a Resolution Ordering Preparation 94-96
of a Report on Harbor District Improvements Project 96
10. Discussion on how to proceed with City Council Vacancy 97-106
A. Requested action on a resolution declaring a City Council vacancy and 106
determining it will be filled by Council appointment
11. Comments/Reports from Council Members
Council Member Pugh
Council Member Larson
Council Member McEnaney
Mayor Holt
12. Information/Miscellaneous
A. Reports/updates from City Manager/Staff
Updates on previous topics, outstanding items
B. Reports: Finance Department — November 2022 107-109
Liquor Store — December 2022 110
Fire Report — November 2022 111-112
C. Minutes: 10-13-22 Parks and Open Spaces Commission 113-115
D. Correspondence: Twin Cities Business Journal: 2021 Muni Results
Hennepin County Award Announcements — 12/19/2022 116-119
13. Adjourn
COUNCIL BRIEFING
Tuesday, January 10, 2023
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 (citvofmound.com)
*** All Meetings At City Council Chambers, Centennial Building ***
Upcoming Meetings Schedule:
January 10 City Council Regular meeting, 7:00 PM
January 24 City Council Regular meeting, 7:00 PM
February 14 City Council Regular meeting, 7:00 PM
February 28 City Council Regular meeting, 7:00 PM
Events and Activities:
Subscribe to RAVE messaging tool for emergency notifications and updates
RAVE Emereencv Notifications I Mound, MN (citvofmound.com)
January 28, 2023 — Polar Plunge, Surfside Beach and Park
City Offices:
Closed January 16 in observation of Dr. Martin Luther King Jr. Day
Closed February 20 in observation of Presidents' Day
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 decision- making.
2023 City of Mound Claims 01-10-23
YEAR BATCH NAME DOLLAR AMOUNT
2022
112322ELANCC
$
4,906.41
2022
PAYREQ121322
$
232,011.91
2022
122022HWSMAN
$
68,701.33
2022
122122CTYMAN
$
65,506.64
2022
122922CTYMAN
$
122,546.45
2022
BOLT#11-2022AP-1
$
59,756.16
2022
2022AP-2 HWS
$
83,199.63
2022
2022AP-3
$
52,900.09
2023
011023CITY
$
91,671.32
2023
011023CITY-2
$
10,095.02
2023
011023HWS
$
35,776.56
ITOTAL CLAIMS 11 $ 827,071.52 1
Payment Batch 112322ELANCC
CITY OF MOUND
Payments
Current Period: November 2022
$4,906.41
Refer 811 ELAN CREDIT CARD Ck# 081447E 11/23/2022
Cash Payment E 101-41920-440 Other Contractual Servic ZOOM.US- MONTHLY SUBSCRIPTION -TO
RECORD COUNCIL MEETINGS TO CLOUD
FOR LMCC
Invoice 112322 10/312022
Cash Payment E 609-49750-431 Meeting Expense
Invoice 112322 10/52022
Cash Payment E 101-45200-434 Conference & Training
Invoice 112322 10/312022
Cash Payment E 101-41410-200 Office Supplies
MINNESOTA MUNICIPAL BEVERAGE
ASSOC- 2022 REGIONAL MEETING- R.
GUST- HWS
AMERICAN PUBLIC WORKS ASSOC-
PUBLIC WORKS ORGANIZATION &
ADMINISTRATION TRAINING- SPRING 2023 -
D.KOSKELA
AVERY CLIP NAME TAGS- 3" X 4" ELECTION
JUDGES
Invoice 112322 1122022
Cash Payment E 601-49400-205 Computer Hardware/Soft FS MTCE PRO -FLEET MTCE PROGRAM
SOFTWARE ANNUAL SUPPORT
SUBSCRIPTION- PUB WKS & PKS
Invoice 112322 1122022
Cash Payment E 602-49450-205 Computer Hardware/Soft FS MTCE PRO -FLEET MTCE PROGRAM
SOFTWARE ANNUAL SUPPORT
SUBSCRIPTION- PUB WKS & PKS
Invoice 112322 1122022
Cash Payment E 602-49450-210 Operating Supplies
Invoice 112322 10/52022
Cash Payment E 609-49750-340 Advertising
Invoice 112322 10272022
Cash Payment E 609-49750-210 Operating Supplies
Invoice 112322 10/182022
Cash Payment E 601-49400-438 Licenses and Taxes
Invoice 112322 10/142022
Cash Payment E 601-49400-434 Conference & Training
Invoice 112322 10/312022
Cash Payment E 609-49750-210 Operating Supplies
Invoice 112322 10202022
Cash Payment E 609-49750-210 Operating Supplies
AMAZON.COM- TOILET LEAK DETECTING
DYE TABLETS- SEWER DEPT
AMAZON.COM - PRINTABLE RAFFLE &
EVENT TICKETS- MEMORABILIA AUCTION
OF PROMO ITEMS TO BENEFIT SURFSIDE
PARK IMPROVEMENTS -HWS
AMAZON.COM- DUM DUM POPS- HWS
HENNEPIN COUNTY PUBLIC WORKS -
WATER MAIN BREAK PERMIT- 10-14-22
AMERICAN PUBLIC WORKS ASSOC-
PUBLIC WORKS ORGANIZATION &
ADMINISTRATION TRAINING- SPRING 2023 -
M.TESSEN
AMAZON.COM - 13 GALLON, 45 GALLON &
56 GALLON TRASH BAGS - HWS
AMAZON.COM - MEYER'S MULTI -SURFACE
CLEANER CONCENTRATE - HWS
Invoice 112322 10232022
Cash Payment E 101-45200-205 Computer Hardware/Soft FS MTCE PRO -FLEET MTCE PROGRAM
SOFTWARE ANNUAL SUPPORT
SUBSCRIPTION- PUB WKS & PKS
Invoice 112322 1122022
01/05/23 1:33 PM
Page 1
$43.01
$20.00
$721.00
$24.99
$150.00
$150.00
$150.00
$19.00
$68.95
$340.00
$721.00
$121.31
$19.83
$150.00
CITY OF MOUND 01/05/23 1:33 PM
Page 2
Payments
Current Period: November 2022
Cash Payment
Invoice 112322
Transaction Date
E 101-43100-205 Computer Hardware/Soft
1122022
12/142022
FS MTCE PRO -FLEET MTCE PROGRAM
SOFTWARE ANNUAL SUPPORT
SUBSCRIPTION- PUB WKS & PKS
U.S. Bank 10100 10100 Total
$150.00
$2,849.09
Refer 812 ELAN CREDIT CARD Ck# 081448E 11/23/2022
Cash Payment
E 222-42260-205 Computer Hardware/Soft
AMAZON.COM - 2 TP LINK WIRELESS DUAL
$49.99
BAND WI FI ROUTER - PUBLIC SAFETY
BLDG- FIRE DEPT & CITY HALL
Invoice 112322-2
10/112022
Cash Payment
E 222-42260-200 Office Supplies
AMAZON.COM - SONY 4 GB DIGITAL VOICE
$49.95
RECORDER- FIRE DEPT
Invoice 112322-2
10/302022
Cash Payment
E 222-42260-409 Other Equipment Repair
AMAZON.COM - STAR BRITE SLIME & GRIME
$22.74
STAIN REMOVER CONCENTRATE- FIRE
DEPT
Invoice 112322-2
10/172022
Cash Payment
E 222-42260-210 Operating Supplies
AMAZON.COM - THE ABSORBER- DRYING
$74.94
CHAMOIS-QTY 2, & 4 PK AMAZON BASICS
DRYING CHAMOIS- FIRE DEPT
Invoice 112322-2
10/172022
Cash Payment
E 222-42260-210 Operating Supplies
AMAZON.COM - TURTLE WAX 1-STEP WAX
$12.99
& DRY DOUBLE PACK WITH MICROFIBER
TOWEL 52 OZ 2 PK- FIRE DEPT
Invoice 112322-2
10/302022
Cash Payment
E 222-42260-434 Conference & Training
LIFT BRIDGE LODGE- COMFORT SUITES-
$890.37
DULUTH- 3 NIGHTS LODGING A. DRILLING-
10-19 THRU 10-22-22- 2022 STATE FIRE
CHIEFS ANNUAL CONFERENCE
Invoice 112322-2
10222022
Cash Payment
E 222-42260-434 Conference & Training
LIFT BRIDGE LODGE- COMFORT SUITES-
$890.37
DULUTH- 2 NIGHTS LODGING G. PEDERSON
& 1 NIGHT LODGING G. PALM- 10-19 THRU
10-22-22- 2022 STATE FIRE CHIEFS ANNUAL
CONFERENCE
Invoice 112322-2
10222022
Cash Payment
E 222-42260-210 Operating Supplies
AMAZON.COM - 2 QTY MEGUTAR'S
$15.98
ULTIMATE QUIK WAX 24 OZ - FIRE DEPT
Invoice 112322-2
1122022
Cash Payment
E 101-41930-205 Computer Hardware/Soft
AMAZON.COM - 2 TP LINK WIRELESS DUAL
$49.99
BAND WI FI ROUTER - PUBLIC SAFETY
BLDG- FIRE DEPT & CITY HALL
Invoice 112322-2
10/112022
Transaction Date
12/142022
U.S. Bank 10100 10100 Total
$2,057.32
Fund Summary
101 GENERAL FUND
222 AREA FIRE SERVICES
601 WATER FUND
602 SEWER FUND
609 MUNICIPAL LIQUOR FUND
CITY OF MOUND
Payments
Current Period: November 2022
10100 U.S. Bank 10100
$1,138.99
$2,007.33
$1,211.00
$300.00
$249.09
$4,906.41
Pre -Written Checks $4,906.41
Checks to be Generated by the Computer $0.00
Total $4,906.41
01/05/23 1:33 PM
Page 3
CITY OF MOUND
Payments
Current Period: December 2022
Payments Batch PAYREQ121322 $232,011.91
Refer 805 FLOORCOAT MIDWEST, LLC
12/15/22 8:57 AM
Page 1
Cash Payment E 602-49450-500 Capital Outlay FA
PAY REQUEST #1 2022 MANHOLE REHAB
$106,445.00
PROJ PW 22-04- WORK COMPLETED
OCTOBER 21 THRU NOVEMBER 29, 2022
Invoice 121322 12/82022
Project PW2204
Transaction Date 12/142022
U.S. Bank 10100 10100 Total
$106,445.00
Refer 806 PIPE SERVICES
_
Cash Payment E 602-49450-500 Capital Outlay FA
PAY REQUEST #1 2022 SEWER TELEVISING
$29,824.02
PROJ PW 22-04- WORK COMPLETED
OCTOBER 18 THRU NOVEMBER 4, 2022
Invoice 121322 12/82022
Project PW2204
Transaction Date 12/142022
U.S. Bank 10100 10100 Total
$29,824.02
Refer 807 R & R EXCAVATING, INC.
_
Cash Payment E 602-49450-500 Capital Outlay FA
PAY REQUEST #5 & FINAL 2021 B-2 LIFT
$5,133.28
STATION IMPROV PROJ PW 21-03- WORK
COMPLETED JULY 1, THRU SEPTEMBER
30, 2022
Invoice 121322 12/82022
Project PW2103
Transaction Date 12/142022
U.S. Bank 10100 10100 Total
$5,133.28
Refer 808 VALLEY PAVING, INCORPORATED
_
Cash Payment E 404-45200-500 Capital Outlay FA
PAY REQUEST #2 2022 SURFSIDE PARK
$88,676.36
DEPOT AREA IMPROVEMENT PROJECT-PW
22-09- WORK COMPLETED NOVEMBER 2
THRU DECEMBER 5, 2022
Invoice 121322 12/82022
Project PW2209
Transaction Date 12/142022
U.S. Bank 10100 10100 Total
$88,676.36
Refer 809 WIDMER CONSTRUCTION, LLC
Cash Payment E 601-49400-500 Capital Outlay FA
PAY REQUEST #2- 2022 LYNWOOD
$1,933.25
WATERMAIN IMPROVEMENT PROJ PHASE
2- PW 22-01- WORK COMPLETED NOV 2,
THRU DEC 6, 2022
Invoice 121322 12/82022
Project PW2201
Transaction Date 12/142022
U.S. Bank 10100 10100 Total
$1,933.25
Fund Summary
10100
U.S. Bank 10100
404 COMMUNITY INVESTMENT RESERVE
$88,676.36
601 WATER FUND
$1,933.25
602 SEWER FUND
$141,402.30
$232,011.91
Pre -Written Checks $0.00
Checks to be Generated by the Computer $232,011.91
Total $232,011.91
CITY OF MOUND
Payments
Current Period: December 2022
Payment Batch 122022HWSMAN $68,701.33
Refer 500 AM CRAFT SPIRITS, INC. Ck# 072820 12212022
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX
Invoice 15919 12/92022
Transaction Date 12/82022 U.S. Bank 10100 10100
Refer 501 ARTISAN BEER COMPANY
Cash Payment E 609-49750-252 Beer For Resale
Invoice 3576061 12/92022
Cash Payment E 609-49750-253 Wine For Resale
Invoice 19749 12/82022
Cash Payment E 609-49750-252 Beer For Resale
Invoice 3577363 12/162022
Transaction Date 12/82022
Refer 502 BACK CHANNEL BREWING
Cash Payment E 609-49750-252 Beer For Resale
Invoice 1415 12/62022
Transaction Date 12/82022
Ck# 072821 12212022
BEER
WINE- ORIGIN
BEER
U.S. Bank 10100 10100
Ck# 072822 12212022
BEER
U.S. Bank 10100 10100
Refer 504 BELLBOY CORPORATION Ck# 072823 12212022
Cash Payment E 609-49750-210 Operating Supplies
SUPPLIES, BAGS
Invoice 0106129600 12/72022
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa
MIX
Invoice 0106129600 12/72022
Cash Payment E 609-49750-255 Misc Merchandise For R
MDSE- JELLO SHOT CUPS
Invoice 0106129600 12/72022
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa
MIX
Invoice 0097636500 12/72022
Cash Payment E 609-49750-210 Operating Supplies
SUPPLIES CREDIT
Invoice 0106178500 12/152022
Transaction Date 12/82022
U.S. Bank 10100 10100
Refer 505 BELLBOY CORPORATION
Cash Payment E 609-49750-251 Liquor For Resale
Invoice 0097594700 12/72022
Cash Payment E 609-49750-251 Liquor For Resale
Invoice 0097635400 12/72022
Cash Payment E 609-49750-251 Liquor For Resale
Invoice 0097745000 12/142022
Cash Payment E 609-49750-251 Liquor For Resale
Invoice 0097728700 12/142022
Cash Payment E 609-49750-251 Liquor For Resale
Invoice 0097463200-2 11222022
Cash Payment E 609-49750-251 Liquor For Resale
Invoice 0097763300 12/152022
Transaction Date 12/82022
Refer 503 BELLBOY CORPORATION
Cash Payment E 609-49750-210 Operating Supplies
Invoice 0106163300 12/142022
01/05/23 12:53 PM
Page 1
$274.10
Total $274.10
$393.80
$96.00
$1,037.80
Total $1,527.60
$160.00
Total
$160.00
$43.75
$188.40
$8.25
$238.25
-$60.00
Total $418.65
Ck# 072823 12212022
LIQUOR
$612.13
LIQUOR
$2,509.51
LIQUOR
$1,925.50
LIQUOR
$3,713.79
LIQUORCREDIT- DISCOUNT ON SPEYBURN
-$73.50
10YR W/SOURCE WATER
LIQUORCREDIT
-$261.65
U.S. Bank 10100 10100 Total
$8,425.78
Ck# 072823 12212022
SUPPLIES, BAGS, C-FOLD TOWELS
$103.75
CITY OF MOUND
Payments
Current Period: December 2022
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX
Invoice 0106163300 12/142022
Cash Payment E 609-49750-255 Misc Merchandise For R MDSE- CARDED AUGER CORKSCREWS,
BOMB SHOT CUPS
Invoice 0106163300 12/142022
01/05/23 12:53 PM
Page 2
$38.00
$29.05
Transaction Date 12/162022 U.S. Bank 10100 10100 Total $170.80
Refer 506 BLACKSTACK BREWING Ck# 072824 12212022
Cash Payment
E 609-49750-252 Beer For Resale
Invoice 20444
12/132022
Cash Payment
E 609-49750-252 Beer For Resale
Invoice 20426
12/82022
Transaction Date
12/162022
BEER $624.00
BEER $426.00
U.S. Bank 10100 10100
Refer 507 BREAKTHRU BEVERAGE MN BEE
Ck# 072825 12212022
Cash Payment E
609-49750-252 Beer For Resale
BEER
Invoice 346912982
12/132022
Cash Payment E
609-49750-252 Beer For Resale
BEER
Invoice 346916649
12/132022
Cash Payment E
609-49750-252 Beer For Resale
BEER
Invoice 346916929
12/132022
Cash Payment E
609-49750-252 Beer For Resale
BEER
Invoice 346812694
12/62022
Cash Payment E
609-49750-251 Liquor For Resale
LIQUOR
Invoice 346811995
12/62022
Cash Payment E
609-49750-252 Beer For Resale
BEER
Invoice 346811994
12/62022
Cash Payment E
609-49750-252 Beer For Resale
BEER
Invoice 346815526
12/62022
Cash Payment E
609-49750-252 Beer For Resale
BEER
Invoice 346815527 12/62022
Transaction Date 12/82022 U.S. Bank 10100 10100
Refer 509 BREAKTHRU BEVERAGE MN BEE
Ck# 072825 12212022
Cash Payment E
609-49750-252 Beer For Resale
BEER CREDIT
Invoice 409746721
5202022
Cash Payment E
609-49750-252 Beer For Resale
BEER CREDIT
Invoice 409746720
5202022
Cash Payment E
609-49750-252 Beer For Resale
BEER CREDIT
Invoice 409746719
5202022
Cash Payment E
609-49750-252 Beer For Resale
BEER CREDIT
Invoice 409746718
5202022
Cash Payment E
609-49750-252 Beer For Resale
BEER CREDIT
Invoice 409924275
7/152022
Cash Payment E
609-49750-252 Beer For Resale
BEER CREDIT
Invoice 410134173
9212022
Cash Payment E
609-49750-252 Beer For Resale
BEER CREDIT
Invoice 410134172
9212022
Cash Payment E
609-49750-252 Beer For Resale
BEER CREDIT
Invoice 410171158
10/32022
Cash Payment E
609-49750-252 Beer For Resale
BEER CREDIT
Invoice 410128471
9/162022
Total
Total
$1,050.00
$5,045.40
$96.00
$201.55
$3,555.57
$490.00
$33.85
$105.00
$100.00
$9,627.37
-$10.00
-$13.50
-$4.00
-$15.20
-$15.60
-$2.19
-$2.28
-$8.80
-$10.00
CITY OF MOUND 01/05/2312:53 PM
Page 3
Payments
Current Period: December 2022
Cash Payment E
609-49750-252 Beer For Resale
BEER
CREDIT
-$20.00
Invoice 410128470
9/162022
Cash Payment E
609-49750-252 Beer For Resale
BEER
CREDIT
-$6.75
Invoice 409768605
5272022
Cash Payment E
609-49750-252 Beer For Resale
BEER
CREDIT
-$72.00
Invoice 409768604
5272022
Cash Payment E
609-49750-252 Beer For Resale
BEER
CREDIT
-$20.00
Invoice 409668514
4282022
Cash Payment E
609-49750-252 Beer For Resale
BEER
CREDIT
-$47.60
Invoice 409668513
4282022
Cash Payment E
609-49750-252 Beer For Resale
BEER
CREDIT
-$5.00
Invoice 410246454
10252022
Cash Payment E
609-49750-252 Beer For Resale
BEER
CREDIT
-$4.47
Invoice 410246452
10252022
Cash Payment E
609-49750-252 Beer For Resale
BEER
CREDIT
-$9.12
Invoice 410265582
10/312022
Cash Payment E
609-49750-252 Beer For Resale
BEER
CREDIT
-$34.96
Invoice 410257160
10/312022
Cash Payment E
609-49750-252 Beer For Resale
BEER
CREDIT
-$18.20
Invoice 410257159
10/312022
Cash Payment E
609-49750-252 Beer For Resale
BEER
CREDIT
-$6.78
Invoice 410267380
11/12022
Transaction Date
12/162022
U.S. Bank 10100 10100
Total-$326.45
Refer 508 BREAKTHRU BEVERAGE MN BEE
Ck# 072825 12212022
Cash Payment E
609-49750-252 Beer For Resale
BEER
CREDIT
-$2.48
Invoice 410317972
11/152022
Cash Payment E
609-49750-252 Beer For Resale
BEER
CREDIT
-$3.26
Invoice 410328862
11/172022
Cash Payment E
609-49750-252 Beer For Resale
BEER
CREDIT
-$12.00
Invoice 410305111
11/102022
Cash Payment E
609-49750-252 Beer For Resale
BEER
CREDIT
-$12.72
Invoice 410267456
10/312022
Cash Payment E
609-49750-252 Beer For Resale
BEER
CREDIT
-$163.80
Invoice 410328863
11/172022
Cash Payment E
609-49750-252 Beer For Resale
BEER
CREDIT
-$2.20
Invoice 410317973
11/152022
Cash Payment E
609-49750-252 Beer For Resale
BEER
CREDIT
-$9.60
Invoice 410334963
11/182022
Cash Payment E
609-49750-252 Beer For Resale
BEER
CREDIT
-$420.00
Invoice 410011885
8/122022
Cash Payment E
609-49750-252 Beer For Resale
BEER
CREDIT
-$2.20
Invoice 409746722
5202022
Cash Payment E
609-49750-252 Beer For Resale
BEER
CREDIT
-$30.00
Invoice 410134171
9212022
Cash Payment E
609-49750-252 Beer For Resale
BEER
CREDIT
-$8.52
Invoice 410100126
9/92022
Cash Payment E
609-49750-252 Beer For Resale
BEER
CREDIT
-$11.55
Invoice 410273260
1122022
Cash Payment E
609-49750-252 Beer For Resale
BEER
CREDIT
-$59.08
Invoice 410215515
10/142022
CITY OF MOUND
Payments
Current Period: December 2022
Cash Payment E 609-49750-252 Beer For Resale
BEER CREDIT
Invoice 410273261 1122022
Cash Payment E 609-49750-252 Beer For Resale
BEER CREDIT
Invoice 410273259 1122022
Transaction Date 12/162022
U.S. Bank 10100 10100
Total
Refer 510 BREAKTHRU BEVERAGE MN WINE Ck# 072826 12212022
Cash Payment E 609-49750-253 Wine For Resale
WINE
Invoice 346939421 12/142022
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 346939419 12/142022
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa
MIX
Invoice 346939410 12/142022
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 346882675 12/82022
Cash Payment G 101-22801 Deposits/Escrow
WINE FOR EVENT- REIMBURSED CHECK
#10958 12--15-22
Invoice 346939421 12/142022
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 346882332 12/82022
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 346835022 12/72022
Cash Payment E 609-49750-253 Wine For Resale
WINE
Invoice 346835025 12/72022
Cash Payment E 609-49750-253 Wine For Resale
WINE
Invoice 346835024 12/72022
Cash Payment E 609-49750-253 Wine For Resale
WINE
Invoice 346835023 12/72022
Cash Payment E 609-49750-253 Wine For Resale
WINE CREDIT
Invoice 410213530 10/142022
Cash Payment E 609-49750-253 Wine For Resale
WINE CREDIT
Invoice 409371602 1212022
Cash Payment E 609-49750-253 Wine For Resale
WINE CREDIT
Invoice 409371603 1212022
Cash Payment E 609-49750-253 Wine For Resale
WINE CREDIT
Invoice 410256464 10272022
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR CREDIT
Invoice 409682768 5/32022
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR CREDIT
Invoice 409264067 12/152021
Transaction Date 12/162022
U.S. Bank 10100 10100 Total
01/05/23 12:53 PM
Page 4
-$7.53
-$203.85
-$948.79
$96.00
$1,287.58
$31.46
$189.00
$305.24
$130.19
$832.16
$112.00
$802.20
$297.60
-$112.00
-$84.00
-$128.00
-$6.67
-$25.27
-$209.49
$3.518.00
Refer
511 CAPITOL BEVERAGE SALES, L.P. Ck# 072827 12212022
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$159.40
Invoice 2771513
12/62022
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa
MIX
$36.80
Invoice 2771513
12/62022
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$1,816.65
Invoice 2771512
12/62022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$227.70
Invoice 2771511
12/62022
CITY OF MOUND
Payments
Current Period: December 2022
Cash Payment E 609-49750-252 Beer For Resale
Invoice 23120116 12/132022
Cash Payment E 609-49750-252 Beer For Resale
Invoice 2774113 12/132022
Cash Payment E 609-49750-252 Beer For Resale
Invoice 2774144 12/132022
Cash Payment E 609-49750-252 Beer For Resale
Invoice 2774145 12/132022
Cash Payment E 609-49750-252 Beer For Resale
Invoice 2774128 12/132022
Transaction Date 12/82022
BEER CREDIT
BEER
BEER
BEER
BEER
U.S. Bank 10100 10100
01/05/23 12:53 PM
Page 5
-$59.90
$59.90
$35.80
$3,107.40
$159.40
Total $5,543.15
Refer
535 CAPITOL BEVERAGE SALES, L.P.
Ck# 072827 12212022
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$2,811.70
Invoice 2777507
12202022
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$31.50
Invoice 2777508
12202022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$624.50
Invoice 2777509
12202022
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$27.50
Invoice 2777510
12202022
Cash Payment
E 609-49750-252 Beer For Resale
BEER CREDIT
-$60.00
Invoice 23120124 12202022
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$182.00
Invoice 2777037
12/162022
Transaction Date
12202022
U.S. Bank 10100 10100
Total $3,617.20
Refer 512 CLEAR RIVER BEVERAGE CO.
Cash Payment E 609-49750-252 Beer For Resale
Invoice 663215 12/52022
Cash Payment E 609-49750-252 Beer For Resale
Invoice 664259 12/122022
Cash Payment E 609-49750-252 Beer For Resale
Invoice 665337 12/192022
Transaction Date 12/82022
Ck# 072828 12212022
BEER
$538.60
BEER
$379.50
BEER
$1,628.25
U.S. Bank 10100 10100
Refer 536 COCA COLA -GREAT LAKES DISTRI Ck# 072829 12212022
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX
Invoice 3609219240 12/192022
Transaction Date 12212022 U.S. Bank 10100 10100
Refer 513 DAHLHEIMER BEVERAGE LLC
Cash Payment E 609-49750-252 Beer For Resale
Invoice 1795042 12/72022
Cash Payment E 609-49750-252 Beer For Resale
Invoice 1799725 12/142022
Transaction Date 12/82022
Ck# 072830 12212022
BEER
BEER
Total $2,546.35
$480.56
Total $480.56
$660.85
$2,931.30
U.S. Bank 10100 10100 Total
Refer 514 HOHENSTEINS, INCORPORATED Ck# 072831 12212022
Cash Payment E 609-49750-252 Beer For Resale BEER
Invoice 566394 12/132022
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX
Invoice 566394 12/132022
$3,592.15
$81.00
$34.50
CITY OF MOUND
Payments
Current Period: December 2022
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 566395
12/132022
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 564457
12/62022
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 564456
12/62022
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa
MIX
Invoice 564456
12/62022
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 548117
10/72022
Transaction Date
12/162022
U.S. Bank 10100 10100
Refer
515 INSIGHT BREWING COMPANY
Ck# 072832 12212022
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 3865
12/132022
Transaction Date 12/82022
U.S. Bank 10100 10100
Refer
517 JOHNSON BROTHERS LIQUOR
Ck# 072833 12212022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR CREDIT
Invoice 231112
11232022
Cash Payment
E 609-49750-253 Wine For Resale
WINE CREDIT
Invoice 231112
11232022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR CREDIT
Invoice 231113
11232022
Cash Payment
E 609-49750-253 Wine For Resale
WINE CREDIT
Invoice 232283
12/52022
Cash Payment
E 609-49750-253 Wine For Resale
WINE CREDIT
Invoice 232284
12/52022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR CREDIT
Invoice 231114
11232022
Cash Payment
E 609-49750-253 Wine For Resale
WINE CREDIT
Invoice 232288
12/52022
Cash Payment
E 609-49750-253 Wine For Resale
WINE CREDIT
Invoice 233263
12/122022
Cash Payment
E 609-49750-253 Wine For Resale
WINE CREDIT
Invoice 233264
12/122022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR CREDIT
Invoice 231115
11232022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR CREDIT
Invoice 233262
12/122022
Transaction Date
12/82022
U.S. Bank 10100 10100
Refer 516 JOHNSON BROTHERS LIQUOR
Cash Payment E 609-49750-251 Liquor For Resale
Invoice 2195107 12/72022
Cash Payment E 609-49750-251 Liquor For Resale
Invoice 2195109 12/72022
Cash Payment E 609-49750-253 Wine For Resale
Invoice 2195108 12/72022
Cash Payment E 609-49750-251 Liquor For Resale
Invoice 2192369 12/52022
Ck# 072833 12212022
LIQUOR
LIQUOR
WINE
LIQUOR
01/05/23 12:53 PM
Page 6
$768.30
$359.50
$76.50
$23.00
$59.00
Total $1,401.80
$138.50
Total $138.50
Total
-$12.00
-$14.67
-$12.00
-$14.67
-$14.00
-$12.00
-$6.68
-$25.98
-$9.12
-$387.75
-$19.50
-$528.37
$2,379.15
$132.00
$3,641.33
$1,159.56
CITY OF MOUND
Payments
Current Period: December 2022
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 2192370
12/52022
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 2199892
12/142022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 2199891
12/142022
Transaction Date
12/82022
U.S. Bank 10100 10100
Refer 518 LIBATION PROJECT
Cash Payment E 609-49750-251 Liquor For Resale
Invoice 52864 12/92022
Cash Payment E 609-49750-253 Wine For Resale
Invoice 52864 12/92022
Transaction Date 12/82022
Ck# 072834 12212022
LIQUOR
WINE
U.S. Bank 10100 10100
Refer
537 LUCE LINE BREWING CO.
Ck# 072835 12212022
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 1121
12/162022
Transaction Date
12212022
U.S. Bank 10100 10100
Refer
519 LUPULIN BREWING COMPANY
Ck# 072836 12212022
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 49647
12/82022
Cash Payment
E 609-49750-252 Beer For Resale
BEER CREDIT
Invoice 992249
12/132022
Transaction Date
12/82022
U.S. Bank 10100 10100
Refer
520 MARLIN S TRUCKING DELIVERY
Ck# 072837 12212022
Cash Payment
E 609-49750-265 Freight
DELIVERY SVC 11-17-22
Invoice 39765
11/172022
Cash Payment
E 609-49750-265 Freight
DELIVERY SVC 11-22-22
Invoice 39780
11222022
Cash Payment
E 609-49750-265 Freight
DELIVERY SVC 11-23-22
Invoice 39781
11232022
Transaction Date 12/82022
U.S. Bank 10100 10100
Refer
521 MODIST BREWING CO. LLC
Ck# 072838 12212022
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 37076
12/72022
Transaction Date 12/82022
U.S. Bank 10100 10100
01/05/23 12:53 PM
Page 7
$990.36
$2,177.00
$2,874.75
Total $13,354.15
$286.04
$137.96
Total
$424.00
$314.75
Total $314.75
$468.05
-$126.90
Total $341.15
$269.70
$57.35
$218.55
Total $545.60
$330.00
Total $330.00
Refer 521 MOUND, CITY OF Ck# 072839 12212022
Cash Payment E 609-49750-412 Building Rentals WATER SERVICE 10-03-22 THRU 10-31-22- $67.59
HWS
Invoice 122022 12/152022
Transaction Date 12/82022 U.S. Bank 10100 10100 Total $67.59
Refer 522 PARLEY LAKE WINERY Ck# 072840 12212022
Cash Payment E 609-49750-253 Wine For Resale WINE $159.00
Invoice PW023 3/112022
Transaction Date 12/82022 U.S. Bank 10100 10100 Total $159.00
Refer 523 PAUSTIS AND SONS WINE COMPA Ck# 072841 12212022
CITY OF MOUND
Payments
Current Period: December 2022
Cash Payment E 609-49750-253 Wine For Resale
Invoice 187147 12/122022
Cash Payment E 609-49750-253 Wine For Resale
Invoice 186438 12/62022
Cash Payment E 609-49750-253 Wine For Resale
Invoice 186365 12/52022
Transaction Date 12/192022
WINE
WINE
WINE
U.S. Bank 10100 10100
Refer
525 PHILLIPS WINE AND SPIRITS, INC
Ck# 072842 12212022
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 6513742
12/142022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 6513741
12/142022
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa MIX
Invoice 6513743
12/142022
Transaction Date
12/192022
U.S. Bank 10100 10100
Refer
524 PHILLIPS WINE AND SPIRITS, INC
Ck# 072842 12212022
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 6509595
12/72022
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa MIX
Invoice 6509595
12/72022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 6509593
12/72022
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 6509594
12/72022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR CREDIT
Invoice 685422
1222022
Transaction Date
12/82022
U.S. Bank 10100 10100
Refer
526 PRYES BREWING COMPANY, LLC
Ck# 072843 12212022
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 47367
12/82022
Transaction Date
12/82022
U.S. Bank 10100 10100
Refer 527 SHAMROCK GROUP, INC. Ck# 072844 12212022
Cash Payment E 609-49750-255 Misc Merchandise For R ICE
Invoice 2840261 12/72022
Cash Payment E 609-49750-255 Misc Merchandise For R ICE
Invoice 2841980 12/142022
Transaction Date 12/82022 U.S. Bank 10100 10100
01/05/23 12:53 PM
Page 8
$377.00
$31.00
$345.25
Total $753.25
$1,013.90
$1,264.00
$94.80
Total $2,372.70
$80.00
$52.00
$423.00
$507.92
-$1,923.75
Total-$860.83
$622.00
Total $622.00
$121.30
$94.80
Total
Refer 538 SHANKEN COMMUNICATIONS, INC Ck# 072845 12212022
Cash Payment E 609-49750-255 Misc Merchandise For R WINE SPECTATOR PUBLICATIONS 12-31-22
EDITION- MDSE FOR RESALE
Invoice S0791013 12/12022
Transaction Date 12212022 U.S. Bank 10100 10100 Total
Refer 528 SOUTHERN WINE & SPIRITS OF M Ck# 072846 12212022
Cash Payment E 609-49750-253 Wine For Resale WINE
Invoice 2290289 12/82022
Cash Payment E 609-49750-251 Liquor For Resale LIQUOR
Invoice 2290290 12/82022
$216.10
$17.50
$17.50
$431.12
$474.50
CITY OF MOUND
Payments
Current Period: December 2022
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX
Invoice 2290288 12/82022
Cash Payment E 609-49750-253 Wine For Resale WINE
Invoice 2290287 12/82022
Cash Payment E 609-49750-251 Liquor For Resale LIQUOR
Invoice 2290285 12/82022
Transaction Date 12/82022 U.S. Bank 10100 10100
Refer
529 SOUTHERN WINE & SPIRITS OF M
Ck# 072846 12212022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 2292651
12/142022
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 2292652
12/142022
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 2292653
12/142022
Cash Payment
E 609-49750-253 Wine For Resale
WINE CREDIT
Invoice 9415758
7222022
Cash Payment
E 609-49750-253 Wine For Resale
WINE CREDIT
Invoice 9421729
8/52022
Cash Payment
E 609-49750-253 Wine For Resale
WINE CREDIT
Invoice 9459992
7222022
Cash Payment
E 609-49750-253 Wine For Resale
WINE CREDIT
Invoice 9448212
10202022
Cash Payment
E 609-49750-253 Wine For Resale
WINE CREDIT
Invoice 9458209
11/172022
Cash Payment
E 609-49750-253 Wine For Resale
WINE CREDIT
Invoice 9455047
11/92022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR CREDIT
Invoice 9421730
8/52022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR CREDIT
Invoice 9443735
10/52022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR CREDIT
Invoice 9453397
11/42022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR CREDIT
Invoice 9432214 9/52022
Transaction Date 12/82022 U.S. Bank 10100 10100
Refer 539 VINOCOPIA, INCORPORATED
Cash Payment E 609-49750-253 Wine For Resale
Invoice 0319885 12/152022
Cash Payment E 609-49750-251 Liquor For Resale
Invoice 0319886 12/152022
Cash Payment E 609-49750-251 Liquor For Resale
Invoice 0319924 12/152022
Transaction Date 12212022
Refer 530 WINE COMPANY
Cash Payment E 609-49750-253 Wine For Resale
Invoice 222397 12/82022
Cash Payment E 609-49750-253 Wine For Resale
Invoice 223045 12/152022
Ck# 072847 12212022
WINE
LIQUOR
LIQUOR
U.S. Bank 10100 10100
Ck# 072848 12212022
WINE
WINE
Total
01/05/23 12:53 PM
Page 9
$26.00
$1,382.84
$888.01
$3,202.47
$1,222.57
$1,361.57
$44.00
-$60.00
-$56.00
-$160.00
-$192.00
-$131.25
-$43.75
-$183.52
-$49.26
-$132.50
-$143.75
Total $1,476.11
$367.50
$145.00
$113.54
Total $626.04
$1,078.00
$234.35
CITY OF MOUND
Payments
Current Period: December 2022
Cash Payment E 609-49750-251 Liquor For Resale LIQUOR
Invoice 223045 12/152022
Transaction Date 12/82022 U.S. Bank 10100 10100
Refer 531 WINE MERCHANTS
Cash Payment E 609-49750-253 Wine For Resale
Invoice 7405526 11232022
Cash Payment E 609-49750-253 Wine For Resale
Invoice 7407189 12/72022
Cash Payment E 609-49750-253 Wine For Resale
Invoice 7408247 12/142022
Cash Payment E 609-49750-253 Wine For Resale
Invoice 747484 12/92022
Transaction Date 12/82022
Ck# 072849 12212022
WINE
WINE
WINE
WINE CREDIT
U.S. Bank 10100 10100
Fund Summary
10100 U.S. Bank 10100
101 GENERAL FUND $305.24
609 MUNICIPAL LIQUOR FUND $68,396.09
$68,701.33
Pre -Written Checks $68,701.33
Checks to be Generated by the Computer $0.00
Total $68,701.33
Total
Total
01/05/23 12:53 PM
Page 10
$28.00
$1,340.35
$708.00
$1,020.00
$1,183.00
-$200.00
$2,711.00
CITY OF MOUND 12/22/2211:58AM
Page 1
Payments
Current Period: December 2022
Payments Batch 122122CTYMAN $65,506.64
Refer 532 NAPA AUTO PARTS -SPRING PAR
Cash Payment E 101-45200-220 Repair Supplies & Equip MOTOR TUNE UP 16 OZ, STA-BIL
CONCENTRATE
Invoice 0577-169719 11212022
Cash Payment E 101-45200-220 Repair Supplies & Equip 4 CYCLE FUEL
Invoice 0577-168663 11/12022
Cash Payment E 222-42260-210 Operating Supplies WALL MOUNT RETURN CREDIT, RV
ANTIFREEZE- FIRE DEPT
Invoice 0577-169565 11/172022
Cash Payment G 222-22801 Deposits/Escrow HOSE CLAMP- REIMBURSED BY
FIREFIGHTER
Invoice 0577-169582 11/182022
Transaction Date 12202022 U.S. Bank 10100 10100 Total
$30.62
$38.64
$1.75
$0.81
$71.82
Refer 533 CARQUESTAUTO PARTS (FIRE)
Cash Payment E 222-42260-409 Other Equipment Repair
DRY SWEEP GRANULAR, FOAM DEF 2.5
$52.61
GAL FIRE UNIT #44
Invoice 6974-449968 11/102022
Transaction Date 12202022
U.S. Bank 10100 10100 Total
$52.61
Refer 540 CARQUEST OF NAVARRE (PIM
Cash Payment E 602-49450-404 Equip & Vehicle Repairs
HEATER HOSE- PUBLIC WORKS SHOP
$418.00
SUPPLY
Invoice 6974-450543 11292022
Cash Payment E 602-49450-220 Repair Supplies & Equip
BRAKE LINE- SDMO
$2.59
Invoice 6974-450536 11292022
Cash Payment E 602-49450-220 Repair Supplies & Equip
DIESEL FUEL ADDITIVE- PUBLIC WORKS
$146.64
INVENTORY
Invoice 6974-450229 11/172022
Project 22-5
Cash Payment E 101-43100-220 Repair Supplies & Equip
HALOGEN HEADLIGHTS- 3 QTY, 9003 TWIN-
$36.48
PLOW TRUCKS
Invoice 6974-450495 11282022
Cash Payment E 602-49450-220 Repair Supplies & Equip
AIR & CABIN FILTER- PUBLIC WORKS
$17.09
INVENTORY
Invoice 6974-450244 11/172022
Project 22-5
Cash Payment E 101-43100-220 Repair Supplies & Equip
RV ANTIFREEZE- 4 QTY- #304 PELICAN
$23.12
SWEEER
Invoice 6974-450254 11/172022
Cash Payment E 101-45200-220 Repair Supplies & Equip
THERMOSTAT, ULTFASTAT, ANTIFREEZE-2
$61.25
QTY 2019 FORD F-550 - #219 PARKS
Invoice 6974-449748 11/32022
Cash Payment E 602-49450-220 Repair Supplies & Equip
CABIN FILTER- PUBLIC WORKS INVENTORY
$8.59
Invoice 6974-449681 11/12022
Project 22-5
Cash Payment E 101-43100-220 Repair Supplies & Equip
FUEL FILTER-#515 STREETS TRUCK
$40.24
Invoice 6974-449869 11/82022
Cash Payment E 602-49450-220 Repair Supplies & Equip
FUEL, LUBE, OIL & FUEL FILTERS- PUBLIC
$84.69
WORKS INVENTORY
Invoice 6974-449651 11/12022
Project 22-5
Cash Payment E 101-45200-220 Repair Supplies & Equip
RETURN CREDIT THERMOSTAT 2019 FORD
-$11.60
F-550 - #219 PARKS
Invoice 6974-449751 11/32022
CITY OF MOUND 12/22/2211:58AM
Page 2
Payments
Current Period: December 2022
Transaction Date 12212022
U.S. Bank 10100 10100 Total
$827.09
Refer
541 TRUE VALUE, NAVARRE _
Cash Payment
E 101-45200-220 Repair Supplies & Equip
6 OUTDOOR EXTENSION CORDS, 3 TRIPLE
$357.84
OUTLET TAPS, 2 SCOOPS, 2 24" SNOW
PUSHERS, 3 RED ARMOR 5.2 OZ OIL- PARKS
Invoice 339888
11/172022
Transaction Date 12212022
U.S. Bank 10100 10100 Total
$357.84
Refer
542 TRUE VALUE MOUND (FIRE) _
Cash Payment
E 222-42260-210 Operating Supplies
9 X 11 400 G PAPER 3M, 25 CT 9 X 11 120G
$5.10
PAPER, 25 CT 9 X 11 150G EMERY- FIRE
DEPT
Invoice 183998
11/52022
Cash Payment
E 222-42260-210 Operating Supplies
CREDIT RETURN 25 CT 9 X 11 120G PAPER,
-$3.67
25 CT 9 X 11 150G EMERY- FIRE DEPT
Invoice 183999
11/52022
Cash Payment
E 222-42260-210 Operating Supplies
5 PK WSC SANDPAPER- FIRE DEPT
$5.84
Invoice 184001
11/52022
Cash Payment
E 222-42260-210 Operating Supplies
FEMALE CONNECTOR, UNIT #46 POLARIS
$8.99
UTV- FIRE DEPT
Invoice 184198
11/192022
Cash Payment
E 222-42260-210 Operating Supplies
4 qty 32 OZ WINDEX OUTDOOR CLEANER-
$64.76
FIRE DEPT
Invoice 184298
11262022
Cash Payment
E 222-42260-402 Building Maintenance
12 OZ RED PRIMER- TO PAINT EXTERIOR
$6.74
DOORS FIRE DEPT APPARTUS BAY
Invoice 184053
11/92022
Cash Payment
E 222-42260-402 Building Maintenance
PAINT ROLLER COVERS- 2 PK, DEEP WELL
$19.13
TRAY LINER & 9" 3 QT PLASTIC PAINT ROLL
TRAY- TO PAINT EXTERIOR DOORS FIRE
DEPT APPARTUS BAY
Invoice 184297
11262022
Cash Payment
E 222-42260-409 Other Equipment Repair
SCREWS, NUTS, BOLTS, MTCE FIRE TRUCK
$1.19
#40
Invoice 184201
11/192022
Cash Payment
E 222-42260-210 Operating Supplies
SCREWS, NUTS, BOLTS, MTCE FIRE DEPT
$4.46
Invoice 184328
11282022
Cash Payment
E 222-42260-210 Operating Supplies
16 PK FOAM REFILL- SANTA- TREE
$14.38
LIGHTING EVENT
Invoice 184142
11/152022
Transaction Date 12212022
U.S. Bank 10100 10100 Total
$126.92
Refer
543 TRUE VALUE, MOUND (PW PKS)
Cash Payment
E 101-45200-220 Repair Supplies & Equip
100 LIGHT W HITE LED SET, 50 CT BLUE LED
$81.52
LIGHT SET- PARKS
Invoice 184184
11/182022
Cash Payment
E 101-45200-220 Repair Supplies & Equip
3 OUTLETE ADAPTERS- QTY 4
$11.84
Invoice 184194
11/182022
Cash Payment
E 101-45200-220 Repair Supplies & Equip
CREDIT RETURN 100 LIGHT WHITE LED SET
-$41.96
Invoice 184188
11/182022
Cash Payment
E 101-45200-220 Repair Supplies & Equip
GREEN EXTENSION CORDS- QTY 6,7 QTY 3
$116.29
OUTLET ADAPTERS, FEED SCOOPS- 3 QTY
Invoice 184184
11/182022
CITY OF MOUND 12/22/2211:58AM
Page 3
Payments
Current Period: December 2022
Cash Payment
E 101-45200-220 Repair Supplies & Equip 5 QTY 5 GAL WHITE PLASTIC PAILS, 5 GAL
$43.24
CAUTION BUCKET
Invoice 184168
11/172022
Cash Payment
E 101-45200-220 Repair Supplies & Equip 8" ACRYLIC AP SQUEEGEE
$10.78
Invoice 184160
11/162022
Cash Payment
E 101-45200-220 Repair Supplies & Equip DRILL BITS, SCREWS, NUTS, BOLTS
$28.74
Invoice 184236
11212022
Cash Payment
E 101-45200-220 Repair Supplies & Equip TORCH KIT
$29.69
Invoice 184237
11212022
Cash Payment
E 101-45200-220 Repair Supplies & Equip PIN/LOCKS COUPLER PINS
$70.15
Invoice 184259
11222022
Cash Payment
E 101-45200-220 Repair Supplies & Equip SCREWS, NUTS, BOLTS
$3.40
Invoice 184329
11282022
Cash Payment
E 101-45200-220 Repair Supplies & Equip 30" SNOW PUSHERS- 2 QTY
$145.78
Invoice 184350
11/302022
Cash Payment
E 101-43100-220 Repair Supplies & Equip 9" CAULK GUN
$22.49
Invoice 183927
11/12022
Cash Payment
E 101-43100-220 Repair Supplies & Equip 12 CT SIDEWALK CHALK
$3.59
Invoice 184032
11/82022
Cash Payment
E 101-43100-220 Repair Supplies & Equip HEX BUSHING, RED BRS NIPPLES
$15.09
Invoice 184339
11292022
Cash Payment
E 101-43100-220 Repair Supplies & Equip BARB INSERTS
$14.64
Invoice 184340
11292022
Cash Payment
E 101-45200-220 Repair Supplies & Equip SCREWS, NUTS, BOLTS
$3.51
Invoice 183952
1122022
Cash Payment
E 101-45200-220 Repair Supplies & Equip 6 GALS 50 BLEND ANTIFREEZE
$17.96
Invoice 183955
1122022
Cash Payment
E 101-45200-210 Operating Supplies 2 GE 15W T8 LED BULBS
$35.98
Invoice 183976
11/32022
Cash Payment
E 101-45200-220 Repair Supplies & Equip SCOOP & FAST MELT 20 LBS
$20.05
Invoice 184199
11/192022
Cash Payment
E 101-45200-220 Repair Supplies & Equip ADAPTER
$3.41
Invoice 184200
11/192022
Cash Payment
E 101-43100-220 Repair Supplies & Equip ADAPTERS, OUT BOX, OUT COVERS
$54.83
Invoice 184121
11/142022
Cash Payment
E 101-43100-220 Repair Supplies & Equip RETURN OUT COVERS- FLIP COVER &
$1.34
SNAP COVER
Invoice 184155
11/162022
Cash Payment
E 601-49400-220 Repair Supplies & Equip
3 PC COLD CHISEL, GUARDED UTILITY
$35.08
CHISEL
Invoice 184107
11/142022
Cash Payment
E 601-49400-218 Clothing and Uniforms
LG KICO PRO GLOVES- L. PITSENBERGER
$31.49
Invoice 184324
11282022
Cash Payment
E 285-46388-210 Operating Supplies
EVERREADY 4 PKAA LITHIIUM BATTERIES-
$15.49
PARKING DECK
Invoice 184247 11222022
Cash Payment E 222-42260-210 Operating Supplies 100 CT MULTI LIGHT SET- TREE LIGHTING $9.99
Invoice 184285 11252022
Cash Payment E 601-49400-220 Repair Supplies & Equip 100 CT MULTI LIGHT SET- TREE LIGHTING $9.99
Invoice 184204 11/192022
Transaction Date 12212022 U.S. Bank 10100 10100 Total $794.40
CITY OF MOUND
Payments
Current Period: December 2022
Refer 544 ROTARY CLUB-MOUND-WESTONK _
Cash Payment E 101-41500-431 Meeting Expense HOLIDAY LUNCHEON -ADDITIONAL DUE- C
ROBERTS, N. IVERSON, K. KELLY
Invoice 122122 12212022
Cash Payment E 101-42400-431 Meeting Expense
Invoice 122122 12212022
Cash Payment E 101-42115-431 Meeting Expense
Invoice 122122 12212022
Cash Payment E 101-41310-431 Meeting Expense
Invoice 122122 12212022
Cash Payment E 222-42260-431 Meeting Expense
Invoice 122122 12212022
Transaction Date 12212022
HOLIDAY LUNCHEON -ADDITIONAL DUE- J.
HOLMQUIST
HOLIDAY LUNCHEON -ADDITIONAL DUE- A.
DRILLING
HOLIDAY LUNCHEON -ADDITIONAL DUE- E.
HOVERSTEN
HOLIDAY LUNCHEON -ADDITIONAL DUE- V
WEBER
12/22/22 11:58 AM
Page 4
$15.00
$5.00
$5.00
$5.00
$5.00
U.S. Bank 10100 10100 Total $35.00
Refer 545 OPUS 21 MGMT SOLUTIONS, LLC _
Cash Payment E601-49400-307 Admin/Finance/Comput NOVEMBER 2022-UTILITY BILLING -CIS
DATA HOSTING, PRODUCTION, BILLING,
CALL CTR SUPPORT
Invoice 221174 12/192022
Cash Payment E602-49450-307 Admin/Finance/Comput NOVEMBER 2022-UTILITY BILLING -CIS
DATA HOSTING, PRODUCTION, BILLING,
CALL CTR SUPPORT
Invoice 221174 12/192022
Cash Payment E 601-49400-322 Postage
Invoice 221174 12/192022
Cash Payment E 602-49450-322 Postage
Invoice 221174 12/192022
Transaction Date 12212022
NOVEMBER 2022- UTILITY BILLING
POSTAGE
NOVEMBER 2022- UTILITY BILLING
POSTAGE
U.S. Bank 10100 10100 Total
$1,824.12
$1,824.11
$372.65
$372.66
$4,393.54
Refer
546 PAUSCHE, CATHERINE
Cash Payment
E 101-41410-331 Use of personal auto
REIMBURSE MILEAGE- C. PAUSCHE- TO
$54.37
COSTCO- ELECTION JUDGE FOOD -
PRIMARY AND GENERAL ELECTIONS 8-8-22
& 11-7-22
Invoice 121922
12/192022
Cash Payment
E 101-41500-218 Clothing and Uniforms
REIMBURSE- C. PAUSCHE-AMAZON- 2
$50.00
CLOTHING ITEMS-- MOUNDWEAR
Invoice 121922
12/192022
Cash Payment
E 101-41500-433 Dues and Subscriptions
REIMBURSE- C. PAUSCHE- 75%AICPA
$236.25
MEMBERSHIP
Invoice 121922
12/192022
Cash Payment
E 101-41930-210 Operating Supplies
REIMBURSE- C. PAUSCHE- BED, BATH, &
$15.50
BEYOND- 6 FORKS- CITY HALL LUNCHROOM
Invoice 121922 12/192022
Transaction Date 12212022 U.S. Bank 10100 10100
Refer 547 STUHR, JAKE
Cash Payment E 101-43100-220 Repair Supplies & Equip REIMBURSE J. STUHR, AIR FILTER KIT -
STREETS DEPT
Invoice 03-960692 12/82022
Total $356.12
$53.12
Transaction Date 12212022
CITY OF MOUND
Payments
Current Period: December 2022
U.S. Bank 10100 10100
Refer 548 AUTOMATIC SYSTEMS COMPANY
Cash Payment E 602-49450-440 Other Contractual Servic 4 QTY 700VA TRUE -ONLINE UPS'S- LIFT
STATIONS
Invoice 38135 12/82022
Transaction Date 12212022 U.S. Bank 10100 10100
12/22/22 11:58 AM
Page 5
Total $53.12
$4,066.00
Total $4,066.00
Refer 549 COMPASS MINERALS AMERICA
Cash Payment E 101-43100-224 Street Maint Materials BULK COARSE HWY MIX- 73.17 TON
DELIVERED 11-21-22
Invoice 1079815 11212022
Transaction Date 12222022 U.S. Bank 10100 10100 Total
Refer 551 DAVEY TREE EXPERT COMPANY
Cash Payment E 101-45200-533 Tree Removal REMOVE 25" BOXELDER @ LYNWOOD &
COTTENWOOD- TREE LEANING OVER
NEIGHBOR'S PROPERTY- ROOT ZONE
LIFTING- HAUL ALL WOOD & DEBRIS AWAY
Invoice 917221103 11222022
Transaction Date 12212022 U.S. Bank 10100 10100 Total
Refer 552 BURDAS TOWING
Cash Payment E 101-43100-440 Other Contractual Servic TOW FREIGHTLINER PLOWTRUCK #412
FROM 5468 LYNWOOD BLVD TO I -STATE
TRUCK CENTER FOR REPAIR ON 12-6-22
Invoice 22-121129 12/72022
Transaction Date 12212022 U.S. Bank 10100 10100 Total
Refer 553 CINTAS
Cash Payment E 602-49450-210 Operating Supplies
Invoice 4139796904 12/82022
Cash Payment E 602-49450-210 Operating Supplies
Invoice 4140499442 12/152022
Cash Payment E 609-49750-210 Operating Supplies
Invoice 4139796788 12/82022
Cash Payment E 609-49750-210 Operating Supplies
Invoice 4140499338 12/152022
Transaction Date 12212022
MATS, TOWELS, CENTERPULL TOWEL
REFILL- PUB WKS SHOP- 12/08/22
Project 22-5
MATS, TOWELS, CENTERPULL TOWEL
REFILL- PUB WKS SHOP- 12/15/22
Project 22-5
MATS, TOWELS, DUST MOP, WET MOP-
HWS- 12/0822
MATS, TOWELS, DUST MOP, WET MOP-
HWS-12/15/22
U.S. Bank 10100 10100 Total
Refer 553 DEM-CON LANDFILL
Cash Payment E 101-43100-384 Refuse/Garbage Dispos SMALL FURNITURE, MATTRESS & BOX
SPRING DISPOSAL11-21-22
Invoice 13341 11/302022
Transaction Date 12212022 U.S. Bank 10100 10100
Refer 554 DEZIEL HEATING & AC
Cash Payment R 101-42000-32235 Heating Permits
Invoice 122122 12212022
Transaction Date 12212022
Total
REFUND 80%OF PERMIT #22MD-00859 FEE-
1729 DOVE LN- HOMEOWNER CANCELLED
JOB
U.S. Bank 10100 10100 Tota
$6,291.89
$6,291.89
$2,520.00
$2,520.00
$708.00
$708.00
$58.40
$58.40
$59.88
$59.88
$236.56
$191.66
$191.66
$91.20
$91.20
CITY OF MOUND
Payments
Current Period: December 2022
Refer 555 FIVE TECHNOLOGY
Cash Payment E 101-41920-440 Other Contractual Servic NETWORK SVCE & MTCE- SUPPORT BLOCK
OF 20 HOURS
Invoice P237-67 12/92022
Transaction Date 12212022 U.S. Bank 10100 10100 Total
Refer
556 FINKE, RYAN
Cash Payment
E 285-46300-430 Miscellaneous
Invoice 122122
12212022
Transaction Date 12212022
Refer 556 HEALTH PARTNERS CLINICS
Cash Payment E 101-43100-305 Medical Services
Invoice 9885 1222022
Transaction Date 12212022
REFUND DOCK PROGRAM- LOST LAKE KEY
DEPOSIT- 2 KEYS- R. FINKE
U.S. Bank 10100 10100 Total
PRE -EMPLOYMENT MEDICAL EXAM, DOT
EXAM, DRUG SCREEN- J. STUHR
U.S. Bank 10100 10100 Total
Refer
557 HECKSEL MACHINE SHOP, INC.
Cash Payment
E 101-43100-404 Equip & Vehicle Repairs
SHOP SVC- PRESS CENTER OF BRAKE
HUB- STREETS TRUCK#312
Invoice 110112
12/52022
Cash Payment
E 601-49400-220 Repair Supplies & Equip
FABRICATED VALVE WRENCHES- WATER
DEPT
Invoice 110132
12/142022
Transaction Date 12212022
U.S. Bank 10100 10100 Total
Refer
558 MADDEN, GALANTER, HANSON, L _
Cash Payment
E 101-49999-300 Professional Srvs
LABOR RELATIONS SERVICES - NOVEMBER
2022- UNEMPLOYMENT INSURANCE
DISPUTE
Invoice 122122
12/72022
Transaction Date 12212022
U.S. Bank 10100 10100 Total
Refer 559 MEDIACOM
Cash Payment E 101-42110-321 Telephone, Cells, & Red ORONO PD INTERNET SVC 12-16-22 THRU 1-
15-23
Invoice 122122 12/62022
Transaction Date 12212022 U.S. Bank 10100 10100 Total
Refer 560 MINNESOTA DEPT OFAGRICULTU
Cash Payment E 101-45200-438 Licenses and Taxes 2023 PESTICIDE APPLICATOR LICENSE-
DUSTIN KOSKELA
Invoice 122122 12212022
Transaction Date 12212022 U.S. Bank 10100 10100 Total
Refer 561 MCFOA
Cash Payment E 101-41500-433 Dues and Subscriptions 2022-2023 MUNICIPAL CLERKS & FINANCE
OFFICERS MEMBERSHIP DUES- K. KELLY
Invoice 122122 12212022
Transaction Date 12212022 U.S. Bank 10100 10100 Total
Refer 562 ORONO, CITY OF _
Cash Payment E 101-41600-450 Board of Prisoners HENNEP CTY JAIL CHARGES- PER DIEM
FEES NOVEMBER 2022
Invoice 20141896 1/82022
12/22/22 11:58 AM
Page 6
$2,800.00
$2,800.00
$100.00
$100.00
$304.00
$304.00
$50.00
$1,200.00
$1,250.00
$140.00
$140.00
$97.47
$97.47
$10.00
$10.00
$50.00
$50.00
$89.34
Transaction Date 2202019
CITY OF MOUND
Payments
Current Period: December 2022
12/22/22 11:58 AM
Page 7
U.S. Bank 10100 10100 Total $89.34
Refer 563 VERIZON WIRELESS
Cash Payment E 101-43100-321 Telephone, Cells, & Red CELL PHONE CHARGES 11-14-22 THRU 12-
13-22
Invoice 9922901791 12/132022
Cash Payment E 601-49400-321 Telephone, Cells, & Red CELL PHONE CHARGES 11-14-22 THRU 12-
13-22
Invoice 9922901791 12/132022
Cash Payment E 602-49450-321 Telephone, Cells, & Red CELL PHONE CHARGES 11-14-22 THRU 12-
13-22
Invoice 9922901791 12/132022
Cash Payment E 101-42400-321 Telephone, Cells, & Red CELL PHONE CHARGES 11-14-22 THRU 12-
13-22
Invoice 9922901791 12/132022
Cash Payment E 101-45200-321 Telephone, Cells, & Red CELL PHONE CHARGES 11-14-22 THRU 12-
13-22
Invoice 9922901791 12/132022
Cash Payment E 101-41310-321 Telephone, Cells, & Red CELL PHONE CHARGES 11-14-22 THRU 12-
13-22
Invoice 9922901791 12/132022
Cash Payment E 101-42115-321 Telephone, Cells, & Red CELL PHONE CHARGES 11-14-22 THRU 12-
13-22
Invoice 9922901791 12/132022
Transaction Date 12212022 U.S. Bank 10100 10100 Total
Refer 564 NEOPOST-QUADIENT
Cash Payment E 101-41930-440 Other Contractual Servic CITY HALL POSTAGE METER MACHINE
LEASE & MTCE 1-3-23 THRU 1-2-24
Invoice N9698408 1222022
Transaction Date 12212022 U.S. Bank 10100 10100
Refer 565 SOLDO CONSULTING, P.C.
Cash Payment E 101-49999-300 Professional Srvs
Invoice 122122 12/172022
Transaction Date 12212022
LABOR RELATIONS DECEMBER 2022
U.S. Bank 10100 10100
Refer
566 RIHM KENWORTH _
Cash Payment
E 602-49450-400 Repairs & Maintenance-
FLOOR JACK PUBLIC WORKS SHOP
Invoice 3102739G 11232022
Cash Payment
E 601-49400-400 Repairs & Maintenance-
FLOOR JACK PUBLIC WORKS SHOP
Invoice 3102739G 11232022
Cash Payment
E 101-45200-400 Repairs & Maintenance-
FLOOR JACK PUBLIC WORKS SHOP
Invoice 3102739G 11232022
Cash Payment
E 101-43100-400 Repairs & Maintenance-
FLOOR JACK PUBLIC WORKS SHOP
Invoice 3102739G 11232022
Transaction Date 12212022
U.S. Bank 10100 10100
Refer
567 SPLASH DOCKS, LLC
Cash Payment
E 281-45210-440 Other Contractual Servic
DOCK PROGRAM-2022 MULIPLE SLIPS -
FALL DOCK REMOVAL
Invoice 617
12/82022
Cash Payment
E 101-45200-440 Other Contractual Servic
SURFSIDE PARK & LAUNCH FALL DOCK
REMOVALS 2022-
Invoice 617
12/82022
$109.03
$76.79
$76.79
$28.43
$96.72
$56.24
$16.12
$460.12
$1,212.00
Total $1,212.00
$1,007.50
Total $1,007.50
$1,012.50
$1,012.50
$1,012.49
$1,012.50
Total $4,049.99
$7,993.00
$617.00
Transaction Date 12212022
CITY OF MOUND
Payments
Current Period: December 2022
12/22/22 11:58 AM
Page 8
U.S. Bank 10100 10100 Total $8,610.00
Refer 568 TRI-STATE BOBCAT, INCORPORA
Cash Payment E 602-49450-220 Repair Supplies & Equip HYDRAUIC FLUID 5 GAL DISPLAY, - PUBLIC
WORKS
Invoice P84795
Cash Payment
Invoice P84795
Cash Payment
Invoice P87366
Transaction Date
11/302022 Project 22-5
E 602-49450-404 Equip & Vehicle Repairs TIRE RIM SHED, 29 X 12.5 TRF- PUBLIC
WORKS
11/302022 Project 22-5
E 101-43100-404 Equip & Vehicle Repairs BRUSH SEGMENT- STREET SWEEPER
12/92022
12222022 U.S. Bank 10100 10100 Total
$120.86
$932.43
$548.00
$1,601.29
Refer 569 VERIZON WIRELESS _
Cash Payment E 101-43100-321 Telephone, Cells, & Red
STREETS LEAD WORKER TABLET-
$35.01
INTERNET SVC- 11-11-22 THRU 12-10-22
Invoice 9922605514 12/102022
Cash Payment E 602-49450-321 Telephone, Cells, & Red
PUBLIC WORKS SUPERVISOR- RYAN
$35.01
PRICH TABLET- INTERNET SVC-11-11-22
THRU 12-10-22
Invoice 9922605514 12/102022
Project 22-5
Cash Payment E 602-49450-321 Telephone, Cells, & Red
PUBLIC WORKS DEPT -TABLET- HOT SPOT
$35.01
SVC 11-11-22 THRU 12-10-22
Invoice 9922605514 12/102022
Project 22-5
Cash Payment E 602-49450-321 Telephone, Cells, & Red
UTILITY LEAD WORKER TABLET- INTERNET
$17.50
SVC- SVC 11-11-22 THRU 12-10-22
Invoice 9922605514 12/102022
Cash Payment E 601-49400-321 Telephone, Cells, & Red
UTILITY LEAD WORKER TABLET- INTERNET
$17.51
SVC- SVC 11-11-22 THRU 12-10-22
Invoice 9922605514 12/102022
Cash Payment E 101-45200-321 Telephone, Cells, & Red
PARKS LEAD WORKER TABLET- INTERNET
$40.01
SVC 11-11-22 THRU 12-10-22
Invoice 9922605514 12/102022
Cash Payment E 101-43100-321 Telephone, Cells, & Red
STREETS DEPT TABLET INTERNET SVC 11-
$35.01
11-22 THRU 12-10-22
Invoice 9922605514 12/102022
Cash Payment E 602-49450-321 Telephone, Cells, & Red
PUB WKS OPEN LINE INTERNET SVC 11-11-
$35.01
22 THRU 12-10-22
Invoice 9922605514 12/102022
Project 22-5
Cash Payment E 101-42400-321 Telephone, Cells, & Red
FIELD OFFICER INTERNET SVC 11-11-22
$17.51
THRU 12-10-22
Invoice 9922605514 12/102022
Cash Payment E 101-42115-321 Telephone, Cells, & Red
FIELD OFFICER INTERNET SVC 11-11-22
$17.50
THRU 12-10-22
Invoice 9922605514 12/102022
Cash Payment E 602-49450-321 Telephone, Cells, & Red
UTILITY DEPT TABLET- INTERNET SVC 11-
$17.51
11-22 THRU 12-10-22
Invoice 9922605514 12/102022
Cash Payment E 601-49400-321 Telephone, Cells, & Red
UTILITY DEPT TABLET- INTERNET SVC 11-
$17.50
11-22 THRU 12-10-22
Invoice 9922605514 12/102022
Cash Payment E 101-45200-321 Telephone, Cells, & Red
PARKS DEPT TABLET- INTERNET SVC 11-11-
$35.01
22 THRU 12-10-22
Invoice 9922605514 12/102022
CITY OF MOUND 12/22/2211:58AM
Page 9
Payments
Current Period: December 2022
Transaction Date 12222022 U.S. Bank 10100 10100 Total $355.10
Refer 570 WASTE MANAGEMENT OF WI -MN
Cash Payment E 101-41930-384 Refuse/Garbage Dispos GARBAGE SVC SEPTEMBER 2022- CITY $104.29
HALL & FIRE DEPT
Invoice 7723105-1593-1 12/52022
Cash Payment E 222-42260-384 Refuse/Garbage Dispos GARBAGE SVC SEPTEMBER 2022- CITY $104.28
HALL & FIRE DEPT
Invoice 7723105-1593-1 12/52022
Transaction Date 12222022 U.S. Bank 10100 10100 Total
Refer 571 XCEL ENERGY
Cash Payment E 101-43100-381 Electric Utilities
Invoice 806924429 12/52022
Transaction Date 12222022
Refer 572 XCEL ENERGY
Cash Payment E 602-49450-381 Electric Utilities
Invoice 805707252 11232022
Cash Payment E 602-49450-381 Electric Utilities
Invoice 805819513 11232022
Transaction Date 12222022
Refer 573 XCEL ENERGY
Cash Payment E 101-45200-381 Electric Utilities
Invoice 806726832 1222022
Cash Payment E 101-45200-381 Electric Utilities
Invoice 806726832 1222022
Cash Payment E 602-49450-381 Electric Utilities
Invoice 806726832 1222022
Cash Payment E 101-43100-381 Electric Utilities
Invoice 806726832 1222022
Cash Payment E 601-49400-381 Electric Utilities
Invoice 806726832 1222022
Cash Payment E 609-49750-381 Electric Utilities
Invoice 806726832 1222022
Cash Payment E 101-41930-381 Electric Utilities
Invoice 806726832 1222022
Cash Payment E 222-42260-381 Electric Utilities
Invoice 806726832 1222022
Cash Payment E 101-41910-381 Electric Utilities
Invoice 806726832 1222022
Cash Payment E 285-46388-381 Electric Utilities
Invoice 806726832 1222022
Cash Payment E 101-42115-381 Electric Utilities
Invoice 806726832 1222022
Transaction Date 12222022
$208.57
ELECTRIC SVC 11-03-22 THRU 12-02-22 CITY $5,762.82
STREET LIGHTS
U.S. Bank 10100 10100 Total
$5,762.82
ELECTRIC SVC 10-23-22 THRU 11-21-22 $94.17
CARLOW RD LIFT STATION
ELECTRIC SVC 10-24-22 THRU 11-22-22 $144.40
1871 COMMERCE BLVD LIFT STATION
U.S. Bank 10100 10100 Total
$238.57
ELECTRIC SVC- 10-25-22 TO 11-25-22
$258.29
ELECTRIC SVC- 10-25-22 TO 11-25-22
$77.78
ELECTRIC SVC- 10-25-22 TO 11-25-22
$3,009.64
ELECTRIC SVC- 10-25-22 TO 11-25-22
$1,248.81
ELECTRIC SVC- 10-25-22 TO 11-25-22
$4,181.26
ELECTRIC SVC- 10-25-22 TO 11-25-22
$1,399.46
ELECTRIC SVC- 10-25-22 TO 11-25-22
$1,441.75
ELECTRIC SVC- 10-25-22 TO 11-25-22
$1,441.75
ELECTRIC SVC- 10-25-22 TO 11-25-22
$770.75
ELECTRIC SVC- 10-25-22 TO 11-25-22
$2,105.21
ELECTRIC SVC- 10-25-22 TO 11-25-22
$51.40
U.S. Bank 10100 10100 Total $15,986.10
Fund Summary
101 GENERAL FUND
222 AREA FIRE SERVICES
281 COMMONS DOCKS FUND
285 HRA/HARBOR DISTRICT
601 WATER FUND
602 SEWER FUND
609 MUNICIPAL LIQUOR FUND
CITY OF MOUND
Payments
Current Period: December 2022
10100 U.S. Bank 10100
$30,663.72
$1,743.11
$7,993.00
$2,220.70
$8,778.89
$12,588.00
$1,519.22
$65,506.64
Pre -Written Checks $0.00
Checks to be Generated by the Computer $65,506.64
Total $65,506.64
12/22/22 11:58 AM
Page 10
Payments Batch 122922CTYMAN
CITY OF MOUND
Payments
Current Period: December 2022
$122,546.45
Refer
790 ANDERSEN, EARL F., INCORPORA
_
Cash Payment
E 101-43100-226 Sign Repair Materials
SIGN POST STABILIZER- QTY 50
Invoice 0131650
12/122022
Cash Payment
E 101-43100-226 Sign Repair Materials
TRUE SOLAR LIGHTS- 6 AMBER & 4 RED
Invoice 0131565
12/122022
Cash Payment
E 101-43100-226 Sign Repair Materials
48" SUPERBRIGHT ROAD WORK AHEAD
SIGNS-2
Invoice 0131562 12/122022
Transaction Date 12222022 U.S. Bank 10100 10100 Total
Refer 794 ASPEN EQUIPMENT _
Cash Payment E 101-43100-404 Equip & Vehicle Repairs
PLOW TRUCKS- HEADLIGHT SERVICE -
BOLT BAG
Invoice 10243110 12/122022
Cash Payment E 602-49450-404 Equip & Vehicle Repairs
INVENTORY- FEMALE PLUGS
Invoice 10243989 12282022
Transaction Date 12292022
U.S. Bank 10100 10100
12/29/22 4:09 PM
Page 1
$579.45
$506.45
$392.45
$1,478.35
$778.58
$323.26
Total $1,101.84
Refer
795 ASPEN MILLS
_
Cash Payment
E 222-42260-210 Operating Supplies
4 POLO SHIRTS- W/ NAME, RANK & FLAG
$381.75
PATCHES EMBROIDERED- NEW
FIREFIGHTERS- J. STUHR, T. BOOS, CHIEF-
G. PEDERSON, & LIEUTENANT- M. FOLEY, 1
NAVY SOFT SHELL JACKET, 2 PAIRS NAVY
PANTS
Invoice 305458
12/132022
Transaction Date 12292022
U.S. Bank 10100 10100 Total
$381.75
Refer
796 ASSURED SECURITY, INC.
_
Cash Payment
E 285-46388-440 Other Contractual Servic
REPAIR BUS DEPOT INNER DOOR-
$134.00
REPROGRAM LOCKS- NO SCHEDULE, ONLY
MASTER CODE & KEYS WILL OPEN
Invoice 225103
12/162022
Cash Payment
E 101-41930-400 Repairs & Maintenance-
REPAIR PUBLIC SAFETY BUILDING MAIN
$61.50
ENTRANCE DOOR SHAFT & LOCK
Invoice 225103
12/162022
Cash Payment
E 222-42260-401 Building Repairs
REPAIR PUBLIC SAFETY BUILDING MAIN
$61.50
ENTRANCE DOOR SHAFT & LOCK
Invoice 225103
12/162022
Transaction Date 12292022
U.S. Bank 10100 10100 Total
$257.00
Refer
797 BERRY COFFEE COMPANY _
Cash Payment
E 222-42260-430 Miscellaneous
DECEMBER 2022 RENTAL & MTCE- COFFEE
$27.82
MACHINE FIRE DEPT
Invoice 930305
12/12022
Transaction Date 12292022
U.S. Bank 10100 10100 Total
$27.82
Refer
810 BLIEVERNICHT, BARRY _
Cash Payment
E 281-45210-331 Use of personal auto
REIMS MILEAGE- DOCK PROGRAM
$68.13
INSPECTIONS- K. KELLY- JULY 6 THRU
SEPT 2, 2022
Invoice 052620
5/182020
CITY OF MOUND 12/29/22 4:09 PM
Page 2
Payments
Current Period: December 2022
Cash Payment E 281-45210-331 Use of personal auto
REIMS MILEAGE- DOCK PROGRAM
$12.75
INSPECTIONS- K. KELLY- JUNE 15 THRU 21,
2022
Invoice 052620 5/182020
Transaction Date 5202020
U.S. Bank 10100 10100 Total
$80.88
Refer 791 CARGIL INC.
_
Cash Payment E 101-43100-224 Street Maint Materials
CLEARLANE DEICER- ENHANCED- BULK-
$11,049.26
204,200 LBS
Invoice 2907765299 12/72022
Cash Payment E 101-43100-224 Street Maint Materials
CLEARLANE DEICER- ENHANCED- BULK-
$2,828.87
52,280 LBS
Invoice 2907816082 12222022
Transaction Date 12/72022 U.S. Bank 10100 10100 Total
Refer 799 CENTERPOINT ENERGY
Cash Payment E 101-41930-383 Gas Utilities
Invoice 122922 12/92022
Cash Payment E 222-42260-383 Gas Utilities
Invoice 122922 12/92022
Cash Payment E 101-45200-383 Gas Utilities
Invoice 122922 12/92022
Cash Payment E 101-41910-383 Gas Utilities
Invoice 122922 12/92022
Cash Payment E 602-49450-383 Gas Utilities
Invoice 122922 12/92022
Cash Payment E 609-49750-383 Gas Utilities
Invoice 122922 12/92022
Cash Payment E 101-45200-383 Gas Utilities
Invoice 122922 12/92022
Transaction Date 12292022
Refer 798 CENTERPOINT ENERGY
Cash Payment E 602-49450-383 Gas Utilities
Invoice 122922-2 12/92022
Cash Payment E 602-49450-383 Gas Utilities
Invoice 122922-2 12/92022
Cash Payment E 602-49450-383 Gas Utilities
Invoice 122922-2 12/92022
Cash Payment E 602-49450-383 Gas Utilities
Invoice 122922-2
12/92022
Cash Payment
E 602-49450-383 Gas Utilities
Invoice 122922-2
12/92022
Cash Payment
E 602-49450-383 Gas Utilities
Invoice 122922-2
12/92022
$13,878.13
GAS SVC 10-20-22 TO 11-20-22
$130.83
GAS SVC 10-20-22 TO 11-20-22
$741.38
GAS SVC 10-20-22 TO 11-20-22
$496.24
GAS SVC 10-20-22 TO 11-20-22
$739.64
GAS SVC 10-20-22 TO 11-20-22
$866.56
Project 22-5
GAS SVC 10-20-22 TO 11-20-22
$313.54
GAS SVC 10-20-22 TO 11-20-22- DEPOT BLDG
$154.03
U.S. Bank 10100 10100
Total
$3,442.22
4948 BARTLETT LS E2 GENERATOR NATL
$30.02
GAS SVC 10-20-22 THRU 11-20-22
1717 BAYWOOD SHORES DR. LS
$38.39
GENERATOR NATL GAS SVC 10-20-22 THRU
11-20-22
4728 CARLOW RD LS GENERATOR NATL
$24.80
GAS SVC 10-20-22 THRU 11-20-22
1871 COMMERCE BLVD NEW LIFT STATION
$27.93
GENERATOR NATL GAS SVC 10-20-22 THRU
11-20-22
2649 EMERALD DR. LS E3 GENERATOR
$30.02
NATL GAS SVC 10-20-22 THRU 11-20-22
2990 HIGHLAND BLVD LS B1 GENERATOR
$29.99
NATL GAS SVC 10-20-22 THRU 11-20-22
Cash Payment E 602-49450-383 Gas Utilities
Invoice 122922-2 12/92022
Cash Payment E 602-49450-383 Gas Utilities
Invoice 122922-2 12/92022
Cash Payment E 602-49450-383 Gas Utilities
Invoice 122922-2 12/92022
Cash Payment E 602-49450-383 Gas Utilities
Invoice 122922-2 12/92022
Cash Payment E 602-49450-383 Gas Utilities
Invoice 122922-2 12/92022
Cash Payment E 602-49450-383 Gas Utilities
Invoice 122922-2 12/92022
Cash Payment E 602-49450-383 Gas Utilities
Invoice 122922-2 12/92022
Cash Payment E 602-49450-383 Gas Utilities
Invoice 122922-2 12/92022
Cash Payment E 602-49450-383 Gas Utilities
Invoice 122922-2 12/92022
Cash Payment E 602-49450-383 Gas Utilities
Invoice 122922-2
12/92022
Cash Payment
E 602-49450-383 Gas Utilities
Invoice 122922-2
12/92022
Cash Payment
E 602-49450-383 Gas Utilities
Invoice 122922-2
12/92022
Transaction Date
12292022
Refer 800 CINTAS
CITY OF MOUND 12/29/22 4:09 PM
Page 3
Payments
Current Period: December 2022
5260 LYNWOOD BLVD. LS GENERATOR $21.63
NATL GAS SVC 10-20-22 THRU 11-20-22
4791 NORTHERN RD LS D1 GENERATOR $34.19
NATL GAS SVC 10-20-22 THRU 11-20-22
1972 SHOREWOOD LN LS GENERATOR $27.93
NATL GAS SVC 10-20-22 THRU 11-20-22
3172 SINCLAIR RD LS GENERATOR NATL $34.15
GAS SVC 10-20-22 THRU 11-20-22
1758 SUMACH LANE LS GENERATOR NATL $26.90
GAS SVC 10-20-22 THRU 11-20-22
4922 THREE PTS BLVD LS GENERATOR $30.02
NATL GAS SVC 10-20-22 THRU 11-20-22
3303 WATERBURY RD LS GENERATOR $24.80
NATURAL GAS SVC 10-20-22 THRU 11-20-22
5077 WINDSOR RD LS GENERATOR NATL $27.93
GAS SVC 10-20-22 THRU 11-20-22
4783 ISLAND VIEW DRIVE LS GENERATOR $33.41
NATL GAS SVC 10-20-22 THRU 11-20-22
5330 BARTLETT & LAKEWOOD- LS E4 $33.41
GENERATOR NATL GAS SVC 10-20-22 THRU
11-20-22
3000 ISLAND VIEW DR GENERATOR NATL $27.77
GAS SVC 10-20-22 THRU 11-20-22
3080 HIGHLAND BLVD LS B1 GENERATOR $24.28
NATL GAS SVC 10-20-22 THRU 11-20-22
U.S. Bank 10100 10100 Total $527.57
Cash Payment E 609-49750-210 Operating Supplies
MATS, TOWELS, DUST MOP, WET MOP-
$59.88
HWS- 122222
Invoice 4141236011 12222022
Cash Payment E 609-49750-210 Operating Supplies
MATS, TOWELS, DUST MOP, WET MOP-
$59.88
HWS- 122922
Invoice 4141825989 12292022
Transaction Date 12292022
U.S. Bank 10100 10100 Total
$119.76
Refer 801 COMPASS MINERALS AMERICA
_
Cash Payment E 101-43100-224 Street Maint Materials
BULK COARSE HWY MIX- 76 TON
$6,535.24
DELIVERED 12-9-22
Invoice 1094161 12/92022
Transaction Date 12292022
U.S. Bank 10100 10100 Total
$6,535.24
Refer 802 CORE & MAIN LP
_
CITY OF MOUND
Payments
Current Period: December 2022
Cash Payment E 601-49400-210 Operating Supplies
Invoice S060884 12/92022
Transaction Date 12292022
WATER METER SUPPLIES- MUD PLUGS DEB
GUARD VPLUGS- QTY 20
U.S. Bank 10100 10100 Total
Refer 803 ESS BROTHERS AND SONS, INCO _
Cash Payment E 602-49450-440 Other Contractual Servic SELF SEALING SANITARY MH, BUTYL
ROPES
Invoice CC10709 12/62022
Transaction Date 12292022 U.S. Bank 10100 10100
Refer
804 FIRE EQUIPMENT SPECIALTIES, 1
_
Cash Payment
E 222-42260-219 Safety supplies
2 PAIRS LINO HELLFIRE 14" KEVLAR
INSULATED RUBBER FIRE BOOTS
Invoice 11105
1222022
Cash Payment
E 222-42260-219 Safety supplies
2 PAIRS LINO HELLFIRE 14" KEVLAR
INSULATED RUBBER FIRE BOOTS
Invoice 11108
12/72022
Transaction Date
12292022
U.S. Bank 10100 10100
Total
Total
12/29/22 4:09 PM
Page 4
$222.91
$222.91
$489.60
$489.60
$438.74
$438.74
$877.48
Refer 806 GRAINGER
_
Cash Payment E 602-49450-210 Operating Supplies
EYE SHIELD ASSSEMBLY- PUBLIC WORKS
$87.28
STAFF
Invoice 9550020516 12202022
Project 22-5
Cash Payment E 602-49450-220 Repair Supplies & Equip
8 FUSES- CLASS G 10A, SC SERIES- UTILITY
$33.60
DEPT
Invoice 9549314749 12/192022
Cash Payment E 601-49400-220 Repair Supplies & Equip
8 FUSES- CLASS G 10A, SC SERIES- UTILITY
$33.60
DEPT
Invoice 9549314749 12/192022
Transaction Date 12292022
U.S. Bank 10100 10100 Total
$154.48
Refer 807 GUST, RONALD R. JR
_
Cash Payment E 609-49750-331 Use of personal auto
REIMS MILEAGE- TRADESHOW EVENTS,
$173.13
O'SHAUNGESY DISTILLERY, GALE WOODS
FARM, 7 TRIPS TO CITY HALL- R. GUST-
SEPTEMBER THRU DECEMBER 2022
Invoice 122922 12272022
Transaction Date 12292022
U.S. Bank 10100 10100 Total
$173.13
Refer
808 HAWKINS, INCORPORATED
Cash Payment
E 601-49400-227 Chemicals
Invoice 6359497
12/152022
Transaction Date
12292022
Refer
809 HOME DEPOT/GECF (PAM
Cash Payment E 101-45200-210 Operating Supplies
Invoice 7058296 11/162022
150 LB CHLORINE CYLINDERS
$140.00
U.S. Bank 10100 10100 Total $140.00
FRASER FIR BOUGH BUNDLES, RED
DOGWOOD TWIGS BUNDLES, SNOW
TIPPED PINECONES, 8 100 LIGHT STRINGS
MINI LED WHITE LIGHTS, 8100 STRINGS
BLUE LIGHTS, 2 DELUXE CHRISTMAS
BASKETS, 2 22" TUSCANY PLLANTERS,
SPRUCE TOPS- 4 10 PKS- MOUND
ENTRANCE HOLIDAY DECORATIONS
$805.28
CITY OF MOUND 12/29/22 4:09 PM
Page 5
Payments
Current Period: December 2022
Cash Payment
E 222-42260-210 Operating Supplies
M18 BRUSHLESS HAMMER/IMPACT DRILL 2
$249.00
PC KIT- FIRE DEPT
Invoice 1623113
1222022
Transaction Date
12292022
U.S. Bank 10100 10100 Total
$1,054.28
Refer
811 LAND EQUIPMENT, INCORPORAT _
Cash Payment
E 602-49450-404 Equip & Vehicle Repairs
SPINDLE FRONT- PART FOR PUBLIC
$181.31
WORKS PAINT SPRAYER
Invoice 03-962121
12/152022
Project 22-5
Cash Payment
E 602-49450-404 Equip & Vehicle Repairs
SPINDLE FRONT- PART-R PUBLIC WORKS
$181.31
INVENTORY
Invoice 03-962544
12/162022
Project 22-5
Cash Payment
E 101-43100-404 Equip & Vehicle Repairs
SPA HARNESS- STREETS EQUIPMENT
$219.00
Invoice 03-961178
12/122022
Cash Payment
E 101-43100-404 Equip & Vehicle Repairs
TIE -ROD ASSEMBLY- STREETS PLOW
$219.06
EQUIPMENT
Invoice 03-963185 12202022
Transaction Date
12292022
U.S. Bank 10100 10100 Total
$800.68
Refer
812 LAWSON PRODUCTS, INC
Cash Payment
E 602-49450-220 Repair Supplies & Equip
10 MEGACRIMP FITTINGS- PUBLIC WORKS
$25.60
Invoice 9310204293 12202022
Project 22-5
Transaction Date
12292022
U.S. Bank 10100 10100 Total
$25.60
Refer
792 MIDWEST SERVICES _
Cash Payment
E 101-45200-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 1, 2022- SKID
$207.00
STEER #121, TRUCK #319, #316, #219
Invoice 9328
11/302022
Cash Payment
E 101-43100-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 1, 2022- SKID
$207.00
STEER #121, TRUCK #319, #316, #219
Invoice 9328
11/302022
Cash Payment
E 601-49400-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 1, 2022- SKID
$207.00
STEER #121, TRUCK #319, #316, #219
Invoice 9328
11/302022
Cash Payment
E 602-49450-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 1, 2022- SKID
$207.00
STEER #121, TRUCK #319, #316, #219
Invoice 9328
11/302022
Cash Payment
E 601-49400-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 3, 2022 -
$219.94
WELL#8, TRUCK#219, CLEAN SHOP, MOVE
OIL DRUM UPSTAIRS
Invoice 9328
11/302022
Cash Payment
E 602-49450-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 3, 2022 -
$219.94
WELL#8, TRUCK#219, CLEAN SHOP, MOVE
OIL DRUM UPSTAIRS
Invoice 9328
11/302022
Cash Payment
E 101-45200-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 3, 2022 -
$219.94
WELL#8, TRUCK#219, CLEAN SHOP, MOVE
OIL DRUM UPSTAIRS
Invoice 9328
11/302022
Cash Payment
E 101-43100-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 3, 2022 -
$219.93
WELL#8, TRUCK#219, CLEAN SHOP, MOVE
OIL DRUM UPSTAIRS
Invoice 9328
11/302022
Cash Payment
E 101-45200-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 4, 2022-
$207.00
TRUCK #515
Invoice 9328
11/302022
CITY OF MOUND 12/29/22 4:09 PM
Page 6
Payments
Current Period: December 2022
Cash Payment
E 101-43100-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 4, 2022 -
$207.00
TRUCK#515
Invoice 9328
11/302022
Cash Payment
E 601-49400-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 4, 2022-
$207.00
TRUCK #515
Invoice 9328
11/302022
Cash Payment
E 602-49450-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 4, 2022 -
$207.00
TRUCK#515
Invoice 9328
11/302022
Cash Payment
E 101-45200-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 8, 2022-
$207.00
TRUCK #515, #1604, SKID STEER #121,
SNOWBLOWER #S17, & # s18, INSPECTED
PLOWS ON 1 TON TRUCKS @ PARK SHOP
Invoice 9328
11/302022
Cash Payment
E 101-43100-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 8, 2022-
$207.00
TRUCK #515, #1604, SKID STEER #121,
SNOWBLOWER #S17, & # s18, INSPECTED
PLOWS ON 1 TON TRUCKS @ PARK SHOP
Invoice 9328
11/302022
Cash Payment
E 601-49400-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 8, 2022 -
$207.00
TRUCK#515, #1604, SKID STEER #121,
SNOWBLOWER #S17, & # s18, INSPECTED
PLOWS ON 1 TON TRUCKS @ PARK SHOP
Invoice 9328
11/302022
Cash Payment
E 602-49450-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 8, 2022 -
$207.00
TRUCK#515, #1604, SKID STEER #121,
SNOWBLOWER #S17, & # s18, INSPECTED
PLOWS ON 1 TON TRUCKS @ PARK SHOP
Invoice 9328
11/302022
Cash Payment
E 101-45200-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 10, 2022-
$194.06
TRUCK #331, TRACTOR #197, WATERSIDE
GENERATOR, PELICAN SWEEPER, BOBCAT
SWEEPER
Invoice 9328
11/302022
Cash Payment
E 101-43100-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 10, 2022-
$194.06
TRUCK #331, TRACTOR #197, WATERSIDE
GENERATOR, PELICAN SWEEPER, BOBCAT
SWEEPER
Invoice 9328
11/302022
Cash Payment
E 601-49400-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 10, 2022-
$194.06
TRUCK#331, TRACTOR #197, WATERSIDE
GENERATOR, PELICAN SWEEPER, BOBCAT
SWEEPER
Invoice 9328
11/302022
Cash Payment
E 602-49450-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 10, 2022 -
$194.07
TRUCK#331, TRACTOR #197, WATERSIDE
GENERATOR, PELICAN SWEEPER, BOBCAT
SWEEPER
Invoice 9328
11/302022
Cash Payment
E 602-49450-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 14, 2022 -
$89.69
TOOL CAT #216- AFTER HOURS
EMERGENCY CALL
Invoice 9328
11/302022
Cash Payment
E 601-49400-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 14, 2022 -
$89.69
TOOL CAT #216- AFTER HOURS
EMERGENCY CALL
Invoice 9328
11/302022
CITY OF MOUND 12/29/22 4:09 PM
Page 7
Payments
Current Period: December 2022
Cash Payment
E 101-43100-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 14, 2022 -
$89.69
TOOL CAT #216- AFTER HOURS
EMERGENCY CALL
Invoice 9328
11/302022
Cash Payment
E 101-45200-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 14, 2022 -
$89.68
TOOL CAT #216- AFTER HOURS
EMERGENCY CALL
Invoice 9328
11/302022
Cash Payment
E 101-43100-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 15, 2022-
$77.63
CHIPPER TRUCK, TRUCK#412, #515,
HONDA WATERPUMP
Invoice 9328
11/302022
Cash Payment
E 101-45200-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 15, 2022 -
$77.63
CHIPPER TRUCK, TRUCK#412, #515,
HONDA WATERPUMP
Invoice 9328
11/302022
Cash Payment
E 602-49450-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 15, 2022 -
$77.62
CHIPPER TRUCK, TRUCK#412, #515,
HONDA WATERPUMP
Invoice 9328
11/302022
Cash Payment
E 601-49400-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 15, 2022 -
$77.62
CHIPPER TRUCK, TRUCK#412, #515,
HONDA WATERPUMP
Invoice 9328
11/302022
Cash Payment
E 601-49400-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 17, 2022 -
$207.00
TRUCK #313, #515, #316, TYMCO & PELICAN
SWEEPERS
Invoice 9328
11/302022
Cash Payment
E 602-49450-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 17, 2022 -
$207.00
TRUCK #313, #515, #316, TYMCO & PELICAN
SWEEPERS
Invoice 9328
11/302022
Cash Payment
E 101-45200-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 17, 2022 -
$207.00
TRUCK #313, #515, #316, TYMCO & PELICAN
SWEEPERS
Invoice 9328
11/302022
Cash Payment
E 101-43100-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 17, 2022-
$207.00
TRUCK #313, #515, #316, TYMCO & PELICAN
SWEEPERS
Invoice 9328
11/302022
Cash Payment
E 101-43100-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 22, 2022 -
$64.69
TRUCK#319
Invoice 9328
11/302022
Cash Payment
E 101-45200-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 22, 2022 -
$64.69
TRUCK#319
Invoice 9328
11/302022
Cash Payment
E 602-49450-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 22, 2022 -
$64.69
TRUCK#319
Invoice 9328
11/302022
Cash Payment
E 601-49400-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 22, 2022-
$64.68
TRUCK #319
Invoice 9328
11/302022
CITY OF MOUND 12/29/22 4:09 PM
Page 8
Payments
Current Period: December 2022
Cash Payment
E 601-49400-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 29, 2022 -
$232.87
TRUCK #312, #412, SKID STEER #121, SDMO
PORTABLE GENERATOR, AVANT,
ASSEMBLED NEW JACK AT SHOP
Invoice 9328
11/302022
Cash Payment
E 602-49450-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 29, 2022 -
$232.87
TRUCK #312, #412, SKID STEER #121, SDMO
PORTABLE GENERATOR, AVANT,
ASSEMBLED NEW JACKAT SHOP
Invoice 9328
11/302022
Cash Payment
E 101-45200-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 29, 2022-
$232.88
TRUCK #312, #412, SKID STEER #121, SDMO
PORTABLE GENERATOR, AVANT,
ASSEMBLED NEW JACK AT SHOP
Invoice 9328
11/302022
Cash Payment
E 101-43100-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 29, 2022-
$232.88
TRUCK #312, #412, SKID STEER #121, SDMO
PORTABLE GENERATOR, AVANT,
ASSEMBLED NEW JACK AT SHOP
Invoice 9328
11/302022
Cash Payment
E 101-43100-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 30, 2022-
$103.50
TRUCK#314, PLOW TRUCKS- DIAGNOSTICS
Invoice 9328
11/302022
Cash Payment
E 101-45200-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 30, 2022-
$103.50
TRUCK #314, PLOW TRUCKS- DIAGNOSTICS
Invoice 9328
11/302022
Cash Payment
E 602-49450-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 30, 2022 -
$103.50
TRUCK#314, PLOW TRUCKS- DIAGNOSTICS
Invoice 9328
11/302022
Cash Payment
E 601-49400-404 Equip & Vehicle Repairs
MECHANIC SVCS- NOVEMBER 30, 2022-
$103.50
TRUCK #314, PLOW TRUCKS- DIAGNOSTICS
Invoice 9328
11/302022
Transaction Date
12/82022
U.S. Bank 10100 10100 Total
$7,241.50
Refer
813 MINNESOTA ELEVATOR, INCORP _
Cash Payment
E 101-41930-440 Other Contractual Servic
OEM OBSOLETE DOOR OPERATOR REPAIR-
$5,680.79
PUBLIC SAFETY BUILDING ELEVATOR
Invoice 996216
12/142022
Cash Payment
E 222-42260-440 Other Contractual Servic
OEM OBSOLETE DOOR OPERATOR REPAIR-
$5,680.79
PUBLIC SAFETY BUILDING ELEVATOR
Invoice 996216
12/142022
Cash Payment
E 285-46388-440 Other Contractual Servic
OEM OBSOLETE DOOR OPERATOR REPAIR-
$11,361.58
MOUND TRANSIT RAMP- PARKING DECK
ELEVATOR
Invoice 996217
12/142022
Transaction Date
12292022
U.S. Bank 10100 10100 Total
$22,723.16
Refer
793 MNSPECT _
Cash Payment
E 101-42400-308 Building Inspection Fees
NOVEMBER 2022 BUILDING INSPECTION
$37,966.36
FEES
Invoice 0094430
11/302022
Cash Payment
E 101-42400-308 Building Inspection Fees
NOVEMBER 2022 CODE ENFORCEMENT
$283.34
SERVICES
Invoice 0094430
11/302022
Transaction Date
12/122022
U.S. Bank 10100 10100 Total
$38,249.70
Refer
814 MUELLER, WILLIAM AND SONS _
CITY OF MOUND
Payments
Current Period: December 2022
Cash Payment E 101-43100-224 Street Maint Materials 3/4" MINUS MIX- 41.26 TON DELIVERED 12-
28-22
Invoice 283858
12282022
Cash Payment
E 101-43100-224 Street Maint Materials
CONCRETE SAND -STREETS MATERIAL
80.98 TON
Invoice 283742
12202022
Cash Payment
E 101-43100-224 Street Maint Materials
3/4" MINUS MIX- 64.15 TON DELIVERED 12-
27-22
Invoice 283818
12272022
Cash Payment
E 101-43100-224 Street Maint Materials
CONCRETE SAND -STREETS MATERIAL
58.10 TON
Invoice 283713
12/192022
Transaction Date
12292022
U.S. Bank 10100 10100 Total
Refer 816 NORLINGS LAKE MINNETONKA LA _
Cash Payment E 602-49450-500 Capital Outlay FA LANDSCAPE WATERING SVC- FILL WATER
BAGS AROUND ARBORVITAE--2021 B2
HIGHLAND LIFT STATION IMPROVEMENT
PROJECT PW 21-03
Invoice 41054 12202022
Transaction Date 12292022
Refer 818 OFFICE DEPOT (FIRE)
Cash Payment E 222-42260-200 Office Supplies
Invoice 283383987001 12/142022 PO 25332
Cash Payment E 222-42260-200 Office Supplies
Invoice 283381033001 12/142022 PO 25332
Transaction Date 12292022
Refer 817 OFFICE DEPOT
Cash Payment E 101-41500-200 Office Supplies
Invoice 279481307001 12/12022 PO 25089
Cash Payment E 609-49750-200 Office Supplies
Invoice 281124349001 12/72022
Cash Payment E 609-49750-200 Office Supplies
Invoice 281123139001 12/72022
Cash Payment E 101-41110-200 Office Supplies
Invoice 283482145001 12/162022 PO 25091
Cash Payment E 101-41110-200 Office Supplies
Invoice 283482145001 12/162022 PO 25091
Cash Payment E 101-42400-200 Office Supplies
Invoice 283482145001 12/162022 PO 25091
Cash Payment E 281-45210-200 Office Supplies
Invoice 283482145001 12/162022 PO 25091
Cash Payment E 281-45210-200 Office Supplies
Invoice 283482145001 12/162022 PO 25091
Transaction Date 12292022
12/29/22 4:09 PM
Page 9
$1,012.94
$1,222.79
$1,574.87
$877.32
$4,687.92
$81.25
U.S. Bank 10100 10100 Total $81.25
AA& AAAALKALINE BATTERIES -FIRE DEPT $51.71
BOTTLED LUBRICANT- SHRED- FIRE DEPT $6.84
U.S. Bank 10100 10100 Total $58.55
3 pk 32 GIGABYTE USB 2.00 - N. IVERSON $19.40
CALCULATOR RED, BLUE INK ROLLER- HWS $12.58
2 SCOTCH TAPE DISPENSERS & TAPE, $51.12
BALLPOINT PENS, AT A GLANCE MONTHLY
WALL CALENDAR- HWS
COUNCIL CHAMBER NAME PLATE- MAYOR $13.99
JASON R. HOLT
COUNCIL CHAMBER NAME PLATE- KATHY $13.99
MCENANEY- COUNCILOR
COUNCIL CHAMBER NAME PLATE- DEREK $13.99
ARCHAMBAULT- PLANNING COMMISSIONER
COUNCIL CHAMBER NAME PLATE- JESSE $13.99
JENSEN- DOCK COMMISSIONER
COUNCIL CHAMBER NAME PLATE- JAMES $13.99
VETTEL- DOCK COMMISSIONER
U.S. Bank 10100 10100 Total $153.05
CITY OF MOUND 12/29/22 4:09 PM
Page 10
Payments
Current Period: December 2022
Refer
819 R.C. ELECTRIC, INCORPORATED
_
Cash Payment
E 602-49450-440 Other Contractual Servic
CHECK SMOKE DETECTORS & REPLACE
$255.00
PUBLIC WORKS BLDG 12-14 & 12-19-22
Invoice 8522
12232022
Project 22-5
Cash Payment
E 602-49450-440 Other Contractual Servic
3 KIDDE AC/DC SMOKE/CO2 DETECTORS -
$202.00
10 YEAR PUBLIC WORKS BLDG
Invoice 8522
12232022
Project 22-5
Transaction Date
12292022
U.S. Bank 10100 10100 Total
$457.00
Refer
815 SCOTT NELSON COACHING INC.
_
Cash Payment
E 222-42260-434 Conference & Training
FIRE DEPT TRAIN -THE -TRAINER
$400.00
LEADERSHIP ACADEMY TRAINING -
STANDARD FOR FIRE OFFICER
PROFESSIONAL QUALIFICAITONS- 11-14-22
Invoice 2270
11/302022
Cash Payment
E 222-42260-434 Conference & Training
FIRE DEPT TRAIN -THE -TRAINER
$400.00
LEADERSHIP ACADEMY TRAINING -
STANDARD FOR FIRE OFFICER
PROFESSIONAL QUALIFICAITONS- 11-21-22
Invoice 2270
11/302022
Transaction Date
12292022
U.S. Bank 10100 10100 Total
$800.00
Refer
794 SOUTHWEST TRAILS ASSOCIATIO
_
Cash Payment
G 101-22801 Deposits/Escrow
SW TRAILS ASSOC FY 2023 SNOWMOBILE
$15,009.80
MTCE-DNR PMT #1 2023- RECVD 12-27-22
Invoice 07819507 12/82022
Transaction Date
12292022
U.S. Bank 10100 10100 Total
$15,009.80
Refer
820 SPORTACULAR, INC.
_
Cash Payment
E 222-42260-210 Operating Supplies
24 MOUND FIRE DEPT EMBROIDERED ON
$120.00
PROVIDED BEANIES IN RED- FIRE DEPT
Invoice 9766
12/72022
Transaction Date
12292022
U.S. Bank 10100 10100 Total
$120.00
Refer 821 SUN PATRIOT NEWSPAPER -CITY
Cash Payment G 101-23494 PC22-18 TOWNHOMES-CO LEGAL NTCE- PUBLIC HEARING FOR MAJOR
SUBDIVISION PRELIM PLAT -'THE
COURTYARD TOWNHOMES OF MOUND"- 5
UNIT TOWNHOME BLDG BEHIND
COMMERCE PLACE CENTER- PUBLISHED
12-17-22
Invoice 925081 12/172022
Transaction Date 12292022 U.S. Bank 10100 10100 Total
Refer
822 TWIN CITY GARAGE DOOR COMP
_
Cash Payment
E 222-42260-401 Building Repairs
2 3" L-S NYLON SEALED ROLLERS - FIR
DEPT GARAGE DOORS
Invoice 689596
12/92022
Cash Payment
E 222-42260-401 Building Repairs
#2 & #3 HINGES- FIRE DEPT GARAGE
DOORS
Invoice 688100
11212022
Transaction Date
12292022
U.S. Bank 10100 10100
Refer 823 UHL COMPANY
Total
$86.63
$86.63
$40.00
$31.50
$71.50
CITY OF MOUND 12/29/22 4:10 PM
Page 11
Payments
Current Period: December 2022
Cash Payment
E 101-41930-400 Repairs & Maintenance-
PUBLIC SAFETY BLDG SERVICE CALL- RTU $203.50
1 IN SUPPLY FAN ALARM MODE- CHECKED
OPERATIONS- LIKELY WAS TRIPPED BY
FIRE SYSTEM TEST
Invoice 49119
12272022
Cash Payment
E 222-42260-402 Building Maintenance
PUBLIC SAFETY BLDG SERVICE CALL- RTU $203.50
1 IN SUPPLY FAN ALARM MODE- CHECKED
OPERATIONS- LIKELY WAS TRIPPED BY
FIRE SYSTEM TEST
Invoice 49119 12272022
Transaction Date 12292022
Refer 824 ULINE
Cash Payment E 601-49400-210 Operating Supplies
Invoice 157412861 12/82022
Cash Payment E 101-45200-210 Operating Supplies
Invoice 157555118 12/122022
Cash Payment E 285-46388-210 Operating Supplies
Invoice 157555118 12/122022
Cash Payment E 602-49450-210 Operating Supplies
Invoice 157555118 12/122022
Transaction Date 12292022
U.S. Bank 10100 10100 Total
1 PACK WATER PIPE MARKERS
MULTI -FOLD TOWELS- DEPOT BLDG
MULTI -FOLD TOWELS- PARKING DECK
CENTER PULL PAPER TOWELS- PUBLIC
WORKS SHOP
U.S. Bank 10100 10100 Total
Refer
825 WEBER, VICKI
_
Cash Payment
E 222-42260-431 Meeting Expense
REIMBURSE-V. WEBER- LUNDS/BYERLY'S
BEVERAGES & COOKIES- FIRE
COMMISSION MEETING- 12-8-22
Invoice 122922
12/72022
Transaction Date 12292022
U.S. Bank 10100 10100 Total
Refer 826 ZACKS, INCORPORATED
Cash Payment E 222-42260-210 Operating Supplies
Invoice 35931 1222022
Transaction Date 12292022
Fund Summary
101 GENERAL FUND
222 AREA FIRE SERVICES
281 COMMONS DOCKS FUND
285 HRA/HARBOR DISTRICT
601 WATER FUND
602 SEWER FUND
609 MUNICIPAL LIQUOR FUND
WAXED CAR/TRUCK WASH SOAP- 5 PAILS,
310" NYLEX VEHICLE WASH BRUSHES -
FIRE DEPT
U.S. Bank 10100 10100 Total
10100 U.S. Bank 10100
$93,177.35
$9,461.90
$108.86
$11,576.58
$2,239.87
$5,311.76
$670.13
$122,546.45
Pre -Written Checks $0.00
Checks to be Generated by the Computer $122,546.45
Total $122,546.45
$407.00
$33.00
$81.00
$81.00
$247.04
$442.04
$35.46
$35.46
$153.17
$153.17
CITY OF MOUND
Payments
Current Period: Closing 2022
Payments Batch BOLT#11-2022AP-1 $59,756.16
01 /04/23 10:59 AM
Page 1
Refer
904 BOLTON AND MENK INCORPORA
_
Cash Payment
E 101-43100-300 Professional Srvs
GIB UPDATES ENG SVCS OCT 15 THRU
$335.00
NOV 11, 2022
Invoice 0302971
11/302022
Cash Payment
E 601-49400-300 Professional Srvs
GIB UPDATES ENG SVCS OCT 15 THRU
$335.00
NOV 11, 2022
Invoice 0302971
11/302022
Cash Payment
E 602-49450-300 Professional Srvs
GIB UPDATES ENG SVCS OCT 15 THRU
$335.00
NOV 11, 2022
Invoice 0302971
11/302022
Transaction Date
1/32023
U.S. Bank 10100 10100 Total
$1,005.00
Refer
905 BOLTON AND MENK, INCORPORA
_
Cash Payment
E 101-43100-300 Professional Srvs
GENERAL ENGINEERING SVCS OCT 15
$1,454.40
THRU NOV 11, 2022
Invoice 0302970
11/302022
Cash Payment
E 602-49450-300 Professional Srvs
GENERAL ENGINEERING SVCS OCT 15
$1,738.39
THRU NOV 11, 2022
Invoice 0302970
11/302022
Cash Payment
E 601-49400-300 Professional Srvs
GENERAL ENGINEERING SVCS OCT 15
$1,454.40
THRU NOV 11, 2022
Invoice 0302970
11/302022
Transaction Date
1/32023
U.S. Bank 10100 10100 Total
$4,647.19
Refer
908 BOLTON AND MENK, INCORPORA
_
Cash Payment
E 601-49400-500 Capital Outlay FA
2021 LYNWOOD BLVD WATERMAIN
$144.13
REPLACE PROJ PW 21-01 - ENG SVCS OCT
15 THRU NOV 11, 2022
Invoice 0302981
11/302022
Project PW2101
Cash Payment
E 602-49450-500 Capital Outlay FA
2021 B-2 LIFT STATION IMPROV PROJ PW
$73.13
21-03- ENG SVCS OCT 15 THRU NOV 11,
2022
Invoice 0302968
11/302022
Project PW2103
Cash Payment
E 404-43100-303 Engineering Fees
2021 MOUND ENTRANCE MONUMENT
$73.13
REPLACEMENT PROJ PW 21-13 ENG SVCS
OCT 15 THRU NOV 11, 2022
Invoice 0302978
11/302022
Project PW2113
Transaction Date
1/32023
U.S. Bank 10100 10100 Total
$290.39
Refer
910 BOLTON AND MENK, INCORPORA
_
Cash Payment
E 101-43100-300 Professional Srvs
HARRISON BAY INVESTIGATION- STORM
$1,368.87
WATER ENG SVCS OCT 15 THRU NOV 11,
2022
Invoice 0302980
11/302022
Cash Payment
G 101-23451 VILLAGES OF ISLAND PAR VILLAGES OF ISLAND PARK
$2,078.00
DEVELOPMENT- MISC ENG SVCS OCT 15
THRU NOV 11, 2022
Invoice 0302984
11/302022
Cash Payment
G 101-23446 LIFESTYLE HOMES MOUN
LIFESTYLE HOMES/ARTESSA
$1,519.25
DEVELOPMENT- - MISC ENG SVCS OCT 15
THRU NOV 11, 2022
Invoice 0302977
11/302022
Transaction Date
1/32023
U.S. Bank 10100 10100 Total
$4,966.12
CITY OF MOUND
Payments
Current Period: Closing 2022
Refer 911 BOLTON AND MENK INCORPORA _
Cash Payment E 601-49400-500 Capital Outlay FA 2022 LYNWOOD WATERMAIN IMPROV PROJ
PW 22-01 ENG SVCS OCT 15 THRU NOV 11,
2022
Invoice 0302982 11/302022
Cash Payment E 602-49450-500 Capital Outlay FA
Invoice 0302972 11/302022
Cash Payment E 404-45200-303 Engineering Fees
Invoice 0302975 11/302022
Cash Payment E 602-49450-500 Capital Outlay FA
Invoice 0302973 11/302022
Cash Payment E 401-43124-303 Engineering Fees
Invoice 0302969 11/302022
Cash Payment E 602-49450-500 Capital Outlay FA
Project PW2201
2022 LIFT STATION IMPROV PROJ PW 22-03
ENG SVCS OCT 15 THRU NOV 11, 2022
Project PW2203
2022 SURFSIDE DEPOT SITE
IMPROVEMENT PROJ PW 22-09 ENG SVCS
OCT 15 THRU NOV 11, 2022
Project PW2209
2022 MANHOLE REHAB IMPROV PROJ PW
22-04 ENG SVCS OCT 15 THRU NOV 11,
2022
Project PW2204
2022 PAVER SIDEWALK REPLACEMENT
PROJ. PW 22-08 ENG SVCS OCT 15 THRU
NOV 11, 2022
Project PW2208
2022 SEWER TELEVISING IMPROV PROJ
PW 22-04 ENG SVCS OCT 15 THRU NOV 11,
2022
01 /04/23 10:59 AM
Page 2
$9,040.69
$4,011.39
$7,162.90
$2,220.78
$7,883.32
$314.15
Invoice 0302974 11/302022
Transaction Date 1/32023
Project PW2204
U.S. Bank 10100 10100 Total
$30,633.23
Refer 912 BOLTON AND MENK, INCORPORA
_
Cash Payment E 601-49400-500 Capital Outlay FA
2023 LYNWOOD WATERMAIN IMPROV PROJ
$5,042.30
PHASE 3- PW 23-01 ENG SVCS OCT 15
THRU NOV 11, 2022
Invoice 0302983 11/302022
Project PW2301
Cash Payment E 602-49450-500 Capital Outlay FA
2023 LIFT STATION IMPROV PROJ PW 23-03
$11,821.93
ENG SVCS OCT 15 THRU NOV 11, 2022
Invoice 0302986 11/302022
Project PW2303
Cash Payment E 404-45200-303 Engineering Fees
2023 MOUND/GIS SERVICES- CEMETERY
$1,350.00
APPLICATIONS- ENG SVCS OCT 15 THRU
NOV 11, 2022
Invoice 0302979 11/302022
Project PW2311
Transaction Date 1/32023
U.S. Bank 10100 10100 Total
$18,214.23
Fund Summary
10100
U.S. Bank 10100
101 GENERAL FUND
$6,755.52
401 GENERAL CAPITAL PROJECTS
$7,883.32
404 COMMUNITY INVESTMENT RESERVE
$8,586.03
601 WATER FUND
$16,016.52
602 SEWER FUND
$20,514.77
$59,756.16
Pre -Written Checks $0.00
Checks to be Generated by the Computer $59,756.16
Total $59,756.16
CITY OF MOUND
Payments
Current Period: Closing 2022
Payments Batch 2022AP-2 HWS $83,199.63
Refer 900 ARTISAN BEER COMPANY
Cash Payment E 609-49750-252 Beer For Resale
Invoice 3578535 12222022
Cash Payment E 609-49750-253 Wine For Resale
Invoice 20014 12282022
Cash Payment E 609-49750-252 Beer For Resale
Invoice 3579616 12/302022
Cash Payment E 609-49750-252 Beer For Resale
Invoice 352231 12292022
Transaction Date 12292022
Refer 901 BACK CHANNEL BREWING
Cash Payment E 609-49750-252 Beer For Resale
Invoice 1433 12212022
Transaction Date 12292022
BEER
WINE- ORIGIN
BEER
BEER CREDIT
U.S. Bank 10100 10100
BEER
01/05/23 12:27 PM
Page 1
$947.55
$132.00
$1,268.15
-$85.86
Total $2,261.84
$120.00
U.S. Bank 10100 10100 Total
Refer 902 BELLBOY CORPORATION _
Cash Payment E 609-49750-210 Operating Supplies
SUPPLIES, BAGS & C-FOLD TOWELS
Invoice 0106202100 12212022
Cash Payment E 609-49750-254 Soft Drinks/Mix For Res
MIX
Invoice 0106230300 12282022
Cash Payment E 609-49750-255 Misc Merchandise For R
MDSE- GIFT BAGS, WAITERS
CORKSCREWS, CHAMPAGNE STOPPERS
Invoice 0106202100 12212022
Cash Payment E 609-49750-255 Misc Merchandise For R
MDSE- WAITERS CORKSCREWS-
BOOMERANE & CARDED, STAINLESS STEEL
SHAKER 3 PC SETS, BOMB SHOT & JELLO
SHOT CUPS
Invoice 0106230300 12282022
Cash Payment E 609-49750-210 Operating Supplies
SUPPLIES, BAGS & UPC SHELF STRIPS
Invoice 0106230200 12282022
Transaction Date 12292022 Due 12/312021
Accounts Payable 20200 Total
Refer 903 BELLBOY CORPORATION _
Cash Payment E 609-49750-251 Liquor For Resale LIQUOR
Invoice 0097897900 12282022
Cash Payment E 609-49750-254 Soft Drinks/Mix For Res MIX
Invoice 0097897900 12282022
Cash Payment E 609-49750-251 Liquor For Resale LIQUOR
Invoice 0097892600 12212022
Transaction Date 12292022 U.S. Bank 10100 10100
Refer 904 BLACKSTACK BREWING
Cash Payment E 609-49750-252 Beer For Resale
Invoice 20670 12282022
Transaction Date 12292022
BEER
U.S. Bank 10100 10100
Refer 905 BRASS FOUNDRY BREWING CO. _
Cash Payment E 609-49750-252 Beer For Resale BEER
Invoice 8880 12282022
Transaction Date 12292022 U.S. Bank 10100 10100
$120.00
$167.25
$126.55
$33.05
$93.40
$212.25
$632.50
$3,715.95
$167.00
$2,417.99
Total $6,300.94
$480.00
Total $480.00
$160.92
Total $160.92
CITY OF MOUND 01/05/2312:27 PM
Page 2
Payments
Current Period: Closing 2022
Refer 906 BREAKTHRU BEVERAGE MN BEE
_
Cash Payment E 609-49750-252 Beer For Resale
BEER
$4,587.97
Invoice 347020554 12202022
Cash Payment E 609-49750-252 Beer For Resale
BEER
$33.85
Invoice 347021842 12202022
Cash Payment E 609-49750-252 Beer For Resale
BEER
$538.50
Invoice 347021843 12202022
Cash Payment E 609-49750-252 Beer For Resale
BEER
$6,888.19
Invoice 347122365 12272022
Cash Payment E 609-49750-252 Beer For Resale
BEER
$151.70
Invoice 347122366 12272022
Cash Payment E 609-49750-252 Beer For Resale
BEER
$94.00
Invoice 347122364 12272022
Cash Payment E 609-49750-252 Beer For Resale
BEER CREDIT
-$24.00
Invoice 410006790 8/102022
Cash Payment E 609-49750-252 Beer For Resale
BEER CREDIT
-$4.60
Invoice 410006791 8/102022
Cash Payment E 609-49750-252 Beer For Resale
BEER CREDIT
-$32.00
Invoice 410006792 8/102022
Cash Payment E 609-49750-252 Beer For Resale
BEER CREDIT
-$38.40
Invoice 410414538 12/142022
Cash Payment E 609-49750-252 Beer For Resale
BEER CREDIT
-$12.84
Invoice 410414539 12/142022
Cash Payment E 609-49750-252 Beer For Resale
BEER CREDIT
-$37.20
Invoice 410414540 12/142022
Cash Payment E 609-49750-252 Beer For Resale
BEER CREDIT
-$9.36
Invoice 410414541 12/142022
Cash Payment E 609-49750-252 Beer For Resale
BEER CREDIT
-$92.80
Invoice 410455321 12272022
Cash Payment E 609-49750-252 Beer For Resale
BEER CREDIT
-$11.64
Invoice 410455322 12272022
Cash Payment E 609-49750-252 Beer For Resale
BEER CREDIT
-$12.36
Invoice 410455323 12272022
Cash Payment E 609-49750-252 Beer For Resale
BEER CREDIT
-$7.84
Invoice 410455324 12272022
Cash Payment E 609-49750-252 Beer For Resale
BEER CREDIT
-$270.00
Invoice 1400179258-002 8/152022
Cash Payment E 609-49750-252 Beer For Resale
BEER CREDIT
-$97.70
Invoice 1400231194-002 12/142022
Cash Payment E 609-49750-252 Beer For Resale
BEER CREDIT
-$30.00
Invoice 160000660 8202020
Cash Payment E 609-49750-252 Beer For Resale
BEER CREDIT
-$24.60
Invoice 160000661 8272020
Cash Payment E 609-49750-252 Beer For Resale
BEER CREDIT
-$31.45
Invoice 160000663 9/162020
Cash Payment E 609-49750-252 Beer For Resale
BEER CREDIT
-$260.05
Invoice 160000664 9/162020
Cash Payment E 609-49750-252 Beer For Resale
BEER CREDIT
-$66.00
Invoice 160000665 11232020
CITY OF MOUND 01/05/2312:27 PM
Page 3
Payments
Current Period: Closing 2022
Cash Payment E 609-49750-252 Beer For Resale
BEER
CREDIT
-$11.88
Invoice 0409093866 10/192021
Cash Payment E 609-49750-252 Beer For Resale
BEER
CREDIT
-$28.20
Invoice 0409093867 10/192021
Cash Payment E 609-49750-252 Beer For Resale
BEER
CREDIT
-$74.70
Invoice 1400066441 9292021
Cash Payment E 609-49750-252 Beer For Resale
BEER
CREDIT
-$69.77
Invoice 1400099295 12/302021
Cash Payment E 609-49750-252 Beer For Resale
BEER
CREDIT
-$20.40
Invoice 409891353 7/62022
Cash Payment E 609-49750-252 Beer For Resale
BEER
CREDIT
-$35.66
Invoice 410050774 8242022
Cash Payment E 609-49750-252 Beer For Resale
BEER
CREDIT
-$18.60
Invoice 410134170 9212022
Cash Payment E 609-49750-252 Beer For Resale
BEER
CREDIT
-$4.76
Invoice 410257212 10272022
Transaction Date 12292022
U.S. Bank 10100 10100
Total $10,967.40
Refer 907 BREAKTHRU BEVERAGE MN WINE
_
Cash Payment E 609-49750-253 Wine For Resale
WINE
Invoice 347136793 12282022
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 347136791 12282022
Cash Payment E 609-49750-253 Wine For Resale
WINE
Invoice 347136792 12282022
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 347019564 12202022
Cash Payment E 609-49750-253 Wine For Resale
WINE
Invoice 347044238 12212022
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR CREDIT
Invoice 1600014187 2/82022
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR CREDIT
Invoice 410463105 12292022
Transaction Date 12292022
U.S. Bank 10100 10100
Refer
908 CAPITOL BEVERAGE SALES, L.P.
_
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 2779506
12282022
Cash Payment
E 609-49750-252 Beer For Resale
BEER CREDIT
Invoice 2779507
12282022
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 2779509
12282022
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 2779510
12282022
Transaction Date
12292022
U.S. Bank 10100 10100
Refer 909 CLEAR RIVER BEVERAGE CO. _
Cash Payment E 609-49750-252 Beer For Resale BEER
Invoice 666433 12272022
Cash Payment E 609-49750-253 Wine For Resale WINE
Invoice 666433 12272022
Total
Total
$256.00
$3,264.77
$1,224.00
$3,863.51
$2,243.80
-$155.00
-$269.05
$10,428.03
$130.50
-$46.50
$3,151.85
$55.05
$3,290.90
$298.50
$106.50
CITY OF MOUND
Payments
Current Period: Closing 2022
01/05/23 12:27 PM
Page 4
Transaction Date 12292022 U.S. Bank 10100 10100 Total $405.00
Refer
910 DAHLHEIMER BEVERAGE LLC
_
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$1,262.45
Invoice 1804328
12212022
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$595.35
Invoice 1809336
12292022
Cash Payment
E 609-49750-252 Beer For Resale
BEER CREDIT
-$36.00
Invoice 1804301
12202022
Transaction Date
12292022
U.S. Bank 10100 10100 Total
$1,821.80
Refer
911 HOHENSTEINS, INCORPORATED
_
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$25.50
Invoice 568495
12202022
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Res
MIX
$57.50
Invoice 568495
12202022
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$1,514.60
Invoice 568496
12202022
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$52.50
Invoice 569940
12272022
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Res
MIX
$23.00
Invoice 569940
12272022
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$868.80
Invoice 569941
12272022
Transaction Date
12292022
U.S. Bank 10100 10100 Total
$2,541.90
Refer
912 INSIGHT BREWING COMPANY
_
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$260.90
Invoice 3984
12/302022
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$450.95
Invoice 3918
12212022
Transaction Date
12292022
U.S. Bank 10100 10100 Total
$711.85
Refer
914 JOHNSON BROTHERS LIQUOR
_
Cash Payment
E 609-49750-253 Wine For Resale
WINE- PAY BACK CREDIT TAKEN TWICE
$14.67
Invoice 232283-2
12/52022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR CREDIT
-$0.75
Invoice 232261
12/122022
Cash Payment
E 609-49750-253 Wine For Resale
WINE CREDIT
-$40.00
Invoice 234237
12/162022
Cash Payment
E 609-49750-253 Wine For Resale
WINE CREDIT
-$5.00
Invoice 232282 12/52022
Transaction Date 12292022 U.S. Bank 10100 10100 Total-$31.08
Refer
913 JOHNSON BROTHERS LIQUOR _
Cash Payment
E 609-49750-260 Liquor Discount
LIQUOR
$1,602.98
Invoice 2205773
12212022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$1,041.00
Invoice 2205771
12212022
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$3,182.69
Invoice 2205774
12212022
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Res
MIX
$26.00
Invoice 2209328
12282022
CITY OF MOUND
Payments
Current Period: Closing 2022
01/05/23 12:27 PM
Page 5
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$3,532.45
Invoice 2209326
12212022
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$108.00
Invoice 2205772
12212022
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$7,383.70
Invoice 2209327
12212022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$385.20
Invoice 2202941
12/192022
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$335.88
Invoice 2202942
12212022
Transaction Date
12292022
U.S. Bank 10100 10100
Total
$17,597.90
Refer
915 LIBATION PROJECT
_
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$211.96
Invoice 53733
12282022
Transaction Date
12292022
U.S. Bank 10100 10100
Total
$211.96
Refer
916 MARLIN S TRUCKING DELIVERY
_
Cash Payment
E 609-49750-265 Freight
DELIVERY SVC 12-01-22
$499.10
Invoice 39798
12/12022
Cash Payment
E 609-49750-265 Freight
DELIVERY SVC 12-08-22
$282.10
Invoice 39812
12/82022
Cash Payment
E 609-49750-265 Freight
DELIVERY SVC 12-14-22
$52.70
Invoice 39828
12/142022
Cash Payment
E 609-49750-265 Freight
DELIVERY SVC 12-15-22
$144.15
Invoice 39829
12/152022
Transaction Date
12292022
U.S. Bank 10100 10100
Total
$978.05
Refer
917 MAVERICK WINE COMPANY
_
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$339.00
Invoice 899089
12282022
Transaction Date
12292022
U.S. Bank 10100 10100
Total
$339.00
Refer
918 MOUND, CITY OF
_
Cash Payment
E 609-49750-382 Water Utilities
WATER SERVICE 10-31-22 THRU
12-01-22-
$72.88
HWS
Invoice 122922
12202022
Transaction Date
1/42023
U.S. Bank 10100 10100
Total
$72.88
Refer
919 PAUSTIS AND SONS WINE COMPA
_
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$688.83
Invoice 188627
12262022
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$777.50
Invoice 187984
12/192022
Transaction Date
12292022
U.S. Bank 10100 10100
Total
$1,466.33
Refer
921 PHILLIPS WINE AND SPIRITS, INC
_
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$652.44
Invoice 6518445
12212022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$135.00
Invoice 6518444
12212022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR CREDIT
-$180.00
Invoice 687039
12212022
CITY OF MOUND
Payments
Current Period: Closing 2022
01/05/23 12:27 PM
Page 6
Transaction Date 12292022 U.S. Bank 10100 10100 Total $607.44
Refer
920 PHILLIPS WINE AND SPIRITS, INC _
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$3,602.80
Invoice 6521377
12282022
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$72.00
Invoice 6521379
12282022
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Res
MIX
$52.00
Invoice 6521379
12282022
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$2,068.64
Invoice 6521378
12282022
Transaction Date
12292022
U.S. Bank 10100 10100
Total $5,795.44
Refer
922 SHAMROCK GROUP, INC. _
Cash Payment
E 609-49750-255 Misc Merchandise For R
ICE
$176.05
Invoice 2845830
12212022
Cash Payment
E 609-49750-255 Misc Merchandise For R
ICE
$323.70
Invoice 2847484
12272022
Transaction Date
12292022
U.S. Bank 10100 10100
Total $499.75
Refer
923 SOUTHERN WINE & SPIRITS OF M _
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$36.00
Invoice 2295899
12222022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$631.85
Invoice 2295203
12212022
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Res
MIX
$178.12
Invoice 2295898
12222022
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$1,870.57
Invoice 2295204
12212022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$1,545.65
Invoice 2295202
12212022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$124.67
Invoice 2295201
12212022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$292.50
Invoice 2295897
12222022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR CREDIT
-$213.87
Invoice 38477
8/12022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR CREDIT
-$447.00
Invoice 39722
10/32022
Cash Payment
E 609-49750-253 Wine For Resale
WINE CREDIT
-$162.00
Invoice 39721
10/32022
Cash Payment
E 609-49750-253 Wine For Resale
WINE CREDIT
-$230.65
Invoice 41222
12/152022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR CREDIT
-$9.76
Invoice 9470729
12/152022
Cash Payment
E 609-49750-253 Wine For Resale
WINE CREDIT
-$44.00
Invoice 9470728
12/152022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR CREDIT
-$18.00
Invoice 9472074
12212022
Cash Payment
E 609-49750-253 Wine For Resale
WINE CREDIT
-$180.00
Invoice 9470493
12/152022
CITY OF MOUND
Payments
Current Period: Closing 2022
01/05/23 12:27 PM
Page 7
Cash Payment
E 609-49750-253 Wine For Resale
WINE CREDIT
-$43.75
Invoice 9472143
12212022
Transaction Date
12292022
U.S. Bank 10100
10100
Total
$3,330.33
Refer
924 SOUTHERN WINE & SPIRITS OF M
_
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$2,808.70
Invoice 2298153
12292022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$361.50
Invoice 2298151
12292022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$767.33
Invoice 2298154
12292022
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$520.00
Invoice 2298156
12292022
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$2,900.00
Invoice 2298152
12292022
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Res
MIX
$115.00
Invoice 2298155
12292022
Transaction Date
12292022
U.S. Bank 10100
10100
Total
$7,472.53
Refer
925 VINOCOPIA, INCORPORATED
_
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$137.75
Invoice 0320569
12232022
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$98.50
Invoice 0320570
12232022
Transaction Date
12292022
U.S. Bank 10100
10100
Total
$236.25
Refer
926 WINE COMPANY
_
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$245.00
Invoice 224325
12292022
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$454.70
Invoice 223775
12222022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$270.00
Invoice 224325
12292022
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$68.00
Invoice 223775
12222022
Transaction Date
12292022
U.S. Bank 10100
10100
Total
$1,037.70
Refer 927 WINE MERCHANTS
Cash Payment
E 609-49750-253 Wine For Resale
Invoice 7410380
12282022
Cash Payment
E 609-49750-253 Wine For Resale
Invoice 7409577
12212022
Transaction Date
12292022
Refer 928 WINEBOW
Cash Payment E 609-49750-253 Wine For Resale
Invoice 124310 12282022
Transaction Date 12292022
WINE
WINE
U.S. Bank 10100 10100
WINE
U.S. Bank 10100 10100
Refer
929 Z WINES USA LLC _
Cash Payment
E 609-49750-253 Wine For Resale WINE
Invoice 26024
12282022
Transaction Date 12292022 U.S. Bank 10100 10100
$1,486.88
$1,470.00
Total $2,956.88
$332.19
Total $332.19
$173.00
Total $173.00
Fund Summary
CITY OF MOUND 01/05/2312:27 PM
Page 8
Payments
Current Period: Closing 2022
10100 U.S. Bank 10100
609 MUNICIPAL LIQUOR FUND $82,567.13
$82,567.13
20200 Accounts Payable
609 MUNICIPAL LIQUOR FUND $632.50
$632.50
Pre -Written Checks $0.00
Checks to be Generated by the Computer $83,199.63
Total $83,199.63
CITY OF MOUND
Payments
Current Period: Closing 2022
Payments Batch 2022AP-3 $52,900.09
Refer 942 AMERICAN MESSAGING _
Cash Payment E 602-49450-321 Telephone, Cells, & Red MONTHLY PAGER INSURANCE &
REPLACEMENT-DECEMBER 2022- UTILITIES
Invoice D2062026XA 1/12023
Cash Payment E 601-49400-321 Telephone, Cells, & Red MONTHLY PAGER INSURANCE &
REPLACEMENT-DECEMBER 2022- UTILITIES
Invoice D2062026XA 1/12023
Transaction Date 1/52023 Due 12/312022 Accounts Payable 20200 Total
Refer 935 CENTERPOINT ENERGY
Cash Payment E 602-49450-383 Gas Utilities
Invoice 122022 12222022
5808 GRANDVIEW BLVD LS GENERATOR
NATL GAS SVC 11-20-22 THRU 12-20-22
Transaction Date 1/42023 Due 10/222022 Accounts Payable 20200 Total
Refer 934 CINTAS _
Cash Payment E 602-49450-210 Operating Supplies MATS, TOWELS, CENTERPULL TOWEL
REFILL- PUB WKS SHOP- 1222/22
Invoice 4141236097 12222022 Project 22-5
Cash Payment E 602-49450-210 Operating Supplies MATS, TOWELS, CENTERPULL TOWEL
REFILL- PUB WKS SHOP- 1229/22
Invoice 4141826056 12292022 Project 22-5
Transaction Date 1/42023 Due 12:00:00 AM Accounts Payable 20200 Total
Refer 943 COMPASS MINERALS AMERICA _
Cash Payment E 101-43100-224 Street Maint Materials BULK COARSE HWY MIX- 46.68 TON
DELIVERED 12-15-22
Invoice 1094931 12/152022
Transaction Date 1/42023 Due 12/312022 Accounts Payable 20200
Refer 944 CORE & MAIN LP
Cash Payment
E 601-49400-210 Operating Supplies
6 QTY IPERL WATER METERS
Invoice R988972
12222022
Transaction Date
1/52023 Due 1/52023
Accounts Payable 20200
Refer
931 GOPHER STATE ONE CALL, INC
_
Cash Payment
E 601-49400-395 Gopher One -Call
DECEMBER 2022 LOCATES
Invoice 2120615
12/312022
Cash Payment
E 602-49450-395 Gopher One -Call
DECEMBER 2022 LOCATES
Invoice 2120615
12/312022
Transaction Date
1/42023 Due 10/222022
Accounts Payable 20200
Refer
AP Payment
Invoice 1222-85
Transaction Date
Refer
AP Payment
941 HENNEPIN COUNTY PROPERTY T _
E 310-47000-620 Fiscal Agent s Fees SPECIAL ASSESSMENT 2022 SVC FEE -
LEVY #18835
12282022
1/52023 Due 10/222022 Accounts Payable 20200
01/05/23 12:25 PM
Page 1
$2.70
$2.70
$5.40
$40.67
$40.67
$58.40
$58.40
$116.80
$4,014.01
Total $4,014.01
$1,487.18
Total $1,487.18
$16.20
$16.20
Total $32.40
Total
945 JOHNSON CONTROLS - TYCO INC. _
E 222-42260-440 Other Contractual Servic 5-YEAR INSPECTION ON BACKFLOW
SYSTEM @ PUBLIC SAFETY BLDG- FIRE
DEPT & CITY HALL SPLIT- 12-15-22
Invoice 89418887 12272022
$6.00
$6.00
$193.50
CITY OF MOUND
Payments
Current Period: Closing 2022
01/05/23 12:25 PM
Page 2
AP Payment
E 101-41930-440 Other Contractual Servic 5-YEAR INSPECTION ON BACKFLOW
$193.50
SYSTEM @ PUBLIC SAFETY BLDG- FIRE
DEPT & CITY HALL SPLIT- 12-15-22
Invoice 89418887 12272022
AP Payment
E 609-49750-440 Other Contractual Servic
EMERGENCY LIGHT & EXIT LIGHT
$262.50
INSPECTION @ HWS 12-14-22- TECH
REPLACED 5 QTY 6V 4AH BATTERIES
Invoice 89388749 12/142022
Transaction Date
1/52023 Due 12/312022
Accounts Payable 20200 Total
$649.50
Refer
932 JUBILEE FOODS-(HWS)
_
Cash Payment
E 609-49750-210 Operating Supplies
PAPER TOWELS- HWS
$3.40
Invoice 123122
12/172022
Cash Payment
E 609-49750-210 Operating Supplies
WHITE VINEGAR- CLEANING- HWS
$5.98
Invoice 123122
12/312022
Cash Payment
E 609-49750-431 Meeting Expense
HOT DELI DINNERS, COOKIES, LIL DEBI
$47.27
SNACKS- HOLIDAY STAFF LUNCH- 12-31-22 -
HWS
Invoice 123122
12/312022
Transaction Date
1/42023 Due 1/42023
Accounts Payable 20200 Total
$56.65
Refer
936 KRESS, BRENT
_
Cash Payment
E 101-43100-218 Clothing and Uniforms
2022 BOOT ALLOWANCE REIMBURSEMENT
$225.00
PER CONTRACT- B. KLRESS
Invoice 123022
12/302022
Transaction Date
1/42023 Due 1/42023
Accounts Payable 20200 Total
$225.00
Refer
946 MARLIN S TRUCKING DELIVERY
_
AP Payment
E 609-49750-265 Freight
DELIVERY SVC 12-21-22
$124.00
Invoice 39846
12212022
AP Payment
E 609-49750-265 Freight
DELIVERY SVC 12-22-22
$161.20
Invoice 39848
12222022
AP Payment
E 609-49750-265 Freight
DELIVERY SVC 12-28-22
$389.05
Invoice 39863
12282022
Transaction Date
1/52023 Due 12/312022
Accounts Payable 20200 Total
$674.25
Refer
951 MINNESOTA VALLEY TESTING LA
_
Cash Payment
E 601-49400-470 Water Samples
MONTHLY CHLORINE REPORT & COLIFORM
$135.75
WATER TESTS -10
Invoice 1179853
12232022
Transaction Date
1/52023 Due 12/312022
Accounts Payable 20200 Total
$135.75
Refer
947 MRI SOFTWARE LLC
_
AP Payment
E 609-49750-305 Medical Services
BACKGROUND SCREENING & REPORT- PRE
$53.95
EMPLOYMENT- N. MAXWELL- HWS
Invoice 1300637
12/312022
Transaction Date
1/52023 Due 12/312022
Accounts Payable 20200 Total
$53.95
Refer
930 NASSEFF MECHANICAL CONTRAC
_
Cash Payment
E 101-41930-440 Other Contractual Servic
REBUILD 2 RPZ VALVES- 4" VALVE- FIRE
$3,818.43
TRUCK FILLS, GARDEN HOSES & 1 12"
VALVE LAWN IRRIGATION @ PUBLIC
SAFETY BLDG- FIRE DEPT & CITH HALL
SPLIT
RR7 =1VAiD1Mily,01111A
CITY OF MOUND 01/05/2312:25 PM
Page 3
Payments
Current Period: Closing 2022
Cash Payment
E 222-42260-440 Other Contractual Servic REBUILD 2 RPZ VALVES- 4" VALVE- FIRE
$3,818.44
TRUCK FILLS, GARDEN HOSES & 1 1/2"
VALVE LAWN IRRIGATION @ PUBLIC
SAFETY BLDG- FIRE DEPT & CITH HALL
SPLIT
Invoice 47319
12/302022
Transaction Date
1/42023 Due 10/222022
Accounts Payable 20200 Total
$7,636.87
Refer
948 NORTH AMERICAN SAFETY INC.
_
AP Payment
E 101-43100-218 Clothing and Uniforms
2 MAJESTIC RAIN COATS- SAFETY GREEN
$74.00
WITH MOUND LOGO- 2 NEW STREET DEPT
STAFF- J. STUHR & B. LEESCH
Invoice 72521
12212022
AP Payment
E 101-43100-218 Clothing and Uniforms
2 RADIANS HI-VIS RAIN PANTS- SAFETY
$39.98
GREEN WITH MOUND LOGO- 2 NEW
STREET DEPT STAFF- J. STUHR & B.
LEESCH
Invoice 72521
12212022
AP Payment
E 101-45200-218 Clothing and Uniforms
1 MAJESTIC RAIN COAT- SAFETY GREEN
$37.00
WITH MOUND LOGO- PARKS DEPT- E.
STRICKLAND
Invoice 72521
12212022
AP Payment
E 601-49400-218 Clothing and Uniforms
1 MAJESTIC RAIN COAT- SAFETY GREEN
$37.00
WITH MOUND LOGO- NEW UTILITIES DEPT
STAFF-T. HENTGES
Invoice 72521
12212022
AP Payment
E 101-45200-218 Clothing and Uniforms
1 RADIANS HI-VIS RAIN PANT- SAFETY
$19.99
GREEN WITH MOUND LOGO- PARKS DEPT-
E. STRICKCLAND
Invoice 72521
12212022
AP Payment
E 601-49400-218 Clothing and Uniforms
1 RADIANS HI-VIS RAIN PANT- SAFETY
$19.99
GREEN WITH MOUND LOGO- NEW
UTILITIES DEPT STAFF -T. HENTGES
Invoice 72521
12212022
Transaction Date
1/52023 Due 12/312022
Accounts Payable 20200 Total
$227.96
Refer
938 OFFICE DEPOT (FIRE)
_
Cash Payment
E 222-42260-200 Office Supplies
4' X6' MAGNETIC DRY ERASE WHITEBOARD
$216.24
W/ EASEL ON ROLLING FRAME- FIRE DEPT
& EMERGENCY MGMT SPLIT
Invoice 282833411001
12/162022 PO 25333
AP Payment
E 101-42115-210 Operating Supplies
4' X6' MAGNETIC DRY ERASE WHITEBOARD
$216.25
W/ EASEL ON ROLLING FRAME- FIRE DEPT
& EMERGENCY MGMT SPLIT
Invoice 282833411001
12/162022 PO 25333
Transaction Date
1/42023 Due 1/42023
Accounts Payable 20200 Total
$432.49
Refer
937 OFFICE DEPOT
_
Cash Payment
E 101-41930-200 Office Supplies
VELCRO SQUARES FOR NAME PLATES-
$22.65
COUNCIL CHAMBERS, 10 ROLLS SCOTCH
TAPE W/ FREE DISPENSER- CITY HALL
Invoice 281973393001 12222022 PO 25092
Cash Payment
E 101-41930-200 Office Supplies
HEAVY DUTY 3-HOLE PUNCH- CITY HALL
$37.48
Invoice 281991220001 12222022 PO 25092
Transaction Date
1/42023 Due 12/312022
Accounts Payable 20200 Total
$60.13
Refer
939 POTTS, KENNETH N. P.A.
CITY OF MOUND 01/05/2312:25 PM
Page 4
Payments
Current Period: Closing 2022
Cash Payment E 101-41600-304 Legal Fees
4TH QTR 2022 PROSECUTION SVCS
$12,500.00
Invoice 123122 12/312022
Transaction Date 1/42023 Due 1/42023
Accounts Payable 20200 Total
$12,500.00
Refer 940 REPUBLIC SERVICES
_
Cash Payment E 670-49500-440 Other Contractual Servic
DECEMBER 2022 CITYWIDE RECYCLING
$18,650.70
SVC
Invoice 0894-006024243 12252022
Transaction Date 1/42023 Due 1/42023
Accounts Payable 20200 Total
$18,650.70
Refer 950 ROBERTS, COLLETTE
_
AP Payment E 101-41500-331 Use of personal auto
REIMBURSE MILEAGE- TO HWS- NEW EE
$39.38
ORIENTATIONS- MAIL TO POST OFFICE,
MUNICIPALS ANNUAL SEMINAR @ LOGIS
GOLDEN VALLEY- NOV & DEC 2022- C.
ROBERTS
Invoice 122922 12292022
AP Payment E 101-41500-305 Medical Services
REIMBURSE BI-ANNUAL EYE EAM &
$50.00
EYEWEAR PER ADMINISTRATIVE CODE- C.
ROBERTS
Invoice 122922 12292022
Transaction Date 1/52023 Due 12/312022
Accounts Payable 20200 Total
$89.38
Refer 933 TESSEN, MICHAEL
_
Cash Payment E 601-49400-218 Clothing and Uniforms
2022 BOOT ALLOWANCE REIMBURSEMENT
$225.00
PER CONTRACT- M. TESSEN
Invoice 123022 12/302022
Transaction Date 1/42023 Due 1/42023
Accounts Payable 20200 Total
$225.00
Refer 949 WIDMER CONSTRUCTION, LLC
Cash Payment E 601-49400-440 Other Contractual Servic
REPAIR WATERMAIN @ 2939 DEVON LNE 12-
$5,580.00
22-22
Invoice 5148 12292022
Transaction Date 1/42023 Due 12/312022
Accounts Payable 20200 Total
$5,580.00
Fund Summary
20200 Accounts Payable
101 GENERAL FUND
$21,287.67
222 AREA FIRE SERVICES
$4,228.18
310 GO IMPROVEMENT-2013A
$6.00
601 WATER FUND
$7,503.82
602 SEWER FUND
$176.37
609 MUNICIPAL LIQUOR FUND
$1,047.35
670 RECYCLING FUND
$18,650.70
$52,900.09
Pre -Written Checks $0.00
Checks to be Generated by the Computer $52,900.09
Total $52,900.09
CITY OF MOUND 01/05/2312:21 PM
Page 1
Payments
Current Period: January 2023
Payments Batch 011023CITY $91,671.32
Refer
1 AMERICAN WATERWORKS ASSO _
Cash Payment
E 601-49400-433 Dues and Subscriptions
MEMBERSHIP DUES 2-1-23 THRU 1-31-24 R.
$365.00
PRICH & CITY OF MOUND- AWWA & MN
SECTION AWWA
Invoice 7002067332 1/12023
Transaction Date
1/52023
U.S. Bank 10100 10100 Total
$365.00
Refer
4 AUTHORITY TITLE INC. _
Cash Payment
R 601-49400-36200 Miscellaneous Raven
5133 EMERALD DR. - R. ERICKSON- UTILITY
$98.40
REFUND- AUTHORITY TITLE-EP
Invoice 123122
1/32023
Transaction Date
1/42023
U.S. Bank 10100 10100 Total
$98.40
Refer
2 BERRY COFFEE COMPANY _
Cash Payment
E 222-42260-430 Miscellaneous
JANUARY & FEBRUARY 2023 RENTAL &
$55.64
MTCE- COFFEE MACHINE FIRE DEPT
Invoice 930305
1/12023
Transaction Date
1/42023
U.S. Bank 10100 10100 Total
$55.64
Refer
3 CARAHSOFT TECHNOLOGY CORP _
Cash Payment
E 101-43100-433 Dues and Subscriptions
SIGN SHOP- OPEN ROADS SIGN CAD
$976.00
SELECT- ANNUAL SUBSCRIPTION BENTLEY-
2-9-23 THRU 2-8-24
Invoice 36748946 1/12023
Transaction Date
1/42023
U.S. Bank 10100 10100 Total
$976.00
Refer
5 EMBEDDED SYSTEMS, INC. _
Cash Payment
E 101-42115-329 Sirens/Phone Linesl
CITY EMERGENCY ALERT -SIREN MTCE
$871.74
SVCS- 6 MOB JAN 1 2023 THRU JUNE 30
Invoice 344461
1/52023
Transaction Date
1/52023
U.S. Bank 10100 10100 Total
$871.74
Refer
6 FIREDEPTASSOC OFMINNESOT _
Cash Payment
E 222-42260-433 Dues and Subscriptions
2023 MINNESOTA STATE FIRE DEPT ASSOC
$450.00
MEMBERSHIP DUES
Invoice 02023
1/12023
Transaction Date
1/52023
U.S. Bank 10100 10100 Total
$450.00
Refer
7 GWORKS _
Cash Payment
E 101-45200-205 Computer Hardware/Sof
PARKS DEPT- ANNUAL SUBSCRIPTION-
$1,800.00
SIMPLE CITY CLOUD PHYSICAL ASSET
MGMT 1-16-2023 THRU 1-15-2024
Invoice 2019-10004 11/162022
Cash Payment
E 101-43100-205 Computer Hardware/Sof
STREETS DEPT- ANNUAL SUBSCRIPTION-
$1,800.00
SIMPLE CITY CLOUD PHYSICAL ASSET
MGMT 1-16-2023 THRU 1-15-2024
Invoice 2019-10004 11/162022
Cash Payment
E 101-42400-205 Computer Hardware/Sof
PLANNING DEPT- ANNUAL SUBSCRIPTION-
$1,800.00
SIMPLE CITY CLOUD PHYSICAL ASSET
MGMT 1-16-2023 THRU 1-15-2024
Invoice 2019-10004 11/162022
CITY OF MOUND 01/05/2312:21 PM
Page 2
Payments
Current Period: January 2023
Cash Payment
E 101-43100-205 Computer Hardware/Sof STORM WATER/STORM SEWER -ANNUAL
$1,800.00
SUBSCRIPTION- SIMPLE CITY CLOUD
PHYSICAL ASSET MGMT 1-16-2023 THRU 1-
15-2024
Invoice 2019-10004 11/162022
Cash Payment
E 601-49400-205 Computer Hardware/Sof
WATER DEPT- ANNUAL SUBSCRIPTION-
$1,800.00
SIMPLE CITY CLOUD PHYSICAL ASSET
MGMT 1-16-2023 THRU 1-15-2024
Invoice 2019-10004 11/162022
Cash Payment
E 602-49450-205 Computer Hardware/Sof
SEWER DEPT- ANNUAL SUBSCRIPTION-
$1,800.00
SIMPLE CITY CLOUD PHYSICAL ASSET
MGMT 1-16-2023 THRU 1-15-2024
Invoice 2019-10004 11/162022
Transaction Date
12/72022
U.S. Bank 10100 10100 Total
$10,800.00
Refer
8 JOHNSON CONTROLS - TYCO INC.
Cash Payment
E 609-49750-440 Other Contractual Servic 2023 ANNUAL FIRE/BURGLAR ALARM
$545.00
SYSTEM MONITORING- HWS
Invoice 23249365 1/12023
Cash Payment
E 101-41910-440 Other Contractual Servic 2023 ANNUAL CENTENNIAL BLDG FIRE
$375.00
ALARM & DETECTION MONITORING
Invoice 23249480 1/12023
Cash Payment
E 602-49450-440 Other Contractual Servic 2023 ANNUAL PUB WKS BLDG FIRE ALARM
$375.00
& DETECTION MONITORING
Invoice 23249014 1/12023
Project 23-4
Transaction Date
1/52023
U.S. Bank 10100 10100 Total
$1,295.00
Refer
9 METROPOLITAN COUNCIL WASTE
_
Cash Payment
E 602-49450-388 Waste Disposal-MCIS
WASTEWATER SVCS JANUARY 2023
$67,220.54
Invoice 0001148963 1/12023
Transaction Date
1/42023
U.S. Bank 10100 10100 Total
$67,220.54
Refer
13 MINNESOTA RURAL WATER ASSO
_
Cash Payment
E 601-49400-433 Dues and Subscriptions
2023 MEMBERSHIP MINNESOTA RURAL
$400.00
WATER ASSOC.
Invoice 010123
1/12023
Transaction Date
1/42023
U.S. Bank 10100 10100 Total
$400.00
Refer
15 MINNESOTA SECRETARY OF STA
_
Cash Payment
E 101-41500-433 Dues and Subscriptions
NOTARY COMMISSION RENEWAL- J.
$120.00
HOLMQUIST- COMMISSION #20095753
Invoice 010123
1/52023
Transaction Date
1/42023
U.S. Bank 10100 10100 Total
$120.00
Refer
12 MOUND MARKETPLACE ASSOC
_
Cash Payment
E 609-49750-412 Building Rentals
JANUUARY 2023 COMMON AREA MTCE &
$1,600.75
INSURANCE HWS
Invoice 01012023 1/12023
Transaction Date
1/42023
U.S. Bank 10100 10100 Total
$1,600.75
Refer
10 PRIME ADVERTISING & DESIGN IN
_
Cash Payment
E 609-49750-340 Advertising
2023 ANNUAL WEBSITE HOSTING-
$1,200.00
WW W. HARBORW INESPIRITS.COM
Invoice 84054
1/12023
Transaction Date
1/42023
U.S. Bank 10100 10100 Total
$1,200.00
Refer
11 REPUBLIC SERVICES
_
CITY OF MOUND
Payments
Current Period: January 2023
Cash Payment E 602-49450-384 Refuse/Garbage Dispos JANUARY 2022 GARBAGE SVC- PUB WKS &
PARKS
Invoice 0894-006025634 12252022
Cash Payment E 670-49500-430 Miscellaneous
Invoice 0894-006026623 12252022
Transaction Date 1/42023
Refer
Cash Payment
Invoice 3238
Cash Payment
Invoice 3238
Cash Payment
Invoice 3238
Cash Payment
Invoice 3238
Cash Payment
Invoice 3238
Cash Payment
Invoice 3238
Cash Payment
Invoice 3238
Cash Payment
Invoice 3238
Cash Payment
Invoice 3238
Transaction Date
Project 23-4
JANUARY 2022 CITYWIDE ORGANICS
PROGRAM PICKUP SVC
U.S. Bank 10100 10100 Total
14 SAFE ASSURE CONSULTANTS, IN
_
E 101-41310-434 Conference & Training
SAFETY TRAINING & CONSULTING 2023
1/12023
E 101-41500-434 Conference & Training
SAFETY TRAINING & CONSULTING 2023
1/12023
E 101-42400-434 Conference & Training
SAFETY TRAINING & CONSULTING 2023
1/12023
E 101-43100-434 Conference & Training
SAFETY TRAINING & CONSULTING 2023
1/12023
E 101-45200-434 Conference & Training
SAFETY TRAINING & CONSULTING 2023
1/12023
E 601-49400-434 Conference & Training
SAFETY TRAINING & CONSULTING 2023
1/12023
E 602-49450-434 Conference & Training
SAFETY TRAINING & CONSULTING 2023
1/12023
E 609-49750-434 Conference & Training
SAFETY TRAINING & CONSULTING 2023
1/12023
E 222-42260-434 Conference & Training
SAFETY TRAINING & CONSULTING 2023
1/12023
Fund Summary
1/42023 U.S. Bank 10100 10100 Total
101 GENERAL FUND
222 AREA FIRE SERVICES
601 WATER FUND
602 SEWER FUND
609 MUNICIPAL LIQUOR FUND
670 RECYCLING FUND
10100 U.S. Bank 10100
$11,642.74
$2,621.94
$3,073.40
$70,208.17
$3,965.75
$159.32
$91,671.32
Pre -Written Checks $0.00
Checks to be Generated by the Computer $91,671.32
Total $91,671.32
01/05/2312:21 PM
Page 3
$402.63
$159.32
$561.95
$120.00
$440.00
$350.00
$540.00
$650.00
$410.00
$410.00
$620.00
$2,116.30
$5,656.30
Payments Batch 011023CITY-2
CITY OF MOUND
Payments
Current Period: January 2023
$10, 095.02
Refer 16 CADY BUILDING MAINTENANCE
Cash Payment E 101-41930-460 Janitorial Services
Invoice 4985757 1/12023
Cash Payment E 222-42260-460 Janitorial Services
Invoice 4985757 1/12023
Cash Payment E 602-49450-460 Janitorial Services
Invoice 4985757 1/12023
Cash Payment E 101-41910-460 Janitorial Services
Invoice 4985757 1/12023
Cash Payment E 101-41910-210 Operating Supplies
Invoice 4985757 1/12023
Cash Payment E 602-49450-210 Operating Supplies
Invoice 4985757 1/12023
Cash Payment E 101-41930-210 Operating Supplies
Invoice 4985757 1/12023
Cash Payment E 222-42260-210 Operating Supplies
Invoice 4985757 1/12023
Transaction Date 1/62023
JANUARY 2023 CLEANING SVCS- CITY HALL
/POLICE
JANUARY 2023 CLEANING SVCS- FIRE DEPT
JANUARY 2023 CLEANING SVCS- PUBLIC
WORKS BLDG
Project 23-4
JANUARY 2023 CLEANING SVCS-
CENTENNIAL BLDG
CLEANING SUPPLIES- MULTI -FOLD
TOWELS, LARGE & MEDIUM TRASH CAN
LINERS
CLEANING SUPPLIES- MULTI -FOLD
TOWELS, LARGE & MEDIUM TRASH CAN
LINERS
Project 23-4
CLEANING SUPPLIES- MULTI -FOLD
TOWELS, LARGE & MEDIUM TRASH CAN
LINERS
CLEANING SUPPLIES- MULTI -FOLD
TOWELS, LARGE & MEDIUM TRASH CAN
LINERS
U.S. Bank 10100 10100
Refer 17 FIVE TECHNOLOGY _
Cash Payment E 101-41920-440 Other Contractual Servic MONTHLY MANAGED SVC & NETWORK
MTCE- JANUARY 2023
Invoice 10123-14 1/12023
Transaction Date 1/62023 U.S. Bank 10100 10100
01/05/23 12:22 PM
Page 1
$607.75
$327.25
$297.00
$636.90
$73.71
$73.71
$95.82
$51.60
Total $2,163.74
$1,290.00
Total $1,290.00
Refer 18 FRONTIER/CITIZENS COMMUNICA _
Cash Payment E 222-42260-321 Telephone, Cells, & Red NETWORK ETHERNET SVC 12-22-22 THRU 1-
21-23
Invoice 011023 12222022
Cash Payment E 101-41920-321 Telephone, Cells, & Red NETWORK ETHERNET SVC 12-22-22 THRU 1-
21-23
Invoice 011023 12222022
Transaction Date 1/42023 U.S. Bank 10100 10100 Total
Refer 22 LAKE MINNETONKA CONSERVATI _
Cash Payment E 101-41110-433 Dues and Subscriptions 1ST QTR 2023 LMCD LEVY PAYMENT
ANNUAL MUNICIPAL DUES
Invoice 22023Q1MOUND 12272022
Transaction Date 1/52023 U.S. Bank 10100 10100
Refer 19 LASKEY, OLIVIA
$150.00
$175.00
$325.00
$4,206.25
Total $4,206.25
CITY OF MOUND
Payments
Current Period: January 2023
Cash Payment E 101-41920-440 Other Contractual Servic 8 HOUR SUPPORT BLOCK- ADOBE IN
DESIGN
Invoice 2 1/32023
Transaction Date 1/52023 U.S. Bank 10100 10100
Refer 21 MINUTEMAN PRESS _
Cash Payment E 101-41110-210 Operating Supplies 2 MAGNETIC NAME BADGES- MAYOR
JASON R. HOLT W/ CITY LOGO
Invoice 22512 12292022
Transaction Date 1/52023 U.S. Bank 10100 10100
01/05/23 12:22 PM
Page 2
$720.00
Total $720.00
$50.53
Total
Refer
20 UHL COMPANY _
Cash Payment
E 101-41930-400 Repairs & Maintenance-
PREVENTATIVE MTCE CONTRACT- CITY
HALL 1ST QTR 2023
Invoice 70621
1/42023
Cash Payment
E 222-42260-402 Building Maintenance
PREVENTATIVE MTCE CONTRACT- FIRE
DEPT 1ST QTR 2023
Invoice 70621
1/42023
Transaction Date
1/52023
U.S. Bank 10100 10100 Total
Fund Summary
101 GENERAL FUND
222 AREA FIRE SERVICES
602 SEWER FUND
10100 U.S. Bank 10100
$8,525.71
$1,198.60
$370.71
$10,095.02
Pre -Written Checks $0.00
Checks to be Generated by the Computer $10,095.02
Total $10,095.02
$50.53
$669.75
$669.75
$1,339.50
CITY OF MOUND
Payments
Current Period: January 2023
Payments Batch 011023HWS $35,776.56
01/05/23 12:46 PM
Page 1
Refer 23 BACK CHANNEL BREWING
_
Cash Payment E 609-49750-252 Beer For Resale
BEER
$340.00
Invoice 1452 122023
Transaction Date 1/62023
U.S. Bank 10100
10100 Total
$340.00
Refer 24 BELLBOY CORPORATION
_
Cash Payment E 609-49750-210 Operating Supplies
SUPPLIES, BAGS
$70.25
Invoice 0106257400 1/42023
Cash Payment E 609-49750-254 Soft Drinks/Mix For Res
MIX
$171.75
Invoice 0106257500 1/42023
Cash Payment E 609-49750-255 Misc Merchandise For R
MDSE- CARDED AUGER
CORKSCREWS,
$10.95
DOUBLE JIGGER
Invoice 0106257500 1/42023
Transaction Date 1/62023
U.S. Bank 10100
10100 Total
$252.95
Refer 25 BELLBOY CORPORATION
_
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
$663.45
Invoice 0097918500 1/42023
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
$4,742.98
Invoice 0097974500 1/42023
Transaction Date 1/62023
U.S. Bank 10100
10100 Total
$5,406.43
Refer 26 BREAKTHRU BEVERAGE MN BEE
_
Cash Payment E 609-49750-252 Beer For Resale
BEER
$191.70
Invoice 347232789 1/32023
Cash Payment E 609-49750-252 Beer For Resale
BEER
$14,363.80
Invoice 347232788 1/32023
Cash Payment E 609-49750-252 Beer For Resale
BEER
$46.20
Invoice 347232789 1/32023
Cash Payment E 609-49750-252 Beer For Resale
BEER
$3,886.20
Invoice 347232789 1/32023
Transaction Date 1/62023
U.S. Bank 10100
10100 Total
$18,487.90
Refer 27 BREAKTHRU BEVERAGE MN WINE
_
Cash Payment E 609-49750-253 Wine For Resale
WINE
$489.50
Invoice 347244093 1/42023
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
$2,585.64
Invoice 347244094 1/42023
Transaction Date 1/62023
U.S. Bank 10100
10100 Total
$3,075.14
Refer 28 CAPITOL BEVERAGE SALES, L.P.
_
Cash Payment E 609-49750-252 Beer For Resale
BEER
$27.55
Invoice 2781977 1/42023
Cash Payment E 609-49750-252 Beer For Resale
BEER CREDIT
-$17.00
Invoice 2781973 1/42023
Cash Payment E 609-49750-252 Beer For Resale
BEER
$1,492.00
Invoice 2781976 1/42023
Cash Payment E 609-49750-254 Soft Drinks/Mix For Res
MIX
$76.49
Invoice 2781977 1/42023
Cash Payment E 609-49750-252 Beer For Resale
BEER
$127.20
Invoice 2781975 1/42023
CITY OF MOUND
Payments
Current Period: January 2023
01/05/23 12:46 PM
Page 2
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$31.50
Invoice 2781974
1/42023
Transaction Date
1/62023
U.S. Bank 10100
10100
Total
$1,737.74
Refer
29 CLEAR RIVER BEVERAGE CO.
_
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$609.52
Invoice 667388
1/32023
Transaction Date
1/62023
U.S. Bank 10100
10100
Total
$609.52
Refer
30 SOUTHERN WINE & SPIRITS OF M
_
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$929.91
Invoice 2300563
1/52023
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$3,306.35
Invoice 2300562
1/52023
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Res
MIX
$40.12
Invoice 2300561
1/52023
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$1,327.50
Invoice 2300560
1/52023
Transaction Date
1/62023
U.S. Bank 10100
10100
Total
$5,603.88
Refer
31 STEEL TOE BREWING, LLC
_
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$263.00
Invoice 48454
1/32023
Transaction Date
1/62023
U.S. Bank 10100
10100
Total
$263.00
Fund Summary
10100 U.S. Bank 10100
609 MUNICIPAL LIQUOR FUND $35,776.56
$35,776.56
Pre -Written Checks $0.00
Checks to be Generated by the Computer $35,776.56
Total $35,776.56
CITY OF MOUND
RESOLUTION NO. 23-
RESOLUTION APPOINTING PAULA LARSON
AS ACTING MAYOR FOR 2023
WHEREAS, Minnesota State Statutes Chapter 412.121 states that at its first meeting
each year the Council shall choose an Acting Mayor from the Councilmembers; and
WHEREAS, the Acting Mayor shall perform the duties of Mayor during the disability or
absence of the Mayor from the City or, in the case of vacancy in the office of Mayor,
until a successor has been appointed and qualifies.
NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of Mound,
Minnesota, to appoint Paula Larson as Acting Mayor for 2023.
Adopted by the City Council this 10th day of January, 2023.
Mayor Jason R. Holt
Attest: Kevin Kelly, Clerk
CITY OF MOUND
RESOLUTION NO. 23-
RESOLUTION APPOINTING CITY COUNCIL MEMBERS
AS REPRESENTATIVES OF THE CITY COUNCIL TO
COMMISSIONS AND COMMITTEES FOR 2023
BE IT RESOLVED that the City Council of the City of Mound, Minnesota, does hereby
appoint the following Council Members as Council Representatives to the following City
Advisory Commissions and Committees for the year 2023:
Parks and Open Space Commission — To Be Determined
Docks and Commons Commission — Sherrie Pugh
Planning Commission — Kathy McEnaney
Budget and Finance Committee — Jason Holt, To Be Determined
Personnel Committee — Jason Holt, Kathy McEnaney
Development Committee — Jason Holt, Paula Larson
Fire District Committee — Jason Holt, Paula Larson
Orono Police Commission — Jason Holt, Paula Larson
Suburban Rate Authority — Sherrie Pugh
Approved by the City Council this 10th day of January, 2023.
Mayor Jason R. Holt
Attest: Kevin Kelly, Clerk
CITY OF MOUND
RESOLUTION NO. 23-
RESOLUTION APPOINTING FINANCE DIRECTOR/CLERK/TREASURER
CATHERINE PAUSCHE AS ACTING CITY MANAGER FOR 2023
BE IT RESOLVED that the City Council of the City of Mound, Minnesota, does hereby
appoint Administrative Services Director Catherine Pausche as the Acting City Manager
for the year 2023, to act in this capacity if the City Manager is disabled, incapacitated,
away on City business, or away on vacation.
Adopted by the City Council this 10th day of January, 2023.
Mayor Jason R. Holt
Attest: Kevin Kelly, Clerk
CITY OF MOUND
RESOLUTION NO. 23-
RESOLUTION APPOINTING FIELD OFFICER
ANDREW DRILLING AS ASSISTANT WEED INSPECTOR FOR 2023
BE IT RESOLVED that the City Council of the City of Mound, Minnesota, does hereby
appoint Field Officer Andrew Drilling as the Assistant Weed Inspector for the City of
Mound for 2023.
Adopted by the City Council this 10th day of January, 2023.
Mayor Jason R. Holt
Attest: Kevin Kelly, Clerk
CITY OF MOUND
RESOLUTION NO. 23-
RESOLUTION APPROVING THE PURCHASE OF BONDING AS PROVIDED UNDER
MINNESOTA STATE STATUTE 412.111
WHEREAS, Minnesota State Statute 412.111 states the City Council may require any
officer or employee to furnish a bond conditioned for the faithful exercise of duties and
the proper application of, and payment upon demand of, all moneys officially received;
and
WHEREAS, The Council may provide for the payment from city funds of the premium
on the bond of any officer or employee of the city; and
WHEREAS, unless otherwise prescribed by law, the amount of the bonds shall be fixed
by the Council; and
WHEREAS, The League of Minnesota Cities Insurance Trust provides coverage to
meet the needs and requirements of Minnesota cities as part of the overall general
liability insurance coverage purchased by the City;
NOW, THEREFORE, BE IT RESOLVED that the City Council of the City of Mound,
Minnesota does hereby authorize bond coverage per Minnesota State Statute 412.111
in the amount set by the League of Minnesota Cities Insurance Trust as part of the
overall general liability insurance coverage purchased by the City as shown in
Attachment A and made a part herein.
Adopted by the City Council this 10th day of January, 2023.
Mayor Jason R. Holt
Attest: Kevin Kelly, Clerk
CITY OF MOUND
RESOLUTION NO. 23-
RESOLUTION DESIGNATING THE OFFICIAL
DEPOSITORIES FOR 2023
WHEREAS, Minnesota State Statute Chapter 427 requires the City to select an official
depository/depository for City funds within 30 days of the start of the City's fiscal year.
NOW, THEREFORE, BE IT RESOLVED that the City Council of the City of Mound, Minnesota,
does hereby designate the following banks and financial institutions as official depositories for
the City of Mound in 2023:
US Bank
Minnesota Municipal Money Market Funds (4M) Managed by PMA Financial Network, LLC
Citigroup Asset Mgmt (Morgan Stanley Smith Barney) RBC Dain Rauscher Capital Markets
Community Investment Partners Multi -Bank Securities, Inc. (MBS)
BE IT FURTHER RESOLVED that the City's deposits shall be protected by Federal Deposit
Insurance and/or collateral in accordance with MSA Chapter 118A.
BE IT FURTHER RESOLVED that the City Finance Director is hereby authorized to open or
continue an account or accounts with said institutions on such terms as required by said
institutions in the name of the City, and to deposit, or cause to be deposited in such account or
accounts, any monies, checks, drafts, orders, notes or other instruments for the payment of
money, upon compliance by said depository with this resolution and the law in such case
provided.
BE IT FURTHER RESOLVED that the designation shall continue in force until December 31,
2023, or until written notice of its revision or modification has been received by said institution.
Adopted by the City Council this 10'h day of January, 2023.
Mayor Jason R. Holt
Attest: Kevin Kelly, Clerk
CITY OF MOUND
RESOLUTION NO. 23-
RESOLUTION DESIGNATING THE LAKER
AS THE OFFICIAL NEWSPAPER FOR 2023
WHEREAS, Minnesota Statutes, section 412.831 states that the Council shall, annually,
at its first meeting of the year, designate a legal newspaper of general circulation in the
City as its official newspaper; and
WHEREAS, publication of ordinances and other matters as required by law are to be so
published, and such other matters as the Council may deem advisable and in the public
interest to have published in this manner; and
WHEREAS, Minnesota Statutes, section 331A.03, subdivision 3 authorizes the City to
use its website or recognized industry trade journals as an alternative to the official
newspaper as a means of soliciting bids, requests for information, and requests for
proposals as long as they are disseminated in substantially the same format and for the
same period of time as required for published solicitations.
NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of Mound,
Minnesota, as follows:
1. The Laker is designated as the official newspaper for the City of Mound for 2023.
2. Beginning August 1, 2020 and thereafter, the solicitation of sealed construction
bids will be disseminated via the Quest Construction Data Network
(www.QuestCDN.com) instead of the official newspaper as allowed by law. The
City will simultaneously publish, as part of its minutes of a regular meeting or in a
separate notice published in the official newspaper, a description of all
solicitations or requests disseminated via Quest Construction Data Network.
Adopted by the City Council this 10th day of January, 2023.
Mayor Jason R. Holt
Attest: Kevin Kelly, Clerk
2415 Wilshire Boulevard City of lVbund
Mound, MN. 55364 Community Development Department
(952) 472-0605
Memorandum
To: Honorable Mayor and Members of the Mound City Council
From: Field Officer Andy Drilling
Date: January 5, 2023
Re: Consent Agenda Item #5.1: Request for Commercial Kennel License for the
City of Mound Emergency Management Division, Waiving the Fee.
I hereby request the Mound City Council grant a Commercial Kennel License for the
calendar year 2023, to the City of Mound Emergency Management Division. This license
will allow the City to shelter dogs and cats, impounded by the Orono Police Department
and/or the City of Mound in the police precinct kennel facility, located at 2415 Wilshire
Boulevard.
I also request that the $150/year licensing fee be waived.
cc: Eric Hoversten, City Manager/Public Works Director
Fire Chief Greg Pederson, Mound Fire Department
Police Chief Corey Farniok, Orono Police Department
CITY OF MOUND
RESOLUTION NO. 23-
RESOLUTION MAKING A SELECTION NOT TO WAIVE THE STATUTORY TORT
LIMITS FOR LIABILITY INSURANCE PURPOSES
WHEREAS, pursuant to previous action taken, the League of Minnesota Cities
Insurance Trust has asked the City to make an election with regards to waiving or not
waiving its tort liability established by Minnesota Statutes 466.04; and
WHEREAS, the choices available are to not waive the statutory limit, to waive the limit
but to keep insurance coverage at the statutory limit, or to waive the limit and add
insurance to a new level.
NOW, THEREFORE, BE IT RESOLVED by the City Council of Mound, Minnesota, to
hereby elect not to waive the statutory tort liability established by Minnesota Statute
466.04 and that such election is effective until amended by further resolution of the
Mound City Council.
Adopted by the City Council this 10th day of January, 2023.
Mayor Jason R. Holt
Attest: Kevin Kelly, Clerk
CITY OF MOUND
RESOLUTION NO. 23-
RESOLUTION RECOMMENDING CONTINUATION OF CDBG
FUNDING OF WESTONKA COMMUNITY ACTION NETWORK (WeCAN)
WHEREAS, the City of Mound has supported services for its residents given by
WeCAN as a community -based human service organization dedicated to helping low-
income people achieve greater self-sufficiency and family stability; and
WHEREAS, these services include emergency assistance for housing stability, job
seeking support, Meals on Wheels, family support services, public assistance intake
services, and other resources.
NOW, THEREFORE, BE IT RESOLVED that the City Council of the City of Mound
recommends to the Consolidated Pool Selection Committee that Community
Development Block Grant (CDBG) funding of Westonka Community Action Network
(WeCAN) be continued.
Adopted by the City Council this 10th day of January, 2023.
Mayor Jason R. Holt
Attest: Kevin Kelly, Clerk
CITY OF MOUND
RESOLUTION NO. 23-
RESOLUTION EXPRESSING SUPPPORT FOR CDBG
FUNDING OF SENIOR COMMUNITY SERVICES
WHEREAS, the City of Mound has supported services for its residents given by Senior
Community Services as a community -based human service organization dedicated to
finding the best combination of affordable community resources to help each senior age
in place with dignity, safety and health; and
WHEREAS, these services include senior outreach & caregiver services, CareNextion
care coordination tool, Household and Outside Maintenance - HOME and Senior
Partners Care;
NOW, THEREFORE, BE IT RESOLVED that the City Council of the City of Mound
recommends to the Consolidated Pool Selection Committee that Community
Development Block Grant (CDBG) funding of Senior Community Services be awarded.
Adopted by the City Council this 10th day of January, 2023.
Mayor Jason R. Holt
Attest: Kevin Kelly, Clerk
T
BOLTON
& MENK
Real People. Real Solutions.
January 4, 2023
Mr. Eric Hoversten, City Manager
City of Mound
2415 Wilshire Boulevard
Mound. MN 55364
RE: 2022 Lift Station Improvements
City Project No. PW-22-03
Pay Request No. 1
Dear Mr. Hoversten:
2638 Shadow Lane
Suite 200
Chaska, MN 55318-1172
Ph:[9521448-8838
Fax:[9521448-8805
Bolton-Menk.com
Please find enclosed Pay Request No. 1 from Pember Companies for work completed on the
2022 Lift Station Improvements Project from December 1, 2022 through January 4, 2023.
We have reviewed the contractor's request, verified quantities, and recommend payment in
the amount of $156,067.43 to Pember Companies.
Sincerely,
Bolton & Menk, Inc.
Matthew S. Bauman, P.E.
Assistant City Engineer
Bolton & Menk is an
CONTRACTOR'S PAY REQUEST BOLTON
DISTRIBUTION:
12022 LIFT STATION IMPROVEMENT PROJECT & M E N
CONTRACTOR (1)
Real People. Real Solutlans.
OWNER (1)
CITY OF MOUND - PW-22-03
ENGINEER (1)
BMI PROJECT NO. 0C1.125733
TOTAL AMOUNT BID PLUS APPROVED CHANGE ORDERS
$361,055.00
TOTAL, COMPLETED WORK TO DATE
$164,281.50
TOTAL, STORED MATERIALS TO DATE
$0.00
DEDUCTION FOR STORED MATERIALS USED IN WORK COMPLETED
$0.00
TOTAL, COMPLETED WORK & STORED MATERIALS
$164,281.50
RETAINED PERCENTAGE ( 5.0% )
$8,214.08
TOTAL AMOUNT OF OTHER PAYMENTS OR (DEDUCTIONS)
$0.00
NET AMOUNT DUE TO CONTRACTOR TO DATE
$156,067.43
TOTAL AMOUNT PAID ON PREVIOUS ESTIMATES
$0.00
PAY CONTRACTOR AS ESTIMATE NO. 1
$156,067.43
CERTIFICATE FOR PARTIAL PAYMENT
I hereby certify that, to the best of my knowledge and belief, all items quantities and prices of work and material
shown on this Estimate are correct and that all work has been performed in full accordance with the terms and
conditions of the Contract for this project between the Owner and the undersigned Contractor, and as amended by
any authorized changes, and that the foregoing is a true and correct statement of the contract amount for the period
covered by this Estimate.
Contractor: Pember Companies
N4449 469th St
Menomonie WI 54751
By.r
Name Tftle
Date1-202-3
CHECKED AND APPROVED AS TO QUANTITIES AND AMOUNT:
ENGINEER: BOLTON & MENK, INC., 2638 SHADOW LANE, STE 200, CHASKA, MN 55318
BY —? __. CONSULTING ENGINEER
Date 1 /4/2023
APPROVED FOR PAYMENT:
OWNER:
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BOLTON
& MENK
Real People. Real Solutions.
January 4, 2023
Mr. Eric Hoversten, City Manager
City of Mound
2415 Wilshire Boulevard
Mound. MN 55364
RE: 2022 Traffic Counting
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 two invoices from Quality Counts for biannual traffic counting of Municipal
State Aid routes, consisting of 24 locations within the City.
We have reviewed the contractor's request, and recommend payment in the amount of
$3,120.00 to Quality Counts.
Sincerely,
Bolton & Menk, Inc.
Matthew S. Bauman, P.E.
Assistant City Engineer
Bolton & Menk is an
Invoice
Quality Counts
INVOICE #'. 158530-1
BILL TO Bolton &Menk
2638 Shadow Lane , Suite 200
Chasla,MN 55318
(952) 408-8838
CLIENT PROJECT#'. INVOICE DATE'. 10/31/2022 ORDER DATE'. 6/2/2022
ORDER No PROJECT NAME PAYMENT TERMS ORDERLY
158530 City of Mound State Aid Pi Brian Simmons
MSP'. MN
CITY
DESCRIPTION
RATE
TOTAL
22
VolumeCombinedFlow -Single Tube
$130.00
$2,860.00
22 Locatiorl for time period(s)'. - 2 Days (Volume)
-37044- MSAS 102 (Brighton Blvd) N OF MSAS 101(TUXEDO BLVD) , Mound, MN
-37046 - MSAS 101(Tuxedo Blvd) S OF MANCHESTER RD, Mound, MN
-37048 - MSAS 111(Leslie Rd) W OF MSAS111 (DEVON LA), Mound, MN
-37049 - MSAS 101(Tuxedo Blvd) S OF CSAH125 (WILSHIRE eLVD), Mound, MN
-37050 - MSAS 111 ( Bradford La) S OF CSAH125 (WILSHIRE eLVD) , Mound, M N
-37051- MSAS 102 (Plymouth Rd) S OF CSAH125 (WILSHIRE eLVD), Mound, MN
-37054- MSAS 103 (Bartlett Blvd) SW OF CSAH15 (SHORELINE eLVD), Mound, MN
-37055 - MSAS 109 (Hiddenvale Rd S) OF CSAH15 (SHORELINE eLVD) , Mound, MN
-37058 - MSAS 103 (Wilshire Blvd) S OF CSAH15 (SHORELINE eLVD) , Mound, MN
-37059 - MSAS 110 (Cypress La) N OF MSAS109 (MAY W OOD RD), Mound, MN
-37060- MSAS 108 (Auditors Rd) E OF CSAH110 (COMMERCE eLVD), Mound, MN
-37061- MSAS 104 ( Fairview La) N OF CSAH15 (SHORELINE eLVD), Mound, MN
-37063 - MSAS 104 ( Lynwood Blvd) E OF BELMONT LA, Mound, M N
-37067 - MSAS 105 (Grand View Blvd) N OF CSAH15 (LYN WOOD eLVD), Mound,
MN
-37068 - MSAS 105 (Grand View Blvd) W OF CSAH110 (COMMERCE eLVD), Mound,
MN
-37071- MSAS 106 (Three Points Blvd) E OF CSAH110 (COMMERCE eLVD) , Mound,
MN
-38128 - MSAS 112 ( Highland Blvd) S OF CSAH110 (BARLETT eLVD) , Mound, MN
-38129 - MSAS 112 (Ridgewood Rd) E OF CSAH44, Mound, MN
-38210- MSAS 101(Tuxedo Blvd) N OF HANOVER RD, Mound, MN
-38823 - MSAS 106 (Three Points Blvd) SW OF SHOREWOOD LA, Mound, MN
-38824- MSAS 106 (Three Points Blvd) W OF DOVE LA, Mound, MN
-67212 - MSAS 113 (Manchester Rd) W OF MSAS101 (TUXEDO eLVD), Mound, MN
TOTAL
1 $2,860.00
53i3,nw, urr3Jby fill if bylibrit brim hi a3ejwLhim,ThirfJ 15,,,,�tfl p,..�.,mh
Page 1 of 2
Quality Counts, LLC
1S61S SW 74th Ave #100
Tigard, OR 97224
(877)S80-2212
qualitycounts.net
Page 2 of 2
Invoice
Quality Counts
INVOICE #'. 158530-2
BILL TO Bolton &Menk
2638 Shadow Lane , Suite 200
Chasla,MN 55318
(952) 408-8838
CLIENT PROJECT#'. INVOICE DATE'. 11/17/2022 ORDER DATE'. 6/2/2022
ORDER No PROJECT NAME PAYMENT TERMS ORDERLY
158530 City of Mound State Aid Pi Brian Simmons
MSP'. MN
CITY
DESCRIPTION
RATE
TOTAL
2
VolumeCombinedFlow -Single Tube
$130.00
$260.00
2 Locatiorl for time period(s)'. - 2 Days (Volume)
-37066 - MSAS 108 (Cottonwood La) S OF CSAH15 (LYN W OOD BLVD), Mound, MN
-38822 - MSAS 101(Tuxedo Blvd) W OF DEVON LA, Mound, MN
TOTAL
$260.00
Quality Counts, LLC
15615 SW 74th Ave #100
Tigard, OR 97224
(877) 580-2212
qualitycounts.net
Page 1 of 1
S B&MLENK
Real People. Real Solutions.
January 5, 2023
Mr. Eric Hoversten, City Manager
City of Mound
2415 Wilshire Boulevard
Mound, MN 55364
RE: City@dnDOT Agency Delegated Contract Process (DCP) — Agreement # 1052098
Dear Mr. Hoversten:
2638 Shadow Lane
Suite 200
Chaska, MN 55318-1172
Ph: (952) 448-8838
Fax: (952) 448-8805
Bolton-Menk.com
The City may from time to time become eligible for Federal Highway Administration (FHWA) aid or
grant funding for the purpose of transportation improvements. This may come in form of direct funding
or pass -through aid under Federal funding of State Aid programs such as Municipal State Aid. The City
previously assigned agency to MnDOT for this purpose under a 2018 agreement (# 1029979) which is to
be superseded by this proposed document (# 1052098) as attached to the accompanying resolution. There
is no specific project associated or applied with under this agreement and it will prevail until terminated
by either agency or superseded in the future.
Execution of this agreement is necessary to qualify for future aid funding that includes any Federal
funding component.
We recommend the City Council of the City of Mound approve the Resolution appointing Agency and
approving execution of the Agency agreement.
Sincerely,
Bolton & Menk, Inc.
i 1 —
Matthew S. Bauman, P.E.
Assistant City Engineer
H. AMOONVOCl l29636\1 CorresVC To Others\2023-01-OS Ltr MnOOT Federal Participation Agreement docx
Bolton & Menk is an
CITY OF MOUND
RESOLUTION NO. 23-
RESOLUTION APPROVING MINNESOTA DEPARTMENT OF TRANSPORTATION AGENCY
AGREEMENT FOR FEDERAL HIGHWAY ADMINISTRATION AID FUNDING
WHEREAS, the City of Mound may from time to time be eligible for or receive Federal Highway
Administration (FHWA) funding in grant or aid form; and
WHEREAS, those funds may either be direct or passed through via State of Minnesota Aid funding
programs such as Municipal State Aid; and
WHEREAS, those dollars may augment funding for critical, eligible transportation improvements in the
City; and
WHEREAS, assignment of the Commissioner of Transportation as an Agent to act on behalf of the City
is required to receive Federal funding; and
WHEREAS, the Agency Agreement requires signature by the Mayor and City Manager.
NOW, THEREFORE BE IT RESOLVED: That pursuant to Minnesota Sta. Sec. 161.36, the
Commissioner of Transportation be appointed as Agent of the City of Mound to accept as its agent,
federal aid funds which may be made available for eligible transportation related projects.
BE IT FURTHER RESOLVED: The Mayor and City Manager are hereby authorized and directed for
and on behalf of the City of Mound to execute and enter into an agreement with the Commissioner of
Transportation prescribing the terms and conditions of said federal aid participation as set forth and
contained in the "Minnesota Department of Transportation Agency Agreement No. 1052098", a copy of
which said agreement was before the City Council and which is made a part hereof by reference.
Adopted by the City Council this 10'h day of January, 2023.
Jason R. Holt, Mayor
ATTEST:
Kevin Kelly, City Clerk
MnDOT Contract No. 1052098
DEPARTMENT OF
TRANSPORTATION
STATE OF MINNESOTA
AGENCY AGREEMENT
for
FEDERAL PARTICIPATION IN CONSTRUCTION
This Agreement is entered into by and between City of Mound ("Local Government") and the State of Minnesota acting
through its Commissioner of Transportation ("MnDOT").
RECITALS
1. Pursuant to Minnesota Statutes Section 161.36, the Local Government desires MnDOT to act as the Local
Government's agent in accepting federal funds on the Local Government's behalf for the construction,
improvement, or enhancement of transportation financed either in whole or in part by Federal Highway
Administration ("FHWA") federal funds, hereinafter referred to as the "Project(s)"; and
2. This Agreement is intended to cover all federal aid projects initiated by the Local Government and therefore has
no specific State Project number associated with it, and
2.1. The Assistance Listing Number (ALN) is 20.205, 20.224, 20.933 or another Department of Transportation
ALN as listed on SAM.gov and
2.2. This project is for construction, not research and development.
2.3. MnDOT requires that the terms and conditions of this agency be set forth in an agreement.
AGREEMENT TERMS
1. Term of Agreement; Prior Agreement
1.1. Effective Date. This Agreement will be effective on the date that MnDOT obtains all required signatures
under Minn. Stat. §16C.05, Subd. 2. This Agreement will remain effective until it is superseded or
terminated pursuant to section 14.
1.2. Prior Agreement. This Agreement supersedes the prior agreement between the parties, MnDOT Contract
Number 1029979
2. Local Government's Duties
2.1. Designation. The Local Government designates MnDOT to act as its agent in accepting federal funds on its
behalf made available for the Project(s). Details on the required processes and procedures are available on
the State Aid Website.
2.2. Staffing.
2.2.1. The Local Government will furnish and assign a publicly employed and licensed engineer, ("Project
Engineer"), to be in responsible charge of the Project(s) and to supervise and direct the work to be
performed under any construction contract let for the Project(s). In the alternative, where the Local
Government elects to use a private consultant for construction engineering services, the Local
Government will provide a qualified, full-time public employee of the Local Government to be in
responsible charge of the Project(s). The services of the Local Government to be performed hereunder
may not be assigned, sublet, or transferred unless the Local Government is notified in writing by
MnDOT that such action is permitted under 23 CFR 1.33 and 23 CFR 635.105 and state law. This
Updated November 7, 2022
MnDOT Contract No. 1052098
written consent will in no way relieve the Local Government from its primary responsibility for
performance of the work.
2.2.2. During the progress of the work on the Project(s), the Local Government authorizes its Project
Engineer to request in writing specific engineering and/or technical services from MnDOT, pursuant to
Minnesota Statutes Section 161.39. Such services may be covered by other technical service
agreements. If MnDOT furnishes the services requested, and if MnDOT requests reimbursement, then
the Local Government will promptly pay MnDOT to reimburse the state trunk highway fund for the full
cost and expense of furnishing such services. The costs and expenses will include the current MnDOT
labor additives and overhead rates, subject to adjustment based on actual direct costs that have been
verified by audit. Provision of such services will not be deemed to make MnDOT a principal or co-
principal with respect to the Project(s).
2.3. Pre -letting. The Local Government will prepare construction contracts in accordance with Minnesota law
and applicable Federal laws and regulations.
2.3.1. The Local Government will solicit bids after obtaining written notification from MnDOT that the FHWA
has authorized the Project(s). Any Project(s) advertised prior to authorization without permission will
not be eligible for federal reimbursement.
2.3.2. The Local Government will prepare the Proposal for Highway Construction for the construction
contract, which will include all federal -aid provisions supplied by MnDOT.
2.3.3. The Local Government will prepare and publish the bid solicitation for the Project(s) as required by
state and federal laws. The Local Government will include in the solicitation the required language for
federal -aid construction contracts as supplied by MnDOT. The solicitation will state where the
proposals, plans, and specifications are available for the inspection of prospective bidders and where
the Local Government will receive the sealed bids.
2.3.4. The Local Government may not include other work in the construction contract for the authorized
Project(s) without obtaining prior notification from MnDOT that such work is allowed by FHWA.
Failure to obtain such notification may result in the loss of some or all of the federal funds for the
Project(s). All work included in a federal contract is subject to the same federal requirements as the
federal project.
2.3.5. The Local Government will prepare and sell the plan and proposal packages and prepare and
distribute any addenda, if needed.
2.3.6. The Local Government will receive and open bids.
2.3.7. After the bids are opened, the Local Government will consider the bids and will award the bid to the
lowest responsible bidder or reject all bids. If the construction contract contains a goal for
Disadvantaged Business Enterprises (DBEs), the Local Government will not award the bid until it has
received certification of the Disadvantaged Business Enterprise participation from the MnDOT Office
of Civil Rights.
2.3.8. The Local Government must disclose in writing any potential conflict of interest to the Federal
awarding agency or MnDOT in accordance with applicable FHWA policy.
2.4. Contract Administration.
2.4.1. The Local Government will prepare and execute a construction contract with the lowest responsible
bidder, hereinafter referred to as the "Contractor," in accordance with the special provisions and the
latest edition of MnDOT's Standard Specifications for Construction when the contract is awarded and
all amendments thereto. All contracts between the Local Government and third parties or
subcontractors must contain all applicable provisions of this Agreement, including the applicable
MnDOT Contract No. 1052098
federal contract clauses, which are identified in Appendix II of 2 CFR 200, Uniform Administrative
Requirements, Cost Principles and Audit Requirements for Federal Awards, and as identified in Section
18 of this Agreement.
2.4.2. The Project(s) will be constructed in accordance with the plans, special provisions, and standard
specifications of each Project. The standard specifications will be the latest edition of MnDOT
Standard Specifications for Highway Construction and all amendments thereto. The plans, special
provisions, and standard specifications will be on file at the Local Government Engineer's Office. The
plans, special provisions, and specifications are incorporated into this Agreement by reference as
though fully set forth herein.
2.4.3. The Local Government will furnish the personnel, services, supplies, and equipment necessary to
properly supervise, inspect, and document the work for the Project(s). The services of the Local
Government to be performed hereunder may not be assigned, sublet, or transferred unless the Local
Government is notified in writing by MnDOT that such action is permitted under 23 CFR 1.33 and 23
CFR 635.105 and state law. This written consent will in no way relieve the Local Government from its
primary responsibility for performance of the work.
2.4.4. The Local Government will document quantities in accordance with the guidelines set forth in the
Construction Section of the Electronic State Aid Manual that are in effect at the time the work was
performed.
2.4.5. The Local Government will test materials in accordance with the Schedule of Materials Control in
effect at the time each Project was let. The Local Government will notify MnDOT when work is in
progress on the Project(s) that requires observation by the Independent Assurance Inspector, as
required by the Independent Assurance Schedule.
2.4.6. The Local Government may make changes in the plans or the character of the work, as may be
necessary to complete the Project(s), and may enter into Change Order(s) with the Contractor. The
Local Government will not be reimbursed for any costs of any work performed under a change order
unless MnDOT has notified the Local Government that the subject work is eligible for federal funds
and sufficient federal funds are available.
2.4.7. The Local Government will request approval from MnDOT for all costs in excess of the amount of
federal funds previously approved for the Project(s) prior to incurring such costs. Failure to obtain
such approval may result in such costs being disallowed for reimbursement.
2.4.8. The Local Government will prepare reports, keep records, and perform work so as to meet federal
requirements and to enable MnDOT to collect the federal aid sought by the Local Government.
Required reports are listed in the MnDOT State Aid Manual, Delegated Contract Process Checklist,
available from MnDOT's authorized representative. The Local Government will retain all records and
reports and allow MnDOT or the FHWA access to such records and reports for six years.
2.4.9. Upon completion of the Project(s), the Project Engineer will determine whether the work will be
accepted.
2.5. Limitations.
2.5.1. The Local Government will comply with all applicable Federal, State, and local laws, ordinances, and
regulations.
2.5.2. Nondiscrimination. It is the policy of the Federal Highway Administration and the State of Minnesota
that no person in the United States will, on the grounds of race, color, or national origin, be excluded
from participation in, be denied the benefits of, or be subjected to discrimination under any program
or activity receiving Federal financial assistance (42 U.S.C. 2000d). Through expansion of the mandate
MnDOT Contract No. 1052098
for nondiscrimination in Title VI and through parallel legislation, the proscribed bases of discrimination
include race, color, sex, national origin, age, and disability. In addition, the Title VI program has been
extended to cover all programs, activities and services of an entity receiving Federal financial
assistance, whether such programs and activities are Federally assisted or not. Even in the absence of
prior discriminatory practice or usage, a recipient in administering a program or activity to which this
part applies is expected to take affirmative action to assure that no person is excluded from
participation in, or is denied the benefits of, the program or activity on the grounds of race, color,
national origin, sex, age, or disability. It is the responsibility of the Local Government to carry out the
above requirements.
2.5.3. Utilities. The Local Government will treat all public, private or cooperatively owned utility facilities
which directly or indirectly serve the public and which occupy highway rights of way in conformance
with 23 CFR 645 "Utilities", which is incorporated herein by reference.
2.6. Maintenance. The Local Government assumes full responsibility for the operation and maintenance of any
facility constructed or improved under this Agreement.
3. MnDOT's Duties
3.1. Acceptance. MnDOT accepts designation as Agent of the Local Government for the receipt and disbursement
of federal funds and will act in accordance herewith.
3.2. Project Activities.
3.2.1. MnDOT will make the necessary requests to the FHWA for authorization to use federal funds for the
Project(s) and for reimbursement of eligible costs pursuant to the terms of this Agreement.
3.2.2. MnDOT will provide to the Local Government copies of the required Federal -aid clauses to be included
in the bid solicitation and will provide the required Federal -aid provisions to be included in the Proposal
for Highway Construction.
3.2.3. MnDOT will review and certify the DBE participation and notify the Local Government when certification
is complete. If certification of DBE participation (or good faith efforts to achieve such participation)
cannot be obtained, then Local Government must decide whether to proceed with awarding the
contract. Failure to obtain such certification will result in the Project becoming ineligible for federal
assistance, and the Local Government must make up any shortfall.
3.2.4. MnDOT will provide the required labor postings
3.3. Authority. MnDOT may withhold federal funds, where MnDOT or the FHWA determines that the Project(s)
was not completed in compliance with federal requirements.
3.4. Inspection. MnDOT, the FHWA, or duly authorized representatives of the state and federal government will
have the right to audit, evaluate and monitor the work performed under this Agreement. The Local
Government will make all books, records, and documents pertaining to the work hereunder available for a
minimum of six years following the closing of the construction contract.
4. Time
4.1. The Local Government must comply with all time requirements described in this Agreement. In the
performance of this Agreement, time is of the essence.
4.2. The period of performance is defined as beginning on the date of federal authorization and ending on the
date defined in the federal financial system or federal agreement ("end date"). No work completed after
the end date will be eligible for federal funding. Local Government must submit all contract close out
paperwork to MnDOT at least twenty-four months prior to the end date.
51
MnDOT Contract No. 1052098
S. Payment
5.1. Cost. The entire cost of the Project(s) is to be paid from federal funds made available by the FHWA and by
other funds provided by the Local Government. The Local Government will pay any part of the cost or
expense of the Project(s) that is not paid by federal funds. MnDOT will receive the federal funds to be paid
by the FHWA for the Project(s), pursuant to Minnesota Statutes § 161.36, Subdivision 2. MnDOT will
reimburse the Local Government, from said federal funds made available to each Project, for each partial
payment request, subject to the availability and limits of those funds.
5.2. Indirect Cost Rate Proposal/Cost Allocation Plan. If the Local Government seeks reimbursement for indirect
costs and has submitted to MnDOT an indirect cost rate proposal or a cost allocation plan, the rate proposed
will be used on a provisional basis. At any time during the period of performance or the final audit of a
Project, MnDOT may audit and adjust the indirect cost rate according to the cost principles in 2 CFR Part
200. MnDOT may adjust associated reimbursements accordingly.
5.3. Reimbursement. The Local Government will prepare partial estimates in accordance with the terms of the
construction contract for the Project(s). The Project Engineer will certify each partial estimate. Following
certification of the partial estimate, the Local Government will make partial payments to the Contractor in
accordance with the terms of the construction contract for the Project(s).
5.3.1. Following certification of the partial estimate, the Local Government may request reimbursement for
costs eligible for federal funds. The Local Government's request will be made to MnDOT and will
include a copy of the certified partial estimate.
5.3.2. Upon completion of the Project(s), the Local Government will prepare a final estimate in accordance
with the terms of the construction contract for the Project(s). The Project Engineer will certify the
final estimate. Following certification of the final estimate, the Local Government will make the final
payment to the Contractor in accordance with the terms of the construction contract for the
Project(s).
5.3.3. Following certification of the final estimate, the Local Government may request reimbursement for
costs eligible for federal funds. The Local Government's request will be made to MnDOT and will
include a copy of the certified final estimate along with the required records.
5.3.4. Upon completion of the Project(s), MnDOT will perform a final inspection and verify the federal and
state eligibility of all payment requests. If the Project is found to have been completed in accordance
with the plans and specifications, MnDOT will promptly release any remaining federal funds due the
Local Government for the Project(s). If MnDOT finds that the Local Government has been overpaid,
the Local Government must promptly return any excess funds.
5.3.5. In the event MnDOT does not obtain funding from the Minnesota Legislature or other funding source,
or funding cannot be continued at a sufficient level to allow for the processing of the federal aid
reimbursement requests, the Local Government may continue the work with local funds only, until
such time as MnDOT is able to process the federal aid reimbursement requests.
5.4. Matching Funds. Any cost sharing or matching funds required of the Local Government in this Agreement
must comply with 2 CFR 200.306.
5.5. Federal Funds. Payments under this Agreement will be made from federal funds. The Local Government is
responsible for compliance with all federal requirements imposed on these funds and accepts full financial
responsibility for failure to comply with any federal requirements including, but not limited to, 2 CFR Part
200. If, for any reason, the federal government fails to pay part of the cost or expense incurred by the Local
Government, or in the event the total amount of federal funds is not available, the Local Government will be
responsible for any and all costs or expenses incurred under this Agreement. The Local Government further
MnDOT Contract No. 1052098
agrees to pay any and all lawful claims arising out of or incidental to the performance of the work covered
by this Agreement in the event the federal government does not pay the same.
5.6. Closeout. The Local Government must liquidate all obligations incurred under this Agreement for each
Project and submit all financial, performance, and other reports as required by the terms of this Agreement
and the Federal award at least twenty-four months prior to the end date of the period of performance for
each Project. MnDOT will determine, at its sole discretion, whether a closeout audit is required prior to final
payment approval. If a closeout audit is required, final payment will be held until the audit has been
completed. Monitoring of any capital assets acquired with funds will continue following project closeout.
6. Conditions of Payment. All services provided by Local Government under this Agreement must be performed to
MnDOT's satisfaction, as determined at the sole discretion of MnDOT's Authorized Representative, and in
accordance with all applicable federal, state, and local laws, ordinances, rules, and regulations. The Local
Government will not receive payment for work found by MnDOT to be unsatisfactory or performed in violation of
federal, state, or local law.
Authorized Representatives
7.1. MnDOT's Authorized Representative is:
Name: Kristine Elwood, or her successor.
Title: State Aid Engineer
Phone: 651-366-4831
Email: Kristine.elwood@state.mn.us
MnDOT's Authorized Representative has the responsibility to monitor Local Government's performance and
the authority to accept the services provided under this Agreement. If the services are satisfactory,
MnDOT's Authorized Representative will certify acceptance on each invoice submitted for payment.
7.2. The Local Government's Authorized Representative is:
Name: Eric Hoversten or their successor.
Title: Mound City Manager
Phone: 952-472-0609
Email: erichoversten@citymound.com
If the Local Government's Authorized Representative changes at any time during this Agreement, the Local
Government will immediately notify MnDOT.
8. Assignment Amendments, Waiver, and Agreement Complete
8.1. Assignment. The Local Government may neither assign nor transfer any rights or obligations under this
Agreement without the prior written consent of MnDOT and a fully executed Assignment Agreement,
executed and approved by the same parties who executed and approved this Agreement, or their successors
in office.
8.2. Amendments. Any amendment to this Agreement must be in writing and will not be effective until it has
been executed and approved by the same parties who executed and approved the original agreement, or
their successors in office.
8.3. Waiver. If MnDOT fails to enforce any provision of this Agreement, that failure does not waive the provision
or MnDOT's right to subsequently enforce it.
8.4. Agreement Complete. This Agreement contains all negotiations and agreements between MnDOT and the
MnDOT Contract No. 1052098
Local Government. No other understanding regarding this Agreement, whether written or oral, may be used
to bind either party.
8.5. Severability. If any provision of this Agreement, or the application thereof, is found to be invalid or
unenforceable to any extent, the remainder of the Agreement, including all material provisions and the
application of such provisions, will not be affected and will be enforceable to the greatest extent permitted
by the law.
8.6. Electronic Records and Signatures. The parties agree to contract by electronic means. This includes using
electronic signatures and converting original documents to electronic records.
8.7. Certification. By signing this Agreement, the Local Government certifies that it is not suspended or
debarred from receiving federal or state awards.
9. Liability and Claims
9.1. Tort Liability. Each party is responsible for its own acts and omissions and the results thereof to the extent
authorized by law and will not be responsible for the acts and omissions of any others and the results
thereof. The Minnesota Tort Claims Act, Minnesota Statutes Section 3.736, governs MnDOT liability.
9.2. Claims. The Local Government acknowledges that MnDOT is acting only as the Local Government's agent
for acceptance and disbursement of federal funds, and not as a principal or co -principal with respect to the
Project. The Local Government will pay any and all lawful claims arising out of or incidental to the Project
including, without limitation, claims related to contractor selection (including the solicitation, evaluation,
and acceptance or rejection of bids or proposals), acts or omissions in performing the Project work, and any
ultra vires acts. To the extent permitted by law, the Local Government will indemnify, defend (to the
extent permitted by the Minnesota Attorney General), and hold MnDOT harmless from any claims or costs
arising out of or incidental to the Project(s), including reasonable attorney fees incurred by MnDOT. The
Local Government's indemnification obligation extends to any actions related to the certification of DBE
participation, even if such actions are recommended by MnDOT.
10. Audits
10.1. Under Minn. Stat. § 16C.05, Subd.S, the books, records, documents, and accounting procedures and
practices of the Local Government, or any other party relevant to this Agreement or transaction, are subject
to examination by MnDOT and/or the State Auditor or Legislative Auditor, as appropriate, for a minimum of
six years from the end of this Agreement, receipt and approval of all final reports, or the required period of
time to satisfy all state and program retention requirements, whichever is later. The Local Government will
take timely and appropriate action on all deficiencies identified by an audit.
10.2. All requests for reimbursement are subject to audit, at MnDOT's discretion. The cost principles outlined in 2
CFR 200.400-.476 will be used to determine whether costs are eligible for reimbursement under this
Agreement.
10.3. If Local Government expends $750,000 or more in Federal Funds during the Local Government's fiscal year,
the Local Government must have a single audit or program specific audit conducted in accordance with 2
CFR Part 200.
11. Government Data Practices. The Local Government and MnDOT must comply with the Minnesota Government
Data Practices Act, Minn. Stat. Ch. 13 as it applies to all data provided by MnDOT under this Agreement, and as it
applies to all data created, collected, received, stored, used, maintained, or disseminated by the Local
Government under this Agreement. The civil remedies of Minn. Stat. §13.08 apply to the release of the data
referred to in this clause by either the Local Government or MnDOT.
12. Workers Compensation. The Local Government certifies that it is in compliance with Minn. Stat. §176.181, Subd.
2, pertaining to workers' compensation insurance coverage. The Local Government's employees and agents will
MnDOT Contract No. 1052098
not be considered MnDOT employees. Any claims that may arise under the Minnesota Workers' Compensation
Act on behalf of these employees and any claims made by any third party as a consequence of any act or omission
on the part of these employees are in no way MnDOT's obligation or responsibility.
13. Governing Law, Jurisdiction, and Venue. Minnesota law, without regard to its choice -of -law provisions, governs
this Agreement. Venue for all legal proceedings out of this Agreement, or its breach, must be in the appropriate
state or federal court with competent jurisdiction in Ramsey County, Minnesota.
14. Termination; Suspension
14.1. Termination by MnDOT. MnDOT may terminate this Agreement with or without cause, upon 30 days
written notice to the Local Government. Upon termination, the Local Government will be entitled to
payment, determined on a pro rata basis, for services satisfactorily performed.
14.2. Termination for Cause. MnDOT may immediately terminate this Agreement if MnDOT finds that there has
been a failure to comply with the provisions of this Agreement, that reasonable progress has not been
made, that fraudulent or wasteful activity has occurred, that the Local Government has been convicted of a
criminal offense relating to a state agreement, or that the purposes for which the funds were granted have
not been or will not be fulfilled. MnDOT may take action to protect the interests of MnDOT of Minnesota,
including the refusal to disburse additional funds and/or requiring the return of all or part of the funds
already disbursed.
14.3. Termination for Insufficient Funding. MnDOT may immediately terminate this Agreement if:
14.3.1. It does not obtain funding from the Minnesota Legislature; or
14.3.2. If funding cannot be continued at a level sufficient to allow for the payment of the services covered
here. Termination must be by written or fax notice to the Local Government. MnDOT is not
obligated to pay for any services that are provided after notice and effective date of termination.
However, the Local Government will be entitled to payment, determined on a pro rata basis, for
services satisfactorily performed to the extent that funds are available. MnDOT will not be assessed
any penalty if the Agreement is terminated because of the decision of the Minnesota Legislature, or
other funding source, not to appropriate funds. MnDOT will provide the Local Government notice of
the lack of funding within a reasonable time of MnDOT's receiving that notice.
14.4. Suspension. MnDOT may immediately suspend this Agreement in the event of a total or partial government
shutdown due to the failure to have an approved budget by the legal deadline. Work performed by the
Local Government during a period of suspension will be deemed unauthorized and undertaken at risk of
non-payment.
15. Data Disclosure. Under Minn. Stat. § 270C.65, Subd. 3, and other applicable law, the Local Government consents
to disclosure of its social security number, federal employer tax identification number, and/or Minnesota tax
identification number, already provided to MnDOT, to federal and state tax agencies and state personnel involved
in the payment of state obligations. These identification numbers may be used in the enforcement of federal and
state tax laws which could result in action requiring the Local Government to file state tax returns and pay
delinquent state tax liabilities, if any.
16. Fund Use Prohibited. The Local Government will not utilize any funds received pursuant to this Agreement to
compensate, either directly or indirectly, any contractor, corporation, partnership, or business, however
organized, which is disqualified or debarred from entering into or receiving a State contract. This restriction
applies regardless of whether the disqualified or debarred party acts in the capacity of a general contractor, a
subcontractor, or as an equipment or material supplier. This restriction does not prevent the Local Government
from utilizing these funds to pay any party who might be disqualified or debarred after the Local Government's
contract award on this Project.
MnDOT Contract No. 1052098
17. Discrimination Prohibited by Minnesota Statutes §181.59. The Local Government will comply with the provisions
of Minnesota Statutes §181.59 which requires that every contract for or on behalf of the State of Minnesota, or
any county, city, town, township, school, school district or any other district in the state, for materials, supplies or
construction will contain provisions by which Contractor agrees: 1) That, in the hiring of common or skilled labor
for the performance of any work under any contract, or any subcontract, no Contractor, material supplier or
vendor, will, by reason of race, creed or color, discriminate against the person or persons who are citizens of the
United States or resident aliens who are qualified and available to perform the work to which the employment
relates; 2) That no Contractor, material supplier, or vendor, will, in any manner, discriminate against, or
intimidate, or prevent the employment of any person or persons identified in clause 1 of this section, or on being
hired, prevent or conspire to prevent, the person or persons from the performance of work under any contract on
account of race, creed or color; 3) That a violation of this section is a misdemeanor; and 4) That this contract may
be canceled or terminated by the state of Minnesota, or any county, city, town, township, school, school district or
any other person authorized to contracts for employment, and all money due, or to become due under the
contract, may be forfeited for a second or any subsequent violation of the terms or conditions of this Agreement.
18. Federal Contract Clauses
18.1. Appendix II 2 CFR Part 200. The Local Government agrees to comply with the following federal
requirements as identified in 2 CFR 200, Uniform Administrative Requirements, Cost Principles and Audit
Requirements for Federal Awards, and agrees to pass through these requirements to its subcontractors and
third -party contractors, as applicable. In addition, the Local Government shall have the same meaning as
"Contractor" in the federal requirements listed below.
18.1.1. Contracts for more than the simplified acquisition threshold, which is the inflation adjusted amount
determined by the Civilian Agency Acquisition Council and the Defense Acquisition Regulations
Council (Councils) as authorized by41 U.S.C. 1908, must address administrative, contractual, or legal
remedies in instances where contractors violate or breach contract terms, and provide for such
sanctions and penalties as appropriate.
18.1.2. All contracts in excess of $10,000 must address termination for cause and for convenience by the
non -Federal entity including the manner by which it will be effected and the basis for settlement.
18.1.3. Equal Employment Opportunity. Except as otherwise provided under 41 CFR Part 60, all contracts
that meet the definition of "federally assisted construction contract' in 41 CFR Part 60-1.3 must
include the equal opportunity clause provided under 41 CFR 60-1.4(b), in accordance with Executive
Order 11246, "Equal Employment Opportunity" (30 FR 12319, 12935, 3 CFR Part, 1964-1965 Comp.,
P. 339), as amended by Executive Order 11375, "Amending Executive Order 11246 Relating to Equal
Employment Opportunity," and implementing regulations at 41 CFR part 60, "Office of Federal
Contract Compliance Programs, Equal Employment Opportunity, Department of Labor."
18.1.4. Davis -Bacon Act, as amended (40 U.S.C. 3141-3148). When required by Federal program legislation,
all prime construction contracts in excess of $2,000 awarded by non -Federal entities must include a
provision for compliance with the Davis -Bacon Act (40 U.S.C. 3141-3144, and 3146-3148) as
supplemented by Department of Labor regulations (29 CFR Part 5, "Labor Standards Provisions
Applicable to Contracts Covering Federally Financed and Assisted Construction"). In accordance with
the statute, contractors must be required to pay wages to laborers and mechanics at a rate not less
than the prevailing wages specified in a wage determination made by the Secretary of Labor. In
addition, contractors must be required to pay wages not less than once a week. The non -Federal
entity must place a copy of the current prevailing wage determination issued by the Department of
Labor in each solicitation. The decision to award a contract or subcontract must be conditioned
upon the acceptance of the wage determination. The non -Federal entity must report all suspected
or reported violations to the Federal awarding agency. The contracts must also include a provision
MnDOT Contract No. 1052098
for compliance with the Copeland "Anti -Kickback" Act (40 U.S.C. 3145), as supplemented
by Department of Labor regulations (29 CFR Part 3, "Contractors and Subcontractors on Public
Building or Public Work Financed in Whole or in Part by Loans or Grants from the United States").
The Act provides that each contractor or subrecipient must be prohibited from inducing, by any
means, any person employed in the construction, completion, or repair of public work, to give up
any part of the compensation to which he or she is otherwise entitled. The non -Federal entity must
report all suspected or reported violations to the Federal awarding agency.
18.1.5. Contract Work Hours and Safety Standards Act (40 U.S.C. 3701-3708). Where applicable, all
contracts awarded by the non -Federal entity in excess of $100,000 that involve the employment of
mechanics or laborers must include a provision for compliance with 40 U.S.C. 3702 and 3704, as
supplemented by Department of Labor regulations (29 CFR Part 5). Under 40 U.S.C. 3702 of the Act,
each contractor must be required to compute the wages of every mechanic and laborer on the basis
of a standard work week of 40 hours. Work in excess of the standard work week is permissible
provided that the worker is compensated at a rate of not less than one and a half times the basic
rate of pay for all hours worked in excess of 40 hours in the work week. The requirements of 40
U.S.C. 3704 are applicable to construction work and provide that no laborer or mechanic must be
required to work in surroundings or under working conditions which are unsanitary, hazardous or
dangerous. These requirements do not apply to the purchases of supplies or materials or articles
ordinarily available on the open market, or contracts for transportation or transmission of
intelligence.
18.1.6. Rights to Inventions Made Under a Contract or Agreement. If the Federal award meets the definition
of "funding agreement' under 37 CFR § 401.2 (a) and the recipient or subrecipient wishes to enter
into a contract with a small business firm or nonprofit organization regarding the substitution of
parties, assignment or performance of experimental, developmental, or research work under that
"funding agreement," the recipient or subrecipient must comply with the requirements of 37 CFR
Part 401, "Rights to Inventions Made by Nonprofit Organizations and Small Business Firms Under
Government Grants, Contracts and Cooperative Agreements," and any implementing regulations
issued by the awarding agency.
18.1.7. Clean Air Act (42 U.S.C. 7401-7671q.) and the Federal Water Pollution Control Act (33 U.S.C. 1251-
1387), as amended - Contracts and subgrants of amounts in excess of $150,000 must contain a
provision that requires the non -Federal award to agree to comply with all applicable standards,
orders or regulations issued pursuant to the Clean Air Act (42 U.S.C. 7401-7671q) and the Federal
Water Pollution Control Act as amended (33 U.S.C. 1251-1387). Violations must be reported to the
Federal awarding agency and the Regional Office of the Environmental Protection Agency (EPA).
18.1.8. Debarment and Suspension (Executive Orders 12549 and 12689) - A contract award (see 2 CFR
180.220) must not be made to parties listed on the governmentwide exclusions in the System for
Award Management (SAM), in accordance with the OMB guidelines at 2 CFR 180 that implement
Executive Orders 12549 (3 CFR part 1986 Comp., P. 189) and 12689 (3 CFR part 1989 Comp., P. 235),
"Debarment and Suspension." SAM Exclusions contains the names of parties debarred, suspended,
or otherwise excluded by agencies, as well as parties declared ineligible under statutory or
regulatory authority other than Executive Order 12549.
18.1.9. Byrd Anti -Lobbying Amendment (31 U.S.C. 1352) - Contractors that apply or bid for an award
exceeding $100,000 must file the required certification. Each tier certifies to the tier above that it
will not and has not used Federal appropriated funds to pay any person or organization for
influencing or attempting to influence an officer or employee of any agency, a member of Congress,
officer or employee of Congress, or an employee of a member of Congress in connection with
obtaining any Federal contract, grant or any other award covered by 31 U.S.C. 1352. Each tier must
10
MnDOT Contract No. 1052098
also disclose any lobbying with non -Federal funds that takes place in connection with obtaining any
Federal award. Such disclosures are forwarded from tier to tier up to the non -Federal award.
18.1.10. Local Government will comply with 2 CFR § 200.323.
18.1.11. Local Government will comply with 2 CFR § 200.216.
18.1.12. Local Government will comply with 2 CFR § 200.322.
18.2. Drug -Free Workplace. The Local Government will comply with the Drug -Free Workplace requirements
under subpart B of 49 C.F.R. Part 32.
18.3. Title VI/Non-discrimination Assurances. The Local Government hereby agrees that, as a condition of
receiving any Federal financial assistance under this Agreement, it will comply with Title VI of the Civil
Rights Act of 1964 (78 Stat. 252, 42 U.S.C. § 2000d), related nondiscrimination statutes (i.e., 23 U.S.C. § 324,
Section 504 of the Rehabilitation Act of 1973 as amended, and the Age Discrimination Act of 1975), and
applicable regulatory requirements to the end that no person in the United States shall, on the grounds of
race, color, national origin, sex, disability, or age be excluded from participation in, be denied the benefits
of, or otherwise be subjected to discrimination under any program or activity for which the Local
Government receives Federal financial assistance.
The Local Government hereby agrees to comply with all applicable US DOT Standard Title VI/Non-
Discrimination Assurances contained in DOT Order No. 1050.2A, and in particular Appendices A and E,
which can be found at: https://edocs-
public.dot.state.mn.us/edocs public/DMResultSet/download?docld=11149035. If federal funds are
included in any contract, the Local Government will ensure the appendices and solicitation language within
the assurances are inserted into contracts as required. State may conduct a review of the Local
Government's compliance with this provision. The Local Government must cooperate with State
throughout the review process by supplying all requested information and documentation to State, making
Local Government staff and officials available for meetings as requested, and correcting any areas of non-
compliance as determined by State.
18.4. Buy America. The Local Government must comply with the Buy America domestic preferences contained
in the Build America, Buy America Act (Sections 70901-52 of the Infrastructure Investment and Jobs
Act, Public Law 117-58) and as implemented by US DOT operating agencies.
18.5. Federal Funding Accountability and Transparency Act (FFATA)
18.5.1. This Agreement requires the Local Government to provide supplies and/or services that are funded
in whole or in part by federal funds that are subject to FFATA. The Local Government is responsible
for ensuring that all applicable requirements, including but not limited to those set forth herein, of
FFATA are met and that the Local Government provides information to the MnDOT as required.
Reporting of Total Compensation of the Local Government's Executives.
b. The Local Government shall report the names and total compensation of each of its five most
highly compensated executives for the Local Government's preceding completed fiscal year, if
in the Local Government's preceding fiscal year it received:
80 percent or more of the Local Government's annual gross revenues from Federal
procurement contracts and Federal financial assistance subject to the Transparency Act,
as defined at 2 CFR 170.320 (and subawards); and
$25,000,000 or more in annual gross revenues from Federal procurement contracts (and
subcontracts), and Federal financial assistance subject to the Transparency Act (and
subawards); and
11
MnDOT Contract No. 1052098
iii. The public does not have access to information about the compensation of the
executives through periodic reports filed under section 13(a) or 15(d) of the Securities
Exchange Act of 1934 (15 U.S.C. 78m(a), 78o(d)) or section 6104 of the Internal Revenue
Code of 1986. (To determine if the public has access to the compensation information,
see the U.S. Security and Exchange Commission total compensation filings at
https://www.sec.gov/answers/execomp.htm).
Executive means officers, managing partners, or any other employees in management
positions.
C. Total compensation means the cash and noncash dollar value earned by the executive during
the Local Government's preceding fiscal year and includes the following (for more information
see 17 CFR 229.402(c)(2)):
i. Salary and bonus.
ii. Awards of stock, stock options, and stock appreciation rights. Use the dollar amount
recognized for financial statement reporting purposes with respect to the fiscal year in
accordance with the Statement of Financial Accounting Standards No. 123 (Revised
2004) (FAS 123R), Shared Based Payments.
iii. Earnings for services under non -equity incentive plans. This does not include group life,
health, hospitalization or medical reimbursement plans that do not discriminate in favor
of executives, and are available generally to all salaried employees.
iv. Change in pension value. This is the change in present value of defined benefit and
actuarial pension plans.
V. Above -market earnings on deferred compensation which is not tax qualified.
18.5.2. Other compensation, if the aggregate value of all such other compensation (e.g. severance,
termination payments, value of life insurance paid on behalf of the employee, perquisites or
property) for the executive exceeds $10,000.
18.5.3. The Local Government must report executive total compensation described above to the MnDOT
by the end of the month during which this Agreement is awarded.
18.5.4. The Local Government will obtain a Unique Entity Identifier number and maintain this number for
the term of this Agreement. This number shall be provided to MnDOT on the plan review checklist
submitted with the plans for each Project.
18.5.5. The Local Government's failure to comply with the above requirements is a material breach of this
Agreement for which the MnDOT may terminate this Agreement for cause. The MnDOT will not be
obligated to pay any outstanding invoice received from the Local Government unless and until the
Local Government is in full compliance with the above requirements.
[THE REMAINDER OF THIS PAGE HAS INTENTIONALLY BEEN LEFT BLANK.]
12
MnDOT Contract No. 1052098
City of Mound
Local Government certifies that the appropriate DEPARTMENT OF TRANSPORTATION
person(s) have executed the contract on behalf of the
Local Government as required by applicable articles,
bylaws, resolutions or ordinances.
Jason R. Holt
Title: Mayor
Eric P. Hoversten
Title: City Manager, Director of Public Works
13
WM
Title:
COMMISSIONER OF ADMINISTRATION
By:
Date:
MISSION
To provide justice through a system that assures equal access for the fair and timely
resolution of cases and controversies.
Personnel:
• 63 judges (number set by Legislature)
• 12-14 referees (specialized judicial officers)
• 564 staff (full -time -equivalent)
Filings
Divisions:
• CivilER
',
Large Urban Court:
22% of Minnesotans live in Hennepin
County
In 2021, handled 33% of the state's trial
court case filings (315,252)
One of the largest urban counties in the
nation
• Criminal 88.8% ' Juror stats in 1:
• Family . 538 jury trials requested (461 criminal
6.8% 0.7% 1.6% 2.0% I
• Juvenile n Civil ■ Criminal Family n Juvenile • Probate / Mental Health 77 civil)
Probate/Mental Health . Pre -pandemic comparison: In 2019,
there were 725 jury trials requested
Locations: (633 criminal, 92 civil)
4 locations in downtown Minneapolis and two suburban ' 35,184 citizens summoned
• courts with county libraries and service centers:
Brookdale, Brooklyn Center; Ridgedale, Minnetonka
Fourth District Updates & Innovations
• An efficient, electronic court: paperless court files, effective electronic workflows and queues, customer
kiosks, and digital signage
• Texting and emailing to defendants to remind them of court hearings: reduced failure to appear for
hearings by 35%
• Adult Detention Initiative: focusing on pretrial detention only for defendants who pose a public safety
risk or risk of not reappearing
• Pioneered a validated and locally normed Pretrial Scale that has been used for decades and is race and
gender neutral. This tool allows judges to make objective release decisions.
• Juvenile Detention Alternatives Initiative (JDAI): 59% decrease in daily population at Juvenile Detention
Center; 37% decrease in out -of -home placements
• Warrant Helpline: Adult defendants can get information about their warrant and possibly schedule a
court hearing to take care of their case. 612-543-WRNT (9768)
Challenges
• Eviction case backlog following pandemic eviction
moratorium
• 4.2% increase in felony filings between 2015-2019
(five-year average)
• Criminal backlog of felony and gross misdemeanor
cases due to pandemic
• Many criminal defendants suffer from drug or
alcohol addiction or abuse, mental illness, or a
physical disability.
• Many litigants are self -represented. At least one
party is without an attorney in most family and minor
civil cases.
• Interpreter requests for more than 100 languages
provided annually (14,097 requests last year)
Adoptions
• 179 children adopted in Hennepin County last year
Focus on Quality of Justice: Treatment
Courts Model
Specialized treatment courts include Criminal
Mental Health Court, Drug Court, DWI Court,
and Veterans Court
• High -risk, high -need population with a
treatable condition
• Protects public safety and due process
• Non -adversarial prosecutor/defense counsel
• Intensive judicial/probationary supervision
• More immediate/timely incentives and
sanctions
CONTACT US
Todd Barnette, Chief Judge
Toddrick.Barnette@courts.state.mn.us
Sara Gonsalves, District Court Administrator
Sara.Gonsalves@ courts.state.mn.us
Mike Valleau, Legislative Liaison
Michael.Valleau@courts.state.mn.us
Website: www.mncourts.gov/hennepin
Orono Police Department
Crime Summary Report
Cities: MOUND
Date Range: 12/12022 12:00:01 AM - 12/312022 11: 59: 59 PM
Crime Category: All Other Larce
609.52.2(a)(1) Theft-Take/Use/Transfer Movable Prop -No Consent 1
609.50.1(2) Obstruct Legal Process -Interfere w/Peace Officer 1
609.631.3 Check Forgery-Offer/Possess W/Intent to Defraud
Cri�Category: Destruction/Damage/Vandalism of Property
609.595.3 Damage to Property-4th Deg -Intentional Damage -Other Circumstances
Crime Category: Disorderly Conduct
609.72.1 Disorderly Conduct
iving Under the Influence
169A.20.1(1) Traffic - DWI - Operate Motor Vehicle Under Influence of Alcohol
169A.20.1(5) Traffic - DWI - Operate Motor Vehicle - Alcohol Concentration 0.08 Within 2 Hours
169A.25.1(a) Traffic - DWI - Second -Degree Driving While Impaired; 2 or more Aggravating Factors
169A.27.1 DWI - Fourth -Degree Driving While Impaired; Described
1
1
1
1
i
1
2
2
1
1
Crime Category: Drug Equipment Violations Jkh 1
152.092(a) Drugs- Possession of Drug Paraphernalia- Use or Possession Prohibited 1
Crime Category: Drug/Narcotic Violations
152.025.2(1) Drugs - 5th Degree - Possess Schedule 1,2,3,4 - Not Small Amount Marijuana 1
152.027.4(a) Drugs - Possess/Sale Small Amount of Marijuana - No Remuneration 1
Crime Category: Fondling
609.3451.1 a(1) Criminal Sexual Conduct - 5th Degree - Nonconsensual sexual contact 1
Report Ran: 1/5/2023 4:03:25 PM Page 1 of 3
Report: OR - FBR - Crime Summary Report
Crime Category: Identity Thef
609.527.2 Identity Theft-Transfers/Possesses/Uses Identity of Other Person
1
Crime Category: Intimidation (Assault)
609.2242.1(1) Domestic Assault -Misdemeanor -Commits Act to Cause Fear of Immediate Bodily Harm or Death 1
�y: Liquor Law Viol-
340A.503.2(1) Liquor-Purchase/Sell/Barter/Furnish/Give to u21 yr
gory: Non-Reportabl
169.13.2(a) Traffic - Careless Driving -Operate any vehicle carelessly on street or highway
169.14.1 Traffic -Duty to Drive with Due Care -Speed Greater than Reasonable
171.24.2 Traffic -Drivers License -Driving After Revocation
70-33(e) (Mound)Semitrailer parking -Stand or park unattached from tractor unit for any length of time on any street
ACPD ACC -MOTOR VEHICLE PROPERTY DAMAGE
ACPDHR ACC -MOTOR VEH PROPERTY DAMAGE -HIT & RUN
ADBKADMIN BACKGROUND
ALBUS ALARM BUSINESS
AL FAIL ALARM FALSE
ALFIRE ALARM FIRE
ANAL ANIMAL AT LARGE
ANCOMP ANIMAL COMPLAINT/OTHER
ANINJ ANIMAL INJURED/SICK
ASLI FT LIFT ASSIST
ASOAASSIST OTHER AGENCY
ASPUB ASSIST PUBLIC
DEATH DEATH INVESTIGATION
DISDOM DISTURB DOMESTIC
DISTHR DISTURB THREAT
DISUNW DISTURB UNWANTED PERSON
FOPR FOUND PROPERTY
JUVPROB JUV-CHILD PROBLEM
JUVPROT JUV-CHILD PROTECTION
MED MEDICAL
MEDMH MEDICAL MENTAL HEALTH
MEDOD MEDICAL -OVERDOSE
MISCIV MISC PUBLIC CIVIL MATTER
MISCOMP MISC OFCR DRIVING COMPLAINT
1
Report Ran: 1/5/2023 4:03:25 PM Page 2 of 3
Report: OR - FBR - Crime Summary Report
MISDMG MISC OFCR DAMAGE TO SQUAD
MISINFO MISC OFCR INFORMATION
MISLOC MISC OFCR VEHICLE LOCKOUT
MISTRAFC MISC OFCR TRAFFIC COMPLAINT
MISTRES MISC OFCR TRESPASS NOTICE SERVED
MISUB MISC OFCR UNFOUNDED BURGLARY
MISWA MISC OFCR WARRANT ARREST
MISWEL MISC OFCR WELFARE CHECK
PERLL PERMIT LIQUOR LICENSE
PKCOMP PARKING COMPLAINT
SUSACT SUSPICIOUS ACTIVITY
SUSVEH SUSPICIOUS VEHICLE
609.2242.1(2) Domestic Assault -Misdemeanor -Intentionally Inflicts/Attempts to Inflict Bodily Harm on Another 1
Crim�egory: Sodomy
609.344.1a(h) Criminal Sexual Conduct - 3rd Degree - Penetration under 18 - Uses force 609.341 sub 3(2) 1
Crime Category: Theft From Building
609.52.2(a)(1) Theft-Take/Use/Transfer Movable Prop -No Consent 1
(Crime Categ
609.52.2(a)(1) Theft-Take/Use/Transfer Movable Prop -No Consent 1
Crime Category: Trespass of Real Property
609.605.1(b)(4) Trespass-Occupy/Enter Dwelling/Locked/Posted Build 1
Total All Categories: 132
Report Ran: 1/5/2023 4:03:25 PM Page 3 of 3
Report: OR - FBR - Crime Summary Report
Orono Police Department
Activity Report - Public
(If Juvenile involved, no address provided)
Cities: MOUND
Date Range: 12/1/2022 12:00:01 AM - 12/31/2022 11:59:59 PM
Case: OR22010974 Reported: 12/1/2022 2:05:57 AM
Address: 4P EMERALD DR
MOUND
Offense: MISWEL MISC OFCR WELFARE CHECK
Case: OR22011013 Reported: 12/2/2022 8:47:45 AM
Address:' ROSEDALE RD
MOUND
Offense: DEATH DEATH INVESTIGATION
Case: OR22011029 Reported: 12/2/2022 9:21:36 PM
Address: AM BRUNSWICK RD
MOUND
Offense: 609.2242.1(1) Domestic Assault -Misdemeanor -Commits
Act to Cause Fear of Immediate Bodily Harm or Death
Offense: 609.72.1 Disorderly Conduct
Case: OR22011046 Reported: 12/3/2022 2:29:14 AM
Address: SHORELINE DR & NORWOOD LN
MOUND
Offense: MED MEDICAL
Case: OR22011047 Reported: 12/3/2022 2:45:29 AM
Address: M COMMERCE BLVD
MOUND
Offense: 152.025.2(1) Drugs - 5th Degree - Possess Schedule 1,2,3,4
- Not Small Amount Marijuana
Offense: 152.092(a) Drugs - Possession of Drug Paraphernalia
- Use or Possession Prohibited
Offense: 609.50.1(2) Obstruct Legal Process -Interfere w/Peace
Officer
Offense: DISUNW DISTURB UNWANTED PERSON
Case: OR22011076 Reported: 12/4/2022 1:03:34 PM
Address:dft EDGEWATER DR
MOUND
Offense: MED MEDICAL
Case: OR22011098 Reported: 12/5/2022 1:14:13 PM
Address COMMERCE BLVD
MOUND
Offense: MED MEDICAL
Case: OR22011102 Reported: 12/5/2022 3:19:00 PM
Address: BALSAM RD
MOUND
Offense: DISDOM DISTURB DOMESTIC
Case: OR22011103 Reported: 12/5/2022 3:48:06 PM
Address: COMMERCE BLVD
MOUND
Offense: MEDMH MEDICAL MENTAL HEALTH
Case: OR22011105 Reported: 12/5/2022 4:38:29 PM
Address:4llI1llllllll�IRONWOOD LN
MOUND
Offense: MED MEDICAL
Case: OR22011106 Reported: 12/5/2022 5:44:40 PM
Address: 4ftHANOVER RD
MOUND
Offense: ASLIFT LIFT ASSIST
Case: OR22011110 Reported: 12/5/2022 8:30:27 PM
Address:1W HALSTEAD LN
MOUND
Offense: ASLIFT LIFT ASSIST
Case: OR22011123 Reported: 12/6/2022 9:09:30 AM
Address:a TONKAWOOD RD
MOUND
Offense: 609.52.2(a)(1) Theft-Take/Use/Transfer Movable Prop -No Consent
Report Ran: 1/5/2023 4:05:35 PM
Report: OR - FBR - Activity Report - Public Page 1 of 8
Case: OR22011129 Reported: 12/6/2022 10:31:03 AM
Address: ONSUGAR MILL LN
MOUND
Offense: 609.52.2(a)(1) Theft-Take/Use/Transfer Movable Prop -No Consent
Case: OR22011130 Reported: 12/6/2022 12:53:28 PM
Address: SWCOMMERCE BLVD
MOUND
Offense: PERLL PERMIT LIQUOR LICENSE
Case: OR22011131 Reported: 12/6/2022 12:56:24 PM
Address: S HIGHLAND BLVD
MOUND
Offense: 609.631.3 Check Forgery-Offer/Possess W/Intent to Defraud
Case: OR22011150 Reported: 12/6/2022 3:27:57 PM
Address: WILSHIRE BLVD
MOUND
Offense: FOPR FOUND PROPERTY
Case: OR22011153 Reported: 12/6/2022 6:17:47 PM
Address:a VILLAGE TRL
MOUND
Offense: MEDOD MEDICAL -OVERDOSE
Case: OR22011174 Reported: 12/7/2022 7:11:40 PM
Address: 4W COMMERCE BLVD
MOUND
Offense: MEDMH MEDICAL MENTAL HEALTH
Case: OR22011179 Reported: 12/7/2022 9:39:24 PM
Addresses TUXEDO BLVD
MOUND
Offense: ACPDHR ACC -MOTOR VEH PROPERTY DAMAGE -HIT
& RUN
Case: OR22011191 Reported: 12/8/2022 1:54:52 PM
Address: 4ft WILSHIRE BLVD
MOUND
Offense: JUVPROB JUV-CHILD PROBLEM
Case: OR22011192 Reported: 12/8/2022 1:54:45 PM
Address: 4WWILSHIRE BLVD
MOUND
Offense: MISWEL MISC OFCR WELFARE CHECK
Case: OR22011200 Reported: 12/8/2022 7:17:15 PM
Address:JM BALSAM RD
MOUND
Offense: 609.595.3 Damage to Property-4th Deg -Intentional Damage -Other Circumstances
Case: OR22011209 Reported: 12/9/2022 2:49:49 AM
Address: NO GRANDVIEW BLVD
MOUND
Offense: DISTHR DISTURB THREAT
Case: OR22011210 Reported: 12/9/2022 4:33:24 AM
Address: IMSPRUCE RD
MOUND
Offense: MED MEDICAL
Case: OR22011214 Reported: 12/9/2022 9:35:46 AM
Address: 4WWILSH IRE BLVD
MOUND
Offense: 609.3451.1 a(1) Criminal Sexual Conduct - 5th Degree - Nonconsensual sexual contact
Case: OR22011236 Reported: 12/9/2022 7:48:51 PM
Address: AM COMMERCE BLVD
MOUND
Offense: MISLOC MISC OFCR VEHICLE LOCKOUT
Case: OR22011242 Reported: 12/9/2022 9:20:35 PM
Address: 4WSUMACH LN
MOUND
Offense: 169.13.2(a) Traffic - Careless Driving - Operate any vehicle
carelessly on street or highway
Offense: 171.24.2 Traffic -Drivers License -Driving After Revocation
Offense: MISTRAFC MISC OFCR TRAFFIC COMPLAINT
Case: OR22011253 Reported: 12/10/2022 11:15:43 AM
Address: In HANOVER RD
MOUND
Offense: SUSACT SUSPICIOUS ACTIVITY
Case: OR22011260 Reported: 12/10/2022 3:11:58 PM
Address:W NORTHERN RD
MOUND
Offense: MISWEL MISC OFCR WELFARE CHECK
Report Ran: 1/5/2023 4:05:35 PM
Report: OR - FBR - Activity Report - Public Page 2 of 8
Case: OR22011273 Reported: 12/10/2022 10:30:28 PM
Address: OMWESTEDGE BLVD
MOUND
Offense: SUSACT SUSPICIOUS ACTIVITY
Case: OR22011294 Reported: 12/11/2022 1:13:34 PM
Address: :SHANNON LN
MOUND
Offense: ACPD ACC -MOTOR VEHICLE PROPERTY DAMAGE
Case: OR22011301 Reported: 12/11/2022 6:20:27 PM
Address: BEACHWOOD RD
MOUND
Offense: MEDOD MEDICAL -OVERDOSE
Case: OR22011311 Reported: 12/12/2022 7:03:10 AM
Address: as BARTLETT BLVD
MOUND
Offense: DISDOM DISTURB DOMESTIC
Case: OR22011317 Reported: 12/12/2022 10:52:20 AM
Address:! DEVON LN
MOUND
Offense: MISWEL MISC OFCR WELFARE CHECK
Case: OR22011318 Reported: 12/12/2022 11:28:19 AM
Address:M EDGEWATER DR
MOUND
Offense: ANAL ANIMAL AT LARGE
Case: OR22011324 Reported: 12/12/2022 4:26:55 PM
Address: BARTLETT BLVD
MOUND
Offense: MED MEDICAL
Case: OR22011344 Reported: 12/13/2022 8:51:50 AM
Address: _PELICAN POINT CIR
MOUND
Offense: ALFAL ALARM FALSE
Case: OR22011364 Reported: 12/14/2022 3:22:29 AM
Address:41ilMABERDEEN RD
MOUND
Offense: ASOA ASSIST OTHER AGENCY
Case: OR22011373 Reported: 12/14/2022 9:43:47 AM
Address: 'WILSHIRE BLVD
MOUND
Offense: ADBK ADMIN BACKGROUND
Case: OR22011395 Reported: 12/15/2022 9:17:36 AM
Address: d1W COMMERCE BLVD
MOUND
Offense: ALBUS ALARM BUSINESS
Case: OR22011406 Reported: 12/15/2022 9:19:41 PM
Address:
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.27.1 DWI - Fourth -Degree Driving While Impaired; Described
Offense: ACPD ACC -MOTOR VEHICLE PROPERTY DAMAGE
Case: OR22011409 Reported: 12/15/2022 11:45:06 PM
Address: BALSAM RD
MOUND
Offense: MISWA MISC OFCR WARRANT ARREST
Case: OR22011419 Reported: 12/16/2022 10:56:58 AM
Address:a VILLAGE TRL
MOUND
Offense: ACPD ACC -MOTOR VEHICLE PROPERTY DAMAGE
Case: OR22011430 Reported: 12/16/2022 6:04:47 PM
Address: BRIGHTON BLVD & LESLIE RD
MOUND
Offense: ACPD ACC -MOTOR VEHICLE PROPERTY DAMAGE
Case: OR22011431 Reported: 12/16/2022 6:36:59 PM
Address: MMDEVON LN
MOUND
Offense: MISWA MISC OFCR WARRANT ARREST
Case: OR22011450 Reported: 12/17/2022 11:08:42 AM
Address: JWSHOREWOOD LN
MOUND
Offense: FOPR FOUND PROPERTY
Report Ran: 1 /5/2023 4:05:35 PM
Report: OR - FBR - Activity Report - Public Page 3 of 8
Case: OR22011452 Reported: 12/17/2022 1:13:03 PM
Address: M DRUMMOND RD
MOUND
Offense: SUSACT SUSPICIOUS ACTIVITY
Case: OR22011457 Reported: 12/17/2022 2:01:09 PM
Address: fn DRUMMOND RD
MOUND
Offense: ANAL ANIMAL AT LARGE
Case: OR22011459 Reported: 12/17/2022 2:46:32 PM
Address: 4%WILSHIRE BLVD
MOUND
Offense: MED MEDICAL
Case: OR22011460 Reported: 12/17/2022 3:21:04 PM
Addressjft CANARY LN
MOUND
Offense: MISCIV MISC PUBLIC CIVIL MATTER
Offense: MISTRES MISC OFCR TRESPASS NOTICE SERVED
Case: OR22011483 Reported: 12/18/2022 12:52:07 PM
AddressAWCOMMERCE BLVD
MOUND
Offense: MISINFO MISC OFCR INFORMATION
Case: OR22011486 Reported: 12/18/2022 1:35:51 PM
Address:_ MILLPOND LN
MOUND
Offense: DISUNW DISTURB UNWANTED PERSON
Case: OR22011491 Reported: 12/18/2022 3:52:54 PM
Address:_ MAYWOOD RD
MOUND
Offense: MED MEDICAL
Case: OR22011498 Reported: 12/18/2022 7:33:14 PM
Address:411WANOVER RD
MOUND
Offense: MISWEL MISC OFCR WELFARE CHECK
Case: OR22011514 Reported: 12/19/2022 6:12:49 AM
AddressAW RED OAK RD
MOUND
Offense: MISWEL MISC OFCR WELFARE CHECK
Case: OR22011519 Reported: 12/19/2022 8:53:53 AM
Address:
MOUND
Offense: JUVPROT JUV-CHILD PROTECTION
Case: OR22011521 Reported: 12/19/2022 9:40:29 AM
Address: So HIGHLAND BLVD
MOUND
Offense: ALFAL ALARM FALSE
Case: OR22011522 Reported: 12/19/2022 9:38:46 AM
Address: ap COMMERCE BLVD
MOUND
Offense: MISINFO MISC OFCR INFORMATION
Case: OR22011523 Reported: 12/19/2022 9:58:28 AM
Address:
MOUND
Offense: 609.344.1a(h) Criminal Sexual Conduct - 3rd Degree
- Penetration under 18 - Uses force 609.341 sub 3(2)
Case: OR22011524 Reported: 12/19/2022 10:45:13 AM
Address: 41WMERALID DR
MOUND
Offense: MISINFO MISC OFCR INFORMATION
Case: OR22011525 Reported: 12/19/2022 10:38:00 AM
Address:4W ROSEDALE RD
MOUND
Offense: 609.527.2 Identity Theft-Transfers/Possesses/Uses Identity of Other Person
Case: OR22011532 Reported: 12/19/2022 4:42:41 PM
Address: AM COMMERCE BLVD
MOUND
Offense: MEDMH MEDICAL MENTAL HEALTH
Case: OR22011533 Reported: 12/19/2022 5:05:27 PM
Address: 4M COMMERCE BLVD
MOUND
Offense: 340A.503.2(1) Liquor-Purchase/Sell/Barter/Furnish/Give
to u/21yr
Case: OR22011544 Reported: 12/20/2022 5:29:19 AM
Address:JWCOMMERCE BLVD
MOUND
Offense: ALBUS ALARM BUSINESS
Report Ran: 1/5/2023 4:05:35 PM
Report: OR - FBR - Activity Report - Public Page 4 of 8
Case: OR22011545 Reported: 12/20/2022 8:56:37 AM
Address:= COMMERCE BLVD
MOUND
Offense: 70-33(e) (Mound)Semitrailer parking -Stand or park unattached from tractor unit for any length of time on any street
Case: OR22011551 Reported: 12/20/2022 12:52:57 PM
Address: 40GRANDVIEW BLVD
MOUND
Offense: MISINFO MISC OFCR INFORMATION
Case: OR22011559 Reported: 12/20/2022 5:10:11 PM
Address: S SHORELINE DR
MOUND
Offense: ACPD ACC -MOTOR VEHICLE PROPERTY DAMAGE
Case: OR22011575 Reported: 12/21/2022 11:31:54 AM
Address: !WALNUT RD
MOUND
Offense: MED MEDICAL
Case: OR22011584 Reported: 12/21/2022 5:47:17 PM
Address:1W BALSAM RD
MOUND
Offense: DISDOM DISTURB DOMESTIC
Case: OR22011589 Reported: 12/21/2022 11:08:35 PM
Address:=BALSAM RD
MOUND
Offense: MISCIV MISC PUBLIC CIVIL MATTER
Case: OR22011600 Reported: 12/22/2022 11:13:16 AM
Address: COMMERCE BLVD
MOUND
Offense: MISLOC MISC OFCR VEHICLE LOCKOUT
Case: OR22011601 Reported: 12/22/2022 12:40:44 PM
Address:M FAIRVIEW LN
MOUND
Offense: DEATH DEATH INVESTIGATION
Case: OR22011610 Reported: 12/22/2022 3:05:46 PM
Address: COMMERCE BLVD
MOUND
Offense: ASPUB ASSIST PUBLIC
Case: OR22011611 Reported: 12/22/2022 4:37:05 PM
Address4oW COMMERCE BLVD
MOUND
Offense: MISLOC MISC OFCR VEHICLE LOCKOUT
Case: OR22011625 Reported: 12/23/2022 12:14:07 PM
Address:r COMMERCE BLVD
MOUND
Offense: 169.14.1 Traffic - Duty to Drive with Due Care - Speed Greater
than Reasonable
Offense: ACPD ACC -MOTOR VEHICLE PROPERTY DAMAGE
Case: OR22011626 Reported: 12/23/2022 12:46:03 PM
Address:AWCOMMERCE BLVD
MOUND
Offense: ACPDHR ACC -MOTOR VEH PROPERTY DAMAGE -HIT & RUN
Case: OR22011632 Reported: 12/23/2022 4:31:47 PM
Address:qM LYNWOOD BLVD
MOUND
Offense: ACPD ACC -MOTOR VEHICLE PROPERTY DAMAGE
Case: OR22011638 Reported: 12/23/2022 5:40:10 PM
Address:M BALSAM RD
MOUND
Offense: MISCIV MISC PUBLIC CIVIL MATTER
Case: OR22011647 Reported: 12/24/2022 3:07:38 AM
Address:= MILLPOND LN
MOUND
Offense: SUSVEH SUSPICIOUS VEHICLE
Case: OR22011649 Reported: 12/24/2022 6:36:21 AM
Address: BARTLETT BLVD
MOUND
Offense: ALFAL ALARM FALSE
Case: OR22011650 Reported: 12/24/2022 8:08:47 AM
Address: WATERBURY RD & WARNER LN
MOUND
Offense: MISINFO MISC OFCR INFORMATION
Case: OR22011654 Reported: 12/24/2022 5:30:27 PM
Address: ObGULL LN
MOUND
Offense: DEATH DEATH INVESTIGATION
Report Ran: 1/5/2023 4:05:35 PM Page 5 of 8
Report: OR - FBR - Activity Report - Public 9
Case: OR22011658 Reported: 12/24/2022 9:22:23 PM
Address:! WILSHIRE BLVD
MOUND
Offense: MISWEL MISC OFCR WELFARE CHECK
Case: OR22011661 Reported: 12/25/2022 4:32:12 AM
Address:t SHORELINE DR
MOUND
Offense: FOPR FOUND PROPERTY
Case: OR22011668 Reported: 12/25/2022 1:13:13 PM
Address: IMSHANNON LN
MOUND
Offense: MISTRAFC MISC OFCR TRAFFIC COMPLAINT
Case: OR22011673 Reported: 12/25/2022 5:05:13 PM
Address: COMMERCE BLVD
MOUND
Offense: MEDMH MEDICAL MENTAL HEALTH
Case: OR22011679 Reported: 12/25/2022 9:51:41 PM
Address: MSPRUCE RD
MOUND
Offense: MED MEDICAL
Case:OR22011683 Reported: 12/26120227:08:01 AM
Address: � TUXEDO BLVD
MOUND
Offense: MEDMH MEDICAL MENTAL HEALTH
Case: OR22011695 Reported: 12/26/2022 10:41:48 AM
Address:s COMMERCE BLVD
MOUND
Offense: MISLOC MISC OFCR VEHICLE LOCKOUT
Case:OR22011697 Reported: 12/26/2022 11:53:59 AM
Address: OWCOMMERCE BLVD
MOUND
Offense: MED MEDICAL
Case: OR22011709 Reported: 12/26/2022 6:11:10 PM
Address: ifCOMMERCE BLVD
MOUND
Offense: MED MEDICAL
Case: OR22011712 Reported: 12/26/2022 7:54:18 PM
Address: MI BARTLETT BLVD
MOUND
Offense: 609.2242.1(2) Domestic Assault -Misdemeanor -Intentionally
Inflicts/Attempts to Inflict Bodily Harm on Another
Case: OR22011715 Reported: 12/26/2022 11:40:56 PM
Address: SHORELINE DR
MOUND
Offense: MISLOC MISC OFCR VEHICLE LOCKOUT
Case: OR22011722 Reported: 12/27/2022 7:57:37 AM
Address: IMCOMMERCE BLVD
MOUND
Offense: MED MEDICAL
Case: OR22011730 Reported: 12/27/2022 10:16:52 AM
Address: =SHORELINE DR
MOUND
Offense: MED MEDICAL
Case: OR22011732 Reported: 12/27/2022 10:25:46 AM
Address: M BALSAM RD
MOUND
Offense: MED MEDICAL
Case: OR22011745 Reported: 12/27/2022 2:33:50 PM
Address: EDGEWATER DR & ARBOR LN
MOUND
Offense: PKCOMP PARKING COMPLAINT
Case: OR22011750 Reported: 12/27/2022 5:22:33 PM
Address: M GALWAY RD
MOUND
Offense: ASPUB ASSIST PUBLIC
Case: OR22011755 Reported: 12/27/2022 6:54:46 PM
Address: WR BAYPORT RD
MOUND
Offense: 609.605.1(b)(4) Trespass-Occupy/Enter Dwelling/Locked/Posted
Build
Case: OR22011768 Reported: 12/28/2022 7:40:00 AM
Address: 41111� COUNTY ROAD 110 N
MOUND
Offense: MISDMG MISC OFCR DAMAGE TO SQUAD
Report Ran: 1/5/2023 4:05:35 PM
Report: OR - FBR - Activity Report - Public Page 6 of 8
Case: OR22011771 Reported: 12/28/2022 11:22:45 AM
Address: DICKENS LN
MOUND
Offense: ANCOMP ANIMAL COMPLAINT/OTHER
Offense: ANINJ ANIMAL INJURED/SICK
Case: OR22011776 Reported: 12/28/2022 2:21:55 PM
Address: OF COMMERCE BLVD
MOUND
Offense: ALFIRE ALARM FIRE
Case: OR22011780 Reported: 12/28/2022 4:36:35 PM
Address: 4WCUMBERLAND RD
MOUND
Offense: MED MEDICAL
Case: OR22011788 Reported: 12/28/2022 8:34:11 PM
Address: HERON LN
MOUND
Offense: ANCOMP ANIMAL COMPLAINT/OTHER
Case: OR22011795 Reported: 12/29/2022 12:47:20 AM
Address:AW COMMERCE BLVD
MOUND
Offense: MEDMH MEDICAL MENTAL HEALTH
Case: OR22011802 Reported: 12/29/2022 9:34:30 AM
Address: GRANDVIEW BLVD
MOUND
Offense: 609.52.2(a)(1) Theft-Take/Use/Transfer Movable Prop -No Consent
Case: OR22011811 Reported: 12/29/2022 2:36:43 PM
Address: BAY RIDGE RD
MOUND
Offense: MISCIV MISC PUBLIC CIVIL MATTER
Case: OR22011819 Reported: 12/29/2022 4:30:44 PM
Address: AWTHREE POINTS BLVD
MOUND
Offense: DISDOM DISTURB DOMESTIC
Case: OR22011821 Reported: 12/29/2022 5:13:34 PM
Address:' BARTLETT BLVD
MOUND
Offense: MISCIV MISC PUBLIC CIVIL MATTER
Case: OR22011832 Reported: 12/29/2022 8:05:08 PM
Address: M SUGAR MILL LN
MOUND
Offense: MISUB MISC OFCR UNFOUNDED BURGLARY
Case: OR22011835 Reported: 12/30/2022 9:30:00 AM
Address:49MWILSHIRE BLVD
MOUND
Offense: MISINFO MISC OFCR INFORMATION
Case: OR22011836 Reported: 12/30/2022 10:45:50 AM
Address: %N111WOMMERCE BLVD
MOUND
Offense: 152.027.4(a) Drugs - Possess/Sale Small Amount of Marijuana - No Remuneration
Case: OR22011839 Reported: 12/30/20221:54:01 PM
Address:JN&EDEN RD
MOUND
Offense: ALFAL ALARM FALSE
Case: OR22011849 Reported: 12/30/2022 10:23:01 PM
Address: SHORELINE DR
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: 171.24.2 Traffic -Drivers License -Driving After Revocation
Case: OR22011860 Reported: 12/31/2022 11:38:19 AM
Address:WSPRUCE RD
MOUND
Offense: MISWEL MISC OFCR WELFARE CHECK
Case: OR22011871 Reported: 12/31/2022 3:59:16 PM
Address: `TYRONE LN
MOUND
Offense: MISCOMP MISC OFCR DRIVING COMPLAINT
117
Report Ran: 1/5/2023 4:05:35 PM
Report: OR - FBR - Activity Report - Public Page 7 of 8
Total
Cases:
Report Ran: 1/5/2023 4:05:35 PM
Report: OR - FBR - Activity Report - Public Page 8 of 8
S B&MLENK
Real People. Real Solutions.
January 5, 2023
Mr. Eric Hoversten, City Manager
City of Mound
2415 Wilshire Boulevard
Mound, MN 55364
RE: Harbor District Improvements
Engineering Report Request
Dear Mr. Hoversten:
2638 Shadow Lane
Suite 200
Chaska, MN 55318-1172
Ph: (952) 448-8838
Fax: (952) 448-8805
Bolton-Menk.com
On July 12, 2022, the City Council received the Harbor District Improvements Park Plan prepared by
Hoisington Koegler Group, Inc. This plan to improve the area between the upcoming Artessa
development, the transit center and CSAH 15, formerly occupied in part by Auditors Road, was approved.
Park Plan elements included in the first of two phases:
1. Community event lawn
2. Plaza with gathering space
3. Promenade
4. Harbor seating
5. Art walk and hammock grove
In collaboration with City Staff and HKGI, we are pleased to assist in designing and implementing
construction of the infrastructure portions of this improvement plan.
We request the Council's authorization to prepare an Engineering Report for Phase I of the Park Plan
Improvements. Preparation of an engineering report will inform the Council of estimated constructions
costs, highlight key elements or challenges in the project, and is necessary before we begin preliminary
design. The study will also coordinate the limits and scope of adjacent construction included in both the
Artessa project and the trail crossing improvements. We anticipate the schedule to allow us to advertise
the project for bids in 2023/2024.
Please consider the attached Resolution requesting authorization for Bolton & Menk, Inc. to prepare an
Engineering Report for the Harbor District Improvements.
City Engineer Brian Simmons will be present at the January 10' council meeting to present the attached
brief on the proposed project and to answer any questions you may have.
Sincerely,
Bolton & Menk, Inc.
Matthew S. Bauman, P.E.
Assistant City Engineer
Https.//boltonmenk-my, sharepolnt com/personal/ldrmn-slmm on s_bolton-men k com/Documents/Mound/2022-01-OS CC Packet/2023-01-OS Ltr Request Study Harbor Dlstrkt
Improvements. docx Bolton & Menk is an eaual 0000rtunib, ern0wer.
DEVELOPMENT PLAN
The Development Plan for the Harbor District park is based on the issues and opportunities identified during the site
analysis phase, combined with input gathered through community engagement and stakeholder listening sessions, as
well as based on feedback and recommendations from City staff, the Mayor, and members of the Parks and Open Space
Commission. Elements keyed to the Development Plan are in order of priority and shown alongside precedent (example)
imagery.
r P.
r
=
aouoei
w�
t— ' "1-2
IT
FIGURE 4.1 DEVELOPMENT PLAN
SHELTER (FUTURE PHASE)
O COMMUNITY EVENT LAWN
50,000 SF event lawn for informal and programmed events
Will require grading, potential soil amendment, seeding with hardy turf
grass; lawn to extend all of the way to the harbor, Andrews Sisters Trail
with the removal of Auditors Road east of the promenade
Potential transplant of existing tree and sculpture to Art Walk for further
open space.
4-2 MOUND HARBOR DISTRICT PARK IMPROVEMENTS PLAN
CITY OF MOUND
RESOLUTION NO. 23-
RESOLUTION ORDERING PREPARATION OF REPORT ON HARBOR DISTRICT
IMPROVEMENTS PROJECT
WHEREAS, the City Council reviewed and approved the Harbor District Park Improvement Plan
prepared by HKGI; and
WHEREAS, the initial phase of improvements is recommended to be completed concurrently
with the adjacent site development and closure of Auditors Road;
NOW, THEREFORE BE IT RESOLVED by the City Council of the City of Mound, Minnesota,
that the Harbor District Improvements Project, be referred to Bolton & Menk, Inc for study and
that they are instructed to report to the Council as to whether the proposed improvement is
necessary, cost effective, and feasible.
Adopted by the City Council this 10th day of January 2023.
Jason R. Holt, Mayor
ATTEST:
Kevin Kelly, City Clerk
nAAL
CITY OF MOUND
2415 WILSHIRE BOULEVARD • MOUND, MN 55364-1668 • PH: 952-472-0600 • FAX: 952-472-0620 • WWW.CITYOFMOUND.COM
DATE: January 5, 2023
TO: Mayor Holt and Council Members
FROM: Eric Hoversten, City Manager/Public Works Director
SUBJECT: Council Vacancy
The Council discussed the anticipated vacancy of Council Member Holt for the remainder of his
City Council Member term ending 12-31-2024 at the November 22, 2022 regular Council
meeting. The agenda packet information from November 22°d has been included in this packet.
At that meeting, the Council directed staff to solicit applicants to fill the vacancy with the
understanding the new City Council would finalize the selection process at the January 10, 2023
meeting after all new and reelected officials have been sworn in and the number of interested
candidates was known. The past two Council vacancies were filled by appointment for the
remainder of the term
The deadline to submit an application to be considered for appointment to fill the vacancy is
Friday, January 6, 2023 at 12:00 noon. As of Thursday, January 5, 2023 at 12:00 noon, three
applications have been received. The following is a list of potential items for discussion on how
to proceed:
• Interview process
• Candidate selection process
• Length of appointment (remainder of term or until a special election can be held)
An excerpt from the League of Minnesota Cities Handbook for Minnesota Cities Chapter 6:
Elected Officials and Council Structure and Role has been included in the agenda packet in the
event it may assist with the discussion.
Please let me know if you have any questions or need any additional information prior to the
meeting at (952)472-0609 or via email at erichoversten@cityofmound.com.
Excerpt: www.Imc.org Chapter 6 Handbook for Minnesota Cities
Page 1 of 2
RELEVANT LINKS:
9. Expiration of elected term
Minn. Stat. § 412.02, subd.2.
Generally, the vacancy occurring at the conclusion of an incumbent's term
Minn. Stat. § 205.07, subd.
1a.
of office is filled immediately by the successor. If no one has been elected,
the incumbent fills the office until the council appoints a successor and
that person qualifies for the office.
10. Habitual drunkenness
Minn. Stat. § 351.07.
State law provides that the habitual drunkenness of any person holding
office is good cause for removal from office.
F. Filling vacancies
Minn. Stat. § 412.02, subd.
While a council might identify and declare the facts giving rise to a
A.G. Op. 59a-30 (July 24,
vacancy, for all practical purposes they occur automatically and are not
1990•
based upon any removal action. Because the council must fill vacancies in
SmAcceptwg Coanca
elective offices, it should determine whether a vacancy exists. After
MemberResignarfon and
investigating the facts, the council should pass a resolution declaring a
Declaring a Vacancy, LMC
Model Resolution.
vacancy and then fill it as soon as possible.
Minn. Stat. § 412.02, subs.
State law provides that statutory city councils make the appointment to fill
2a.
a vacancy, except in the case of a tie vote when the mayor makes the
A.G. Op. 471-M (Oct. 30,
appointment. That means all members of the council, including the mayor,
1986).
can vote on the appointment. And as long as at least a quorum of the
council is present, a majority vote of those present is sufficient to make the
appointment.
State law does not place any limitation on a mayor's ability to make an
appointment in the case of a tie vote. As a result, the mayor can appoint
Minn. Stat. § 412.121. Minn.
any qualified person willing to fill the vacancy even if that person was not
Stat. § 471.46.
the subject of the original appointment vote. If the vacancy is for the
mayor's office and the council casts a tie vote, the acting mayor should
make the appointment. The acting mayor may not, however, appoint
himself or herself.
Minn. Const. art V11, § 6.
The council may appoint any individual who is eligible for election to that
office. Generally, to be eligible a person must be a U.S. citizen, a resident
of the city, a qualified city voter, and at least 21 years old. The council is
not obligated to appoint any candidate previously defeated in an election
for the office.
Minn. Stat. § 415.15.
A resigning council member may not vote on the appointment of the
A.G. Op. 471-M (Dec. 27,
1977).
successor to that vacancy. A council member who is elected mayor,
however, may participate in the appointment vote to fill the vacancy in his
or her former council position.
League of Minnesota Cities Handbook for Minnesota Cities 67712022
Elected Officials and Council Stricture and Role Chapter 1 Page 8
Excerpt: www.Imc.org Chapter 6 Handbook for Minnesota Cities Page 2 of 2
RELEVANT LINKS:
Minn. Stat. § 412.02, subd.
2a.
Minn. Stat. § 412.02, subd.
2a.
Minn. Stat. § 412.02, subd.
2a. see LMC information
memo, city Special
Elections, for more
information.
Minn. Stat. § 412.02, subd. 2.
Minn. Stat. § 205.07, subd.
Ia. A.G. Op. 471-M (Nov.
23, 1999).
Minn. Stat. § 471.46.
Minn. Stat. § 471.895.
Minn. Stat. § 10A.071, subd.
1. Minn. Stat. § 471.895,
subd. 1(b).
Under certain circumstances, individuals appointed to fill council
vacancies serve on a temporary basis, and the city must hold a special
election to elect a permanent replacement to fill the vacancy. Two factors
determine whether an election is required: first, whether filing has opened
for the next regular city election, and second, the length of the unexpired
portion of the term at the time of the vacancy.
If the vacancy occurs on or after the first day to file as a candidate for the
next regular city election or if less than two years remain in the unexpired
term, the city does not need to hold a special election, and the appointed
person can serve out the remainder of the unexpired term. In the
alternative, if the vacancy occurs before the first day to file as a candidate
for the next regular city election and more than two years remain in the
unexpired term, the city must hold a special election to fill the council
vacancy at or before the next regular city election, and the person elected
will serve out the remainder of the unexpired term.
If the council chooses to hold a special election to fill a vacancy at a time
other than at the regular city election, it must first adopt an ordinance
specifying the circumstances under which such an election will be held.
State law generally provides that the terms of elected city officials begin
on the first Monday in January following the election. However, the
attorney general has advised that a person elected to fill a vacancy is
eligible to qualify and assume office upon receipt of an election certificate.
G. Council members ineligible to fill certain
vacancies
City council members, including mayors and elected clerks, may not be
considered to fill vacancies in other city elective offices if the council has
the power to make the appointment to fill the vacancy. This rule applies
even if a council member resigns the position on the council before the
council makes the appointment.
An exception to this rule is that the council may appoint one of its
members to the office of either mayor or clerk. In such a case, the council
member being considered for the appointment may not vote.
H. Gifts
Elected and appointed "local officials" are generally prohibited from
accepting gifts from "interested persons." A "gift" is defined as money,
real or personal property, a service, a loan, a forbearance or forgiveness of
debt, or a promise of future employment, that is given and received
without the giver receiving something of equal or greater value in return.
League of Minnesota Cities Handbook for Minnesota Cities 67712022
Elected Officials and Council Structure and Role Chapter 1 Page 9
01 NO OTR\O 11Oki
Date November 17,2022
To Mayor and City Council
From Eric Hoversten, City ManagerfPublic Works Director
Subject Soliciting candidates to fill anticipated Council vacancy
With the election oflason Holt as Mayor, it is anticipated that there will be a vacancy on the City
Council once he takes the Oath of Office for Mayor on January, 10, 2023_ The City is required to
fill the vacancy either for the remainder of the tern or unit a special election can be held and
therefore the City will begin soliciting candidates for consideration by the City Council at the
January, lothregular meeting.
The attached documents will be used in the solicitation process that will be communicated by the
press releas a and posted on the City website Staff will begin the public solicitation process in
late November, 2022 with an application deadline of January, 6, 2023, initial review of the
applicant slare and identification of most prefected candidates on January, 10, interviews and
final selection January, 21, and swearing in anticipated February, 14, 2023_
The vacancies in 2013 and2018 were both filled by appointments for the remainder of the City
Council tern, as is pemutted by statute MN Statute (41202) states, `a vacancyin an office
shall be filled by council appointment until an election is held as provided in this subdivision If
the vacancy occurs before the first day to file affidavits of candidacy for the next regular city
election and more than two years remain in the unexpired tern, a special election shall be held at
or before the next regular city election and the appointed person shall serve until the qualification
of a successor elected at a special election to fill the unexpired portion of the term"
Please letme know if you have any questions regarding this subject matter at (952472 0609_
An
INTERVIEW/APPOINTMENT PROCESS
VACATED CITY COUNCIL MEMBER SEAT
TERM EXPIRING 12-31-2024
The City of Mound received applications from residents interested in being appointed to serve the remainder
of the term of the City Council Member seat vacated by the election of Jason Holt as Mayor. Because more
than 5 applications were received, at the January 10' regular meeting the Council will narrow the candidate
pool to up to 5 for in -person interviews on January 24th.
Interviews will take place at the January 24, 2023 regular council meeting. Following any public hearings, the
5 applicants will be asked to wait in the reception area and will be individually interviewed one at a time by the
Council (in alphabetical order).
Round 1: Candidates will be brought in one at atime for 20 minutes each. Each candidate submitted awritten
application that has been provided to the Council Members. Council Members will take turns asking questions
of their choosing. Questions are wide open and do not have to be the exact same questions for each
candidate. The City Manager will give a two minute warning when the twenty minutes are up. At the end, a
silent ballot will be used to vote for three people each, with #1 being the favorite choice, #2 second favorite, and
#3 third favorite. City Manager will tally and announce the top three candidates who received the highest
number of votes that will proceed to Round 2.
Round 2: Depending on the time and preference of the Council, either the Council will ask additional
questions of the top three finalists, or may deliberate and/or take a final vote using the silent ballot to vote for
their top candidate only.
The individual appointed to fill the remainder of the vacated Council Member seat will take the Oath of Office
at the February 14, 2023 regular meeting.
The format of the silent ballot and the application can be found below. Any questions on the process should be
directed to City Manager Eric Hoversten at (952)472-0609 or via email at erichoverstenAcitvofinound.com.
The City is extremely appreciative for the applicants' interest in serving in this most important role.
SILENT BALLOT - ROUND 1
NAME OF CANDIDATE
VOTE FOR UP TO 3 - CHOICE #: First Choice, Second Choice, Third Choice.
CHOICE #
The City Manager will collect the ballots, score them #1 earning 3 points, #2 earning 2
and #3 earning 1, and then total the choice points.
Round 1: The 3 candidates with the most amount of points will advance to Round 2
Note: In Round 2 —the Council will vote for their top candidate (1 vote) and the candidate
with the most votes will be appointed.
n
POSITION POSTING
MOUND CITY COUNCIL MEMBER
With the election of Jason Holt as Mayor, it is anticipated that there will be a vacancy on the City Council once
he takes the Oath of Office for Mayor on January 10, 2022. Therefore, the City is seeking applications from
residents interested in being appointed to the City Council to complete Mr. Holt's council member term which
expires 12/31/2024 or until such time as a Special Election is held to fill the remainder of the same tern (this
will be decided by the City Council at the January 10, 2022 meeting).
The Process
The City Manager will be taking applications from candidates interested in filling the vacancy. Applications
are available by calling Jen at 952-472-0603 or at www.cityofrnound.ccm. The deadline to submit
applicadons is 12:00 noon on Friday, January 6, 2023. (Call for a Microsoft Word version)
If the number of interested candidates exceeds 5, the council will sort through the applications at the January
10th regular meeting and select up to five candidates that will be invited to be interviewed by the City Council
wits January 24th regular meeting. Interviews with the Mayor and Council will be held at the January 24th
regular council meeting. You must be available for the interviews to be considered as a candidate. The
successful candidate will be swom into office at the February 14, 2023 regular City Council meeting.
Requirements
Candidates must reside in the City of Mound and be available for the following obligations and time
commitments:
Regular Meetings: City Council meets at 7:00 p.m., the second and fourth Tuesday of each month. Periodic
special meetings are also held for workshops and/or concurrent meetings with the HRA or Planting
Commission, time and date of which is typically established well in advance, with a minimum of at least three
days (except in the case of an emergency). There are also some periodic social and civic obligations in the
community.
Council Members also serve as Housing and Redevelopment Authority (HRA) commissioners. These meetings
are typically held prior to the regular city council meetings on an as needed basis. The HRA considers all
matters pertaining to redevelopment in which the City is a participant.
Advisory commission liaison— council members serve an one or more of the advisory commissions or council
subcommittees. Meeting dates vary, depending upon the appointment. Advisory commissions include the
Planning Commission, Parks and Open Space Commission or Docks and Commons Commission. Each acts as a
recommending body to the City Council.
Compensation
$350.00 per month, amounting to $4,200 annual compensation.
Procedure
Return reapplication by 12:00 noon, Friday, Jan 6, 2023, to: City Manager Eric Hoversten
or fax to (952)472-0620 City of Mound
2415 Wilshire Blvd
Mound, MN 55364
Name:
Address:
Phone:
Place of Employment:
Address:
APPLICANT INFORMATION
MOUND CITY COUNCIL VACANCY
November 2022
Email:
Does your job require frequent travel? If so, please describe.
Do you live within the city limits of Mound? (Circle one) Yes
No
Applicants must submit a Letter of Interest in Serving on the City Council to serve as an
introduction to the Council explaining your life and professional experience that prepares you
for a position on the Council, significant issues facing the City, and actions you would
anticipate toward addressing them (maximum of two pages, single spaced).
In addition, please complete the following questions and sign the release on the following page.
1. Please fully disclose any potential conflicts of interest (perceived or real) you may have serving on this
city council.
2. Describe your availability to meet the second and fourth Tuesdays of each month and special meetings
as needed.
3. Please list other boards you are serving on, your position on the board and rate the demands placed on
you by that board.
Procedure
Return rp inted application by 12:00 noon, Friday, Jan 6, 2023, to
or fax to: (952) 472-0620
Questions:
City Manager Eric Hoversten
City of Mound
2415 Wilshire Blvd
Mound, MN 55364
952-472-0609
Authorized Signature and Acknowledgements
The information you provided on the APPLICANT INFORMATION APPLICATION FORM is subject to the
Minnesota Government Data Practices Act, Minnesota Statutes, Chapter 13. The data is being collected in
support of your application for appointment to the City Council. The Mound City Council, who will hold the
interviews, vote on the candidates using a silent ballot, and make the appointment, will be reviewing this data.
You may refuse to provide this data. However, refusal to supply data may result in denial of your application
for appointment to the City Council. Pursuant to Minnesota Statutes, Section 13.601, if you are appointed to
the City Council, some information you provided on this application will become public. All other data on your
application is considered private and will not be released to the public.
By checking the box below you certify that all of the information provided on this application is true and
complete. You understand that you are required to appear for a candidate interview being held as part of the
Tuesday, January 24, 2023 City Council meeting scheduled for 7:00 p.m. in the Council Chambers in the
Mound Centennial Building (former City Hall) located at 5341 Maywood Road.
By checking this box and signing this application form, I acknowledge this application for appointment to the
City Council has been carefully read and understood, and I accept the agreements herein.
❑ I agree
Signature: Date:
MOUND PRESS RELEASE
DATE:
0.
nA
nTv o��
Mound City Council Member Candidates Sought
APPLICATIONS DUE JAN 6th
With the election of Jason Holt as Mayor, it is anticipated that there will be a vacancy on the City Council
once he takes the Oath of Office for Mayor on January 10, 2023. Therefore, the City is seeking
applications from residents interested in being appointed to the City Council to fill the vacancy. The City
of Mound is a Statutory Class B City, having a City Council/City Manager form of government. An elected
City Council sets the policy and overall direction for Mound. Then, city employees, under the direction of
the City Manager, carry out council decisions and provide day-to-day city services.
The City Council meets the 2nd and 4th Tuesday of every month at 7:00 p.m. in regular session. Special
meetings are called as needed and council members serve on one or more of the advisory commissions or
council subcommittees. The City of Mound is accepting applications for appointment to the City Council
through 12 noon on Friday, January 61h. The council will sort through the applications at the January
loth regular meeting and select up to five candidates that will be invited to be interviewed by the City
Council at its January 241h regular meeting. On January loth the Council will also decide if the appointment
will be for the remainder of Mr. Holt's council member term which expires 12/31/2024 or just until a
special election can be held. See cityofmound.com or call 952-472-0603 for an application.
CITY OF MOUND
RESOLUTION NO. 23-
RESOLUTION DECLARING A CITY COUNCIL VACANCY AND
DETERMINING IT WILL BE FILLED BY COUNCIL APPOINTMENT
WHEREAS, on November 8, 2022, Mound City Council member Jason Holt was elected
Mayor of Mound in the regular city election, for which he took the oath of office on January 10,
2023; and
WHEREAS, City Council member Holt has formally resigned his City Council office
effective upon taking the mayoral oath of office; and
WHEREAS, Minn. Stat. § 351.02, subd. 2 provides that a vacancy in office shall exist upon
an incumbent's resignation; and
WHEREAS, the City Council must determine whether a vacancy exists on the City Council
and if so, declare said vacancy; and
WHEREAS, Minn. Stat. § 412.02, subd. 2a. provides that when less than two years remain
in an unexpired term of a vacant office, there need not be a special election to fill the vacancy and
the City Council may appoint a person to serve the unexpired portion of the vacant seat; and
WHEREAS, because the term of the vacant office expires on December 31, 2024, the City
Council desires to fill the vacated office by council appointment until the term expires.
NOW, THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF MOUND,
MINNESOTA, AS FOLLOWS:
1. The Mound City Council accepts Councilmember Jason Holt's resignation and declares
that a vacancy exists on the Mound City Council effective on January 10, 2023.
2. Pursuant to Minn. Stat. § 412.02, subd. 2a., the Mound City Council will appoint a person
to fill the remaining term of the vacancy.
Adopted by the City Council this 10'h day of January, 2022.
Mayor Jason R. Holt
Attest: Kevin Kelly, Clerk
543654v2 DTA MU220-2
City of Mound Cash Balances Reporting
As of 07-31-22 As of 08-31-22 As of 09-30-22 As of 10-31-22 As of 11-30-22
General Fund (101) $ 1,903,306 $ 1,501,348 1,246,064 878,155 708,602
Area Fire Services (222)
$
564,301
$
522,765
755,026
483,272
451,343
Dock Fund (281)
$
483,004
$
482,768
480,044
478,564
477,668
Harbor District (285)
$
323,396
$
318,469
316,735
312,182
310,062
Debt Service Funds (3XX) **
$
4,410,287
$
4,303,998
4,340,153
4,310,073
4,336,140
Captial Project Reserve Funds
401 Infrastructure/Street Replacement
$
2,457,699
$
2,460,390
2,448,954
2,388,168
2,280,176
403-Cap Reserve - Vechicles & Equip
$
797,560
$
797,559
797,559
797,560
797,560
404-Community Investment Fund
$
200,294
$
192,404
172,531
163,560
81,358
405-Cap Reserve City Buildings
$
240,292
$
240,291
240,291
240,291
240,291
427-Street Maintenance Fund
$
668,857
$
622,794
617,853
617,854
617,609
454-TIF 1-1 Harrison Bay
$
29,089
$
28,856
28,856
28,856
28,856
475-TIF 1-3 Mound Harbor District
$
513,143
$
511,316
511,316
511,316
511,316
Subtotal Capital Funds
$
4,906,934
$
4,853,610
4,817,360
4,747,605
4,557,166
Enterprise Funds
Liquor (609)
$
841,219
$
852,476
851,339
915,426
978,400
Water (601)
$
(3,955,450)
$
(3,857,902)
(3,742,797)
(3,574,997)
(3,781,694)
Sewer (602)
$
1,258,877
$
1,258,176
1,340,335
1,458,926
1,559,149
Storm (675)
$
(1,585,709)
$
(1,576,587)
(1,566,363)
(1,557,251)
(1,547,068)
Recycling(670)
$
184,071
$
182,069
181,810
192,011
191,829
Subtotal Enterprise Funds
$
(3,256,992)
$
(3,141,768)
(2,935,676)
(2,565,885)
(2,599,384)
Pooled Investments/CDs (884)
$
(4,979,634)
$
(4,972,609)
(3,964,804)
(5,955,012)
(5,946,933)
TOTAL ALL FUNDS - CASH BALANCE $ 4,',
** Debt Service Fund Balance - prepaid special assessments
TOTAL INVESTMENTS AT COST $ 4,995,475 $ 4,995,475 $ 3,995,497 $ 5,994,375 $ 5,994,375
SAFINANCE DEPT\REPORTS\2022\CASH BALANCES.XLS
CITY OF MOUND
EXPENSES - BUDGET REPORTING
NOVEMBER 2022
Percentage of Budget 91.67%
NOVEMBER2022 YTD PERCENT
FUND BUDGET EXPENSE EXPENSE VARIANCE EXPENDED SEP OCT NOV
GENERALFUND
Council
83,826
4,489
84,046
(220)
100.26%
12,862
12,396
4,489
Promotions
1,500
-
-
1,500
0.00%
-
-
-
City Manager / City Cler4
193,521
14,813
167,017
26,504
86.30%
14,815
15,093
14,813
Elections
15,700
263
10,532
5,168
67.08%
430
110
263
Finance
461,487
36,615
423,543
37,944
91.78%
37,013
38,327
36,615
Assessing
132,000
-
132,000
-
100.00%
-
-
-
Legal
90,212
2,515
83,127
7,085
92.15%
7,064
17,795
2,515
Centennial Building
53,950
2,427
60,040
(6,090)
111.29%
5,655
6,603
2,427
City Hall - Wlshire
54,731
3,576
51,052
3,679
93.28%
4,153
5,162
3,576
Computer
41,500
1,508
36,231
5,269
87.30%
4,658
1,508
1,508
Police
1,949,782
226
1,939,521
10,261
99.47%
231
1,159
226
Emergency Preparedness_
48,288
3,598
40,910
7,378
84.72%
2,915
3,825
3,598
Planning & Inspections_
503,231
22,198
402,586
100,645
80.00%
41,634
37,527
22,198
Streets
868,567
79,966
743,293
125,274
85.58%
71,018
65,087
79,966
Parks
498,929
83,566
536,212
(37,283)
107.47%
51,996
45,392
83,566
Transfers
757,946
39,828
718,115
39,831
94.74%
39,829
39,828
39,828
Cable TV
42,300
5,682
17,979
24,321
42.50%
-
-
5,682
Contingency
66,000
3,941
10,572
55,428
16.02%
-
1,135
3,941
TOTALS
5,863,470
305,211
5,456,776
406,694
93.06%
294,273
290,947
305,211
OTHER FUNDS
Area Fire Services
1,441,662
83,401
1,421,192
20,470
98.58%
79,663
339,946
83,401
Docks
164,857
770
45,339
119,518
27.50%
2,249
1,480
770
Transit District Maintenance
49,126
2,120
46,986
2,140
95.64%
1,735
4,552
2,120
Capital Projects_
-
107,992
248,099
(248,099)
n/a
11,436
74,475
107,992
Capital Replacement - Equipmenl
25,000
-
-
25,000
0.00%
-
-
-
Community Investment Reserve
-
84,594
161,067
(161,067)
n/a
19,872
8,971
84,594
Sealcoating
-
245
72,017
(72,017)
n/a
4,940
-
245
TIF 1-1-Harrison Bay
-
-
55,176
(55,176)
n/a
-
-
-
TIF 1-3 - Mound Harbor
-
-
4,450
(4,450)
n/a
-
-
-
Water Utility
1,911,239
475,468
2,149,038
(237,799)
112.44%
141,677
119,389
475,468
Sewer Utility
2,279,773
167,471
2,410,757
(130,984)
105.75%
193,585
164,922
167,471
Liquor Store
667,446
54,571
598,383
69,063
89.65%
52,566
59,410
54,571
Recycling Utility
242,092
19,529
213,283
28,809
88.10%
19,504
19,502
19,529
Storm Water Utility
336,800
21,210
317,703
19,097
94.33%
21,210
21,210
21,210
CITY OF MOUND
REVENUE - BUDGET REPORTING
NOVEMBER 2022
Percentage of Budget
91.67%
NOVEMBER 2022
YTD
PERCENT
FUND
BUDGET
REVENUE
REVENUE
VARIANCE
RECEIVED
SEPTEMBER
OCTOBER
NOVEMBER
GENERALFUND
Property Taxes
3,918,283
-
884,517
3,033,766
22.57%
-
-
-
Business Licenses & Permits
27,250
125
31,190
(3,940)
114.46%
-
200
125
Non -Business Licenses & Permits
209,200
30,579
217,292
(8,092)
103.87%
18,152
25,445
30,579
Intergovernmenta
343,146
-
186,573
156,573
54.37%
-
-
-
Charges for Services
226,750
29,769
242,113
(15,363)
106.78%
19,615
24,478
29,769
City Hall Renl
40,000
5,443
42,166
(2,166)
105.42%
1,977
3,710
5,443
Fines & Forfeitures
28,000
5,668
24,224
3,776
86.51%
1,854
-
5,668
Special Assessments
15,000
7,346
12,571
2,429
83.81%
1,354
350
7,346
Street Lighting Fees
40,000
3,322
36,229
3,771
90.57%
3,342
3,241
3,322
Franchise Fees
397,000
21,642
297,874
99,126
75.03%
-
74,068
21,642
Transfers
250,000
-
250,000
-
100.00%
-
-
-
Miscellaneous
203,000
2,238
192,942
10,058
95.05%
2,454
4,369
2,238
TOTALS
5,697,629
106,132
2,417,691
3,279,938
42.43%
48,748
135,861
106,132
OTHER FUNDS
Area Fire Services
1,370,761
40,013
1,386,287
(15,526)
101.13%
301,865
54,326
40,013
Docks
180,100
(706)
186,484
(6,384)
103.54%
-
-
(706)
Transit District Maintenance
160,100
-
164,455
(4,355)
102.72%
-
-
-
Water Utility
2,030,000
174,289
2,537,149
(507,149)
124.98%
200,573
201,007
174,289
Sewer Utility
2,550,403
219,261
2,586,982
(36,579)
101.43%
228,408
228,544
219,261
Liquor Store
3,500,000
297,846
3,428,498
71,502
97.96%
328,667
315,341
297,846
Recycling Utility
242,825
19,946
234,511
8,314
96.58%
20,116
28,448
19,946
Storm Water Utility
140,000
11,376
126,931
13,069
90.67%
11,594
11,544
11,376
Investments
-
8,079
46,840
(46,840)
n/a
7,835
8,669
8,079
HarborDECEM BER 2022 VS 2021
DATE SALES CUSTOMERS AVERAGETICKET
'22 '21 '22 '21 +/- '22 '21 +/- '22 '21 +/-
Wednesday 1 8,105 264 31
Thursday 1 2 7,810 8,155 -4% 300 294 2% 26 28 -6%
Friday 2 3 14,791 14,200 4% 454 463 -2% 33 31 6%
Saturday 3 4 19,778 25,620 -23% 499 603 -17% 40 42 -7%
Sunday 4 5 7,156 6,074 18% 250 246 2% 29 25 16%
Monday 5 6 6,333 5,166 23% 236 219 8% 27 24 14%
Tuesday 6 7 8,035 6,903 16% 253 258 -2% 32 27 19%
Wednesday 7 8 7,325 7,563 -3% 253 281 -10% 29 27 8%
Thursday 8 9 10,011 10,983 -9% 301 371 -19% 33 30 12%
Friday 9 10 15,634 18,619 -16% 475 544 -13% 33 34 -4%
Saturday 10 11 14,394 14,924 -4% 396 431 -8% 36 35 5%
Sunday 11 12 7,763 7,364 5% 256 242 6% 30 30 0%
Monday 12 13 6,986 6,630 5% 253 256 -1% 28 26 7%
Tuesday 13 14 8,411 8,905 -6% 285 262 9% 30 34 -13%
Wednesday 14 15 9,924 9,268 7% 298 339 -12% 33 27 22%
Thursday 15 16 10,229 8,739 17% 280 300 -7% 37 29 25%
Friday 16 17 16,565 16,762 -1% 469 486 -3% 35 34 2%
Saturday 17 18 18,525 16,612 12% 464 437 6% 40 38 5%
Sunday 18 19 8,012 8,179 -2% 273 274 0% 29 30 -2%
Monday 19 20 9,821 10,485 -6% 290 313 -7% 34 33 1%
Tuesday 20 21 16,263 10,894 49% 399 335 19% 41 33 25%
Wednesday 21 22 19,763 15,654 26% 465 418 11% 43 37 13%
Thursday 22 23 21,036 33,224 -37% 487 715 -32% 43 46 -7%
Friday 23 24 31,415 27,654 14% 690 620 11% 46 45 2%
Saturday 24 25 20,389 495 41
Sunday 25 26 8,351 302 28
Monday 26 27 8,133 7,409 10% 285 258 10% 29 29 -1%
Tuesday 27 28 8,482 7,842 8% 287 277 4% 30 28 4%
Wednesday 28 29 7,865 10,584 -26% 270 345 -22% 29 31 -5%
Thursday 29 30 9,652 14,666 -34% 306 422 -27% 32 35 -9%
Friday 30 31 17,372 29,150 -40% 464 751 -38% 37 39 -4%
Saturday 31 24,741 629 39
TOTAL - December 392,614 384,685 2.06% 11,062 11,326 -2.33% 35 34 4%
Sales Customer Avg Ticket
2022 2021 2022 2021 r2022 �2021
FIRST QTR 760,983 788,940 , -4% 26,457 27,978 -5% 29 28 2%
SECOND QTR 960,426 1,018,288 -6% 32,057 34,232 -6% 30 30 1%
THIRD QTR 1,101,657 1,083,083 2% 35,241 35,700 -1% 31 30 3%
October 319,106 315,689 1% 10,713 11,093 -3% 30 28 5%
November 299,207 288,583 4% 9,635 9,719 -1% 31 30 5%
December 392,614 384,685 2% 11,062 11,326 -2% 35 34 4%
FOURTH QTR 1,010,927 988,956 2% 31,410 32,138 -2% 32 31 5%
TOTAL-YTD 3,833,992 3,879,268 -1% 125,165 130,048 -4% 31 30 3%
2022 MOUND FIRE DEPARTMENT ACTIVITY REPORT MONTH: November
Emergency Response and Firefighter Hours Detail
2022
2021
Month Firefighter YTD YTD
Month Firefighter YTD YTD
City Call Type
Calls
Hours
Calls
Hours
Calls
Hours
Calls
Hours
MOUND Fire
Rescue
Duty Officer
10
20
3
145
279
3
95
258
25
1735
4015
39
7
19
2
91
294
2
113
237
18
2118
3897
22
MINNETRISTA Fire
Rescue
Duty Officer
5
2
0
95
51
0
38
56
3
623
913
3
3
4
1
54
77
2
29
66
9
596
1184
11
SHOREWOOD Fire
Rescue
Duty Officer
0
0
0
0
0
0
4
2
0
91
26
0
0
1
0
0
12
0
3
2
1 1
54
30
1
SPRING PARK Fire
Rescue
Duty Off ier
5
8
1
132
116
1
33
119
11
728
1688
13
3
5
0
47
60
0
21
92
1
711
1620
1
MUTUALAID Fire
Rescue
1
1 0
20
0
24
2
634
1 27
0
0
0
0
12
2
385
30
Weather, Special
STAND BY Event, Etc.
0
1 0
1 0
0 0
1 0
0
1 0
Total Activity All Cities
Fire
21
392
194
3811
13
192
178
3864
Rescue
30
446
437
6669
29
443
399
6761
Duty Officer
4
4
39
55
3
4
29
35
Stand By
0
0
0
0
0
0
0
0
TOTAL
55
842
670
10535
45
639
606
10660
Monthly Activity by Call Category 2022 2021
COMMERCIAL
4
2
RESIDENTIAL
45
37
OTHER (OUTSIDE/ROADWAY/LAKE/OPEN AREA/MISC)
6
6
SERVICE CALLS (Smoke/CO Detectors)
3
1
LEGITIMATE FIRE ALARMS
2
6
FALSE FIRE ALARMS
1
1
MUTUAL AID AND TRAINING/DRILL SUMMARY
2022
2021
Category
Month
YTD
Month YTD
MUTUAL AID CALLS RECEIVED
0
5
0
4
MUTUAL AID CALLS GIVEN
1
401
0
14
TRAINING/DRILL HOURS J\admm\
ePORTab&momeo
&Perg334je5o22P
eom,a384er5qs\202
QtA231w25Doa
Mound Fire Department
Incident Reports - Mound
November, 2022
FIRE
NO.
DATE
CITY
ADDRESS
FIRE/
RESCUE
DESCRIPTION
ACTION TAKEN
FF
HOURS
623
11/3/2022
Mound
52XX Bartlett Blvd
Fire
Alarm - Fire
Cancelled Enroute - Set off by Incense
10
629
11/7/2022
Mound
53XX Three Points Blvd
Fire
Alarm - Fire
Investigated - Nothing Found
14
630
11/7/2022
Mound
59XX Bartlett Blvd
Fire
Alarm - CO
Monitored, No Readings Found
20
635
11/10/2022
Mound
48XX Dale Road
Fire
Haz Cond -Wires Down
Secured phone line
20
639
11/13/2022
Mound
43XX Wilshire Blvd
Fire
Alarm - Fire
Setoff by person smoking
20
642
11/15/2022
Mound
Fairfield Road & Highland Blvd
Fire
Haz Cond -Wires Down
Removed Phone Line from Roadway
11
645
11/16/2022
Mound
dlewood Rd & Highland Blvd
Fire
Haz Cond -Wires Down
Investigated, Frontier Line Down
8
647
11/18/2022
Mound
20XX Commerce Blvd.
Fire
Vehicle Accident
Remove debris from roadway
13
657
11/24/2022
Mound
21XX Old School Road
Fire
Haz Cond - Gas Odor
Found Leaking Gas Tank on Vehicle
20
667
11/29/2022
Mound
48XX Longford Road
Fire
Haz Cond -Wires Down
Low Hanging Wire - Frontier Contacted
9
Totalire Calls
Total 1-1rP Hours
616
11/1/2022
Mound
18XXCommerce Blvd
Rescue
EMS
Transported
13
617
11/1/2022
Mound
21XX Old School Road
Rescue
EMS
Assist
15
618
11/1/2022
Mound
53XXShoreline Drive
Rescue
EMS
Assist
7
619
11/1/2022
Mound
23XX Norwood Lane
Rescue
EMS
Cancelled upon Arrival -OPD
12
620
11/1/2022
Mound
21XX Old School Road
Rescue
EMS
Cancelled upon Arrival -OPD
19
622
11/3/2022
Mound
18XXCommerce Blvd
Rescue
EMS
Transported
10
625
11/4/2022
Mound
21XX Old School Road
Rescue
EMS
Assist
9
626
11/4/2022
Mound
20XXX Commerce Blvd
Rescue
EMS
Unknown Transport
14
627
11/5/2022
Mound
47XX Galway Road
Rescue
EMS
Unknown Transport
14
632
11/8/2022
Mound
18XXCommerce Blvd
Rescue
EMS
Transported
13
640
11/14/2022
Mound
20XXCommerce Blvd
Rescue
EMS
Transported
13
641
11/15/2022
Mound
49XX Bartlett Blvd
Rescue
EMS
Transported
13
650
11/20/2022
Mound
25XXCommerce Blvd
Rescue
EMS
Transported
21
652
11/21/2022
Mound
24XXCommerce Blvd
Rescue
EMS
Transported
15
658
11/24/2022
Mound
20XXCommerce Blvd
Rescue
EMS
Transported
20
659
11/25/2022
Mound
62XX Bay Ridge Road
Rescue
EMS
Transported
11
660
11/25/2022
Mound
49XX Hanover Road
Rescue
EMS
Transported
13
661
11/25/201/28/2022
Mound
62XX BayRidge Road
Rescue
EMS
No Transport
11
66 6
122
Mound
43XX Wilshire Blvd
Rescue
EMS
Transported
11
670
11/30/2022
Mound
24XX Commerce Blvd
Rescue
EMS
Cleared by OP upon Arrival
25
Total Rescue Calls 20
Total Rescue Hours 279
637
11/12/2022
Mound 27XX Grove Lane
Fire Alarm - CO
Monitored, CO Levels Found
1
663
11/26/2022
Mound 21XX Belmont Lane
Fire Fire Out Report
Investigated, possible old scorch burn
1
664
11/27/2022
1 Mound 21XX Village Trail
Fire Smoke Indoors
Investigated, planter on deck smoldering
1
Totalu rcer calls I Totalu rcer Hours
TOTAL FIRE, RESCUE & DUTY OFFICER HOURS 33 1 TOTAL FIRE, RESCUE & DUTY OFFICER HOURS 427
PARKS AND OPEN SPACE COMMISSION MEETING MINUTES
Thursday October 13, 2022
The Mound Parks and Open Spaces Commission met on Thursday, October 13, 2022, at 7:00 p.m. in
the Council chambers of the Centennial Building.
Present: Chair Mills, Commissioners Blievernicht, Kahn, Council Rep Pugh
Absent: Commissioner Stehlik
Others Present: City Manager and Director of Public Works Eric Hoversten
Public Present: None
1. Call to Order
The meeting was called to order by Chair Mills at 7:00 p.m.
2. Approval of Agenda
Chair Mills requested an update ont eh damage to the fishing pier at Centerview Beach be added
to the Agenda. Motion by Mills to approve the amended agenda, Second by Blievernicht;
Motion carried 4-0
3. Roll Call
All present except Commissioner Stehlik
4. Comments and Suggestions from Citizens Present
None provided
4.5 NEW Item update on Damage to Centerview Park Fishing Pier
Manager Hoversten provided information to the Commission regarding the collision of a private,
recreational boat with the fishing pier. Damage was reported to OPD and the operator had come
forward to report the damage and their involvement. Repairs will be completed during the
winter from the ice surface by a local vendor. The City has filed a restitution claim with the
prosecuting attorney for insurance -reimbursement for the estimated cost to repair. Repairs are
estimated at $7,500—$9,000 depending on the extent of the damage to the internal frame and
floats which may not be fully determined until repairs commence.
S. Chester Park Playground Serviceability Improvement
Manager Hoversten provided the Commission and update on the completion of repairs to the
slide assembly at the Chester Park Playground. Cracks in the original "tornado' slide had been
reported by resident/users. Research determined that replacement of the tornado slide with a
similar assembly would be cost -prohibitive and a "wave slide" was selected as the replacement.
The work was completed over the summer. Photos of the repair were provided to the
Commission along with excerpts from the positive feedback on the work received from the
community.
6. Harbor District Improvement Plan Update
Manager Hoversten shared that the Council had approved the final version of the Improvement
Plan that the Commission had reviewed and recommended for approval. He indicated that the
plan would be implemented in coordination with the developer's work on the adjacent site and
that opportunities to cooperate and collaborate to extend resources and provide cohesive
connections betweent he spaces would be maximized to the extent possible. Work on the
improvements would continue through completion of the housing project construction and
conclude in 2024.
7. Surfside 2022 Pavements Improvement Project Update
Manager Hoversten provided an update on the project highlighting the key work elements
included in the work and the anticipated timeline. Work would begin in October after the last
rental of the Depot and be completed (weather permitting) by winter 2022. The work would
include setting footing and the slab for the small shed -roof shade pavilion that has been funded
over the last several years by the Mohawk Jaycees Chapter. Both the Council and Jaycees had
approved the selected structure style and configuration for the location and the cement work
would be included in the Pavements improvement project.
8. CityTree Inventory and Forestry Mater Plan
Manager Hoversten provided an update to the Commission on the Tree Survey activities that
were begun in October. Once the tree data is collected it will be loaded in a GIS platform for
ease of use and reference in managing the public tree stock. Chair Mills asked if the Commission
would be provided access to the inventory tool, Hoversten indicated that an outward facing
version of the data (read only) would be made publicly available.
Once the inventory is complete, the vendor will begin drafting the tree management plan that is
part of this deliverable. Both the Survey and the Plan Document are funded by a DNR
Community Forestry grant.
9. Surfside Park Playground Improvements Update
Manager Hoversten described evolving activities and progress from a local group looking to raise
funding to dedicate this playground in memory or Eli Hart who was recently and tragically killed
in our community. Hoversten described discussions between the group, Mayor and Staff that
indicated a formal presentation of the public -private partnership would be provided to both the
Commission and the Council once the Group was up and running as its own independent
organization or under the sponsorship of an existing local Service Organization. Hoversten
indicated that the partnership may bring different ideas on the composition and layout of the
playground structure to the table and these would be a part of those initial partnership
presentations.
Kahn asked if the concept previously reviewed and recommended for the site by the Commission
would significantly change under a partnership arrangement? Hoversten indicated that the key
site performance constraints and objective outcomes were shared with the Group, but that if
they brought significant funding and a different concept that met these criteria; the Council may
consider alternatives in their approval of the activities.
Hoversten indicated that as information on the activities of the Group indicated, he would invite
them to share their concept and proposed activities with the Commission for review and
recommendation prior to presentation to the Council.
10. 2023 Budget Forecast
Hoversten shared feedback from the August 23 discussion and action byt the Council on 2023
preliminary budget and max Levy setting. The Council approved a max levy equating to a 5%
increase in budget for 2023. When compared to 2022 and considering loss in Local Government
Aid revenue, and inflation equates to about a 1— 3% reduction in budget buying power. Outside
of work in the Harbor district, the Surfside pavement improvements and other improvements
captured in the Capital plan, there is minimal budget headroom for incidental improvements or
additions to Park amenities for 2023.
11. Harbor Wine and Spirits Promotional Materials Auction, Sat Nov 19
Manager Hoversten announced that Harbor Wine and Spirits is going to dispose of a number of
cool beer and liquor promotional items that have accumulated at the store of over the last 20 —
25 years at a live auction event at the Surfside Depot on November 19. Viewing will begin at
11:00 with the live auction to start at 1:00. Proceed would be used to fund the ongoing
improvements at the park.
Commissioner Blievernicht indicated willingness to support and asked how to become involved.
Hoversten noted he would connect her to the Store Manager to determine how best to assist.
12. Reports:
Council Rep Pugh provided an update on budget/levy discussions and recent re-evaluation and
re -denial of the Northland project applications for the multi -family proposal on the shoreline of
Lake Langdon.
13. Adjourn
Motion by Mills, Second by Kahn; Motion carried 4-0.
Meeting adjourned at 8:15
These were the Twin Cities' top -
performing municipal liquor store
operators in 2021
Minnesota's municipal bars and liquor stores raked in $423.5 million in sales in 2021, a
3.2% increase over 2020's total of $410.6 million in sales.
D3SIGN VIA GETTY IMAGES
By Brianna Kelly — Reporter, Minneapolis / St. Paul Business Journal
Dec 19, 2022
Listen to this article 5 min
For the 26th consecutive year, sales continued to climb at municipally -owned bars and
liquor stores throughout Minnesota last year, with Twin Cities operators reporting
higher gross sales and Greater Minnesota operators reporting higher net profit margins,
according to the latest annual report by State Auditor Julie Blaha.
Net profits for all municipal liquor operations totaled $36.5 million in 2021, an increase
of just under a half million, or 1.3%, from the $�6 million generated in 2020, when net
profits were up 29.2%, or $8.2 million, over those in 2019. Net profits have increased
57.9 percent since 2017.
In total, Minnesota's municipal bars and liquor stores raked in $423.5 million in sales in
2021, a 3.2% increase over 2020's total of $41o.6 million in sales.
"The most striking data point is the historic increase of on -sale operations profit and
sales. After struggling during the closures of 2020, Minnesota's on -sale liquor
operations bounced back with a 105 percent increase in profits for 2021," Blaha said in a
statement. "In addition to strong profit growth, the number of unprofitable on -sale
operations declined from 35 in 2020, to just seven in 2021."
Only 18 of the 177 Minnesota cities with municipal liquor operations are located within
the Twin Cities metro area, but they represent 33.5% of the total sales and 26.2% of the
net profits. But one of the local operators was in the red. Brooklyn Center posted a net
loss of more than $51,000 — the biggest of the 13 Minnesota cities to see a decline in net
profits between 202o and 2021.
These are the top municipal liquor operations in the Twin Cities seven -county metro
area based on net profit margin in 2021. Sales are in parentheses.
1. Mound: 12% ($3,873,955)
2. Apple Valley: u% ($11,128,773)
3. Fridley: 9.6% ($7,290,355)
4. Eden Prairie: 8.4% ($11,923,359)
5. Farmington: 8.3% ($5,621,602)
6. Savage: 8.2% ($7,025,084)
7. Lakeville: 7.8% ($19,683,002)
8. Richfield: 7.3% ($13,916,528)
9. Saint Anthony: 6.1% ($7,259,565)
10. Edina: 5.5% ($14,313,232)
Blaha pointed out that municipal liquor operations in the Twin Cities are "considerably
larger and more profitable" than their counterparts in Greater Minnesota. Metro area
operations averaged $3.6 million in sales in 2021, compared to $1.6 million for those in
the rest of the state.
Six of Minnesota's top 10 highest -grossing operators for 2021 are located within
the seven -county metro area. On the flip side, the top 10 operators with the highest net
profit margins - ranging from Hadley with 31.3% to Longville with 16.1% - are all
located outside of the Twin Cities.
Once again, Lakeville was the highest -grossing operator in Minnesota with nearly $19.7
million in sales, but its 7.8% profit margin put it in the middle of the pack among the
Twin Cities operators.
This is how the Twin Cities municipal liquor operators rank by gross sales. Net profit
margins are in parentheses.
1. Lakeville: $19,683,002 (7.8%)
2. Edina: $14,313,232 (5.5%)
3. Richfield: $13,9i6,528 (7.3%)
4. Eden Prairie: $11,923,359 (8.4%)
5. Apple Valley: $11,128,773 (11%)
6. Columbia Heights: $8,940,448 (4%)
7. Fridley: $7,290,355 (9.6%)
8. St. Anthony: $7,259,565 (6.1%)
9. Savage: $7,025,084 (8.2%)
10. Wayzata: $6,325,674 (5.4%)
Cost Participation & Partnerships
2023 Funded Projects
An investment of nearly$2 million is being recommended for seven projects across
Hennepin County in 2023. These projects advance the county's goals and priorities in
asset preservation, safety, disparity reduction, and climate action.
Minnesota Department of Transportation (MnDOT):
Replacement and upgrade of two traffic signals along
Excelsior Boulevard (CSAH 3) at TH 169 in the City of
Hopkins, including ADA accommodations and other
pedestrian crossing improvements.
Anticipated county cost participation: $367,200
City of Plymouth:
Construction of a roundabout at Gleason Lake Road
(CSAH 15) and Vicksburg Lane including a multi -use
trail and pedestrian crossing improvements as part of a
larger Gleason Lake Road improvement project.
Anticipated county cost participation: $410,000
City of Minnetonka:
Burial of overhead utilities in advance of the construction
of a multi -use trail along Hopkins Crossroad (CSAH 73)
from Wayzata Boulevard to Cedar Lake Road.
Anticipated county cost participation: $343,200
City of Mound:
Replacement of pedestrian ramps and installation of
accessible pedestrian signals (APS) along Commerce
Boulevard (CSAH 110) and Shoreline Drive (CSAH 15).
Anticipated county cost participation: $280,000.
City of Loretto:
City of Champlin:
Construction of a sidewalk facility along the west side of
Medina Street (CSAH 19) from Railway Street to Elsen
Street.
Anticipated county cost participation: $50,000
Lighting improvements for the Douglas Drive (CSAH 14)
and 1171h Avenue intersection to improve visibility for
people walking, biking, and driving through the
roundabout.
Anticipated county cost participation: $25,000
w
Or
• +mow
. a
Cities of Corcoran & Medina:
Traffic signal replacement, turn lane additions, and
pedestrian crossing improvements at the Pinto Drive (CR
116) and Hackamore Road intersection.
Anticipated countycost participation: $399,000
Contact
Hennepin County Public Works
Carla Stueve, P.E.
Transportation Project Delivery Director and County
Engineer
Carl a.Stuevenhennepin.us
Emily Buell
CIP Coordinator
Emily.Buellnhennepin.us
Website
hennepin.us/residents/transportation/cip
Table 1: Recommended
2023 County
Cost Participation
Agency
Investments
County Cost
Participation
Roadway
Champlin
$25,000
Douglas Dr(CSAH
14)
Corcoran/Medina
$399,000
Pinto Dr (CR 116)
Loretto
$50,000
Medina St (CSAH
19)
Minnetonka
$343,200
Hopkins Crossroad
(CSAH 73)
MnDOT
$367,200
CSAH 3 (Excelsior
Blvd)
Mound
$280,000
Commerce
Blvd/Shoreline Dr
(CSAH 110/CSAH
15)
Plymouth
$410,000
Gleason Lake Rd
(CSAH 15)
Small City =
Hennepin
_U