2002-11-25 AGENDA
MOUND CITY COUNCIL
BUDGET WORKSHOP
November 25, 2002
6:30 P.M.
Call Meeting to Order & Opening Comments - Mayor Pat Meisel
Individual Budgets, including Capital Purchases/Programs, continued:
B.
C.
D.
E.
F.
G.
H.
I.
J.
K.
L.
M.
N.
O.
P.
Q.
R.
Council - Gino Businaro
Promotions - Gino Businaro
Cable TV - Gino Businaro
City Manager/City Clerk - Kandis Hanson
Elections - Bonnie Ritter
Assessing - Gino Businaro
Finance - Gino Businaro
Computer - Gino Businaro
Legal- Gino Businaro
Police - John McKinley
Emergency Preparedness - John McKinley
Planning and Inspection - Sarah Smith
Streets - Greg Skinner
City Hall Buildings and Services - Jim Fackler
Parks - Jim Fackler
Recreation/Community Services - Jim Fackler
Contingency - Gino Businaro
General Fund Transfer- Gino Businaro
So
T.
U.
V.
W.
X.
Y.
Z.
Fire - Greg Pederson
Recycling - Gino Businaro
Liquor- Gino Businaro/Kandis Hanson
Water- Greg Skinner
Sewer - Greg Skinner
Cemetery - Bonnie Ritter/Jim Fackler
Storm Water- Greg Skinner/Gino BuSinaro
Docks - Jim Fackler
Discussion of General Fund Revenues
Discussion of Summary of Revenues and Expenditures
Final Discussion
A. Levy
B. Fund Balance
Closing Comments - Mayor Pat Meisel
Adjourn
GENERAL FUND
SUMMARY OF REVENUES AND EXPENDITURES
REVENUE
GENERAL PROPERTY TAXES
INTERGOVERNMENTAL REVENUE
LICENSES
NON-BUSINESS LICENSES &
PERMITS
GENERAL GOVT. CHARGES
OTHER REVENUE
INTERFUND TRANSFERS/BONDS
TOTAL REVENUE
EXPENDITURES
CITY COUNCIL
PROMOTIONS
CABLE T.V.
CITY MANAGER/CLERK
ELECTIONS & REGISTRATION
ASSESSl NG
FINANCE
COMPUTER
LEGAL
POLICE
EMERGENCY PREPAREDNESS
PLANNING & INSPECTION
STREET
CITY RETAINING WALLS
CITY HALL BLDG & SRVS
PARKS
RECREATI ON
CONTINGENCIES
TRANSFERS
TOTAL EXPENDITURES
INCREASE (DECREASE)
FUND BALANCE, JANUARY 1
ADJUSTMENT TO AUDIT
FUND BALANCE, DECEMBER 31
FUND BALANCE AS A PERCENTAGE
OF EXPENDITURES:
2000 2001 2002
ACTUAL ACTUAL APPROVED
2003
REQUESTED
2003
1,399,902 1,480,196 2,253,520 2,297,070 2,297,070 1.93%
973,702 963,197 461,130 503,370 503,370 9.16%
3,515 7,425 6,300 6,930 6,930 10.00%
172,768 283,962 188,450 263,250 263,250
142,708 152,926 137,550 180,340 180,340
255,264 344,469 255,400 242,650 242,650
59,650 490.432 141,000 .14,000 14,000
3,007.509 3.722.607 3.443.350 3,507,610 3,507,610
98,495
4,000
30,198
206,824
10,418
71,391
180,731
13,360
121,546
1,018,485
9,355
249,839
559,904
0
68,304
205,647
39,570
256,972
166,120
80,944
4,000
60,059
202,360
179
78.159
188,326
77,830
117,985
1,0721927
9,347
289,229
545,041
0
129,807
224,384
42,260
66.649
206~740
3.396'226
326,381
878,058
(16.332)
1,188,107
34.98%
79,280
0
48,000
235,100
11,030
79,700
201,260
28,250
122,000
1,164,600
6,780
266,030
576,610
25,470
89,110
322,240
0
60,860
207,840
3,524,160
(8o,81o)
717,380
636,570
18.06%
3.311.159
(303,650)
1,191,456
(9,748)
878.058
77,920
7,500
50,000
266,850
1,080
79,630
215,550
28,640
135,550
1,392,200
32,130
296,510
1,047,950
0
742,150
594,390
0
44,290
244,390
5.256.730
(1,749,120)
1,107,300
f641,820)
-12.21%
26.52%
75,990
3,750
50,000
260,150
1,080
79,630
215,100
28,640
135,550
1,260,850
7,130
270,010
671,450
0
172,650
361,130
0
44,290
203,35Q
(333,140)
1,107,300
774,160
20.16%
39.69%
31.11%
~4.99%
-90.07%
1.87%
-4.15%
ERR
4.17%
10.66%
-90.21%
-0.09%
6.88%
1.38%
11.11%
8.26%
5.16%
1.50%
16.45%
-100.00%
93.75%
12.07%
ERR
-27.23%
-2.16%
8.98%
312.25%
54.35%
21.61%
:NOTE: UNDESIGNATED ONLY IS PART OF FUND BALANCE.
DEPARTMENT
2003 PROPOSED CAPITAL OUTLAY -ALL FUNDS
FUND ITEM ~
PROPOSED
AMOUNT
City Manager/
City Clerk
Finance/Computer
Police
Emerg. Prepare
Planning/Inspection
Streets
General
General
General
General
General
General
Fireproof Safe 6,000 0
Chair 900 450
I SUV Patrol Vehicle
1 Squad Car
1 Unmarked Vehicle
1 Radar
2 Light Bar & Siren
2 Roll Cages
I In-Car Camera
5 Fiberglas Squad Seats
Computer Station Upgrade
All Terrain Vehicle
Photo Imaging Equipment
Replace Siren #1
Computer/Printer
Computerized Permitting System
Laptop Computer
Wood Chipper
Bucket TrUCk
Sweeper
Posts & Street Signs &
No Parking Signs
Sign Maker
Plow Truck
Roller
2 Dump Box
32,500
28 500
25 000
5 000
5.600
1,000
10 60O
4 000
2,500
7 DO0
25,000
25,000
1,500
25,000
1,500
35,000
60,000
120,000
20,000
15,O0O
95,000
40,000
20,000
0
28,000
0
2,200
0
0
5,300
0
0
0
1,500
0
0
0
0
0
0
15,000
0
0
20,000
2003 PROPOSED CAPITAL OUTLAY. ALL FUNDS
City Hall Bldg $ Srvs
Parks
General
Scanning/Imaging System
Entrance Sign
Skylite Blinds
City Hall Carpet
City Hall Paint
City Hall Air Intake
City Hall Exterior
City Hall Space
City Hall ADA
General
Dept. Request
Brush Cutter
Push Mower 21"
Skidsteer Loader
Utility Trailer 5000 Lb
One Ton 4X4 Truck & Plow
72" Mower/Cab/Blower
Depot Dock - Minnehaha
POSAC Request
Highland Pk Equipment
10 Picnic Tables
10 Park Benches
2 Shelter Benches
BelmOnt Play Structure
Skate Park
10 Tree Planting
4 Basketball Court Stripping
Cresent Park Improvements
Trailway Fund
Park Land Acquisition
TOTAL GENERALFUND
t5,000
4,500
2,500
165,000
20,000
3,300
55,000
33,000
55,000
82O
9OO
31,000
4,500
35,000
30,000
10,000
38 000
5 500
3 000
3 000
35 000
3 000
2 500
2,000
1,500
2,000
10.000
1.182,620
6,000
0
2,500
43,700
20,000
3,300
0
0
0
0
9O0
0
0
0
0
0
0
0
0
0
0
3,000
0
0
0
0
O
151,850
2003 PROPOSED CAPITAL OUTLAY ALL FUNDS
Fire
Area Fire Service
Digital Video Camera
Tool Box
Powered Treadmill
Delta Hose-Pressure Tester
MSA Orion-Four Gas Detector
Power Point Projector
Inferred Camera
TOTAL AREA FIRE SERVICE FUND
6O0
700
600
2,400
1,900
4,000
6.500
16,700
600
700
600
2,400
1,900
4,000
Water
Water Fund
TOTAL WATER FUND
5 Hydrant Replacement
1,100 Radio Read MXU
ComPuter
2 Pipe Locator
25,000
90,000
1,000
2,000
118.000
25,000
90,000
1,000
2,000
! 18,000
Storm Water
Storm Water
Survey Transit
3,000
3,000
Sewer
Sewer Fund
TOTAL SEWER FUND
Manhole ReHabs
Lift Station Panel Upgrade
COmputer
Lift Station Gen Plug Upgrade
50,000
40,000
1,000
20,000
111,000
50,000
40,000
1,000
20.000
111,000
Docks
Dock Fund
TOTAL DOCK FUND
Computer
Dock Deck Replacement
1,000
2,000
3,000
1,000
2,000
3,000
CAPITAL OUTLAY SUMMARY
GENERAL FUND
AREA FIRE SERVICE FUND
WATER FUND
STORM WATER FUND
SEWER FUND
DOCK FUND
TOTAL CAPITAL OUTLAY
1,182,620
16,700
118,000
3,000
111,000
3,000
1,434,320
15'1,850
10,200
118,000
3,000
111,000
.3,000
397,050
CODE
102
103
121
2O0
202
210
3O0
322
350
351
151
361
430
434
331
433
440
COUNCIL
2000 2001
ACTUAL ACTUAL
SALARIES, OVERTIME REG 895 1,131
SALARIES, COUNCIL 16,500 16,500
FICNPERA 1,263 1,691
OFFICE SUPPLIES 169 176
COPY MACHINE & FEES 6,061 4,719
OPERATING SUPPLIES 899 561
PROFESSIONAL SERVICES 14,000 6,562
POSTAGE 3,164 2,144
PRINTING 5,858 278
LEGAL PUBLICATION 468 570
WORKER'S COMP. INS. 150 240
GEN. LIABILITY INS. 6,262 6,718
MISCELLANEOUS 3,147 1,879
CONFERENCES & SCHOOLS 5,824 7,917
MEETING EXPENSE 996 1,607
DUES & SUBSCRIPTIONS 26,908 27,689
OTHER CONTRACTUAL SERVICE~ 5.931 562
101-4!110
2002 2003 2003
APPROVED j~ ~
0 0
16,500 16,500 16,500
1,260 1,690 1,260
250 250 250
6,000 6,000 6,000
1,300 1,000 1,000
6,000 6,000 6,000
3,000 2,500 2,500
4,800 5,000 5,000
1,000 600 600
330 360 360
6,840 7,520 7,520
3,000 2,000 2,000
2,500 2,500 1,000
1,000 1,000 1,000
24,500 25,000 25,000
1,000 Q ~
TOTAL 98.495 80,944 79.280 77,920 75,990
CODE
PROMOTIONS
2OO0
ACTUAL
2001
ACTUAL
2002
APPROVED
101-41115
2002 2002
REQUESTED PROPOSED
430
430
SENIOR CENTER
MOUND CITY DAYS
0 0 0 7,soo 3,750
¢,000 4,000 9 9 Q
TOTAL
4,000 4,000 0 ~ .3.,750
101
121
131
2OO
202
210
212
3OO
3O5
322
321
151
400
4O4
43O
438
435
5O0
CITY MANAGER/CITY CLERK
2000 2001 2002
ACTUAL ACTUAL APPROVED
SALARIES, REG. 140,257 154,573 174,560
FICA/PERA 17,262 17,651 22,370
HOSP./DENTAL 13,349 11,451 16,970
LIFE INS./DISABILITY 350 263 420
POST RETIREMENT 0 0 0
OFFICE SUPPLIES 2,299 2,287 1,700
COPY MACHINE & FEES. 1,471 3,108 2,200
OPERATING SUPPLIES 491 68 2,500
MOTOR FUELS 2,921 40 250
PROFESSIONAL SERVICES 14,203 15 1,000
MEDICAL SERVICES 0 100 150
POSTAGE 430 324 300
TELEPHONE/CELL 977 1,142 1,400
USE OF PERSONAL AUTO 41 135 200
WORKER'S COMP. INS. 241 194 260
GEN. LIABILITY INS. 2,203 1,849 2,120
REPAIR & MAINTENANCE CONTR/ 988 99 1,000
AUTO EQUIP. REPAIR 28 76 500
MISCELLANEOUS 661 259 500
CONFERENCES & SCHOOLS 6,011 2,871 4,200
MEETING EXPENSE 119 690 300
DUES & SUBSCRIPTIONS 1,431 1,725 2,000
LICENSES & TAXES 224 206 100
BOOKS & PAMPHLETS 867 (237) 100
CAPITAL OUTLAY 0 3,471 0
101-41310
2003 2003
REQUESTED PROPOSED
191,260 191,260
24,?50 24,750
19,720 19,720
940 94O
1,910 1,910
1,700 1,700
3,500 3,500
500 500
1,000 1,000
50 50
100 100
500 500
1,400 1,400
200 200
290 290
2,330 2,330
1,000 300
500 50O
500 500
6,000 6,000
500 500
2,000 2,000
100 100
100 100
6,oo0 ~
TOTAL 206.824 202.360 235.100 266.850 260,150
CODE
361
400
4O4
4O9
418
43O
434
431
433
438
435
2O5
440
436
445
460
500
POLICE
GEN. LIABILITY INS.
REPAIR & MAIN. CONT.
AUTO. EQUIP. REPAIR
OTHER EQUIP. REPAIR
CENTRAL EQUIP. REPAIR
MISCELLANEOUS
CONFERENCES & SCHOOLS
M EETI NG EXPENSE
DUES & SUBSCRIPTIONS
LICENSES& TAXES
BOOKS & PAMPHLETS
COMPUTER SOFTWARE
OTHER CONTRACTUAL SERV.
TOWING CHARGES
DOG DISPOSAL
JANITORIAL SERVICES
CAPITAL OUTLAY
TOTAL
10142110
2000 2001 2002 2003 2003
ACTUAL ACTUAL APPROVED REQUESTF:D PROPOSED
14,059 12,928 14,840 16,320 16,320
3,330 2,386 6,000 9,900 9,900
9,247 (4,881) 10,000 16,000 16,000
175 875 500 500 500
7,456 6,853 35,700 18,000 18,000
1,095 2,697 1,900 1,900 1,900
5,381 9,973 4,000 9,500 9,500
875 1,429 1,550 1,600 1,600
1,905 2,299 1,750 1,750 1,750
0 90 650 650 650
802 636 700 700 700
454 880 500 500 500
12,743 9,783 12,200 12,200 12,200
0 304 600 750 750
4,045 4,466 5,100 5,100 5,100
0 0 0 11,830 1,680
..54,523 79,430 8,000 146,700 .3.5,500
1,018.485
1.072.927
1,164,600 1 392 200 1,260,850
CODE
101
102
103
121
131
134
136
2OO
202
210
212
218
230
22O
221
223
224
226
300
305
322
321
351
151
361
STREET
SALARIES, REG.
OVERTIME, REG.
SALARIES, TEMP.
PERA/FICA
HOSP./DENTAL
LIFE INS./DISABI LITY
POST RETIREMENT
OFFICE SUPPLIES
COPY MACHINE & FEES
OPERATING SUPPLIES
MOTOR FUELS
CLOTHING & UNIFORMS
SHOP MATERIALS
REPAIR & MAIN. SUPPLIES
EQUIP. PARTS & TIRES
BUILDING REPAIR
STREET MAINT. MATERIALS
SIGNS & STRIPING SUPP.
PROFESSIONAL SERVICES
MEDICAL SERVICES
POSTAGE
TELEPHONE
LEGAL PUBLICATIONS
WORKER'S COMP. INS.
GEN. LIABILITY INS.
101-43100
2000 2001 2002 2003 2003
ACTUAL ACTUAL APPROVED REQUESTED PROPOSED
177,448 182,072 187,520 225,370 225,370
18,394 26,072 16,000 18,O00 18,000
1,527 3,059 2,950 0 0
24,561 26,230 27,050 36,690 36,690
35,353 41,133 40,350 63,690 63,690
591 597 620 1,240 1,240
0 0 0 540 540
405 356 400 500 500
79 197 200 200 200
697 586 2,500 2,500 2,500
14,549 14,851 15,000 17,000 17,000
1,823 2,614 3,000 4,000 4,000
5,241 5,551 5,000 5,000 5,000
2,147 993 2,000 2,000 2,000
11,774 17,529 20,000 20,000 20,000
315 1,247 1,000 2,000 2,000
39,545 37,780 50,000 50,000 50,000
3,818 2,077 5,000 15,000 8,500
23,104 16,927 10,000 10,000 10,000
529 102 600 600 600
667 49 100 150 150
3,164 7,793 5,000 6,000 6,000
118 382 200 200 200
2,790 2,328 3,180 3,500 3,500
15,415 16,927 16,430 18,070 18,070
CODE
381
383
384
4O4
418
430
434
438
440
455
500
600
611
620
STREET
ELECTRIC (ST. LIGHTS)
GAS SERVICE
GARBAGE
AUTO. EQUIP. REPAIR
RADIO CONTRACTS
MISCELLANEOUS
CONFERENCES & SCHOOLS
LICENSES & TAXES
OTHER CONTRACTUAL SERV.
PERMITS
CAPITAL OUTLAY
WALLS/WESTEDGE BLVD BONDS
WESTEDGE BLVD BOND INTERES
PAYING AGENT FEES
TOTAL
2000
ACTUAL
2001
ACTUAL
2002
APPROVED
101..43100
2003 2003
REQUESTED PROPOSED
68,075 68,919 65,000 65,000 65,000
2,286 3,807 3,500 3,,500 3,500
1,540 537 600 600 600
20,707 14,062 20,000 20,000 20,000
2,932 0 4,000 4,000 4,000
1,291 2,700 0 0 0
291 180 1,500 1,500 1,500
134 0 400 0 0
44,713 36,139 46,000 46,000 46,000
0 0 100 100 100
33,881 11,245 10,000 405,000 35,000
0 0 0 0 0
0 0 10,910 0 0
o o 500 0 o
559,904 545,041 576,610 1,047,950 671,450
CODE
210
22O
3OO
322
321
361
381
383
384
4O0
401
440
460
50O
520
600
CITY HALL BLDG & SRV$
OPERATING SUPPLIES
REPAIR & MAIN. SUPPLIES
PROFESSIONAL SERVICES
PO STAG E
TELEPHONE
GEN. LIABILITY INS.
ELECTRICITY
GAS SERVICE
GARBAGE
REPAIR & MAIN. CONT.
BUILDING REPAIR
OTHER CONTRACTUAL SERV.
JANITORIAL SERVICE
CAPITAL OUTLAY
BUILDING IMPROVEMENTS
COPY/MAILING MACHINE LOAN
TOTAL
101-41910
2000 2001 2002 2003 2003
ACTUAL ACTUAL APPROVED REQUESTED PROPOSED
1,912 1,700 2,000 2,000 2,000
218 2,701 1,590 2,000 2,000
960 1,561 800 2,,500 2,500
860 750 500 BOO 800
7,621 15,072 11,000 12,O00 12,000
881 959 1,100 1,210 1,210
12,788 14,784 13,500 14,O00 14,000
6,695 8,927 6,890 7,O00 7,000
1,306 1,357 1,250 1,300 1,300
11,352 9,320 10,500 10,000 10,000
5,430 11,169 10,000 11,000 11,000
3,531 4,292 6,500 6,900 6,900
14,750 17,418 16,640 19,600 19,600
0 35,911 0 330,000 75,500
0 466 0 315,000 0
0 3.420 6,840 6.840 6,840
68,304
129,807
89,110.
742,150 172,650
CODE
430
600
611
CONTINGENCY
OTHER
MISCELLANEOUS
JUDGMENT BONDS
INTEREST ON BONDS
101-49999
2.000 2001 2002 2003 2003
ACTUAL ACTUAL APPROVED REQUESTED PROPOSED
256,973 66,429 48,230 44,290 44,290
0 220 0 0 0
0 0 12,630 0 0_
TOTAL
256.973 66,649 60,860 44,290 44,290
CODE
700
GEN. FUND TRANS,
TRANSFERS
TRANS. TO AREA FIRE
SERVICE FUND
TOTAL
101-49300
2000 2001 2002 2003 2003
ACTUAL ACTUAL APPROVED REQUESTED PROPOSED
166,120 206,740 207,840 244 390 203,350
166,120 206,740 207,840 244 390 203.350
CiTY MANAGER/CITY CLERK
Conferences & Training:
Citv Manacler
International Conference
Registration & Hotel
Travel
Mid-Winter Conference
Registration
Hotel/Transportation
MCMA Conference - Mn
Registration
Hotel/Transportation
League of Mn Cities
Registration
Hotel/Transportation
AMM LuncheOns (6@16 ea)
Local classes/seminars
General transportation
city Clerk
MCFOA Conference
Registration
Lodging/Transportation
Local classes/seminars
Bonnie & Jodi
Region IV Meetings (6/yr) Bonnie
TOTAL CONFERENCES & TRAINING:
Dues & Subscriptions
City Manager
MCMA
Mn City/County Managers
ICMA
City Clerk
IIMC
MCFOA
Municipals
TOTAL DUES & SUBSCRIPTIONS:
650.00
300.00
150.00
250.00
200.00
250.00
315.00
350.00
96.00
160.00
2OO.0O
220.00
260.00
150.00
120.00
50.00
100.00
650,00
95.00
35.00
40.00
2921.00
750.00
3,671.00
800.00
170.00
970.00
To~
From:
Re:
Date:
Kandis M. Hanson
Gino Businaro
Conferences/Training/Dues & Subscriptions
Finance Department
Nov. 12, 2002
The following items are included in the requested budget for the Year 200,~:
Conference and Training:
MN GFOA Conference in Alexandria - Registration
MN GFOA Conference in Alexandria - Hotel (two nights)
MN GFOA Conference in Alexandria - Gas
League of Mn Cities - Workshops
Municipals - Two clerical staff (Twice a Year)
Misc. ( IRS, Revenue, PERA, Etc.)
Total
220.00
150.00
20.00
100.00
160.00
100.00
750.00
Dues and Subscriptions:
Mn GFOA - Membership
GFOA - Membership
AICPA - Membership
GFOA - Review
Misc. - Subscriptions
Total
50.00
200.00
150.00
350.00
50.0O
800.00
Note:
Required Continuing Education for CPA is 40 hours per year.
BUDGET PROJECTIONS FOR REMAINDER OF 2002
MOUND POLICE DEPARTME
Line item 01/01 balance 11/16-12/31 projections ending balance
Object Alt Code 100 787,940.00 186,615.86 120,000.00 66,615.86
Object Alt Code 120 210,710.00 48,182.80 26,064.22 22,118.58
Object Alt Code 150 8,480.00 2,736.75 2,736.75 0.00
Object Alt Code 200 5,500.00 1,302:22 1,302.22 0.00
Object Alt Code 210 29,000.00 17,574.97 15,700.00 1,874.97
Object Alt Code 220 750.00 750.00 750.00 0.00
Object Alt Code 300 1,780.00 -4,607 11,000 (chief's process) -15,607
Object Att Code 320 15,200.00 3,072.00 3, 072.00 0.00
Object Alt Code 330 1,650.00 1,655.35 1,655.35 0.00
Object Alt Code 360 14,840.00 3,670.40 3.670.40 0.00
Object Alt Code 400 16,500.00 -584,30 1,500.00 -2,084.30
Object Alt Code 410 35,700.00 35,540.79 17,500.00 18,040.79
Object Alt Code 430 26,900.00 10,206.72 8,100.00 2,106.72
93,065.62
The reason there is a 39,000 difference in these figures as compared to the earlier estimates are the extra
expenses that will be paid in the last pay period of December. This includes almost one full, extra, pay
period and all the "other compensation" line items that 8o along with that. ($26,857,35 in wages plus
benefits). The other line item that changed was Object Alt code 410 which dropped by $7,000. This was
due to additional charges for the 800mhz radio system.
Again, these are only estimates based on current balances, outstanding bills and projected expenses.
Training
EMT Basic 2 officers
EMT refresher 4 officers
Intoxilyzer Operator 2 officers
Intoxilyzer refresher 5 officers
PTAC mandated training 13 officers
MCPA spring conference 1 officer
Spring E.M. Conference I officer
Fall AMEM Conference I officer
PLEAA Training 2 staff
Pursuit Driving Mandatory 3 officers
Officer of the year school 1 officer
SPI annual retraining conference 1 officer
390.00
200.00
400.00
200.00
1,820.00
8O0.0O
250.00
650.00
500.00
600.00
1,500.00
1,200.00
$,510.0O
Additional training that has been attended in the past and which should bo continued:
IACP conference
POP conference
Standard Field Sobriety
Juv Officers Conference
TRIAD Conference
1 officer 1,200.00
1 officer 1,200.00
3 officers 450.00
1 officer 500.00
1 officer 100.00
SPI AOC I officer 5,000.00***
Total of all training suggested for 2003 is 16,960. The additional money needed to cover all the
suggested training may be recouped from the POST board. The POST board does match some of
the funding for the school which are POST accredited.
*** There are two separate scholarships available that would cover approximately $2,700.00 of the total cost of the SPI
AOC course.
Membership dues
Association of Training Officers
Minnesota Crime Prevention Assoc.
Hennepin County Chief's of Police
Metro Emergency Mgmt Assoc.
MN Chief's of Police Assoc.
Minnetonka Sportsmen's Club
IACP
US Police K-9 Ass.
Assoc. of MN Emergency Mgrs
MN Animal Control Assoc.
Reserve Officer Training Assoc.
International Conf. of Police Chaplains
DARE Officer Membership
MN Juve. Officer Association
POST license (4 at 90.00 each)
Subscriptions
MN Chief's Educational Foundation
COLES cross directory
Police Executive Research Forum
Total
Budget request 2002
Budget request 2003
100.00
60.00
50.00
30.00
120.00
195.00
200.00
40.00
100.00
30.00
100.00
100.00
35.00
10.00
360.00
1530.00
260.00
308,00
125.00
693.00
2,223.0O
1,750.00.
1,750.00
Southern Police ~titute Retraining Conference
The is the breakdOwn of e~enseS for one officer attending this retraining
conference, which is scheduled for July 27, 2003 to Aug. 1, 2003.
Flying
Cost of conference
Cost of hotel at conference 7 nights
Ak-fare to Atlanta GA
$200.00
$600.00
$228.00
$1,028.00
Leave on Sunday, return on Saturday (7 days)
Driving
Cost of conference
Cost of hotel at conference 6 nights
Cost of fuel to drive ~ $1.59 gal
Hotel during travel
Meals during travel
Tolls (approximate)
$200.00
$600.00
$204.93
$150.00
$77.00
$6.00
$1,237.93
(2,320 miles at 18 miles per gal)
(2 breakfasm-4 lunches-2 dinners)
Leave on Saturday, return on Sunday (9 days)
5341 Maywood Road
Mound, MN 55364
(952) 472-3190
MEMORANDUM
To:
From
Date:
Re:
Honorable Mayor and City Council
Sarah Smith
11/20/2002
2003 Budget Information - Conferences / Schools / Memberships
BACKGROUND
At its November 7, 2002 workshop, the City Council requested additional information from City
Departments with regard to expenses for conferences, memberships, and schools. For your review
and information, the Planning and Building Department offers the following information:
Community Development Director
Membership Dues - American Planning Association
Minnesota Chapter - American Planning Association
Mn/APA Annual Conference
Building Official
Annual ICBO School 200.00
Fall/Spring ICBO Seminars 60.00
ICBO Membership Dues 85.00
State Registration 45.00
ICBO Local Chapter Membership 50.00
Tuition Reimbursement 1000.00
Administrative Assistant
Membership Dues- Mn. Building Official Technical Assistant Assoc. 90.00
Annual WOrkshop - Mn Building Official Technical Assistant Assoc. 100.00
Spring / Fall Seminars - Municipals 70.00
$173.00
30.00
400.00
SUMMARY
Dues and SUbscriptions
Conferences and School
2003 Proposed Budget
$ 500.00
$2000.00
2003 Itemized Costs
$ 478.00
$1830.00
· Page 2
Gino this is the break down for conference and schools by departments.
Street Department: 10 employees
Skid-steer safety and operations: ten ~ $75.00
Sweeper operations and maintenance: four @ $50.00
Lift bucket safety and operations: five ~ $50.00
$750.00
$200.00
$250.00
TOTAL $1,200.00
Water Department: 6 with MPCA certificates ~
Annual Water Operators School: three ~ $175.00
Annual Rural Water seminar: three ~ $150.00
Nine week water training for new employee: 1 ~ 250.00
Annual MN Sectional Seminar: 1 ~ $400.00
Annual National Conference: 1 ~ $1,000.00
$525.00
$450.OO
$250.00
$400.O0
$1,000.00
TOTAL $2,625.00
The top three classes are in the 7 county metro areas and are during the normal workweek
with no additional expenses. The Sectional and Annual Conferences mounts cover all
expenses. I prefer driving the city truck to flying. This has been the cheapest so far.
The remaining $375.00 is for one-day classes that come up during the year.
Sewer Department: 4 with MPCA certificates
Annual Operator School: 4 ~ $175.00
Wastewater Treatment: 3 ~ $175.00
Pump and Control Panels: 3 ~ $100.00
Confined Space Entry Class: 10 ~ $50.00
Annual Sectional Conference: 1 ~ $500.00
$700.00
$525.00
$3O0.00
$500.00
$500.00
The top four classes are in the 7 county metro areas and are during the normal workweek
with no additional expenses. The Sectional Conference is held within the 5 state area and
I drive the city truck. The remaining $475.00 is for one-day classes that come up during
the year.
LASER FICHE DOCUMENT RETRIEVAL AND STORAGE SYSTEM
The following figures are based on a Single user (for input) system. Additional
users can be added in the future, resulting in additional license agreement fees.
Data Base Server Software $
1 Full License
*Laser Fiche Plus
(allows any PC user to
retrieve data from the CD)
Snap Shot (allows transfer of
data from Windows, email, etc)
Scanner (w/flatbed)
Email option (allows user to
email retrieved data to another
PC)
Scan Connect
Set-up/Installation
EQUIPMENT COST
MAINTENANCE/YR
AND UPGRADES
2,000 $ 600/yr.
500 100/yr.
3,795 1,590/yr.
100 20/yr.
2,000
80 20/yr.
169
5OO
TOTAL $ 9,144 $ 2,330/yr.
* The LaserFiche Plus ($3795) enables any PC user to search and retrieve
information from the CD's. Without his funCtion, the only PC able to search and
retrieve from the CD, is the user with the Data Base Server Software. This is a
feature that can be added at a later date, but if omitted restricts search and
retrieval to one computer. If omitted, total system for one user is ,$5,349 and
maintenance/upgrades is $740/yr.
The total requested for the 2003 budget is $6,089. (The LaserFiche Plus can be
added in the future when budget dollars allow.)
CITY OF MOUND
5341 MAYWOOD ROAD
MOUND, MN 55364-1687
PH: (952) 472-0600
F,~,X: (952) 472-0620
WEB: www. cityofmound.com
TO:
FROM:
DATE:
RE:
MEMORANDUM
Honorable Mayor and Cil/~c~'~/
Jim Fackler, Parks D~rec~ ~
November 21, 2002
2003 Budget Estimates For City Hall Repair
Per your request, the estimated costs for City Hall carpet replacement and fresh air
ventilation improvement are listed below, (These figures are for budget purposes
only. The actual quotes should be slightly lower.):
Removal and replacement of all carpet: $43,700.00
* Installation of an extension on air intake: $ 3,300.00
Total: $47,000.00
It is my understanding, from the current Proposed 2003 Capital Outlay Budget,
that the funds would come from the General Fund, under City Hall Building, as
follows:
City HaH Carpet/Paint: $37,500.00
City Hall Space: $20,000.00
Total: $57,500.00
I also got an updated cost for painting the interior of City Hall: $20,000,00.
* This repair is an extension of the current louvered vent on Level4 that would run
outside the building to three feet above the roof line...This duct work would have a
surface that could be painted to match the existing siding. This application, while the
most feasible, is not the most aesthetic, The other option would be to extend the duct
from inside the building. This would require window replacement, wall installation, roof
rePair, interior heat/AC duct work as well as other miscellaneous remodeling.
printed on recycled paper
League of Minnesota Cities
Cities ?romot~ng excellence
LF_~GUE OF MINNESOTA CITIES INSURANCE TRUST
Loss Control ~cervices A ~'~ainis~at~'~n :
c/o Berldey Risk Administrators Compm~y, LLC
ggg South 9'~ Sweet, Suite 1S00, Minneapolis, Minnesota 55402-3382
Phone: (612) 766-817g Fax: (61g) 766-3199
Web Site: ~vw.lmnc.org
November 18, 2002
Ms. Kandis M. Hanson
City Manager
City of Mound
5341 Maywood Road
Mound, MN 55364
Dear Kandis:
A loss control survey was recently conducted concerning certain premises and operations for the
city. This was in conjunction with the City's participation in the League of Minnesota Cities
Insurance Trust (LMCIT) property, liability and workers' compensation program. The purpose of
my visit was to assist the city in the reduction of potential loss through loss control and risk
management activities and to introduce your new LMCIT loss control consultant, Lori Severson.
Lori and I toured city hall with Geno Businaro.
As a result of the loss control survey, I have developed the following recommendations. We have
found that compliance with loss control recommendations can assist in minimizing the potential for
loss.
1-11/02
2-11/02
Throughout the building, we noted that carpet was up heaving in many places. This
presents a trip hazard to the city employees and any visitors to the city. A trip and fall
could result in either a severe Worker's Compensation or General Liability hazard. A
competent carpet installer should address the hazard as soon as possible.
I noted the fresh air intake for the building is located facing the parking area of city hall.
Some city employees mentioned that in the winter months, they can smell auto exhaust
and diesel fumes from vehicles left running while their occupants are conducting business
with the city. Carbon Monoxide can cause serious problems, as can diesel fumes. As a
short term solution to the problem, I suggest the payment drop off box be moved away
from in front of the fresh air intake and no parking signs be erected and enforced along
the entire west (front) of city hall. The long-term solution is to move the fresh air intake
for city hall to an area of the building that is not subjected to vehicular exhaust.
AN EQUAL OPPORTUNITY/AlqqRMATIVE ACTION EMPLOYER
City of Mound
November 18, 2002
.Page 2
The long-term benefits and successes that can be enjoyed by a cooperative, self-insurance
organization depend upon serious and careful consideration of loss control recommendations. In
that context, we ask that you keep us informed of the steps you take to address these loss control
recommendations. Therefore, l~lease resl~ond within 60 days of your receipt of this letter regarding
the status of how you intend to respond to these loss control recommendations.
I appreciate the time and courtesies extended to me at the time of my loss control visits. I am sure
the city will enjoy working with Lori in the future If Lori can be of any assistance before her next
visit, please do not hesitate to contact her.
Sincerely,
~13'~'-fia~ E: Szczesni' ~.a~/ALCM ~'
Loss Control Consul'[an~:
Berkley Risk Administrators Company, LLC
C~
Geno Businaro
Finance Director
City of Mound
5341 Maywood Road
Mound, MN 55364
Arthur J Gallagher & Co./Youngdahl
7825 Washington Ave S., Suite 300
Minneapolis, MN 55439
Recommendations and comments are provided for loss control and risk exposure improvement
purposes only in conjunction with the insurance program referenced above. They are not made for the
purpose of complying with the requirements of any law, rule or regulation. We do not infer or imply
in the making of these recommendations and comments that all sites were reviewed or that all possible
hazards were noted. The final responsibility for conducting loss control and risk management
programs must rest with the insured.
CITY OF MOUND
5341 MAYWOOD ROAD
MOUND, MN 55354-1687
PH: (952) 472-0600
FAX: (952) 472-0620
WEB: www.cityofmound.com
MEMORANDUM
TO:
FROM:
DATE:
RE:
Honorable Mayor and City Council /~' '
Jim Fackler, Parks Dire~_o~r ,,~~ ~
November 20, 2002 J//" ~
2an00d3DBuUesdget Description of, ~ferences and Schools; Memberships
Over the past ten years, a certifiCation process has been in place in the Parks and
Recreation profession which requires on-going education to be a Certified Leisure
Professional (CLP). This education provides knowledge in dealing with safety
issues, ADA laws, management strategies and maintenance techniques, which is
very important in the operation of a Parks Department. This education also
provides training which allows service and repair work to be done in-house, saving
money on outside contractors.
Listed below is the 2003 Budget information requested for Conferences and Schools,
and Memberships and Dues for the Parks Department:
2003 Budget for Schools and Conferences = $1,900.00
Conference Registration:
Air/Lodging/Food:
Small Engine School:
$ 350.00
$1250.00
,,s 300.00
$1900.00
2003 Budget for Dues and Subscriptions = $700.00
National Recreation & Park Association:
Minnesota Recreation & Park Association:
Minnesota Park & Recreation SupervisOr Assoc:
Minnesota Park & Recreation Foundation:
Safe Assure:
$225.00
$225.00
$100.00
$ 20.00
$130.00
$700.00
printed on recycled paper
CONFERENCES AND SCHOOLS:
1. National Recreation & Park Association Congress
Participant: parks Director
Registration Fee: $ 350.00
Air/Lodging: $1250.00
National Recreation & Park Association Maintenance School:
Participant: Parks Director
Registration Fee: $ 350.00
Air/Lodging: $1250.00
*Note: This is a maintenance school that is rotated in when not attending the
national conference
Minnesota Recreation & Park Association State Conference:
Participant: Parks Director
Registration: $ 350.00
Transport/Lodging: $ 750.00
*Note: I have not attended the yearly conference for the past five years. It is
my opinion that I gain more information at the national conference.
Small Engine SChool:
participant:
Registration:
Maintenance Personnel
$ 300.00
DUES & SUBSCRIPTIONS:
National Recreation & Park Association:
Participant: Parks Director
Dues: $ 225.00
t
Minnesota Recreation & Park Association:
Participant: Parks Director
Dues: $ 225.00
*Note: I have not paid a membership for the past five years.
Minnesota Park Supervisor Association:
Participant: Parks Director and Maintenance Personnel
Dues: $ 100.00
Park & Recreation Foundation:
Participant: Parks Director
Dues: $ 20.00
e
Minnesota Cemetery Managers AsSociation:
Participant: Parks Director
Dues: $ 75.00
Safe Assure:
Participant:
Registration:
Parks Director & Maintenance Personnel
$130.00
Partners for Lifelong Learning
Community Education & Services Department
2450 WilShire BoUlevard, Suite D
Mound, MN 55364
Date:
To:
From:
Subject:
November 20, 2002
City of Mound
5341 Maywood Road
Mound, MN 55364
Westonka Community Education & Services, Recreation
2003 City of Mound Beach Program
Dear Jim,
As we discussed last night, enclosed with this letter is the three different budget proposals for the Summer 2003 City of
Mound Beach Progra, m that the Community Education facilitates for the City. Please consider one of the funding options
as we feel it is a great community partnership to ensure safety to our families in the community, bring business into the
area, and provide supervision within our city parks and beach front. Westonka Community Education and Services
Department is interested in keeping our partnership and working together to provide essential services for our commuuity.
Thank you,
Roxann Palm
Recreation Coordinator
Westonka Community Education and Services
Mary Hughes
Supervisor
Westonka Community Education and Services
Independent School District z77
Community Education F_,. Services · 2450 Wilshire Blvd., Suite D · Mound MN 55364 · p: 952/491-8040 · f: 952/491-8043 · www.westonka.kl2.mn.us
Summer ~ZO0:3
Lifeguard Coverage and Mound Bay Park
citY of Mound
Option 1:
Full Time Beach Coverage from June 7- August 10
7 hours, 7 days, 10 weeks = 490 hours
Staff Wages (3 staff) $14,700
Support Staff $1,900
Supplies $1,000
Advertise $50.00
Mileage $175.00
Training $ 350.00
Total $19,175.00
Option 2:
Weekends Only Beach Coverage from May 24- September 1
7 hours, 2 days per week, 10 weeks, 2 holidays = 168 hours
StaffWages (3 Staff) $5,040
Support Staff $1,000
Supplies $800
Advertise $50.00
Mileage $25.00
Training $350.00
Total $7,265.00
Option 3:
Weekday coverage from 1:00- 5:00, 5 Music in the Park extensions 5-8:30 from June 9- August 15
5 hours, 5 days, 10 weeks, 17.5 hours for Music in Park = 267.5 hours
StaffWages (3 Staff) $8,025
Support Staff $1,000
Supplies $800
Advertise $50.00
Mileage $100.00
Training $350.00
Total $10,325
Mound City Council, Mayor, and 'City Administrator,
We were sorry that you were unable to make our community partnership-planning meeting. We thank
Council member Pete Meyer and Parks Di~eci0r Jim Fackler for providing information and resources
at the meeting to help community members determine the options and reasoning for the loss of funding
of our summer lifeguard program.
Meeting Minutes
Tuesday, November 19, 2002
Feedback from Westonka Community Partners
What can we do as a Community?
Why having Lifeguards staffed at the beach is of value to the c~ommunity?
Youth in the community can enjoy the use of its parks and beaches and can feel safe in their community.
· Provide seasonal summer jobs to college students and high school students to keep them working and living in the
Mound Community.
Provide accountability at the parks and have the park and beach monitored for safety and to detour crime.
· Mound Bay Park is the center highlight of the community, a place for people to come together as a community. Full of
many opportunities. Large gatherings in the Depot; picnic area, high boat traffic, playground equipment, fishing dock.
· Provides a positive view of our community, our focus, and shows concern for the safety and well being of community
members.
· The 1990 census shows Mound has 3,965 housing units, of which 72% are owner occupied, 22% are renter occupied
and 6% are vacant due to Ixansition of occupants. $19,175.00 divide by 4500 (estimated growth) = $4.26 per tax paying
household per year. It is impossible to put a price on a loss of a life
· 5 total public beaches in the City of Mound. Unfortunately Spring Park and Mirmetrista do not have public beaches.
People come to Mound for those opportunities. While in Mound they patronize our restaurants and local businesses.
· Lifeguards staffed at Beaches, provide eyes on the equipment and the public park facility. This way maintenance is
quickly informed of damaged or dangerous property and can help in maintaining and beautifying the park facility.
· Shows that Mound is interested in Kids and the safety of families visiting our park system.
· Liability and the responsibility of lack of supervision in the case of a crisis, that may happen in a matter of time! Take
preventative actions!
· An average of 2 saves a day were made at Mound Bay Park in the summer of 2001
· In the summer of 2001 Westonka Lifeguard staffkept over 3,105 visitor's safe as they enjoyed beach and waterfront
activities.
· Lifeguard staff cleaned up garbage, raked the beach and helped to provide a clean appearance to our public facilities.
I,l.!
i
To~ '
From:
Re:
Date:
Kandis M. Hanson
Gino Businaro/Joyce NelSon
Conferences/Training/Dues & Subscri
Recycling
Nov. 14, 2002
)tions
The following itemS are included in the requested budget for the Year 200~:
Conference and Training:
MPCA - Registration
RAM - Registration
Travel for Conferences
RAM Membership
Misc.
180.00
115.00
75.00
65.00
65.00
Total
$ 5O0.O0
MEMORANDUM
TO:
FROM:
DATE:
RE:
Honorable Mayor and City Council Members
Dock and Commons Advisory Commission
November 21, 2002
Budget Recommendation for Use of Dock Fund
It is our belief that the Dock and Lakeshore Commons Fund is meant only to cover
the costs of the Dock and Commons Program, like a user fee. The fund is not meant
to be a source of general revenue.
In fact, the only sources of Dock Fund revenue are the primary beneficiaries of the '
program, the citizens who have a dock site on lakeshore commons. We recognize
that the general public also has access to much of the iakeshore commons; however,
their use is not such that we feel they should pay Dock and Commons fees.
The City Council and Dock Commission has a responsibility to the Dock program
users to manage the fund as carefully as possible. Unfortunately, our yearly
administrative budget has more than doubled in the past two years and our reserves
have been severely reduced due to Commons litigation.
This position is to reinforce our Commitment to this fund being spent solely on
activities directly related to and caused by the use of the Dock and Lakeshore
Commons Program. We are opposed to using dock funds for such things as:
Rip-rapping repair due to storm-water runoff
Dredging due to storm-water runoff
The full burden of litigation costs associated with lakeshore property
disputes.
Surveys beyond those needed for the Dock and Lakeshore Commons
· program.
Expenditures for activities that benefit citizens beyond those paying
into the Dock Fund.
This positiOn is to also reinforce our belief that the dock fees of other cities are not
relevant to the fees that we charge in Mound. What is relevant are the fees needed to
cover the cost of our program.
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