2009-08-11PLEASE TURN OFF 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 co
•
AGENDA
TND CITY COUNCIL TUESDAY, AUGUST 11, 2009 - 7:30 PM
4Gr MEETING MOUND CITY COUNCIL CHAMBERS
* Consent Agenda Items listed under the Consent Agenda are considered routine in nature 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. In that event the item will
be removed from the Consent Agenda and considered in normal sequence.
Page
1. Call meeting to order
2. Pledge of Allegiance
Approve agenda, with any amendments
4. * Consent A eg nda
*A. Approve payment of claims 1643 -1670
*B. Approve Pay Request No. 2, in the amount of $740,110.38, from GMH 1671 -1672
Asphalt Corporation for work on the 2009 Street, Utility and Lift Station
Improvement Project
*C. Approve Resolution Accepting Bid for the 2009 Drainage Improvement 1673 -1674
Project
*D. Approve Resolution Approving a Premises Permit Application for 1675 -1676
Gambling at Al & Alma's Supper Club
*E. Approve Application for Exempt Permit for Minnesota Lawful Gambling 1677 -1678
at the Gillespie Center
*F. Approve Resolution Authorizing Decertification of Town Square TIF 1679 -1680
District 1 -1
Comments and suggestions from citizens present on any item not on the
agenda. (Limit to three minutes per speaker)
6. Visit by Hennepin County Commissioner Jeff Johnson
7. Request by Kathy Erickson, representative of Whitehawks Youth Baseball 1681 -1682
Association to construct batting cages at WRA fields
�. Chief of Police Jim Kurtz requesting revocation of Tree Removal License 1683 -1684
#09 -39 — Cory's Oak Hill Landscaping
PLEASE TURN OFF CELL PHONES & PAGERS IN COUNCIL CHAMBERS.
9. Action on minutes: July 28, 2009 regular meeting 1685 -1687
0 0. Miscellaneous /Correspondence
A. Comments /reports from Council Members
B. Reports: Engineering Project Status 1688 -1690
Letter to PBK Investments (Mound Marketplace) 1691 -1697
C. Minutes: None
D. Correspondence: LGN Federal Update — July 27, 2009 1698 -1707
Mediacom letter of August 3, 2009 1708
11
Adjourn
his is a preliminary agenda and subject to change. The Council will set a final agenda at the meeting. More current meeting
IWgendas may be viewed at City Hall or at the City of Mound web site: www.cit!ofmound. com
2
COUNCIL BRIEFING
August 11, 2009
10
10
Upcoming Events Schedule: Don't Forget!!
Aug 11– 7:15 – HRA regular meeting
Aug 11– 7:30 – CC regular meeting
Aug 25 – 6 :30 – HRA regular meeting
Aug 25 – 7 :30 – CC regular meeting (adopt 2010 preliminary budget)
Oct 10 – 8:00 -12:00 – Recycling Day (Note change —Fall only: 8- 12:00)
Nov 17 –1:30 -4:30 – Flu Shot Clinic
Nov 19 – Tree Lighting Ceremony
Dec 7 – 7:00 - Truth in Taxation Hearing
Dec 8 – 6:30 – HRA regular meeting
Dec 8 – 7:30 – CC regular meeting (adopt 2010 budget)
City Ball Closings
Sept 7 Labor Day
Nov 11 Veteran's Day
Citv Official's Absences
July 24 -28
David Osmek
Aug 15 -18
David Osmek
Sept 12 -20
Kandis Hanson ICMA ConfNacation
Dec 10 -20
Kandis Hanson Vacation
10
I*
I•
AUGUST 11, 2009
CITY COUNCIL MEETING
I 072109CRCARD $3,777.42 JULY I
I 072209SUE $2 JULY I
I 072909SUE $520 JULY I
I 080509SUE $5,368.61. AUG I
I 081109SUE $187,062.97 AUG I
TOTAL
$718,658.78
-1643-
City of Mound 08/06/09 10:57 AM
Page 1
Payments
Current Period: July 2009
Batch Name
072109CRCARD
Payment Computer Dollar
Amt $3,777.42 Posted
Refer 72109 ELAN CREDIT CARD Ck# 099216 7/21/2009
Cash Payment
E 101 - 42400 -431 Meeting Expense
06 -10 -09 PARTY AMERICA, TRAUX
$26.23
RETIREMENT
Invoice 0334
7/21/2009
Cash Payment
E 101 - 42110 -431 Meeting Expense
06 -15 -09 V &S JEWELRY, TRAUX
$176.39
RETIREMENT
Invoice 6778
7/21/2009
Cash Payment
E 101 - 41310 -434 Conference & Training
06 -22 -09 ICMA CONFERENCE,
$665.00
WASHINGTON DC
Invoice 0011
7/21/2009
Cash Payment
E 101 - 41310-434 Conference & Training
06 -30 -09 CROWN PLAZA, ST. PAUL, MCMA
$137.44
CONFERENCE
Invoice 2461
7121/2009
Cash Payment
E 602 - 49450 -404 Machinery/Equip Repairs 06 -10 -09 HOME DEPOT, #109 DRILLS, TOOLS
$124.45
Invoice 3783
7/21/2009
Cash Payment
E 675 -49425 -220 Repair /Maint Supply
06 -18 -09 AQUACIDE COMPANY, POND
$81.66
SUPPLIES
Invoice 2329
7/21/2009
Cash Payment
E 601 -49400 -221 Equipment Parts
06 -25 -09 RADIO SHACK, #302 BATTERY
$1.06
Invoice 0788
7/21/2009
Cash Payment
E 101 - 43100 -430 Miscellaneous
06 -30 -09 MY WEATHER
$1.98
Invoice 4151 -A
7/21/2009
Cash Payment
E 601 - 49400 -430 Miscellaneous
06 -30 -09 MY WEATHER
$1.98
Invoice 4151 -B
7/21/2009
Cash Payment
E 602 - 49450 -430 Miscellaneous
06 -30-09 MY WEATHER
$1.99
Invoice 4151 -C
7/21/2009
Cash Payment
E 609- 49750 -400 Repairs & Maintenance
06 -15 -09 AMERICAN BEVERAGE EQUI,
$38.99
WASHER, VENT, ETC
Invoice 9846
7/21/2009
Cash Payment
E 101 -42110 -220 Repair/Maint Supply
07 -08 -09 GLOBAL TRADQUEST, LAMP FOR
$128.47
PROJECT
Invoice 3669 -B
7/21/2009 PO 21619
Cash Payment
E 101- 42110434 Conference & Training
06 -08 -09 BEST WESTERN, WHITE BEAR
$384.08
LAKE, RANGE INSTRUCTION CLASS
Invoice 9787
7/21/2009
Cash Payment
E 222 -42260 -200 Office Supplies
07 -08 -09 GLOBAL TRADEQUEST, LAMP FOR
$128.48
PROJECTOR
Invoice 3669 -A
7/21/2009 PO 21619
Cash Payment
E 10142110 -434 Conference & Training
06 -15 -09 BEST WESTERN, RANGE
$384.08
INSTRUCTION CLASS
Invoice 9966
7/21/2009
Cash Payment
E 101 -42110 -110 Clothing Allowance
06 -25 -09 BAGGY JO, UNIFORM SHIRT
$12.75
Invoice 9701
7/21/2009
Cash Payment
E 101 - 42110400 Repairs & Maintenance
06 -25 -091 &1 INTERNET, INC
$29.97
Invoice 3124
7/21/2009
Cash Payment
E 101 - 42110 -430 Miscellaneous
07 -02 -09 FOREIGN TRANSACTION FEE
-$5.24
CORRECTION
Invoice 4390
7/21/2009
Cash Payment
E 101 -45200 -218 Clothing and Uniforms
06 -08 -09 KOHLS, UNIFORMS, FACKLER
$164.44
Invoice 7529
7/21/2009
Cl
61
*I
-1644-
City of Mound
I*
Payments
Current Period: July 2009
08/06/0910:57 AM
Page 2
• 101
222
601
602
609
675
10100 Wells Fargo
$2,814.81
$670.11
$3.04
$126.44
$81.36
$81.66
$3,777.42
Pre - Written Check $3,777.42
Checks to be Generated by the Compute $0.00
Total $3,777.42
'
-1645-
Cash Payment
E 101 -45200 -220 Repair /Maint Supply
06 -10-09 NORTHERN TOOL, MESH,
$537.54
CONNECTOR
Invoice 1067
7/21/2009
Cash Payment
E 101 -41500 -301 Auditing and Acct'g Servi 06 -18 -09 CCH, TAX COMPLIANCE
$112.93
Invoice 3853
7/21/2009
Cash Payment
E 101 - 41910 -440 Other Contractual Servic
06 -22 -09 INET 7, INTERNET SERVICE
$58.75
Invoice 1070
7/21/2009
Cash Payment
E 222 - 42260 -409 Other Equipment Repair
06 -18 -09 GALLS, INC. STROBE MINI BAR
$452.16
Invoice 8600
7/21/2009 PO 21611
Cash Payment
E 222 - 42260 -433 Dues and Subscriptions
06 -18 -09 NATIONAL FIRE PROTECTION,
$76.45
INVESTIGATORS GUIDE
Invoice 3124
7/21/2009 PO 21612
Cash Payment
E 222 -42260 -200 Office Supplies
06 -24 -09 INK CARTRIDGE CITY, CARTRIDGE
$13.02
FOR ADDRESS LOCATOR
Invoice 1008
7/2112009 PO 21616
Cash Payment
E 609- 49750 -430 Miscellaneous
07 -06 -09 CARBONE'S, STAFF MTG
$42.37
Invoice 0012
7/21/2009
Transaction Date
7/23/2009 Due 0
Wells Fargo 10100 Total
$3,777.42
Fund Summary e
BATCH Total , � : $3,777.42
• 101
222
601
602
609
675
10100 Wells Fargo
$2,814.81
$670.11
$3.04
$126.44
$81.36
$81.66
$3,777.42
Pre - Written Check $3,777.42
Checks to be Generated by the Compute $0.00
Total $3,777.42
'
-1645-
City of Mound
Payments
Current Period: July 2009
07/23/09 1:05 PM
Page 1
056 Plaw"noww"
Batch Name 072209SUE User Dollar Amt $2,023.34
Payments Computer Dollar Amt $2,023.34
$0.00 In Balance
Refer 72209 GRADY, DANIEL
Cash Payment E 101 -43100 -321 Telephone & Cells
PHONE HOLSTER
$24.04
Invoice 072209 7/22/2009
Transaction Date 7/21/2009
Wells Fargo 10100 Total
$24.04
Refer 72209 HENNEPIN COUNTY TREASURER _
Cash Payment E 101 -49999 -300 Professional Srvs
1980 #07514 SPECIAL ASSESSMENT
$0.15
Invoice 10- 44720- 6715 -B 7/22/2009
Cash Payment E 101 -49999 -300 Professional Srvs
1981 #07928 SPECIAL ASSESSMENT
$0.25
Invoice 10- 44720- 6715 -B 7/22/2009
Cash Payment E 101 -49999 -300 Professional Srvs
1998 #14124 SHERWOOD DRIVE
$9.00
IMPROVEMENT
Invoice 10- 44720- 6715 -B 7/22/2009
Cash Payment E 101 -49999 -300 Professional Srvs
2000 #14676 1999 NORWOOD
$1.50
IMPROVEMENT PROJECT
Invoice 10- 44720 - 6715 -B 7/2212009
Cash Payment E 101 -49999 -300 Professional Srvs
2000 #14690 SUPPL NORWOOD LANE
$1.50
Invoice 10- 44720- 6715 -B 7/22/2009
Cash Payment E 351 -47000 -300 Professional Srvs
2003 #15606 2002 WESTEDGE BLVD
$7.50
STREET IMPROVEMENT
Invoice 10- 44720- 6715 -B 7/22/2009
Cash Payment E 366 -47000 -300 Professional Srvs
2004 #15605 MOUND VISIONS 2ND
$19.50
ADDITIONAL (REVISED)
Invoice 10- 44720- 6715 -B 7/22/2009
Cash Payment E 366 -47000 -300 Professional Srvs
2004 #15860 2003 STREET
$57.00
RECONSTRUCTION PROJECT
Invoice 10- 44720- 6715 -B 7/22/2009
Cash Payment E 367 -47000 -300 Professional Srvs
2005 #16151 2004 STREET
$159.00
RECONSTRUCTION PROJECT
Invoice 10- 44720- 6715 -B 7/22/2009
Cash Payment E 101 -49999 -300 Professional Srvs
2005 #16153 4717 ISLANDVIEW DRIVE
$1.50
ABATEMENT
Invoice 10- 44720- 6715 -B 7/2212009
Cash Payment E 368 -47000 -300 Professional Srvs
2006 #16367 2005 STREET
$465.00
RECONSTRUCTION PROJECT
Invoice 10- 44720- 6715 -B 7/22/2009
Cash Payment E 101 - 49999 -300 Professional Srvs
2007 #16691 MODULAR WALL
$1.50
Invoice 10- 44720- 6715 -B 7/22/2009
Cash Payment E 101 -49999 -300 Professional Srvs
2007 #16692 RICHMOND ROAD
$3.00
IMPROVEMENT
Invoice 10- 44720- 6715 -B 7/22/2009
Cash Payment E 369 -47000 -300 Professional Srvs
2007 #16693 2006 STREET
$307.50
RECONSTRUCTION PROJECT
Invoice 10- 44720- 6715 -B 7/22/2009
Cash Payment E 361 -47000 -600 Debt Sry Principal
2009 #17170 2007 STREET IMRPOVEMENT
$366.00
PROJECT (15 YRS)
Invoice 10- 44720- 6715 -B 7/22/2009
Cash Payment E 601 -49400 -300 Professional Srvs
2009 #17171 UTILITY BILLS (1 YR)
$421.50
Invoice 10- 44720 - 6715 -B 7/22/2009
91
61
-1646-
I*
City of Mound 07 /23/091:05 PM
Page 2
Payments
Current Period: July 2009
10
10
at -1�
Cash Payment E 101 -49999 -300 Professional Srvs
2009 #17172 CBD PARKING (1 YR)
$15.00
Invoice 10- 44720- 6715 -B 7/22/2009
Cash Payment E 101 -49999 -300 Professional Srvs
2009 #17173 MOWING /MISC (1 YR)
$24.00
Invoice 10- 44720 - 6715 -B 7/2212009
Cash Payment E 101 -49999 -300 Professional Srvs
2009 #17174 EROSION CONTROL (5 YR)
$1.50
Invoice 10- 44720- 6715 -B 7/22/2009
Transaction Date 7/22/2009
Wells Fargo 10100 Total
$1,861.90
Refer_ 72209 MYERS, TONY
Cash Payment E 222 -42260 -210 Operating Supplies
EVIDENCE LABELS
$26.23
Invoice 072209 7/22/2009
Transaction Date 7121/2009
Wells Fargo 10100 Total
$26.23
Refer 72209 PEDERSON, GREG
Cash Payment E 222 -42260 -322 Postage
06 -05 -09 MAILING
$4.65
Invoice 072209 7/22/2009
Cash Payment E222-42260-210 Operating Supplies
20# PROPANE TANK FILL
$15.00
Invoice 072209 7/22/2009
Transaction Date 7/21/2009
Wells Fargo 10100 Total
$19.65
Refer 72209 T- MOBILE CELL PHONE _
Cash Payment E 281 -45210 -321 Telephone & Cells
06 -03 -09 THRU 07 -03 -09 CELL PHONE
$66.21
Invoice 072209 7/22/2009
Transaction Date 7/21/2009
Wells Fargo 10100 Total
$66.21
Refer 72209 XCEL ENERGY
Cash Payment E 101 -42115 -381 Electric Utilities
06 -09 #51- 6002835 -9
$25.31
Invoice 279661852 7/22/2009
Transaction Date 7/20/2009
Wells Fargo 10100 Total
$25.31
at -1�
City of Mound
Payments
07/23/09 1:05 PM
Page 3
Current Period: July 2009
Fund Summary
10100 Wells Fargo
101
GENERAL FUND
$108.25
222
AREA FIRE SERVICES
$45.88
281
COMMONS DOCKS FUND
$66.21
351
2001 -C G.O. Improvement
$7.50
361
G.O. 2007 - A Improvements
$366.00
366
2003 -A G.O. Improvement
$76.50
367
G.O. 2004 - A Improvements
$159.00
368
G.O. 2005 - A Improvements
$465.00
369
G.O. 2006 - A Improvements
$307.50
601
WATER FUND
$421.50
$2,023.34
Pre -Written Check $0.00
Checks to be Generated by the Compute $2,023.34
Total $2,023.34
01
*I
*I
City of Mound 07/31/09 7:39 AM
Page 1
Payments
Current Period: July 2009
ANW11011"MM00w 90MM01 awilk'NOWWRIM,
Batch Name 072909SUE User Dollar Amt $520,426.44
Payments Computer Dollar Amt $520,426.44
$0.00 In Balance
Refer 72909 AECOM, INCORPORATED
Cash Payment E 475-46386-300 Professional Srvs THRU 04-12-09 AUDITORS ROAD DISTRICT $5,939.60
Invoice 449532 7/29/2009
Cash Payment E 475-46386-300 Professional Srvs THUR 05 -01 -09 AUDITORS ROAD PHASE 11 $3,076.25
INVESTIGATION
Invoice 449533 7/29/2009
Cash Payment E 475-46386-300 Professional Srvs
THRU 05-01-09 BECKEL PRE-DEMO
$492.50
Invoice 452696 7/2912009
Transaction Date 7/29/2009
Wells Fargo 10100 Total
$9,508.35
Refer 72909 CORCORAN, CITY OF
Gash Payment G 101-20800 Due to Other Governments
05-01-09 THRU 06-30-09 SAFE AND SOBER
$2,727.05
Invoice 072908 7/29/2009
Transaction Date 7/29/2009
Wells Fargo 10100 Total
$2,727.05
Refer 72909 FRONTIER/CITIZENS COMMUNICA
Cash Payment E 101-43100-321 Telephone & Cells
06-24-09 SERVICE CALL, MOORE
$81.53
Invoice 072909 7/2912009
• Cash Payment E 601-49400-321 Telephone & Cells
06-24-09 SERVICE CALL, MOORE
$30.13
Invoice 072909 7/29/2009
Cash Payment E 602-49450-321 Telephone & Cells
06-24-09 SERVICE CALL, MOORE
$30.13
Invoice 072909 7/29/2009
Cash Payment E 675-49425-430 Miscellaneous
06-24-09 SERVICE CALL, MOORE
$35.44
Invoice 072909 7/29/2009
Transaction Date 7/28/2009
Wells Fargo 10100 Total
$177.23
Refer 72909 GMH ASPHALT
Cash Payment E 401-43109-500 Capital Outlay FA
2009 STREET IMPROVEMENT PROJECT
$173,611.19
Invoice REQUEST#1 7129/2009
Project PWO901
Cash Payment E 401-43109-500 Capital Outlay FA
2009 STREET PROJECT ISLANDVIEW DRIVE
$173,611.19
Invoice REQUEST #1 7/29/2009
Project PWO902
Cash Payment G 602-16325 Fixed Asset - Distribution Sys 2009 STORM SEWER PROJECT
$43,402.80
Invoice REQUEST #1 7/29/2009
Project PWO904
Cash Payment E 401-43103-500 Capital Outlay FA
2009 RETAINING WALL PROJECT
$43,402.79
Invoice REQUEST #1 7/29/2009
Project PWO906
Transaction Date 7/24/2009
Wells Fargo 10100 Total
$434,027.97
Refer 72909 MEDINA, CITY OF
Cash Payment G 101-20800 Due to Other Governments
05-01-09 THRU 06-30-09 SAFE AND SOBER
$3,487.84
Invoice 072909 7/29/2009
Transaction Date 7/29/2009
Wells Fargo 10100 Total
$3,487.84
Refer 72909 MINNETRISTA, CITY OF
Cash Payment G 101-20800 Due to Other Governments
05-01-09 THRU 06-30-09 SAFE AND SOBER
$2,440.03
Invoice 072909 7/29/2009
• Transaction Date 7/29/2009
Wells Fargo 10100 Total
$2,440.03
Refer 72909 MOORE, CARLTON
Cash Payment E 401-43103-300 Professional Srvs;
07-20-09 VEIT MEDIATION
$23.40
Invoice 072909 7/29/2009
Project 06005
-1649-
City of Mound 07/31/09 7:39 AM
Page 2
Payments
Current Period: July 2009
Transaction Date 7/28/2009 Wells Fargo 10100 Total $23.40
Refer 72909 ORONO, CITY OF
Cash Payment G 101 -20800 Due to Other Governments
05 -01 -09 THRU 06 -30-09 SAFE AND SOBER
$2,929.18
Invoice 072909 7/29/2009
Transaction Date 7/29/2009
Wells Fargo 10100 Total
$2,929.18
Refer 72909 ROGERS, CITY OF _
Cash Payment G 101 -20800 Due to Other Governments
05 -01 -09 THRU 06 -30 -09 SAFE AND SOBER
$5,066.58
Invoice 072909 7/29/2009
Transaction Date 7/29/2009
Wells Fargo 10100 Total
$5,066.58
Refer 72909 VERIZON WIRELESS (P/l49
Cash Payment E 101 -43100 -321 Telephone & Cells
07 -14 -09 THRU 08 -13 -09 CELL PHONES
$267.21
Invoice 2260940580 7/2912009
Cash Payment E 601 -49400 -321 Telephone & Cells
07 -14 -09 THRU 08 -13-09 CELL PHONES
$425.67
Invoice 2260940580 7/2912009
Cash Payment E 602 -49450 -321 Telephone & Cells
07 -14 -09 THRU 08 -13 -09 CELL PHONES
$383.58
Invoice 2260940580 7/29/2009
Cash Payment E 101 -42400 -321 Telephone & Cells
07 -14-09 THRU 08 -13-09 CELL PHONES
$37.89
Invoice 2260940580 7/29/2009
Cash Payment E 101 -45200 -321 Telephone & Cells
07 -14 -09 THRU 08 -13 -09 CELL PHONES
$238.50
Invoice 2260940580 7/29/2009
Cash Payment E 281 -45210 -321 Telephone & Cells
07 -14 -09 THRU 08 -13 -09 CELL PHONES
$9.72
Invoice 2260940580 7/29/2009
Cash Payment E 101 -41310 -321 Telephone & Cells
07 -14 -09 THRU 08 -13-09 CELL PHONES
$39.43
Invoice 2260940580 7/29/2009
Cash Payment G 101 -22816 Personal Cell Phone
07 -14 -09 THRU 08 -13-09 CELL PHONES
$102.96
Invoice 2260940580 7/29/2009
Cash Payment G 101 -13100 Due From Other Funds
07 -14 -09 THRU 08 -13 -09 CELL PHONES
$55.67
Invoice 2260940580 7/29/2009
Transaction Date 7/23/2009
�
Wells Fargo 10100 Total
$1,560.63
Refer 72909 WAYZATA, CITY OF�
Cash Payment G 101 -20800 Due to Other Governments
05 -01-09 THRU 06 -30-09 SAFE AND SOBER
$1,375.56
Invoice 072909 7/29/2009
Transaction Date 7/29/2009
Wells Fargo 10100 Total
$1,375.56
Refer 72909 WEIST, KATHY
Cash Payment E 222 -42260 -331 Use of personal auto
07 -20 -09 UNIFORM ACCESSORIES
$24.57
Invoice 072909 7/29/2009
Transaction Date 7128/2009
Wells Fargo 10100 Total
$24.57
Refer 72909 WEST HENNEPIN PUBLIC SAFETY
Cash Payment G 101 -20800 Due to Other Governments
05 -01 -09 THRU 06 -30 -09 SAFE AND SOBER
$2,912.35
Invoice 072909 7/29/2009
Transaction Date 7/29/2009
Wells Fargo 10100 Total
$2,912.35
Refer 72909 WICKENHAUSER EXCAVATING, IN
Cash Payment E 475 -46386 -500 Capital Outlay FA
5533 -5571 SHORELINE DRIVE DEMOLITION
$40,960.00
Invoice 9060 7/29/2009
Transaction Date 7/28/2009
Wells Fargo 10100 Total
$40,960.00
Refer 72909 WRIGHT COUNTY COURTHOUSE
01
WC�11111
City of Mound 07/31/09 7:39 AM
Page 3
Payments
Current Period: July 2009
Fund Summary
Cash Payment G 101 -22801 Deposits /Escrow
CASE #09 -1864, WT #20090323, MARTINEZ
$200.00
Invoice 072909 7/29/2009
$1,248.42
281 COMMONS DOCKS FUND
Transaction Date 7/28/2009
Wells Fargo 10100 Total
$200.00
Refer 72909 XCEL ENERGY
_
475 TIF 1 -3 Mound Harbor Renaissan
Cash Payment E 101 -45200 -381 Electric Utilities
06 -09 #51- 6002837 -1
$277.72
Invoice 280384447 7/29/2009
$45,736.07
509 MUNICIPAL LIQUOR FUND
Cash Payment E 101 -43100 -381 Electric Utilities
06 -09 #51- 6002837 -1
$854.40
Invoice 280384447 7/29/2009
Cash Payment E 601 -49400 -381 Electric Utilities
06 -09 #51- 6002837 -1
$3,611.05
Invoice 280384447 7129/2009
Cash Payment E 602 -49450 -381 Electric Utilities
06 -09 #51- 6002837 -1
$1,919.56
Invoice 280384447 7/29/2009
Cash Payment E 609 -49750 -381 Electric Utilities
06 -09 #51- 6002837 -1
$1,544.01
Invoice 280384447 7/29/2009
Cash Payment E 222 -42260 -381 Electric Utilities
06 -09 #51- 6002837 -1
$1,223.85
invoice 280384447 7/29/2009
Cash Payment E 101 -42110 -381 Electric Utilities
06- 09 #51- 6002837 -1
$1,223.85
Invoice 280384447 7/29/2009
Cash Payment E 101 -41910 -381 Electric Utilities
06 -09 #51- 6002837 -1
$1,319.13
Invoice 280384447 7/29/2009
Cash Payment E 285 - 46388 -381 Electric Utilities
06 -09 #51- 6002837 -1
$1,032.13
Invoice 280384447 7129/2009
Transaction Date 7/21/2009
Wells Fargo 10100 Total
$13,005.70
Fund Summary
$520,426.44
� 0
Prp- Written Check $0.00
Checks to be Generated by the Compute $520,426.44
Total $520,426.44
-1651-
10100 Wells Fargo
101 GENERAL FUND
$25,636.88
222 AREA FIRE SERVICES
$1,248.42
281 COMMONS DOCKS FUND
$9.72
285 MOUND HRA
$1,032.13
401 GENERAL CAPITAL PROJECTS
$390,648.57
475 TIF 1 -3 Mound Harbor Renaissan
$50,468.35
601 WATER FUND
$4,066.85
602 SEWER FUND
$45,736.07
509 MUNICIPAL LIQUOR FUND
$1,544.01
675 STORM WATER UTILITY FUND
$35.44
$520,426.44
� 0
Prp- Written Check $0.00
Checks to be Generated by the Compute $520,426.44
Total $520,426.44
-1651-
City of Mound 08/03/0911:00 AM
Page 1
Payments •
Current Period: August 2009
Batch Name 080509SUE User Dollar Amt $5,368.61
Payments Computer Dollar Amt $5,368.61
$0.00 In Balance
Refer 80509 HUNT, KYLE AND PARTNERS, INC _
Cash Payment G 101 -23007 Erosion Control Escrow 2029 ARBOR LANE #2008 -00251
$750.00
Invoice 080509 8/5/2009
Transaction Date 8/312009 Wells Fargo 10100
Total
$750.00
Refer 80509 POSTMASTER _
Cash Payment E 101 -41110 -322 Postage FALL NEWSLETTER POSTAGE
$819.96
Invoice 080509 8/5/2009
Transaction Date 8/3/2009 Wells Fargo 10100
Total
$819.96
Refer 80509 R.E. HOLDINGS, LLC
Cash Payment R 601 -49400 -36200 Miscellaneous Revenu 6332 RAMBLER LANE REFUND
$187.75
Invoice 080509 8/5/2009
Transaction Date 7/31/2009 Wells Fargo 10100
Total
$187.75
Refer 80509 RELOCATION CENTER
Cash Payment R 60149400 -36200 Miscellaneous Revenu 1641 GULL LANE REFUND
$109.39
Invoice 080509 8/5/2009
Transaction Date 8/3/2009 w Wells Fargo 10100
Total
$109.39
•
Refer 80509 SCHINDLER ELEVATOR CORPORA
Cash Payment E 285 - 46388 -400 Repairs & Maintenance REPAIR ELEVATOR DOORS
$3,181.00
Invoice 7100165358 8/5/2009
Transaction Date 8/3/2009 Wells Fargo 10100
Total
$3,181.00
Refer 80509 SELYUKOV, SERGEYAND ELVIRA _
Cash Payment R 601 -49400 -36200 Miscellaneous Revenu 6286 SUGAR MILL LANE REFUND
$69.87
Invoice 080509 8/5/2009
Transaction Date 7/31/2009 Wells Fargo 10100
Total
$69.87
Refer 80509 XCEL ENERGY _
Cash Payment E 101 -43100 -381 Electric Utilities 06 -09 #51- 6002836 -0
$250.64
Invoice 2799905260 8/5/2009
Transaction Date 7/28/2009 Wells Fargo 10100
Total
$250.64
0 �
-1652-
•
City of Mound
Payments
08/03/09 11:00 AM
Page 2
Current Period: August 2009
Fund Summary
101 GENERAL FUND
285 MOUND HRA
601 WATER FUND
10100 Wells Fargo
$1,820.60
$3,181.00
$367.01
$5,368.61
•
LI
Pre - Written Check $0.00
Checks to be Generated by the Compute $ 5,368.61
Total $5,368.61
-1653-
City of Mound 08/06/09 10:39 AM
Page 1
Payments •
Current Period: August 2009
Batch Name 081109SUE User Dollar Amt $187,062.97
Payments Computer Dollar Amt $187,062.97
$0.00 In Balance
Refer 81109 AAA NURSERYAND LANDSCAPIN _
Cash Payment E 601- 49400 -400 Repairs & Maintenance 07 -23 -09 BLACK DIRT $106.88
Invoice 081109 8/11/2009
Transaction Date 8/3/2009 Wells Fargo 10100 Total $106.88
Refer 81109 ABM EQUIPMENT AND SUPPLY, IN _
Cash Payment E 602 -49450 -500 Capital Outlay FA #109 BOX ACCESSORIES $40,768.54
Invoice 99428 8/11/2009 PO 21412
Transaction Date 8/5/2009 Wells Fargo 10100 Total $40,768.54
Refer 81109 ACTION FLEET, INCORPORATED
Cash Payment G 101 -22804 Police RV- Command Centr LIGHT BEACON $167.26
Invoice 6812 8/11/2009 PO 21682
Transaction Date 8/5/2009 Wells Fargo 10100 Total $167.26
Refer 81109 A LLIED WASTE SERVICES #894
Cash Payment
Invoice 081109
Cash Payment
Invoice 081109
Cash Payment
Invoice 081109
Cash Payment
Invoice 081109
Cash Payment
Invoice 081109
Cash Payment
Invoice 081109
Cash Payment
Invoice 081109
Cash Payment
Invoice 081109
E 670 - 49500 -440 Other Contractual Servic 07 -09 CURBSIDE RECYCLING
8/11/2009
E 101 -41910 -384 Refuse /Garbage Dispose THRU 08 -31 -09 GARBAGE SERVICE
8/11/2009
E 101 -45200 -384 Refuse /Garbage Dispose THRU 08 -31 -09 GARBAGE SERVICE
8/11/2009
E 101 -43100 -384 Refuse /Garbage Dispose THRU 08 -31 -09 GARBAGE SERVICE
8/11/2009
E 601 -49400 -384 Refuse /Garbage Disposa THRU 08 -31 -09 GARBAGE SERVICE
8111/2009
E 602 -49450 -384 Refuse /Garbage Dispose THRU 08 -31 -09 GARBAGE SERVICE
8/11/2009
E 222 -42260 -384 Refuse /Garbage Dispose THRU 08 -31 -09 GARBAGE SERVICE
8/11/2009
E 101 -42110 -384 Refuse/Garbage Dispose THRU 08 -31 -09 GARBAGE SERVICE
8/11/2009
$14,340.21
$120.12
$402.26
$7.05
$7.05
$7.05
$38.68
$38.68
Transaction Date 8/4/2009 Wells Fargo 10100 Total $14,961.10
Refer 81109 AMUNDSON, M. LLP
Cash Payment E 609 -49750 -256 Tobacco Products For R CIGARETTES $497.20
Invoice 66492 8/11/2009
Cash Payment E 609 -49750 -256 Tobacco Products For R CIGARETTES $508.60
Invoice 67082 8/11/2009
Transaction Date 8/3/2009 Wells Fargo 10100 Total $1,005.80
Refer 81109 APPROVED EQUAL COM PANY
•
Cash Payment E 101 - 41910 -401 Building Repairs REPLACE TEMPERATURE CONTROL $2,075.00
Invoice 10361 8/11/2009 PO 21195
Transaction Date 8/3/2009 Wells Fargo 10100 Total $2,075.00 •
Refer � 81109 ARCTIC GLACIER PREMIUM ICE
Cash Payment G 101 -22802 Festival ICE (FESTIVAL) $175.54
Invoice 383919804 8/11/2009
-1654-
City of Mound 08/06/09 10:39 AM
Page 2
• Payments
Current Period: August 2009
..
Cash Payment E 60949750 -255 Misc Merchandise For R
ICE
$176.63
Invoice 381921314 -A 8/11/2009
Cash Payment E 60949750 -265 Freight
08 -01 -09 DELIVERY CHARGE
$1.00
Invoice 381921314 -B 8/11/2009
Cash Payment E 609 -49750 -255 Misc Merchandise For R
ICE
$96.00
Invoice 381921206 8/11/2009
Cash Payment E 609 -49750 -255 Misc Merchandise For R
ICE
$121.02
Invoice 381920610 -A 8/1112009
Cash Payment E 60949750 -265 Freight
07 -25 -09 DELIVERY CHARGE
$1.00
Invoice 381920610 -B 8/11/2009
Cash Payment E 609 -49750 -255 Misc Merchandise For R
ICE
$110.92
Invoice 381920504 8/11/2009
Transaction Date 7/28/2009
Wells Fargo 10100
Total
$682.11
Refer 81109 BARR ENGINEERING COMPANY _
Cash Payment E 475 -46386 -300 Professional Srvs
03 -23 -09 THRU 07 -17 -09 DUMP
REMEDIATION
$5,524.00
Invoice 23270F27.05 -25 8/11/2009
Project PW0511
Transaction Date 8/4/2009
Wells Fargo 10100
Total
$5,524.00
Refer 81109 BATTERIES PLUS, #018 _
Cash Payment E 60249450 -220 Repair /Maint Supply
BATTERIES, 12V
$133.17
8/11/2009 PO21852
Invoice t
Date
Transaction Date 7/28/2009
Wells Fargo 10100
Total
$133.17
�
Refer 81109 BELLBOY CORPORATION _
� �
� � �
Cash Payment E 609 -49750 -251 Liquor For Resale
LIQUOR
$58.75
Invoice 49910900 8/11/2009
Cash Payment E 609 -49750 -251 Liquor For Resale
LIQUOR
$993.96
Invoice 49910600 8/11/2009
Cash Payment E 609 - 49750 -251 Liquor For Resale
CERDIT— LIQUOR
- $30.75
Invoice 49868600 8/11/2009
Cash Payment E 609 -49750 -255 Misc Merchandise For R
MERCHANDISE
$89.00
Invoice 82530200 8/11/2009
Cash Payment E 609 -49750 -251 Liquor For Resale
LIQUOR
$978.95
Invoice 49775300 -A 8/11/2009
Cash Payment E 609 -49750 -265 Freight
07 -24 -09 DELIVERY CHARGE
$15.50
Invoice 49775300 -B 8/11/2009
Cash Payment E 609 -49750 -210 Operating Supplies
BAGS
$137.69
Invoice 82544900 -A 8/11/2009
Cash Payment E 609 - 49750 -255 Misc Merchandise For R
MERCHANDISE
$20.40
Invoice 82544900 -B 8/11/2009
Transaction Date 7/28/2009
Wells Fargo 10100
Total
$2,263.50
Refer 81109 BIFFS, INC PORTABLE RESTROO��
Cash Payment E 101 - 45200 -410 Rentals (GENERAL)
07 -09 CENTERVIEW BEACH
$254.00
Invoice W386550 8/11/2009
Cash Payment E 101 - 45200 -410 Rentals (GENERAL)
07 -09 MOUND BAY PARK
$690.00
Invoice W386551 8/11/2009
. Cash Payment E 101 - 45200 -410 Rentals (GENERAL)
07 -09 SKATEPARK
$254.00
Invoice W386552 8/11/2009
Transaction Date 8/4/2009
Wells Fargo 10100
Total
$1,198.00
Refer 81109 BRAUN PUMP AND CONTROLS, IN
-1655-
City of Mound 08/06/09 10:39 AM
Page 3
Payments •
Current Period: August 2009
wa '�
Cash Payment E 602 - 49450 -440 Other Contractual Servic REPAIR HYDROMATIC MODEL
$500.00
Invoice 12502 8/11/2009
Cash Payment E 602- 49450 -440 Other Contractual Servic REPAIR #1 PUMP
$2,446.25
Invoice 12503 8/11/2009
Transaction Date 7/27/2009 Wells Fargo 10100
Total
$2,946.25
Refer 81109 CARQUEST OF NAVARRE (PMy _
Cash Payment E 101 - 45200 -409 Other Equipment Repair ERASER WHEEL, FAN
$55.18
Invoice 6974 - 101039 8/11/2009
Cash Payment E 101 - 43100 -404 Machinery/Equip Repairs #209 OIL FILTER
$1.49
Invoice 6974 - 101007 -A 8/11/2009
Cash Payment E 601- 49400 -404 Machinery/Equip Repairs #209 OIL FILTER
$1.49
Invoice 6974 - 101007 -B 8/11/2009
Cash Payment E 602- 49450 -404 Machinery/Equip Repairs #209 OIL FILTER
$1.50
Invoice 6974 - 101007 -C 8/11/2009
Cash Payment E 101 - 42110 -404 Machinery/Equip Repairs #848 OIL FILTER
$4.78
Invoice 6974 -92205 8/11/2009
Cash Payment E 10143100 -404 Machinery/Equip Repairs TOOL FOR PLOW TRUCK
$68.38
Invoice 6974 - 100372 8/11/2009
Cash Payment E 101 - 42110 -404 Machinery/Equip Repairs #844 SWITCH
$7.15
Invoice 6974 -99580 8/11/2009
Cash Payment E 10142110 -404 Machinery/Equip Repairs #851 OIL FILTER
$4.48
•
Invoice 6974 -99243 8/11/2009
Transaction Date 7/28/2009 Wells Fargo 10100
Total
$144.45
Refer 81109 CAT AND FIDDLE BEVERAGE _
Cash Payment E 609 -49750 -253 Wine For Resale WINE
$108.00
Invoice 82815 8/11/2009
Transaction Date 7/28/2009 Wells Fargo 10100
Total
$108.00
Refer 81109 CLAREY'S SAFETY EQUIPMENT, 1
Cash Payment E 222 - 42260 -409 Other Equipment Repair AUTO EJECT 20 AMP
$208.75
Invoice 127267 8/11/2009
Transaction Date 7/28/2009 Wells Fargo 10100
Total
$208.75
Refer 81109 COCA COLA BOTTLING - MIDWEST
Cash Payment E 60949750 -254 Soft Drinks /Mix For Resa MIX
$236.10
Invoice 0148051531 8/1112009
Cash Payment G 101 -22802 Festival MIX (FESTIVAL)
$317.06
Invoice 0166860411 -A 8/11/2009
Cash Payment E 60949750 -254 Soft Drinks /Mix For Resa MIX
$77.18
Invoice 0166860411 -B 8/11/2009
Transaction Date 7/28/2009 Wells Fargo 10100
Total
$630.34
Refer 81109 COVERALL CLEANING CONCEPTS _
Cash Payment E 101 - 41910 -460 Janitorial Services 08 -09 CLEANING SERVICE
$1,471.67
Invoice 7070146050 8/11/2009
Transaction Date 8/4/2009 Wells Fargo 10100
Total
$1,471.67
Refer 81109 CRETEX CONCRETE PRODOUCTS
Cash Payment E 67549425 -220 Repair /Maint Supply 1989 SHOREWOOD PIPE
$733.02
Invoice S000017801 8/11/2009
Transaction Date 712812009 Wells Fargo 10100
Total
$733.02
-1656-
City of Mound 08/06/09 10:39 AM
Page 4
Payments
Current Period: August 2009
Refer 81109 CRIME PREVENTION MINNESOTA _
Cash Payment E609-49750-433 Dues and Subscriptions 2009 ANNUAL MEMBERSHIP FEE
Invoice 081109 8/11/2009 PO 22163
$12.00
Transaction Date 7/3112009 Wells Fargo 10100 Total $12.00
Refer 81109 DAY DISTRIB COMPANY
Cash Payment E 609 -49750 -252 Beer For Resale
BEER
08 -09 TELEPHONE SERVICE
$97.85
Invoice 60909 8/11/2009
8111/2009
Cash Payment E 609 -49750 -252 Beer For Resale
BEER
08 -09 TELEPHONE SERVICE
$775.94
Invoice 514991 8/11/2009
8/11/2009
Cash Payment E 609 -49750 -253 Wine For Resale
WINE
08 -09 TELEPHONE SERVICE
$260.00
Invoice 514834 8/11/2009
8/11/2009
Cash Payment E 609 -49750 -252 Beer For Resale
BEER
08 -09 TELEPHONE SERVICE
$2,806.60
Invoice 514056 8/11/2009
8/11/2009
Cash Payment E 609 -49750 -254 Soft Drinks /Mix For Resa MIX
E 601 -49400 -321 Telephone & Cells
$85.25
Invoice 514057 8/11/2009
Invoice 081109
8/11/2009
Transaction Date 8/3/2009
Wells Fargo 10100
Total
$4,025.64
Refer 81109 DYNAMEX DELIVERS NOW
Cash Payment E 101 -41910 -322 Postage
TELEPHONE SYSTEM PART
$45.71
Invoice 498191 -A 8/11/2009
Cash Payment E 101 -42110 -322 Postage
TELEPHONE SYSTEM PART
$20.53
Invoice 498191 -B 8/11/2009
Cash Payment E 222 -42260 -322 Postage
TELEPHONE SYSTEM PART
$11.23
Invoice 498191 -a 8/11/2009
Transaction Date 7/28/2009
Wells Fargo 10100
�.
Total
$77.47
Refer 81109 EMERGENCY AUTOMOTIVE TECH
Cash Payment E 101-42110409 Other Equipment Repair
#851 STROBE TUBE
$26.18
Invoice JC070709 -15 8/11/2009
Transaction Date 7/28/2009
Wells Fargo 10100
Total
$26.18
Refer 81109 FIRE CONTROL EXTINGUISHER
Cash Payment E 101 -42110 -219 Safety supplies
2009 ANNUAL CERTIFICATION
$244.97
Invoice 47029 8/11/2009 PO 21676
Transaction Date 7/31/2009
Wells Fargo 10100
>,.W.
Total
$244.97
Refer 81109 FIRE MARSHALL, STATE OF MN�
Cash Payment E 22242260 -433 Dues and Subscriptions
2009 ANNUAL MEMBERSHIP DUES
$35.00
Invoice 081109 8/11/2009
Transaction Date 7/28/2009
Wells Fargo 10100
Total
$35.00
Refer 81109 FRONTIER/CITIZENS COMM UNICA
•
Cash Payment
E 101 -41910 -321 Telephone & Cells
08 -09 TELEPHONE SERVICE
$1,239.09
Invoice 081109
8111/2009
Cash Payment
E 101 -42110 -321 Telephone & Cells
08 -09 TELEPHONE SERVICE
$556.54
Invoice 081109
8/11/2009
Cash Payment
E 22242260 -321 Telephone & Cells
08 -09 TELEPHONE SERVICE
$304.52
Invoice 081109
8/11/2009
Cash Payment
E 101 -43100 -321 Telephone & Cells
08 -09 TELEPHONE SERVICE
$540.59
Invoice 081109
8/11/2009
Cash Payment
E 601 -49400 -321 Telephone & Cells
08 -09 TELEPHONE SERVICE
$540.59
Invoice 081109
8/11/2009
-1657-
City of Mound
08/06/09 10:39 AM
Page 5
Payments
•
Period: August 2009
3P � Current
��� •. � ' dk �� ����.: t3p�a .. �i' ��- s UR. �+.•.. '� .,... W'ki�i4��9 4ss,: ...
:R..
Cash Payment E 602 -49450 -321 Telephone & Cells
08 -09 TELEPHONE SERVICE
$540.59
Invoice 081109 8/11/2009
Cash Payment E 101 -45200 -321 Telephone & Cells
08 -09 TELEPHONE SERVICE
$89,07
Invoice 081109 8/11/2009
Cash Payment E 609 -49750 -321 Telephone & Cells
08-09 TELEPHONE SERVICE
$741.27
Invoice 081109 8/11/2009
Transaction Date 8/5/2009
Wells Fargo 10100 Total
$4,552.26
Refer 81109 G & K SERVICES _
Cash Payment E 101- 41910460 Janitorial Services
07 -27 -09 MATS
$132.11
Invoice 6713358 8/11/2009
Cash Payment E 101 -45200 -218 Clothing and Uniforms
07 -27 -09 UNIFORMS
$19.78
Invoice 6713359 -A 8/11/2009
Cash Payment E 101 -45200 -210 Operating Supplies
07 -27 -09 MATS
$76.07
Invoice 6713359 -B 8/11/2009
Cash Payment E 10143100 -218 Clothing and Uniforms
07 -27 -09 UNIFORMS
$44.35
Invoice 6713357 -A 8/11/2009
Cash Payment E 601 -49400 -218 Clothing and Uniforms
07 -27 -09 UNIFORMS
$19.77
Invoice 6713357 -B 8/11/2009
Cash Payment E 60249450 -218 Clothing and Uniforms
07 -27 -09 UNIFORMS
$26.68
Invoice 6713357 -C 8/11/2009
Cash Payment E 101 -43100 -230 Shop Materials
07 -27 -09 MATS
$30.09 •
Invoice 6713357 -D 8/11/2009
Cash Payment E 601 -49400 -230 Shop Materials
07 -27 -09 MATS
$30.09
Invoice 6713557 -E 8/11/2009
Cash Payment E 602 -49450 -230 Shop Materials
07 -27 -09 MATS
$30.09
Invoice 6713557 -F 8/11/2009
Cash Payment E 10143100 -218 Clothing and Uniforms
07 -20 -09 UNIFORMS
$19.99
Invoice 6701449 -A 8/11/2009
Cash Payment E 601 -49400 -218 Clothing and Uniforms
07 -20 -09 UNIFORMS
$19.77
Invoice 6701449 -B 8/11/2009
Cash Payment E 602 -49450 -218 Clothing and Uniforms
07 -20 -09 UNIFORMS
$26.69
Invoice 6701559 -C 8/11/2009
Cash Payment E 10143100 -230 Shop Materials
07 -20 -09 MATS
$25.03
Invoice 6701559 -D 8/11/2009
Cash Payment E 601 -49400 -230 Shop Materials
07 -20 -09 MATS
$25.03
Invoice 6701559 -E 8/1112009
Cash Payment E 60249450 -230 Shop Materials
07 -20-09 MATS
$25.03
Invoice 6701559 -F 8/11/2009
Cash Payment E 609 - 49750 -460 Janitorial Services
08 -03-09 MATS
$51.60
Invoice 6725153 8/11/2009
Cash Payment E 101 - 42110 -460 Janitorial Services
07 -13 -09 MATS
$52.06
Invoice 6689519 8/11/2009
Cash Payment E 609- 49750 -460 Janitorial Services
07 -27 -09 MATS
$53.76
Invoice 6713356 8/11/2009
Transaction Date 7/31/2009
Wells Fargo 10100 Total
$707.99
Refer 81109 GARY'S DIESEL SERVICE
0
Cash Payment E 222 - 42260 -409 Other Equipment Repair
#E -18 REMAN ALTERNATOR
$186,27
Invoice 8621 -A 8/11/2009 PO 21609
-1658-
� 0
City of Mound
Payments
08/06/09 10:39 AM
Page 6
Current Period: August 2009
Cash Payment E 602 - 49450 -404 Machinery/Equip Repairs MUFFLER, CIRCUIT BOARD KIT
$229.40
Invoice 8621 -B 8/11/2009
Transaction Date 8/3/2009
Wells Fargo 10100
Total
$415.67
Refer 81109 GLENWOOD INGLEWOOD
Cash Payment E 10141310 -210 Operating Supplies
07 -09 HOT AND COLD COOLER
$27.57
Invoice 6815655 8/11/2009
Transaction Date 8/4/2009
Wells Fargo 10100
Total
$27.57
Refer 81109 GOPHER STATE ONE CALL _
Cash Payment E 601 -49400 -395 Gopher One -Call
07 -09 LOCATES
$121.80
Invoice 9070704 -A 8/11/2009
Cash Payment E 602 -49450 -395 Gopher One -Call
07 -09 LOCATES
$121.80
Invoice 9070704 -B 8/11/2009
Transaction Date 8/4/2009
Wells Fargo 10100
Total
$243.60
Refer � 81109�HA INCORPORATED
Cash Payment E 60149400 -227 Chemicals
CHLORINE CYLINDER
$2,699.64
Invoice 3037975 -RI 8/11/2009
Transaction Date 7/27/2009
Wells Fargo 10100
Total
$2,699.64
Refer � 81109 HECKSEL MACHINE SHOP
Payment G 101 -22802 Festival
UMBRELLA STAND TUBES
$45.92
• Cash
Invoice 80966 8/11/2009
Cash Payment G 101 -22802 Festival
UMBRELLA STAND PIPE
$277.80
Invoice 081109 8/11/2009
Cash Payment E 602- 49450 -404 Machinery/Equip Repairs #209 LP TANK BRACKET
$428.35
Invoice 081109 8/11/2009
Transaction Date 7/28/2009
Wells Fargo 10100
Total
$752.07
Refer 81109 HENNEPIN COUNTY INFORMATIO _
Cash Payment E 10142110418 Other Rentals
06 -09 RADIO LEASE
$1,772.11
Invoice 29068242 8/11/2009
Transaction Date 7/31/2009
Wells Fargo 10100
Total
$1,772.11
Refer 81109 HENNEPIN COUNTY SHERIFF'S A _
Cash Payment E 101 - 41600 -450 Board of Prisoners
06 -09 PROCESSING FEE
$358.44
Invoice 2561 8/11/2009
Transaction Date 7/31/2009
Wells Fargo 10100
Total
$358.44
Refer 81109 HENRICKSEN PSG
Cash Payment E 222 -42260 -200 Office Supplies
Invoice 434364 8/11/2009 PO 21614
Transaction Date 8/4/2009
Refer 81109 HOHENSTEINS, INCORPORATED
Cash Payment E 609 -49750 -252 Beer For Resale
Invoice 493217 8/11/2009
Transaction Date 8/3/2009
Refer 81109 HOME DEPOT /GECF (P/I4 _
• Cash Payment E 101 -45200 -220 Repair /Maint Supply
Invoice 081109 8/11/2009 PO 21191
Cash Payment E 101 - 42110 -402 Building Maintenance
Invoice 081109 8/11/2009 PO 21161
FILE CABINET $293.64
Wells Fargo 10100 Total $293.64
BEER
Wells Fargo 10100
RAKE, WEEDKILLER
LANDSCAPE MATTING
$152.40
Total $152.40
$105.53
$45.82
-1659-
City of Mound 08/06/0910:39 AM
Page 7
Payments •
Current Period: August 2009
Refer 81109 JUBILEE FOODS
61
•
-1660-
Cash Payment
E 222 - 42260 -402 Building Maintenance
LANDSCAPE MATTING
$31.09
Invoice 081109
8/11/2009 PO 21191
Cash Payment
E 101 -45200 -220 Repair/Maint Supply
WEED KILLER
$73.96
Invoice 081109
8/11/2009 PO 21590
Transaction Date
7/28/2009
Wells Fargo 10100
Total
$256.40
Refer 81109 HYDROLOGIC WATER MANAGEM _
Cash Payment
E 101 -45200 -220 Repair/Maint Supply
IRRIGATION PARTS
$180.21
Invoice 0400687
8/11/2009
Transaction Date
7/28/2009
Wells Fargo 10100
Total
$180.21
Refer 81109 INFRATECH
Cash Payment
E 601 -49400 -220 Repair /Maint Supply
PAINT, GLOVES
$267.73
Invoice 0900416 -A 8/11/2009
Cash Payment
E 60249450 -220 Repair/Maint Supply
PAINT, GLOVES
$267.72
Invoice 0900416 -B 8/11/2009
Cash Payment
E 602 -49450 -220 Repair /Maint Supply
SPROCKETS
$1,369.12
Invoice 0900411
8/11/2009
Transaction Date
�
8/5/2009
Wells Fargo 10100
Total
$1,904.57
Refer 81109 INTRCOMM TECHNOLOGY
Cash Payment
E 10141920 -440 Other Contractual Servic
07 -16 -09 SERVICE CALL
$240.00
Invoice 43765
8/11/2009
Cash Payment
E 101 - 41920 -440 Other Contractual Servic
06 -18 -09 SERVICE CALL, RECEPTIONIST
PC
$120.00
Invoice 43765
8/11/2009
Transaction Date
7/28/2009
Wells Fargo 10100
Total
$360.00
Refer 81109 JOHNSON BROTHERS LIQUOR
Cash Payment
E 60949750 -251 Liquor For Resale
CREDIT — LIQUOR
- $135.95
Invoice 427429
8/11/2009
Cash Payment
E 609 -49750 -251 Liquor For Resale
LIQUOR
$252.94
Invoice 1673148
8111/2009
Cash Payment
E 609 -49750 -251 Liquor For Resale
LIQUOR
$485.20
Invoice 1673146
8/11/2009
Cash Payment
E 609 -49750 -253 Wine For Resale
WINE
$670.64
Invoice 1673147
8/11/2009
Cash Payment
E 609 -49750 -251 Liquor For Resale
LIQUOR
$694.00
Invoice 1670211
8/11/2009
Cash Payment
E 60949750 -251 Liquor For Resale
LIQUOR
$450.49
Invoice 1668495
8/11/2009
Cash Payment
E 60949750 -254 Soft Drinks /Mix For Resa
MIX
$32.49
Invoice 1668496
8/11/2009
Cash Payment
E 609 -49750 -253 Wine For Resale
CREDIT —WINE
-$6.67
Invoice 426626
8/11/2009
Cash Payment
E 60949750 -253 Wine For Resale
CREDIT —WINE
- $11.10
Invoice 426625
8/11/2009
Cash Payment
E 60949750 -251 Liquor For Resale
LIQUOR
$262.00
Invoice 1668493
8/11/2009
Cash Payment
E 60949750 -253 Wine For Resale
WINE
$936.94
Invoice 1668494
8/11/2009
Transaction Date
7/28/2009
Wells Fargo 10100
Total
$3,630.98
Refer 81109 JUBILEE FOODS
61
•
-1660-
10
City of Mound 08/06/09 10:39 AM
Page 8
Payments
Current Period: August 2009
Re fer 81109 KILLMER ELECTRIC COMPANY
Cash Payment E 101 -43100 -381 Electric Utilities 5400 SHORELINE LIGHT POLE
Invoice 68743 8/11/2009
$5,763.00
• Transaction Date 7/27/2009 Wells Fargo 10100 Total $5,763.00
Refer 81109 LAKE MANAGEMENT, INC. _
Cash Payment E 101 - 45200 -400 Repairs & Maintenance DUTCH LAKE AQUATIC WEED SPRAYING $70.00
PERMIT
Invoice 28763 -B 8/11/2009
Cash Payment E 101 - 45200 -400 Repairs & Maintenance
Cash Payment
E 609 -49750 -255 Misc Merchandise For R
07 -10 -09 LEMONS AND LIMES
$9.00
Invoice 071009
8/11/2009
Transaction Date 813/2009
Wells Fargo 10100
Cash Payment
E 609 -49750 -255 Misc Merchandise For R
07 -11 -09 LEMONS AND LIMES
$20.00
Invoice 071109
8111/2009
Cash Payment E 101 - 41110 -433 Dues and Subscriptions
#16894 2009 MEMBERSHIP DUES
Cash Payment
E 609 -49750 -255 Misc Merchandise For R
08 -03 -09 CANDY
$8.79
Invoice 081109
8/11/2009
Transaction Date 8/4/2009
Wells Fargo 10100
Cash Payment
E 609 -49750 -255 Misc Merchandise For R
07 -21 -09 LEMONS LIMES
$7.87
Invoice 072109
8/11/2009
Cash Payment E 675 - 49425 -440 Other Contractual Servic
BEACHWOOD POND TRATMENT
Cash Payment
E 101 - 41110 -431 Meeting Expense
PAPER PRODUCTS, WIPES, ETC
$41.72
Invoice 072209
8/11/2009
Transaction Date 8/5/2009
Wells Fargo 10100
Cash Payment
E 609 -49750 -255 Misc Merchandise For R
07 -24 -09 LEMONS LIMES FOR RESALE
$23.00
Invoice 072409
8/1112009
Cash Payment E 101 -45200 -210 Operating Supplies
GASOLINE STORAGE LOCKER
Cash Payment
E 222- 42260 -431 Meeting Expense
07 -17 -09 BOOTS AND BADGES
$28.75
Invoice 071709
8/11/2009
Cash Payment E 101 - 43100 -230 Shop Materials
MISCELLANEOUS SUPPLIES
Cash Payment
G 101 -22803 Police Reserves
07 -18 -09 BEVERAGES, ETC
$33.26
Invoice 071809
8/11/2009
Cash Payment E 601 -49400 -230 Shop Materials
MISCELLANEOUS SUPPLIES
Transaction Date
7/28/2009
Wells Fargo 10100 Total
$172.39
Re fer 81109 KILLMER ELECTRIC COMPANY
Cash Payment E 101 -43100 -381 Electric Utilities 5400 SHORELINE LIGHT POLE
Invoice 68743 8/11/2009
$5,763.00
• Transaction Date 7/27/2009 Wells Fargo 10100 Total $5,763.00
Refer 81109 LAKE MANAGEMENT, INC. _
Cash Payment E 101 - 45200 -400 Repairs & Maintenance DUTCH LAKE AQUATIC WEED SPRAYING $70.00
PERMIT
Invoice 28763 -B 8/11/2009
Cash Payment E 101 - 45200 -400 Repairs & Maintenance
TWO TREATMENTS FOR SEVEN BEACHES
$3,994.00
Invoice 28762 8/11/2009
Transaction Date 813/2009
Wells Fargo 10100
Total
$4,064.00
Refer 81109 LAKE MINNETONKA ASSOCIATION
Cash Payment E 101 - 41110 -433 Dues and Subscriptions
#16894 2009 MEMBERSHIP DUES
$50.00
Invoice 16894 8/11/2009 PO 22200
Transaction Date 8/4/2009
Wells Fargo 10100
Total
$50.00
Refer 81109 LAKE RESTORATION, INC. _
Cash Payment E 675 - 49425 -440 Other Contractual Servic
BEACHWOOD POND TRATMENT
$542.00
Invoice 64096 8/1112009
Transaction Date 8/5/2009
Wells Fargo 10100
Total
$542.00
Refer 81109 LAWSON PRODUCTS, INC
Cash Payment E 101 -45200 -210 Operating Supplies
GASOLINE STORAGE LOCKER
$1,008.59
Invoice 8277866 8/11/2009
Cash Payment E 101 - 43100 -230 Shop Materials
MISCELLANEOUS SUPPLIES
$79.23
Invoice 8295025 -A 8/11/2009
Cash Payment E 601 -49400 -230 Shop Materials
MISCELLANEOUS SUPPLIES
$79.23
Invoice 8295025 -B 8111/2009
Cash Payment E 602 -49450 -230 Shop Materials
MISCELLANEOUS SUPPLIES
$79.24
. Invoice 8295025 -C 8/11/2009
Transaction Date 8/4/2009
Wells Fargo 10100
Total
$1,246.29
Refer 81109 LEAGUE OF MINNESOTA CITIES
-1661-
City of Mound 0 8/06/09 10:39 AM
Page 9
Payments
Current Period: August 2009
Refer 81109 MINNESOTA VALLEY TESTING LA
01
*I
•
W.&M
Cash Payment E 101 -41310 -210 Operating Supplies
2009 DIRECTORY
$52.37
Invoice 081109 8/11/2009
Transaction Date 8/3/2009
Wells Fargo 10100
Total
$52.37
Refer 81109 LOCKRIDGE GRINDAL NAUEN, P L _
Cash Payment E 475 -46386 -300 Professional Srvs
06 -09 FEDERAL RELATIONS
$2,800.00
Invoice 33820 8/11/2009
Cash Payment E 475 -46386 -300 Professional Srvs
06 -09 FEDERAL LOBBYING
$200.00
Invoice 33821 8/1112009
Transaction Date 8/3/2009
Wells Fargo 10100
Total
$3,000.00
Refer 81109 MAINSTREAM SOLUTIONS _
Cash Payment E 222 -42260 -300 Professional Srvs
08 -09 SPAM VIRUS FILTERING
$37.50
Invoice 1140 -14788 8/11/2009
Cash Payment E 101 - 42110 -400 Repairs & Maintenance
08 -09 SPAM VIRUS FILTERING
$37.50
Invoice 1140 -14788 8/11/2009
Transaction Date 8/3/2009
Wells Fargo 10100
Total
$75.00
Refer � MARK Vll DISTRIBUTOR
Cash Payment E 609 -49750 -252 Beer For Resale
BEER
$1,949.37
Invoice 492082 8/11/2009
Cash Payment E 609 -49750 -254 Soft Drinks /Mix For Resa MIX
$71.00
Invoice 492084 8/11/2009
Cash Payment E 609 -49750 -252 Beer For Resale
BEER
$43.50
Invoice 492083 8/11/2009
Cash Payment E 609 -49750 -252 Beer For Resale
BEER
$44.00
Invoice 494760 8/11/2009
Cash Payment E 609 -49750 -252 Beer For Resale
BEER
$5,633.57
Invoice 494759 8/11/2009
Transaction Date 8/3/2009
Wells Fargo 10100
Total
$7,741.44
Refer 8f109� MIDWEST ASPHALT CORPORA TIO
Cash Payment E 101 -43100 -224 Street Maint Materials
07 -23 -09 SAND MIX
$594.59
Invoice 100764MB 8/11/2009
Transaction Date 8/5/2009
Wells Fargo 10100
Total
$594.59
Refer 81109 MINNEHAHA BUILDING MAWTENA
Cash Payment E 609 - 49750 -400 Repairs & Maintenance
07 -09 WASH WINDOWS
$64.97
Invoice 921061674 8/11/2009
Transaction Date 8/3/2009
Wells Fargo 10100
Total
$64,97
Refer 81109 MINNESOTA BUILDING PERMIT TE _
Cash Payment E 101 - 42400 -434 Conference & Training
10 -29 -09 SEMINAR, NORLANDER
$80.00
Invoice 081109 8/11/2009 PO 21474
Transaction Date 8/3/2009
Wells Fargo 10100
Total
$80.00
Refer 81109 MINNESOTA ROADWAYS COMPA�
Cash Payment E 101 -43100 -224 Street Maint Materials
ASPHALT EMULSION
$544.58'
Invoice 59622 8/11/2009
Cash Payment E 10143100 -224 Street Maint Materials
ASPHALT EMULSION
$531.92
Invoice 59543 8/11/2009
Transaction Date 7/27/2009
Wells Fargo 10100
Total
$1,076.50
Refer 81109 MINNESOTA VALLEY TESTING LA
01
*I
•
W.&M
City of Mound 08/06/0910:39 AM
Page 10
Payments
Current Period: August 2009
Cash Payment E 60149400470 Water Samples COLIFORM, MF -WATER $77.50
Invoice 454156 8/11/2009
Transaction Date 7/27/2009 Wells Fargo 10100 Total $77.50
Refer 81109 MNSPECT
Cash Payment
Invoice 081109
Cash Payment
Invoice 081109
Cash Payment
Invoice 081109
Cash Payment
Invoice 081109
E 101 -42400 -308 Building Inspection Fees
8111/2009
E 101 -42400 -308 Building Inspection Fees
8/11/2009
R 101 -42000 -32220 Electrical Permit Fee
8/11/2009
G 101 -20800 Due to Other Governments
8/11/2009
07 -09 BUILDING INSPECTIONS $5,572.33
07 -09 RENTAL INSPECTIONS
$15.00
07 -09 ELECTRICAL PERMITS
- $225.40
07 -09 ELECTRICAL SURCHARGE
-$5.00
Transaction Date 8/4/2009 Wells Fargo 10100 Total $5,356.93
Refer 81109 MUNICIPAL EMERGENCY SERVIC
Cash Payment E222-42260-210 Operating Supplies CUTTERS EDGE BULLET CHAIN
Invoice 00112081 8/11/2009 PO 21624
$534.94
Transaction Date 7/2812009 Wells Fargo 10100 Total $534.94
Refer 81109 NAPA GU1NE PARTS COMPANY _
Cash Payment E 101 - 45200 -404 Machinery/Equip Repairs WIPER BLADES $18.79
Invoice 0028175 8/11/2009
Transaction Date 7/31/2009 Wells Fargo • 10100 Total $18.79
Refer 81109 NELSON ELECTRIC MOTOR REPAI
Cash Payment E 602 - 49450 -440 Other Contractual Servic CHANGE THERMAL UNITS PUMP #2 $244.89
Invoice 3609 8/11/2009
Transaction Date 7/27/2009 Wells Fargo 10100 Total $244.89
Refer 81109 NEWMAN SIGNS
Cash Payment E 101 -43100 -226 Sign Repair Materials CLEAR ROLLS $480.69
Invoice TI- 0210742 8/11/2009
� 0
Transaction Date 8/5/2009 Wells Fargo 10100 Total $480.69
Refer 81109 NORTHERN WATER WORKS SUPP _
Cash Payment E 601 -49400 -220 Repair/Maint Supply METERS (10) $1,221.52
Invoice S01206595.001. 8/11/2009
Transaction Date 7/27/2009
Refer 81109 OFFICE DEPOT
Cash Payment E 101 -41110 -200 Office Supplies
Invoice 482063019001 -A 8/11/2009 P021652
Cash Payment E 10141310 -200 Office Supplies
Invoice 482063019001 -B 8/11/2009 P021652
Cash Payment E 101 -41500 -200 Office Supplies
Invoice 482063019001 -C 8111/2009 P021652
Cash Payment E 101 - 42400 -200 Office Supplies
Invoice 482063019001 -D 8/11/2009 PO 21652
Cash Payment E 101 -45200 -200 Office Supplies
Invoice 482063019001 -E 8/11/2009 PO 21652
Cash Payment E 101 -43100 -200 Office Supplies
Invoice 482063019001 -F 8/11/2009 PO 21652
Wells Fargo 10100 Total
$1,221.52
MISCELLANEOUS OFFICE SUPPLIES
$5.23
MISCELLANEOUS OFFICE SUPPLIES
$14.83
MISCELLANEOUS OFFICE SUPPLIES
$20.06
MISCELLANEOUS OFFICE SUPPLIES
$11.34
MISCELLANEOUS OFFICE SUPPLIES
$8.72
MISCELLANEOUS OFFICE SUPPLIES
$6.11
-1663-
City of Mound 08/06/09 10:39 AM
Page 11
Payments •
Current Period: August 2009
yg 5y S
Cash Payment E 60949750 -200 Office Supplies MISCELLANEOUS OFFICE SUPPLIES
$5.24
Invoice 482063019001 -G 8/11/2009 PO 21652
Cash Payment E 60149400 -200 Office Supplies MISCELLANEOUS OFFICE SUPPLIES
$7.85
Invoice 482063019001 -H 8/11/2009 P021652
Cash Payment E 602 - 49450 -200 Office Supplies MISCELLANEOUS OFFICE SUPPLIES
$7.85
Invoice 482063019001 -1 8/11/2009 PO 21652
Transaction Date 8/4/2009 Wells Fargo 10100 Total
$87.23
Refer 81109 PAUSTIS AND SONS WINE COMPA _
Cash Payment E 609 -49750 -253 Wine For Resale WINE
$161.00
Invoice 8229994 -A 8/11/2009
Cash Payment E 609 -49750 -265 Freight 08 -03 -09 DELIVERY CHARGE
$5.25
Invoice 8229994 -B 8/11/2009
Cash Payment E 609 -49750 -253 Wine For Resale WINE
$458.00
Invoice 8229841 -A 8/11/2009
Cash Payment E 609 -49750 -265 Freight 07 -30-09 DELIVERY CHARGE
$8.75
Invoice 8229841 -B 8/11/2009
Cash Payment E 60949750 -253 Wine For Resale WINE
$0.00
Invoice 8229836 8/11/2009
Cash Payment E 609 -49750 -253 Wine For Resale WINE
$1,395.00
Invoice 8229373 -A 8/11/2009
Cash Payment E 609 -49750 -265 Freight 07 -27 -09 DELIVERY CHARGE
$31.25 •
Invoice 8229373 -B 8/11/2009
Transaction Date 8/3/2009 Wells Fargo 10100 Total
$2,059.25
Refer 81109 PHILLIPS WINE AND SPIRITS, INC _
Cash Payment E 60949750 -254 Soft Drinks/Mix For Resa CREDIT —MIX
- $18.00
Invoice 3416743 8/1112009
Cash Payment E 60949750 -254 Soft Drinks /Mix For Resa CREDIT —MIX
- $26.68
Invoice 3416742 8/11/2009
Cash Payment E 609 -49750 -254 Soft Drinks /Mix For Resa CREDIT —MIX
- $19.98
Invoice 3416741 8/11/2009
Cash Payment E 609 -49750 -254 Soft Drinks /Mix For Resa CREDIT —MIX
- $26.64
Invoice 3416740 8/11/2009
Cash Payment E 609 -49750 -254 Soft Drinks /Mix For Resa CREDIT —MIX
- $19.98
Invoice 3416739 8/11/2009
Cash Payment E 609 -49750 -254 Soft Drinks /Mix For Resa CREDIT —MIX
-$9.99
Invoice 3416738 8/11/2009
Cash Payment E 60949750 -254 Soft Drinks /Mix For Resa CREDIT —MIX
-$9.99
Invoice 3416737 8/11/2009
Cash Payment E 609 -49750 -253 Wine For Resale WINE
$455.15
Invoice 2787544 8/11/2009
Cash Payment E 609 -49750 -251 Liquor For Resale LIQUOR
$104.20
Invoice 2787543 8/11/2009
Cash Payment E 609 -49750 -253 Wine For Resale WINE
$48.00
Invoice 2787545 8/11/2009
Cash Payment E 609 -49750 -253 Wine For Resale CREDIT —MIX
- $26.68
Invoice 3416736 8/11/2009
•
Cash Payment E 609 -49750 -255 Misc Merchandise For R CREDIT — MERCHANDISE
-$3.33
Invoice 3416735 8/11/2009
-1664-
19
City of Mound 08/06/09 10:39 AM
Page 12
Payments
Current Period: August 2009
El
=00a . 1mrilwatuagnmgr 6 lawgwjmmmlI MMONWASS M=Kff"
Cash Payment E 609-49750-251 Liquor For Resale LIQUOR $3,495.95
Invoice 2783976 8/11/2009
Cash Payment E 609-49750-253 Wine For Resale WINE $516.30
Invoice 2783977 8/11/2009
Transaction Date
7/28/2009
Wells Fargo 10100 Total
$4,458.33
Refer 81109 QUALITY WINE AND SPIRITS
Cash Payment
E 60949750-251 Liquor For Resale
LIQUOR
$1,778.45
Invoice 187408
8/11/2009
Cash Payment
E 60949750-253 Wine For Resale
WINE
$138.00
Invoice 187407
8/11/2009
Cash Payment
E 60949750-251 Liquor For Resale
LIQUOR
$1,641.25
Invoice 185029
8/11/2009
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$775.50
Invoice 185018
8/11/2009
Cash Payment
E 609-49750-255 Misc Merchandise For R
MERCHANDISE
$42.53
Invoice 184959
8/11/2009
Cash Payment
E 609-49750-251 Liquor For Resale
CREDIT—LIQUOR
-$12.12
Invoice 182803-A
8/11/2009
Cash Payment
E 60949750-253 Wine For Resale
CREDIT—WINE
-$55.64
Invoice 182803-B
8/11/2009
Transaction Date
7/28/2009
Wells Fargo 10100 Total
$4,307.97
Refer 81109 RANDrS SANITATION
Cash Payment
E 101-45200-384 Refuse/Garbage Dispose THRU 07-14-09 GARBAGE SERVICE
$181.91
Invoice 081109
8/11/2009
Cash Payment
E 101-41910-384 Refuse/Garbage Dispose THRU 07-14-09 GARBAGE SERVICE
$71.02
Invoice 081109
8/11/2009
Transaction Date
7/28/2009
Wells Fargo 10100 Total
$252.93
Refer 81 109 RMH SERVICES, INCORPORATED
Cash Payment
E 10149999430 Miscellaneous
07-07-09 2313 CHATEAU LANE MOWING
$80.16
Invoice 2946
8/11/2009
Cash Payment
E 101-49999-430 Miscellaneous
07-07-09 5121 DRUMMOND LANE MOWING
$80.16
Invoice 2946
8/11/2009
Cash Payment
E 10149999-430 Miscellaneous
07-17-09 2907 HALSTEAD LANE MOWING
$80.16
Invoice 2950
8/11/2009
Cash Payment
E 101-49999-430 Miscellaneous
07-07-09 5774 BARTLETT BLVD MOWING
$93.52
Invoice 2944-A
8/11/2009
Cash Payment
E 101-49999-430 Miscellaneous
07-07-09 5778 BARTLETT BLVD MOWING
$93.52
Invoice 2944-B
8/11/2009
Cash Payment
E 101-49999-430 Miscellaneous
07-07-09 5782 BARTLETT BLVD MOWING
$93.51
Invoice 2944-C
8/11/2009
Cash Payment
E 101-49999-430 Miscellaneous
07-07-09 5790 BARTLETT BLVD MOWING
$93.51
Invoice 2944-D
8/11/2009
Cash Payment
E 101-49999-430 Miscellaneous
07-17-09 5205 SHORELINE DRIVE MOWING
$213.75
Invoice 2949 8/11/2009
Transaction Date 8/3/2009 Wells Fargo 10100 Total $828.29
Refer 81109 SCHARBER AND SONS
Cash Payment E 101-45200-409 Other Equipment Repair TURN SIGNAL $59.50
Invoice 02-2013180 8/11/2009
off'.T.161Z
City of Mound 08 /06/09 10:39 AM
Page 13
Payments •
Current Period: August 2009
Transaction Date 8/6/2009
Wells Fargo 10100
Total
$59.50
Refer 81109 SCHWAAB, INCORPORATED
Cash Payment E 601 -49400 -200 Office Supplies
STAMP, PRE -INKED
$35.80
Invoice 523787 8/11/2009 PO 20874
Transaction Date 7/31/2009
Wells Fargo 10100
Total
$35.80
Refer 81109 SHANKEN COMMUNICATIONS, INC
Cash Payment E 609 -49750 -255 Misc Merchandise For R
07 -31 -09 PUBLICATION
$15.00
Invoice 326605 8/11/2009
Transaction Date 8/412009
Wells Fargo 10100
Total
$15.00
Refer � 81109 SUPERAMERICA (FIR
Cash Payment E 222 -42260 -212 Motor Fuels
THRU 07 -26 -09 GASOLINE CHARGES
$202.68
Invoice 081109 8/11/2009
Transaction Date 8/4/2009
Wells Fargo 10100
Total
$202.68
Refer 81109 SPEEDWAY SUPERAMERICA (P/W
Cash Payment E 101 -43100 -212 Motor Fuels
THRU 07 -26 -09 GASOLINE CHARGES
$1,284.14
Invoice 081109 8/11/2009
Cash Payment E 601 -49400 -212 Motor Fuels
THRU 07 -26 -09 GASOLINE CHARGES
$1,081.84
Invoice 081109 8/11/2009
Cash Payment E 602 -49450 -212 Motor Fuels
THRU 07 -26 -09 GASOLINE CHARGES
$564.37
Invoice 081109 8/11/2009
•
Transaction Date 8/5/2009
Wells Fargo 10100
Total
$2,930.35
Refer 81109 SPEEDWAY SUPERAMERICA
Cash Payment E 101 -42110 -212 Motor Fuels
THRU 07 -26 -09 GASOLINE CHARGES
$2,738.00
Invoice 081109 8/11/2009
Transaction Date 8/3/2009
Wells Fargo 10100
Total
$2,738.00
Refer 81109 SPRINT WIRELESS (FIRE) _
Cash Payment E 222 -42260 -321 Telephone & Cells
06 -13 -09 THRU 07 -12 -09 CELL PHONES
$73.98
Invoice 617320297 -010 8/11/2009
Transaction Date 7/28/2009
Wells Fargo 10100
Total
$73.98
Refer j 81109�ST. CLOUD STATE UNIVERSITY
Cash Payment E 101 - 41310433 Dues and Subscriptions
MCAA- M0722, #217880 -9175
$100.00
Invoice MCAA -M0722 8/11/2009
Transaction Date 8/3/2009
Wells Fargo 10100
Total
$100.00
Refer 81109�STANCHFIELD, RONALD
Cash Payment E 28145210404 Machinery/Equip Repairs 07 -13 -09 THRU 07 -22 -09 MILEAGE
$24.57
Invoice 081109 8/11/2009
Transaction Date 8/4/2009
Wells Fargo 10100
Total
$24.57
Refer 81109 STAR -WEST CHEVROLET /OLDS
Cash Payment E 101 -45200 -404 Machinery/Equip Repairs #1971 AUTO TRANSMISSION
$2,356.45
Invoice 233230 8/11/2009
Transaction Date 7/28/2009
Wells Fargo 10100
Total
$2,356.45
Refer 81109 STERNE ELECTRIC COMPANY
•
Cash Payment G 601 -16325 Fixed Asset - Distribution Sys PUMPHOUSE RELOCATION
$638.00
Invoice 10263 8/11/2009
Project PWO808
-1666-
City of Mound 08/06/09 10:39 AM
Page 14
• Payments
Current Period: August 2009
I*
Invoice S- 0047929 8/11/2009
Transaction Date 7/28/2009 Wells Fargo 10100 Total $277.78
Refer 81109 TAYLOR, J.J. DISTRIBUTING MINN
Cash Payment
E 609 -49750 -252 Beer For Resale
Cash Payment
E 401 -43109 -500 Capital Outlay FA
2009 STREET IMPROVEMENT PROJECT
$1,893.03
Invoice 10276
8/11/2009
. Project PW0901
E 609 -49750 -252 Beer For Resale
Cash Payment
E 401 -43109 -500 Capital Outlay FA
2009 STREET IMPROVEMENT PROJECT
$207.53
Invoice 10278
8/11/2009
Project PW0901
E 609 -49750 -252 Beer For Resale
Cash Payment
E 401 -43109 -500 Capital Outlay FA
2009 STREET IMPROVEMENT PROJECT
$48.44
Invoice 10279
8/11/2009
Project PW0901
7/28/2009
Transaction Date
8/3/2009
Wells Fargo 10100 Total
$2,787.00
Refer 81109 STREICHER'S
Cash Payment
Cash Payment
E 101 -42110 -218 Clothing and Uniforms
CLOTHING, HAWKS, RAHN
$239.92
Invoice 1645898
8/11/2009 PO 21677
Cash Payment
Transaction Date
7/31/2009
Wells Fargo 10100 Total
$239.92
Refer 81109 SWANSTON EQUIPMENT CORPOR
Cash Payment
Cash Payment
E 101 -43100 -221 Equipment Parts
SPRAY NOZZEL
$277.78
Invoice S- 0047929 8/11/2009
Transaction Date 7/28/2009 Wells Fargo 10100 Total $277.78
Refer 81109 TAYLOR, J.J. DISTRIBUTING MINN
Cash Payment
E 609 -49750 -252 Beer For Resale
BEER
$2,961.70
Invoice 1291160
8/11/2009
Cash Payment
E 609 -49750 -252 Beer For Resale
BEER
$2,877.30
Invoice 1291131
8/11/2009
Cash Payment
E 609 -49750 -252 Beer For Resale
BEER
$87.50
Invoice 954009
8/11/2009
Transaction Date
7/28/2009
Wells Fargo 10100
Total $5,926.50
Refer 81109 THORPE DISTRIBUTING COMPAN
Cash Payment
E 609 -49750 -252 Beer For Resale
BEER
$6,147.90
Invoice 553415
8/11/2009
Cash Payment
E 609 -49750 -252 Beer For Resale
BEER
$243.35
Invoice 553414
8/11/2009
Cash Payment
G 101 -22801 Deposits /Escrow
BEER (FESTIVAL)
$1,718.00
Invoice 551468
8/1112009
Cash Payment
E 609 -49750 -252 Beer For Resale
BEER
$198.00
Invoice 72699
8/11/2009
Cash Payment
E 609 -49750 -251 Liquor For Resale
BEER
$55.75
Invoice 552418 -A
8111/2009
Cash Payment
E 609 -49750 -254 Soft Drinks /Mix For Resa MIX
$20.00
Invoice 552418 -B
8/11/2009
Cash Payment
E 609 -49750 -252 Beer For Resale
BEER
$0.00
Invoice 552419
8/11/2009
Cash Payment
E 609 -49750 -252 Beer For Resale
BEER
$228.00
Invoice 72721
8/11/2009
Cash Payment
E 609 -49750 -252 Beer For Resale
BEER
$6,597.35
Invoice 552420
8/11/2009
Transaction Date
7/28/2009
Wells Fargo 10100
Total $15,208.35
Refer 81109 TRAUX, TODD
COMPUTER INSTALLATION
$160.00
• Cash Payment E 101 -42110 -200 Office Supplies
Invoice 081109
8/11/2009 PO 21690
Transaction Date
8/5/2009
Wells Fargo 10100
Total $160.00
-1667-
City Of Mound 08/06/0910 :39 AM
Page 15
Payments
•
Current Period: August 2009
Refer 81109 TROPHIES BY LINDA _
Cash Payment E 101 - 42110 -430 Miscellaneous PLAQUE, WITTKE
$26.27
Invoice 21078 8/11/2009 PO 21685
Transaction Date 8/5/2009 Wells Fargo 10100 Total
�., � ,,.�.�.- ��__�._�.r�.,
$26.27
Refer 81109� VILLAGE CHEVROLET na. ,, ���,._, �, �. .���..,-
Cash Payment E 60249450 -404 Machinery/Equip Repairs TUBE ASSEMBLY
$20.70
Invoice 185762 8/11/2009
Cash Payment E 10142110 -404 Machinery/Equip Repairs #905 BODY
$28.12
Invoice 187687 -A 8/11/2009
Cash Payment E 10143100 -404 Machinery/Equip Repairs #905 BODY
$22.49
Invoice 187687 -B 8/11/2009
Cash Payment E 60149400 -404 Machinery/Equip Repairs #905 BODY
$22.49
Invoice 187687 -C 8/11/2009
Cash Payment E 602 -49450 -404 Machinery/Equip Repairs #905 BODY
$22.49
Invoice 187687 -D 8/11/2009
Cash Payment E 67549425404 Machinery/Equip Repairs #905 BODY
$16.87
Invoice 187687 -E 8/11/2009
Transaction Date 8/3/2009 Wells Fargo 10100 Total
$133.16
Refer � 81109 VINOCOPIA, INCORPORATED��
Cash Payment E 60949750 -253 Wine For Resale WINE
$268.00
Invoice 0017283 -A 8/11/2009
•
Cash Payment E 609 -49750 -265 Freight 07 -30 -09 DELIVERY CHARGE
$7.50
Invoice 0017283 -B 8/11/2009
Transaction Date 8/4/2009 Wells Fargo 10100 Total
$275.50
Refer � 81109 WACONIA FORD MERCURY
Cash Payment E 10142110404 Machinery/Equip Repairs #840 MOTOR, THERMOSTAT, SEAL
$343.08
Invoice 25659 8/11/2009
Transaction Date 7/31/2009 Wells Fargo 10100 Total
$343.08
Refer 81109 WIDMER CONSTRUCTION, LLC _
Cash Payment E 401 -43109 -500 Capital Outlay FA 2009 STREET PROJECT STORM SEWER
$580.00
Invoice 2605 8/11/2009 Project PW0901
Cash Payment G 602 -16325 Fixed Asset - Distribution Sys 2007 LIFT STATION, SINCLAIR
$1,696.50
Invoice 2604 8/11/2009 Project PW0705
Cash Payment E 675 - 49425440 Other Contractual Servic 07 -06 -09 SHOREWOOD LANE STORM
$2,938.00
SEWER
Invoice 2601 8111/2009
Transaction Date 7/27/2009 Wells Fargo 10100 Total
$5,214.50
Refer 81109 WINE COMPANY ax_Pmn_
Cash Payment E 60949750 -253 Wine For Resale WINE
$296.00
Invoice 222354 -A 8/11/2009
Cash Payment E 609 - 49750 -265 Freight 07 -23 -09 DELIVERY CHARGE
$8.40
Invoice 222354 -B 8/11/2009
Transaction Date 7/28/2009 Wells Fargo 10100 Total
$304.40
Refer 81109 WINE CONNECT _
Cash Payment E 60949750 -340 Advertising 08 -09 MANAGE WEBSITE
$95.12
•
Invoice 287 8/11/2009
Transaction Date 8/4/2009 Wells Fargo 10100 Total
$95.12
El
Refer 81109 WINE MERCHANTS
Current Period: August 2009
Cash Payment
E 609 -49750 -253 Wine For Resale
WINE
$618.00
Invoice 283083
8/11/2009
Cash Payment
G 101 -22801 Deposits /Escrow
WINE (FESTIVAL)
$462.84
Invoice 581448
8/11/2009
Cash Payment
Cash Payment
E 609 -49750 -253 Wine For Resale
WIN
$1,490.50
Invoice 282129
8/1112009
Cash Payment
E 609 -49750 -253 Wine For Resale
Transaction Date
7/28/2009
Wells Fargo 10100
Total $2,571.34
Refer 81109 WINE NEWS INCORPORATED
Cash Payment
Invoice 321233
Transaction Date
E 609 -49750 -255 Misc Merchandise For R 08 -09 PUBLICATION
8/11/2009
7/28/2009
Refer 81109 WIRTZ BEVERAGE (WINE)
City of Mound 08/06/09 10:39 AM
Page 16
Payments
$14.85
Wells Fargo 10100 Total $14.85
Cash Payment
E 609 -49750 -251 Liquor For Resale
LIQUOR
$1,235.38
Invoice 265722
8/11/2009
Cash Payment
E 609 -49750 -254 Soft Drinks /Mix For Resa MIX
$49.70
Invoice 265723
8/11/2009
Cash Payment
E 609 -49750 -254 Soft Drinks /Mix For Resa MIX
$31.37
Invoice 261607
8/11/2009
Cash Payment
E 609 -49750 -253 Wine For Resale
WINE
$119.85
Invoice 262341
8/11/2009
Cash Payment
E 609 -49750 -251 Liquor For Resale
LIQUOR
$360.81
Invoice 261606
8/11/2009
Transaction Date
7/28/2009
Wells Fargo 10100
Total $1,797.11
Refer 81109 WORLD CLASS WINES, INCORPO
Cash Payment
E 609 -49750 -253 Wine For Resale
WINE
$288.00
Invoice 232770 -A
8111/2009
Cash Payment
E 609 -49750 -265 Freight
07 -29 -09 DELIVERY CHARG
$7.00
Invoice 232770 -B
8/11/2009
Transaction Date
8/3/2009
Wells Fargo 10100
Total $295.00
Refer 81109 XCEL ENERGY
Cash Payment E 601 -49400 -381 Electric Utilities 07 -09 #51- 7890142 -3
Invoice 282835890 8/11/2009
$548.30
Transaction Date 8/4/2009 Wells Fargo 10100 Total $548.30
-1669-
City of Mound
Payments
08/06/09 10:39 AM
Page 17
Current Period: August 2009
irk
Fund Summary
10100 Wells Fargo
101 GENERAL FUND
$42,224.89
222 AREA FIRE SERVICES
$1,987.03
281 COMMONS DOCKS FUND
$24.57
401 GENERAL CAPITAL PROJECTS
$2,729.00
475 TIF 1 -3 Mound Harbor Renaissan
$8,524.00
601 WATER FUND
$7,552.37
602 SEWER FUND
$49,558.02
609 MUNICIPAL LIQUOR FUND
$55,892.99
670 RECYCLING FUND
$14,340.21
675 STORM WATER UTILITY FUND
$4,229.89
$187,062.97
Pre - Written Check $0.00
Checks to be Generated by the Compute $187,062.97
Total $187,062.97
01
-1670-
8C> L._TON cam- M I N K, 1 N C®
Consulting Engineers & Surveyors
• 2638 Shadow Lane, Suite 200 • Chaska, MN 55318 -1172
Phone (952) 448 -8838 - Fax (952) 448 -8805
www.bolton- menk.com
August 5, 2009
Ms. Kandis. Hanson, City Manager
City ofMound
5341 Maywood Road
Mound, MN 55364
RE: 2009 Street, Utility and Lift Station Improvement Project
City Project Nos. PW- 09 -01, 09 -02, 09 -04, 09 -06
Pay Request No. 2
Dear Ms. Hanson:
• Please find enclosed Pay Request No. 2 from GMH Asphalt Corporation for work completed on
the 2009 Street, Utility and Lift Station Improvement Project from June 26, 2009 through July
24, 2009.
We have reviewed the contractor's request, verified quantities and recommend payment in the
amount of $740,110.38 to GMH Asphalt Corporation.
Sincerely,
BOLTON & MENK, INC.
Daniel L. Faulkner, P.E.
Mound City Engineer
cc: Carlton Moore, Director of Public Works
Catherine Pausche, Director of Finance
• FAMOUMC121003031Pay EstimatesUr of Recdn, Pay Request Ldoc
DESIGNING FOR A BETTER TOMORROW
Bolton & Menk is an equal opportunity employer
-1671-
DATE: 814/2009
CONTRACTOR'S PAY REQUEST NO. 2 CONTRACTOR GMH Asphalt Corp.
2008 STREET IMPROVEMENTS OWNER City of Mound
CITY PROJECT NOS. PW- 09-01, 09 -02, 09-04, 09-06 ENGINEER Bolton & Menk
13MI PROJECT NO. C12.100303, C12.40420, C12.100481
FOR WORK COMPLETED FROM 6/26/2009 THROUGH 7/24/2009
TOTALAMOUNT BID ............................................................................................................... ............................... $ 4,384,788.34
APPROVEDCHANGE ORDERS .............................................................................. ............................... $
CURRENT CONTRACT AMOUNT ............................................................................ .......:....................... $
TOTAL, COMPLETED WORK TO DATE ..................................................................................... ............................... $
'TOTAL, STORED MATERIALS TO DATE ................................................................................. ............................... $
DEDUCTION FOR STORED MATERIALS USED IN WORK COMPLETED .............................. ............................... $
TOTAL,. COMPLETED WORK & STORED MATERIALS ............................................................. ............................... $
RETAINED PERCENTAGE ( 5% ) ....................................................................... ............................... $
TOTAL AMOUNT OF OTHER DEDUCTIONS ......................................................................... ............................... $
NET AMOUNT DUE TO CONTRACTOR TO DATE .................................................................... ............................... $
TOTAL AMOUNT PAID ON PREVIOUS ESTIMATES ................................................................ ............................... $
4,384,788.34
1,235,935.10
1,235,935.10
61,796.76
1,174,138.35
434,027.97
PAY CONTRACTOR AS ESTIMATE NO. 2 ................................................................................ ............................... $ 740,110.38
Certificate for 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 amount
for the Final Estimate, that the provisions of M. S, 290.92 have been compiled with and that
all claims against me by reason of the Contract have been paid or satisfactorily secured.
Contractor. GMH Asphalt Corporation
9180 Lake Town Road
BY tlC 1'{?U
N TI
Date
CHECKED AND APPROVED AS.TO QUANTITIES AND AMOUNT:
BOLTON & MENK, INC., ENGINEERS, 2638 SHADO V LN, SUITE 200, CHASKA MN 55318
BY ffl— PROJECT ENGINEER
Daniel L. Faulkner Cy
Date /
APPROVED FOR PAYMENT:
Owner. CITY OF MOUND
By
Name Title Date
-1672-
19
1 �
u
August 5, 2009
Consulting Engineers & Surveyors
2638 Shadow Lane, Suite 200 • Chaska, MN 55318 -1172
Phone (952) 448 -8838 - Fax (952) 448 -8805
www.bolton - menk.com
Honorable Mayor and Members of the City Council
City of Mound
5341 Maywood Road
Mound, MN 55364
RE: 2009 Drainage Improvement Project
City Project No. PW -09 -03
Award of Bid
Dear Mayor and Members of the City Council:
1 Nom®
Quotes were initially received for the 2009 Drainage Improvement Project on July 21, 2009.
Only one quote was received in the amount of $58,351.00 which was nearly equal to the
Engineer's estimate of $58,906.50. The Council approved the staff recommendation to reject this
quote and request additional quotes to assure a competitive quote was received. Additional
quotes were received on August 4, 2009. A total of seven quotes were received as shown below.
1.
Schneider Excavating & Grading, Inc.
$46,835.20
2.
G.F. Jedlicki, Inc.
$49,557.00
3.
Sunram Construction, Inc.
$49,978.40
4.
Burns Excavating, Inc.
$51,398.45
5.
Wuetherich Drainage
$56,796.22
6.
Dobozenski & Sons
$63,181.40
7.
Minger Construction
$68,045.15
The low quote is $11,516 (20 percent) less than the previously received quote. We feel this is a
good quote as evidenced by the range of quotes received and from checking/comparing all the
unit prices.
Schneider Excavating & Grading is out of Norwood Young America and has successfully
completed similar work in other area communities which Bolton & Menk staff has observed. We
recommend award of the project to Schneider Excavating & Grading, Inc. in the amount of
$46,835.20. A resolution is attached for your consideration, recommending award of this
project.
Sincerely,
BOLTON E
Daniel L. Faulkner, P. E.
City Engineer
MMOUMC 121008MCORRESUr of Rec,Aug 5, Award of Contract.doc
DESIGNING FOR A BETTER TOMORROW
Bolton & Menk is an equal opportunity employer
-1673-
CITY OF MOUND
RESOLUTION NO. 09 -_ •
RESOLUTION ACCEPTING BID FOR THE 2009 STORM DRAINAGE IMPROVEMENTS
WHEREAS, pursuant to a request for quotes for the 2009 Storm Drainage Improvement Project,
quotes were received, opened and tabulated according to law, and the following quotes were
received complying with the request:
Schneider Excavating & Grading, Inc. $46,835.20
G.F. Jedlicki, Inc.
$49,557.00
Sunram Construction, Inc.
$49,978.40
Burns Excavating, Inc.
$51,398.45
Wuetherich Drainage
$56,796.22
Dobozenski & Sons
$63,181.40
Minger Construction
$68,045.15
AND WHEREAS, it appears that Schneider Excavating & Grading of Norwood Young America,
Minnesota, is the lowest responsible bidder,
NOW, THEREFORE BE IT RESOLVED by the City Council of Mound, Minnesota;
1. The Mayor and City Clerk are hereby authorized and directed to enter into the
attached contract with Schneider Excavating & Grading, Inc. in the name of the City
of Mound for the 2009 Storm Drainage Improvements (Project PW- 09 -03) according
to the plans and specifications therefore approved by the City Council and on file in
the office of the City Clerk
2. The City Clerk is hereby authorized and directed to retain the deposit of the
successful bidder until a contract has been signed.
Adopted by the City Council this 11 day of August, 2009.
Mayor Mark Hanus
Attest: Bonnie Ritter, City Clerk
01
•
-1674-
CITY OF MOUND
RESOLUTION NO. 09-
RESOLUTION APPROVING A PREMISES PERMIT APPLICATION
FOR GAMBLING AT AL & ALMA'S SUPPER CLUB
WHEREAS, the Mohawk Jaycees of Westonka has submitted a Premises Permit
Application for gambling, abiding by the laws of Minnesota governing lawful and rules of
the Gambling Control Board; and
WHEREAS, the local government must adopt a resolution specifically approving or
denying said application; and
NOW, THEREFORE BE IT RESOLVED that the City Council of the City of Mound,
Minnesota, hereby approves a Premises Permit Application submitted by the Mohawk
Jaycees of Westonka, for Al & Alma's Supper Club, for submission to the Gambling
Control Board.
Adopted by the City Council this 11 day of August, 2009.
Mayor Mark Hanus
Attest: Bonnie Ritter, City Clerk
141
-1675-
Minnesota Lawful Gambling giros. Page 1 of
LG214 Prr -micpc Permit A _r _
-_ -' �" ""'"'� ' "••'•'� �j4V35VQ LOW If r+ 1111luai ree .10
FOR BOARD USE ONLY
$1Check
Or
Organization In
g formation.
1. Organization name DW License number
--�K
2. Chief executive officer ( CEO) l 1 \l Cth S C�Q'!ier -- � Daytime phone ( P 1 237
3. Gambling manager _ rr I U ( A V\ (3 V-sc d V Daytime phone � " µ�3 00 t -e
Gambling Premises Information
4. Current name of site where gambling will be conducted L Ct �}L 01
5. List any previous names for this location
6. Street address where premises is located
(Do not use a P.O. box number or mailing address)
7. City I Township, County Zip code
/gnu n 0 l R 14,e Pr�c P) P] 04
8. Does your or nization own the building where the gambling will be conducted?
No If
- UYes , no, attach LG21.5 Lease for Lawful Gambling Activity
9. Is any other organization conducting gambling at this site? Elyes ,9No 0 Don't know
10. Has your organization previously conducted gambling at this site? ayes $No
Gambling Bank Account Information (must be In Minnesota)
11. Bank name Cmv1 Bank account number
12. Bank street address City State Zip code
ova` c) comyv\erce gt , /d MN g573 0 -
All Temporary and Permanent Off -site Storage Spaces
for gambling equipment and records related to this site - must be stored in Minnesota
13. Address (Do not use a P.O. box number) City State Zip code
c e- MN
MN
Bingo Occasions (including bar bingo)
14. Enter day and beginning /ending hours of bingo occasions (A.M. or P.M.). An occasion may not exceed 8 hours.
Day Beginning /Ending Hours. Day Beginning /Ending Hours
t0_
(� � I to
!--� to I _ to
to
to
to
Reset Form P
*I
-1676-
I*
16
0
Mir
r. Page 1 of 2 7/09
�►.V*Uta Lawful Gam" 1ng
Application fee
_G220 Application for Exempt Permit
If app lication n or received
less than 30 days
before the event
more than 30 days
before the event
An exempt permit may be issued to a nonprofit organization that:
- conducts lawful gambling on five or fewer days, and
$100
$50
- awards less than $50,000 in prizes during a calendar year.
ORGANIZATION INFORMATION Check # , $
Orqanizati nam Previous gambling permit number
1 1 ` l e a i i1 kr -
Type of nonprofit organize lon. Check one.
0 Fraternal ❑❑ Religious rnVeterans Other nonprofit organization
Mailing address City State Zip Code ount_ �\
n
a570 Com A lv(�- MA) 553 q
Na
of chief executive officer (CEO) Daytime phone number Email address
NAU-IT
Attach a copy ofDa the following for proof of nonprofit status. Check one.
Do not attach a sales tax exempt status or federal ID employer numbers as they are not proof of nonprofit status.
[—E ]]Nonprofit Articles of Incorporation OR a current Certificate of Good Standing.
Don't have a copy? This certificate must be obtained each year from:
Secretary of State, Business Services Div., 180 State Office Building, St. Paul, MN 55155 Phone: 651 - 296 -2803
fff IRS income tax exemption [501(c)] letter in your organization's name.
Don't have a copy? To obtain a copy of your federal income tax exempt letter, have an organization officer
contact the IRS at 877 - 829 -5500.
❑❑ IRS - Affiliate of national, statewide, or international parent nonprofit organization (charter)
If your organization falls under a parent organization, attach copies of b oth of the following:
a. IRS letter showing your parent organization is a nonprofit 501(c) organization with a group ruling, and
b. the charter or letter from your parent organization recognizing your organization as a subordinate.
IRS - proof previously submitted to Gambling Control Board
from the IRS, is required.
If you previously submitted proof of nonprofit status no attachment
GAMBLING PREMISES INFORMATION
Na`m'j_pff promises where gambling activity will be conducted (for raffles, list the site where the drawing will take place)
�'e- yj t kT5 f O CD7Yi ma rce-
Address (do not use PO box) City C91I Y`(A,A ip Code - County Dye
Date(s) of activity (for raffles, indicate the date of the drawing)
d (90 0
Check the box or boxes that indicate the type of gambling activity your organization will conduct:
❑ Bingo* Raffles ❑Paddlewheels* ❑Pull -Tabs* ❑ Tipboards*
* Gambling equipment for pull -tabs, bingo paper, tipboards, and Also complete
paddlewheels must be obtained from a distributor licensed by the page 2 of this form.
Gambling Control Board. EXCEPTION: Bingo hard cards and bingo
number selection devices may be borrowed from another organization
authorized to conduct bingo. t=11i In l?'ant l•arr
To find a licensed distributor, go to www.gcb.state.mn.us and dick on List Res?rtn
of Licensed Distributors, or call 651 - 639 -4076.
h
-1677-
LG220 Application for Exempt Permit
Page 2 of 2 7/09
LOCAL UNIT OF GOVERNMENT ACKNOWLEDGMENT
If the gambling premises is within city limits,
If the gambling premises is located in a township, a
a city official must check the action that the city is
county official must check the action that the county is taking
taking on this application and sign the application.
on this application and sign the application.
A township official Is not required to sign the application.
_The application is acknowledged with no waiting period.
The application is acknowledged with no waiting period.
The application is acknowledged with a 30 day waiting
The application is acknowledged with a 30 day waiting
period, and allows the Board to issue a permit after 30
period, and allows the Board to issue a permit after 30
days (60 days for a 1st class city).
days.
_The application is denied.
The application is denied.
Print city name
Print county name
On behalf of the county, l acknowledge this application.
On behalf of the city, /acknowledge this application.
Signature of county official receiving application
Signature of city official receiving application
Title Date
(Optional) TOWNSHIP: On behalf of the township, I
Title Date / /
acknowledge that the organization is applying for exempted gambling
activity within township limits. [A township has no statutory authority
to approve or deny an application [Minnesota Statute 349.166)]
Print township name
Signature of township official acknowledging application
Title Date 1 I
CHIEF EXECUTIVE O:FFiCER'S SIGNATURE
The information provided in this application is complete and accurate to the best of my knowledge. ! acknowledge that the
financial report will be completed and returned to the Board within 30 days of the date of our gambling activity.
Chief executive officer's signature Date
Complete a separate application for each gambing activity:
Financial report and recordkeeping required
- one day of gambling activity,
A financial report form and instructions will be sent with
- two or more consecutive days of gambling activity,
your permit, or use the online fill -in form available at
- each day a raffle drawing is held
www.gcb.state.mn.us. Within 30 days of the activity date,
Send application with:
complete and return the financial report form to the
- a copy of your proof of nonprofit status, and
Gambling Control Board.
- application fee for each event.
Questions?
Make check payable to "State of Minnesota."
Call the Licensing Section of the Gambling Control
To: Gambling Control Board
Board at 651 - 639 -4076.
1711 West County Road B, Suite 300 South
Roseville, MN 55113iil
ft1 S#i Print: for[ri' Rese# Farrn
Data privacy. This form will be made available
In alternative format (i.e. large print, Braille)
upon request. The information requested on
this form (and any attachments) will be used by
the Gambling Control Board (Board) to
determine your qualifications to be involved in
lawful gambling activities in Minnesota. You
have the right to refuse to supply the
information requested; however, if you refuse to
supply this information, the Board may not be
able to determine your qualifications and, as a
consequence, may refuse to issue you a permit.
If you supply the information requested,
the Board will be able to process your
application. Your name and and your
organization's name and address will be public
Information when received by the Board. All
the other information you provide will be private
data until the Board issues your permit. When
the Board issues your permit, all of the
information provided to the Board will become
public. If the Board does not issue a permit, all
Information provided remains private, with the
exception of your name and your organization's
name and address which will remain public.
Private data are available to: Board members,
Board staff whose work requires access to the
information; Minnesota's Department of Public
Safety; Attorney General; Commissioners of
Administration, Finance, and Revenue;
Legislative Auditor, national and international
gambling regulatory agencies; anyone pursuant
to court order, other individuals and agencies
that are specifically authorized by state or
federal law to have access to the information;
individuals and agencies for which law or legal
order authorizes a new use or sharing of
information after this Notice was given; and
anyone with your consent.
*I
01
•
-1678-
I*
MEMORANDUM
Date: August 6, 2009
To: Mound Housing and Redevelopment Authority Board Members
and Mound City Council Members
From: Catherine Pausche
Finance Director
Subject: Request for decertification of Tax Increment District 1 -1
BACKGROUND
Tax Increment District 1 -1, also known as the Town Square Tax Increment District and/or
the Commerce Square Tax Increment District was created in 1985. According to the plan,
100 percent of the captured tax increment was to be used to pay debt service on bonds
issued for the Town Square development.
The bonds and all costs related to the bonds have now been fully paid. Consequently, there
is no further use for which the tax increment can be can be expended.
• RECOMMENDATION
We recommend approving the attached resolution that call for: (i) staff be directed to
request the county auditor to decertify Tax Increment District 1 -1 immediately upon receipt
of the request; and (ii) that any tax increment receipts currently in the hands of the City be
returned to the county auditor for redistribution in accordance with the Tax Increment Act.
Please let me know if you have any questions on this matter at (952)472 -0633 or via email
at CatherinePausche gcityofmound.com
•
Thank you for your consideration in this matter.
Error! Unknown document property name.
-1679-
CITY OF MOUND •
RESOLUTION NO. 09-
RESOLUTION AUTHORIZING DECERTIFICATION OF
TOWN SQUARE TIF DISTRICT 1 -1
WHEREAS, Town Square Tax Increment District 1 -1 was created in 1985 to help
finance redevelopment in Downtown Mound; and
WHEREAS, the TIF Plan called for 100 percent of the captured tax increment to be
used to pay debt service on bonds issued for the Town Square Development; and
WHEREAS, the City's obligations as they relate to Town Square TIF District have been
satisfied; and
NOW THEREFORE, BE IT RESOLVED that the City Council of the City of Mound,
Minnesota, hereby authorizes the City Manager to request the County Auditor to
decertify the Town Square TIF District 1 -1 immediately and return any unused funds to
the County for redistribution in accordance with the Tax Increment Act.
Adopted by the City Council this 11 day of August, 2009.
Mayor Mark Hanus
Attest: Bonnie Ritter, City Clerk
•
July 24, 2009
Ms. Kandis Hanson
City Manager
City of Mound
5342 Maywood Rd.
Mound, MN 55364
Dear Ms.Hanson,
I am a resident of Mound and the current Treasurer of the Whitehawks Youth
Baseball Association (WYBA). WYBA is an unincorporated organization that for
many years has provided opportunities for 13 through 15 -year olds who reside in
the Mound Westonka School District to play on traveling baseball teams in the
summer.
WYBA is growing rapidly and this year 75 kids are playing on six traveling
teams sponsored by the association. As in past years, many of these kids reside
in Mound. WYBA places all players who register on a team (i.e., no players are
cut) and grants need based scholarships to players.
Historically, WYBA has relied exclusively on private funding to finance its
operations. All funds raised by WYBA are used to pay operating costs, including
equipment, insurance, field rental fees, umpire fees, uniforms, and tournament
and league registration fees.
WYBA teams use the WRA fields located on County Road 110 as their home field.
The WRA fields are owned and operated by the Westonka Recreational
Association, a local non -profit organization. This year the WRA fields are home
to 58 school and community softball and baseball teams. WYBA is working with
WRA on a five year program to improve the quality, usefulness and
attractiveness of the WRA facilities.
Last year, WYBA raised over $7,500 through a combination of six car washes by
WYBA players and charitable contributions from local organizations and
individuals. Those funds were used to purchase two pitching machines and
accessories, including inexpensive frames and netting (which were assembled
and installed by WYBA parents).
This year WYBA received permission from the WRA Board of Directors to install
two permanent batting cages on the WRA fields, and is undertaking an initiative
to raise money to construct those cages. Installation of permanent high quality
batting cages will greatly enhance players' skills and enjoyment. It will also
improve the appearance of the fields.
lie
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Page 2 •
I am writing to request assistance in the way of a grant from the City of Mound
in accomplishing this goal. The cost of these cages is approximately $14,000.
WYBA's annual operating budget is approximately $17,000, the great majority of
which comes from player registration fees. In difficult economic times such as
these, it becomes increasingly difficult to raise money from private sources. In
addition, the need for assistance to enable players to participate has increased
sharply. The number of need based scholarships granted by WYBA increased
almost 50% in 2009.
The WRA fields and surrounding park land are a wonderful community asset and
a source of pride. They provide recreational enjoyment for hundreds of Mound
kids and adults each year. The WRA fields border the new bike trail and are a
very prominent and aesthetically attractive feature in our community; and they
draw thousands of out of town visitors to our area each spring and summer.
It takes a tremendous amount of help from volunteers, users and donors to
maintain and optimize the use of the WRA facilities. We hope the, City of Mound
will assist in that effort. We have already received a favorable reply to our
request from the City of Minnetrista. While they are willing to help with a
portion of the funding, we still need additional support to make our project •
happen. Please give consideration to helping us achieve our 2009 goal of
upgrading the WRA facilities by adding two permanent batting cages.
We will follow up with you shortly with a copy of our specifications for the
project. In the meantime, let me know if you would like to discuss this matter
(ph. (612) 990 -3331; kathve396 @yahoo.com ) Also, please feel free to contact Dr.
James Byers, who is the Chairman of the Board of WRA (ph. 952 - 472 -3434;
byerschiro @yahoo.com ). Thank you for your consideration.
Sincerely,
Kathy Erickson
Treasurer, Whitehawks Youth Baseball Association
cc: Jim Fackler, Parks Superintendent
Mike Seats, WYBA President
Bill Sjoquist, WYBA Vice President
Pam Robinett, WYBA Field Coordinator; WRA Board member
Ginny Kunz, WYBA Fundraising Co -Chair
Sarah Sjoquist, WYBA Fundraising Co -Chair
Dr. James Byers, WRA Chair
01
-1682-
• MEMORANDUM
To: City Manager Kandis Hanson
From: Police Chief Jim Kurtz
Date: July 22, 2009
Subject: Request for Council Action
On July 14, 2009, Mr. Cory Treb, dba "Cory's Oak Hill Landscaping & Tree Service
applied for and received a Tree Removal and Treatment License to conduct business in
the City of Mound.
On July 17, 2009, the Mound Police Department received a complaint alleging Cory's
Oak Hill Landscaping & Tree Service defrauded a 94 year -old resident who suffers from
dementia. According to investigators, Treb charged the woman $3,500 to trim trees and
she wrote a check directly to him. The Police Department learned the trimming service
provided by Treb and Cory's Oak Hill Landscaping & Tree Service should not have cost
more than $500. When investigators interviewed the woman they found her to be very
frail and confused and she did not remember writing the check.
During the investigation, the Police Department learned Cory's Oak Hill Landscaping &
• Tree Service had conducted "door -to- door" solicitation for their tree trimming business
without a solicitor's license, in violation of City Ordinance. Further, the Police
Department learned Cory's Oak Hill Landscaping & Tree Service conducted tree
removal business prior to receiving their license, which is also in violation of City
Ordinance.
The Police Department and other City Staff members have made numerous attempts to
contact Mr. Treb regarding the alleged fraud and insurance certification, but he does not
answer his phone or return calls.
Due to the past City Ordinance violations, the criminal fraud investigation, and
questionable business practices, the Police Department is requesting that the City
Council revoke the Tree Removal and Treatment License held by Cory's Oak Hill
Landscaping & Tree Service.
•
-1683-
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5341 MAYWOOD ROAD
MOUND, MINNESOTA 55364
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MOUND CITY COUNCIL MINUTES
JULY 28, 2009
The City Council of the City of Mound, Hennepin County, Minnesota, met in regular
session on Tuesday, July 28, 2009 at 7:30 p.m. in the council chambers of city hall.
Members present: Mayor Mark Hanus; Councilmembers Heidi Gesch and Ray Salazar.
Members absent: Councilmember David Osmek and Greg Skinner
Others present: City Manager Kandis Hanson, City Clerk Bonnie Ritter, Dick Woodruff,
Alex Wells, Noah Ryks, Travis Bodine, Sandy Rauschendorfer, Hannah Wells.
Consent agenda: All items listed under the Consent Agenda are considered to be
routine in nature by the Council. There will be no separate discussion on these items
unless a Councilmember or citizen so requests, in which event it will be removed from
the Consent Agenda and considered in normal sequence.
1. Call meeting to order
Mayor Hanus called the meeting to order at 7:30 p.m.
2. Pledge of Allegiance
3. Approve agenda
Hanus requested the addition of item 5F, Agreement for lease of election equipment to
the school district. Hanson requested the deletion of Item 5C, the addition of Item 5G,
Resolution Accepting Bid for the Historic Well House Exterior Improvements, and the
addition of Item 9E, Federal legislation.
MOTION by Salazar, seconded by Gesch to approve the agenda as amended. All voted
in favor. Motion carried.
4. Action on Resolution Proclaiming August 13, 2009 as "Kids Corp Day
MOTION by Salazar, seconded by Gesch to adopt the following resolution. All voted in
favor. Motion carried.
RESOLUTION NO. 09 -52: RESOLUTION PROCLAIMING AUGUST 13, 2009 AS
KIDS CORE DAY
Mayor Hanus read the resolution aloud and presented it to the representatives present
from Westonka Kids Core.
5. Consent agenda
MOTION by Gesch, seconded by Salazar to approve the consent agenda as amended.
Upon roll call vote, all voted in favor. Motion carried.
A. Approve payment of claims in the amount of $844,338.76
B. RESOLUTION NO. 09 -53: RESOLUTION REJECTING QUOTES &
AUTHORIZING RECEIPT OF NEW QUOTES FOR THE 2009 DRAINAGE
• IMPROVEMENT PROJECT (PW- 09 -03)
C. (removed)
-1685-
Mound City Council Minutes — July 28, 2009
D. ORDINANCE NO. 04 -2009: ORDINANCE AMENDING CHAPTER XII OF
THE CITY CODE AS IT RELATES TO ADMINISTRATIVE OFFENSES
RESOLUTION NO. 09 -54: RESOLUTION ADOPTING PENALTIES FOR
NON - TRAFFIC ADMINSTRATIVE OFFENSES WITHIN THE CITY OF
MOUND
E. Approve permits for Our Lady of the Lake Catholic Church for the 2009
Incredible Festival
1. Temporary On -sale 3.2 Malt Liquor
2. Public Dance /Live Music with fee waived
3. Minnesota Lawful Gambling
4. Temporary sign permit
F. Approve Agreement No. A052264 with Hennepin County, School District #277,
and the City of Mound for use of election equipment
G. RESOLUTION NO. 09 -55: RESOLUTION ACCEPTING BID FOR THE
HISTORIC WELL PUMP HOUSE EXTERIOR IMPROVEMENTS
6. Comments and suggestions from citizens present on any item not on the
agenda. None were offered.
7. Dick Woodruff, representing LMCC requesting approval of a resolution in
support of application for federal stimulus funding
Dick Woodruff of the Lake Minnetonka Communications informed the Council about the
intent of the LMCC to apply for federal stimulus funding for construction of a fiber -to- •
home network. This network is intended to provide data, video (tv) and telephone
services to all residences and businesses within the 17 cities serviced by LMCC. This
would be a $47 million request if applying for 100 %, or $43.5 if applying for 80% and
bonding for the other 20 %.
Woodruff informed the Council that there would be no cost to the City or to the taxpayers
as a result of the proposed bonding. It will be paid for by users and residents can
choose to use the service or not.
MOTION by Salazar, seconded by Hanus to adopt the following resolution. The following
voted in favor: Salazar and Hanus. The following voted against: Gesch. Motion carried.
RESOLUTION NO. 09 -56: RESOLUTION TO SUPPORT THE LAKE MINNETONKA
COMMUNICATIONS COMMISSION (LMCC) IN ITS APPLICATION FOR FEDERAL
STIMULUS FUNDING FOR CONSTRUCTION OF A FIBER -TO -HOME NETWORK
8. Approve minutes
MOTION by Gesch, seconded by Salazar to approve the minutes of the July 14, 2009
meeting. All voted in favor. Motion carried.
9. Miscellaneous /Correspondence
A. Comments /reports from Councilmembers: none
Mound City Council Minutes — July 28, 2009 •
it -1:1M
10
Mound City Council Minutes — July 28, 2009
B. Reports: Finance Department — June 2009
Investments — June 2009
Bolton & Menk Billings Summary
Senator Klobuchar Transportation Authorization Info
Senator Franken High Priority Request and Congressional
Directed Spending Form -
C. Minutes: None
D. Correspondence: Lake Minnetonka Association — July 17, 2009
E. Correspondence: Federal Legislation Update with Smith memo of 7/28/09
10. Adiourn
MOTION by Hanus, seconded by Salazar to adjourn at 8:17 p.m. All voted in favor.
Motion carried.
Mayor Mark Hanus
10
�e
Attest: Bonnie Ritter, City Clerk
-1687-
CITY OF MOUND - Bolton & Menk, Inc., ENGINEERING PROJECT STATUS •
August 6, 2009
I. 2007 Projects to be completed in 2009
A. 2007 Lift Station Improvements, Sinclair Road (LS B -3) and Baywood Shores
(LS C -3): the contractor, Widmer Construction, has completed work at the
Baywood Shores LS and at the Sinclair LS. Contingent on receiving required
paperwork, final payment will be processed.
B. City of Mound Wellhead Protection Plan: this program is required by the MN
Department of Health (MDH) of all cities with municipal wells and includes
two phases. Emmons & Oliver Resources completed Phase I of the plan in
April of 2008 and it was approved by the MDH on May 29, 2008. BMI has
completed the Phase II portion of the plan and the required Public Hearing
was held on May 12, 2009. The Final Plan was submitted to the MDH on May
29, 2009. A letter dated June 15, 2009 from MDH indicated the Plan was
submitted to the appropriate State agencies for their final 90 -day
review /comment which are due August 10, 2009. The MDH's approval or
disapproval must be completed by September 1, 2009. •
II. 2008 Projects to be completed in 2009
A. 2008 Street Improvement Project: S.M. Hentges has completed all phases of the
project and punch list items will be complete the week of 8/11/09. Additional
work was completed in Philbrook Park consisting of drain tile in the low area to
alleviate a ponding problem. The required public Assessment Hearing will be
scheduled for late September after final costs have been determined and final
payment made.
B. 2008 Lift Station Improvements: this project includes replacement of the Mound
Bay Park lift station (LS E -1) and the Lakewood lift station (LS E -4). The
contractor, Geislinger & Sons, has completed the punch list items and final
payment will now be processed contingent on receiving the required paperwork.
C. Auditors Road Street Extension to CSAH 15 (Shoreline Drive): the contractor,
Ramsey Excavating, has a few punch list items to complete and then final
payment will be processed contingent on receipt of required paperwork.
D. 2008 Storm Drainage Improvements: the contractor, Widmer Construction, has
completed the project. A few punch list items need to be completed and then final
payment will be processed contingent on receipt of required paperwork. •
• M. 2009 Projects:
A. 2009 Street, Utility and Lift Station Improvement Project: a contract in the
amount of $4,384,788.34 was awarded to GMH Asphalt Corporation on April
28, 2009. The award included the bid alternate for concrete replacement on
Island View Drive. The preconstruction meeting was held on May 20, 2009
and clearing /mobilizing began that week. CenterPoint Energy has completed
all replacement of their exiting gas mains and service connections throughout
both the Tonkawood area and Island View Drive. The contractor is limited as
to the amount of area that can be disturbed at one time, before it is
substantially completed. Phase one work began the last week of May and
includes Church Road and all connecting streets to the south of Church Road
and is complete except for sod. Phase II streets, Fern, Belmont, Basswood and
Cedar, are well underway and will be paved by 8/11/09. Phase III watermain
and new stormsewer is complete. This area includes Noble Lane, Overland
Lane, Centerview Lane and Cardinal Lane. Work on Island View Drive began
during the last week of July in the Devon Lane area including setting the new
LS L -1. Other work included concrete removal and placement of class V in
the section from the west end to near Dexter Lane. New curb was placed in
this section on 8/5 and 8/6.
• B. 2009 Drainage Improvement Project: an Engineer's Report was approved at
the June 9, 2009 Council meeting with the addition of a Landscape Plan for
the Commerce Pond. The initial improvements include two sites, both on
existing City -owned property. The first site is east of Commerce Boulevard,
south of Sherwood Drive and north of Indian Knoll Manor. This is an existing
low area and drainage way into Lake Minnetonka. A storm water treatment
pond is proposed in this area. The second site is between Overland Lane and
Centerview Lane in the Tonkawood area. A rain garden is proposed in this
area. A third, and very small site was included on Overland Lane right -of -way
just lakeside of Pike Road consisting of a sand filter in a low area to filter
surface stormwater runoff. Only one contractor quote was received on July
21 The Council approved staff recommendation to reject this quote and
receive additional quotes which did occur on August 4 The low quote of
$46,835, from Schneider Excavating & Grading, Inc. was $11,516 less than
the low quote received on July 21 Award of bid is scheduled for the August
11 Council meeting.
C. City Street Light Replacement: a proposal for federal Economic Stimulus
Package funding was submitted in March for replacement of the City's street
lights on County Roads 110 and 15. The City was informed that the project
has been approved and awarded a grant totaling $630,000. Staff is now
working with a consultant who will prepare final plans and specifications for
the street light replacement project which must be submitted to MNDOT in
40 September for approval.
D. Surface Water Management: this is an ongoing effort which includes updating •
the City's Surface Water Management Plan (S WMP), the annual review and
update of the City's Stormwater Pollution Prevention Plan (SWPPP) and
assisting city staff in compliance with National Pollution Discharge
Elimination System (NPDES) Phase II Permit. The SWMP, which is also
referred to as the LWMP (Local Water Management Plan) was approved by
the MCWD Board on June 18, 2009 along with a revised Memorandum of
Understanding. A maintenance schedule booklet is being prepared to aid City
staff in their required maintenance procedures of storm drainage facilities.
L�
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N&RO Z
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5341 MAYWODUROA6
PH: (952) 472-0600
FAX: (952) 472 -0620
WEB: www.cftyofmound.com
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•
August 5, 2009
Tim Cross
Vice President
PBK Investments
6133 Blue Circle Drive
Suite .150
Minnetonka, MN 55343
RE: Harbor Wine & Spirits water infiltration and withholding of CAM fees
Dear Tim,
On Wednesday, June 3, 2009, City of Mound staff met with representatives of PBK
Investments, Inc at Harbor Wine & Spirits in the Mound Marketplace to address concerns on
the part of the City of Mound.
Of most concern is water infiltration into the basement of the City -owned liquor store and the
deterioration of the building the water has been causing. Accompanying City staff was Marry
Campion of Campion Engineering Services, Inc, who has since provided a professional
recommendation for eliminating the water infiltration. Attached is a letter reporting his
findings. It is the request of the City that the work described is done as soon as possible, since
water continues to infiltrate during certain rain events.
In addition, I am aware your firm contracted for work that extended the sump pump outlet,
with the assumption that doing so would drain water further from the building. A site visit to
the Liquor Store following a rain event will show this measure is inadequate and water does
not make its way around the corner, but rather, falls back against the loading dock. The City
is suggesting two possible solutions: 1) Lengthen the pipe so that it turns the comer to the
drain, or 2) Relocate the drain under the outlet.
A remaining improvement to help eliminate water infiltration would address the low area to
the left of the front door of the Liquor Store. Re- landscaping that area will address two
concerns: 1) It will cause runoff to be directed to the drain in the rear of the building, and 2) It
will improve the area aesthetically, as has been a previous request of the City under the
heading of landscape concerns. Grading to the area should have a diminishing elevation to
the rear right corner, where the grassy area meets the corner of the building, so the water runs
off to the drain located to the rear of the building.
1691— pape
Page . .....Two... _ .. ..................... _ ....... •
Tea... A __�_� f. �1nnn ___._ _ _ ____ _.
Subj: Harbor Wine & Spirits water infiltration and withholding of CAM fees
Of concern to PBK Investments, as expressed by email last month, is the withholding of
Common Area Maintenance (CAM) by the City. To date, the City has withheld four months
of CAM, amounting to $4,793.74, and will continue to do so, until the following items are
addressed:
• Dead or already removed trees and shrubs are replaced according to the original
landscape plan.
• Cleanliness is addressed, with sidewalks and store entries maintained regularly and in
a clean and presentable manner.
• Garbage is emptied daily.
• Broken glass and refuse are cleaned up daily on sidewalks and the parking lot.
I regret there are these issues between the City and PBK Investments, Inc. In our minds, a
relationship exists by two means. First, the City views itself as a partner in the Marketplace
through its contribution of Tax Increment Financing (TIF) and, secondly, as a tenant of the
Center. Staff has enjoyed its relationship with PBK and our working relationship with you,
Tim. It is our hope and our expectation the matters of concern to the City will be resolved as
soon as possible so that we may become current and resume CAM payments to PBK.
Should you wish to meet again or to talk, I invite you to be in contact soon.
Sincerely,
' ao — � C 4���
Kandis Hanson
City Manager
Cc: Mayor and Council
John Colotti, Liquor Manager
Sarah Smith, Community Development Dir
Ray Hanson, Planning/Engineering Tech
Carlton Moore, PW Director
Greg Skinner, Public Works Supt
*I
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-1692-
N
Campion Engineering Services, Inc.
June 24, 2009
Ms. Kandis Hanson
City of Mound
534 Maywood Road
Mound, MN 55364
Re: Harbor Wine & Spirits
CES Project No. 09 -009
Dear Ms. Hanson:
As part of our ongoing efforts to determine how water is infiltrating into the basement of the
Harbor Wine and Spirits Liquor store, city staff and I have investigated a number of possibilities.
Through the course of the investigation, most were dismissed as being unlikely contributors.
The cause of the problem appears to be the settlement of the concrete slab at the rear door.
The settlement causes all water which falls on that area to be funneled to the corner where the
wall of the liquor store meets the wall of the grocery store. To verify that this is the likely
cause, water was poured onto the slab. Almost immediately thereafter, water was observed
running down the basement wall of the liquor store. While this may not be the only source of
the problem, it is likely a major contributor and warrants immediate attention.
If, after the slab is repaired, infiltration continues to be a problem, further investigation will be
necessary.
If you have any questions or comments, I may be reached at (763)479 -5172.
10
Sincerely,
Campion Engineering Services, Inc.
R � c �l
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Martin P. Campion, P.E. Cl 29,2009
yoF
Cc: Ray Hanson, City of Mound M �W t ,, ,
1800 Pioneer Creek Center - PO Box 249 - Maple Plain MN 55359
Phone 763 -479 -5172 - Fax 763 - 479 -4242
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Page 1 of 10
Sarah Smith
From: Gehrman, Emily J. [ejgehrman @locklaw.com] on behalf of McGrann, Dennis M.
[dmmcgrann @locklaw.com]
Sent: Friday, July 31, 2009 2:03 PM
To: Kandis Hanson; Sarah Smith
Subject: Federal Update from Lockridge Grindal Nauen Federal Relations Group
CONGRESS IN ACTION
Health Care: Senate and House Leadership have announced that a final vote on health care
reform will not take place until both Chambers return from their month long August recess on
September 8th; however, work on the legislation is scheduled to continue in the House until the
final hours of session on July 31st. The House Energy and Commerce Committee worked late
into the evening Thursday, July 30 on a massive health care overhaul, dealing with a slew of
amendments over nearly 14 hours as members sought to approve the bill before the House
recesses Friday. The Committee returned to work Friday morning and planned to stay as late as it
took to finish their work. Dozens of amendments are still in play, including one that reflects a
deal Chairman Henry Waxman (D -CA) struck with fiscally conservative Blue Dog Democrats.
Under the deal with the Blue Dogs, the bill's government -run insurance plan would negotiate
payment schedules directly with providers instead of basing payments on Medicare rates. The
additional costs created by that proposal would be offset by reducing the subsidies given to low -
income people for insurance.
Energy and Commerce Committee approval of the bill would leave it with one more stop before
House floor action. The Rules Committee is expected to combine it with the versions of the
legislation already approved by the Ways and Means Committee and the Education and Labor
Committee.
For a full overview of the differences in health care reform proposals please see the article
at the bottom of this update.
Transportation: On Wednesday, July 29 the House passed legislation that would provide $7
billion as a short-term fix for the nearly depleted Highway Trust Fund. The bill (HR 3357) was
passed by 363 -68. It now goes to the Senate, which is expected to clear it before they recess on
August 7 The measure also would extend funding for the Unemployment Insurance Trust Fund
and increase the commitment authority for the Federal Housing Administration's two main
mortgage assistance programs. The House bill initially included only $5 billion to shore up the
highway fund. But the Transportation Department has told Congress that $7 billion is needed to
ensure the trust fund can continue making payments to states through the end of fiscal 2009.
Senate negotiators insisted on the $7 billion total, according to Congressional sources. The
1�
8/3/2009 -1698-
Federal Update — Week of July 27, 2009
Page 2 of 10
money would be transferred to the highway fund from the general fund.
As you may recall, the House and Senate are at odds over the broader reauthorization of highway, bridge
and transit programs. House Transportation and Infrastructure Chairman James L. Oberstar, (D -Ml), is
pushing for action this year on a six -year, $500 billion overhaul of the current law. The Senate and the
White House want to extend the current authorization for 18 months after it expires September 30 th .
Legislation to enact this extension has already passed out of the Senate Environment and Public Works
Committee. The administration plan would require $20 billion to keep the transportation fund solvent
through the l8 -month period, includi n g the`immed ate $7 billion infusion. Otierstarhadhoped to limit
the short-term transfer to $3 billion to maintain pressure for the six -year authorization when lawmakers
return in the fall. But he agreed to accept the $7 billion transfer. The Highway Trust Fund depends
largely on revenue from a federal tax on motor fuels, but the revenue has fallen as motorists respond to
higher fuel prices by driving less and buying more fuel- efficient vehicles. The tax also is not indexed to
inflation, so it has lost ground over the years.
Appropriations: The House passed its fiscal 2010 Defense spending bill Thursday after agreeing to
strip the measure of money for new F -22 fighter jets; however, two other provisions that may provoke a
veto from President Obama remain in the legislation (HR 3326), which passed by a vote of 400 -30.
Overall, the $636.3 billion legislation would provide $3.8 billion less than President Obama requested
and includes $128.3 billion for war operations next year. The measure, the last of 12 annual spending
bills to pass the House, includes $560 million to force the Pentagon to continue pursuing an alternative
engine for the F -35 fighter and $485 million to complete five VH -71 presidential helicopters, or $400
million more than Obama requested.
The Senate Appropriations Committee voted 30 -0, after no debate, to approve a $122 billion spending
bill for transportation and housing programs for fiscal 2010. The panel also approved by voice vote
Thursday a manager's amendment that would make largely technical changes to the Transportation -
HUD spending bill (HR 3288), which is slated for floor debate after the August recess. The legislation,
which funds the Transportation Department and the Department of Housing and Urban Development,
would provide $67.7 billion in discretionary spending, compared with $68.8 billion in the House -passed
version. The two chambers will need to hammer out a compromise on high -speed rail when the bill
eventually goes to conference. The Senate bill would provide $1.2 billion for high -speed rail, roughly in
line with President Obama's requested level of $1 billion. The House legislation would provide a bigger
boost, with $4 billion for high -speed rail grants. Still, the president has commended the House for
including the extra funding. In total, the Federal Railroad Administration would receive $3 billion under
the Senate legislation, including the money for high -speed rail. The bill also would provide $42.5 billion
for the Federal Highway Administration, compared with $41.1 billion in the House bill; $11.1 billion for
the Federal Transit Administration, compared with $10.5 billion in the House bill; and $15.6 billion for
the Federal Aviation Administration, compared with $16 billion in the House measure.
The Senate Appropriations Committee also approved its fiscal 2010 spending bill Thursday for health,
education, and labor programs, making quick work of the $730 billion bill. The measure (HR 3293)
would eliminate funding for abstinence -only sex education programs in favor of a new, $104.5 million
comprehensive "Teen Pregnancy Prevention" program. This echoes the approach the House -passed bill
takes. Appropriators approved the bill by a vote of 29 -1. The bill would allocate $163.1 billion in
discretionary funding, which is $1.6 billion more than President Obama sought, $3.2 billion more than
enacted for fiscal 2009 and $2.1 billion more than in the House - passed version of the bill.
Below is a chart showing the House and Senate's progress on their annual appropriations bills.
10
8/3/2009
-1699-
House
Senate
Approved by
Approved by
Passed
Approved by
Approved
Passed
Subcommittee
Committee
Floor
Subcommittee
by
Floor
Committee
Agriculture
X
X
X
X
X
8/3/2009
-1699-
Page 3of10
MINNESOTA DELEGATION NOTES
Congresswoman Betty McCollum: Representing a huge win for Minnesota Congresswoman Betty
McCollum (D -MD 04) announced a new agreement with House leadership to ensure quality health care
and equitable Medicare reimbursements in the America's Affordable Health Choices Act of 2009 (H.R.
3200). For the full release and agreement click here Please also see the full article from MinnPost
below.
Senator Amy Klobuchar announced that Minnesota will receive over $11.5 million in COPS grants for
local law enforcement to hire additional officers. The funding, a component of the American Recovery
and Reinvestment Act, will allow financially - squeezed police departments to save or create police
officer jobs. Minneapolis will receive funding for 13 officers and St. Paul will receive funding for 28
officers. Other municipalities throughout the state were also awarded funds. For the full release click
here
Senator Amy IGobuchar and U.S. Senator Mel Martinez (R -FL) introduced legislation to help stop
fraud in the U.S. health care system. The National Health Care Anti-Fraud Association estimates that
more than $60 billion in health care costs is lost to fraud each year. The Improving Medicare/Medicaid
Payment Policy for Reimbursement through Oversight and Efficiency (IMPROVE Act) would require
direct depositing of all Medicare and Medicaid payments made to providers. For the full release click
here
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Labor -HHS-
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-HUD
MINNESOTA DELEGATION NOTES
Congresswoman Betty McCollum: Representing a huge win for Minnesota Congresswoman Betty
McCollum (D -MD 04) announced a new agreement with House leadership to ensure quality health care
and equitable Medicare reimbursements in the America's Affordable Health Choices Act of 2009 (H.R.
3200). For the full release and agreement click here Please also see the full article from MinnPost
below.
Senator Amy Klobuchar announced that Minnesota will receive over $11.5 million in COPS grants for
local law enforcement to hire additional officers. The funding, a component of the American Recovery
and Reinvestment Act, will allow financially - squeezed police departments to save or create police
officer jobs. Minneapolis will receive funding for 13 officers and St. Paul will receive funding for 28
officers. Other municipalities throughout the state were also awarded funds. For the full release click
here
Senator Amy IGobuchar and U.S. Senator Mel Martinez (R -FL) introduced legislation to help stop
fraud in the U.S. health care system. The National Health Care Anti-Fraud Association estimates that
more than $60 billion in health care costs is lost to fraud each year. The Improving Medicare/Medicaid
Payment Policy for Reimbursement through Oversight and Efficiency (IMPROVE Act) would require
direct depositing of all Medicare and Medicaid payments made to providers. For the full release click
here
l ei
8/3/2009 -1700-
Page 4 of 10
Senator Al Franken teamed up with Senator Johnny Isakson (R) from Georgia, to introduce the
Franken- Isakson Service Dogs for Veterans Act, a pilot program to provide specially trained canines to
• disabled war veterans. Franken's first legislation had no trouble clearing the Senate 87 -7, after he got it
rolled into a larger Defense Department authorization bill. Assuming the plan makes it through a
conference committee with the House, the pilot program will likely be approved by President Barack
Obama.
Congressman Jim Oberstar (D =MN 08) announced that five counties in Northeast Minnesota will
receive $1.1 million in disaster assistance to help pay for storm damage and flooding that occurred last
spring. A series of storms and floods between March 16th and May 22nd caused millions of dollars in
damage. The resulting federal disaster declaration qualified the state and local governments to apply for
funding from the Federal Emergency Management Agency (FEMA). For the full release click here
Congressman John Kline: For the fourth time in four months, Minnesota Congressman John Kline
(R -MN 02) introduced an amendment that would increase funding for special education through the
Individuals with Disabilities Education Act (IDEA), freeing up resources for schools nationwide. For the
full release click here
Congressman Erik Paulsen: Funding for critical transportation infrastructure projects secured by
Congressman Erik Paulsen (R- MN -03) passed the U.S. House of Representatives today.
Appropriations for the Interstate 94 - Brockton Lange Interchange, the Highway 169 - Interstate 494
Interchange and Highway 610 construction were included as part of the Fiscal Year 2010
Transportation, Housing and Urban Development appropriations bill. For the full release click here
Congressman John Kline (R- MN -02) offered remarks today on the floor of the U.S. House of
• Representatives addressing his concerns with Speaker Nancy Pelosi's health care proposal that would
lead to a government takeover of health care. For the full release and remarks click here
Congresswoman Michele Bachmann (R- MN -06) authored legislation that was passed by the House
on July 30 The legislation was a resolution to support families living with Hydrocephalus and
designate the month of September as "National Hydrocephalus Awareness Month." Bachmann
said in a press release: "Hydrocephalus, or water on the brain, is a medical condition that results
in an abnormal accumulation of cerebrospinal fluid (CSF) in the ventricles, or cavities, of the
brain. Sadly, the prognosis for individuals afflicted with hydrocephalus is difficult predict and
often fatal. More must be done at the community level to educate individual Americans about this
surprisingly prevalent disorder."
COMING SOON
The House plans to recess for the month of August beginning today (July 31st). The Senate will
remain in session until August 7th to finish work on remaining appropriations bills as well as the
full Senate confirmation of Judge Sonia Sotamayor to the United States Supreme Court. Both
Chambers plan to return September 8 th to take up health care reform as well as fmish any
remaining appropriations bills before the end of the Fiscal Year on September 30 th .
LGN ACTION
• dnesday, July 29th, the LGN Federal Relations Group participated in a Minnesota State Society "(
,nversations" with Congressman Erik Paulsen. Congressman Paulsen joined the morning meeting s
-o a small group of representatives from Minnesota companies and interests. The conversation cent.
8/3/2009 -1701-
Page 5of10
[th care reform as well as his responsibilities on the Financial Services Committee. The Minnesota c
will host a series of events with our Delegation and their staff throughout the rest of 2009 called th
iota Forum. The gatherings provide an opportunity for Members of the Congressional Delegation a •
ociety members to interact and discuss public policy issues and initiatives that affect all Minnesotai
ederal Relations Group plans to participate in each of these events.
Below are two articles from MinnPost and the Associated Press that we thought would be of
interest to you regarding healthcare reform.
McCollum announces deal to change health -care payments
By Cynthia Dizikes I Published Fri, Jul 24 2009 4:51 pm
WASHINGTON, D.C. - Rep. Betty McCollum, D- Minn., and House Democratic leaders
announced today that the health -care reform bill will seek to change the Medicare payment
system to reflect quality of care. The agreement, reached in late -hour negotiations Thursday night,
could represent a major victory for states like Minnesota that provide high - quality health care but
get reimbursed at lower rates than states with poor care.
The agreement includes two studies: one that will examine geographic variations in payments and
another that will look at how "value" can be reflected in reimbursement rates, as opposed to the
current system, which rewards number of tests and services.
The goal of the studies will be to create a payment system for Medicare, and any public insurance
plan that is established through the health -care reform bill, that rewards value, according to
McCollum. is
"The agreement today moves us toward a system that will reward high quality and [efficiency] as
opposed to volume," McCollum said this afternoon at a press conference with reporters.
The studies will be conducted by the Institute of Medicine. According to the agreement, the study
looking at geographic adjustment factors will be completed one year after enactment; the study on
rewarding value will be completed by September 2011.
Based on study results, the secretary of Health and Human Services will then implement a new
payment rate and submit the plan to Congress. The bill provides $4 billion in 2012 and 2013 to
make payment -rate adjustments. The agreement specifies that no region will lose money during
2012 and 2013.
The Government Accountability Office and a new independent Medicare advisory board, which
has also been proposed as part of the health care reform bill, will evaluate the report. The
recommendations will automatically go into effect unless the House and Senate pass joint
resolutions of disapproval by Feb. 28, 2012.
McCollum said there is no estimate of how these studies might affect Minnesota's current
Medicare reimbursements. As of 2006, Minnesota's payments were 21 percent below the national
average.
It is also not clear what kind of resistance this agreement might receive from House members •
whose states could stand to lose money in a new payment system. The politically charged issue has
8/3/2009 -1702-
Page 6 of 10
long divided states like Minnesota, Iowa and Wisconsin, from those that currently receive higher
reimbursement rates like New York and California.
• McCollum acknowledged Friday that the negotiations had been very "tough."
"People were afraid of giving something up," McCollum said. But "what we focused on was
moving people forward."
In recent days it became increasingly clear that House leaders would have to listen to McCollum,
and to more than 20 representatives who have similar concerns, if they wanted their legislation
passed.
The bill is not expected to draw Republican support, and Democrats have been struggling to get
the conservative end of their party on board.
This situation, and White House support for Medicare payment reform, put McCollum and her
team in a unique position to move forward on an issue that has been stalled for decades.
A look at health care plans in Congress
By The Associated Press
The Associated Press
Thursday, July 30, 2009 3:10 AM
-A look at health care legislation taking shape in the Democratic- controlled House and Senate as
President Barack Obama pushes to overhaul the system, cover nearly 50 million uninsured
• Americans and contain rising costs. Many of the details are still being negotiated and any final
health care bill would have to meld proposals from the House and Senate.
The House Democratic bill:
WHO'S COVERED: Around 94 percent of non - elderly residents (those not covered by Medicare,
which kicks in at age 65) would be covered - compared with 81 percent today. Nearly half the 17
million non - elderly residents who remain uninsured would be illegal immigrants.
COST: About $1.5 trillion over 10 years.
HOW IT'S PAID FOR: Revenue - raisers include $544 billion over the next decade from new
income taxes on single people making more than $280,000 a year and couples making more than
$350,000; $37 billion in business tax increases; about $500 billion in cuts to Medicare and
Medicaid; about $200 billion from penalties paid by individuals and employers who don't obtain
coverage.
REQUIREMENTS FOR INDIVIDUALS: Individuals must have insurance, enforced through tax
penalty with hardship waivers. The penalty is 2.5 percent of income.
REQUIREMENTS FOR EMPLOYERS: Employers must provide insurance to their employees or
pay a penalty of 8 percent of payroll. Companies with payroll under $250,000 annually are
exempt. That level could rise to $500,000 under the deal between House leaders and fiscal
conservatives.
Employers could apply for a two -year exemption from the mandate if they can prove the
requirements would result in job losses that would negatively affect their communities.
SUBSIDIES: Individuals and families with annual income up to 400 percent of poverty level
($88,000 for a family of four) would get sliding -scale subsidies to help them buy coverage. The
subsidies would begin in 2013.
• HOW YOU CHOOSE YOUR HEALTH INSURANCE: Through a new Health Insurance
Exchange open to individuals and, initially, small employers; it could be expanded to large
employers over time. States could opt to operate their own exchanges in place of the national
8/3/2009 -1703-
Page 7 of 10
exchange if they follow federal rules.
BENEFIT PACKAGE: A committee would recommend an "essential benefits package" including
preventive services, mental health services, oral heath and vision for children; out-of pocket costs •
would be capped. The new benefit package would be the basic benefit package offered in the
exchange and over time would become the minimum quality standard for employer plans.
Insurers wouldn't be able to deny coverage based on pre - existing conditions.
GOVERNMENT -RUN PLAN: A new public plan available through the insurance exchanges
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designed the plan to pay Medicare rates plus 5 percent to doctors, but under Wednesday's deal
with the fiscal conservatives the HHS secretary would instead negotiate rates with providers.
CHANGES TO MEDICAID: The federal -state insurance program for the poor would be
expanded starting in 2013 to cover all non - elderly individuals with incomes up to 133 percent of
the federal poverty level ($14,404).
The Senate Health, Education, Labor and Pensions Committee's bill:
WHO'S COVERED: Aims to cover 97 percent of Americans.
COST: About $615 billion over 10 years, but it's only one piece of a larger Senate bill.
HOW IT'S PAID FOR: Another panel - the Senate Finance Committee - is responsible for
figuring out how to cover costs.
REQUIREMENTS FOR INDIVIDUALS: Individuals will have to have insurance, enforced
through tax penalty with hardship waivers.
REQUIREMENTS FOR EMPLOYERS: Employers who don't offer coverage will pay a penalty
of $750 a year for each full-time worker. Businesses with 25 or fewer workers are exempt.
SUBSIDIES: Available up to 400 percent poverty level, or $88,000 for a family of four.
BENEFITS PACKAGE: Health plans must offer a package of essential benefits recommended by
a new Medical Advisory Council. No denial of coverage based on pre - existing conditions.
GOVERNMENT -RUN PLAN: A robust new public plan to compete with private insurers. The •
plan would be run by the government but would pay doctors and hospitals based on what private
insurers now pay.
HOW YOU CHOOSE YOUR HEALTH INSURANCE: Individuals and small businesses could
purchase insurance through state -based purchasing pools called American Health Benefit
Gateways.
OTHER PROVISIONS: Creates a new voluntary insurance program that would provide a modest
daily cash benefit to help disabled people stay in their own homes instead of going into nursing
homes.
A plan under discussion by a bipartisan group of six senators on the Finance Committee:
WHO'S COVERED: Around 97 percent of Americans. Illegal immigrants would not receive
coverage.
COST: Around $1 trillion over 10 years.
HOW'S IT PAID FOR: Possible sources include cuts to Medicare and Medicaid; a tax as high as
35 percent on very high cost health insurance policies; a requirement for employers to pay into the
Treasury for their employees who get their insurance through public programs or receive
government subsidies to help pay premiums. Looking to raise $90 billion by taxing health
insurance companies as much as 35 percent on policies valued at $25,000 or more.
REQUIREMENTS FOR INDIVIDUALS: Expected to include a requirement for individuals to get
coverage.
REQUIREMENTS FOR EMPLOYERS: In lieu of requiring employers to provide coverage,
lawmakers are considering a "free rider" penalty based on how much the government ends up
paying for workers' coverage.
SUBSIDIES: No higher than 300 percent of the federal poverty level ($66,150 for a family of four). •
BENEFIT PACKAGE: The government doesn't mandate benefits but sets four benefit categories -
ranging from coverage of around 65 percent of medical costs to about 90 percent - and insurers
8/3/2009 -1704-
Page 8 of 10
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•
would be required to offer coverage in at least two categories. No denial of coverage based on pre-
existing conditions.
GOVERNMENT -RUN PLAN: Unlike the other proposals the Finance Committee's will likely be
bipartisan. With Republicans opposed to a government -run plan, the committee is looking at a
compromise that would instead create nonprofit member -owned co-ops to compete with private
insurers.
HOW YOU CHOOSE YOUR HEALTH INSURANCE: State -based exchanges.
CHANGES TO MEDICAID: Everyone at 100 percent of poverty would - be eligible. Between 100
and 133 percent, states or individuals have the choice between coverage under Medicaid or a 100
percent subsidy in the exchange. The expansion would be delayed until 2013, a late change to save
money - the start date had been 2011.
The House Republican proposal:
WHO'S COVERED: The House GOP's plan, in outline form for now, says it aims to make
insurance affordable and accessible to all. There aren't estimates about how many additional
people would be covered.
COST: Unknown.
HOW'S IT PAID FOR: No new taxes are proposed, but Republicans say they want to reduce
Medicare and Medicaid fraud.
REQUIREMENTS FOR INDIVIDUALS: No mandates.
REQUIREMENTS FOR EMPLOYERS: No mandates; small business tax credits are offered.
Employers are encouraged to move to "opt -out" rather than "opt -in" rules for offering health
coverage.
SUBSIDIES: Tax credits are offered to "low- and modest - income" Americans. People who aren't
covered through their employers but buy their own insurance are allowed to take a tax deduction.
Low- income retirees younger than 65 (the eligibility age for Medicare) would be offered
assistance.
BENEFIT PACKAGE: Insurers would have to allow children to stay on their parents' plan
through age 25.
GOVERNMENT -RUN PLAN: No public plan.
HOW YOU CHOOSE YOUR HEALTH INSURANCE: No new purchasing exchange or
marketplace is proposed. Health savings accounts and flexible spending plans would be
strengthened.
Obama's campaign proposal:
WHO'S COVERED: All children and many now - uninsured adults.
COST: Estimates as high as $1.6 trillion over 10 years.
HOW'S IT PAID FOR: Obama proposed cuts within the health care system and raising taxes on
households making more than $250,000 annually.
REQUIREMENTS FOR INDIVIDUALS: Unlike his Democratic primary opponent Hillary
Rodham Clinton, Obama did not propose an "individual mandate." Instead he would have
required all children to be insured, making it the parents' responsibility.
REQUIREMENTS FOR EMPLOYERS: Large employers would have been required to cover
their employees or contribute to the costs of a new government -run plan.
SUBSIDIES: Obama proposed giving subsidies to low- income people but didn't detail at what
level.
BENEFIT PACKAGE: Insurers participating in a new health exchange would have had to offer
packages at least as generous as a new public plan. All insurers would have been prohibited from
denying coverage based on pre - existing conditions and would have had to cover children through
age 25 on family plans.
GOVERNMENT -RUN PLAN: A new public plan would have offered comprehensive insurance
similar to that available to federal employees.
HOW YOU CHOOSE YOUR HEALTH INSURANCE: Through a new National Health
8/3/2009 -1705-
Page 9of10
Insurance Exchange where individuals could buy the new public plan or qualified private plans.
CHANGES TO MEDICAID: Would have expanded Medicaid eligibility, but didn't specify income
levels.
Sources: Associated Press research, Kaiser Family Foundation.
The Lockridge Grindal Nauen Federal Relations Group will continue to monitor pertinent federal
issues. Please do not hesitate to contact us if you have any questions or need additional
information.
Dennis McGrann
Federal Relations Director
Email: dmmcgrann60ocklaw.com
Phone: (202) 544 -9840
Fax: (202) 544 -9850
Megan Helge
Federal Relations
Email: mghelge @locklaw.com
Phone: (202) 544 -9840
Fax: (202) 544 -9850
Emily Gehrman
Federal Relations
Email: ejgehrman(a1locklaw.com
Phone: (202) 544 -9840
Fax: (202) 544 -9850
Andy Burmeister
Federal Relations
arburmeister(a
Phone: (202) 544 -9840
Fax: (202) 544 -9850
Hannah Bernhardt
Federal Relations
hkbernhardt(a)locklaw.com
Phone: (202) 544 -9840
Fax: (202) 544 -9850
Johnna White
Federal Relations
Jewhite(it,locklaw.com
Phone: (202) 544 -9840
Fax: (202) 544 -9850
This e-mail may contain information that is privileged, confidential or
otherwise protected from disclosure. If you are not the intended
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recipient or otherwise have received this message in error, you are not
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8/3/2009
-1707-
M ediacom
Via Certified Mail
August 3, 2009
Dear Mound Community Official:
Tom Bordwell
Senior Manager of Government Relations
Mediacom continues to add to the superior value of one of cable's best channel lineups. Responding to
market demand, we have added many digital- quality channels to both the Basic and Family Cable levels of
service, as well as networks that are now offered in the popular high- definition format. We have even
provided free digital tuners to customers who need them in order to enjoy the digital channels that have
been added to the Basic lineup.
As always, we continue to boost our Internet speeds to keep them faster than any other residential service in
your community. In fact, in the coming weeks, we will be announcing significant speed increases for our
most popular Mediacom Online high -speed Internet service.
Of course, these innovations and improvements come with a cost, and we continually strive to keep
expenses under control. However, our costs for programming, fuel and health care continue to escalate,
necessitating the price changes described below. To cover increased costs, we now find it necessary to
implement the following rate changes on our about September 7, 2009."
Product:
Old Rate:
New Rate :
Net Change-
Broadcast Basic
$ 23.95
$ 25.95
$ 2.00
Expanded Basic
$ 35.00
$ 37.00
$ 2.00
Total Family Cable
$ 58.95
$ 62.95
$ 4.00
Mediacom Online w/
Video or Phone
$ 45.95
$ 47.95
$ 2.00
Mediacom Online w/o
Video or Phone
$ 60.95
$ 62.95
$ 2.00
Customers currently on promotional rates will not receive this rate change until the expiration of their
respective promotional period.
In conjunction with the above referenced Internet speed increases and rate changes, Mediacom will also be
offering a $1 per month credit to any customer that agrees to move to our paperless EcoBillmg program.
We look forward to continuing to serve you and your community's telecommunications needs. If you
have any questions, please contact me directly at 952 -472 -8695.
Sincerely,
Mediacom Communications •Corporation
2831 Wilshire Blvd Mound MN 55364
• Telephone 952 - 472 -8695 4 Fax 952 -472 -1296
Email:tbordwell @mediacomcc.com
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