2012-03-27 CC Agenda PacketPLEASE TURN OFF AT CELL PHONES & PAGERS IN COUNCIL CHAMBERS.
• AGENDA
MOUND CITY COUNCIL
REGULAR MEETING
TUESDAY, MARCH 27, 2012 - 7:00 PM
MOUND CITY COUNCIL CHAMBERS
* Consent A ems 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. Open meeting
2. Pledge of Allegiance
3. Approve agenda, with any amendments
4. * Consent Agenda
*A. Approve minutes: March 13, 2012 regular meeting 736 -738
*B. Approve payment of claims 739 -765
• *C. Approve Pay Request No. 8 from Kuechle Underground, Inc. in the amount 766 -767
of $13,868.64 for work completed on the 2010 Lift Station Improvement
Project, City Project No. PW -01 -02
*D. Approve adoption of Ordinance Amending City Code Chapter 121 as it 768 -769
Relates to Subdivision Regulations
*E. Approve Resolution to Approve Agreement for Disposal between 770 -773
Specialized Environmental Technologies, LLC and the City of Mound
*F. Approve temporary sign permit for 2012 Blast Blockparty at Our Lady of 774 -778
the Lake Catholic Church
5. Comments and suggestions from citizens present on any item not on the
agenda. (Limit to 3 minutes per speaker.)
6. Update from WeCAB representatives 779
7. Mound 100 -Year Anniversary Kick -Off
A. Mayor Mark Hanus with Welcome
B. City Manager Kandis Hanson with introduction of guests
• C. Mayor's introduction of renowned artist Bruce Miller
D. Unveiling by Miller, with his remarks, including symbolism within the piece
E. Video of Miller at work in his studio
PLEASE TURN OFF AT CELL PHONES & PAGERS IN COUNCIL CHAMBERS.
C7
F. Reading and presentation of Official Resolution by Mayor Hanus
G. Committee Co -Chair John Beise unveiling the Mound Centennial
Commemorative Book
Action to Recess City Council Meeting for 30 minutes for social and Centennial
Book sales
•
9. Action to Reconvene City Council Meeting
10. Action adopting Resolution Approving Public Lands Permit Application for
Property at 4559 Island View Drive for the Purpose of Tree Trimming
11. Information/Miscellaneous
A. Comments /reports from Councilmembers /City Manager
B. Reports: Gillespie Gazette
Update on Schafer Richardson regarding Commerce
Place shopping center
C. Minutes: January 12, 2012 Parks and Open Space Comm (draft)
February 21, 2012 Planning Commission
March 15, 2012 Docks and Commons Comm (draft)
D. Correspondence: Letters from Metropolitan Council dated
February 27, 2012 and March 14, 2012
re: Mound Comprehensive Plan Amendment request
for proposed Walgreens redevelopment project
12. Adjourn
780 -789
790
791
792 -793
794 -797
798 -799
800 -801
This is a preliminary agenda and subject to change. The Council will set a final agenda at the meeting. More current meeting
agendas may be viewed at City Hall or at the City of Mound web site: www.cityofmound.com
MOUND CITY COUNCIL MINUTES
• March 13, 2012
The City Council of the City of Mound, Hennepin County, Minnesota, met in regular session on
Tuesday, March 13, 2012, at 7:00 p.m. in the council chambers of city hall.
Members present: Mayor Mark Hanus; Councilmembers Kelli Gillispie, Ray Salazar, Heidi
Gesch and David Osmek.
Others present: City Attorney John Dean, City Clerk Bonnie Ritter, Acting City Manager
Catherine Pausche, Community Development Director Sarah Smith, Blaze Fugina, Col. John
Sobraske, T. Rob Winkler, Tom Betz
Consent agenda: All items listed under the Consent Agenda are considered to be routine in
nature by the Council. There will be no separate discussion on these items unless a
Councilmember or citizen so requests, in which event it will be removed from the Consent
Agenda and considered in normal sequence.
1. Open meeting
Mayor Hanus called the meeting to order at 7:00 p.m.
2. Pledge of Allegiance
3. Approve agenda
MOTION by Osmek, seconded by Gesch to approve the agenda. All voted in favor. Motion
• carried.
4. Consent agenda
MOTION by Osmek, seconded by Salazar to approve the consent agenda. Upon roll call vote,
all voted in favor. Motion carried.
A. Approve minutes of the February 16, 2012 special meeting and the February 28, 2012
regular meeting
B. Approve payment of claims in the amount of $268,449.78.
C. RESOLUTION NO. 12 -28: RESOLUTION APPROVING PLANS AND SPECIFICATIONS
AND ORDERING ADVERTISEMENT FOR BIDS FOR THE 2012 STREET, UTILITY, LIFT
STATION AND RETAINING WALL IMPROVEMENT PROJECT
D. Approve Application for Exempt Permit for Mound Fire Auxiliary for bingo /raffle dates of
4/3112, 6/2/12, and 11/13/12.
E. RESOLUTION NO. 12 -25: RESOLUTION RECOGNIZING BRUCE MILLER FOR HIS
CONTRIBUTION TO THE MOUND CENTENNIAL
F. Approve Public Dance Permit and Temporary On -Sale Liquor Applications for "The Blast" on
May 19, 2012, as submitted by Our Lady of the Lake Church
G. RESOLUTION NO. 12 -29: RESOLUTION APPROVING VARIANCES FOR PROPERTY
AT 5001 WILSHIRE BLVD. (Case #12 -01)
H. RESOLUTION NO. 12 -30: RESOLUTION APPROVING A VARIANCE FOR PROPERTY
• AT 4568 DENBIGH ROAD (Case #12 -03)
-736-
Mound City Council Minutes — March 13, 2012
5. Comments and suggestions from citizens present on any item not on the agenda. •
None were presented.
6. Public Hearing-
Review/Action on an ordinance amendinq Chapter 129 — the Zoning Ordinance
Sarah Smith reviewed the proposed ordinance that will change the definition of "retail ".
Mayor Hanus opened the public hearing at 7:10 and upon hearing no comment, closed the
public hearing.
Hanus suggested changing the proposed definition to: Retail business means stores and shops
buying and selling retail goods directly from and to the general public.
MOTION by Hanus, seconded by Salazar to pass the ordinance, with definition as amended
above. All voted in favor. Motion carried.
MOTION by Hanus, seconded by Salazar to reconsider. All voted in favor. Motion carried.
Hanus read the following which is John Dean's suggested wording for the definition of retail
business: Retail business means stores and shops selling retail goods directly to the general
public and includes shops and stores purchasing such goods directly from the general public for
resale. .
MOTION by Osmek, seconded by Salazar to pass the following ordinance as amended. All
voted in favor. Motion carried.
ORDINANCE NO. 01 -2012: ORDINANCE AMENDING CHAPTER 129 OF THE MOUND
CITY CODE AS IT RELATES TO THE ZONING ORDINANCE
7. Variance request for identification sign at Mound MarketPlace
Sarah Smith informed the Council that the applicant has requested that this item be tabled to a
future date, and that 60 -day rule is being complied with.
MOTION by Osmek, seconded by Salazar to table this item until the May 8, 2012 meeting,
when a full Council is expected to be in attendance. All voted in favor. Motion carried.
8. Discussion /action on Policy on Use of Chapter 429 for Private Developer Projects
Sarah Smith reviewed the proposed policy, that was drafted following discussions with
JMS /Hartman Enterprises to consider 429 financing for the infrastructure improvements in
Woodlyn Ridge. Osmek offered revisions to the Letter of Credit regulations.
MOTION by Osmek, seconded by Hanus to adopt the Policy on Use of Chapter 429 for Private
Developer Projects, as amended. All voted in favor. Motion carried. •
-737-
Mound City Council Minutes — March 13, 2012
• John Dean stated that the developer of Woodlyn Ridge will not be asked to submit a modified
request, consent & waiver agreement, and amended subdivision agreement.
9. Discussion /action on establishing precincts and polling places
Bonnie Ritter reviewed the proposed plan for precinct reconfiguration and locations of proposed
polling places. This plan is following the release of legislative redistricting. The proposed plan
is to reduce from five to four precincts, creating population balance and the designation of
polling places that meet regulations.
MOTION by Osmek, seconded by Gesch to adopt the following resolution. All voted in favor.
Motion carried.
RESOLUTION NO. 12 -31: RESOLUTION ESTABLISHING PRECINCTS
MOTION by Osmek, seconded by Gesch to adopt the following resolution. All voted in favor.
Motion carried.
RESOLUTION NO. 12 -32: RESOLUTION ESTABLISHING POLLING PLACES
10. Information /Miscellaneous
A. Comments /reports from Councilmembers /City Manager
• B. Reports: Finance Department — February 2012
C. Minutes: None
D. Correspondence: Letters of resignation from Katie Hoff, Heidi Tumberg and Jerry Bricko
11. Adiourn
MOTION by Hanus, seconded by Gesch to adjourn at 7:40 p.m. All voted in favor. Motion
carried.
Mayor Mark Hanus
Attest: Bonnie Ritter, City Clerk
•
-730-
City of Mound Claims as of 03 -27 -12
•
YEAR BATCH NAME DOLLAR AMOUNT
2011 2011CITYAP10 $ 164,047.43
2012 301512CITY $ 6,384.75
2012 031912CITY $ 350.44
2012 032712CITY $ 289,589.94
TOTAL CLAIMS $ 460,372.56
-739-
CITY OF MOUND 03/15/12 3:34 PM
Page 1
Payments
•
•
Current Period: December 2011
Batch Name 2011CITYAP10
Payment Computer Dollar Amt $164,047.43 Posted
Refer 15 4 ASPEN EQUIPMENT
AP Payment E 101 - 43100 -500 Capital Outlay FA
EQUIPMENT & SET UP OF 2012
$75,585.21
FREIGHTLINER
Invoice 01303963 2/23/2012
Transaction Date 3/14/2012 Due 0
Accounts Payable 20200 Total
$75,585.21
Refer 153 ISTATE TRUCK CENTER
AP Payment R 101 -48500 -39101 Sales of General Fixed TRADE IN 1983 FORD L8000 (CREDIT
- $2,000.00
TOWARD 2012 FREIGHTLINER)
Invoice 122911 12/29/2011
AP Payment E 10143100 -500 Capital Outlay FA
PURCHASE OF 2012 FREIGHTLINER VIN 9013
$90,462.22
Invoice 122911 12/29/2011
Transaction Date 3/14/2012 Due 0
Accounts Payable 20200 Total
$88,462.22
Fund Summary
20200 Accounts Payable
101 GENERAL FUND
$164,0 47.43
$164,047.43
Pre - Written Checks $0.00
Checks to be Generated by the Computer $164,047.43
Total $164,047.43
-740-
CITY OF MOUND 03/15/12 3:32 PM
Page 1
Payments
Current Period: March 2012
Batch Name 031512CITY
Payment Computer Dollar Amt $6,384.75 Posted
Refer 156 CARCO AUTOMOTIVE INC Ck# 040545 3/15/2012
Cash Payment R 101 -48500 -39101 Sales of General Fixed TRADE IN OF 1993 CHEVY STEP VAN - $1,000.00
(TOWARD 2006 VAN)
Invoice 031512 3/15/2012
Cash Payment R 101 -48500 -39101 Sales of General Fixed TRADE IN 2005 CHEV COLORADO (TOWARD - $10,000.00
2006 VAN)
Invoice 031512 3/15/2012
Cash Payment E 10145200 -500 Capital Outlay FA 2006 FORD COMMERCIAL E350 $17,384.75
Invoice 031512 3/15/2012
Transaction Date 3/1512012 Due 0 Wells Fargo 10100 Total $6,384.75
Fund Summary
10100 Wells Fargo
101 GENERAL FUND $6,384.75
$6,384.75
Pre - Written Checks $6,384.75
Checks to be Generated by the Computer $0.00
Total $6,384.75
•
•
•
-741-
•
CITY OF MOUND
Payments
03/19/12 12:50 PM
Page 1
Current Period: March 2012
Batch Name 031912CITY
Payment Computer Dollar Amt $350.44 Posted
Refer 221 MOUND POST OFFICE Ck# 040548 3/19/2012
Cash Payment E 602 -49450 -322 Postage MARCH 2012 UTILITY BILL POSTAGE $175.22
Invoice 031912 3/19/2012
Cash Payment E 601 -49400 -322 Postage MARCH 2012 UTILITY BILL POSTAGE $175.22
Invoice 031912 3/19/2012
Transaction Date 3/19/2012 Due 0 Wells Fargo 10100 Total $350.44
Fund Summary
602 SEWER FUND
601 WATER FUND
10100 Wells Fargo
$175.22
$175.22
$350.44
i s
•
Pre - Written Checks $350.44
Checks to be Generated by the Computer $0.00
Total $350.44
-742-
CITY OF MOUND 03/23/12 9:00 AM
Page 1
Payments
Current Period: March 2012
5..,,, � -`w ..«„ �.�d.c �,...3� �: «.°3r. ,.�,1�.� ,.:4,w.�'a����,. -. _ _ ;.. �.it, a F �.• 'r .x«, �- ..'. «,.A',,- .. � � •�,. .
Batch Name 032712CITY User Dollar Amt $289,589.94
Payments Computer Dollar Amt $289,589.94
$0.00 In Balance
Refer 121 3D SPECIALTIES
Cash Payment E 101 - 43100 -218 Clothing and Uniforms
SWEATSHIRTS, ETC FOR DEREK AND
$449.08
JERRY
Invoice 438455 2/24/2012
Transaction Date 3/13/2012
Wells Fargo 10100
Total
$449.08
Refer 179 AMUNDSON, M. LLP
Cash Payment E 609 -49750 -256 Tobacco Products For R
TOBACCO
$538.60
Invoice 127656 3/14/2012
Transaction Date 3/15/2012
Wells Fargo 10100
Total
$538.60
Refer �11 APPROVED EQUAL COMPANY
Cash Payment E 101 - 42110 -402 Building Maintenance
TEMPERATURE CONTROLS AT PUBLIC
$133.00
SAFETY BLDG SERVICE CALL 3 -8 -12
Invoice 11106 3/15/2012
Cash Payment E 222 - 42260 -402 Building Maintenance
TEMPERATURE CONTROLS AT PUBLIC
$133.00
SAFETY BLDG SERVICE CALL 3 -8 -12
Invoice 11106 3/15/2012
Transaction Date 3/20/2012
M �
Wells Fargo 10100
Total
$266.00
Refer _ 212 ARCTIC GLACIER PREMIUM ICE
Cash Payment E 609 -49750 -254 Soft Drinks /Mix For Resa ICE
$179.84
Invoice 381207706 3/17/2012
Cash Payment E 609 -49750 -265 Freight
FREIGHT
$1.00
Invoice 381207706 3/1712012
Transaction Date 3119/2012
Wells Fargo 10100
Total
$180.84
Refer 207 ATLANTIC TACTICAL�� _
Cash Payment G 101 -23215 Emerg Respond Unit Lake Ar ERU TROUSERS
$103.98
Invoice SI- 80387257 3/2/2012 PO 23828
Transaction Date 3/16/2012
Wells Fargo 10100
Total
$103.98
Refer 102 BELLBOY CORPORATION
Cash Payment E 609 -49750 -251 Liquor For Resale
LIQUOR
$516.25
Invoice 72486500 3/9/2012
Cash Payment E 609 -49750 -265 Freight
FREIGHT
$10.20
Invoice 72486500 3/9/2012
Transaction Date 3/13/2012
Wells Fargo 10100
Total
$526.45
Refer 108 BELLBOY CORPORATION
Cash Payment E 609 -49750 -254 Soft Drinks /Mix For Resa MIX
$108.25
Invoice 86477900 3/12/2012
Cash Payment E 609 -49750 -210 Operating Supplies
SUPPLIES; BAGS
$152.30
Invoice 86477900 3/12/2012
Transaction Date 3/13/2012
Wells Fargo 10100
Total
$260.55
Refe 109 BELLBOY CORPORATION
Cash Payment E 609 -49750 -251 Liquor For Resale LIQUOR
Invoice 72500400 3/12/2012
Cash Payment E 609 -49750 -253 Wine For Resale WINE
Invoice 72500400 3/12/2012 -743-
$1,236.30
$74.00
•
•
CITY OF MOUND
03/23/129:00 AM
Page 2
Payments
•
Current Period: March 2012
Transaction Date
3/13/2012
Wells Fargo 10100 Total
$1,310.30
Refer 41
BELLBOY CORPORATION
_
Cash Payment
E 609 -49750 -251 Liquor For Resale
LIQUOR
$1,632.40
Invoice 72591500 3/19/2012
Transaction Date
3/20/2012
Wells Fargo 10100 Total
$1,632.40
Refer 180
BERNICKS BEVERAGES AND VEN
Cash Payment
E 609 -49750 -254 Soft Drinks /Mix For Resa MIX
$166.03
Invoice 46539
3/14/2012
Cash Payment
E 609 -49750 -252 Beer For Resale
BEER
$294.55
Invoice 46540
3/14/2012
Transaction Date
3/15/2012
Wells Fargo 10100 Total
$460.58
Refer 142
BERRY COFFEE COMPANY
Cash Payment
E 101 -42110 -210 Operating Supplies
2 CASES COFFEE
$83.50
Invoice 998513
2/22/2012 PO 23844
Cash Payment
E 101 -42110 -210 Operating Supplies
LIQUID CREAMER
$25.50
Invoice 1000383
3/7/2012 PO 23844
Transaction Date
3/13/2012
Wells Fargo 10100 Total
$109.00
Refer 12
BERRY COFFEE COMPANY
Cash Payment
E 222 -42260 -210 Operating Supplies
MARCH, APRIL, MAY WATER LEASE FIRE
$64.13
DEPT
•
Invoice 1002013
3/3/2012
Transaction Date
3/20/2012
Wells Fargo 10100 Total
$64.13
Refer 51 BERRY COFFEE COMPANY
Cash Payment
E 101 - 41110 -431 Meeting Expense
COFFEE - MTGS
$48.95
Invoice 1004464
3/21/2012
Transaction Date
3/23/2012
Wells Fargo 10100 Total
$48.95
Refer 143 BLEISOURCE SOLUTIONS
M
Cash Payment
R 601 -49400 -36200 Miscellaneous Revenu REFUND OVERPMT OF UTILITY BILL 5142
$91.06
EMERALD DRIVE
Invoice 030112
3/1/2012
Transaction Date
3/13/2012
Wells Fargo 10100 Total
$91.06
Refer 191 BOLTON AND MENK, INCORPORA
Cash Payment
E 401 -43112 -300 Professional Srvs
2012 NORTH ISLAND STREET PROJECT 1 -21-
$110.00
12 TO 2 -17 -12
Invoice 0145975
2/29/2012
Project PW1201
Cash Payment
E 401 -43111 -300 Professional Srvs
2012 LANGDON CUL DE SAC PROJECT 1 -21-
$130.00
12 TO 2 -17 -12
Invoice 0145975
2/29/2012
Project PW1202
Cash Payment
E 10143100 -300 Professional Srvs
GENERAL ENGINEERING 1 -21 -12 THRU 2 -17-
$578.00
12
Invoice 0145975
2/29/2012
Cash Payment
E 67549425 -300 Professional Srvs
WCA ADMINISTRATION 1 -21 -12 TO 2 -17 -12
$241.00
Invoice 0145976
2/29/2012
Cash Payment
E 602 -49450 -300 Professional Srvs
1 -21 -12 TO 2 -17 -12 SEWER I & I ANALYSIS
$10,038.00
0145977
2/29/2012
• Invoice
Cash Payment
E 602 -49450 -300 Professional Srvs
STREET AND UTILITY MAP UPDATES 1 -21-
$71.00
12 TO 2 -17 -12
Invoice 0145978
2/29/2012
Project 12-4
-744-
CITY OF MOUND
Payments
03/23/12 9:00 AM
Page 3
ea� gam,,{rt s3�a,+r�� ttyq Current Period: March 2012
C( d.•:#«" PS ".GEA }.wtli�.�a� %3�Yew'4n .�t`,w.2: 3 +'M1�- .�"'a6�i+`S �`�.' 3aaY:�i..�&i"�.. " .. "'"y�" .. .£� �m''��E.'+RYY'+�'�ev"�... n z w . , � ^` +�.
Cash Payment G 101 -23247 WALGREENS #11 -10 SEMP WALGREENS PROPOSAL AND PLAN $213.00
REVIEW 1 -21 -12 TO 2 -17 -12
Invoice 0145979
2/29/2012
Cash Payment
Cash Payment .
G 101 -23251 XX MANCHESTER SUBDV
GULLICKSON MANCHESTER ROAD
Cash Payment
E 601 -49400 -500 Capital Outlay FA
DEVELOPMENT REVIEW 1 -21 -12 TO 2 -17 -12
Invoice 0145979
2/29/2012
E 401 -43112 -300 Professional Srvs
Cash Payment
G 101 -23252 4568 DENBIGH #12 -03 BED
4568 DENBIGH VARIANCE 1 -21 -12 TO 2 -17 -12
Invoice 0145979
2/29/2012
2/29/2012
Cash Payment
E 402 -43120 -300 Professional Srvs
MSA SYSTEM UPDATE 1 -21 -12 TO 2 -17 -12
Invoice 0145980
2/29/2012
E 675 -49425 -300 Professional Srvs
Cash Payment
E 401 -43161 -300 Professional Srvs
BARTLETT STREET LIGHT PROJECT 1 -21 -12
TO 2 -17 -12
Invoice 0145981 2/29/2012
Cash Payment E 401 -43101 -300 Professional Srvs
Invoice 0145982 2/29/2012
Cash Payment E 401 -43127 -300 Professional Srvs
Invoice 0145983 2/29/2012
Cash Payment E 675 -49425 -300 Professional Srvs
Invoice 0145984 2/29/2012
Cash Payment E 602 -49450 -500 Capital Outlay FA
Project PW1107
2011 SW ISLAND STREET PROJECT 1 -21 -12
TO 2 -17 -12
Project PW1101
2011 HIGHLANDS STREET PROJECT 1 -21 -12
TO 2 -17 -12
Project PW1102
SURFACE WATER MGMG 1 -21 -12 TO 2 -17 -12
2010 LIFT STATION IMPROV PROJECT 1 -21-
12 TO 2 -17 -12
Invoice 0145985
2/29/2012
Cash Payment
E 602 -49450 -500 Capital Outlay FA
Invoice 0145986
2/29/2012
Cash Payment
E 601 -49400 -500 Capital Outlay FA
Invoice 0145987
2/29/2012
Cash Payment
E 401 -43112 -300 Professional Srvs
Invoice 0145988
2/29/2012
Cash Payment
E 401 -43127 -300 Professional Srvs
Invoice 0145989
2/29/2012
Cash Payment
E 602 -49450 -500 Capital Outlay FA
Invoice 0145990
2/29/2012
Cash Payment
E 675 -49425 -300 Professional Srvs
Invoice 0145991 2/29/2012
Cash Payment E 602 -49450 -500 Capital Outlay FA
Invoice 0145992 2/29/2012
Transaction Date 3/15/2012
Refer 13 BRYCE, JEFFREY _
Cash Payment E 222 - 42260 -434 Conference & Training
2011 LIFT STATION IMPROV PROJECT 1 -21-
12 TO 2 -17 -12
Project PW1103
2012 WATERMAIN LOOP IVD TO WINDSOR
RD 1 -21 -12 TO 2 -17 -12
Project PW1207
2012 NORTH ISLAND STREET PROJECT 1 -21-
12 TO 2 -17 -12
Project PW1201
RIDGEWOOD DICKENS DRAINAGE
CHANNEL 1 -21 -12 TO 2 -17 -12
Project PW1102
EMERGENCY SEWER FORCEMAIN REPAIR
LIFT STATION P1 1 -21 -12 TO 2 -17 -12
2012 STORM DRAINAGE IMPROVEMENTS 1-
21-12 TO 2 -17 -12
2012 LIFT STATION PROJECT
Project PW1203
Wells Fargo 10100 Total
REIMBURSE MILEAGE TO HENNEPIN TECH
FOR REQUIRED FIRE DEPT TRAINING JAN -
MARCH 6, 2012
$71.00
$71.00
$1,420.00
$284.00
$2,015.00
$1,731.00
$453.00
$643.00
$1,110.00
$14,243.50
$47,156.50
$577.50
$71.00
$568.00
$1,974.00
$83,769.50
$156.51
Invoice 031412 3/14/2012
Transaction Date 3/20/2012 Wells Fargo 10100 Total $156.51
Refer 139 BONN, BEN
•
i s
•
-745-
U
CITY OF MOUND 03/23/12 9:00 AM
Page 4
Payments
Invoice 6974 - 176376 2/11/2012
Cash Payment E 222- 42260 -430 Miscellaneous
Invoice 022912STMT 2/29/2012
FINANCE CHARGE 2 -29 -12 STMT $1.09
Transaction Date 3/20/2012 Wells Fargo 10100 Total $130.75
Refer 118 CARQUEST OF NAVARRE (PA49
Cash Payment E 602 -49450 -230 Shop Materials QUICK DISCONNECT $147.33
Invoice 6974 - 177164 2/27/2012 Project 12 -3
Cash Payment E 602 -49450 -230 Shop Materials
Invoice 6974 - 177323 2/29/2012
Cash Payment E 101 -43100 -221 Equipment Parts
Invoice 6944- 176955 2/22/2012
Cash Payment E 101 -43100 -221 Equipment Parts
Invoice 6974 - 177017 2/23/2012
Cash Payment E 101 -43100 -221 Equipment Parts
Invoice 6974 - 176951 2/22/2012
25LB DIATOMACEOUS CQ $23.37
Project 12 -3
BATTERY #106 $85.49
#106 BATTERY CORE RETURN - $18.17
PLOW MARKERS, TAGGED HEADER BLADE - $13.16
Transaction Date 3/13/2012 Wells Fargo 10100 Total $224.86
Refer 125 CARQUEST OF NAVARRE (PA40 -
Cash Payment E 101 -43100 -221 Equipment Parts PLOW MARKERS FORESCENT ORANGE $25.59
Invoice 6974 - 176928 2/22/2012
Transaction Date 3/13/2012 Wells Fargo 10100 Total $25.59
Refer 126 CARQUEST OF NAVARRE (PA40 _
Cash Payment E 101 -43100 -221 Equipment Parts EPDXY, TRIANGLE WARNING KIT $28.10
Invoice 6974 - 177009 2/23/2012
Cash Payment E 602 -49450 -221 Equipment Parts HD EXHAUST FLEX TUBE $39.01
Invoice 6974 - 176926 2/22/2012
Cash Payment E 601 -49400 -221 Equipment Parts TIMBREN SUSP ENHANCEMENT SYSTEM $319.30
Invoice 6974 - 176428 2/13/2012
Transaction Date 3/13/2012 Wells Fargo 10100 Total $386.41
Refer 177 CARQUEST OF NAVARRE (PA49 -
Cash Payment E 60249450 -230 Shop Materials HYDRAULIC FLUID 5 GAL $92.40
Invoice 6974 - 177293 2/29/2012 Project 12 -3
Transaction Date 3/15/2012 Wells Fargo 10100 Total $92.40
Cash Payment E 101 -43100 -220 Repair/Maint Supply TRAILER SEAL FOR DURAPATCHER
Invoice 6974 - 178103 3/14/2012
Refer 178 CARQUEST OF NAVARRE (P/IM
$25.61
Transaction Date 3/15/2012 Wells Fargo 10100 Total $25.61
Refer 197 CENTERPOINT ENERGY (MINNEG _
Cash Payment E 101 -45200 -383 Gas Utilities GAS SERVICE 1 -20 -12 TO 2 -20 -12 $870.36
Invoice 030912 3/9/2012
-746-
Current Period: March 2012
Cash Payment
E 602 - 49450 -218 Clothing and Uniforms
B. BUNN 2012 BOOT ALLOWANCE
$150.00
Invoice 2012
3/27/2012
Project 12 -3
Transaction Date 3/13/2012
Wells Fargo 10100 Total
$150.00
Refer 14
CARQUEST AUTO PARTS (FIRE)
Cash Payment
E 222 - 42260 -409 Other Equipment Repair
GLOW PLUG FOR FIRE TRUCK
$111.31
Invoice 6974 - 176297 2/10/2012
Cash Payment
E 222 - 42260 -409 Other Equipment Repair
440 SERIES LAMPS
$18.35
Invoice 6974 - 176376 2/11/2012
Cash Payment E 222- 42260 -430 Miscellaneous
Invoice 022912STMT 2/29/2012
FINANCE CHARGE 2 -29 -12 STMT $1.09
Transaction Date 3/20/2012 Wells Fargo 10100 Total $130.75
Refer 118 CARQUEST OF NAVARRE (PA49
Cash Payment E 602 -49450 -230 Shop Materials QUICK DISCONNECT $147.33
Invoice 6974 - 177164 2/27/2012 Project 12 -3
Cash Payment E 602 -49450 -230 Shop Materials
Invoice 6974 - 177323 2/29/2012
Cash Payment E 101 -43100 -221 Equipment Parts
Invoice 6944- 176955 2/22/2012
Cash Payment E 101 -43100 -221 Equipment Parts
Invoice 6974 - 177017 2/23/2012
Cash Payment E 101 -43100 -221 Equipment Parts
Invoice 6974 - 176951 2/22/2012
25LB DIATOMACEOUS CQ $23.37
Project 12 -3
BATTERY #106 $85.49
#106 BATTERY CORE RETURN - $18.17
PLOW MARKERS, TAGGED HEADER BLADE - $13.16
Transaction Date 3/13/2012 Wells Fargo 10100 Total $224.86
Refer 125 CARQUEST OF NAVARRE (PA40 -
Cash Payment E 101 -43100 -221 Equipment Parts PLOW MARKERS FORESCENT ORANGE $25.59
Invoice 6974 - 176928 2/22/2012
Transaction Date 3/13/2012 Wells Fargo 10100 Total $25.59
Refer 126 CARQUEST OF NAVARRE (PA40 _
Cash Payment E 101 -43100 -221 Equipment Parts EPDXY, TRIANGLE WARNING KIT $28.10
Invoice 6974 - 177009 2/23/2012
Cash Payment E 602 -49450 -221 Equipment Parts HD EXHAUST FLEX TUBE $39.01
Invoice 6974 - 176926 2/22/2012
Cash Payment E 601 -49400 -221 Equipment Parts TIMBREN SUSP ENHANCEMENT SYSTEM $319.30
Invoice 6974 - 176428 2/13/2012
Transaction Date 3/13/2012 Wells Fargo 10100 Total $386.41
Refer 177 CARQUEST OF NAVARRE (PA49 -
Cash Payment E 60249450 -230 Shop Materials HYDRAULIC FLUID 5 GAL $92.40
Invoice 6974 - 177293 2/29/2012 Project 12 -3
Transaction Date 3/15/2012 Wells Fargo 10100 Total $92.40
Cash Payment E 101 -43100 -220 Repair/Maint Supply TRAILER SEAL FOR DURAPATCHER
Invoice 6974 - 178103 3/14/2012
Refer 178 CARQUEST OF NAVARRE (P/IM
$25.61
Transaction Date 3/15/2012 Wells Fargo 10100 Total $25.61
Refer 197 CENTERPOINT ENERGY (MINNEG _
Cash Payment E 101 -45200 -383 Gas Utilities GAS SERVICE 1 -20 -12 TO 2 -20 -12 $870.36
Invoice 030912 3/9/2012
-746-
CITY OF MOUND 03/23/129:00 AM
Page 5
Payments
•
Current Period: March 2012
Transaction Date 3/16/2012 Wells Fargo 10100 Total $4,768.59
Refer 86 CHISAGO LAKES DISTRIBUTING C
Cash Payment E 609 - 49750 -252 Beer For Resale
Invoice 467540 3/8/2012
Transaction Date 3/13/2012
BEER
Wells Fargo
Cash Payment
E 101 -42110 -383 Gas Utilities
GAS SERVICE 1 -20 -12 TO 2 -20 -12
$498.84
Invoice 030912
3/9/2012
Cash Payment
E 222 -42260 -383 Gas Utilities
GAS SERVICE 1 -20 -12 TO 2 -20 -12
$498.83
Invoice 030912
3/9/2012
Invoice 0118050319 3/15/2012
Cash Payment
E 101 -41910 -383 Gas Utilities
GAS SERVICE 1 -20 -12 TO 2 -20 -12
$992.01
Invoice 030912
3/9/2012
Wells Fargo
10100
Cash Payment
E 602 -49450 -383 Gas Utilities
GAS SERVICE 1 -20 -12 TO 2 -20 -12
$1,392.10
Invoice 030912
3/9/2012
Project 12 -3
Cash Payment
E 609 -49750 -383 Gas Utilities
GAS SERVICE 1 -20 -12 TO 2 -20 -12
$328.30
Invoice 030912
3/9/2012
Invoice 350 3/14/2012
Cash Payment
E 101 -45200 -383 Gas Utilities
GAS SERVICE 1 -20 -12 TO 2 -20 -12 DEPOT
$188.15
Invoice 030912
3/9/2012
Wells Fargo
10100
Transaction Date 3/16/2012 Wells Fargo 10100 Total $4,768.59
Refer 86 CHISAGO LAKES DISTRIBUTING C
Cash Payment E 609 - 49750 -252 Beer For Resale
Invoice 467540 3/8/2012
Transaction Date 3/13/2012
BEER
Wells Fargo
10100
Total
$739.70
$739.70
Refer COCA COLA BOTTLING - MIDWEST
Cash Payment E 60949750 -254 Soft Drinks /Mix For Resa MIX
$146.36
Invoice 0118050319 3/15/2012
Transaction Date 3/15/2012
Wells Fargo
10100
Total
$146.36
•
Refer 44 COMMUNITY MEDIATION SERVICE
Cash Payment E 10149999 -300 Professional Srvs
2012 MEDIATION
SERVICES
$1,900.00
Invoice 350 3/14/2012
Transaction Date 3/20/2012
Wells Fargo
10100
Total
$1,900.00
Refer 52 CONCEPT LANDSCAPING
Cash Payment E 101 - 45200 -440 Other Contractual Servic
INSTALL SAND BLANKET @ CHESTER PARK
$795.00
Invoice 2935 1/26/2012
Transaction Date 3/23/2012
Wells Fargo
10100
Total
$795.00
Refer 107 DAHLHEIMER BEVERAGE LLC
Cash Payment E 60949750 -252 Beer For Resale
BEER
$323.00
Invoice 1015315 3/12/2012
Transaction Date 3/13/2012
Wells Fargo
10100
Total
$323.00
Refer 105 DAY DISTRIBUTING COMPANY
Cash Payment E 609 -49750 -252 Beer For Resale
BEER
$2,240.10
Invoice 641935 3/13/2012
Transaction Date 3/13/2012
Wells Fargo
10100
Total
$2,240.10
Refer 106 DAYD/STRIBUTING COMPANY
Cash Payment E 60949750 -255 Misc Merchandise For R
MISC
$15.00
Invoice 641936 3/13/2012
Transaction Date 3/13/2012
Wells Fargo
10100
Total
$15.00
Refer 39 DAY DISTRIBUTING COMPANY
Cash Payment E 609 -49750 -252 Beer For Resale
BEER
$59.20
Invoice 643044 3/20/2012
•
Transaction Date 3/20/2012
Wells Fargo
10100
Total
$59.20
Refer 40 DAYDISTR/BUTING COMPANY _
-747-
CITY OF MOUND
03/23/129:00 AM
Page 6
Payments
•
Current Period: March 2012
�`�si "k ^.EaZ$ x.+Fti$i's. cR' ' e.' �l�'.ylYl.�SfY���'k�"
� '..., .� �: � ''gym" �a.:;:Y"y '•�`
Cash Payment E 609 -49750 -252 Beer For Resale
BEER
$603.45
Invoice 643043 3/20/2012
Transaction Date 3/20/2012
Wells Fargo 10100 Total
$603.45
Refer 53 EHLERS AND ASSOCIATES, INC.�
Cash Payment E 396 -47000 -620 Fiscal Agent s Fees
CIP TO REFUND 2001 LEASE REV BONDS
$950.00
Invoice 343591 10/10/2011
Transaction Date 3/23/2012
Wells Fargo 10100 Total
$950.00
Refer 141 ELECTRIC PUMP _
Cash Payment E 602 - 49450 -404 Machinery/Equip Repairs 5361 BAYWOOD SHORES DR LIFT STATION
$413.55
PUMP REPAIR
Invoice 0046456 -IN 1/13/2012
Transaction Date 3/13/2012
Wells Fargo 10100 Total
$413.55
Refer 124 ENVIRONMENTAL EQUIPMENT AN
Cash Payment E 101 - 43100404 Machinery/Equip Repairs REPAIR TYMPCO STREET SWEEPER
$7,255.04
Invoice 9606 2/23/2012
Transaction Date 3/13/2012
Wells Fargo 10100 Total
$7,255.04
Refer 17 FIRE CHIEFS ASSOC, HENNEPIN
Cash Payment E 222 - 42260434 Conference & Training
BLUE CARD COMMAND TRAINING CENTER
$1,300.00
HARDWARE
12 -003 3/7/2012
• Invoice
Transaction Date 3/20/2012
Wells Fargo 10100 Total
$1,300.00
Refer 15 FIRE EQUIPMENT SPECIALTIES, r
Cash Payment E 22242260 -219 Safety supplies
HELMET WITH SHIELD
$244.33
Invoice 7467 3/9/2012
Transaction Date 3/20/2012
Wells Fargo 10100 Total
$244.33
Refer 140 FIRE MARSHALLS ASSOC MINNES _
Cash Payment E 222 - 42260 -433 Dues and Subscriptions
T. MYERS FIRE MARSHALL ASSOC DUES
$35.00
2012
Invoice 2012 3/15/2012
Transaction Date 3/1312012
Wells Fargo 10100 Total
$35.00
Refer 28 FLAIG, KEVIN M. _
Cash Payment E 22242260 -434 Conference & Training
TRAVEL ADVANCE — ROCHESTER FIRE
$400.00
SCHOOL 3/31/12 & 4/1/12
Invoice 031012 3/1012012
Transaction Date 3/20/2012
w
Wells Fargo 10100 Total
$400.00
Refer 103�G & K SERVICES _
Cash Payment E 609 - 49750 -460 Janitorial Services
3 -12 -12 MATS
$55.88
Invoice 1006635388 3/12/2012
Transaction Date 3/13/2012
Wells Fargo 10100 Total
$55.88
Refer 111 G & K SERVICES
Cash Payment E 101 -43100 -218 Clothing and Uniforms
3 -5 -12 PUBLIC WORKS UNIFORMS
$23.21
Invoice 1006624494 3/5/2012
Cash Payment E 601 -49400 -218 Clothing and Uniforms
3 -5 -12 PUBLIC WORKS UNIFORMS
$25.69
• Invoice
1006624494 3/5/2012
Cash Payment E 602 -49450 -218 Clothing and Uniforms
3 -5 -12 PUBLIC WORKS UNIFORMS
$23.41
Invoice 1006624494 3/5/2012
-748-
CITY OF MOUND 03/23/12 9:00 AM
Page 7
Payments
Current Period: March 2012
t "I ?fir ..n
Cash Payment E 602 -49450 -230 Shop Materials 3 -5 -12 PUBLIC WORKS MATS AND SUPPLIES $255.14
Invoice 1006624494 3/5/2012 Project 12 -3
Transaction Date 3/13/2012 Wells Fargo 10100 Total $327.45
Refer 115 G & K SERVICES _
Cash Payment E 101 -43100 -218 Clothing and Uniforms
Invoice 1006613386 2/27/2012
Cash Payment E 601 -49400 -218 Clothing and Uniforms
Invoice 1006613386 2/27/2012
Cash Payment E 602 -49450 -218 Clothing and Uniforms
Invoice 1006613386 2/27/2012
Cash Payment E 602 -49450 -230 Shop Materials
2 -27 -12 PUBLIC WORKS UNIFORMS $23.21
2 -27 -12 PUBLIC WORKS UNIFORMS $25.69
2 -27 -12 PUBLIC WORKS UNIFORMS $31.17
2 -27 -12 PUBLIC WORKS MATS AND $225.21
SUPPLIES
invoice 1006613386 2/27/2012
Project 12 -3
$332.81
Transaction Date 3/13/2012
Wells Fargo 10100 Total
$305.28
Refer � 122 - �G & K SERVICES
Cash Payment E 101 -45200 -218 Clothing and Uniforms
3 -5 -12 PARKS UNIFORMS
Cash Payment E 10143100 -218 Clothing and Uniforms
2 -20 -12 PUBLIC WORKS UNIFORMS
$23.21
Invoice 1006602434 2/20/2012
Cash Payment E 60149400 -218 Clothing and Uniforms
2 -20 -12 PUBLIC WORKS UNIFORMS
$25.69
Invoice 1006602434 2/20/2012
Invoice 1006624496 3/5/2012
Cash Payment E 60249450 -218 Clothing and Uniforms
2 -20 -12 PUBLIC WORKS UNIFORMS
$29.66
Invoice 1006602434 2/20/2012
Total
$108.73
Cash Payment E 602 -49450 -230 Shop Materials
2 -20 -12 PUBLIC WORKS MATS AND
$254.25
SUPPLIES
3 -12 -12 PARKS UNIFORMS
Invoice 1006602434 2/20/2012
Transaction Date 3/13/2012
Project 12 -3
W ells Fargo 10100 Total
$332.81
Refer 128 G & K SERVICES��
Cash Payment E 101 -45200 -218 Clothing and Uniforms
3 -5 -12 PARKS UNIFORMS
$44.66
Invoice 1006624496 3/5/2012
Cash Payment E 101 -45200 -210 Operating Supplies
3 -5 -12 PARKS MATS /SUPPLIES
$64.07
Invoice 1006624496 3/5/2012
Transaction Date 3/13/2012
Wells Fargo 10100
Total
$108.73
Refer�� 202 G & K SERVICES
Cash Payment E 101 -45200 -218 Clothing and Uniforms
3 -12 -12 PARKS UNIFORMS
$40.15
Invoice 1006635394 3/12/2012
Cash Payment E 101 -45200 -210 Operating Supplies
3 -12 -12 PARKS MATS AND SUPPLIES
$56.80
Invoice 1006635394 3/12/2012
Transaction Date 3/16/2012
Wells Fargo 10100
Total
$96.95
Refer 16 G & K SERVICES
Cash Payment E 222 -42260 -460 Janitorial Services
3 -19 -12 FIRE DEPT MAT SERVICE
$83.24
Invoice 1006646353 3/19/2012
Transaction Date 3/20/2012
Wells Fargo 10100
Total
$83.24
Refer 35 G & K SERVICES
Cash Payment E 101 - 41910 -460 Janitorial Services
3 -19 -12 CITY HALL MATS
$150.06
Invoice 1006646352 3/19/2012
Transaction Date 3/20/2012
Wells Fargo 10100
Total
$150.06
Refer 36 G & K SERVICES
•
•
•
-749-
CITY OF MOUND
03/23/129:00 AM
Page 8
Payments
•
Current
Period: March 2012
i s� .a�'�"`'� 4. _ :, t:.asa���'�i`s.'w'"�:. •..:..
_ -': � . .&: w. bar' °�� ia..°�»"'
Cash Payment E 609 - 49750 -460 Janitorial Services
3 -19 -12 LIQUOR STORE MATS
$55.88
Invoice 1006646348 3/19/2012
Transaction Date 3/20/2012
Wells Fargo 10100 Total
$55.88
Refer . 54 G & K SERVICES
Cash Payment E 101 -45200 -218 Clothing and Uniforms
UNIFORM SVC 3 -19 -12
$44.66
Invoice 1006646355 3/19/2012
Cash Payment E 101 -45200 -210 Operating Supplies
MAT SVC & SHOP SUPPLIES 3 -19 -12
$62.47
Invoice 1006646355 3/19/2012
Transaction Date 3/23/2012
Wells Fargo 10100 Total
$107.13
Refer 119 GARY S DIESEL SERVICE
Cash Payment E 101 - 43100 -404 Machinery/Equip Repairs #605 2005 STERLING DUMP TRUCK SCAN
$79.95
TEST FOR DASH LIGHT
Invoice 15709 1/26/2012
Transaction Date 3/13/2012
Wells Fargo 10100 Total
$79.95
Refer 120 GARY S DIESEL SERVICE
Cash Payment E 602 - 49450 -404 Machinery/Equip Repairs #1604 2004 STERLING TRUCK INSPECT
$2,536.25
GREASE FRON SPRINGS, DISASSEMBLE
SHACKLE PINS, ETC.
Invoice 15570 1/5/2012
Transaction Date 3/13/2012
Wells Fargo 10100 Total
$2,536.25
Refer �173 GLASS PLUS, INCORPORATED
Cash Payment E 101 -42110 -210 Operating Supplies
GLASS WINDOWS FOR HOLDING CELL
$1,268.75
(UPGRADE ONE, REPLACE ONE BROKEN)
Invoice 12246 3/8/2012
Transaction Date 3/15/2012
Wells Fargo 10100 Total
$1,268.75
Refer 97 GRAND PERE WINES, INCORPOR�
Cash Payment E 609 -49750 -253 Wine For Resale
WINE
$320.00
Invoice 00028159 3/8/2012
Cash Payment E 609 -49750 -265 Freight
FREIGHT
$3.00
Invoice 00028159 3/8/2012
Transaction Date 3/13/2012
.�
Wells Fargo 10100 Total
$323.00
Refer 96 GRAPE BEGINNINGS, INCORPORA
Cash Payment E 609- 49750 -253 Wine For Resale
WINE
$488.00
Invoice 137167 3/7/2012
Cash Payment E 609 -49750 -265 Freight
FREIGHT
$6.75
Invoice 137167 3/7/2012
Transaction Date 3/13/2012
Wells Fargo 10100 Total
$494.75
Refer 31 GUSTAFSON, BRUCE
Cash Payment E 222 - 42260 -434 Conference & Training
TRAVEL ADVANCE FOR ROCHESTER FIRE
$300.00
SCHOOL 3 -31 -12 & 4 -1 -12
Invoice 031012 3/10/2012
Transaction Date 3/20/2012
Wells Fargo 10100 Total
$300.00
Refer 112 H & L MESABI AGGREGATE CONS
Cash Payment E 101 -43100 -221 Equipment Parts
1X8X48 FSE BLADE
$341.27
•
Invoice 84945 3/6/2012
Transaction Date 3/13/2012
Wells Fargo 10100 Total
$341.27
Refer 155 HENNEPIN COUNTY ELECTIONS _
_750_,,,,
CITY OF MOUND 03/23/129:00 AM
Page 9
Payments
Current Period: March 2012
Cash Payment E 101 -41410 -210 Operating Supplies PVC'S OCT /DEC 2011 281 @.275EACH $77.28
Invoice 031212 3/12/2012
Transaction Date 3/14/2012 Wells Fargo 10100 Total $77.28
Refer 110 HENNEPIN COUNTY INFORMATIO
Cash Payment E 101 - 42110418 Other Rentals RADIO LEASE FEB 2012 $1,214.03
Invoice 120238034 2/29/2012
Transaction Date 3/13/2012 Wells Fargo 10100 Total $1,214.03
R efer 129 HENNEPIN COUNTY INFORMATIO
U
Cash Payment E 602 -49450 -321 Telephone & Cells
FEB 2012 PUBLIC WORKS RADIOS
$160.00
Invoice 120238113 2/29/2012
Project 12 -3
Transaction Date 3/13/2012
Wells Fargo 10100 Total
$160.00
Refer 18 HENNEPIN COUNTY INFORMATIO _
Cash Payment E 222 - 42260 -418 Other Rentals
FIRE RADIO LEASE CHARGE FEB 2012
$1,133.96
Invoice 120238033 2/29/2012
Transaction Date 3/20/2012
Wells Fargo 10100 Total
m
$1,133.96
Refer 130 HENNEPIN COUNTY SHERIFFS OF
Cash Payment E 101 - 41600 -450 Board of Prisoners
FEB 2012 PER DIEM AND PROCESSING
$496.75
FEES
Invoice 1000014660 2/2912012
Transaction Date 3/13/2012
a
Wells Fargo 10100 Total
$496.75 •
Refer 29 HENTGES, MATTHEW _
Cash Payment E 222 - 42260 -434 Conference & Training
TRAVEL ADVANCE FOR ROCHESTER FIRE
$300.00
SCHOOL 3 -31 -12 & 4 -1 -12
Invoice 031012 3/10/2012
Transaction Date 3/20/2012
Wells Fargo 10100 Total
$300.00
Refer 37 HOHENSTEINS, INCORPORATED
Cash Payment E 609 -49750 -252 Beer For Resale
BEER
$423.50
Invoice 593811 3/20/2012
Transaction Date 3/20/2012
- 1
Wells Fargo 10100 Total
$423.50
Refer 19 HOISINGTON KOEGLER GROUP,
Cash Payment G 101 -23251 XX MANCHESTER SUBDV
MANCHESTER SUBD. PCHARGES MOUND
$62.25
MISC PLANNING SVCS FEB 2012
Invoice 007 - 001-46 3/9/2012
Cash Payment G 101 -23246 PBK SIGN VARIANCE #11 -1
PBK SIGN VARIANCE CHARGES MOUND
$41.50
MISC PLANNING SVCS FEB 2012
Invoice 007 - 001-46 3/9/2012
Cash Payment E 101 -42400 -300 Professional Srvs
MOUND MISC PLANNING SVCS FEB 2012
$373.50
Invoice 007 - 001-46 3/9/2012
Transaction Date 3/20/2012
Wells Fargo 10100 Total
$477.25
Refer ra 20 HOIS/NGTON KOEGLER GROUP, I _
Cash Payment G 101 -23247 WALGREENS #11 -10 SEMP
SEMPER DEV COMP PLAN AMMENDMENT
$1,149.70
FEB 2012 SVCS
Invoice 007 - 005-45 3/9/2012
Cash Payment G 101 -23252 4568 DENBIGH #12 -03 BED
4568 DENBIGH RD VARIANCE FEB 2012
$249.00
SERVICES
•
Invoice 007 - 005-45 3/9/2012
Transaction Date 3/20/2012
Wells Farnn 10100 Total
$1,398.70
..,.� ,�..�., . �. ...,..�.......,.�..�.- ...w.. -.
CITY OF MOUND 03/23/129:00 AM
Page 10
Payments
•
Refer 175 ISLAND PARK SKELLY
Cash Payment
Current Period: March 2012
$21.68
I UMNw" , ' `=4c"° aw".-. a '. - ' ' "r,.�+ .r M ,..
': `. :.. •.: s§'s:. w .pB'3 3a'`si�,`.w'
+u n... I f ;
Refer 55 HOME DEPOT /GECF (P/IM
E 101 - 42110 -404 Machinery/Equip Repairs CHANGE OIL, CHANGE BRAKE ROTORS
$771.34
Cash Payment
E 60249450 -223 Building Repair Supplies
MASKING TAPE 6 PCE ECON COVER,
$94.26
3/7/2012
SUPPLIES TO UPGRADE PIN SHOP
E 101 - 42110 -404 Machinery/Equip Repairs SCANNED ABS COMPUTER AND REPLACE
Invoice 2124959
2/27/2012
Project 12 -3
Transaction Date
3/23/2012
Wells Fargo 10100 Total
$94.26
Refer 216 INFRATECH -
$1,607.87
Refer 148 JJ TAYLOR. DISTRIBUTING MINN
Cash Payment
E 60249450400 Repairs & Maintenance
WINCH WITH TRIPOD, REBEL CARABINER
$3,300.84
Invoice 1200099
2/20/2012 PO 23667
Transaction Date
Transaction Date
3/19/2012
Wells Fargo 10100 Total
$3,300.84
Refer 175 ISLAND PARK SKELLY
Cash Payment
E 101 - 42110 -404 Machinery/Equip Repairs REPLACE TURN LIGHT BULB SQUAD #846
$21.68
Invoice 32597
3/8/2012
3/14/2012
Cash Payment
E 101 - 42110 -404 Machinery/Equip Repairs CHANGE OIL, CHANGE BRAKE ROTORS
$771.34
3/14/2012
AND HUB ASSEMBLY SQUAD #849
E 609 -49750 -254 Soft Drinks/Mix For Resa MIX
Invoice 32594
3/7/2012
Cash Payment
E 101 - 42110 -404 Machinery/Equip Repairs SCANNED ABS COMPUTER AND REPLACE
$814.85
MODULE SQUAD #848
Invoice 32564
2/29/2012
Transaction Date
3/1512012 Wells Fargo 10100 Total
$1,607.87
Refer 148 JJ TAYLOR. DISTRIBUTING MINN
Payment
E 609 -49750 -252 Beer For Resale BEER
$130.00
• Cash
Invoice 1740616
3/13/2012
Transaction Date
3/14/2012 Wells Fargo 10100 Total
$130.00
Refer 149 JJ TAYLOR. DISTRIBUTING MINN _
Cash Payment
E 609 -49750 -252 Beer For Resale BEER
$561.25
Invoice 1740605
3/13/2012
Transaction Date
3/14/2012 Wells Fargo 10100 Total
$561.25
Refer 91 JOHNSON BROTHERS LIQUOR
Cash Payment
E 609 -49750 -254 Soft Drinks/Mix For Resa MIX
$60.50
Invoice 1248923
3/7/2012
Transaction Date
3/13/2012 Wells Fargo 10100 Total
$60.50
Refer 92 JOHNSON BROTHERS LIQUOR
Cash Payment E 609 - 49750 -253 Wine For Resale WINE $3,307.25
Invoice 1248922 317/2012
Transaction Date 3/1312012 Wells Fargo 10100 Total $3,307.25
Refer 93 JOHNSON BROTHERS LIQUOR
Cash Payment E 609 -49750 -251 Liquor For Resale LIQUOR
Invoice 1248921 3/7/2012
Transaction Date 3/1312012 Wells Fargo
Refer 182
JOHNSON BROTHERS LIQUOR
Cash Payment
E 609 -49750 -251 Liquor For Resale LIQUOR
Invoice 1253503
3/14/2012
Cash Payment
E 609 -49750 -253 Wine For Resale WINE
1253504
3/14/2012
is Invoice
Cash Payment
E 609 -49750 -254 Soft Drinks/Mix For Resa MIX
Invoice 1253505
3/14/2012
$3,797.05
10100 Total $3,797.05
$2,856.75
$2,731.90
$34.25
-752-
-753-
CITY OF MOUND
03/23/129:00 AM
Page 11
Payments
•
Current Period: March 2012
. xis rc ^K_- _.^^�^ ^s +nos ._ • a ..,.
.'., 5 .'.�'ata. :,,.:i "a �.. « —. ?s..;,� »��'^�:s.«.:s6- .ca'+, s4a;�» v..- xr..�..,:..., •'" Y,.
w� m � _
�� r�"� '` ' x - �`��k�`. ro 5w ..
Transaction Date
3/15/2012
Wells Fargo 10100 Total
$5,622.90
Refer X 21 JUBILEE FOODS _
Cash Payment
E 222 - 42260 -431 Meeting Expense
ITEMS FOR FIRE MEETING
$39.28
Invoice 031212
3/12/2012
Cash Payment
E 22242260431 Meeting Expense
BEVERAGES FOR FIRE COMMISSION MTG 2-
$10.28
29 -12
Invoice 022912
2/29/2012
Transaction Date
3/20/2012
Wells Fargo 10100 Total
$49.56
Refer ....,.� 22 KENNEDYAND GRAVEN
Cash Payment
E 10141600 -300 Professional Srvs
EXECUTIVE LEGAL SERVICES FEB 2012
$1,038.00
Invoice 022912
2/29/2012
Cash Payment
E 101 -41600 -300 Professional Srvs
ADMINISTRATIVE LEGAL SERVICES FEB
$467.20
2012
Invoice 022912
2/29/2012
Cash Payment
E 10141600 -312 Legal Police
POLICE LEGAL SERVICES FEB 2012
$84.00
Invoice 022912
2/29/2012
Cash Payment
E 10141600 -314 Legal P/W
PUBLIC WORKS LEGAL SERVICES FEB 2012
$174.00
Invoice 022912
2/29/2012
Cash Payment
E 10141600 -316 Legal P & I
PLANNING LEGAL SERVICES FEB 2012
$405.00
Invoice 022912
2/29/2012
Cash Payment
G 101 -23247 WALGREENS #11 -10 SEMP
WALGREENS - SEMPER LEGAL SERVICES
$162.00
FEB 2012
•
Invoice 022912
2/29/2012
Cash Payment
G 101 -23231 6301 Lynwood #10 -07, Wood WOODLYN RIDGE LEGAL SERVICES FEB
$397.50
2012
Invoice 022912
2/29/2012
Cash Payment
G 101 -23252 4568 DENBIGH #12 -03 BED
4568 DENBIGH LEGAL SERVICES FEB 2012
$37.50
Invoice 022912
2/29/2012
Cash Payment
G 101 -23246 PBK SIGN VARIANCE #11 -1
PBK SIGN VARIANCE LEGAL SERVICES FEB
$84.00
2012
Invoice 022912
2/29/2012
Cash Payment
G 101 -23250 5001 WILSHIRE #12 -01 WIN
5001 WILSHIRE - WINKLER LEGAL SERVICES
$18.00
FEB 2012
Invoice 022912
2/29/2012
Transaction Date
3/20/2012
Wells Fargo 10100 Total
$2,867.20
Refer 23 KENNEDYAND GRAVEN
Cash Payment
E 10141600 -300 Professional Srvs
FEB 2012 LEGAL SERVICES MISC BILLABLE
$176.00
Invoice 107101
3/9/2012
Cash Payment
E 10141600 -300 Professional Srvs
FEB 2012 LEGAL SERVICES
$154.00
BRENSHALULANDFORM DEVELOPMENT
Invoice 107101
3/9/2012
Transaction Date
3/20/2012
Wells Fargo 10100 Total
M
$330.00
Refer 131 LAKE MINNETONKA CONSERVATI
Cash Payment
E 281 45210439 LMCD
CITY OF MOUND DOCK PROGRAM FEES
$4,690.00
2012
Invoice 2012FEE
3/15/2012
Cash Payment
E 281 - 45210 -439 LMCD
CITY OF MOUND DOCK PROGRAM FEES
$595.00
2012 VILLAS
•
Invoice 2012FEE
3/15/2012
-753-
CITY OF MOUND
03/23/129:00 AM
Page 12
Payments
•
Current Period: March 2012
Cash Payment E 101 - 45200 -430 Miscellaneous
CITY OF MOUND DOCK PROGRAM FEES
$332.50
2012 TRANSIENT
Invoice 2012FEE 3/15/2012
Transaction Date 3/13/2012
Wells Fargo 10100 Total
�.� ........
$5,617.50
Refer 152 LAKESHORE WEEKLY COMMUNIC
_
Cash Payment E 609 -49750 -340 Advertising
LAKESHORE WEEKLY NEWS ADVERTISING
$424.00
Invoice 00128716 3/612012
Transaction Date 3/14/2012
Wells Fargo 10100 Total
$424.00
Refer 199 LAKESHORE WEEKLY COMMUNIC
_
Cash Payment E 101 -41500 -351 Legal Notices Publishing ADVERTISEMENT FOR ACCOUNTANT
$216.00
POSITION
Invoice 6243 3/13/2012
Transaction Date 3/16/2012
Wells Fargo 10100 Total
$216.00
Refer 210 LAWSON PRODUCTS, INC
Cash Payment E 101 -45200 -220 Repair /Maint Supply
SCREWS, WASHERS, BLACK BOARD
$406.14
Invoice 9300684841 3/12/2012
Transaction Date 3/19/2012
b
Wells Fargo 10100 Total
$406.14
Refer 215 # LAWSON PRODUCTS, INC
_
Cash Payment E 101 - 45200 -220 Repair /Maint Supply
WASHERS, JOBBER DRILL BIT, HEAT SEAL,
$212.44
CABLES TIES
• GREASE,
Invoice 9300684842 3/12/2012
Transaction Date 3/19/2012
Wells Fargo 10100 Total
$212.44
Refer 24 LA WSON PRODUCTS, INC
Cash Payment E 101 -45200 -220 Repair /Maint Supply
WASHERS, DRILL BITS, WHEEL, GREASE
$212.44
Invoice 9300684842 3/12/2012
Transaction Date 3/20/2012
Wells Fargo 10100 Total
$212.44
Refer 209 LEAGUE MN CITIES INSURANCE T ��
Cash Payment E 609 -49750 -361 General Liability Ins
2012 LIQUOR LIABILITY COVERAGE 2012
$4,592.00
Invoice 39429 3/12/2012
Transaction Date 3/16/2012
Wells Fargo 10100 Total
$4,592.00
Refer 217 LEAGUE MN CITIES INSURANCE T
Cash Payment E 101 -41110 -361 General Liability Ins
1ST QUARTER CITY GENERAL LIABILITY
$1,092.80
INSURANCE
Invoice 39428 3/12/2012
Cash Payment E 101- 41310 -361 General Liability Ins
1ST QUARTER CITY GENERAL LIABILITY
$291.41
INSURANCE
Invoice 39428 3/12/2012
Cash Payment E 101 -41500 -361 General Liability Ins
1ST QUARTER CITY GENERAL LIABILITY
$393.41
INSURANCE
Invoice 39428 3/12/2012
Cash Payment E 101 -41600 -361 General Liability Ins
1ST QUARTER CITY GENERAL LIABILITY
$72.85
INSURANCE
Invoice 39428 3/12/2012
Cash Payment E 101 -41910 -361 General Liability Ins
1ST QUARTER CITY GENERAL LIABILITY
$160.28
INSURANCE
• Invoice
39428 3/12/2012
Cash Payment E 101 -42110 -361 General Liability Ins
1ST QUARTER CITY GENERAL LIABILITY
$2,345.87
INSURANCE
Invoice 39428 3/12/2012
-754-
Invoice 165156 3/21/2012
WORKSHOP 4 -11 -12 C. MOORE
Cash Payment
CITY OF MOUND
03/23/12 9:00 AM
WORKSHOP 4 -11 -12 J. FACKLER
Invoice 165156
Page 13
Cash Payment
Payments
2012 SAFETY & LOSS CONTROL $20.00
WORKSHOP 4 -17 -12 C. PAUSCHE
Invoice 165156
3/21/2012
•
Cash Payment
Current
Period: March 2012
WORKSHOP 4 -26 -12 B. RITTER
Cash Payment
E 101 -42115 -361 General Liability Ins
1ST QUARTER CITY GENERAL LIABILITY
$43.71
INSURANCE
Invoice 39428
3/12/2012
Cash Payment
E 101 -42400 -361 General Liability Ins
1ST QUARTER CITY GENERAL LIABILITY
$378.84
INSURANCE
Invoice 39428
3/12/2012
Cash Payment
E 101 - 43100 -361 General Liability Ins
1ST QUARTER CITY GENERAL LIABILITY
$2,404.16
INSURANCE
Invoice 39428
3/12/2012
Cash Payment
E 101 -45200 -361 General Liability Ins
1ST QUARTER CITY GENERAL LIABILITY
$539.11
INSURANCE
Invoice 39428
3/12/2012
Cash Payment
E 222 - 42260 -361 General Liability Ins
1 ST QUARTER CITY GENERAL LIABILITY
$2,914.13
INSURANCE
Invoice 39428
3/12/2012
Cash Payment
E 281 -45210 -361 General Liability Ins
1ST QUARTER CITY GENERAL LIABILITY
$324.93
INSURANCE
Invoice 39428
3/12/2012
Cash Payment
E 285 -46388 -361 General Liability Ins
1ST QUARTER CITY GENERAL LIABILITY
$7.29
INSURANCE
Invoice 39428
3/12/2012
Cash Payment
E 601 -49400 -361 General Liability Ins
1 ST QUARTER CITY GENERAL LIABILITY
$2,433.30
INSURANCE
Invoice 39428
3/12/2012
•
Cash Payment
E 602 - 49450 -361 General Liability Ins
1ST QUARTER CITY GENERAL LIABILITY
$2,258.45
INSURANCE
Invoice 39428
3/12/2012
Cash Payment
E 60949750 -361 General Liability Ins
1ST QUARTER CITY GENERAL LIABILITY
$3,468.96
INSURANCE
Invoice 39428
3/12/2012
Cash Payment
E 281 -45210 -361 General Liability Ins
DOCK FOR VILLAS ON LOST LAKE
$5,094.00
INSURANCE 2012
Invoice 39428
3/12/2012
Cash Payment
E 28546388 -361 General Liability Ins
PARKING DECK PROPERTY INSURANCE
$4,975.00
2012
Invoice 39428
3/12/2012
Transaction Date 3/19/2012
Wells Fargo 10100 Total
$29,198.50
Refer 56
LEAGUE OF MINNESOTA CITIES
Cash Payment
E 10143100 -434 Conference & Training
2012 SAFETY & LOSS CONTROL
$20.00
Invoice 165156 3/21/2012
WORKSHOP 4 -11 -12 C. MOORE
Cash Payment
E 101 - 45200 -434 Conference & Training
2012 SAFETY & LOSS CONTROL $20.00
WORKSHOP 4 -11 -12 J. FACKLER
Invoice 165156
3/21/2012
Cash Payment
E 101 - 41500 -434 Conference & Training
2012 SAFETY & LOSS CONTROL $20.00
WORKSHOP 4 -17 -12 C. PAUSCHE
Invoice 165156
3/21/2012
Cash Payment
E 101 - 41310 -434 Conference & Training
2012 SAFETY & LOSS CONTROL $20.00
WORKSHOP 4 -26 -12 B. RITTER
Invoice 165156 3/21/2012 •
Transaction Date 3/23/2012 Wells Fargo 10100 Total $80.00
Refer 158 LOFFLER COMPANIES, INCORPOR
-755-
Refer 100 MINNEHAHA BUILDING MAINTENA
Cash Payment E 609- 49750 -440 Other Contractual Servic 2/13/12 WINDOW WASH $65.19
Invoice 921095098 3/4/2012
Transaction Date 3/13/2012 Wells Fargo 10100 Total $65.19
Refer � 34 MINNESOTA DEPT OF HEALTH
Cash Payment E601-49400-433 Dues and Subscriptions CLASS C WATER SUPPLY SYSTEM $23.00
OPERATOR B. BERENT
Invoice 031412 3/14/2012 PO 23682
• Cash Payment E 601 - 49400 -433 Dues and Subscriptions CLASS C WATER SUPPLY SYSTEM $23.00
OPERATOR H. STRICKLEN
Invoice 031412 3/14/2012 PO 23682
Transaction Date 3/2012012 Wells Fa 10100 Total $46.00
CITY OF MOUND
03/23/129:00 AM
Page 14
Payments
•
Current Period: March 2012
Cash Payment
E 101 -41910 -202 Duplicating and copying
BLACK AND WHITE 2 -14 -12 TO 3 -13 -12
$69.77
OVERAGE KONICA MINOLTA C652
Invoice 1375164
3/12/2012
Cash Payment
E 101 -41910 -202 Duplicating and copying
COLOR 2 -14 -12 TO 3 -13 -12 OVERAGE
$26.76
KONICA MINOLTA C652
Invoice 1375164
3/12/2012
Transaction Date
3/15/2012
Wells Fargo 10100 Total
$96.53
Refer 208 LOUKA TACTICAL TRAINING
Cash Payment
E 101 - 42110 -434 Conference & Training
BUILDING WARRIOR WOMEN TRAINING
$250.00
JUNE 4 -5 2012 J. WITTKE
Invoice 23855
3/15/2012 PO 23855
Transaction Date
3/16/2012
Wells Fargo 10100 Total
$250.00
Refer 57 MADDEN, GALANTER, HANSON, L
Cash Payment
E 101- 49999 -430 Miscellaneous
LABOR RELATIONS SVCS- PATROL
$566.95
MEDIATION FEBRUARY 2012
Invoice 032712
3/1/2012
Cash Payment
E 101 - 49999 -430 Miscellaneous
LABOR RELATIONS - WORKERS COMP
$318.60
ISSUE FEBRUARY 2012
Invoice 032712
3/1/2012
Transaction Date
3/23/2012
Wells Fargo 10100 Total
$885.55
•
Refer 42 MARLIN S TRUCKING DELIVERY
3 -1 -12 DELIVERY CHARGE
$267.40
Cash Payment E 609 - 49750 -265 Freight
Invoice 26785
3/1/2012
Cash Payment
E 609 -49750 -265 Freight
3 -5 -12 DELIVERY CHARGE
$35.00
Invoice 26793
3/5/2012
Cash Payment
E 609 -49750 -265 Freight
3 -8 -12 DELIVERY CHARGE
$393.40
Invoice 26809
3/8/2012
Cash Payment
E 609 -49750 -265 Freight
3 -12 -12 DELIVERY CHARGE
$29.40
Invoice 26821
3/12/2012
Cash Payment
E 609 -49750 -265 Freight
3 -15 -12 DELIVERY CHARGE
$243.60
Invoice 26838
3/15/2012
Transaction Date
3/20/2012
Wells Fargo 10100 Total
$968.80
Refer 30 MCCARVILLE, MICHAEL _
Cash Payment
E 222 - 42260 -434 Conference & Training
TRAVEL ADVANCE FOR ROCHESTER FIRE
$300.00
SCHOOL 3 -31 -12 & 4 -1 -12
Invoice 031212
3112/2012
Transaction Date
3/20/2012
Wells Fargo 10100 Total
$300.00
Refer 100 MINNEHAHA BUILDING MAINTENA
Cash Payment E 609- 49750 -440 Other Contractual Servic 2/13/12 WINDOW WASH $65.19
Invoice 921095098 3/4/2012
Transaction Date 3/13/2012 Wells Fargo 10100 Total $65.19
Refer � 34 MINNESOTA DEPT OF HEALTH
Cash Payment E601-49400-433 Dues and Subscriptions CLASS C WATER SUPPLY SYSTEM $23.00
OPERATOR B. BERENT
Invoice 031412 3/14/2012 PO 23682
• Cash Payment E 601 - 49400 -433 Dues and Subscriptions CLASS C WATER SUPPLY SYSTEM $23.00
OPERATOR H. STRICKLEN
Invoice 031412 3/14/2012 PO 23682
Transaction Date 3/2012012 Wells Fa 10100 Total $46.00
CITY OF MOUND 03123/12 9:00 AM
Page 15
Payments
•
Current Period: March 2012
-.�:. r� ,z�� .a�a«�'�"' . ' ate'"" '�' ",'•, nab �:� ���x„:^.��. M
Refer 132 MINNESOTA POLLUTION CONTRO
Cash Payment E 475 -46386 -300 Professional Srvs MPCA CLEANUP DATA ENTRY /FILE FEE $62.50
TRANSIT DISTRICT
Invoice 7700004382 3/1/2012
Transaction Date 3/13/2012 Wells Fargo 10100 Total $62.50
Refer 50 MINNESOTA VALLEY TES LA
Cash Payment E 601 - 49400 -470 Water Samples
COLIFORM WATER TESTS, MONTHLY
$77.50
CHLORINE REPORT
Invoice 594808 3/19/2012
Transaction Date 3/23/2012
Wells Fargo 10100
Total
$77.50
Refer 198 MOONEY, DEAN L. _
Cash Payment E 101 - 42110 -433 Dues and Subscriptions
REIMBURSE CHIEF OF POLICE ANNUAL
$230.00
DUES MOONEY
Invoice 031512 3/15/2012
Cash Payment E 101 - 42110 -431 Meeting Expense
REIMBURSE ANNUAL CHAPLIN'S LUNCH
$63.39
MOUND PORTION
Invoice 031512 3/15/2012
Transaction Date 3/16/2012
m �� ��� M, �� Y � • �
Wells Fargo 10100
Total
$293.39
Refer 171 MOUND MARKETPLACE LLC
Cash Payment E 609 - 49750412 Building Rentals
APRIL HWS COMMON AREA MTC AND
$1,024.25
INSURANCE
Invoice 031512 3/15/2012
Transaction Date 3/15/2012
Y.
Wells Fargo 10100
Total
$1,024.25
Refer 218 MOUND, CITY OF _
Cash Payment E 609 -49750 -382 Water Utilities
WATER SERVICE 2 -1 -12 TO 3 -2 -12
$38.81
Invoice 031612 3/16/2012
Transaction Date 3/19/2012
4
Wells Fargo 10100
Total
$38.81
Refer 157 N MUNICIPALS _
Cash Payment E 101 41500433 Dues and Subscriptions
CITY OF MOUND 2012 MEMBERSHIP
$25.00
Invoice 032712 3/27/2012
Transaction Date 3/15/2012
Wells Fargo 10100
Total
$25.00
Refer 58 MUZAK - MINNEAPOLIS
Cash Payment E 60949750 -440 Other Contractual Servic
MUSIC SERVICES APRIL 2012
$108.94
Invoice A936018 4/1/2012
Transaction Date 3/23/2012
Wells Fargo 10100
Total
�
$108.94
Refer 113 NAPA AUTO PARTS - SPRING PAR �_������
Cash Payment E 10143100 -221 Equipment Parts
TURN SIGNAL SWITCH #605
$302.59
Invoice 800431 2/22/2012
Transaction Date 3/13/2012
Wells Fargo 10100
Total
$302.59
Refer 25 NATIONAL FIRE PROTECTION ASS
Cash Payment E 222 - 42260433 Dues and Subscriptions
2012 NFPA DUES THRU 5 -31 -13
$165.00
Invoice 022812 2/28/2012
Transaction Date 3/20/2012
Wells Fargo 10100
.�,M� +����
Total
����
$165.00
-•
Refer 172 NATIONAL RECREATION PARKAS
Cash Payment E 101 - 45200 -433 Dues and Subscriptions
2012 NATIONAL RECREATION AND PARK
$150.00
ASSOC MEMBERSHIP J. FACKLER
Invoice PARMC212 3/15/2012
_
•
•
CITY OF MOUND
•
Payments
03/23/12 9:00 AM
Page 16
Current Period: March 2012
Transaction Date 3/15/2012 Wells Fargo 10100 Total $150.00
... _........ .
Refer 123 NELSON ELECTRIC MOTOR REPAI _
Cash Payment E 602 - 49450 -440 Other Contractual Servic
SUMACH LIFT STATION PUMP REPAIR
$300.00
Invoice 5658 2/22/2012
Transaction Date 3/13/2012
Wells Fargo 10100
Total
$300.00
Refer 116 NORTH AMERICAN SALT COMPAN
Cash Payment E 101 -43100 -237 Deicing Salt
BULK HIGHWAY COARSE SALT
$3,311.50
Invoice 70807511 3/1/2012
Transaction Date 3/13/2012
Wells Fargo 10100
Total
$3,311.50
Refer 117 NORTH AMERICAN SALT COMPAN
Cash Payment E 101 -43100 -237 Deicing Salt
BULK HIGHWAY COARSE SALT
$3,666.85
Invoice 70805268 2/25/2012
Transaction Date 3/13/2012
Wells Fargo 10100
Total
$3,666.85
Refer 144 NORTHERN TOOL AND EQUIPMEN
Cash Payment E 602 -49450 -221 Equipment Parts
10K HOUR METER
$60.04
Invoice 25704536 2/24/2012
Transaction Date 3/13/2012
Wells Fargo 10100
Total
$60.04
Refer 133 OFFICE DEPOT _
Cash Payment E 101 -41910 -200 Office Supplies
GENERAL CITY HALL OFFICE SUPPLIES;
$38.42
•
TAPE, LABELS, DUSTER
Invoice 600278623001 3/1/2012 PO 23672
Cash Payment E 101 -42400 -200 Office Supplies
PLANNING HEADPHONES
$8.50
Invoice 600278748001 3/1/2012 PO 23672
Transaction Date 3/13/2012
Wells Fargo 10100
Total
$46.92
Refer 219 OFFICE DEPOT _
Cash Payment E 101 -41500 -200 Office Supplies FINANCE MANILLA FOLDERS $10.86
Invoice 601171434001 3/8/2012
Cash Payment E 101 - 41910 -200 Office Supplies CITY HALL OFFICE SUPPLIES BINDERS, $357.03
PAPER, LIQUID PAPER, SHEET
PROTECTORS
Invoice 601171434001 3/8/2012
Transaction Date 3/19/2012 Wells Fargo 10100 Total $367.89
Refer 26 OFFICE DEPOT
Cash Payment E 222 -42260 -200 Office Supplies COPY PAPER, BINDERS, POST ITS, $102.26
STORAGE BOXES
Invoice 601262805001 3/9/2012 PO 23368
Transaction Date 3/20/2012 Wells Fargo 10100 Total $102.26
Refer 183 OLVALDE FARM & BREWING CO. _
Cash Payment E 609 -49750 -253 Wine For Resale WINE $168.00
Invoice 340 3/14/2012
Transaction Date 3/15/2012 Wells Fargo 10100 Total $168.00
Refer 43 PARLEY LAKE IMNERY _
Cash Payment E 60949750 -253 Wine For Resale WINE $459.00
• Invoice 8300 3/19/2012
Transaction Date 3/20/2012 Wells Fargo 10100 Total $459.00
Refer 151 PAUSTIS AND SONS WINE COMPA _758_
CITY OF MOUND 03/23/129:00 AM
Page 17
Payments
Current Period: March 2012
WINE
$1,062.00
Invoice 582875 - 003/7/2012
Cash Payment E 609 -49750 -253 Wine For Resale
WINE
Total $1,062.00
$753.70
Invoice 8341544 -IN 3/12/2012
Cash Payment E 609 -49750 -251 Liquor For Resale
LIQUOR
Cash Payment E 609 -49750 -265 Freight
FREIGHT
$11.25
Invoice 8341544 -IN 3/12/2012
Wells Fargo 10100
�•~ 4 , ~�~ ..
Total $4,536.57
,�.- .-
,�����
Refer � 185 QUALITY WINE AND SPIRITS
Transaction Date 3/14/2012
Wells Fargo
10100 Total
$764.95
Refer PHILLIPS WINE AND SPIRITS, INC
Invoice 585204 -00 3/14/2012
Cash Payment E 609 -49750 -252 Beer For Resale
BEER
-
$2,563.78
$28.75
Invoice 2207150 3/7/2012
Transaction Date 3/13/2012
Welts Fargo
..,.....,
10100 Total
�.,... ,- � .��..,- .�.�...w.".a,,.,.,..«..
$28.75
Refer 89 PHILLIPS WINE AND SPIRITS, INC
��
Cash Payment E 609 -49750 -251 Liquor For Resale
LIQUOR
$4,002.45
Invoice 2207149 3/7/2012
Transaction Date 3/13/2012
Wells Fargo
10100 Total
$4,002.45
Refer 90 PHILLIPS WINE AND SPIRITS, INC
Cash Payment E 609 -49750 -253 Wine For Resale
WINE
$1,688.50
Invoice 2207148 3/7/2012
Transaction Date 3/13/2012
Wells Fargo
10100 Total
$1,688.50
Refer 184 PHILLIPS WINE AND SPIRITS, INC
Cash Payment E 609 -49750 -253 Wine For Resale
WINE
$91.00
Invoice 2210555 3/14/2012
Cash Payment E 609 -49750 -252 Beer For Resale
BEER
$33.00
Invoice 2210554 3/14/2012
Cash Payment E 609 -49750 -253 Wine For Resale
WINE
$1,571.65
Invoice 2210553 3/14/2012
Cash Payment E 609 -49750 -251 Liquor For Resale
LIQUOR
$438.45
Invoice 2210552 3/14/2012
Transaction Date 3/1512012
Wells Fargo
10100 Total
$2,134.10
Refer 32 PNC EQUIPMENT FINANCE
Cash Payment E 222 -42260 -525 Other Capital Improveme FIRE EQUIPMENTSCBA LEASE PAYMENT
$17,078.19
2012
Invoice 14752400 3/6/2012
Transaction Date 3/20/2012
Wells Fargo
10100 Total
$17,078.19
Refer 80 Q UALITY WINE AND SPIRITS
U
•
Cash Payment E 609 - 49750 -253 Wine For Resale
WINE
$1,062.00
Invoice 582875 - 003/7/2012
Transaction Date 3/13/2012
Wells Fargo 10100
Total $1,062.00
Refer 81 QUALITY WINE AND SPIRITS _
Cash Payment E 609 -49750 -251 Liquor For Resale
LIQUOR
$4,536.57
Invoice 582952 - 003/7/2012
Transaction Date 3/13/2012
�
Wells Fargo 10100
�•~ 4 , ~�~ ..
Total $4,536.57
,�.- .-
,�����
Refer � 185 QUALITY WINE AND SPIRITS
� ,..,..�� �...�..,.�,. -..��
Cash Payment E 609 -49750 -255 Misc Merchandise For R
MISC MERCH
$42.53
Invoice 585204 -00 3/14/2012
Cash Payment E 609 -49750 -251 Liquor For Resale
LIQUOR
-
$2,563.78
Invoice 585203 -00 3114/2012
-759-
CITY OF MOUND 03/23/12 9:00 AM
Page 18
•
Payments
Current Period: March 2012
Cash Payment E 60949750 -253 Wine For Resale
WINE
$698.00
Invoice 585232 -00 3/14/2012
Transaction Date 3/15/2012
� .
Wells Fargo 10100 Total
$3,304.31
Refer 211 RJM DISTRIBUTING INC
Cash Payment E 609 -49750 -252 Beer For Resale
BEER
$279.00
Invoice 16767 3/14/2012
Transaction Date 3/19/2012
Wells Fargo 10100 Total
$279.00
Refer 134 SCHINDLER ELEVATOR CORPORA
Cash Payment E 285 -46388 -440 Other Contractual Servic
TRANSIT CENTER ELEVATOR REPAIRS 2 -28-
$336.71
12
Invoice 7151596339 3/7/2012
Transaction Date 3/13/2012
Wells Fargo 10100 Total
$336.71
Refer 159 SCHINDLER ELEVATOR CORPORA _
Cash Payment E 222 - 42260 -440 Other Contractual Servic
2012 PUBLIC SAFETY BLDG ELEVATOR MTC
$492.96
CONTRACT
Invoice 8103089098 1/1/2012
Cash Payment E 10142110440 Other Contractual Servic
2012 PUBLIC SAFETY BLDG ELEVATOR MTC
$492.96
CONTRACT
Invoice 8103089098 1/1/2012
Transaction Date 3/15/2012
Wells Fargo 10100 Total
$985.92
Refer 160 SIBLEY COUNT SHERIFFS OFFICE
Cash Payment E 101 -42110 -351 Legal Notices Publishing
FILE NO 2012 -95 ABODE SERVICE OF
$50.00
SUBPOENA FOR J. JEROME
Invoice 2012 -95 3/7/2012
Transaction Date 3/15/2012
Wells Fargo 10100 Total
$50.00
Refer 101 SOUTHERN WINE & SPIRITS OF M _
Cash Payment E 609 -49750 -251 Liquor For Resale
LIQUOR
$195.00
Invoice 1717378 3/9/2012
Cash Payment E 609 - 49750 -253 Wine For Resale
WINE
$1,454.00
Invoice 1717378 3/9/2012
Cash Payment E 609 -49750 -265 Freight
FREIGHT
$15.05
Invoice 1717378 3/9/2012
Transaction Date 3/13/2012
Wells Fargo 10100 Total
$1,664.05
Refer 150 M SOUTHERN WINE & SPIRITS OF M�
Cash Payment E 609 -49750 -251 Liquor For Resale
LIQUOR
$622.88
Invoice 1717390 3/13/2012
Cash Payment E 609 -49750 -265 Freight
FREIGHT
$4.60
Invoice 1717390 3/13/2012
Transaction Date 3/14/2012
Wells Fargo 10100 Total
$627.48
Refer 27 SOUTHWEST TRAILS ASSOCIATIO
Cash Payment G 101 -22801 Deposits /Escrow
SW TRAILS ASSOC PMT #2 2012 3 -16 -12
$7,735.60
Invoice 031612 3/16/2012
Transaction Date 3/20/2012
Wells Fargo 10100 Total
$7,735.60
- 200 STAR TRIBUNE NEWSPAPER
• Refer
Cash Payment E 101 -41500 -351 Legal Notices Publishing ACCOUNTANT ADVERTISEMENT
$542.00
Invoice 1009281122 3/11/2012
Transaction Date 3/16/2012
Wells Fai 10100 Total
$542.00
CITY OF MOUND 03/23/129:00 AM
Page 19
Payments
Current Period: March 2012
M AIM _..: li..
Refer 45 STONEBROOKE EQUIPMENT, INC
Cash Payment
E 101 -45200 -220 Repair/Maint Supply
CONTROL REPLACEMENT PAD -PARKS
$43.05
Invoice 22125
3/16/2012
Transaction Date 3/20/2012
Wells Fargo 10100
Total
$43.05
Refer 174
STRETCHER S _
Cash Payment
E 101 -42110 -218 Clothing and Uniforms
UNIFORM BOOTS FOR CSO WOCKEN
$79.99
Invoice 1911999
3/8/2012
Transaction Date 3/15/2012
Wells Fargo 10100
Total
$79.99
Refer 146
THORPE DISTRIBUTING COMPAN
Cash Payment
E 609 -49750 -252 Beer For Resale
BEER
$80.15
Invoice 679444
3/13/2012
Transaction Date 3/14/2012
Wells Fargo 10100
-�
Total
$80.15
Refer 147
THORPE DISTRIBUTING COMPAN
Cash Payment
E 609 -49750 -252 Beer For Resale
BEER
$2,089.25
Invoice 679445
3/13/2012
Transaction Date 3/14/2012
Wells Fargo 10100
Total
$2,089.25
Refer 213
THORPE DISTRIBUTING COMPAN
Cash Payment
E 609 -49750 -252 Beer For Resale
BEER
$275.00
Invoice 680111
3/16/2012
Transaction Date 3/19/2012
Wells Fargo 10100
Total
$275.00
Refer xPN 135 �T-
MOBILE CELL PHONE _
Cash Payment
G 101 -22801 Deposits /Escrow
2 -3 -12 TO 3 -2 -12 K HOFF CELL PHONE
$22.60
Invoice 030212
3/2/2012
Cash Payment
E 281 -45210 -321 Telephone & Cells
2 -3 -12 TO 3 -2 -12 K HOFF CELL PHONE
$45.10
Invoice 030212
3/2/2012
Transaction Date 3/1312012
Wells Fargo 10100
Total
$67.70
Refer 136
TRUE VALUE MOUND (POLICE)�
Cash Payment
E 101 -42110 -210 Operating Supplies
CAR WASH, CLEANING WIPES
$22.41
Invoice 091325
2/16/2012
Cash Payment
E 101 -42110 -210 Operating Supplies
DISCONNECT & CONNECTORS
$5.11
Invoice 091451
2/22/2012
Cash Payment
E 101 -42110 -210 Operating Supplies
SQUAD #849 POWER INVERTER
$36.33
Invoice 091585
2/29/2012
Cash Payment
E 101 -42110 -210 Operating Supplies
KENNEL SUPPLIES AND CLEANING
$16.86
SUPPLIES
Invoice 091864 3/13/2012
Transaction Date 3/13/2012
Refer 145 TRUE VALUE, MOUND (PW PKS)
Cash Payment E 101 -45200 -220 Repair /Maint Supply
Invoice 091755 3/8/2012
Cash Payment E 601 -49400 -220 Repair /Maint Supply
Invoice 091561 2/28/2012
Cash Payment E 602 -49450 -230 Shop Materials
Invoice 091558 2/28/2012
Cash Payment E 602 -49450 -230 Shop Materials
Invoice 091676 3/5/2012
Wells Fargo 10100 Total $80.71
SCREWS, NUTS, BOLTS FOR SKATE PARK $14.19
LATCH STORE BOX & SAFETY GLASSES $13.34
•
•
WIRE ROLLER, BRUSH, PLUGS $18.77
KEYS
Project 12 -3 •
$6.38
Project 12 -3
-761-
CITY OF MOUND 03/23112 9:00 AM
Page 20
Payments
•
Current Period: March 2012
Invoice 091786 3/9/2012
Cash Payment
E 602 -49450 -223 Building Repair Supplies
INT MEDALLION SIG W/TRM, PAINTER'S
$91.87
TAPE
SKATE PARK- BITS
Invoice 091539
2/27/2012
Project 12 -3
Cash Payment
E 602 -49450 -230 Shop Materials
PRO BRUSH, POLY DECK SCRUB
$29.36
Invoice 091718
3/7/2012
Project 12 -3
Wells Fargo 10100 Total
Cash Payment
E 602 -49450 -230 Shop Materials
PAINT —SHOP
$74.79
Invoice 091690
3/6/2012
Project 12 -3
Cash Payment
E 602 -49450 -210 Operating Supplies
GLOVES, DISH SOAP
$14.11
Invoice 091705
3/6/2012
Wells Fargo 10100 Total
$89.00
Cash Payment
E 602 -49450 -220 Repair /Maint Supply
CERAMIC FUSE
$14.40
Invoice 091668
3/5/2012
4/7/12
Cash Payment
E 602 -49450 -210 Operating Supplies
SOAP, PAINT
$75.86
Invoice 091531
2/27/2012
Project 12 -3
Transaction Date
3/13/2012
Wells Fargo 10100 Total
$353.07
Refer 201
TRUE VALUE, MOUND (PW PKS) _
Cash Payment
E 101 -45200 -220 Repair /Maint Supply
SOCKETS FOR SKATE PARK
$17.08
Invoice 091919
3/15/2012
Cash Payment
E 101 -45200 -220 Repair /Maint Supply
SCREWS, NUTS, BOLTS, WASHERS FOR
$9.61
SKATE PARK
Invoice 091786 3/9/2012
Transaction Date 3116/2012
Wells Fargo 10100 Total
$26.69
Refer 59 TRUE VALUE, MOUND (PW PKS)�
Cash Payment E 101 -45200 -220 Repair /Maint Supply
SKATE PARK- BITS
$28.82
Invoice 091940 3/16/2012
Cash Payment E 101 -45200 -220 Repair /Maint Supply
FAST SET CONCRETE GREENWAY
$10.68
Invoice 091932 3/16/2012
Transaction Date 3/23/2012
Wells Fargo 10100 Total
$39.50
Refer X 137 US HEALTH WORKS
Cash Payment E 602 -49450 -305 Medical Services
B. BUNN PRE EMPLOYMENT HEALTH
$89.00
SCREENING
Invoice 701 - 003975 3/2/2012
Transaction Date 3/13/2012
Wells Fargo 10100 Total
$89.00
Refer 220 VERIZON WIRELESS� _
Cash Payment E 222 -42260 -321 Telephone & Cells
FIRE DEPT WIRELESS CARDS 3/8/12 TO
$52.04
4/7/12
Invoice 2711774036 3/7/2012
Transaction Date 3/19/2012
Wells Fargo 10100 Total
$52.04
Refer 98 V/NOCOPIA, INCORPORATED
Cash Payment E 60949750 -251 Liquor For Resale LIQUOR $106.00
Invoice 0053281 -IN 3/8/2012
Cash Payment E 609 -49750 -265 Freight FREIGHT $2.50
Invoice 0053281 -IN 3/8/2012
Transaction Date 3/13/2012 Wells Fargo 10100 Total $108.50
Refer 9 9 VINOCOPIA, INCORPORATED
• Cash Payment E 609 -49750 -253 Wine For Resale
Invoice 0053280 -IN 318/2012
Cash Payment E 609 -49750 -265 Freight
Invoice 0053280 -IN 3/8/2012
WINE $769.17
FREIGHT $12.00
-762-
CITY OF MOUND 03/23/12 9:00 AM
Page 21
Payments
•
Current Period: March 2012
Transaction Date 3/13/2012 Wells Fargo 10100 Total $781.17
Refer 186 VINOCOPIA, INCORPORATED
Cash Payment E 609 -49750 -253 Wine For Resale WINE $352.00
Invoice 0053663 -IN 3/15/2012
Cash Payment E 609 -49750 -265 Freight FREIGHT $16.00
Invoice 0053663 -IN 3/15/2012
Cash Payment E 609 -49750 -254 Soft Drinks/Mix For Resa MIX $19.95
Invoice 0053663 -IN 3/15/2012
Transaction Date 3/15/2012 Wells Fargo 10100 Total $387.95
Refer 114 WACONIA DODGE CHRYSLER JEE
Cash Payment E 101 - 43100 -400 Repairs & Maintenance
OXYGEN SENSOR
$42.70
Invoice 32281 2/7/2012
Cash Payment E 602 - 49450 -400 Repairs & Maintenance
ALIGN FRONT END
OF 2007 DODGE DAKOTA
$69.95
Invoice 148765 3/13/2012
Project 12 -3
Transaction Date 3/13/2012
w
Wells Fargo
10100
Total
$112.65
Refer 87 WINE COMPANYx
Cash Payment E 609 -49750 -253 Wine For Resale
WINE
$416.00
Invoice 293989 - 003/8/2012
Cash Payment E 60949750 -265 Freight
FREIGHT
$9.90
Invoice 293989-003/8/2012
Transaction Date 3/13/2012
Wells Fargo
10100
Total
$425.90
g •
Refer 187 WINE COMPANY _
Cash Payment E 60949750 -253 Wine For Resale
WINE
$380.00
Invoice 294596 -00 3/15/2012
Cash Payment E 60949750 -265 Freight
FREIGHT
$8.40
Invoice 294596 -00 3/15/2012
Transaction Date 3/15/2012
Wells Fargo
10100
Total
$388.40
Refer 38 WINE COMPANY
Cash Payment E 60949750 -253 Wine For Resale
WINE
$176.00
Invoice 294771 -00 3/16/2012
Transaction Date 3/20/2012
Wells Fargo
10100
Total
$176.00
Refer 94 WINE MERCHANTS _
Cash Payment E 609 -49750 -254 Soft Drinks /Mix For Resa MIX
$14.75
Invoice 400197 3/7/2012
Transaction Date 3/13/2012
Wells Fargo
10100
Total
$14.75
Refer 95 WINE MERCHANTS
Cash Payment E 60949750 -253 Wine For Resale
WINE
$2,684.50
Invoice 400196 3/7/2012
Transaction Date 3/13/2012
Wells Fargo
10100
Total
$2,684.50
Refer 188 WINE MERCHANTS _
Cash Payment E 60949750 -253 Wine For Resale
WINE
$2,208.00
Invoice 401088 3/14/2012
Transaction Date 3/15/2012
We ll s Fargo
10100
Total
$2,208.00
Refer 60 WINE NEWS INCORPORATED
•
Cash Payment E 609 -49750 -255 Misc Merchandise For R
WINE ENTHUSIAST
APRIL 2012 ISSUES
$15.00
Invoice 902243 3/20/2012
-763-
CITY OF MOUND
03/23/129:00 AM
Page 22
Payments
•
Current Period: March 2012
Transaction Date 3/23/2012
Wells Fargo
10100 Total
$15.00
Refer 104 WIRTZ BEVERAGE MN BEE
Cash Payment E 609 -49750 -252 Beer For Resale
CORRECTION —BEER
- $38.50
Invoice 000121 2/28/2012
Transaction Date 3/13/2012
Wells Fargo
10100 Total
- $38.50
Refer 189 WIRTZ BEVERAGE MN BEER � #
Cash Payment E 609 -49750 -252 Beer For Resale
BEER
$4,731.10
Invoice 871888 3/14/2012
Transaction Date 3/15/2012
Wells Fargo
10100 Total
$4,731.10
Refer 82 WIRTZ BEVERAGE MN WINE SPIRT
Cash Payment E 609- 49750 -251 Liquor For Resale
LIQUOR
$0.00
Invoice 713410 3/8/2012
Transaction Date 3/1312012
Wells Fargo
10100 Total
$0.00
Refer 83 WIRTZ BEVERAGE MN WINE SPIRT
_
Cash Payment E 609 -49750 -251 Liquor For Resale
LIQUOR
$797.92
Invoice 713750 3/8/2012
Transaction Date 3/13/2012
Wells Fargo
10100 Total
$797.92
Refer 84 WIRTZ BEVERAGE MN WINE SPIRI
Payment E 609 -49750 -254 Soft Drinks /Mix For Resa MIX
$26.95
• Cash
Invoice 713751 3/8/2012
Transaction Date 3/13/2012
Wells Fargo
10100 Total
$26.95
Refer 85 WIRTZ BEVERAGE MN WINE SPIRI
Cash Payment E 609 - 49750 -253 Wine For Resale
WINE
$1,938.50
Invoice 713752 3/8/2012
Transaction Date 3/13/2012
Wells Fargo
10100 Total
$1,938.50
Refer 190 WIRTZ BEVERAGE MN WINE SPIRI
Cash Payment E 609 -49750 -251 Liquor For Resale
LIQUOR
$790.35
Invoice 716826 3/15/2012
Cash Payment E 609 -49750 -253 Wine For Resale
WINE
$1,971.35
Invoice 716827 3/15/2012
Transaction Date 3/15/2012
Wells Fargo
w
10100 Total
$2,761.70
Refer 214 WIRTZ BEVERAGE MN WINE SPIRI
Cash Payment E 609 -49750 -253 Wine For Resale
WINE
$0.00
Invoice 717829 3/19/2012
Transaction Date 3/19/2012
Wells Fargo
10100 Total
$0.00
Refer 138 XCEL ENERGY
Cash Payment E 101 -43100 -381 Electric Utilities
STREET LIGHTS 2 -3 -12 TO 3 -2 -12
$5,176.22
Invoice 412095701 3/5/2012
Transaction Date 3/13/2012
Wells Fargo
10100 Total
$5,176.22
Refer � 33 XCEL ENERGY�
Cash Payment E 101 -45200 -381 Electric Utilities
ELECTRIC SERVICE 1 -29 -12 TO 2 -27 -12
$243.64
317865142 3/13/2012
• Invoice
Cash Payment E 60249450 -381 Electric Utilities
ELECTRIC SERVICE 1 -29 -12 TO 2 -27 -12
$2,130.39
Invoice 317865142 3/13/2012
-764-
CITY OF MOUND
03/23/12 9:00 AM
Page 23
Payments
Current Period: March 2012
Cash Payment E 10143100 -381 Electric Utilities
Invoice 317865142 3/13/2012
Cash Payment E 601 -49400 -381 Electric Utilities
Invoice 317865142 3/13/2012
Cash Payment E 609 -49750 -381 Electric Utilities
Invoice 317865142 3/13/2012
Cash Payment E 101 -42110 -381 Electric Utilities
Invoice 317865142 3/13/2012
Cash Payment E 222 -42260 -381 Electric Utilities
Invoice 317865142 3/13/2012
Cash Payment E 101 - 41910 -381 Electric Utilities
Invoice 317865142 3/13/2012
Cash Payment E 285 -46388 -381 Electric Utilities
Invoice 317865142 3/13/2012
Cash Payment E 10142115 -381 Electric Utilities
Invoice 317865142 3/13/2012
ELECTRIC SERVICE 1 -29 -12 TO 2 -27 -12 $2,330.90
ELECTRIC SERVICE 1 -29 -12 TO 2 -27 -12 $3,658.56
ELECTRIC SERVICE 1 -29 -12 TO 2 -27 -12 $1,199.61
ELECTRIC SERVICE 1 -29 -12 TO 2 -27 -12 $1,293.56
ELECTRIC SERVICE 1 -29 -12 TO 2 -27 -12 $1,293.56
ELECTRIC SERVICE 1 -29 -12 TO 2 -27 -12
$722.75
ELECTRIC SERVICE 1 -29 -12 TO 2 -27 -12
$2,027.02
ELECTRIC SERVICE 1 -29 -12 TO 2 -27 -12
$25.58
Transaction Date 3/20/2012 Wells Fargo 10100 Total $14,925.57
Fund Summary
Pre - Written Check $0.00
Checks to be Generated by the Computer $289,589.94
Total $289,589.94
•
•
•
-765-
10100 Wells Fargo
101 GENERAL FUND
$62,642.24
222 AREA FIRE SERVICES
$27,227.45
281 COMMONS DOCKS FUND
$10,749.03
285 MOUND HRA
$7,346.02
396 2002 -HRA Lease Revenue Bonds
$950.00
401 GENERAL CAPITAL PROJECTS
$52,004.00
402 MUNICIPAL STAID ST CONSTUCT
$1,420.00
475 TIF 1 -3 Mound Harbor Renaissan
$62.50
601 WATER FUND
$20,959.63
602 SEWER FUND
$28,308.32
609 MUNICIPAL LIQUOR FUND
$76,658.75
675 STORM WATER UTILITY FUND
$1,262.00
$289,589.94
Pre - Written Check $0.00
Checks to be Generated by the Computer $289,589.94
Total $289,589.94
•
•
•
-765-
• BOLTON M � r K , I NC®
Consulting Engineers & Surveyors
• �� 2638 Shadow Lane, Suite 200 - Chaska, MN 55318 -1172
Phone (952) 448 -8838 - Fax (952) 448 -8805
www.bolton- menk.com
March 21, 2012
Ms. Kandis Hanson, City Manager
City of Mound
5341 Maywood Road
Mound, MN 55364
RE: 2010 Lift Station Improvements
City Project No. PW -10 -02
Pay Request No. 8
Dear Ms. Hanson:
Please find enclosed Pay Request No. 8 from Kuechle Underground, Inc. for work completed on
• the 2010 Lift Station Improvements Project from October 29, 2011 to March 10, 2012.
We have reviewed the contractor's request, verified quantities and recommend payment in the
amount of $13,868.64 to Kuechle Underground, Inc.
Sincerely,
BOLTON & MENK, INC.
Daniel L. Faulkner, P.E.
Mound City Engineer
DLF /dlp
cc: Carlton Moore, Director of Public Works
Catherine Pausche, Director of Finance
Enclosure
0 FAMOUNU210201APay RequestsUr of Reedn, Pay Request 7.doc
DESIGNING FOR A BETTER TOMORROW
Bolton & Menk is an eaual opportunity employer
-766-
DATE: 3(19/2012
CONTRACTOR'S PAY REQUEST NO. 8 CONTRACTOR Kuechle Underground, Inc.
2010 LIFT STATION IMPROVEMENTS OWNER City of Mound
CITY PROJECT NO. 10 -02 ENGINEER Bolton & Menk, Inc.
BMI PROJECT NO. C12.102014
FOR WORK COMPLETED FROM 10/29/2011 THROUGH 3/1912012
TOTAL AMOUNT 810 ....................................................................................................................... ............................... $ 746,766.24
APPROVED ORDERS ..................................................................................... ............................... $ 274,282.54
CURRENT CONTRACT AMOUNT ................................................................................... ............................... $ 1,021,048.78
TOTAL, COMPLETED WORK TO DATE ............................................................................................ ............................... $ 1,035,195.50
TOTAL, STORED MATERIALS TO DATE ........................................................................................ ............................... $0.00
DEDUCTION FOR STORED MATERIALS USED IN WORK COMPLETED .............................. ............................... $ -
TOTAL, COMPLETED WORK & STORED MATERIALS .................................................................... ............................... $ 1,035,195.50
RETAINED PERCENTAGE ( 5% ) ... ............................... .......... $ 51,759.78
............................. ...............................
TOTAL AMOUNT OF OTHER DEDUCTIONS ................................................................................ ............................... $
NET AMOUNT DUE TO CONTRACTOR TO DATE ............................................................................ ............................... $ 983,435.73
TOTAL AMOUNT PAID ON PREVIOUS ESTIMATES ........................................................................ ............................... $ 969,567.09
PAY CONTRACTOR AS ESTIMATE NO. 8 ........................................................................................ ............................... $ 13,868.64
Certificate for Payment
1 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 complied with and that
all claims against me by reason of the Contract have been paid or satisfactorily secured.
Contractor. Kuechle Underground, Inc.
10998 State Hwy. 55
Kimball, MN 55353
By
Name Tide
Date
CHECKED AND APPROVED AS TO QUANTITIES AND AMOUNT:
BOLTON & MEN INC., ENGINEE 2-638 S 0 LN, SUITE 200, CHASKA MN 55318
By d`� PROJECT ENGINEER
Daniel L. Fa Ikner
Date , 7 1
APPROVED FOR PAYMENT:
Owner. CITY OF MOUND
By
Name Title Date
1 �
u
•
•
-767-
S341 Maywood Road
Mound, MN 55364
(952) 472 -0604
• Memorandum
To: Honorable Mayor and City Council
From: Sarah Smith, Community Development Director
Date: March 21, 2012
Re: Ordinance Amendment to Subdivision Regulations
Attached for consideration and action is a proposed amendment to the City's subdivision
regulations contained in City Code Chapter 121 to remove a provision from the preliminary
plat requirements that states that that no proposed lot shall be divided by a boundary line
between registered land and abstract property. Except for the provision in our Code, there is
no requirement of the Hennepin County torrens or abstract departments nor in the state
statutes which prevents a lot from containing both torrens and abstract property.
•
•
U:\SSmith \My Documents \Memorandums\2012\memo ordinance amending subdivision regulations abstract and
torrens Thurs.doc _768_
CITY OF MOUND
ORDINANCE NO. _ -2012 •
AN ORDINANCE AMENDING CITY CODE CHAPTER 121 AS IT RELATES TO
SUBDIVISION REGULATIONS
The City of Mound does ordain:
City Code Chapter 121 is hereby amended to delete Sec. 121 -62 (d) (7) in its
entirety as follows:
(7) Ne prepered let shall be d-yided by a beundwy line between registered land and
abstFast- prepeFt .
Passed by the City Council this day of , 2012.
Mayor Mark Hanus
Attest: Bonnie Ritter, City Clerk
•
Published in The Laker the 27 day of , 2012
Effective the day of , 2012.
•
The City of Mound has contracted for residential disposal of compostable materials since 2001.
• This contract is funded by the Recycling Fund. At the February 28, 2012 Council meeting, we
discussed changes in this contract that would be required in order to continue offering this
service to our residents.
With that direction, we were able to get SET to agree that more stringent accounting controls are
not practical (after we showed them what it would require on both of our parts), so that a flat
amount for unlimited dumping between April 1" and November 30'' is preferred in exchange for
an extended contract. We did suggest they improve their gate keeping procedures to ensure they
are collecting from individuals they should be and properly recording Mound's usage.
SET has agreed to a flat $12,500 for 2012 and for 2013 — 2016, the flat $12,500 plus up to an
additional 2.5% fuel escalator per year. The fuel escalator reflects the fact that they are fuel
dependent with the heavy equipment used to process the materials.
Staff recommends approval of the attached resolution and agreement provided in Attachment A.
The City has spent more than $12,500 in recent years, often with large overages that the
proposed flat amount will address and make budgeting more predictable.
Please let Catherine know if you have any questions regarding this matter at (952)472 -0633.
0
-770 -
printed on recycled paper
•
5341 MAYWOOD ROAD
CITY OF MOUND
MOUND, MN 55364 -1687
PH: (952) 472 -0600
FAX: (952) 472 -0620
WEB: www.cityofmound.com
MEMORANDUM
Date:
March 22, 2012
To:
City Mayor and City Council
From:
Kandis Hanson, City Manager
Catherine Pausche, Finance Director /Treasurer
Subject:
Specialized Environmental Technologies (SET) Contract
The City of Mound has contracted for residential disposal of compostable materials since 2001.
• This contract is funded by the Recycling Fund. At the February 28, 2012 Council meeting, we
discussed changes in this contract that would be required in order to continue offering this
service to our residents.
With that direction, we were able to get SET to agree that more stringent accounting controls are
not practical (after we showed them what it would require on both of our parts), so that a flat
amount for unlimited dumping between April 1" and November 30'' is preferred in exchange for
an extended contract. We did suggest they improve their gate keeping procedures to ensure they
are collecting from individuals they should be and properly recording Mound's usage.
SET has agreed to a flat $12,500 for 2012 and for 2013 — 2016, the flat $12,500 plus up to an
additional 2.5% fuel escalator per year. The fuel escalator reflects the fact that they are fuel
dependent with the heavy equipment used to process the materials.
Staff recommends approval of the attached resolution and agreement provided in Attachment A.
The City has spent more than $12,500 in recent years, often with large overages that the
proposed flat amount will address and make budgeting more predictable.
Please let Catherine know if you have any questions regarding this matter at (952)472 -0633.
0
-770 -
printed on recycled paper
CITY OF MOUND
RESOLUTION NO. 12 - •
RESOLUTION TO APPROVE AGREEMENT FOR DISPOSAL BETWEEN
SPECIALIZED ENVIRONMENTAL TECHNOLOGIES, LLC AND THE CITY OF
MOUND
WHEREAS, The City of Mound manages a Recycling Fund to promote environmentally
friendly treatment of household waste,
WHEREAS, the City of Mound has contracted for residential disposal of compostable
yard waste to deter such waste from being improperly disposed of in streets and storm
sewers or by illegal dumping,
NOW THEREFORE, BE IT RESOLVED that the City Council of the City of Mound,
Minnesota, hereby approves the agreement with Specialized Environmental
Technologies for residential waste disposal for the period April 1, 2012, through
December 31, 2016, as shown in Attachment A.
Adopted by the City Council this 27 day of March, 2012.
•
Mayor Mark Hanus
Attest: Bonnie Ritter, City Clerk
•
-771-
ATTACHMENT A
AGREEMENT FOR DISPOSAL BETWEEN
• SPECIALIZIED ENVIRONMENTAL TECHNOLIGIES, LLC.
AND THE CITY OF MOUND
This agreement is made and entered into by the City of Mound and, hereinto referred to as the
City, and Specialized Environmental Technologies, LLC., or any successor, hereinto referred to
as SET.
Section 1. TER OF AGREEMENT
This agreement will commence on April 1, 2012 and shall expire December 31, 2016. SET
agrees that the site will operate at a minimum between April lst and November 30 of each year
of the contract, but may be open earlier than April 1 St or later than November 30 weather
permitting.
Section 2. AREA T BE SERVED
SET will accept delivered, compostable yard waste material, without charge, from the private
(i.e., non - commercial) residents of the City of Mound provided the material is prepared and
delivered to the facility in a manner reasonably acceptable to SET. The residents of the City will
be required to show proper identification to show that they live in the City of Mound.
Section 3. COMPOSTABLE MATERIALS
is The following are examples of the materials that will be accepted at the yard waste composting
facility at no charge to residents of the City of Mound:
Grass/Lawn Clippings Garden Waste Leaves
Weeds Mil Foil
Items may be added to or deleted from this list as agreed between the parties or required by law.
Section 4. PAYMENT
For the operation of accepting material from the residents of the City of Mound, the City will pay
$12,500.00 up front for the 2012 season to cover the material brought in by the residents of the
City of Mound. For years 2013 — 2016, the $12,500 contract amount will be increased by the
equivalent one -year percentage increase in the cost of diesel fuel as reported by the U.S. Energy
Information Administration (website: www.eia.gov) as of the first Monday in March of each
year, with the percentage increase not to exceed 2.5% in any one year. The prior year contract
amount becomes the base from which to determine the following year's increase. SET shall
keep records of all yardages that are brought into the facility by the residents of the City and
report them to the City on an annual basis.
•
-772-
Section 5. CANCELLATION AND TERMINATION
Either party may terminate this Agreement for a material breach of the Agreement by the other •
party after giving written notice of breach and allowing the other party thirty (30) days to correct
the breach to the satisfaction of the complaining party.
Except as provided in the paragraph above, this Agreement may be canceled by either party only
after thirty (30) days negotiation period and ninety (90) days notice to the other party.
Section 6. APPLICABLE LAW
This agreement is entered into, and governed by, laws of the State of Minnesota.
Section 7. ENTIRE AGREEMENT
This agreement shall constitute the entire Agreement between the parties and any prior
understanding or representation of any kind preceding the date of this Agreement shall not be
binding upon either party except to the extent incorporated in this Agreement
In witness thereof, the parties hereto executed this agreement on the day of
, 2012.
•
CITY OF MOUND
Kandis Hanson
City Manager
SET PS
Robert Friend
Specialized Environmental Technologies
•
-773-
5341 Maywood Road
• Mound, MN 55364
(952) 472 -0604
MEMORANDUM
To: Honorable Mayor and City Council
From: Sarah Smith
Date: 3/23/2012
Re: March 27, 2012 City Council Consent Agenda Item — 2012 OLL Blast Blockparty Concert Event
SUMMARY. Our Lady of the Lake Catholic Church and School (OLL) is requesting approval of a temporary sign
permit to allow placement of 3 temporary banners (3' x 20') at a number of location(s) in Mound to promote the
"Blast Blockparty", a fundraising concert event for OLL school, to be held on Saturday, May 19, 2012 on the
church /school grounds The proposed locations for the banners are described below and will be put up as soon as
possible following approval until May 21, 2012.
2251 Commerce Boulevard (former All in One Fitness building)
2411 Commerce Boulevard (OLL church school -fence)
5401 Shoreline Drive (Villa /Caribou -fence)
• DISCUSSION.
Pennant / Banner Provisions. City Code Section 119.4 (i) (3) allows temporary banners and pennants
employed for special events as long as they are removed within (15) days unless an alternate schedule
is approved by the City Council. Temporary banners and pennants are prohibited from being placed
upon any decorative fencing unless the banner or pennant is used in conjunction with a government, a
quasi - public function or similar - related special event. Permits for banners or pennants can be issued
no more than four (4) times per calendar year.
• The permit application includes a request to allow the temporary signage for an extended period beyond
the 15 -day allowance. As stated above, the code provides for a 15-day period unless an alternate
schedule is approved by the City Council. The temporary sign permit application fee of $25.00 has
been paid by the applicant.
• Similar to last year, the banners will be constructed of a plastic -type, flexible material and will include the
event logo and other information about the event.
• OLL has obtained permission from the owners of the aforementioned locations.
RECOMMENDATION. City staff recommends that the City Council approve the temporary sign request for the OLL
"Blast Blockparty" subject to the following conditions:
1. An extended period beyond the 15-day banner allowance is approved for the banners. All signage
shall be removed from the locations immediately following the event.
11
-774-
5341 Maywood Road, Mound, MN 55364
Phone 952 -472 -0600 Fax 952 -472 -0620
SEASONAL, BANNER, &
PORTABLE SIGN PERMIT
APPLICATION
Note: Any information supplied on this form will be considered public
according to the Minnesota Government Data Practices Act.
SITE
Property Address a3$ .5'
Business Name DWI`
o►+ me!'&e. 151 V 0.. Zone
+he_ LOX Phone 9,5Q-4_1Q- / a,8y
APPLICANT
Name nbr& A. E ur'
am•,n Email r &_ cb00 11. p f{• Kra. fin
Phone 95.A47 .)- 1ak?f XJ,/ Fax 96a 47Q -JQJL Other
OWNER
Name rr• Ti m Do Icin,
►
Phone 7d - /Q'9 _ I I.A
95Q 474 - JoW 6 Other
SIGN
Company Name
CONTRACTOR
Address
Contact Person
Email
Phone
Fax Other
See City Code Chapter 119-4
❑ Seasonal Sign $25 - Dates from to
Message
Seasonal Signs - Seasonal signs of a temporary or portable nature may be used in the non - residential districts to
promote or advertise on- premise seasonal services or merchandise. Such signs shall be limited to a maximum of
thirty -two (32) square feet and shall not be left in place for more than a two (2) month period. Permits and fees
shall be required for all seasonal signs, and permits may be issued no more than two (2) times per calendar
year per business.
❑ Banner /Pennant $25 - Dates from i to
Describe event 0 UwLo�u ti+
Size feet x feet = sf
0
S
•
4Av_'W5
Sign locations (list or attach map) bee, CL*. 10'4er
Temporary banners and pennants employed for grand openings of business establishments, special events or
promotions and holidays are not exempt from permits and fees and shall be removed within fifteen (15) days
upon permit issuance unless an alternate schedule is approved by the City Council. Temporary banners and
pennants are prohibited from being placed upon any decorative fencing unless the banner or pennant is used in
conjunction with a government, a quasi - public function, or similar - related special event. Permits for banners and
pennants can be issued no more than four (4) times per calendar year.
❑ Portable Sign (no fee) - Dates from to
Sign locations (list or attach map)
� 21
Afl 1A
-775-
Number of signs
•
• Describe sign (message, materials, etc.)
Portable Signs used for the purpose of directing the public may be permitted under the following conditions:
(a) Said sign is coincidental to, or used in conjunction with, a governmental unit or quasi - public function;
and
(b) The period of use of said sign shall not exceed ten (10) consecutive days; and
(c) Signs shall not be used more than four (4) times during a calendar year; and
(d) Signs shall be placed on the premises of the advertised event and /or on such other premises following
approval of a temporary sign permit by the City of Mound. Administrative approval of a portable sign permit is
permitted if the following conditions are met:
1. The sign is not being placed on public property.
2. Written permission from the property owner of record is provided if being located off - premises.
3. The criteria reference in subsections (a), (b), and (c) above are met.
4. The proposed location of the sign is reviewed and deemed acceptable by Mound Staff, which shall
include the Police, Planning, and Engineering Departments, based on the following criteria:
• The sign is not being placed in the road right -of -way.
• The sign does not obstruct the sight triangle for pedestrian or vehicular traffic.
• Placement of the sign does not create any potential traffic or other related hazard; and
(e) Portable sign placement on public property requires City Council approval; and
(f) Such signs shall require the issuance of a permit but will be exempt from all fees; and
(g) In the instance of a multi -use facility, only one seasonal sign may be placed on the premises at any one
time.
• Applicants are advised that incomplete applications or insufficient information can delay the
processing of the permit request or may result in the application being rejected. Please fully complete
all involved sections of the application and provide as much detail as possible, including, but not
limited to, the proposed locations of signs, using addresses or landmarks, and written permission
from the property owner for off -site locations.
'P e"_�A '±)/1ka-
A LICANT'S SIGNATURE DATE
(OFFICE USE ONLY) SPECIAL CONDITIONS & COMMENTS:
RECEIVED BY & DATE PLANS CHECKED BY APPROVED BY & DATE COPIED APPROVED
ZONING
-776-
Our Lady of the Lake Church •
2385 Commerce Blvd.
Mound, MN 55364
952 -472 -1284
March 7, 2012
Our BLAST signs will be placed at the following establishments:
All -In -One Fitness Building
2251 Commerce Blvd.
Current Owner has given us their permission.
Caribou Coffee •
5401 Shoreline Drive
Current Owner has given us permission
OLL School Fence
2411 Commerce Blvd.
All of the Signs are 3' x 20.'
Thank you for your consideration. If you have any question, please contact me.
Rhonda Eurich, Administrator
952 -472 -1284 ext. 161
reurich @oll.pvt.k12.mn.us •
-777-
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WeCAB Staff Report
March 1, 2012
February marks the fifth month of WeCAB operation.
We now have 27 volunteer drivers, 9 of whom are currently inactive (for winter travel, medical,18
other reasons).
We have 91 registered riders. We have conducted home visits for each rider, asking them to
complete application documents, which include demographic data, as well as emergency contact
information. Through these visits, we learn whether they have appropriate child seats for children under
9 years of age, or whether they need help getting into the driver's vehicle. We learn whether they need
help carrying groceries up three flights of steps, and whether we should knock on the side door or front
door when WeCAB arrives at their home. And we learn whether they need a ride to get to medical
appointments, to get to work via Metro Transit at the Mound Transit Center or the Wayzata Park & Ride,
or to get to school for a child's program.
We continue to be able to fill every ride requested.
February: total miles driven xxx & rides taken xxx
"RideScheduler software continues to provide terrific support for our transportation program.
WeCAB volunteers enter volunteer driver and rider registration data into the software. When Dispatch
enters an appointment for a ride, and clicks on the email icon, the software sends a reminder email to the
driver, and also telephones both the rider and the driver to remind them of the appointment.
The cost of the "RideScheduler" software is on a sliding scale, based upon the number of one -way
rides which are scheduled. We began WeCAB service in October with 27 rides, followed by 50 in
November, 91 in December, 91 in January, and xx in February.
"RideScheduler" waived the monthly fee for WeCAB for October and November, as we were just
getting started. For December and the following five months, they are charging $99 /month. Once •
WeCAB's rides average 100 /month, the fee will increase to $199 /month.
WeCAB's brochure is the major marketing tool. These brochures have been distributed
throughout the communities we serve. We have given informational talks and taken brochures to: Lake
Minnetonka Shores, The Gillespie Center, Westonka Estates, Maple Terrace (in Maple Plain), St. Martin's,
the Snowblazers, and the ministerial group.
As the pilot program develops, we continue to revise the content of the WeCAB brochure each
time we print a new batch. For instance, initially WeCAB had specific hours of operation. In practice, we
realize that we are not adhering to providing rides only during those times, so for the next printing we
will omit that section. We are appreciative that RMC provided a photographer who took a professional
photo for our next printing.
Larry Seeley restocks brochures in displays at sites in our service area, including the RMC Spring
Park Clinic, the Gillespie Center and the Mound Transit Center.
Driver reimbursement was a large ticket item in WeCAB's initial budget. WeCAB offers $0.14 per
mile to volunteer drivers. We initially estimated that WeCAB would be providing 400 rides /month, and
that each ride would average 11 miles /trip (one -way). So, $0.14 x 11 mi /trip x 400 trips /month x 12
months = $7,392. Drivers learn at their driver orientation meeting that this reimbursement is available,
and the process to use to request it. To date, only one driver has requested a reimbursement, in the
amount of $13.17.
The Driver Appreciation event held on Feb. 7 at in the Villa at Lake Minnetonka Shores was enjoyed by .0
who attended. We showed the Channel 5 television newsclip featuring WeCAB. Drivers received awards
and gift bags containing donations from area bus' 779-.s' Senator Gen Olson joined us, to hear an update
on this newest WeCAN program which she helpect to initiate just a few months ago.
• 5341 MAYWOOD ROAD
CITY OF MOUN D MOUND, MN 55364 -1687
PH: (952) 472-0600
FAX: (952) 472-0620
WEB: www.cityofmound.com
March 12, 2012
TO: Mayor Hanus & City Council
FROM: Jim Fackler, Public Works
REF: Public Lands Application, 4559 Island View Drive, Tree Trimming
The applicant, Raymond Salazar, 4559 Island View Drive, is requesting to trim two
trees #1 is a Oak and #2 is a Linden.
• Staff has viewed the trees and recommended that applicant notify his adjacent
neighbors to his intentions. With this being done staff is in agreement with the
trimming of both trees.
1) The Oak tree must be done this winter as to protect it from disease but the
Linden can be done at any time.
•
2) All work must be done by a tree contractor who is licensed in the City of
Mound.
3) The applicant is responsible for all costs.
4) Staff must be notified when the trimming is to take place so as to meet on site
to review work to be performed.
-780 -
printed on recycled paper
CITY OF MOUND
RESOLUTION NO. 12- •
RESOLUTION APPROVING A PUBLIC LANDS PERMIT FOR THE PROPERTY AT 4559
ISLAND VIEW DRIVE FOR THE PURPOSE OF TREE TRIMMING
WHEREAS, the applicant, Raymond Salazar, 4559 Island View Drive, is seeking a Public Lands
Permit to undertake trimming of one oak tree and trimming one linden tree on a portion of
Devon Common adjacent to his property.
WHEREAS, City Code Section 62 -11, requires City Council approval by a majority vote for
construction of any kind on any public way, park or commons, or the alteration of the natural
contour of any public way, park or commons; and
WHEREAS, details regarding the request are contained in the Public Lands Permit Report
dated March 12, 2012; and
WHEREAS, based on its review, Staff recommended approval of the Public Lands Permit
subject to conditions; and
WHEREAS, the City Council considered this request at their meeting of Tuesday, March 27,
2012.
NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of Mound, Minnesota, to
approve the Public Lands Permit as submitted by Raymond Salazar to conduct tree trimming as
outlined in her Public Lands Application dated March 13, 2012 with the following conditions;. •
1) Oak tree work done under winter conditions and linden tree can be done at any
season.
2) A licensed tree contractor in the City of Mound must perform the work.
3) Staff, Jim Fackler, Public Works Superintendent, must be notified as to the time and
date the work will be performed.
4) Applicant is responsible for all costs.
Adopted by the City Council this 27 day of March, 2012.
Mayor Mark Hanus
Attest: Bonnie Ritter, City Clerk
•
-781-
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i s „ +r ► r
�-
5341 Maywood Road, Mound, MN 55364
Phone 952 - 472 -0600 Fax 952472 -0620
PUBLIC LANDS
APPLICATION
Date Received 0
R2rkr. 2nd
Council Date ,7 - 13 et, ° -7— /
DISTRIBUTION Building Official Parks Director
ZI DNR MCWD
Public Works Other
Check One _
❑ CONSTRUCTION ON PUBLIC LAND PERMIT — new construction. NOTE: NO
PERMIT SHALL BE ISSUED FOR CONSTRUCTION OF BOAT HOUSES OR
OTHER BUILDINGS ON PUBLIC LAND - City Code Section 62 -11(a) & (b).
❑ PUBLIC LAND MAINTENANCE PERMIT — to allow repairs to an existing structure -
City Code Section 62- 11(c).
❑ CONTINUATION OF STRUCTURE — to allow an existing encroachment to remain in
an "as is" condition - City Code Section 62- 11(g).
LAND ALTERATION — change in shoreline, drainage, slop tre etation, fill,
etc. - City Code Section 62- 11(d).
The structure or work you are requesting is an activity on publicly owned lands. Structures like boat houses, patios,
sheds, etc. are all NONCONFORMING USES. It is the intent of the City to bring all these uses into conformance, which •
means that those structures will at some time in the future have to be removed from the public lands. All permits are
granted for a limited time and are non - transferable. Stairway construction must meet the State Building Code when the
permit is for new construction, or a new permit is applied for due to a change in dock site holder.
Please tvoe or print leaibly
APPLICANT
Name �/LfO�-- �4�.a2_ Email
Address '`7 0_f
Phone W
ABUTTING
Address .�`y�r� ,
PROPERTY
LEGAL
Lot e.
Block
DESC.
Subdivision f
PID # "4" (� ning: R1 R1A R2 R3
61 62 B3 (Circle one)
Public Lands Permit Application
Page 1 of 2
RE
-787-
Revised 412512011
•
PUBLIC
Name - Email
PROPERTY
Dock Site # Shoreline Type
CONTRACTOR
Name 14 Email
Address
Phone (H) (W) (M)
A FEE OF $200.00 APPLIES IF VALUATION OF PROJECT EXCEEDS $1,000.00 AND NO
PUBLIC BENEFIT IS DERIVED.
PROPOSED COST OF PROJECT (INCLUDING LABOR & MATERIALS) $ li'`f� --"�� -
DESCRIBE REQUEST & PURPOSE , F,6 ' ye5 /i�
tow
• Applicant's Signature
•
Public Lands Permit Application _788_
Page 2 of 2
Revised 412512011
CITY OF MOUND
RESOLUTION NO. 12 -_ •
RESOLUTION APPROVING A PUBLIC LANDS PERMIT FOR THE PROPERTY AT 4559
ISLAND VIEW DRIVE FOR THE PURPOSE OF TREE TRIMMING
WHEREAS, the applicant, Raymond Salazar, 4559 Island View Drive, is seeking a Public Lands
Permit to undertake trimming of one oak tree and trimming one linden tree on a portion of
Devon Common adjacent to his property.
WHEREAS, City Code Section 62 -11, requires City Council approval by a majority vote for
construction of any kind on any public way, park or commons, or the alteration of the natural
contour of any public way, park or commons; and
WHEREAS, details regarding the request are contained in the Public Lands Permit Report
dated March 12, 2012; and
WHEREAS, based on its review, Staff recommended approval of the Public Lands Permit
subject to conditions; and
WHEREAS, the City Council considered this request at their meeting of Tuesday, March 27,
2012.
NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of Mound, Minnesota, to
approve the Public Lands Permit as submitted by Raymond Salazar to conduct tree trimming as
outlined in her Public Lands Application dated March 13, 2012 with the following conditions;. •
1) Oak tree work done under winter conditions and linden tree can be done at any
season.
2) A licensed tree contractor in the City of Mound must perform the work.
3) Staff, Jim Fackler, Public Works Superintendent, must be notified as to the time and
date the work will be performed.
4) Applicant is responsible for all costs.
Adopted by the City Council this 27 day of March, 2012.
Mayor Mark Hanus
Attest: Bonnie Ritter, City Clerk
U
Im
MESSAGES FOR YOU... Y I
Hello everyone,
The days are getting longer. The seed and plant catalogs are filling my mailbox. Are you thinking about
spring? I know I am. We've had an easy winter for Minnesota, but I sure want those buds on the trees, those tulips
popping up, those migrating birds returning, and we're also looking forward to our own snowbirds coming home too.
We've had an incredibly busy February here at the Gillespie Center and I hope that many of you that stayed around
were able to enjoy some or all of those activities. As I look at the March calendar, it looks like another great month
ahead. Just to mention a few - be sure to help us support the Westonka Food Shelf by coming to the Soup Supper on
the 15 the popular Country Jam will be here on the 21 and author Kathy Holmes on the 28 talking about her
struggles with being paralyzed in her book `I Stand with Courage. "
Our St. Patrick's Day lunch will be on March 14 with the Gillespie singers performing. Just want to remind
you, we serve a great lunch every Wednesday, Thursday and Friday at noon. The price of $5.00 makes it one of the
best deals in town.
It is unbelievable to me how many volunteer hours are given to the Gillespie Center each month. We have so
many individuals and groups of people that are so willing to spend their time working at so many different tasks that I
am often over - whelmed. We have volunteers doing everything from folding napkins, washing dishes, leading exercise
classes, organizing various card clubs, quilting groups, craft clubs, manning the reception desks, helping to organize,
work in, and run our Hidden Treasures Shop, keeping our gardens clean, decorating items for our Festival of Trees,
and about anything else you can think of. We have people of all ages helping to make our center the fantastic place it
is in our community. We have high school students volunteering at various events, and volunteers in their 90s work-
ing in our kitchen and other places in the center. Without these incredible volunteers, it would be impossible to have
all of the activities we have.
My comment for the month of March is to give every one of you a huge THANK YOU! Each and every one
of you is appreciated more than we can every let you know. The Gillespie Center is hosting a "Volunteer Breakfast"
on April 17 and I hope you can join us that morning, but even if you can't attend — know that you are a treasured
group.
Jeanne Brustad
President
A BIG THANK YOU!
TO LINDSTROM CLEANING SERVICES
KEVIN GRADY & HIS CREW FOR
CLEANING THE GILLESPIE CENTER CARPET.
WE APPRECIATE YOUR GENEROSITY!
GET YOUR GILLESPIE GOLD DOLLARS
As an incentive to encourage members to help in recruitment of new members, we created the Gillespie Gold Dollars Pro-
gram. For each new member that you recruit, you will receive five Gillespie Gold Dollars. The Gillespie Gold Dollars can be
spent for anything at The Gillespie Center. It can be used for the noon lunch, as part payment for any of the special event
or to shop in HiddenTreasures, etc.
790-
5341 Maywood Road
City
Mound, MN 55364 of • •
(952) 472 -0604 Planning and Building ' •
Memorandum
•
To: Honorable Mayor and City Council
From: Sarah Smith, Community Development Director
Date: March 21, 2012
Re: Commerce Place Shopping Center Update from Schafer Richardson
On March 13, 2012, Staff was contacted by Maureen Michalski of Schafer Richardson who
informed the City that Schafer Richardson will not be seeking redevelopment of the north
portion of the Commerce Place shopping center for multi - family residential use which was
recently discussed as part of a special meeting workshop held on February 16 Ms.
Michalski also extended her thanks to the Staff and City Council.
0
•
UASSmithft Documents \Memorandums12012\meL791_March 2012.doc
PARKS AND OPEN SPACE COMMISSION MEETING MINUTES
•
Thursday, January 12, 2012
Present:
Not Present:
Others Present:
Public Present:
Chair Mike Wilkus; Commissioners Sharon Holden, Derek
Goddard, Todd Peterson, Council Representative Heidi Gesch
(7:05)
Commissioners Robert Brose and Josh Dunwoody
Public Works Superintendent Jim Fackler; Mayor Mark Hanus; City
Manager Kandis Hanson
Dr. Jackie Piepkorn, Westonka Animal Hospital
Chair Wilkus called the meeting to order at 7:00 p.m.
1. Approval of Agenda:
A request to move the election of officers after the Mayor's presentation was
made.
•
MOTION by Holden, seconded by Peterson, to approve the agenda as amended.
MOTION carried unanimously.
Council Representative Gesch arrived (7:05).
2. Approval of October 13, 2011 Meeting Minutes:
MOTION by Holden, seconded by Peterson, to approve minutes as written.
MOTION carried unanimously; Gesch abstained.
3. Mayor Hanus and City Manager Kandis Hanson presented the request for each
commission to take on one of the centennial celebration activities. He requested
and the commission agreed to assist with the "Help" booth. Commissioner
Holden will also check with the Snow Blazer Club for their assistance.
4. Comments and suggestions from citizens present on any item not on the agenda:
Dr. Jackie Piepkorn introduced the idea of turning one of the local parks into a
dog park. Celebrate Greater Mound! has funds from Dog Days to contribute to
the effort. Gesch raised the question of liability insurance. Fackler suggested it
be included as a discussion item on a future agenda.
•
5. Election of Officers
-792-
MOTION by Peterson, seconded by Gesch, to recommend Wilkus as Chairman
and Peterson as Vice Chairman for 2012. MOTION carried unanimously.
6. Discuss: Work Rules •
Commission would like to see the attendance records for the past two years.
MOTION by Holden, seconded by Peterson, to accept the 2012 Work Rules as
presented. MOTION carried unanimously.
7. Discuss: Calendar
Add to February: 1) POSC attendance; 2) Dog park discussion;
MOTION by Holden, seconded by Goddard, to add the Dog Park and
commissioner attendance to the February calendar. MOTION carried
unanimously.
Gesch indicated that last year's June cleanup was not well attended. It was
suggested that the Adopt a Green Space volunteers recruit for their own
neighborhoods.
MOTION by Gesch, seconded by Peterson, to remove park cleanup from the
June and July calendar and add it to February with an update in April. MOTION •
carried unanimously.
8. Discuss: Adopt a Green Space
Commission wants an update from 2011 and when promotion is planned for
2012. Holden suggested that there be signs at the various locations
acknowledging the volunteers responsible for that area. Fackler stated that the
City makes its own signs. Gesch thought knowing what the turnover was would
help to know the expense involved. Fackler will come up with an estimated cost.
9. Reports:
Gesch: Budget; Mound Bay Park /Surfside name change; park sign unveiling;
summer street project and a few expansion permits; update of the website
Fackler: Great winter for doing updating of facilities; repair /re- decking of
sections of the skate park; the surfside sign is at the designer; new parks
employee; interviewing for new Public Works employee
Commissioners - none
MOTION to adjourn by Gesch, seconded by Holden. MOTION approved unanimously.
Meeting adjourned at 8:15. •
-793-
MINUTES
• MOUND ADVISORY PLANNING COMMISSION
FEBRUARY 21, 2012
ROLL CALL
Members present: Chair Stephen Ward; Commissioners Jeffrey Bergquist, Douglas
Gawtry (7:07), David Goode, George Linkert, Cindy Penner, Pete Wiechert, and
Councilmember Ray Salazar. Absent: Kelvin Retterath. Staff present: Community
Development Director Sarah Smith.
Others present: Bryan Pellowski, 6133 Blue Circle Drive, # 150, Minnetonka; Sue Cross,
6133 Blue Circle Drive, # 150, Minnetonka; Rob Winkler, 5001 Wilshire Boulevard; John
Sobraski, 5009 Wilshire Boulevard; Jen Berrett
APPROVE AGENDA WITH ANY AMENDMENTS
Smith noted that a handout was provided to the Planning Commission members which
included a copy of the City Code provisions for the Planning Commission.
MOTION by Goode, second by Wiechert, to approve the agenda as amended. MOTION
carried unanimously
• APPROVAL OF JANUARY 3. 2012 MEETING MINUTES
MOTION by Linkert, seconded by Goode, to approve the January 3, 2012 minutes as
presented. MOTION carried unanimously with Ward and Penner abstaining.
BOARD OF APPEALS
Case No. 11 -11 Sign Variance — Mound Marketplace
2125 Commerce Boulevard Applicant: Mound Marketplace /PBK Investments
The original sign height variance required "reverse cut copy" (black background /white
letters). In addition to adding color to the signs, they are currently requesting addition
of another tenant sign, which would expand the allowable sign square footage of 120 SF
to 128 SF.
Staff supports the additional tenant sign increasing the square footage to 128 SF. The
addition of color is not supported at this time.
Salazar indicated that, as a small business owner, he pays a lot of money for his business
logo and wants the color on the sign. However, as a councilmember he believes that
uniformity meshes with what the City wants.
•
.,
Ward thinks being in support of commerce is important. Doesn't believe the color
enough of a detriment to be a problem. •
Salazar he voted in opposition because of the conditions in the original resolution.
Linkert thinks about other areas , such as the Galleria in Edina, where there is uniform
signage that look clean; using color could get out of hand.
Salazar said there's a huge difference between the Galleria and Mound. We are begging
for business. If a little color can make the difference, then okay.
Pellowski thanked the Commission for being open to change.
Case No. 12 -01 Fence Variance
5001 Wilshire Boulevard Applicant: T. Rob Winkler
Smith introduced the case, pointing out various features of the parcel. She also walked
through the fence requirements as outlined in the code and provided several photos
showing the previous 6 foot privacy fence on the property that was removed at the time
cabin was demolished in 2009 or early 2010. Because the nonconforming fence was not
reconstructed within 1 year of removal per code, the new fence is required to conform
to the current code. The areas in the 30 -foot front setback and in the 50 -foot lake
setback require a variance. Staff noted that the need for the variance for the 6 foot
fence in the front setback area is a correction from the Planning Report. Staff supports •
replacement of the lakeside as well as the street side fence as designed.
Salazar discussed the requirements of variances as outlined in Section 129 of the City
Code. He felt there would be alternatives to a fence, such as planting trees.
Goode stated that he owns property adjacent to a commons that is a major entry /exit
point for snowmobilers, four wheelers, ice fisherman and others. There is a riparian
zone adjacent to his property as well as an elevation difference, both of which help. He
has sympathy for their experiences.
Bergquist commented that he drives by this property every day. He doesn't see any
issue for the front side because the fence is basically covering up the front side of the
house, however, on the back the people are intruding into the backyard. He doesn't see
a problem with either variance.
Mr. Winkler confirmed that the original fence was 6 feet. Smith restated that the new
fence couldn't be grandfathered in because the 1 year provision for nonconformities has
expired.
Penner asked if there was a difference between the removal by vandals and removal by •
the property owner. Smith said the 1 year provision applies.
-795-
MOTION by Linkert, second by Goode, to recommend City Council approve the
• amendment with amended wording. MOTION carried unanimously.
Review /Discussion /Action - Home Occupation Signage Regulations
Smith introduced the current regulations. Staff is not making a recommendation at this
time. A general discussion followed regarding the value and impact of neighborhood
signage. Smith suggested that we take the next couple of weeks to look around and
bring it back to the March meeting. Salazar thought we were opening up a can of
worms and that signs in residential areas are clutter.
MOTION by Ward, second by Linkert, to table this issue until the March 6 th meeting to
discuss again. MOTION carried. Bergquist opposed. He believes the existing code is
adequate.
OLD / NEW BUSINESS
Election of Chair and Vice Chair
Salazar nominated Steve Ward as Chairman and volunteered to continue as Vice
Chairman. Linkert stated he would like to nominate himself as Vice Chairman. Gawtry
nominated Linkert as Vice Chairman. Ward nominated Salazar as reappointment for
Vice Chairman. MOTION by Goode, seconded by Wiechert, to close nominations.
MOTION carried unanimously.
• MOTION by Salazar, seconded by Linkert, to recommend Stephen Ward as Chairman.
MOTION carried unanimously.
MOTION by Ward, second by Goode, to take a written vote for Vice Chairman. MOTION
carried unanimously.
Smith read the written votes from the Commission members for the Vice Chair for the
Planning Commission: 6 votes for Salazar and 2 votes for Linkert.
Staff /Council Update
Councilman Salazar
• The City Council denied the variance for 3070 Highland Boulevard because they
thought it to be precedence setting and that the garage could convert to living
area.
The City Council approved the comp plan amendment for the Walgreen project.
An overview of a proposal for 429 financing for Woodland Ridge subdivision was
provided. The developer requested Chapter 429 financing for infrastructure
where the City would bond for the infrastructure improvements, do the project
and assess the cost. The developer guarantees payment with an irrevocable
letter of credit.
• Next Regular Meeting Date —Tuesday, March 6, 2012, 7PM
-796-
MOTION by Linkert, second by Goode, to discuss street parking options on Bartlett by
the Depot and to hold an upcoming PC meeting at the Depot on the next Planning •
Commission agenda for discussion.
Parking is allowed north and south of the park but not in front of the park. Salazar
thought it was a safety issue and not an issue for the Planning Commission. Smith said
these types of requests go to Director of Public Works Carlton Moore and are reviewed
with the Chief of Police. Salazar thought that the parking should go directly to Mr.
Moore and asked why a meeting should be held at the Depot. Linkert responded that it
was just for a change of venue.
MOTION failed. Voting for: Linkert. Voting against: Ward, Bergquist, Gawtry, Goode,
Penner, Wiechert and Salazar
Review /Discussion — Planning Case Recommendations
Discussion related to City Council /PC recommendations on planning cases was included
on the agenda.
MOTION by Ward, second by Wiechert, to table this item until the March 6 th meeting.
MOTION carried unanimously.
ADJOURNMENT
MOTION by Salazar, second by Bergquist, to adjourn at 9:45 pm. MOTION carried
unanimously. •
Submitted by Sarah Smith
•
-797-
DOCKS AND COMMONS COMMISSION MEETING
Thursday, March 15, 2012
•
•
Present: Chair Jim Funk, Commissioners Mark Drahos, Rodney Beystrom, Cliff
Schmidt, Council Representative David Osmek
Excused: Susan Gardner
Other Present: Public Works Superintendent Jim Fackler
Public Present: none
Chair Jim Funk called the meeting to order at 7:00 p.m.
1. Approval of Agenda
Addition of a discussion item on dredging.
MOTION by Drahos, second by Beystrom, to approve agenda with one addition.
MOTION carried unanimously.
2. Approval of January 19, 2012 Minutes
MOTION by Schmidt, second by Drahos, to approve the minutes as written. MOTION
approved unanimously (Funk abstained).
3. Comments and Suggestions —no one present
4. Dock and Slip Lottery —Names were drawn for their order on the waiting list
a. Discuss: Dredging
With water levels low there will be many questions about dredging. The Watershed
and DNR will require engineering submittals before any dredging will be approved. It
was questioned whether there is enough money in the budget to address the
problems. Jim indicated that we'll have to wait and see how much rain we get this
spring. LMCD should address dock extensions within the next month. Jim will check
into current regulations and requirements for the next meeting.
Boat lift advertisements are coming out as zebra mussel prevention. There will be a
problem for winter storage. Does the DCC need to be pro active and come up with
some guidelines? Jim stated that they can go anywhere they will fit. They don't fit
on multiple slip docks.
0
S. Review of 2012 Approved Dock Fees and Budget, 2011 Fund Balance
No discussion •
6. Review of 2012 Calendar
Add boat lift discussion, dredging limits, and LMCD rules on dock lengths to the April
calendar.
MOTION by Funk, second by Beystrom, to accept the calendar with changes. MOTION
approved unanimously.
7. Reports
Council Representative — Commerce Place affordable housing project is dead; voting
precinct redistricting;
Jim Fackler — Katie Hoff s resignation;
MOTION by Funk, second by Drahos, to adjourn. MOTION approved unanimously. Meeting
adjourned at 7:40 p.m.
r�
•
-799-
it Metropolitan Council
• February 27, 2012
Sarah Smith, Community Development Director ea
City of Mound O �2
5341 Maywood Road
Mound, MN 55364
RE: City of Mound - Comprehensive Plan Amendment — Pedestrian Mixed Use — Complete
Metropolitan Council Review File No. 20438 -2
Metropolitan Council District 3
Dear Ms. Smith:
On February 7, 2012, the Metropolitan Council staff received a Comprehensive Plan Amendment (CPA)
to change the land use designation on .77 acres of land from primarily High Density Residential to
Pedestrian Mixed Use. Council staff finds the CPA complete for review.
In accordance with state law, the Council has 60 days to complete its formal review of the plan
amendment, with the option to extend the review an additional 60 days. The first 60 -day period ends
April 7, 2012. Staff will notify the City if a review report is scheduled for presentation to the Council's
Community Development Committee and the Metropolitan Council, or if further review is
administratively waived.
• If you have any questions about this review, please contact Tom Caswell, Principal Reviewer, at 651 -602-
1319.
Sincerely,
Phyllis son, Manager
Local ing Assistance
cc: Kandis Hanson, Mound City Administrator
Jennifer Munt, Council Member, District 3
Tom Caswell, Sector Representative & Principal Reviewer
Cheryl Olsen, Reviews Coordinator
'1l. On1n11) CY' J : PAI%(' ommunit .iiK'dviotmdtl.eucrilWUlgrecitj CPA - Lomplctc'10423 :3.do4
www.metrocouncil.org
-800-
390 Robert Street North • St. Paul, MN 55101 -1805 • (651) 602 -1000 • Fax (651) 602 -1550 •TTY (651,) 291 -0904
An Equal Opportunity Employer
Metropolitan Council
March 14, 2012
Sarah Smith, Community Development Director
City of Mound
5341 Maywood Road
Mound, MN 55364
RECV AfQ
2 s z01z
RE: City of Mound - Comprehensive Plan Amendment — Pedestrian Mixed Use
Review Period Extension
Metropolitan Council Review File No. 20438 -2
Metropolitan Council District 3
Dear Ms. Smith:
On February 7, 2012, the Metropolitan Council staff received a Comprehensive Plane
Amendment (CPA) to change the land use designation on .77 acres of land from primarily High
Density Residential to Pedestrian Mixed Use. On February 27, 2012, Council staff found the
CPA complete for review.
In accordance with state law, the Council has 60 days to complete its formal review of the plan
amendment, with the option to extend the review an additional 60 days. The first 60 -day period
ends April 7, 2012. The Council will not be able to complete its review within the initial 60
calendar day deadline. Therefore, the Council is extending the review period for an additional
60 -day period. This extends the review period to June 6, 2012. Staff has tentatively scheduled
this amendment for presentation to the Council's Community Development Committee (CDC) at
its meeting on April 2, 2012. The amendment will then be sent to the full Council on April 11,
2012 following CDC action.
If you have any questions about the review process, please contact Tom Caswell, Principal
Reviewer. at 651-602-1319.
� / ncirely,
tt /��
Phyll'1 nson, Manager
Local "Planning Assistance
cc: Jennifer Munt, Metropolitan Council District 3
Tom Caswell, Sector Representative & Principal Reviewer
Cheryl Olsen, Reviews Coordinator
•
•
www.metrocouncil.org
-801-
390 Robert Street North • St. Paul, MN 55101 -1805 • (651) 602 -1000 • Fax (651) 602 -1550 • TTY (651) 291 -0904
An Equal Opportunity Employer