2014-09-09 CC Agenda PacketPLEASE TURN OFF ALL CELL PHONES & PAGERS IN COUNCIL CHAMBERS.
AGENDA
MOUND CITY COUNCIL TUESDAY, SEPT 9, 2014 — 7:00 PM
REGULAR MEETING MOUND CITY COUNCIL CHAMBERS
*Consent Agenda: Items listed under the Consent Agenda are considered routine in nature and will be enacted by a single roll call
vote. There will be no separate discussion of these items unless a Council Member or Citizen so requests. In that event the item will
be removed from the Consent Agenda and considered in normal sequence.
Page
Open meeting
2. Pledge of Allegiance
Approve agenda, with any amendments
4. *Consent Agenda
*A. Approve payment of claims 1902 -1929
*B. Approve minutes: Aug 26, 2014 regular meeting 1930 -1932
Sept 3, 2014 Special Meeting Budget Workshop 1933 -1935
*C. Approve Pay Request No. 2 from Penn Contracting, Inc., in the amount of 1936 -1937
$58,900.95, for the 2014 Lift Station Improvement Project, City Project No.
PW -14 -03
*D. Approve Pay Request No. 1 from GMH Asphalt Corporation, in the amount 1938 -1939
of $248,278.04, for the 2014 Street, Utility and Retaining Wall
Improvements - -East Three Points Boulevard, City Project No. PW -14 -01
*E. 2013 Street, Utility and Retaining Wall Improvement Project, City Project
Nos. PW- 13 -01, PW -13 -02
1. Approve Resolution Declaring Cost to be Assessed, and Ordering 1940
Preparation of Proposed Assessment for the 2013 Street, Utility and
Retaining Wall Improvement Project
2. Approve Resolution for Hearing on Proposed Assessment for the 1941
2013 Street, Utility and Retaining Wall Improvement Project
*F. Approve Resolution Authorizing a Liquor Lighting Retrofit Project 1942 -1947
5. Comments and suggestions from citizens present on any item not on the agenda.
(Limit to 3 minutes per speaker.)
PLEASE TURN OFF ALL CELL PHONES & PAGERS IN COUNCIL CHAMBERS.
AGENDA
MOUND CITY COUNCIL TUESDAY, SEPT 9, 2014 — 7:00 PM
REGULAR MEETING MOUND CITY COUNCIL CHAMBERS
*Consent Agenda: Items listed under the Consent Agenda are considered routine in nature and will be enacted by a single roll call
vote. There will be no separate discussion of these items unless a Council Member or Citizen so requests. In that event the item will
be removed from the Consent Agenda and considered in normal sequence.
Page
Open meeting
2. Pledge of Allegiance
Approve agenda, with any amendments
4. *Consent Agenda
*A. Approve payment of claims 1902 -1929
*B. Approve minutes: Aug 26, 2014 regular meeting 1930 -1932
Sept 3, 2014 Special Meeting Budget Workshop 1933 -1935
*C. Approve Pay Request No. 2 from Penn Contracting, Inc., in the amount of 1936 -1937
$58,900.95, for the 2014 Lift Station Improvement Project, City Project No.
PW -14 -03
*D. Approve Pay Request No. 1 from GMH Asphalt Corporation, in the amount 1938 -1939
of $248,278.04, for the 2014 Street, Utility and Retaining Wall
Improvements - -East Three Points Boulevard, City Project No. PW -14 -01
*E. 2013 Street, Utility and Retaining Wall Improvement Project, City Project
Nos. PW- 13 -01, PW -13 -02
1. Approve Resolution Declaring Cost to be Assessed, and Ordering 1940
Preparation of Proposed Assessment for the 2013 Street, Utility and
Retaining Wall Improvement Project
2. Approve Resolution for Hearing on Proposed Assessment for the 1941
2013 Street, Utility and Retaining Wall Improvement Project
*F. Approve Resolution Authorizing a Liquor Lighting Retrofit Project 1942 -1947
5. Comments and suggestions from citizens present on any item not on the agenda.
(Limit to 3 minutes per speaker.)
PLEASE TURN OFF ALL CELL PHONES & PAGERS IN COUNCIL CHAMBERS.
6. 2015 Preliminary Budget and Levy Discussion and Approvals * *
A. Action on Resolution Approving Changes to the Debt Service Levy Schedules
B. Action on Resolution Approving a Levy not to Exceed $177,835 for the
purpose of Defraying the Cost of Operation, Pursuant to the Provisions of
MSA 469, of the Housing and Redevelopment Authority of and for the City
of Mound for the Year 2015
C. Action on Resolution Approving the 2015 Preliminary General Fund Budget
in the amount of $5,137,984; Setting the Preliminary Levy at $5,544,362;
and Approving the Preliminary Overall Budget for 2015
D. Mayor Harms with a public announcement that the 2015 Final Budget and
Levy discussions and decisions will take place at the December 9, 2014
Regular City Council Meeting, at 7:00 pm, in the Council Chambers.
Public comments will be taken at this meeting. Comments or questions
on the 2015 Budget and Levy can be directed to the Finance Director
at 952- 472 -0633.
** Also see separate budget packet.
7. Information/Miscellaneous
A. Comments /reports from Councilmembers /City Manager
B. Minutes: Planning Comm: July 1, 2014
July 15, 2014
C. Reports: Harbor Wine & Spirits: YTD Aug 2014
D. Correspondence: Letter from Mediacom: Aug 29, 2014
8. Adjourn
1948 -1949
1950
1951 -1957
1958 -1960
1961 -1962
1963 -1971
1972 -1973
Note: 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. citvofmound cn n.
PLEASE TURN OFF ALL CELL PHONES & PAGERS IN COUNCIL CHAMBERS.
6. 2015 Preliminary Budget and Levy Discussion and Approvals * *
A. Action on Resolution Approving Changes to the Debt Service Levy Schedules
B. Action on Resolution Approving a Levy not to Exceed $177,835 for the
purpose of Defraying the Cost of Operation, Pursuant to the Provisions of
MSA 469, of the Housing and Redevelopment Authority of and for the City
of Mound for the Year 2015
C. Action on Resolution Approving the 2015 Preliminary General Fund Budget
in the amount of $5,137,984; Setting the Preliminary Levy at $5,544,362;
and Approving the Preliminary Overall Budget for 2015
D. Mayor Harms with a public announcement that the 2015 Final Budget and
Levy discussions and decisions will take place at the December 9, 2014
Regular City Council Meeting, at 7:00 pm, in the Council Chambers.
Public comments will be taken at this meeting. Comments or questions
on the 2015 Budget and Levy can be directed to the Finance Director
at 952- 472 -0633.
** Also see separate budget packet.
7. Information/Miscellaneous
A. Comments /reports from Councilmembers /City Manager
B. Minutes: Planning Comm: July 1, 2014
July 15, 2014
C. Reports: Harbor Wine & Spirits: YTD Aug 2014
D. Correspondence: Letter from Mediacom: Aug 29, 2014
8. Adjourn
1948 -1949
1950
1951 -1957
1958 -1960
1961 -1962
1963 -1971
1972 -1973
Note: 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. citvofmound cn n.
City of Mound Claims as of 09-09-14
1 a 1 Ifl
2014 JULY14ELANCC
2014 PRIMARYELECT
2014 082714CTYMAN
2014 090914CITY
2014 090914HWS
DOLLAR AMOUNT
$ 104,819.56
$ 2,373.73
$ 2,741.75
$ 6,127.46
$ 101,687.75
$ 92,883.58
TOTAL CLAIMS 01
-1902-
City of Mound Claims as of 09-09-14
1 a 1 Ifl
2014 JULY14ELANCC
2014 PRIMARYELECT
2014 082714CTYMAN
2014 090914CITY
2014 090914HWS
DOLLAR AMOUNT
$ 104,819.56
$ 2,373.73
$ 2,741.75
$ 6,127.46
$ 101,687.75
$ 92,883.58
TOTAL CLAIMS 01
-1902-
CITY OF MOUND
CITY OF MOUND
Payments
Current Period: September 2014
Batch Name BOLTMNK07 -14 User Dollar Amt $104,819.56
Payments Computer Dollar Amt $104,819.56
$0.00 In Balance
Refer
1 BOLTON AND MENK, INCORPORA
Cash Payment
E 402 -43120 -300 Professional Srvs
Invoice 0168874
7/31/2014
Cash Payment
E 675- 49425 -300 Professional Srvs
Invoice 0168879
7/3112014
Cash Payment
E 602 - 49450 -300 Professional Srvs
Invoice 0168891
7/31/2014
Cash Payment
E 101 -43100 -300 Professional Srvs
Invoice 0168868
7/31/2014
Cash Payment
E 401 - 43113 -303 Engineering Fees
Invoice 0168880
7/31/2014
Cash Payment
E 602 - 49450 -500 Capital Outlay FA
Invoice 0168881
7/31/2014
Cash Payment
E 675 - 49425 -300 Professional Srvs
MSA SYSTEM COORDINATION THRU JULY
182014
SURFACE WATER MGMT SVCS THRU JULY
182014
UPDATE STREET & UTILITY MAPS
ENGINEERING THRU JULY 18 2014
Project 14 -4
GENERAL ENGINEERING SVCS THRU JULY
182014
2013 STREET, UTILITY IMPROV PROD. PW13-
01 ENG SVCS THRU JULY 18 2014
Project PW 1301
2013 STREET, UTILITY IMPROV PROJ. PW13-
06 ENG SVCS THRU JULY 18 2014
Project PW 1306
STORMWATER UTILITY -SW PPP UPDATE
ENG SVCS THRU JULY 18 2014
Invoice 0168873 7/31/2014
Cash Payment G 101 -23309 XXXX FAIRFIELD - PC #14 -1 FAIRFIELD RD SUBDIVISION ENG SVC THRU
JULY 18 2014
Invoice 0168871 7/31/2014
Cash Payment E 602 - 49450 -300 Professional Srvs
Invoice 0168868 7/31/2014
Cash Payment E 602- 49450 -500 Capital Outlay FA
Invoice 0168883 7/31/2014
Cash Payment E 401- 43213 -303 Engineering Fees
Invoice 0168882
7/31/2014
Transaction Date
8/27/2014
Refer
2 BOLTON AND MENK, INCORPORA
Cash Payment
E 602 - 49450 -300 Professional Srvs
Invoice 0168877
7/31/2014
Cash Payment
E 401 -43114 -303 Engineering Fees
Invoice 0168886 7/31/2014
Cash Payment E 675- 49425 -500 Capital Outlay FA
Invoice 0168885 7/31/2014
Cash Payment E 602 - 49450 -500 Capital Outlay FA
Invoice 0168887 7/31/2014
SANITARY SEWER ENGINEERING SVCS
THRU JULY 18 2014
2013 STREET, UTILITY IMPROV PROJ. PW13-
03 ENG SVCS THRU JULY 18 2014
Project PW1303
2013 STREET, UTILITY IMPROV PROJ. PW13-
05 ENG SVCS THRU JULY 18 2014
Project PW 1305
Wells Fargo 10100 Total
GIS UPDATES ENG SVC THRU JULY 18 2014
Project 14 -4
2014 STREET, UTILITY IMPROV PROJ. PW14-
01 ENG SVCS THRU JULY 18 2014
Project PW 1401
STORM DRAINAGE IMPROV 2014 PROJ
PW 14 -04 ENG SVCS THRU JULY 18 2014
Project PW 1404
2014 LIFT STATION IMPROV PROD PW 14 -03
ENG SVC THRU JULY 18 2014
Project PW 1403
-1903-
09/04/14 11:27 AM
Page 1
$797.50
$249.00
$2,188.50
$3,029.50
$11,475.00
$217.50
$314.50
$217.50
$823.50
$1,489.50
$2,567.00
$23,369.00
$5,412.00
$11,414.38
$10,724.50
$7,887.00
CITY OF MOUND
CITY OF MOUND
Payments
Current Period: September 2014
Batch Name BOLTMNK07 -14 User Dollar Amt $104,819.56
Payments Computer Dollar Amt $104,819.56
$0.00 In Balance
Refer
1 BOLTON AND MENK, INCORPORA
Cash Payment
E 402 -43120 -300 Professional Srvs
Invoice 0168874
7/31/2014
Cash Payment
E 675- 49425 -300 Professional Srvs
Invoice 0168879
7/3112014
Cash Payment
E 602 - 49450 -300 Professional Srvs
Invoice 0168891
7/31/2014
Cash Payment
E 101 -43100 -300 Professional Srvs
Invoice 0168868
7/31/2014
Cash Payment
E 401 - 43113 -303 Engineering Fees
Invoice 0168880
7/31/2014
Cash Payment
E 602 - 49450 -500 Capital Outlay FA
Invoice 0168881
7/31/2014
Cash Payment
E 675 - 49425 -300 Professional Srvs
MSA SYSTEM COORDINATION THRU JULY
182014
SURFACE WATER MGMT SVCS THRU JULY
182014
UPDATE STREET & UTILITY MAPS
ENGINEERING THRU JULY 18 2014
Project 14 -4
GENERAL ENGINEERING SVCS THRU JULY
182014
2013 STREET, UTILITY IMPROV PROD. PW13-
01 ENG SVCS THRU JULY 18 2014
Project PW 1301
2013 STREET, UTILITY IMPROV PROJ. PW13-
06 ENG SVCS THRU JULY 18 2014
Project PW 1306
STORMWATER UTILITY -SW PPP UPDATE
ENG SVCS THRU JULY 18 2014
Invoice 0168873 7/31/2014
Cash Payment G 101 -23309 XXXX FAIRFIELD - PC #14 -1 FAIRFIELD RD SUBDIVISION ENG SVC THRU
JULY 18 2014
Invoice 0168871 7/31/2014
Cash Payment E 602 - 49450 -300 Professional Srvs
Invoice 0168868 7/31/2014
Cash Payment E 602- 49450 -500 Capital Outlay FA
Invoice 0168883 7/31/2014
Cash Payment E 401- 43213 -303 Engineering Fees
Invoice 0168882
7/31/2014
Transaction Date
8/27/2014
Refer
2 BOLTON AND MENK, INCORPORA
Cash Payment
E 602 - 49450 -300 Professional Srvs
Invoice 0168877
7/31/2014
Cash Payment
E 401 -43114 -303 Engineering Fees
Invoice 0168886 7/31/2014
Cash Payment E 675- 49425 -500 Capital Outlay FA
Invoice 0168885 7/31/2014
Cash Payment E 602 - 49450 -500 Capital Outlay FA
Invoice 0168887 7/31/2014
SANITARY SEWER ENGINEERING SVCS
THRU JULY 18 2014
2013 STREET, UTILITY IMPROV PROJ. PW13-
03 ENG SVCS THRU JULY 18 2014
Project PW1303
2013 STREET, UTILITY IMPROV PROJ. PW13-
05 ENG SVCS THRU JULY 18 2014
Project PW 1305
Wells Fargo 10100 Total
GIS UPDATES ENG SVC THRU JULY 18 2014
Project 14 -4
2014 STREET, UTILITY IMPROV PROJ. PW14-
01 ENG SVCS THRU JULY 18 2014
Project PW 1401
STORM DRAINAGE IMPROV 2014 PROJ
PW 14 -04 ENG SVCS THRU JULY 18 2014
Project PW 1404
2014 LIFT STATION IMPROV PROD PW 14 -03
ENG SVC THRU JULY 18 2014
Project PW 1403
-1903-
09/04/14 11:27 AM
Page 1
$797.50
$249.00
$2,188.50
$3,029.50
$11,475.00
$217.50
$314.50
$217.50
$823.50
$1,489.50
$2,567.00
$23,369.00
$5,412.00
$11,414.38
$10,724.50
$7,887.00
ii��
CITY OF MOUND
CITY OF MOUND
Payments
Current Period: September 2014
Cash Payment E 601- 49400 -500 Capital Outlay FA
Invoice 0168888
7/31/2014
Cash Payment
E 427 -43121 -303 Engineering Fees
Invoice 0168889
7/31/2014
Cash Payment
E 602- 49450 -300 Professional Srvs
Invoice 0168870
7/31/2014
Cash Payment
E 401 - 43127 -300 Professional Srvs
Invoice 0168878
7/31/2014
Cash Payment
E 675 - 49425 -300 Professional Srvs
Invoice 0168869
7/3112014
Cash Payment
E 602 - 49450 -300 Professional Srvs
Invoice 0168884
713112014
Cash Payment
E 601- 49400 -300 Professional Srvs
Invoice 0168876
7/31/2014
Cash Payment
E 401 - 43110 -303 Engineering Fees
Invoice 0168890 7/31/2014
2014 BARTLETT BLVD WATERMAIN
REPLACE PROJ PW 14 -08 ENG SVC THRU
JULY 18 2014
Project PW 1408
2014 CRACK & SEALCOAT IMPROV PROD.
PW 14 -06 ENG SVC THRU JULY 18 2014
Project PW 1406
1 & I ANALYSIS; 2011 CIPP PROJECT SVCS
THRU JULY 18 2014
2011 HIGHLANDS STREET PROJ PW11 -02
ENGINEER SVCS THRU JULY 18 2014
Project PW 1102
WCA ADMINISTRATION STORMWATER
SVCS THRU JULY 18 2014
MCES FLOWS - PROJECTS,
REVIEW /COORDINATION THRU JULY 182014
WATER WELLHEAD PROTECTION PLAN
ENGINEERING SVCS THRU JULY 18 2014
EMERGENCY RETAINING WALL REPLACE -
3025 IVD ENG SVCS THRU JULY 18 2014
09/04/14 11:27 AM
Page 2
$18,387.68
$4,233.00
$507.50
$72.50
$270.00
$942.50
$942.50
$6,686.50
Cash Payment E 602- 49450 -300 Professional Srvs SEWER DISCHARGE BACKUP ISSUE- ENG $13,970.50
SVCS THRU JULY 18 2014
Invoice 0168886 7/31/2014
Transaction Date 8/27/2014 Wells Fargo 10100 Total $81,450.56
Fund Summary
Pre - Written Check $0.00
Checks to be Generated by the Computer $104,819.56
Total $104,819.56
-1904-
10100 Wells Fargo
101 GENERAL FUND
$3,247.00
401 GENERAL CAPITAL PROJECTS
$32,215.38
402 MUNICIPAL ST AID ST CONSTUCT
$797.50
427 SEAL COAT FUND
$4,233.00
601 WATER FUND
$19,330.18
602 SEWER FUND
$33,438.50
675 STORM WATER UTILITY FUND
$11,558.00
$104,819.56
Pre - Written Check $0.00
Checks to be Generated by the Computer $104,819.56
Total $104,819.56
-1904-
ii��
CITY OF MOUND
CITY OF MOUND
Payments
Current Period: September 2014
Cash Payment E 601- 49400 -500 Capital Outlay FA
Invoice 0168888
7/31/2014
Cash Payment
E 427 -43121 -303 Engineering Fees
Invoice 0168889
7/31/2014
Cash Payment
E 602- 49450 -300 Professional Srvs
Invoice 0168870
7/31/2014
Cash Payment
E 401 - 43127 -300 Professional Srvs
Invoice 0168878
7/31/2014
Cash Payment
E 675 - 49425 -300 Professional Srvs
Invoice 0168869
7/3112014
Cash Payment
E 602 - 49450 -300 Professional Srvs
Invoice 0168884
713112014
Cash Payment
E 601- 49400 -300 Professional Srvs
Invoice 0168876
7/31/2014
Cash Payment
E 401 - 43110 -303 Engineering Fees
Invoice 0168890 7/31/2014
2014 BARTLETT BLVD WATERMAIN
REPLACE PROJ PW 14 -08 ENG SVC THRU
JULY 18 2014
Project PW 1408
2014 CRACK & SEALCOAT IMPROV PROD.
PW 14 -06 ENG SVC THRU JULY 18 2014
Project PW 1406
1 & I ANALYSIS; 2011 CIPP PROJECT SVCS
THRU JULY 18 2014
2011 HIGHLANDS STREET PROJ PW11 -02
ENGINEER SVCS THRU JULY 18 2014
Project PW 1102
WCA ADMINISTRATION STORMWATER
SVCS THRU JULY 18 2014
MCES FLOWS - PROJECTS,
REVIEW /COORDINATION THRU JULY 182014
WATER WELLHEAD PROTECTION PLAN
ENGINEERING SVCS THRU JULY 18 2014
EMERGENCY RETAINING WALL REPLACE -
3025 IVD ENG SVCS THRU JULY 18 2014
09/04/14 11:27 AM
Page 2
$18,387.68
$4,233.00
$507.50
$72.50
$270.00
$942.50
$942.50
$6,686.50
Cash Payment E 602- 49450 -300 Professional Srvs SEWER DISCHARGE BACKUP ISSUE- ENG $13,970.50
SVCS THRU JULY 18 2014
Invoice 0168886 7/31/2014
Transaction Date 8/27/2014 Wells Fargo 10100 Total $81,450.56
Fund Summary
Pre - Written Check $0.00
Checks to be Generated by the Computer $104,819.56
Total $104,819.56
-1904-
10100 Wells Fargo
101 GENERAL FUND
$3,247.00
401 GENERAL CAPITAL PROJECTS
$32,215.38
402 MUNICIPAL ST AID ST CONSTUCT
$797.50
427 SEAL COAT FUND
$4,233.00
601 WATER FUND
$19,330.18
602 SEWER FUND
$33,438.50
675 STORM WATER UTILITY FUND
$11,558.00
$104,819.56
Pre - Written Check $0.00
Checks to be Generated by the Computer $104,819.56
Total $104,819.56
-1904-
CITY OF MOUND
Payments
Current Period: August 2014
Batch Name JULY14ELANCC User Dollar Amt $2,373.73
Payments Computer Dollar Amt $2,373.73
$0.00 In Balance
Refer 7 ELAN CREDIT CARD Ck# 053684E 8/21/2014
Cash Payment E 101- 41310 -434 Conference & Training CITY MGR TRAINING MEAL- MICHAELS
STEAK & SEAFOOD ST. CLOUD JUNE 18-
2014
Invoice 08262014 6/1812014
Cash Payment E 609 - 49750 -200 Office Supplies
Invoice 08262014 6/28/2014
Cash Payment E 609 - 49750 -430 Miscellaneous
OFFICE DEPOT- CARD STOCK FOR SIGN
MAKING HWS
CARBONES STAFF LUNCH 4TH OF JULY -
HWS
Invoice 08262014 7/4/2014
Cash Payment E 101- 41920 -440 Other Contractual Servic WEBSITE DOMAIN 5 YEAR RENEWAL
Invoice 08262014 6/24/2014
Cash Payment E 101- 41500 -433 Dues and Subscriptions GFOA CERTIFICATE OF ACHIEVEMENT
REGISTRATION (REPORTING YEAR 2013
Invoice 08262014 7/2/2014
Cash Payment E 601 - 49400 -221 Equipment Parts
Invoice 08262014 6/10/2014
Cash Payment E 222- 42260 -210 Operating Supplies
Invoice 08262014 614/2014
Cash Payment E 222 - 42260 -210 Operating Supplies
Invoice 08262014 6/21/2014
Cash Payment E 222- 42260 -210 Operating Supplies
Invoice 08262014 6/5/2014
Cash Payment G 222 -22801 Deposits /Escrow
Invoice 08262014 6/6/2014
Cash Payment G 222 -22801 Deposits /Escrow
Invoice 08262014 6/17/2014
Cash Payment G 222 -22801 Deposits /Escrow
Invoice 08262014 6/17/2014
Cash Payment E 222 - 42260 -434 Conference & Training
Invoice 08262014 6/17/2014
Cash Payment E 222- 42260 -434 Conference & Training
Invoice 08262014 6117/2014
Cash Payment E 222- 42260 -210 Operating Supplies
Invoice 08262014 6122/2014
POLLARD WATER.COM EXPANDER NUTS
FOR 3/4" PIPES
MICHAELS STORES -PHOTO FRAMES FOR
MFD
MICHAELS STORE CREDIT- MFD FRAMES
RETURNED
AMAZON.COM 24 HR WALL CLOCK, DIGITAL
WALL CLOCK- MFD
TIMBERWOLF PRODUCTS- FISH FRY
PLASTIC MUGS FOR SALE- FIRE RELIEF
ASSOC REIMBURSED CITY 45304 6 -19 -14
SPOUSE AIRFARE TO IAFC FRI CONF 8 -13
TO 8 -16 DALLAS TX- REIMB G. PALM #15064
8 -12 -14
SPOUSE AIRFARE TO IAFC FRI CONF 8 -13
TO 8 -16 DALLAS TX- REIMB G. PEDERSON
#5239 8 -20 -14
IAFC FIRE RESCUE INTL CONG 8 -13 TO 8 -16
DALLASO AIRFARE G. PEDERSON
IAFC FIRE RESCUE INTL CONIC 8 -13 TO 8 -16
DALLASO AIRFARE G. PALM
AMAZON.COM 2 -PK NIKON CAMERA
REPLACEMENT BATTERIES MFD
-1905-
08/21/14 4:17 PM
Page 1
$10.75
$14.47
$49.35
$184.95
$435.00
$24.76
$171.59
- $32.17
$37.36
$315.00
$218.00
$218.00
$218.00
$218.00
$19.95
CITY OF MOUND
Payments
Current Period: August 2014
Batch Name JULY14ELANCC User Dollar Amt $2,373.73
Payments Computer Dollar Amt $2,373.73
$0.00 In Balance
Refer 7 ELAN CREDIT CARD Ck# 053684E 8/21/2014
Cash Payment E 101- 41310 -434 Conference & Training CITY MGR TRAINING MEAL- MICHAELS
STEAK & SEAFOOD ST. CLOUD JUNE 18-
2014
Invoice 08262014 6/1812014
Cash Payment E 609 - 49750 -200 Office Supplies
Invoice 08262014 6/28/2014
Cash Payment E 609 - 49750 -430 Miscellaneous
OFFICE DEPOT- CARD STOCK FOR SIGN
MAKING HWS
CARBONES STAFF LUNCH 4TH OF JULY -
HWS
Invoice 08262014 7/4/2014
Cash Payment E 101- 41920 -440 Other Contractual Servic WEBSITE DOMAIN 5 YEAR RENEWAL
Invoice 08262014 6/24/2014
Cash Payment E 101- 41500 -433 Dues and Subscriptions GFOA CERTIFICATE OF ACHIEVEMENT
REGISTRATION (REPORTING YEAR 2013
Invoice 08262014 7/2/2014
Cash Payment E 601 - 49400 -221 Equipment Parts
Invoice 08262014 6/10/2014
Cash Payment E 222- 42260 -210 Operating Supplies
Invoice 08262014 614/2014
Cash Payment E 222 - 42260 -210 Operating Supplies
Invoice 08262014 6/21/2014
Cash Payment E 222- 42260 -210 Operating Supplies
Invoice 08262014 6/5/2014
Cash Payment G 222 -22801 Deposits /Escrow
Invoice 08262014 6/6/2014
Cash Payment G 222 -22801 Deposits /Escrow
Invoice 08262014 6/17/2014
Cash Payment G 222 -22801 Deposits /Escrow
Invoice 08262014 6/17/2014
Cash Payment E 222 - 42260 -434 Conference & Training
Invoice 08262014 6/17/2014
Cash Payment E 222- 42260 -434 Conference & Training
Invoice 08262014 6117/2014
Cash Payment E 222- 42260 -210 Operating Supplies
Invoice 08262014 6122/2014
POLLARD WATER.COM EXPANDER NUTS
FOR 3/4" PIPES
MICHAELS STORES -PHOTO FRAMES FOR
MFD
MICHAELS STORE CREDIT- MFD FRAMES
RETURNED
AMAZON.COM 24 HR WALL CLOCK, DIGITAL
WALL CLOCK- MFD
TIMBERWOLF PRODUCTS- FISH FRY
PLASTIC MUGS FOR SALE- FIRE RELIEF
ASSOC REIMBURSED CITY 45304 6 -19 -14
SPOUSE AIRFARE TO IAFC FRI CONF 8 -13
TO 8 -16 DALLAS TX- REIMB G. PALM #15064
8 -12 -14
SPOUSE AIRFARE TO IAFC FRI CONF 8 -13
TO 8 -16 DALLAS TX- REIMB G. PEDERSON
#5239 8 -20 -14
IAFC FIRE RESCUE INTL CONG 8 -13 TO 8 -16
DALLASO AIRFARE G. PEDERSON
IAFC FIRE RESCUE INTL CONIC 8 -13 TO 8 -16
DALLASO AIRFARE G. PALM
AMAZON.COM 2 -PK NIKON CAMERA
REPLACEMENT BATTERIES MFD
-1905-
08/21/14 4:17 PM
Page 1
$10.75
$14.47
$49.35
$184.95
$435.00
$24.76
$171.59
- $32.17
$37.36
$315.00
$218.00
$218.00
$218.00
$218.00
$19.95
CITY OF MOUND 06/21/144:17 PM
Page 2
Payments
Current Period: August 2014
Cash Payment E 222 - 42260 -210 Operating Supplies AMAZON.COM HANDHELD GPS NAVIGATOR $104.21
& HOLDER MFD
Invoice 08262014 6/22/2014
Cash Payment E 222 -42260 -409 Other Equipment Repair GENERAL SAFETY EQUIP -LED TIRE FIRES $101.52
INDICATOR CAP UNIT #40 MFD
Invoice 08262014 6/24/2014
Cash Payment E 222- 42260 -210 Operating Supplies
Invoice 08262014 6/26/2014
Cash Payment E 222- 42260 -434 Conference & Training
OUR DESIGNS.COM MEMBERSHIP FEE -
MFD SUPPLIES
ADJ REG FEE- IAFC FIRE RESCUE INTL
GONG 8 -13 TO 8 -16 DALLASO G. PEDERSON
$14.99
$50.00
Invoice 08262014 7/2/2014
Transaction Date 812112014 Wells Fargo 10100 Total $2,373.73
Fund Summary
101 GENERAL FUND
222 AREA FIRE SERVICES
601 WATER FUND
609 MUNICIPAL LIQUOR FUND
10100 Wells Fargo
$630.70
$1,654.45
$24.76
$63.82
- -- $2,37173
Pre - Written Check $2,373.73
Checks to be Generated by the Computer $0.00
Total $2,373.73
-1906-
CITY OF MOUND 06/21/144:17 PM
Page 2
Payments
Current Period: August 2014
Cash Payment E 222 - 42260 -210 Operating Supplies AMAZON.COM HANDHELD GPS NAVIGATOR $104.21
& HOLDER MFD
Invoice 08262014 6/22/2014
Cash Payment E 222 -42260 -409 Other Equipment Repair GENERAL SAFETY EQUIP -LED TIRE FIRES $101.52
INDICATOR CAP UNIT #40 MFD
Invoice 08262014 6/24/2014
Cash Payment E 222- 42260 -210 Operating Supplies
Invoice 08262014 6/26/2014
Cash Payment E 222- 42260 -434 Conference & Training
OUR DESIGNS.COM MEMBERSHIP FEE -
MFD SUPPLIES
ADJ REG FEE- IAFC FIRE RESCUE INTL
GONG 8 -13 TO 8 -16 DALLASO G. PEDERSON
$14.99
$50.00
Invoice 08262014 7/2/2014
Transaction Date 812112014 Wells Fargo 10100 Total $2,373.73
Fund Summary
101 GENERAL FUND
222 AREA FIRE SERVICES
601 WATER FUND
609 MUNICIPAL LIQUOR FUND
10100 Wells Fargo
$630.70
$1,654.45
$24.76
$63.82
- -- $2,37173
Pre - Written Check $2,373.73
Checks to be Generated by the Computer $0.00
Total $2,373.73
-1906-
Batch Name PRIMARYELECT
Payment
CITY OF MOUND
Payments
Current Period: August 2014
Computer Dollar Amt $2,741.75 Posted
08/28/14 2.17 PM
Page 1
Refer 1 ANDERSON, DOUG
Ck# 046915 8/28/2014
Total
$72.00
Cash Payment E 101 - 41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$161,50
Cash Payment E 101 - 41410 -300 Professional Srvs
TRAINING PAY
$96.00
Invoice 08122014 811212014
TRAINING PAY
Transaction Date 8/27/2014 Due 0
Wells Fargo 10100
Total
$161.50
Refer 8 ARMSTRONG, LARRY
Ck# 046916 8/28/2014
Total
$96.00
Cash Payment E 101 - 41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$161.50
Cash Payment E 101 -41410 -300 Professional Srvs
TRAINING PAY
$80.00
Invoice 08122014 8/12/2014
TRAINING PAY
Transaction Date 8/27/2014 Due 0
Wells Fargo 10100
Total
$161.50
Refer 26 BIEHL, TRACY
Ck# 046917 8/28/2014
Total
$80.00
Cash Payment E 101 - 41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$80.00
Cash Payment E 101 -41410 -300 Professional Srvs
TRAINING PAY
$68.00
Invoice 08122014 8/12/2014
Transaction Date 8/27/2014 Due 0
Wells Fargo 10100
Total
$80.00
Refer. 9 DASCHER, SHARON
Ck# 046918 8/28/2014
Cash Payment E 101- 41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$72,00
TRAINING PAY
Invoice 08122014 8/12/2014
Transaction Date 8/27/2014
Refer 16 HALVORSON, AARON
Cash Payment E 101 - 41410 -300 Professional Srv:
Invoice 08122014 8/12/2014
Due 0 Wells Fargo 10100 Total $72.00
Ck# 046919 8/28/2014
Transaction Date 8/27/2014 Due 0
Refer 27 HENDLEY, RON
Cash Payment E 101 - 41410 -300 Professional Srvs
Invoice 08122014 8/1212014
PRIMARY ELECTION 8 -12 -14 & JUDGE $72.00
TRAINING PAY
Wells Fargo 10100 Total $72.00
Ck# 046920 8/28/2014
PRIMARY ELECTION 8 -12 -14 & JUDGE $72.00
TRAINING PAY
Transaction Date 8/27/2014 Due 0
Wells Fargo 10100
Total
$72.00
Refer 2 HEYSTEK, HENRI
Ck# 046921 8/28/2014
Cash Payment E 101 - 41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$96.00
TRAINING PAY
Invoice 08122014 8/12/2014
Transaction Date 8/27/2014 Due 0
Wells Fargo 10100
Total
$96.00
Refer 10 HYSJULIEN, NELLIE
Ck# 046922 8/28/2014
Cash Payment E 101 -41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$80.00
TRAINING PAY
Invoice 08122014 8/12/2014
Transaction Date 8/27/2014 Due 0
Wells Fargo 10100
Total
$80.00
Refer 28 KOHLS, PATRICIA
Ck# 046923 8/28/2014
Cash Payment E 101 -41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$68.00
Invoice 08122014 8/12/2014
TRAINING PAY
-1907-
Batch Name PRIMARYELECT
Payment
CITY OF MOUND
Payments
Current Period: August 2014
Computer Dollar Amt $2,741.75 Posted
08/28/14 2.17 PM
Page 1
Refer 1 ANDERSON, DOUG
Ck# 046915 8/28/2014
Total
$72.00
Cash Payment E 101 - 41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$161,50
Cash Payment E 101 - 41410 -300 Professional Srvs
TRAINING PAY
$96.00
Invoice 08122014 811212014
TRAINING PAY
Transaction Date 8/27/2014 Due 0
Wells Fargo 10100
Total
$161.50
Refer 8 ARMSTRONG, LARRY
Ck# 046916 8/28/2014
Total
$96.00
Cash Payment E 101 - 41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$161.50
Cash Payment E 101 -41410 -300 Professional Srvs
TRAINING PAY
$80.00
Invoice 08122014 8/12/2014
TRAINING PAY
Transaction Date 8/27/2014 Due 0
Wells Fargo 10100
Total
$161.50
Refer 26 BIEHL, TRACY
Ck# 046917 8/28/2014
Total
$80.00
Cash Payment E 101 - 41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$80.00
Cash Payment E 101 -41410 -300 Professional Srvs
TRAINING PAY
$68.00
Invoice 08122014 8/12/2014
Transaction Date 8/27/2014 Due 0
Wells Fargo 10100
Total
$80.00
Refer. 9 DASCHER, SHARON
Ck# 046918 8/28/2014
Cash Payment E 101- 41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$72,00
TRAINING PAY
Invoice 08122014 8/12/2014
Transaction Date 8/27/2014
Refer 16 HALVORSON, AARON
Cash Payment E 101 - 41410 -300 Professional Srv:
Invoice 08122014 8/12/2014
Due 0 Wells Fargo 10100 Total $72.00
Ck# 046919 8/28/2014
Transaction Date 8/27/2014 Due 0
Refer 27 HENDLEY, RON
Cash Payment E 101 - 41410 -300 Professional Srvs
Invoice 08122014 8/1212014
PRIMARY ELECTION 8 -12 -14 & JUDGE $72.00
TRAINING PAY
Wells Fargo 10100 Total $72.00
Ck# 046920 8/28/2014
PRIMARY ELECTION 8 -12 -14 & JUDGE $72.00
TRAINING PAY
Transaction Date 8/27/2014 Due 0
Wells Fargo 10100
Total
$72.00
Refer 2 HEYSTEK, HENRI
Ck# 046921 8/28/2014
Cash Payment E 101 - 41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$96.00
TRAINING PAY
Invoice 08122014 8/12/2014
Transaction Date 8/27/2014 Due 0
Wells Fargo 10100
Total
$96.00
Refer 10 HYSJULIEN, NELLIE
Ck# 046922 8/28/2014
Cash Payment E 101 -41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$80.00
TRAINING PAY
Invoice 08122014 8/12/2014
Transaction Date 8/27/2014 Due 0
Wells Fargo 10100
Total
$80.00
Refer 28 KOHLS, PATRICIA
Ck# 046923 8/28/2014
Cash Payment E 101 -41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$68.00
Invoice 08122014 8/12/2014
TRAINING PAY
-1907-
CITY OF MOUND
Payments
Current Period: August 2014
Transaction Date 8/27/2014
Refer 11 LAGOW, DEWAYNE
Cash Payment E 101 - 41410 -300 Professional Sry
Invoice 08122014 8/12/2014
Transaction Date 8/2712014
Refer 17 LAGOW, JOELLEN
08/28/14 2:17 PM
Page 2
Due 0 Wells Fargo 10100 Total S68.00
Ck #046924 812812014
s PRIMARY ELECTION 8 -12 -14 & JUDGE $80.00
TRAINING PAY
Due 0 Wells Fargo 10100 Total $80.00
Cash Payment E 101 -41410 -300 Professional Sws;
Ck# 046925 8/28/2014
PRIMARY ELECTION 8 -12 -14 & JUDGE $80.00
TRAINING PAY
Invoice 08122014 8/12/2014
Transaction Date 8/2712014 Due 0 Wells Fargo 10100
Total
$80.00
Refer 31 MAC_KRES, MARY _
Ck #046926 8/28/2014
Cash Payment E 101 - 41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$72.00
TRAINING PAY
Invoice 08122014 8/12/2014
Transaction Date 8/27/2014 Due 0 Wells Fargo 10100
Total
$72.00
Refer 12 MCKENZIE, MARY D.
Ck# 046927 8/28/2014
Cash Payment E 101 - 41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$80.00
TRAINING PAY
Invoice 08122014 8/12/2014
Transaction Date 8127/2014 Due 0 Wells Fargo 10100
Total
$80.00
Refer 29 MCKENZIE, SCOT
Ck# 046928 8/2812014
Cash Payment E 101 -41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$80.00
TRAINING PAY
Invoice 08122014 8/12/2014
Transaction Date 8/2712014 Due 0
Wells Fargo 10100
Total
$80.00
Refer 3 MELSNESS, LARRY
Ck# 046929 8/28/2014
Cash Payment E 101- 41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$80.00
TRAINING PAY
Invoice 08122014 8/12/2014
Transaction Date 8/2712014 Due 0
Wells Fargo 10100
Total
$80.00
Refer_ 21 MEYER, PETER _ _
Ck# 046930 8/28/2014
Cash Payment E 101 - 41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$80.00
TRAINING PAY
Invoice 08122014 8/12/2014
Transaction Date 8/2712014 Due 0
Wells Fargo 10100
Total
$80.00
Refer _ 13 MILLER, PATTY
Ck# 046931 8/28/2014
Cash Payment E 101- 41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$72.00
TRAINING PAY
Invoice 08122014 8/12/2014
Transaction Date 8/27/2014 Due 0
Wells Fargo 10100
Total
$72.00
Refer - - 22 MILTICH, STEPHEN
Ck# 046932 8128/2014
Cash Payment E 101 - 41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$80.00
TRAINING PAY
Invoice 08122014 8/12/2014
Transaction Date 8/27/2014 Due 0
Wells Fargo 10100
Total
$80.00
Refer 4 MURPHY, KATHLEEN
Ck# 0469 " """')14
— - --
-1908=
CITY OF MOUND
Payments
Current Period: August 2014
Transaction Date 8/27/2014
Refer 11 LAGOW, DEWAYNE
Cash Payment E 101 - 41410 -300 Professional Sry
Invoice 08122014 8/12/2014
Transaction Date 8/2712014
Refer 17 LAGOW, JOELLEN
08/28/14 2:17 PM
Page 2
Due 0 Wells Fargo 10100 Total S68.00
Ck #046924 812812014
s PRIMARY ELECTION 8 -12 -14 & JUDGE $80.00
TRAINING PAY
Due 0 Wells Fargo 10100 Total $80.00
Cash Payment E 101 -41410 -300 Professional Sws;
Ck# 046925 8/28/2014
PRIMARY ELECTION 8 -12 -14 & JUDGE $80.00
TRAINING PAY
Invoice 08122014 8/12/2014
Transaction Date 8/2712014 Due 0 Wells Fargo 10100
Total
$80.00
Refer 31 MAC_KRES, MARY _
Ck #046926 8/28/2014
Cash Payment E 101 - 41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$72.00
TRAINING PAY
Invoice 08122014 8/12/2014
Transaction Date 8/27/2014 Due 0 Wells Fargo 10100
Total
$72.00
Refer 12 MCKENZIE, MARY D.
Ck# 046927 8/28/2014
Cash Payment E 101 - 41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$80.00
TRAINING PAY
Invoice 08122014 8/12/2014
Transaction Date 8127/2014 Due 0 Wells Fargo 10100
Total
$80.00
Refer 29 MCKENZIE, SCOT
Ck# 046928 8/2812014
Cash Payment E 101 -41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$80.00
TRAINING PAY
Invoice 08122014 8/12/2014
Transaction Date 8/2712014 Due 0
Wells Fargo 10100
Total
$80.00
Refer 3 MELSNESS, LARRY
Ck# 046929 8/28/2014
Cash Payment E 101- 41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$80.00
TRAINING PAY
Invoice 08122014 8/12/2014
Transaction Date 8/2712014 Due 0
Wells Fargo 10100
Total
$80.00
Refer_ 21 MEYER, PETER _ _
Ck# 046930 8/28/2014
Cash Payment E 101 - 41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$80.00
TRAINING PAY
Invoice 08122014 8/12/2014
Transaction Date 8/2712014 Due 0
Wells Fargo 10100
Total
$80.00
Refer _ 13 MILLER, PATTY
Ck# 046931 8/28/2014
Cash Payment E 101- 41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$72.00
TRAINING PAY
Invoice 08122014 8/12/2014
Transaction Date 8/27/2014 Due 0
Wells Fargo 10100
Total
$72.00
Refer - - 22 MILTICH, STEPHEN
Ck# 046932 8128/2014
Cash Payment E 101 - 41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$80.00
TRAINING PAY
Invoice 08122014 8/12/2014
Transaction Date 8/27/2014 Due 0
Wells Fargo 10100
Total
$80.00
Refer 4 MURPHY, KATHLEEN
Ck# 0469 " """')14
— - --
-1908=
CITY OF MOUND 08128/142:17 PM
Page 3
Payments
Current Period: August 2014
Cash Payment E 101- 41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$72.00
TRAINING PAY
Invoice 08122014 8/12/2014
Transaction Date 8/27/2014 Due
-
0 Wells Fargo 10100
Total
$72,00
Refer__ - 18 MURPHY, LOIS _ _
Ck# 046934 8/28/2014
Cash Payment E 101 - 41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$97.75
TRAINING PAY
Invoice 08122014 8/12/2014
Transaction Date 8/27/2014 Due
0 Wells Fargo 10100
Total
$97,75
Refer 30 NORLANDER, JILL _
Ck #046935 812812014
Cash Payment E 101 -41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$127.50
TRAINING PAY
Invoice 08122014 8/12/2014
Transaction Date 8/27/2014 Due 0 Wells Fargo 10100
Total
$127.50
Refer 23 PHILLIPS MARYLAINE
Ck# 046936 812812014
Cash Payment E 101- 41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$80.00
TRAINING PAY
Invoice 08122014 8/12/2014
Transaction Date 8127/2014 Due 0 Wells Fargo 10100
Total
$80.00
Refer 24 PUGH CHARLES _
Ck# 046937 8/28/2014
Cash Payment E 101 - 41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$68.00
TRAINING PAY
Invoice 08122014 8112/2014
Transaction Date 8/27/2014 Due 0 Wells Fargo 10100
Total
$68.00
Refer 5 RICE, DAVID
Ck #046938 8/28/2014
Cash Payment E 101 - 41410 -3D0 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$80.00
TRAINING PAY
Invoice 08122014 8112/2014
Transaction Date 8/2712014 Due 0
Wells Fargo 10100
Total
$80.00
Refer_ 14 SKARET, PATTY
Ck #046939 8/28/2014
CashPayment E 101- 41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$80.00
TRAINING PAY
Invoice 08122014 8/12/2014
Transaction Date 8/27/2014 Due 0
Wells Fargo 10100
Total
$80.00
25 SOBRASKE, JOHN_
Ck# 046940 8128/2014
_Refer_
Cash Payment E 101 - 41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$80.00
TRAINING PAY
Invoice 08122014 8/12/2014
Transaction Date 8/27/2014 Due 0
A
Wells Fargo 10100
Total
$80.00
Refer JOLEEN
Ck# 046941 8/2812014
Cash Payment E 101 - 41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$44.00
TRAINING PAY
Invoice 08122014 8/12/2014
Transaction Date 8/27/2014 Due 0
Wells Fargo 10100
Total
$44.00
Refer__ _ 6 _STONE, WILLIAM
Ck# 046942 8/28/2014
Cash Payment E 10141410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$72.00
TRAINING PAY
Invoice 08122014 8/1212014
-1909-
CITY OF MOUND 08128/142:17 PM
Page 3
Payments
Current Period: August 2014
Cash Payment E 101- 41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$72.00
TRAINING PAY
Invoice 08122014 8/12/2014
Transaction Date 8/27/2014 Due
-
0 Wells Fargo 10100
Total
$72,00
Refer__ - 18 MURPHY, LOIS _ _
Ck# 046934 8/28/2014
Cash Payment E 101 - 41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$97.75
TRAINING PAY
Invoice 08122014 8/12/2014
Transaction Date 8/27/2014 Due
0 Wells Fargo 10100
Total
$97,75
Refer 30 NORLANDER, JILL _
Ck #046935 812812014
Cash Payment E 101 -41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$127.50
TRAINING PAY
Invoice 08122014 8/12/2014
Transaction Date 8/27/2014 Due 0 Wells Fargo 10100
Total
$127.50
Refer 23 PHILLIPS MARYLAINE
Ck# 046936 812812014
Cash Payment E 101- 41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$80.00
TRAINING PAY
Invoice 08122014 8/12/2014
Transaction Date 8127/2014 Due 0 Wells Fargo 10100
Total
$80.00
Refer 24 PUGH CHARLES _
Ck# 046937 8/28/2014
Cash Payment E 101 - 41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$68.00
TRAINING PAY
Invoice 08122014 8112/2014
Transaction Date 8/27/2014 Due 0 Wells Fargo 10100
Total
$68.00
Refer 5 RICE, DAVID
Ck #046938 8/28/2014
Cash Payment E 101 - 41410 -3D0 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$80.00
TRAINING PAY
Invoice 08122014 8112/2014
Transaction Date 8/2712014 Due 0
Wells Fargo 10100
Total
$80.00
Refer_ 14 SKARET, PATTY
Ck #046939 8/28/2014
CashPayment E 101- 41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$80.00
TRAINING PAY
Invoice 08122014 8/12/2014
Transaction Date 8/27/2014 Due 0
Wells Fargo 10100
Total
$80.00
25 SOBRASKE, JOHN_
Ck# 046940 8128/2014
_Refer_
Cash Payment E 101 - 41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$80.00
TRAINING PAY
Invoice 08122014 8/12/2014
Transaction Date 8/27/2014 Due 0
A
Wells Fargo 10100
Total
$80.00
Refer JOLEEN
Ck# 046941 8/2812014
Cash Payment E 101 - 41410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$44.00
TRAINING PAY
Invoice 08122014 8/12/2014
Transaction Date 8/27/2014 Due 0
Wells Fargo 10100
Total
$44.00
Refer__ _ 6 _STONE, WILLIAM
Ck# 046942 8/28/2014
Cash Payment E 10141410 -300 Professional Srvs
PRIMARY ELECTION 8 -12 -14 & JUDGE
$72.00
TRAINING PAY
Invoice 08122014 8/1212014
-1909-
ko,
CITY OF MOUND
Payments
Current Period: August 2014
08/28/14 2:17 PM
Page 4
Transaction Date 8/27/2014 Due 0 Wells Fargo 10100 Total $72.00
Refer 19 TODD, MARY Ck# 046943 8/28/2014
Cash Payment E 101-41410-300 Professional Srvs; PRIMARY ELECTION 8-12-14 & JUDGE $161.50
TRAINING PAY
Invoice 08122014 8/1212014
Transaction Date 8/27/2014 Due 0
Wells Fargo 10100 Total
$161.50
Refer 20 WEISS SMITH, GRETCHEN
Ck# 046944 8/28/2014
Cash Payment E 101-41410-300 Professional Sws
PRIMARY ELECTION 8-12-14 & JUDGE
$72.00
TRAINING PAY
Invoice 08122014 8/12/2014
Transaction Date 8/27/2014 Due 0
Wells Fargo 10100 Total
$72,00
Refer 7 INIMSATT, PETER
Ck# 046945 8/2812014
Cash Payment E 101-41410-300 Professional Srvs
PRIMARY ELECTION 8-12-14 & JUDGE
$140.00
TRAINING PAY
Invoice 08122014 8112/2014
Transaction Date 8/27/2014 Due 0
Wells Fargo 10100 Total
$140.00
Fund Summary
10100 Wells Fargo
101 GENERAL FUND
$2,741.75
$2,741.75
Pre-Written Check $2,741.75
Checks to be Generated by the Computer $0.00
Total $2,741.75
-1910-
ko,
CITY OF MOUND
Payments
Current Period: August 2014
08/28/14 2:17 PM
Page 4
Transaction Date 8/27/2014 Due 0 Wells Fargo 10100 Total $72.00
Refer 19 TODD, MARY Ck# 046943 8/28/2014
Cash Payment E 101-41410-300 Professional Srvs; PRIMARY ELECTION 8-12-14 & JUDGE $161.50
TRAINING PAY
Invoice 08122014 8/1212014
Transaction Date 8/27/2014 Due 0
Wells Fargo 10100 Total
$161.50
Refer 20 WEISS SMITH, GRETCHEN
Ck# 046944 8/28/2014
Cash Payment E 101-41410-300 Professional Sws
PRIMARY ELECTION 8-12-14 & JUDGE
$72.00
TRAINING PAY
Invoice 08122014 8/12/2014
Transaction Date 8/27/2014 Due 0
Wells Fargo 10100 Total
$72,00
Refer 7 INIMSATT, PETER
Ck# 046945 8/2812014
Cash Payment E 101-41410-300 Professional Srvs
PRIMARY ELECTION 8-12-14 & JUDGE
$140.00
TRAINING PAY
Invoice 08122014 8112/2014
Transaction Date 8/27/2014 Due 0
Wells Fargo 10100 Total
$140.00
Fund Summary
10100 Wells Fargo
101 GENERAL FUND
$2,741.75
$2,741.75
Pre-Written Check $2,741.75
Checks to be Generated by the Computer $0.00
Total $2,741.75
-1910-
r �
CITY OF MOUND
Payments
Current Period: August 2014
Batch Name 082714CTYMAN
Payment Computer Dollar Amt $6,127.46 Posted
08/28/14 2:11 PM
Page 1
Refer_ _ 2 ADVANCED PROFESSIONAL SERV Ck# 046808 8/27/2014
Cash Payment E 101- 45200 -210 Operating Supplies
CASE OF LITTER PICK -UP BAGS
$217.75
Invoice 2592 6/512014
Transaction Date 8/26/2014 Due 0
Wells Fargo 10100 Total
$21775
Refer 4 C_AR_QUESTAUTO PARTS (FIRE)
Ck# 046809 8/27/2014
Cash Payment E 222- 42260 -210 Operating Supplies
TIRE SHINE & TIRE WET FOAM CLEANER-
$36.54
FD
Invoice 6974 - 230925 7/19/2014
Transaction Date 8/26/2014 Due 0
Wells Fargo 10100 Total
$36.54
Refer 5 CARQUEST OF NAVARRE (PIM
Ck# 046810 8/27/2014
Cash Payment E 602 - 49450 -210 Operating Supplies
OIL FILTER- TAURUS
$2.58
Invoice 6974 - 230992 7/21/2014
Project 14 -5
Cash Payment E 101- 43100 -221 Equipment Parts
OIL FILTER #407'07 DODGE DAKOTA
$5.16
Invoice 6974 - 230670 7/16/2014
Cash Payment E 101 - 43100 -221 Equipment Parts
OIL & FUEL FILTERS'02 CHEVY SILVERADO-
$39.44
STREETS DEPT
Invoice 6974 - 231345 7/25/2014
Cash Payment E 602- 49450 -221 Equipment Parts
RTN CREDIT PERF ELECTRIC FAN #105
- $90.93
Invoice 6974 - 230657 7/16/2014
Cash Payment E 101 - 43100 -221 Equipment Parts
AUTO BATTERY'04 FORD F -550 #504
$225.78
Invoice 6974 - 230727 7/17/2014
Cash Payment E 101 - 45200 -221 Equipment Parts
TERRACAIR DEFROST- PARKS
$22.06
Invoice 6974 - 230640 7/16/2014
Cash Payment E 101 - 43100 -221 Equipment Parts
TAPERED BRG ATTACHMENT
$59.99
Invoice 6974 - 229748 7/2/2014
Cash Payment E 101- 43100 -230 Shop Materials
ABSORBENT
$26.19
Invoice 6974 - 229683 711/2014
Cash Payment E 101 - 45200 -221 Equipment Parts
TIE ROD END OUTER,'09 FORD F350 #309
$113.09
Invoice 6974 - 231451 7/28/2014
Cash Payment E 101 - 43100 -221 Equipment Parts
HYD FILTER'09 FORD F350 #112
$6.66
Invoice 6974 - 231474 7/28/2014
Cash Payment E 601 -49400 -221 Equipment Parts
HYD FILTER'09 FORD F350 #112
$6.66
Invoice 6974 - 231474 7/28/2014
Cash Payment E 101 - 43100 -221 Equipment Parts
OIL & FUEL FILTERS #504' -02 CHEVY
$42.84
SILVERADO 3500
Invoice 6974- 231344 7/25/2014
Cash Payment E 602 -49450 -221 Equipment Parts PERF ELECTRIC FAN #105 $90.93
Invoice 6974 - 230515 7/14/2014
Transaction Date 8/26/2014 Due 0 Wells Fargo 10100 Total $550.45
Refer 11 FRONTIER/CITIZENS COMMUNICA Ck# 046811 8/27/2014
Cash Payment E 222 - 42260 -321 Telephone & Cells NETWORK ETHERNETSVC 8 -20 -14 THRU 9- $183.84
20 -14
Invoice 4264812 8/20/2014
Cash Payment E 101- 41920 -321 Telephone & Cells NETWORK ETHERNETSVC 8 -20 -14 THRU 9- $551.49
20 -14
Invoice 4264812 8/20/2014
-1911-
r �
CITY OF MOUND
Payments
Current Period: August 2014
Batch Name 082714CTYMAN
Payment Computer Dollar Amt $6,127.46 Posted
08/28/14 2:11 PM
Page 1
Refer_ _ 2 ADVANCED PROFESSIONAL SERV Ck# 046808 8/27/2014
Cash Payment E 101- 45200 -210 Operating Supplies
CASE OF LITTER PICK -UP BAGS
$217.75
Invoice 2592 6/512014
Transaction Date 8/26/2014 Due 0
Wells Fargo 10100 Total
$21775
Refer 4 C_AR_QUESTAUTO PARTS (FIRE)
Ck# 046809 8/27/2014
Cash Payment E 222- 42260 -210 Operating Supplies
TIRE SHINE & TIRE WET FOAM CLEANER-
$36.54
FD
Invoice 6974 - 230925 7/19/2014
Transaction Date 8/26/2014 Due 0
Wells Fargo 10100 Total
$36.54
Refer 5 CARQUEST OF NAVARRE (PIM
Ck# 046810 8/27/2014
Cash Payment E 602 - 49450 -210 Operating Supplies
OIL FILTER- TAURUS
$2.58
Invoice 6974 - 230992 7/21/2014
Project 14 -5
Cash Payment E 101- 43100 -221 Equipment Parts
OIL FILTER #407'07 DODGE DAKOTA
$5.16
Invoice 6974 - 230670 7/16/2014
Cash Payment E 101 - 43100 -221 Equipment Parts
OIL & FUEL FILTERS'02 CHEVY SILVERADO-
$39.44
STREETS DEPT
Invoice 6974 - 231345 7/25/2014
Cash Payment E 602- 49450 -221 Equipment Parts
RTN CREDIT PERF ELECTRIC FAN #105
- $90.93
Invoice 6974 - 230657 7/16/2014
Cash Payment E 101 - 43100 -221 Equipment Parts
AUTO BATTERY'04 FORD F -550 #504
$225.78
Invoice 6974 - 230727 7/17/2014
Cash Payment E 101 - 45200 -221 Equipment Parts
TERRACAIR DEFROST- PARKS
$22.06
Invoice 6974 - 230640 7/16/2014
Cash Payment E 101 - 43100 -221 Equipment Parts
TAPERED BRG ATTACHMENT
$59.99
Invoice 6974 - 229748 7/2/2014
Cash Payment E 101- 43100 -230 Shop Materials
ABSORBENT
$26.19
Invoice 6974 - 229683 711/2014
Cash Payment E 101 - 45200 -221 Equipment Parts
TIE ROD END OUTER,'09 FORD F350 #309
$113.09
Invoice 6974 - 231451 7/28/2014
Cash Payment E 101 - 43100 -221 Equipment Parts
HYD FILTER'09 FORD F350 #112
$6.66
Invoice 6974 - 231474 7/28/2014
Cash Payment E 601 -49400 -221 Equipment Parts
HYD FILTER'09 FORD F350 #112
$6.66
Invoice 6974 - 231474 7/28/2014
Cash Payment E 101 - 43100 -221 Equipment Parts
OIL & FUEL FILTERS #504' -02 CHEVY
$42.84
SILVERADO 3500
Invoice 6974- 231344 7/25/2014
Cash Payment E 602 -49450 -221 Equipment Parts PERF ELECTRIC FAN #105 $90.93
Invoice 6974 - 230515 7/14/2014
Transaction Date 8/26/2014 Due 0 Wells Fargo 10100 Total $550.45
Refer 11 FRONTIER/CITIZENS COMMUNICA Ck# 046811 8/27/2014
Cash Payment E 222 - 42260 -321 Telephone & Cells NETWORK ETHERNETSVC 8 -20 -14 THRU 9- $183.84
20 -14
Invoice 4264812 8/20/2014
Cash Payment E 101- 41920 -321 Telephone & Cells NETWORK ETHERNETSVC 8 -20 -14 THRU 9- $551.49
20 -14
Invoice 4264812 8/20/2014
-1911-
CITY OF MOUND
08/28/14 2:11 PM
._-___.......�..
Page 2
�$ \ Payments
�; u • s i a.F'� jlz
Current
Period: August 2014
Transaction Date 8/26/2014 Due 0
Wells Fargo 10100 Total
$735.33
Refer 3 G& K SERVICES _
Ck# 046812 8/27/2014
Cash Payment E 601 -49400 -218 Clothing and Uniforms
UNIFORM SVC 8 -11 -14
$58.45
Invoice 1006448452 8/11/2014
Cash Payment E 602 - 49450 -218 Clothing and Uniforms
UNIFORM SVC 8 -11 -14
$67.39
Invoice 1006448452 8/11/2014
Cash Payment E 101- 43100 -218 Clothing and Uniforms
UNIFORM SVC 8 -11 -14
$66.87
Invoice 1006448452 8/1112014
Cash Payment E 602 - 49450 -230 Shop Materials
MAT SVC & SHOP SUPPLIES 8 -04 -14
$120.25
Invoice 1006437091 8/4/2014
Project 14 -3
Cash Payment E 602 - 49450 -218 Clothing and Uniforms
UNIFORM SVC 8 -04 -14
$59.30
Invoice 1006437091 8/4/2014
Cash Payment E 601 - 49400 -218 Clothing and Uniforms
UNIFORM SVC 8 -04 -14
$50.36
Invoice 1006437091 8/412014
Cash Payment E 101 - 43100 -218 Clothing and Uniforms
UNIFORM SVC 8 -04 -14
$58.78
Invoice 1006437091 8/4/2014
Cash Payment E 602 - 49450 -230 Shop Materials
MAT SVC & SHOP SUPPLIES 8 -11 -14
$344.18
Invoice 1006448452 8111/2014
Project 14 -3
Transaction Date 8/26/2014 Due 0
Wells Fargo 10100 Total
$825.58
Refer 1 G & K SERVICES Ck# 046812 8/27/2014
Cash Payment E 101 - 45200 -218 Clothing and Uniforms
UNIFORM SVC 8 -18 -14 PARKS
$55.02
Invoice 1006459811 8/18/2014
Cash Payment E 101 - 45200 -210 Operating Supplies
SHOP SUPPLIES 8 -25 -14 PARKS
$71.85
Invoice 1006471095 8/25/2014
Cash Payment E 101- 45200 -218 Clothing and Uniforms
UNIFORM SVC 8 -25 -14 PARKS
$49.66
Invoice 1006471095 8/25/2014
Cash Payment E 609 - 49750 -460 Janitorial Services
MAT SVC 8 -25 -14 LIQUOR STORE
$70.88
Invoice 1006471085 8/25/2014
Cash Payment E 101 - 45200 -218 Clothing and Uniforms
UNIFORM SVC 8 -11 -14 PARKS
$49.66
Invoice 1006448453 8/11/2014
Cash Payment E 101-45200 -210 Operating Supplies
SHOP SUPPLIES 8 -11 -14 PARKS
$71.85
Invoice 1006448453 8/11/2014
Cash Payment E 609 - 49750 -460 Janitorial Services
MAT SVC 8 -11 -14 LIQUOR STORE
$70.88
Invoice 1006448444 8/11/2014
Cash Payment E 101 - 45200 -210 Operating Supplies
MAT SVC & SHOP SUPPLIES 8 -18 -14 PARKS
$82.52
Invoice 1006459811 8/18/2014
Cash Payment E 101 - 41910 -460 Janitorial Services
MAT SVC & SUPPLIES 8 -18 -14 CENT BLDG
$59.21
Invoice 1006459810 8/18/2014
Cash Payment E 609 - 49750 -460 Janitorial Services
MAT SVC & SUPPLIES 8 -18 -14 LIQUOR
$105.61
STORE
Invoice 1006459805 8/1812014
Transaction Date 8/26/2014 Due 0
Wells Fargo 10100 Total
$687.14
Refer 15 HOME DEPOT /GECF (PAIV) C.0046813 8/27/2014
Cash Payment E 101 -43100 -223 Building Repair Supplies
BRIGHT WHITE TRIM COIL
$65.93
Invoice 7011172 7/31/2014
Cash Payment E 101 - 43100 -223 Building Repair Supplies
WHT ALUM ROOF EDGE, ALUM SOLID
$144.54
SOFFIT
Invoice 973353 7/2812014
-1912-
CITY OF MOUND
08/28/14 2:11 PM
._-___.......�..
Page 2
�$ \ Payments
�; u • s i a.F'� jlz
Current
Period: August 2014
Transaction Date 8/26/2014 Due 0
Wells Fargo 10100 Total
$735.33
Refer 3 G& K SERVICES _
Ck# 046812 8/27/2014
Cash Payment E 601 -49400 -218 Clothing and Uniforms
UNIFORM SVC 8 -11 -14
$58.45
Invoice 1006448452 8/11/2014
Cash Payment E 602 - 49450 -218 Clothing and Uniforms
UNIFORM SVC 8 -11 -14
$67.39
Invoice 1006448452 8/11/2014
Cash Payment E 101- 43100 -218 Clothing and Uniforms
UNIFORM SVC 8 -11 -14
$66.87
Invoice 1006448452 8/1112014
Cash Payment E 602 - 49450 -230 Shop Materials
MAT SVC & SHOP SUPPLIES 8 -04 -14
$120.25
Invoice 1006437091 8/4/2014
Project 14 -3
Cash Payment E 602 - 49450 -218 Clothing and Uniforms
UNIFORM SVC 8 -04 -14
$59.30
Invoice 1006437091 8/4/2014
Cash Payment E 601 - 49400 -218 Clothing and Uniforms
UNIFORM SVC 8 -04 -14
$50.36
Invoice 1006437091 8/412014
Cash Payment E 101 - 43100 -218 Clothing and Uniforms
UNIFORM SVC 8 -04 -14
$58.78
Invoice 1006437091 8/4/2014
Cash Payment E 602 - 49450 -230 Shop Materials
MAT SVC & SHOP SUPPLIES 8 -11 -14
$344.18
Invoice 1006448452 8111/2014
Project 14 -3
Transaction Date 8/26/2014 Due 0
Wells Fargo 10100 Total
$825.58
Refer 1 G & K SERVICES Ck# 046812 8/27/2014
Cash Payment E 101 - 45200 -218 Clothing and Uniforms
UNIFORM SVC 8 -18 -14 PARKS
$55.02
Invoice 1006459811 8/18/2014
Cash Payment E 101 - 45200 -210 Operating Supplies
SHOP SUPPLIES 8 -25 -14 PARKS
$71.85
Invoice 1006471095 8/25/2014
Cash Payment E 101- 45200 -218 Clothing and Uniforms
UNIFORM SVC 8 -25 -14 PARKS
$49.66
Invoice 1006471095 8/25/2014
Cash Payment E 609 - 49750 -460 Janitorial Services
MAT SVC 8 -25 -14 LIQUOR STORE
$70.88
Invoice 1006471085 8/25/2014
Cash Payment E 101 - 45200 -218 Clothing and Uniforms
UNIFORM SVC 8 -11 -14 PARKS
$49.66
Invoice 1006448453 8/11/2014
Cash Payment E 101-45200 -210 Operating Supplies
SHOP SUPPLIES 8 -11 -14 PARKS
$71.85
Invoice 1006448453 8/11/2014
Cash Payment E 609 - 49750 -460 Janitorial Services
MAT SVC 8 -11 -14 LIQUOR STORE
$70.88
Invoice 1006448444 8/11/2014
Cash Payment E 101 - 45200 -210 Operating Supplies
MAT SVC & SHOP SUPPLIES 8 -18 -14 PARKS
$82.52
Invoice 1006459811 8/18/2014
Cash Payment E 101 - 41910 -460 Janitorial Services
MAT SVC & SUPPLIES 8 -18 -14 CENT BLDG
$59.21
Invoice 1006459810 8/18/2014
Cash Payment E 609 - 49750 -460 Janitorial Services
MAT SVC & SUPPLIES 8 -18 -14 LIQUOR
$105.61
STORE
Invoice 1006459805 8/1812014
Transaction Date 8/26/2014 Due 0
Wells Fargo 10100 Total
$687.14
Refer 15 HOME DEPOT /GECF (PAIV) C.0046813 8/27/2014
Cash Payment E 101 -43100 -223 Building Repair Supplies
BRIGHT WHITE TRIM COIL
$65.93
Invoice 7011172 7/31/2014
Cash Payment E 101 - 43100 -223 Building Repair Supplies
WHT ALUM ROOF EDGE, ALUM SOLID
$144.54
SOFFIT
Invoice 973353 7/2812014
-1912-
C" OF MOUND
08/28/14211 PM
Page 3
A
Payments
D U 14 ID
Current Period: August 2014
Cash Payment
G 101-22802 Festival
NEW DANCE FLOOR SUB FLOOR- SPIRIT OF
$573.64
THE LAKES
Invoice 1026274
7/17/2014
Cash Payment
E 101-43100-230 Shop Materials
SAW BLADES, STAPLER GUN
$36.29
Invoice 4014283
7/24/2014
Cash Payment
E 101-43100-223 Building Repair Supplies
GALVANIZED ROOFING NAILS, DYNAFLEX
$28.82
230 CLEAR
Invoice 6011638 8/1/2014
Transaction Date 8/27/2014 Due
0 Wells Fargo 10100 Total
$849.22
-Refer
14 MOUND CRIME PREVENTION
Ck# 046814 8/27/2014
Cash Payment
G 101-22801 Deposits/Escrow
REIMB BUY A BRICK PYMT DEPOSITED
$75,00
INTO CITY ACCOUNT
Invoice 08292014
8/27/2014
Transaction Date 8/27/2014 Due 0 Wells Fargo 10100 Total
$75.00
Refer _
16 NORLANDER, JILL
Ck# 046815 8127/2014
Cash Payment
E 101 -42400 -331 Use of personal auto
REIMB MILEAGE- TO POST OFFICE & BANK
$20.39
1-14 THRU 6-14
Invoice 08272014
7128/2014
Transaction Date 8/2712014 Due 0 Wells Fargo 10100 Total
$20.39
Refer
6 OFFICEDEPOT
Ck# 046816 8/27/2014
Cash Payment
E 609-49750-200 Office Supplies
FIR INK TONER CARTRIDGE, DESK
$107.02
STAPLER- HINS
Invoice 721979438001
7/30/2014 RD 23457
Cash Payment
E 101-41500-200 Office Supplies
PLANNER CALENDAR
$11.09
Invoice 721344893002
8/14/2014 RD 23943
Cash Payment
E 101-41920-200 Office Supplies
RUBBERBANDS
$2,09
Invoice 721344893001
7/28/2014 RD 23943
Cash Payment
E 101-41410-200 Office Supplies
WRIST KEY COIL W/ RING
$13.20
Invoice 721344893001
7/28/2014 PO 23943
Cash Payment
E 101-41500-200 Office Supplies
HEADPHONES FOR MINUTE TRANSCRIBING
$19.99
Invoice 721344893001 7/28/2014 RD 23943
Cash Payment
E 101-41920-200 Office Supplies
COPY PAPER- 4 CASES, PENS
$167.30
Invoice 725408655001
8/20/2014 RD 24383
Transaction Date
8/26/2014 Due 0
Wells Fargo 10100 Total
$320.69
7 TRUE VALUE MOUND (FIRE)--
Ck# 046817 8/2712014
-Refer
Cash Payment
E 222-42260-210 Operating Supplies
EMPTY GAL & QT PAINT CANS, STEEL
$22.65
WOOL, WALNUT FINISH
Invoice 116792
717/2014
Transaction Date
8/26/2014 Due 0
Wells Fargo 10100 Total
$22.65
Refer
8 TRUE VALUE, MOUND (PIN PKS)
Ck# 046818 8/27/2014
Cash Payment
E 101-43100-224 Street Maint Materials
60LB CONCRETE MIX
$54.90
Invoice 116831
7/8/2014
Cash Payment
E 602-49450-221 Equipment Parts
DRILL SIT
$13.99
Invoice 116635
7/1/2014
Cash Payment
E 101-45200-220 Repair/Maint Supply
KEYS
$3.98
Invoice 116663
7/112014
Cash Payment
E 101-45200-218 Clothing and Uniforms
KNEE PAD
$2299
Invoice 117032
7/14/2014
-1913-
C" OF MOUND
08/28/14211 PM
Page 3
A
Payments
D U 14 ID
Current Period: August 2014
Cash Payment
G 101-22802 Festival
NEW DANCE FLOOR SUB FLOOR- SPIRIT OF
$573.64
THE LAKES
Invoice 1026274
7/17/2014
Cash Payment
E 101-43100-230 Shop Materials
SAW BLADES, STAPLER GUN
$36.29
Invoice 4014283
7/24/2014
Cash Payment
E 101-43100-223 Building Repair Supplies
GALVANIZED ROOFING NAILS, DYNAFLEX
$28.82
230 CLEAR
Invoice 6011638 8/1/2014
Transaction Date 8/27/2014 Due
0 Wells Fargo 10100 Total
$849.22
-Refer
14 MOUND CRIME PREVENTION
Ck# 046814 8/27/2014
Cash Payment
G 101-22801 Deposits/Escrow
REIMB BUY A BRICK PYMT DEPOSITED
$75,00
INTO CITY ACCOUNT
Invoice 08292014
8/27/2014
Transaction Date 8/27/2014 Due 0 Wells Fargo 10100 Total
$75.00
Refer _
16 NORLANDER, JILL
Ck# 046815 8127/2014
Cash Payment
E 101 -42400 -331 Use of personal auto
REIMB MILEAGE- TO POST OFFICE & BANK
$20.39
1-14 THRU 6-14
Invoice 08272014
7128/2014
Transaction Date 8/2712014 Due 0 Wells Fargo 10100 Total
$20.39
Refer
6 OFFICEDEPOT
Ck# 046816 8/27/2014
Cash Payment
E 609-49750-200 Office Supplies
FIR INK TONER CARTRIDGE, DESK
$107.02
STAPLER- HINS
Invoice 721979438001
7/30/2014 RD 23457
Cash Payment
E 101-41500-200 Office Supplies
PLANNER CALENDAR
$11.09
Invoice 721344893002
8/14/2014 RD 23943
Cash Payment
E 101-41920-200 Office Supplies
RUBBERBANDS
$2,09
Invoice 721344893001
7/28/2014 RD 23943
Cash Payment
E 101-41410-200 Office Supplies
WRIST KEY COIL W/ RING
$13.20
Invoice 721344893001
7/28/2014 PO 23943
Cash Payment
E 101-41500-200 Office Supplies
HEADPHONES FOR MINUTE TRANSCRIBING
$19.99
Invoice 721344893001 7/28/2014 RD 23943
Cash Payment
E 101-41920-200 Office Supplies
COPY PAPER- 4 CASES, PENS
$167.30
Invoice 725408655001
8/20/2014 RD 24383
Transaction Date
8/26/2014 Due 0
Wells Fargo 10100 Total
$320.69
7 TRUE VALUE MOUND (FIRE)--
Ck# 046817 8/2712014
-Refer
Cash Payment
E 222-42260-210 Operating Supplies
EMPTY GAL & QT PAINT CANS, STEEL
$22.65
WOOL, WALNUT FINISH
Invoice 116792
717/2014
Transaction Date
8/26/2014 Due 0
Wells Fargo 10100 Total
$22.65
Refer
8 TRUE VALUE, MOUND (PIN PKS)
Ck# 046818 8/27/2014
Cash Payment
E 101-43100-224 Street Maint Materials
60LB CONCRETE MIX
$54.90
Invoice 116831
7/8/2014
Cash Payment
E 602-49450-221 Equipment Parts
DRILL SIT
$13.99
Invoice 116635
7/1/2014
Cash Payment
E 101-45200-220 Repair/Maint Supply
KEYS
$3.98
Invoice 116663
7/112014
Cash Payment
E 101-45200-218 Clothing and Uniforms
KNEE PAD
$2299
Invoice 117032
7/14/2014
-1913-
CITY OF MOUND
Payments
Current Period: August 2014
08/28/14 2:11 PM
Page 4
Cash Payment
E 101- 45200 -220 Repair / Maint Supply
8 OZ CLR REG PVC CEMENT
$5.99
Invoice 116695
7/212014
Cash Payment
E 101- 43100 -220 Repair / Maint Supply
DUCT TAPE, MESH CLOTH - HAZELWOOD
$6.68
Invoice 116790
7/7/2014
Cash Payment
E 101 - 43100 -224 Street Maint Materials
60LB CONCRETE MIX
$27.45
Invoice 116835
7/8/2014
Cash Payment
E 101- 45200 -210 Operating Supplies
50' SPRINKLER HOSE, KEYS
$11.98
Invoice 116869
7/9/2014
Cash Payment
E 602 - 49450 -221 Equipment Parts
FUSES- RTN CREDIT
- $41.97
Invoice 116942
7/11/2014
Cash Payment
E 602 - 49450 -221 Equipment Parts
FUSES
$41.97
Invoice 116931
7/11/2014
Cash Payment
E 101 - 43100 -224 Street Maint Materials
60LB CONCRETE MIX
$54.90
Invoice 116832
7/8/2014
Transaction Date 8/26/2014 Due 0
Wells Fargo 10100 Total
$202.86
Refer -
9 VALUE, MOUND (PW PKS)
Ck# 046818 8/27/2014
Cash Payment
_TRUE
E 602- 49450 -221 Equipment Parts
34" FBG SLEDGE HANDLE
$47.98
Invoice 117434
7/25/2014
Cash Payment
E 101- 45200 -232 Landscape Material
IRRIGATION BATTERIES & HANGING
$21.48
BASKET FERTILIZER
Invoice 117493
7/28/2014
Cash Payment
E 101 - 43100 -220 Repair / Maint Supply
BIT, SCREWS, NUTS, BOLTS
$38.78
Invoice 117414
7/24/2014
Cash Payment
E 101 - 45200 -210 Operating Supplies
16' TONGUE & GROOVE PLIERS, FG H &E
$42.57
TNB
Invoice 117407
7/24/2014
Cash Payment
E 101 - 45200 -220 Repair / Maint Supply
#38 TOP BIBB GASKET
$5.34
Invoice 117403
7/24/2014
Cash Payment
E 101 - 43100 -220 Repair / Maint Supply
2 PK TALL RED FUEL CELL
$14.99
Invoice 117368
7/23/2014
Cash Payment
E 601 - 49400 -230 Shop Materials
BOOSTER
$24.99
Invoice 117319
7/22/2014
Cash Payment
E 101- 43100 -230 Shop Materials
NYLON TWINE
$8.99
Invoice 117317
7122/2014
Cash Payment
G 101 -22802 Festival
CABLE TIES, NOZZEL- SPIRIT OF THE
$23.48
LAKES FESTIVAL
Invoice 117221
7/18/2014
Cash Payment
E 101- 45200 -220 Repair / Maint Supply
SCREWS, NUTS, BOLTS
$0.60
Invoice 117208
7/18/2014
Cash Payment
E 601- 49400 -322 Postage
SHIPPING CHARGE
$34.48
Invoice 117184
7/18/2014
Cash Payment
E 101 - 43100 -220 Repair / Maint Supply
SCREWS, NUTS, BOLTS
$10.58
Invoice 117140
7/17/2014
Cash Payment
E 101 - 43100 -220 Repair / Maint Supply
TUB #2 PHILLIPS PWR TIP
$7,96
Invoice 117135
7/17/2014
Cash Payment
E 101 - 45200 -220 Repair / Maint Supply
ODOR ELIMINATOR, TOILET BOWL
$17.97
RESTORER -DEPOT
Invoice 117113
7/16/2014
Cash Payment
E 602 - 49450 -210 Operating Supplies
LYSOL WIPES
$6.99
Invoice 117077
7/15/2014
-1914-
CITY OF MOUND
Payments
Current Period: August 2014
08/28/14 2:11 PM
Page 4
Cash Payment
E 101- 45200 -220 Repair / Maint Supply
8 OZ CLR REG PVC CEMENT
$5.99
Invoice 116695
7/212014
Cash Payment
E 101- 43100 -220 Repair / Maint Supply
DUCT TAPE, MESH CLOTH - HAZELWOOD
$6.68
Invoice 116790
7/7/2014
Cash Payment
E 101 - 43100 -224 Street Maint Materials
60LB CONCRETE MIX
$27.45
Invoice 116835
7/8/2014
Cash Payment
E 101- 45200 -210 Operating Supplies
50' SPRINKLER HOSE, KEYS
$11.98
Invoice 116869
7/9/2014
Cash Payment
E 602 - 49450 -221 Equipment Parts
FUSES- RTN CREDIT
- $41.97
Invoice 116942
7/11/2014
Cash Payment
E 602 - 49450 -221 Equipment Parts
FUSES
$41.97
Invoice 116931
7/11/2014
Cash Payment
E 101 - 43100 -224 Street Maint Materials
60LB CONCRETE MIX
$54.90
Invoice 116832
7/8/2014
Transaction Date 8/26/2014 Due 0
Wells Fargo 10100 Total
$202.86
Refer -
9 VALUE, MOUND (PW PKS)
Ck# 046818 8/27/2014
Cash Payment
_TRUE
E 602- 49450 -221 Equipment Parts
34" FBG SLEDGE HANDLE
$47.98
Invoice 117434
7/25/2014
Cash Payment
E 101- 45200 -232 Landscape Material
IRRIGATION BATTERIES & HANGING
$21.48
BASKET FERTILIZER
Invoice 117493
7/28/2014
Cash Payment
E 101 - 43100 -220 Repair / Maint Supply
BIT, SCREWS, NUTS, BOLTS
$38.78
Invoice 117414
7/24/2014
Cash Payment
E 101 - 45200 -210 Operating Supplies
16' TONGUE & GROOVE PLIERS, FG H &E
$42.57
TNB
Invoice 117407
7/24/2014
Cash Payment
E 101 - 45200 -220 Repair / Maint Supply
#38 TOP BIBB GASKET
$5.34
Invoice 117403
7/24/2014
Cash Payment
E 101 - 43100 -220 Repair / Maint Supply
2 PK TALL RED FUEL CELL
$14.99
Invoice 117368
7/23/2014
Cash Payment
E 601 - 49400 -230 Shop Materials
BOOSTER
$24.99
Invoice 117319
7/22/2014
Cash Payment
E 101- 43100 -230 Shop Materials
NYLON TWINE
$8.99
Invoice 117317
7122/2014
Cash Payment
G 101 -22802 Festival
CABLE TIES, NOZZEL- SPIRIT OF THE
$23.48
LAKES FESTIVAL
Invoice 117221
7/18/2014
Cash Payment
E 101- 45200 -220 Repair / Maint Supply
SCREWS, NUTS, BOLTS
$0.60
Invoice 117208
7/18/2014
Cash Payment
E 601- 49400 -322 Postage
SHIPPING CHARGE
$34.48
Invoice 117184
7/18/2014
Cash Payment
E 101 - 43100 -220 Repair / Maint Supply
SCREWS, NUTS, BOLTS
$10.58
Invoice 117140
7/17/2014
Cash Payment
E 101 - 43100 -220 Repair / Maint Supply
TUB #2 PHILLIPS PWR TIP
$7,96
Invoice 117135
7/17/2014
Cash Payment
E 101 - 45200 -220 Repair / Maint Supply
ODOR ELIMINATOR, TOILET BOWL
$17.97
RESTORER -DEPOT
Invoice 117113
7/16/2014
Cash Payment
E 602 - 49450 -210 Operating Supplies
LYSOL WIPES
$6.99
Invoice 117077
7/15/2014
-1914-
CITY OF MOUND
08/28/14 2:11 PM
t.
Payments
Page 5
'AakW$"ipss
Current
Period: August 2014
Cash Payment
E 602 - 49450 -218 Clothing and Uniforms
COWHIDE LEATHER GLOVES
$2.29
Invoice 117077
7115/2014
Cash Payment
E 101- 43100 -220 Repair /Maint Supply
KICKDN DOOR STOPS
$13.98
Invoice 117066
7/15/2014
Cash Payment
E 602 - 49450 -221 Equipment Parts
U BOLTS #105
$16.48
Invoice 117065
7/15/2014
Cash Payment
E 602- 49450 -221 Equipment Parts
C- CLAMPS- SEWER
$89.94
Invoice 117215
7/18/2014
Transaction Date
8126/2014 Due
0 Wells Fargo 10100 Total
$429.87
Refer
10 TRUE VALUE, MOUND (PIN PKS)
Ck# 046818 8/27/2014
Cash Payment
E 602 - 49450 -221 Equipment Parts
13W FLUOR WORK LIGHT
$20.99
Invoice 117022
7/14/2014
Cash Payment
E 285 - 46388 -210 Operating Supplies
PARKING DECK TRASH BAGS
$13.99
Invoice 117533
7/29/2014
Cash Payment
E 602- 49450 -221 Equipment Parts
EMT CONDUIT
$3.29
Invoice 117025
7/14/2014
Cash Payment
E 101 - 43100 -220 Repair /Maint Supply
PORCH & FLOOR GLOSS OIL- MED GAL
$38.99
Invoice 117609
7/31/2014
Cash Payment
E 101- 41910 -220 Repair /Maint Supply
CENT BLDG GARAGE DOOR- PAINTING
$25.55
SUPPLIES - COVER, BLU TAPE, BRUSH,
TRAY LINER
Invoice 117564
7/30/2014
Cash Payment
E 101 - 45200 -221 Equipment Parts
IRRIGATION SUPPLIES, NOPPLE, VALVE
$12.28
Invoice 117547
7/29/2014
Cash Payment
E 602 - 49450 -221 Equipment Parts
LTX GLOSS ENAMEL BLK GAL
$39.99
Invoice 117616
7/3112014
Project 14 -3
Cash Payment
E 101 - 43100 -220 Repair /Maint Supply
PEEL A LINER, COVER- PAINT /STAIN
$11.97
SUPPLIES
Invoice 117615
7/31/2014
Transaction Date 8/26/2014 Due 0 Wells Fargo 10100 Total
$167.05
Refer
12 VERIZO_N WIRELESS
Ck# 046819 8/27/2014
Cash Payment
E 602 - 49450 -321 Telephone & Cells
CELL PHONE CHARGES 8 -14 -14 THRU 9 -13-
$122.14
2014
Invoice 9730319439 8/13/2014
Cash Payment
E 222 - 42260 -321 Telephone & Cells
CELL PHONE CHARGES 8 -14 -14 THRU 9 -13-
$100.78
2014
Invoice 9730319439 8/13/2014
Cash Payment
E 101 - 41310 -321 Telephone & Cells
CELL PHONE CHARGES 8 -14 -14 THRU 9 -13-
$51.69
2014
Invoice 9730319439 8/13/2014
Cash Payment
E 101 - 42400 -321 Telephone & Cells
CELL PHONE CHARGES 8 -14 -14 THRU 9 -13-
$18.84
2014
Invoice 9730319439 8/13/2014
Cash Payment
E 601 - 49400 -321 Telephone & Cells
CELL PHONE CHARGES 8 -14 -14 THRU 9 -13-
$122.87
2014
Invoice 9730319439 8/13/2014
Cash Payment
E 101- 43100 -321 Telephone & Cells
CELL PHONE CHARGES 8 -14 -14 THRU 9 -13-
$122.14
2014
Invoice 9730319439 8/13/2014
Cash Payment
G 101 -13100 Due From Other Funds
CELL PHONE CHARGES 8 -14 -14 THRU 9 -13-
$32.31
2014
Invoice 9730319439
8/13/2014
-1915-
CITY OF MOUND
08/28/14 2:11 PM
t.
Payments
Page 5
'AakW$"ipss
Current
Period: August 2014
Cash Payment
E 602 - 49450 -218 Clothing and Uniforms
COWHIDE LEATHER GLOVES
$2.29
Invoice 117077
7115/2014
Cash Payment
E 101- 43100 -220 Repair /Maint Supply
KICKDN DOOR STOPS
$13.98
Invoice 117066
7/15/2014
Cash Payment
E 602 - 49450 -221 Equipment Parts
U BOLTS #105
$16.48
Invoice 117065
7/15/2014
Cash Payment
E 602- 49450 -221 Equipment Parts
C- CLAMPS- SEWER
$89.94
Invoice 117215
7/18/2014
Transaction Date
8126/2014 Due
0 Wells Fargo 10100 Total
$429.87
Refer
10 TRUE VALUE, MOUND (PIN PKS)
Ck# 046818 8/27/2014
Cash Payment
E 602 - 49450 -221 Equipment Parts
13W FLUOR WORK LIGHT
$20.99
Invoice 117022
7/14/2014
Cash Payment
E 285 - 46388 -210 Operating Supplies
PARKING DECK TRASH BAGS
$13.99
Invoice 117533
7/29/2014
Cash Payment
E 602- 49450 -221 Equipment Parts
EMT CONDUIT
$3.29
Invoice 117025
7/14/2014
Cash Payment
E 101 - 43100 -220 Repair /Maint Supply
PORCH & FLOOR GLOSS OIL- MED GAL
$38.99
Invoice 117609
7/31/2014
Cash Payment
E 101- 41910 -220 Repair /Maint Supply
CENT BLDG GARAGE DOOR- PAINTING
$25.55
SUPPLIES - COVER, BLU TAPE, BRUSH,
TRAY LINER
Invoice 117564
7/30/2014
Cash Payment
E 101 - 45200 -221 Equipment Parts
IRRIGATION SUPPLIES, NOPPLE, VALVE
$12.28
Invoice 117547
7/29/2014
Cash Payment
E 602 - 49450 -221 Equipment Parts
LTX GLOSS ENAMEL BLK GAL
$39.99
Invoice 117616
7/3112014
Project 14 -3
Cash Payment
E 101 - 43100 -220 Repair /Maint Supply
PEEL A LINER, COVER- PAINT /STAIN
$11.97
SUPPLIES
Invoice 117615
7/31/2014
Transaction Date 8/26/2014 Due 0 Wells Fargo 10100 Total
$167.05
Refer
12 VERIZO_N WIRELESS
Ck# 046819 8/27/2014
Cash Payment
E 602 - 49450 -321 Telephone & Cells
CELL PHONE CHARGES 8 -14 -14 THRU 9 -13-
$122.14
2014
Invoice 9730319439 8/13/2014
Cash Payment
E 222 - 42260 -321 Telephone & Cells
CELL PHONE CHARGES 8 -14 -14 THRU 9 -13-
$100.78
2014
Invoice 9730319439 8/13/2014
Cash Payment
E 101 - 41310 -321 Telephone & Cells
CELL PHONE CHARGES 8 -14 -14 THRU 9 -13-
$51.69
2014
Invoice 9730319439 8/13/2014
Cash Payment
E 101 - 42400 -321 Telephone & Cells
CELL PHONE CHARGES 8 -14 -14 THRU 9 -13-
$18.84
2014
Invoice 9730319439 8/13/2014
Cash Payment
E 601 - 49400 -321 Telephone & Cells
CELL PHONE CHARGES 8 -14 -14 THRU 9 -13-
$122.87
2014
Invoice 9730319439 8/13/2014
Cash Payment
E 101- 43100 -321 Telephone & Cells
CELL PHONE CHARGES 8 -14 -14 THRU 9 -13-
$122.14
2014
Invoice 9730319439 8/13/2014
Cash Payment
G 101 -13100 Due From Other Funds
CELL PHONE CHARGES 8 -14 -14 THRU 9 -13-
$32.31
2014
Invoice 9730319439
8/13/2014
-1915-
IN
CITY OF MOUND
Payments
Current Period: August 2014
Cash Payment E 101 - 42115 -321 Telephone & Cells
Invoice 9730319439 8/13/2014
Cash Payment E 101 -45200 -321 Telephone & Cells
08/28/14 2:11 PM
Page 6
CELL PHONE CHARGES 8 -14 -14 THRU 9 -13- $30.99
2014
CELL PHONE CHARGES B -14 -14 THRU 9 -13- $105.10
2014
Invoice 9730319439 8/13/2014
Transaction Date 8/27/2014 Due 0 Wells Fargo 10100 Total $706.86
Refer 13 VERIZON WIRELESS _ Ck# 046819 8/27/2014
Cash Payment E 222 - 42260 -321 Telephone & Cells DATACARD BROADBAND SVC 8 -11 -14 THRU $140.04
9 -10 -2014
Invoice 9730129588 8/1012014
Cash Payment E 101 - 43100 -321 Telephone & Cells DATACARD BROADBAND SVC 8 -11 -14 THRU $46.68
9 -10 -2014
Invoice 9730129588 8/10/2014
Cash Payment E 601 - 49400 -321 Telephone & Cells
Invoice 9730129588 811012014
Cash Payment E 602 - 49450 -321 Telephone & Cells
DATACARD BROADBAND SVC 8 -11 -14 THRU
9 -10 -2014
DATACARD BROADBAND SVC 8 -11 -14 THRU
9 -10 -2014
Invoice 9730129588 8/10/2014
Transaction Date 8/27/2014 Due 0 Wells Fargo 10100
Fund Summary
609 MUNICIPAL LIQUOR FUND
602 SEWER FUND
601 WATER FUND
285 MOUND HRA
222 AREA FIRE SERVICES
101 GENERAL FUND
10100 Wells Fargo
$354.39
$1,004.46
$344.49
$13.99
$483.85
$3,926.28
$6,127.46
Pre - Written Check $6,127.46
Checks to be Generated by the Computer $0.00
Total $6,127.46
-1916-
$46.68
$46.68
Total $280.08
IN
CITY OF MOUND
Payments
Current Period: August 2014
Cash Payment E 101 - 42115 -321 Telephone & Cells
Invoice 9730319439 8/13/2014
Cash Payment E 101 -45200 -321 Telephone & Cells
08/28/14 2:11 PM
Page 6
CELL PHONE CHARGES 8 -14 -14 THRU 9 -13- $30.99
2014
CELL PHONE CHARGES B -14 -14 THRU 9 -13- $105.10
2014
Invoice 9730319439 8/13/2014
Transaction Date 8/27/2014 Due 0 Wells Fargo 10100 Total $706.86
Refer 13 VERIZON WIRELESS _ Ck# 046819 8/27/2014
Cash Payment E 222 - 42260 -321 Telephone & Cells DATACARD BROADBAND SVC 8 -11 -14 THRU $140.04
9 -10 -2014
Invoice 9730129588 8/1012014
Cash Payment E 101 - 43100 -321 Telephone & Cells DATACARD BROADBAND SVC 8 -11 -14 THRU $46.68
9 -10 -2014
Invoice 9730129588 8/10/2014
Cash Payment E 601 - 49400 -321 Telephone & Cells
Invoice 9730129588 811012014
Cash Payment E 602 - 49450 -321 Telephone & Cells
DATACARD BROADBAND SVC 8 -11 -14 THRU
9 -10 -2014
DATACARD BROADBAND SVC 8 -11 -14 THRU
9 -10 -2014
Invoice 9730129588 8/10/2014
Transaction Date 8/27/2014 Due 0 Wells Fargo 10100
Fund Summary
609 MUNICIPAL LIQUOR FUND
602 SEWER FUND
601 WATER FUND
285 MOUND HRA
222 AREA FIRE SERVICES
101 GENERAL FUND
10100 Wells Fargo
$354.39
$1,004.46
$344.49
$13.99
$483.85
$3,926.28
$6,127.46
Pre - Written Check $6,127.46
Checks to be Generated by the Computer $0.00
Total $6,127.46
-1916-
$46.68
$46.68
Total $280.08
CITY OF MOUND 09/04/1411:29 AM
Page 1
Payments
CITY OF MOUND
Current Period: September 2014
Batch Name 090914CITY User Dollar Amt $101,687.75
Payments Computer Dollar Amt $101,687.75
$0.00 In Balance
Refer 1 A -1 RENTAL OF LAKE MINNETONK
Cash Payment E 602- 49450 -223 Building Repair Supplies SUCTION HOSE & TRASH GAS PUMP $48.60
RENTAL 6 -2 -14
Invoice 100623
6/2/2014
Project 14 -3
Invoice W536616
Cash Payment
E 602 - 49450 -223 Building Repair Supplies
KUBOTA EXCAVATOR RENTAL 8 -4 -14
$162.00
Invoice 102839
8/4/2014
Project 14 -3
Wells Fargo 10100 Total
Cash Payment
E 101- 45200 -410 Rentals (GENERAL)
COMPACTOR VIBRATOR PLATE- PARKS-
$54.00
COFFEE & CREAMER, FIREMEN
Invoice 1195824
GREENWAY PAVERS
Invoice 103104
8/12/2014
Wells Fargo 10100 Total
Refer
Transaction Date
9/3/2014
Wells Fargo 10100 Total
$264.60
Refer 2 BENZ, JULIE
Cash Payment
E 101- 41110 -430 Miscellaneous
2014 SPIRIT OF THE LAKES FESTIVAL
Invoice W536616
8/20/2014
PHOTO PROOF BOOK
Invoice 300355
817/2014
Wells Fargo 10100 Total
Transaction Date
9/312014
Wells Fargo 10100 Total
Refer BERRY COFFEE COMPANY��_�
-��
Cash Payment
E222-42260-210 Operating Supplies
COFFEE & CREAMER, FIREMEN
Invoice 1195824
9/3/2014
Transaction Date
9/612014
Wells Fargo 10100 Total
Refer
3 BIFFS, INC PORTABLE RESTROO��
Cash Payment
E 101 -45200 -410 Rentals (GENERAL)
CENTERVIEW BEACH BIFFS RENTAL & SVC
MAY 25 - 28 2013
Invoice W536614 8/20/2014
Cash Payment E 101 - 45200 -410 Rentals (GENERAL) MOUND BAY PARK BIFFS RENTAL & SVC
MAY 25 -28 2013
Invoice W536615 8/20/2014
Cash Payment E 101 -45200 -410 Rentals (GENERAL) SKATEPARK BIFFS RENTAL & SVC MAY 25 -
Invoice 09092014 8122/2014
Cash Payment E 602 - 49450 -383 Gas Utilities
Invoice 09092014 8/22/2014
Cash Payment E 602 - 49450 -383 Gas Utilities
Invoice 09092014 8122/2014
Cash Payment E 602 - 49450 -383 Gas Utilities
Invoice 09092014 8/22/2014
Cash Payment E 602- 49450 -383 Gas Utilities
Invoice 09092014 8/22/2014
4791 NORTHERN RD LS D1 GENERATOR
NATL GAS SVC 6 -19 -14 THRU 7 -19 -14
3303 WATERBURY RD LS GAS SVC 6 -19 -14
THRU 7 -19 -14
2990 HIGHLAND BLVD LS 61 GENERATOR
NATL GAS SVC 6 -19 -14 THRU 7 -19 -14
4948 BARTLETT LS E2 GENERATOR NATL
GAS SVC 6 -19 -14 THRU 7 -19 -14
-1917-
$190.00
$190.00
$111.50
$111.50
$379.00
$533.00
$379.00
$1,291.00
$38.97
$43.91
$42.00
$19.23
$38.97
28 2013
Invoice W536616
8/20/2014
Transaction Date
9/6/2014
Wells Fargo 10100 Total
Refer
4 CENTERPOWT ENERGY (MINNEG
w..... w�.,. w�.,. �,. a, M»......„w ..,�.»�..ww.,w....,..«�,�..,.a,
Cash Payment
E 602 - 49450 -383 Gas Utilities
2649 EMERALD DR. LS E3 GENERATOR
NATL GAS SVC 6 -19 -14 THRU 7 -19 -14
Invoice 09092014 8122/2014
Cash Payment E 602 - 49450 -383 Gas Utilities
Invoice 09092014 8/22/2014
Cash Payment E 602 - 49450 -383 Gas Utilities
Invoice 09092014 8122/2014
Cash Payment E 602 - 49450 -383 Gas Utilities
Invoice 09092014 8/22/2014
Cash Payment E 602- 49450 -383 Gas Utilities
Invoice 09092014 8/22/2014
4791 NORTHERN RD LS D1 GENERATOR
NATL GAS SVC 6 -19 -14 THRU 7 -19 -14
3303 WATERBURY RD LS GAS SVC 6 -19 -14
THRU 7 -19 -14
2990 HIGHLAND BLVD LS 61 GENERATOR
NATL GAS SVC 6 -19 -14 THRU 7 -19 -14
4948 BARTLETT LS E2 GENERATOR NATL
GAS SVC 6 -19 -14 THRU 7 -19 -14
-1917-
$190.00
$190.00
$111.50
$111.50
$379.00
$533.00
$379.00
$1,291.00
$38.97
$43.91
$42.00
$19.23
$38.97
CITY OF MOUND 09/04/1411:29 AM
Page 1
Payments
CITY OF MOUND
Current Period: September 2014
Batch Name 090914CITY User Dollar Amt $101,687.75
Payments Computer Dollar Amt $101,687.75
$0.00 In Balance
Refer 1 A -1 RENTAL OF LAKE MINNETONK
Cash Payment E 602- 49450 -223 Building Repair Supplies SUCTION HOSE & TRASH GAS PUMP $48.60
RENTAL 6 -2 -14
Invoice 100623
6/2/2014
Project 14 -3
Invoice W536616
Cash Payment
E 602 - 49450 -223 Building Repair Supplies
KUBOTA EXCAVATOR RENTAL 8 -4 -14
$162.00
Invoice 102839
8/4/2014
Project 14 -3
Wells Fargo 10100 Total
Cash Payment
E 101- 45200 -410 Rentals (GENERAL)
COMPACTOR VIBRATOR PLATE- PARKS-
$54.00
COFFEE & CREAMER, FIREMEN
Invoice 1195824
GREENWAY PAVERS
Invoice 103104
8/12/2014
Wells Fargo 10100 Total
Refer
Transaction Date
9/3/2014
Wells Fargo 10100 Total
$264.60
Refer 2 BENZ, JULIE
Cash Payment
E 101- 41110 -430 Miscellaneous
2014 SPIRIT OF THE LAKES FESTIVAL
Invoice W536616
8/20/2014
PHOTO PROOF BOOK
Invoice 300355
817/2014
Wells Fargo 10100 Total
Transaction Date
9/312014
Wells Fargo 10100 Total
Refer BERRY COFFEE COMPANY��_�
-��
Cash Payment
E222-42260-210 Operating Supplies
COFFEE & CREAMER, FIREMEN
Invoice 1195824
9/3/2014
Transaction Date
9/612014
Wells Fargo 10100 Total
Refer
3 BIFFS, INC PORTABLE RESTROO��
Cash Payment
E 101 -45200 -410 Rentals (GENERAL)
CENTERVIEW BEACH BIFFS RENTAL & SVC
MAY 25 - 28 2013
Invoice W536614 8/20/2014
Cash Payment E 101 - 45200 -410 Rentals (GENERAL) MOUND BAY PARK BIFFS RENTAL & SVC
MAY 25 -28 2013
Invoice W536615 8/20/2014
Cash Payment E 101 -45200 -410 Rentals (GENERAL) SKATEPARK BIFFS RENTAL & SVC MAY 25 -
Invoice 09092014 8122/2014
Cash Payment E 602 - 49450 -383 Gas Utilities
Invoice 09092014 8/22/2014
Cash Payment E 602 - 49450 -383 Gas Utilities
Invoice 09092014 8122/2014
Cash Payment E 602 - 49450 -383 Gas Utilities
Invoice 09092014 8/22/2014
Cash Payment E 602- 49450 -383 Gas Utilities
Invoice 09092014 8/22/2014
4791 NORTHERN RD LS D1 GENERATOR
NATL GAS SVC 6 -19 -14 THRU 7 -19 -14
3303 WATERBURY RD LS GAS SVC 6 -19 -14
THRU 7 -19 -14
2990 HIGHLAND BLVD LS 61 GENERATOR
NATL GAS SVC 6 -19 -14 THRU 7 -19 -14
4948 BARTLETT LS E2 GENERATOR NATL
GAS SVC 6 -19 -14 THRU 7 -19 -14
-1917-
$190.00
$190.00
$111.50
$111.50
$379.00
$533.00
$379.00
$1,291.00
$38.97
$43.91
$42.00
$19.23
$38.97
28 2013
Invoice W536616
8/20/2014
Transaction Date
9/6/2014
Wells Fargo 10100 Total
Refer
4 CENTERPOWT ENERGY (MINNEG
w..... w�.,. w�.,. �,. a, M»......„w ..,�.»�..ww.,w....,..«�,�..,.a,
Cash Payment
E 602 - 49450 -383 Gas Utilities
2649 EMERALD DR. LS E3 GENERATOR
NATL GAS SVC 6 -19 -14 THRU 7 -19 -14
Invoice 09092014 8122/2014
Cash Payment E 602 - 49450 -383 Gas Utilities
Invoice 09092014 8/22/2014
Cash Payment E 602 - 49450 -383 Gas Utilities
Invoice 09092014 8122/2014
Cash Payment E 602 - 49450 -383 Gas Utilities
Invoice 09092014 8/22/2014
Cash Payment E 602- 49450 -383 Gas Utilities
Invoice 09092014 8/22/2014
4791 NORTHERN RD LS D1 GENERATOR
NATL GAS SVC 6 -19 -14 THRU 7 -19 -14
3303 WATERBURY RD LS GAS SVC 6 -19 -14
THRU 7 -19 -14
2990 HIGHLAND BLVD LS 61 GENERATOR
NATL GAS SVC 6 -19 -14 THRU 7 -19 -14
4948 BARTLETT LS E2 GENERATOR NATL
GAS SVC 6 -19 -14 THRU 7 -19 -14
-1917-
$190.00
$190.00
$111.50
$111.50
$379.00
$533.00
$379.00
$1,291.00
$38.97
$43.91
$42.00
$19.23
$38.97
CITY OF MOUND
Payments
CITY OF MOUND
Current Period: September 2014
Cash Payment E 602- 49450 -383 Gas Utilities 4728 CARLOW RD LS GENERATOR NATL
GAS SVC 6 -19 -14 THRU 7 -19 -14
Invoice 09092014 8/22/2014
Transaction Date 9/6/2014 Wells Fargo 10100 Total
Refer 7 COATING & FOAM SOLUTIONS, LL
Cash Payment E 602-49450-223 Building Repair Supplies 45 GALS SEAL -TEK CAULK, 180 GALS ACRY-
TEK SEALER
Invoice 019446 8/19/2014 PO 24375
Cash Payment E 602 - 49450 -223 Building Repair Supplies 30 GALS PRIME -TEK RUST CONVERTEF
ROOF PRIMER
Invoice 019483 8/21/2014 PO 24372
Transaction Date 9/6/2014 Wells Fargo 10100
Refer 4 CONLEYS WILDLIFE CONTROL, LL -- ..__.....».�..w,..._...�:..
Cash Payment E 101 - 45200 -440 Other Contractual Servic BEAVER REMOVAL FROM 3185 PRIEST
LANE POND AREA 9 -01 -14
09/04/14 11:29 AM
Page 2
$38.95
$222.03
$4,243.87
$1,350.00
Total $5,593.87
$300.00
Invoice 386 9/1/2014
Transaction Date 9/6/2014
Wells Fargo 10100 Total
$300.00
Refer 29 FIRE CHIEF, MN ASSOCIATION
Cash Payment E 222 - 42260 -434 Conference & Training
MN STATE FIRE CHIEFS ASSOC ANNUAL
$240.00
CONFERENCE- G. PEDERSON REG ST.
CLOUD OCT 16 -18
Invoice 09092014 9/3/2014
Transaction Date 9/6/2014
.._._ .
Wells Fargo 10100 Total
..................
$240.00
Refer m� 27 FIRE EQUIPMENT SPECIALTIES, l-
w,_.,_..- .a,.,........,.„�.„..,�.�.�,..
Cash Payment E 222-42260-219 Safety supplies
3 FIREFIGHTER HELMETS W/ EYESHIELDS-
$1,238.77
NEW FIREMEN
Invoice 8488 8/2512014 PO 24415
Transaction Date 9/6/2014
Wells Fargo 10100 Total
$1,238.77
Refer �5 FIVE TECHNOLOGY
Cash Payment E 101- 41920 -440 Other Contractual Servic
MONTHLY SVC & NETWORK MICE-
$1,800.00
SEPTEMBER 2014
Invoice 129676 9/1/2014
Transaction Date 9/6/2014
Wells Fargo 10100 Total
$1,800.00
Refer 24 GREGORY E. KELLER P.A. LAW O
Cash Payment E 101 - 41600 -304 Legal Fees
ATTORNEY PROSECUTION FEES- COURT
$205.00
ARRAIGNMENT 2012 -2014
Invoice 09092014 8/19/2014
Transaction Date 9/6/2014
Refer 28 HENNEPIN TECHNICAL COLLEGE
Cash Payment E 222- 42260 -434 Conference & Training
Invoice 00319555 8128/2014
Transaction Date 9/6/2014
Refer 6 JANI -KING OF MINNESOTA,rINCOR
Cash Payment E 101-41930-460 Janitorial Services
Invoice MIN09140472 9/1/2014
Cash Payment E 222 - 42260 -460 Janitorial Services
Invoice MIN09140472 9/1/2014
Wells Fargo 10100 Total $205.00
FORCIBLE ENTRY CLASS- M. MCCARVILLE $1,040.00
7 -21 -14
Wells Fargo 10100 Total $1,040.00
MONTHLY CLEANING CITY HALL SEPT 2014 $700.00
MONTHLY CLEANING FIRE DEPT SEPT 2014 $700.00
-1918-
CITY OF MOUND
Payments
CITY OF MOUND
Current Period: September 2014
Cash Payment E 602- 49450 -383 Gas Utilities 4728 CARLOW RD LS GENERATOR NATL
GAS SVC 6 -19 -14 THRU 7 -19 -14
Invoice 09092014 8/22/2014
Transaction Date 9/6/2014 Wells Fargo 10100 Total
Refer 7 COATING & FOAM SOLUTIONS, LL
Cash Payment E 602-49450-223 Building Repair Supplies 45 GALS SEAL -TEK CAULK, 180 GALS ACRY-
TEK SEALER
Invoice 019446 8/19/2014 PO 24375
Cash Payment E 602 - 49450 -223 Building Repair Supplies 30 GALS PRIME -TEK RUST CONVERTEF
ROOF PRIMER
Invoice 019483 8/21/2014 PO 24372
Transaction Date 9/6/2014 Wells Fargo 10100
Refer 4 CONLEYS WILDLIFE CONTROL, LL -- ..__.....».�..w,..._...�:..
Cash Payment E 101 - 45200 -440 Other Contractual Servic BEAVER REMOVAL FROM 3185 PRIEST
LANE POND AREA 9 -01 -14
09/04/14 11:29 AM
Page 2
$38.95
$222.03
$4,243.87
$1,350.00
Total $5,593.87
$300.00
Invoice 386 9/1/2014
Transaction Date 9/6/2014
Wells Fargo 10100 Total
$300.00
Refer 29 FIRE CHIEF, MN ASSOCIATION
Cash Payment E 222 - 42260 -434 Conference & Training
MN STATE FIRE CHIEFS ASSOC ANNUAL
$240.00
CONFERENCE- G. PEDERSON REG ST.
CLOUD OCT 16 -18
Invoice 09092014 9/3/2014
Transaction Date 9/6/2014
.._._ .
Wells Fargo 10100 Total
..................
$240.00
Refer m� 27 FIRE EQUIPMENT SPECIALTIES, l-
w,_.,_..- .a,.,........,.„�.„..,�.�.�,..
Cash Payment E 222-42260-219 Safety supplies
3 FIREFIGHTER HELMETS W/ EYESHIELDS-
$1,238.77
NEW FIREMEN
Invoice 8488 8/2512014 PO 24415
Transaction Date 9/6/2014
Wells Fargo 10100 Total
$1,238.77
Refer �5 FIVE TECHNOLOGY
Cash Payment E 101- 41920 -440 Other Contractual Servic
MONTHLY SVC & NETWORK MICE-
$1,800.00
SEPTEMBER 2014
Invoice 129676 9/1/2014
Transaction Date 9/6/2014
Wells Fargo 10100 Total
$1,800.00
Refer 24 GREGORY E. KELLER P.A. LAW O
Cash Payment E 101 - 41600 -304 Legal Fees
ATTORNEY PROSECUTION FEES- COURT
$205.00
ARRAIGNMENT 2012 -2014
Invoice 09092014 8/19/2014
Transaction Date 9/6/2014
Refer 28 HENNEPIN TECHNICAL COLLEGE
Cash Payment E 222- 42260 -434 Conference & Training
Invoice 00319555 8128/2014
Transaction Date 9/6/2014
Refer 6 JANI -KING OF MINNESOTA,rINCOR
Cash Payment E 101-41930-460 Janitorial Services
Invoice MIN09140472 9/1/2014
Cash Payment E 222 - 42260 -460 Janitorial Services
Invoice MIN09140472 9/1/2014
Wells Fargo 10100 Total $205.00
FORCIBLE ENTRY CLASS- M. MCCARVILLE $1,040.00
7 -21 -14
Wells Fargo 10100 Total $1,040.00
MONTHLY CLEANING CITY HALL SEPT 2014 $700.00
MONTHLY CLEANING FIRE DEPT SEPT 2014 $700.00
-1918-
CITY OF MOUND
09/04/1411:29 AM
Page 3
Payments
CITY OF [ROUND
Current Period:
September
n2014 ry
Cash Payment E 101 - 41910 -460 Janitorial Services
MONTHLY CLEANING CENT BLDG SEPT 2014
$476.00
Invoice MIN09140473 9/1/2014
Cash Payment E 602- 49450 -460 Janitorial Services
MONTHLY CLEANING PUB WRKS BLDG
$258.83
SEPT 2014
Invoice MIN09140474 9/1/2014
Project 14 -3
Transaction Date 9/6/2014
Wells Fargo 10100 Total
$2,134.83
Refer 9 KENNEDYAND GRAVEN
Cash Payment E 475 - 46386 -300 Professional Srvs
HRA LEGAL SVCS- through July 31 2014
$14.00
Invoice 121621 812112014
Cash Payment G 101 -23264 TRIDENT HOUSING DEVEL
TRIDENT HOUSING DEVELOPMENT
$280.00
MEETINGS- LEGAL SVC THRU JULY 31, 2014
Invoice 121621 8/21/2014
Cash Payment E 101- 41600 -316 Legal P & I
PLANNING LEGAL SVC THRU July 31, 2014
$56.00
Invoice 121621 8/21/2014
Transaction Date 9/3/2014
Wells Fargo 10100 Total
$350.00
Refer 32 LAKE MINNETONKA CONSERVATI
Cash Payment E 101 -41110 -433 Dues and Subscriptions
3RD QTR 2014 LMCD LEVY PAYMENT
$5,41125
Invoice 09092014 9/4/2014
Transaction Date 9/6/2014
Wells Fargo 10100 Total
$5,413.25
Refer. 31 METROPOLITAN COUNCIL WASTE
Cash Payment E 602-49450-388 Waste Disposal -MCIS
WASTEWATER SERVICES OCTOBER 2014
$51,406.04
Invoice 0001037599 9/4/2014
Transaction Date 9/6/2014
Wells Fargo 10100 Total
$51,406.04
Refer 8 MINNESOTA DEPT OF HEALTH
Cash Payment R 601 - 49400 -37170 State fee - Water
Invoice 09092014 8/22/2014
Transaction Date 9/3/2014
Refer 10 MINNESOTA VALLEY TESTING LA
Cash Payment E 601-49400-470 Water Samples
Invoice 716891 8/20/2014
Transaction Date 8/6/2014
Refer 11 NORLANDER, JILL
Cash Payment E 101-42400-218 Clothing and Uniforms
Invoice 09092014 9/212014
Transaction Date 9/3/2014
Refer 12 OFFICE DEPOT (FIRE)
Cash Payment E 222 - 42260 -200 Office Supplies
Invoice 725724550001 8/22/2014 PO 24416
Cash Payment E 222 - 42260 -200 Office Supplies
Invoice 725724694001 8/22/2014 PO 24416
Transaction Date 3/6/2014
Refer 13 PLUNKETT S, INCORPORATED
3RD QTR 2014 COMMUNITY WATER SUPPLY $5,793.00
SVC CONNECTION FEE
Wells Fargo 10100 Total $5,793.00
MONTHLY CHLORINE REPORT & COLIFORM $77.50
WATER TESTS -10
Wells Fargo 10100 Total $77.50
2014 MOUNDWEAR CLOTHING ALLOWANCE $40.80
REIMB- J. NORLANDER
Wells Fargo 10100 Total $40.80
BLACK INK CARTRIDGES, VELCRO TAPE & $107.67
FASTENERS, AA BATTERIES, FOLDERS,
ENVELOPES,
9V ALKALINE INDUSTRIAL BATTERIES $17.53
Wells Fargo 10100 Total $125.20
Im
CITY OF MOUND
09/04/1411:29 AM
Page 3
Payments
CITY OF [ROUND
Current Period:
September
n2014 ry
Cash Payment E 101 - 41910 -460 Janitorial Services
MONTHLY CLEANING CENT BLDG SEPT 2014
$476.00
Invoice MIN09140473 9/1/2014
Cash Payment E 602- 49450 -460 Janitorial Services
MONTHLY CLEANING PUB WRKS BLDG
$258.83
SEPT 2014
Invoice MIN09140474 9/1/2014
Project 14 -3
Transaction Date 9/6/2014
Wells Fargo 10100 Total
$2,134.83
Refer 9 KENNEDYAND GRAVEN
Cash Payment E 475 - 46386 -300 Professional Srvs
HRA LEGAL SVCS- through July 31 2014
$14.00
Invoice 121621 812112014
Cash Payment G 101 -23264 TRIDENT HOUSING DEVEL
TRIDENT HOUSING DEVELOPMENT
$280.00
MEETINGS- LEGAL SVC THRU JULY 31, 2014
Invoice 121621 8/21/2014
Cash Payment E 101- 41600 -316 Legal P & I
PLANNING LEGAL SVC THRU July 31, 2014
$56.00
Invoice 121621 8/21/2014
Transaction Date 9/3/2014
Wells Fargo 10100 Total
$350.00
Refer 32 LAKE MINNETONKA CONSERVATI
Cash Payment E 101 -41110 -433 Dues and Subscriptions
3RD QTR 2014 LMCD LEVY PAYMENT
$5,41125
Invoice 09092014 9/4/2014
Transaction Date 9/6/2014
Wells Fargo 10100 Total
$5,413.25
Refer. 31 METROPOLITAN COUNCIL WASTE
Cash Payment E 602-49450-388 Waste Disposal -MCIS
WASTEWATER SERVICES OCTOBER 2014
$51,406.04
Invoice 0001037599 9/4/2014
Transaction Date 9/6/2014
Wells Fargo 10100 Total
$51,406.04
Refer 8 MINNESOTA DEPT OF HEALTH
Cash Payment R 601 - 49400 -37170 State fee - Water
Invoice 09092014 8/22/2014
Transaction Date 9/3/2014
Refer 10 MINNESOTA VALLEY TESTING LA
Cash Payment E 601-49400-470 Water Samples
Invoice 716891 8/20/2014
Transaction Date 8/6/2014
Refer 11 NORLANDER, JILL
Cash Payment E 101-42400-218 Clothing and Uniforms
Invoice 09092014 9/212014
Transaction Date 9/3/2014
Refer 12 OFFICE DEPOT (FIRE)
Cash Payment E 222 - 42260 -200 Office Supplies
Invoice 725724550001 8/22/2014 PO 24416
Cash Payment E 222 - 42260 -200 Office Supplies
Invoice 725724694001 8/22/2014 PO 24416
Transaction Date 3/6/2014
Refer 13 PLUNKETT S, INCORPORATED
3RD QTR 2014 COMMUNITY WATER SUPPLY $5,793.00
SVC CONNECTION FEE
Wells Fargo 10100 Total $5,793.00
MONTHLY CHLORINE REPORT & COLIFORM $77.50
WATER TESTS -10
Wells Fargo 10100 Total $77.50
2014 MOUNDWEAR CLOTHING ALLOWANCE $40.80
REIMB- J. NORLANDER
Wells Fargo 10100 Total $40.80
BLACK INK CARTRIDGES, VELCRO TAPE & $107.67
FASTENERS, AA BATTERIES, FOLDERS,
ENVELOPES,
9V ALKALINE INDUSTRIAL BATTERIES $17.53
Wells Fargo 10100 Total $125.20
Im
CITY OF MOUND
09/64/1411:29 AM
Page 4
Payments
=AL
CITY OF MOUND
Current Period: September 2014
Cash Payment E 609 - 49750 -440 Other Contractual Servic PEST CONTROL SVC- HWS
$50.20
Invoice 4377899 8/8/2014
Transaction Date 8/6/2014 Wells Fargo 10100 Total
$50.20
Refer 14 REPUBLIC SERVICES ....»._.. n._..n_...�...�..,..d..
>.w.�.: m__.
Cash Payment E 222 - 42260 -384 Refuse /Garbage Disposa SEPT 2014 GARBAGE SVC
$144.93
Invoice 0894- 003602463 8/25/2014
Cash Payment E 101 - 41930 -384 Refuse /Garbage Disposa SEPT 2014 GARBAGE SVC
$144.93
Invoice 0894- 003602463 8/25/2014
Cash Payment E 602 - 49450 -384 Refuse /Garbage Disposa SEPT 2014 GARBAGE SVC
$144.99
Invoice 0894 - 003602465 8/25/2014 Project 14 -3
Cash Payment E 101 - 41910 -384 Refuse /Garbage Disposa SEPT 2014 GARBAGE SVC
$151.41
Invoice 0894 - 003599146 8/25/2014
Cash Payment E 101- 45200 -384 Refuse /Garbage Disposa SEPT 2014 GARBAGE SVC
$376.66
Invoice 0894 - 003599554 8/2512014
Cash Payment E 670- 49500 -440 Other Contractual Servic AUG CITY -WIDE RECYCLING SERVICE
$12,991.77
Invoice 0894 - 003598991 8/25/2014
Transaction Date 9/3/2014 Wells Fargo 10100 Total
$13,954.69
Refer � 15 RICOH USA, INC.
Cash Payment E 222 - 42260 -202 Duplicating and copying FIRE DEPT COPIER RENTAL FEE 6 -13 -14
$147.96
- THRU 9 -12 -14
Invoice 93065344 8/25/2014
Transaction Date 9/3/2014
Refer 16 SCHARBER AND SONS OF LONG L _
Cash Payment E 101- 45200 -221 Equipment Parts
Invoice P53253 7121/2014
Cash Payment E 101 - 45200 -221 Equipment Parts
Invoice P48496 6/11/2014
Transaction Date 8/21/2014
Refer - -�- 17 SPIRIT OF THE LAKES FESTIVAL_
Cash Payment R 609 - 49750 -37817 Promotional Event
Invoice 09092014 8/4/2014
Cash Payment G 101 -22802 Festival
Wells Fargo 10100
PARKS- RR WIN MID PART
O -RING
Wells Fargo 10100
2014 BUTTON, T -SHIRT & SAMPLING
REVENUE
Total $147.96
$283.75
$9.38
Total $293.13
$2,708.00
2014 SPIRIT FESTIVAL POSTAGE, COPIER & - $2,134.36
VENDOR INVOICES PD BY CITY
Invoice 09092014 8/4/2014
Transaction Date 9/312014 Wells Fargo 10100 Total $573.64
Refer 18 SUN PATRIOT NEWSPAPER -CITY
Cash Payment E 101-41500-351 Legal Notices Publishing LEGAL NTCE- AMEND FINANCE DEPT TO $23.13
FINANCE & ADMIN DEPT -ORD 07 -2014 PUB
8 -24 -14
Invoice 134642 8/23/2014
Transaction Date 9/3/2014 Wells Fargo 10100 Total $23.13
Refer 19 THYSSEN KRUPP ELEVATOR COR _
Cash Payment E 101 -41910 -440 Other Contractual Servic ELEVATOR MTCE 9 -1 -14 THRU 11 -30 -14 $795.29
CENT BLDG
Invoice 3001259973 9/1/2014
Transaction Date 9/3/2014 Wells Fargo 10100 Total $795.29
Refer 30 TRUE VALUE HWS _ _.1920_
CITY OF MOUND
09/64/1411:29 AM
Page 4
Payments
=AL
CITY OF MOUND
Current Period: September 2014
Cash Payment E 609 - 49750 -440 Other Contractual Servic PEST CONTROL SVC- HWS
$50.20
Invoice 4377899 8/8/2014
Transaction Date 8/6/2014 Wells Fargo 10100 Total
$50.20
Refer 14 REPUBLIC SERVICES ....»._.. n._..n_...�...�..,..d..
>.w.�.: m__.
Cash Payment E 222 - 42260 -384 Refuse /Garbage Disposa SEPT 2014 GARBAGE SVC
$144.93
Invoice 0894- 003602463 8/25/2014
Cash Payment E 101 - 41930 -384 Refuse /Garbage Disposa SEPT 2014 GARBAGE SVC
$144.93
Invoice 0894- 003602463 8/25/2014
Cash Payment E 602 - 49450 -384 Refuse /Garbage Disposa SEPT 2014 GARBAGE SVC
$144.99
Invoice 0894 - 003602465 8/25/2014 Project 14 -3
Cash Payment E 101 - 41910 -384 Refuse /Garbage Disposa SEPT 2014 GARBAGE SVC
$151.41
Invoice 0894 - 003599146 8/25/2014
Cash Payment E 101- 45200 -384 Refuse /Garbage Disposa SEPT 2014 GARBAGE SVC
$376.66
Invoice 0894 - 003599554 8/2512014
Cash Payment E 670- 49500 -440 Other Contractual Servic AUG CITY -WIDE RECYCLING SERVICE
$12,991.77
Invoice 0894 - 003598991 8/25/2014
Transaction Date 9/3/2014 Wells Fargo 10100 Total
$13,954.69
Refer � 15 RICOH USA, INC.
Cash Payment E 222 - 42260 -202 Duplicating and copying FIRE DEPT COPIER RENTAL FEE 6 -13 -14
$147.96
- THRU 9 -12 -14
Invoice 93065344 8/25/2014
Transaction Date 9/3/2014
Refer 16 SCHARBER AND SONS OF LONG L _
Cash Payment E 101- 45200 -221 Equipment Parts
Invoice P53253 7121/2014
Cash Payment E 101 - 45200 -221 Equipment Parts
Invoice P48496 6/11/2014
Transaction Date 8/21/2014
Refer - -�- 17 SPIRIT OF THE LAKES FESTIVAL_
Cash Payment R 609 - 49750 -37817 Promotional Event
Invoice 09092014 8/4/2014
Cash Payment G 101 -22802 Festival
Wells Fargo 10100
PARKS- RR WIN MID PART
O -RING
Wells Fargo 10100
2014 BUTTON, T -SHIRT & SAMPLING
REVENUE
Total $147.96
$283.75
$9.38
Total $293.13
$2,708.00
2014 SPIRIT FESTIVAL POSTAGE, COPIER & - $2,134.36
VENDOR INVOICES PD BY CITY
Invoice 09092014 8/4/2014
Transaction Date 9/312014 Wells Fargo 10100 Total $573.64
Refer 18 SUN PATRIOT NEWSPAPER -CITY
Cash Payment E 101-41500-351 Legal Notices Publishing LEGAL NTCE- AMEND FINANCE DEPT TO $23.13
FINANCE & ADMIN DEPT -ORD 07 -2014 PUB
8 -24 -14
Invoice 134642 8/23/2014
Transaction Date 9/3/2014 Wells Fargo 10100 Total $23.13
Refer 19 THYSSEN KRUPP ELEVATOR COR _
Cash Payment E 101 -41910 -440 Other Contractual Servic ELEVATOR MTCE 9 -1 -14 THRU 11 -30 -14 $795.29
CENT BLDG
Invoice 3001259973 9/1/2014
Transaction Date 9/3/2014 Wells Fargo 10100 Total $795.29
Refer 30 TRUE VALUE HWS _ _.1920_
CITY OF MOUND
09/04/1411:29 AM
SHORELINE - COMMERCE STREET LIGHTS 7-
$49.23
Page 5
Payments
24 THRU 8/24/14
Cliff` OF MOUND
Invoice 424988223 8/25/2014
Current Period:
September 2014
September
9/6/2014
V a 1�ll'X7�S3`,111. l w1 rY .
Cash Payment E 609 - 49750 -400 Repairs & Maintenance
HEX ROD CAULKER, CAULK SAVERS,
$66.49
WHITE CAULK- HWS
E 101-43100-221 Equipment Parts
Invoice 118482 8/27/2014
$60.99
Invoice 29820
Transaction Date 9/6/2014
Wells Fargo 10100 Total
$66.49
Refer 20 UHL COMPANY
E 101 - 45200 -221 Equipment Parts
RATCHET BINDER, TRANSPORT CHAIN W/
Cash Payment E 101 - 41910 -440 Other Contractual Servic
TEMPERATURE CONTROLS PROJECT-
$1,477.50
GRAB HOOKS, 10 TINE ENSILAGE FORK -
CENTENNIAL BLDG- FINAL PYMT
Invoice 28939 8/25/2014 PO 24345
PARKS TOOLS
Transaction Date 9/3/2014
Wells Fargo 10100 Total
$1,477.50
Refer~ 21 WIDMER CONSTRUCTION, LLC�,._.�
Transaction Date
9/6/2014
Cash Payment E 601- 49400 -440 Other Contractual Servic
REPAIR WATERMAIN @BARTLETT BLVD 7-
$3,214.88
15 -14
Invoice 3767 8/14/2014
Cash Payment E 601- 49400 -440 Other Contractual Servic
REPAIR FIRE HYDRANT @ 4831 BARTLETT
$2,532.50
BLVD 8 -7 -14
Invoice 3768 8118/2014
Transaction Date 9/6/2014
Wells Fargo 10100 Total
$5,747.38
Refer 25 WILL YS AUTO DETAIL _
Cash Payment E 101 -42115 -440 Other Contractual Servic
COMPLETE DETAIL & DECAL REMOVAL-
$100.00
FORD EXPLORER- FIELD OPS VEHICLE
Invoice 26712 9/2/2014
Cash Payment E 101 - 42400 -440 Other Contractual Servic
COMPLETE DETAIL & DECAL REMOVAL-
$100.00
FORD EXPLORER- FIELD OPS VEHICLE
Invoice 26712 9/2/2014
Transaction Date 9/6/2014
�.:,... w._...,. w..,.,..,.,,. r� „�,,,,..«,�.,�......�,�,.m,.�„
Wells Fargo 10100 Total
$200.00
Refer 22�XCEL ENERGY,K...,..
u...„.... ma. m .............. n ,:,tiA...w�,»,,.,.,.„a,.��,,,,..
Cash Payment E 602-49450-381 Electric Utilities
ELECTRIC SVC 7 -26 THRU 8/25114 CARLOW
$75.04
RD LIFT STATION
Invoice 425212847 8/27/2014
Cash Payment
E 101 - 43100 -381 Electric Utilities
SHORELINE - COMMERCE STREET LIGHTS 7-
$49.23
24 THRU 8/24/14
Invoice 424988223 8/25/2014
Transaction Date
9/6/2014
Wells Fargo 10100 Total
$124.27
Refer 23 ZACKS, INCORPORATED
Cash Payment
E 101-43100-221 Equipment Parts
SERRATED LUTE RAKE FOR STREET DEPT
$60.99
Invoice 29820
8/20/2014
Cash Payment
E 101 - 45200 -221 Equipment Parts
RATCHET BINDER, TRANSPORT CHAIN W/
$335.69
GRAB HOOKS, 10 TINE ENSILAGE FORK -
PARKS TOOLS
Invoice 29820
8/20/2014
Transaction Date
9/6/2014
Wells Fargo 10100 Total
$396.68
-1921-
CITY OF MOUND
09/04/1411:29 AM
SHORELINE - COMMERCE STREET LIGHTS 7-
$49.23
Page 5
Payments
24 THRU 8/24/14
Cliff` OF MOUND
Invoice 424988223 8/25/2014
Current Period:
September 2014
September
9/6/2014
V a 1�ll'X7�S3`,111. l w1 rY .
Cash Payment E 609 - 49750 -400 Repairs & Maintenance
HEX ROD CAULKER, CAULK SAVERS,
$66.49
WHITE CAULK- HWS
E 101-43100-221 Equipment Parts
Invoice 118482 8/27/2014
$60.99
Invoice 29820
Transaction Date 9/6/2014
Wells Fargo 10100 Total
$66.49
Refer 20 UHL COMPANY
E 101 - 45200 -221 Equipment Parts
RATCHET BINDER, TRANSPORT CHAIN W/
Cash Payment E 101 - 41910 -440 Other Contractual Servic
TEMPERATURE CONTROLS PROJECT-
$1,477.50
GRAB HOOKS, 10 TINE ENSILAGE FORK -
CENTENNIAL BLDG- FINAL PYMT
Invoice 28939 8/25/2014 PO 24345
PARKS TOOLS
Transaction Date 9/3/2014
Wells Fargo 10100 Total
$1,477.50
Refer~ 21 WIDMER CONSTRUCTION, LLC�,._.�
Transaction Date
9/6/2014
Cash Payment E 601- 49400 -440 Other Contractual Servic
REPAIR WATERMAIN @BARTLETT BLVD 7-
$3,214.88
15 -14
Invoice 3767 8/14/2014
Cash Payment E 601- 49400 -440 Other Contractual Servic
REPAIR FIRE HYDRANT @ 4831 BARTLETT
$2,532.50
BLVD 8 -7 -14
Invoice 3768 8118/2014
Transaction Date 9/6/2014
Wells Fargo 10100 Total
$5,747.38
Refer 25 WILL YS AUTO DETAIL _
Cash Payment E 101 -42115 -440 Other Contractual Servic
COMPLETE DETAIL & DECAL REMOVAL-
$100.00
FORD EXPLORER- FIELD OPS VEHICLE
Invoice 26712 9/2/2014
Cash Payment E 101 - 42400 -440 Other Contractual Servic
COMPLETE DETAIL & DECAL REMOVAL-
$100.00
FORD EXPLORER- FIELD OPS VEHICLE
Invoice 26712 9/2/2014
Transaction Date 9/6/2014
�.:,... w._...,. w..,.,..,.,,. r� „�,,,,..«,�.,�......�,�,.m,.�„
Wells Fargo 10100 Total
$200.00
Refer 22�XCEL ENERGY,K...,..
u...„.... ma. m .............. n ,:,tiA...w�,»,,.,.,.„a,.��,,,,..
Cash Payment E 602-49450-381 Electric Utilities
ELECTRIC SVC 7 -26 THRU 8/25114 CARLOW
$75.04
RD LIFT STATION
Invoice 425212847 8/27/2014
Cash Payment
E 101 - 43100 -381 Electric Utilities
SHORELINE - COMMERCE STREET LIGHTS 7-
$49.23
24 THRU 8/24/14
Invoice 424988223 8/25/2014
Transaction Date
9/6/2014
Wells Fargo 10100 Total
$124.27
Refer 23 ZACKS, INCORPORATED
Cash Payment
E 101-43100-221 Equipment Parts
SERRATED LUTE RAKE FOR STREET DEPT
$60.99
Invoice 29820
8/20/2014
Cash Payment
E 101 - 45200 -221 Equipment Parts
RATCHET BINDER, TRANSPORT CHAIN W/
$335.69
GRAB HOOKS, 10 TINE ENSILAGE FORK -
PARKS TOOLS
Invoice 29820
8/20/2014
Transaction Date
9/6/2014
Wells Fargo 10100 Total
$396.68
-1921-
CITY OF MOUND
Payments
CITY OF MOUND
09/04/14 11:29 AM
Page 6
Current Period: September 2014
4
Fund Summary
101 GENERAL FUND
222 AREA FIRE SERVICES
475 TIF 1 -3 Mound Harbor Renaissan
601 WATER FUND
602 SEWER FUND
609 MUNICIPAL LIQUOR FUND
670 RECYCLING FUND
10100 Wells Fargo
$12,579.65
$3,748.36
$14.00
$11,617.88
$57,911.40
$2,824.69
$12,991.77
$101,687.75
Pre - Written Check $0.00
Checks to be Generated by the Computer $101,687.75
Total $101,687.75
-1922-
CITY OF MOUND
Payments
CITY OF MOUND
09/04/14 11:29 AM
Page 6
Current Period: September 2014
4
Fund Summary
101 GENERAL FUND
222 AREA FIRE SERVICES
475 TIF 1 -3 Mound Harbor Renaissan
601 WATER FUND
602 SEWER FUND
609 MUNICIPAL LIQUOR FUND
670 RECYCLING FUND
10100 Wells Fargo
$12,579.65
$3,748.36
$14.00
$11,617.88
$57,911.40
$2,824.69
$12,991.77
$101,687.75
Pre - Written Check $0.00
Checks to be Generated by the Computer $101,687.75
Total $101,687.75
-1922-
CITY OF MOUND
09/04/1411: 12 AM
Page 1
Payments
CITY OF MOUND
Current Period: September 2014
Batch Name 090914HWS User Dollar Amt $92,883.58
Payments Computer Dollar Amt $92,883.58
$0.00 In Balance
Refer 1 ARCTIC GLACIER PREMIUM ICE
Cash Payment E 609-49750-255 Misc Merchandise For R ICE
$65.40
Invoice 460423309 8/21/2014
Cash Payment E 609 - 49750 -265 Freight FREIGHT
$1.00
Invoice 460423309 8/21/2014
Cash Payment E 609 - 49750 -255 Misc Merchandise For R ICE
$68.00
Invoice 436423506 8/23/2014
Cash Payment E 609 - 49750 -265 Freight FREIGHT
$1.00
Invoice 436423506 8/23/2014
Cash Payment E 609 - 49750 -255 Misc Merchandise For R ICE
$51.00
Invoice 378423707 8125/2014
Cash Payment E 609 - 49750 -265 Freight FREIGHT
$1.00
Invoice 378423707 8/25/2014
Cash Payment E 609 - 49750 -255 Misc Merchandise For R ICE
$58.20
Invoice 436424407 9/1/2014
Transaction Date 9/3/2014 Wells Fargo 10100
�2
Total
$245.60
Refer ARCTIC GLACIER PREMIUM ICE
Cash Payment E 609 - 49750 -255 Misc Merchandise For R ICE
$6515
Invoice 436424005 8/28/2014
Cash Payment E 609 - 49750 -255 Misc Merchandise For R FREIGHT
$1.00
Invoice 436424005 8/28/2014
Cash Payment E 609 - 49750 -255 Misc Merchandise For R ICE
$31.70
Invoice 385424106 8/29/2014
Cash Payment E 609 -49750 -265 Freight FREIGHT
$1.00
Invoice 385424106 8/29/2014
Cash Payment E 609 - 49750 -255 Misc Merchandise For R ICE
$107.05
Invoice 385424205 8/30/2014
Cash Payment E 609 - 49750 -265 Freight FREIGHT
$1.00
Invoice 385424205 8/30/2014
Transaction Date 9/3/2014 Wells Fargo 10100
Total
$207.00
Refer 3 ARTISAN BEER COMPANY
Cash Payment E 609-49750-252 Beer For Resale BEER
$323.55
Invoice 63861 8/2812014
Transaction Date 9/312014 Wells Fargo 10100
�_..
Total
$323.55
Refer 4 BELLBOY CORPORATION
Cash Payment E 609-49750-210 Operating Supplies SUPPLIES, SHELF STRIPS
$46.50
Invoice 90725600 8/22/2014
Cash Payment E 609 - 49750 -254 Soft Drinks /Mix For Resa MIX
$57.10
Invoice 90725400 8/22/2014
Cash Payment E 609 - 49750 -255 Misc Merchandise For R MERCHANDISE- VIKINGS & GOPHERS MUGS
$42.84
Invoice 90725400 8/22/2014
Cash Payment E 609- 49750 -254 Soft Drinks /Mix For Resa MIX
$177.30
Invoice 90771500 9/3/2014
Cash Payment E 609 - 49750 -210 Operating Supplies SUPPLIES, BAGS
$43.95
Invoice 90762600 8/29/2014 -1923-
CITY OF MOUND
09/04/1411: 12 AM
Page 1
Payments
CITY OF MOUND
Current Period: September 2014
Batch Name 090914HWS User Dollar Amt $92,883.58
Payments Computer Dollar Amt $92,883.58
$0.00 In Balance
Refer 1 ARCTIC GLACIER PREMIUM ICE
Cash Payment E 609-49750-255 Misc Merchandise For R ICE
$65.40
Invoice 460423309 8/21/2014
Cash Payment E 609 - 49750 -265 Freight FREIGHT
$1.00
Invoice 460423309 8/21/2014
Cash Payment E 609 - 49750 -255 Misc Merchandise For R ICE
$68.00
Invoice 436423506 8/23/2014
Cash Payment E 609 - 49750 -265 Freight FREIGHT
$1.00
Invoice 436423506 8/23/2014
Cash Payment E 609 - 49750 -255 Misc Merchandise For R ICE
$51.00
Invoice 378423707 8125/2014
Cash Payment E 609 - 49750 -265 Freight FREIGHT
$1.00
Invoice 378423707 8/25/2014
Cash Payment E 609 - 49750 -255 Misc Merchandise For R ICE
$58.20
Invoice 436424407 9/1/2014
Transaction Date 9/3/2014 Wells Fargo 10100
�2
Total
$245.60
Refer ARCTIC GLACIER PREMIUM ICE
Cash Payment E 609 - 49750 -255 Misc Merchandise For R ICE
$6515
Invoice 436424005 8/28/2014
Cash Payment E 609 - 49750 -255 Misc Merchandise For R FREIGHT
$1.00
Invoice 436424005 8/28/2014
Cash Payment E 609 - 49750 -255 Misc Merchandise For R ICE
$31.70
Invoice 385424106 8/29/2014
Cash Payment E 609 -49750 -265 Freight FREIGHT
$1.00
Invoice 385424106 8/29/2014
Cash Payment E 609 - 49750 -255 Misc Merchandise For R ICE
$107.05
Invoice 385424205 8/30/2014
Cash Payment E 609 - 49750 -265 Freight FREIGHT
$1.00
Invoice 385424205 8/30/2014
Transaction Date 9/3/2014 Wells Fargo 10100
Total
$207.00
Refer 3 ARTISAN BEER COMPANY
Cash Payment E 609-49750-252 Beer For Resale BEER
$323.55
Invoice 63861 8/2812014
Transaction Date 9/312014 Wells Fargo 10100
�_..
Total
$323.55
Refer 4 BELLBOY CORPORATION
Cash Payment E 609-49750-210 Operating Supplies SUPPLIES, SHELF STRIPS
$46.50
Invoice 90725600 8/22/2014
Cash Payment E 609 - 49750 -254 Soft Drinks /Mix For Resa MIX
$57.10
Invoice 90725400 8/22/2014
Cash Payment E 609 - 49750 -255 Misc Merchandise For R MERCHANDISE- VIKINGS & GOPHERS MUGS
$42.84
Invoice 90725400 8/22/2014
Cash Payment E 609- 49750 -254 Soft Drinks /Mix For Resa MIX
$177.30
Invoice 90771500 9/3/2014
Cash Payment E 609 - 49750 -210 Operating Supplies SUPPLIES, BAGS
$43.95
Invoice 90762600 8/29/2014 -1923-
CITY OF MOUND
E 609 - 49750 -340 Advertising
09/04/14 11:12 AM
Page 2
$140.00
Payments
BUSINESS PUBLICATION
CITY OF MOUND
Invoice 16270
8/30/2014
Current
Period: September 2014
9/3/2014
Wells Fargo 10100 Total
.sv.... Krd .: ,.
, ,... . w ..
Transaction Date 9/312014
Wells Fargo
10100 Total
$367.69
Refer 5 BELLBOY CORPORATION
_
$262.72
Invoice 0148120911 8/28/2014
Cash Payment E 609- 49750 -251 Liquor For Resale
LIQUOR
Cash Payment
$712.50
Invoice 44513500 8/2212014
- $20.72
Invoice 0148120912 8/2812014
Cash Payment E 609 - 49750 -265 Freight
FREIGHT
9/3/2014
$18.45
Invoice 44513500 8/22/2014
Refer 10
DAHLHEIMER BEVERAGE LLC -
Cash Payment E 609 - 49750 -251 Liquor For Resale
LIQUOR
E 609 - 49750 -252 Beer For Resale
$3,565.00
Invoice 44616900 8/29/2014
Invoice 96736
8/25/2014
Cash Payment E 609 - 49750 -265 Freight
FREIGHT
9/3/2014
$52.70
Invoice 44616900 8/29/2014
Refer 11
DAYDISTRIBUTING COMPANY
_1924,_
Cash Payment E 609 - 49750 -251 Liquor For Resale
LIQUOR
$6,136.65
Invoice 44647200 9/3/2014
Cash Payment E 609 - 49750 -265 Freight
FREIGHT
$74.40
Invoice 44647200 9/3/2014
Transaction Date 9/3/2014
Wells Fargo
10100 Total
$10,559.70
Refer 6 BELLBOY CORPORATION
Cash Payment E 609 -49750 -251 Liquor For Resale
LIQUOR
$3,008.25
Invoice 44530200 8/25/2014
Cash Payment E 609 - 49750 -251 Liquor For Resale
LIQUOR
$132.00
Invoice 44528000 8125/2014
Cash Payment E 609 - 49750 -251 Liquor For Resale
LIQUOR
$4,108.01
Invoice 43899700 7/14/2014
Cash Payment E 609 - 49750 -251 Liquor For Resale
LIQUOR CREDIT
- $106.50
Invoice 43797100 9/4/2014
Transaction Date 9/3/2014
Wells Fargo
10100 Total
$7,141.76
Refer, 7 BERNICKS BEVERAGES AND VEN
Cash Payment E 609 - 49750 -254 Soft Drinks /Mix For Resa MIX
$108.63
Invoice 158704 8/27/2014
Cash Payment E 609 - 49750 -252 Beer For Resale
BEER
$869.40
Invoice 158705 8127/2014
Transaction Date 9/3/2014
Wells Fargo
10100 Total
$978.03
Refer am.8 BLU SKY PUBLISHING
Cash Payment
E 609 - 49750 -340 Advertising
1/4 PAGE AD SEPT 2014 WEST LAKE
$140.00
BUSINESS PUBLICATION
Invoice 16270
8/30/2014
Transaction Date
9/3/2014
Wells Fargo 10100 Total
$140.00
Refer
9 COCA COLA BOTTLINGMIDWEST_M..
Cash Payment
E 609-49750-254 Soft Drinks /Mix For Resa
COCA COLA PRODUCTS- MIX
$262.72
Invoice 0148120911 8/28/2014
Cash Payment
E 609- 49750 -254 Soft Drinks /Mix For Resa
COCA COLA PRODUCTS- DEPOSIT CREDITS
- $20.72
Invoice 0148120912 8/2812014
Transaction Date
9/3/2014
Wells Fargo 10100 Total
$242.00
Refer 10
DAHLHEIMER BEVERAGE LLC -
Cash Payment
E 609 - 49750 -252 Beer For Resale
BEER
$645.60
Invoice 96736
8/25/2014
Transaction Date
9/3/2014
Wells Fargo 10100 Total
$645.60
Refer 11
DAYDISTRIBUTING COMPANY
_1924,_
CITY OF MOUND
E 609 - 49750 -340 Advertising
09/04/14 11:12 AM
Page 2
$140.00
Payments
BUSINESS PUBLICATION
CITY OF MOUND
Invoice 16270
8/30/2014
Current
Period: September 2014
9/3/2014
Wells Fargo 10100 Total
.sv.... Krd .: ,.
, ,... . w ..
Transaction Date 9/312014
Wells Fargo
10100 Total
$367.69
Refer 5 BELLBOY CORPORATION
_
$262.72
Invoice 0148120911 8/28/2014
Cash Payment E 609- 49750 -251 Liquor For Resale
LIQUOR
Cash Payment
$712.50
Invoice 44513500 8/2212014
- $20.72
Invoice 0148120912 8/2812014
Cash Payment E 609 - 49750 -265 Freight
FREIGHT
9/3/2014
$18.45
Invoice 44513500 8/22/2014
Refer 10
DAHLHEIMER BEVERAGE LLC -
Cash Payment E 609 - 49750 -251 Liquor For Resale
LIQUOR
E 609 - 49750 -252 Beer For Resale
$3,565.00
Invoice 44616900 8/29/2014
Invoice 96736
8/25/2014
Cash Payment E 609 - 49750 -265 Freight
FREIGHT
9/3/2014
$52.70
Invoice 44616900 8/29/2014
Refer 11
DAYDISTRIBUTING COMPANY
_1924,_
Cash Payment E 609 - 49750 -251 Liquor For Resale
LIQUOR
$6,136.65
Invoice 44647200 9/3/2014
Cash Payment E 609 - 49750 -265 Freight
FREIGHT
$74.40
Invoice 44647200 9/3/2014
Transaction Date 9/3/2014
Wells Fargo
10100 Total
$10,559.70
Refer 6 BELLBOY CORPORATION
Cash Payment E 609 -49750 -251 Liquor For Resale
LIQUOR
$3,008.25
Invoice 44530200 8/25/2014
Cash Payment E 609 - 49750 -251 Liquor For Resale
LIQUOR
$132.00
Invoice 44528000 8125/2014
Cash Payment E 609 - 49750 -251 Liquor For Resale
LIQUOR
$4,108.01
Invoice 43899700 7/14/2014
Cash Payment E 609 - 49750 -251 Liquor For Resale
LIQUOR CREDIT
- $106.50
Invoice 43797100 9/4/2014
Transaction Date 9/3/2014
Wells Fargo
10100 Total
$7,141.76
Refer, 7 BERNICKS BEVERAGES AND VEN
Cash Payment E 609 - 49750 -254 Soft Drinks /Mix For Resa MIX
$108.63
Invoice 158704 8/27/2014
Cash Payment E 609 - 49750 -252 Beer For Resale
BEER
$869.40
Invoice 158705 8127/2014
Transaction Date 9/3/2014
Wells Fargo
10100 Total
$978.03
Refer am.8 BLU SKY PUBLISHING
Cash Payment
E 609 - 49750 -340 Advertising
1/4 PAGE AD SEPT 2014 WEST LAKE
$140.00
BUSINESS PUBLICATION
Invoice 16270
8/30/2014
Transaction Date
9/3/2014
Wells Fargo 10100 Total
$140.00
Refer
9 COCA COLA BOTTLINGMIDWEST_M..
Cash Payment
E 609-49750-254 Soft Drinks /Mix For Resa
COCA COLA PRODUCTS- MIX
$262.72
Invoice 0148120911 8/28/2014
Cash Payment
E 609- 49750 -254 Soft Drinks /Mix For Resa
COCA COLA PRODUCTS- DEPOSIT CREDITS
- $20.72
Invoice 0148120912 8/2812014
Transaction Date
9/3/2014
Wells Fargo 10100 Total
$242.00
Refer 10
DAHLHEIMER BEVERAGE LLC -
Cash Payment
E 609 - 49750 -252 Beer For Resale
BEER
$645.60
Invoice 96736
8/25/2014
Transaction Date
9/3/2014
Wells Fargo 10100 Total
$645.60
Refer 11
DAYDISTRIBUTING COMPANY
_1924,_
CITY OF MOUND 09/04/14 11:12 AM
Page 3
Payments
CITY OF MOUND
Current Period: September 2014
Cash Payment
E 609 - 49750 -252 Beer For Resale
BEER
$4,494.45
Invoice 767931
9/3/2014
Cash Payment
E 609 - 49750 -252 Beer For Resale
BEER
$90.00
Invoice 767599
9/3/2014
Cash Payment
E 609 - 49750 -252 Beer For Resale
BEER
$124.00
Invoice 766274
8/21/2014
Cash Payment
E 609 - 49750 -252 Beer For Resale
BEER
$3,040.17
Invoice 766808
8/26/2014
Transaction Date 9/3/2014
Wells Fargo
10100 Total
$7,748.62
Refer
12 GRAPE BEGINNINGS INCORPORA
Cash Payment
E 609 - 49750 -253 Wine For Resale
WINE
$308.00
Invoice 170755
8/21/2014
Cash Payment
E 609 - 49750 -265 Freight
FREIGHT
$4.50
Invoice 170755
8/21/2014
Cash Payment
E 609 - 49750 -253 Wine For Resale
WINE
$180.00
Invoice 171036
8128/2014
Cash Payment
E 609 - 49750 -265 Freight
FREIGHT
$2,25
Invoice 171036
8/28/2014
Cash Payment
E 609 - 49750 -253 Wine For Resale
WINE
$180.00
Invoice 171117
9/1/2014
Cash Payment
E 609 - 49750 -265 Freight
FREIGHT
$2,25
Invoice 171117
9/112014
Transaction Date 913/2014
Wells Fargo
10100 Total
$677.00
Refer.
13 HOHENSTEINS,�INCORPORATED
���
- --
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$1,007.75
Invoice 720873
9/3/2014
Transaction Date 9/3/2014
Wells Fargo
10100 Total
$1,007.75
Refer
14 JJ TAYLOR DISTRIBUTING MINN�
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$3,121.37
Invoice 2251397
9/212014
Cash Payment
E 609 - 49750 -254 Soft Drinks /Mix For Rasa MIX
$38.80
Invoice 2251398
9/2/2014
Cash Payment
E 609 - 49750 -252 Beer For Resale
BEER
$6,309.38
Invoice 2251358
8/26/2014
Transaction Date
9/3/2014
w�tl_�re-
Wells Fargo
^�Mu-
10100 Total
$9,469.55
Refer
16 JOHNSON BROTHERS LIQUOR
mmYWM�W�-
Cash Payment
E 609 - 49750 -251 Liquor For Resale
LIQUOR
$2,843.63
Invoice 1929388
8/20/2014
Cash Payment
E 609 - 49750 -253 Wine For Resale
WINE
$3,810.80
Invoice 1929389
8/20/2014
Cash Payment
E 609 - 49750 -254 Soft Drinks /Mix For Rasa MIX
$60.50
Invoice 1929390
8/20/2014
Cash Payment
E 609 - 49750 -253 Wine For Resale
WINE CREDIT
- $12.41
Invoice 631376
8/22/2014
Cash Payment
E 609 - 49750 -251 Liquor For Resale
LIQUOR CREDIT
- $40.00
Invoice 631377
8/22/2014
Transaction Date
9/3/2014
Wells Fargo
10100 Total
$6,662.52
Refer 15
JOHNSON BROTHERS LIQUOR
-1925-
CITY OF MOUND 09/04/14 11:12 AM
Page 3
Payments
CITY OF MOUND
Current Period: September 2014
Cash Payment
E 609 - 49750 -252 Beer For Resale
BEER
$4,494.45
Invoice 767931
9/3/2014
Cash Payment
E 609 - 49750 -252 Beer For Resale
BEER
$90.00
Invoice 767599
9/3/2014
Cash Payment
E 609 - 49750 -252 Beer For Resale
BEER
$124.00
Invoice 766274
8/21/2014
Cash Payment
E 609 - 49750 -252 Beer For Resale
BEER
$3,040.17
Invoice 766808
8/26/2014
Transaction Date 9/3/2014
Wells Fargo
10100 Total
$7,748.62
Refer
12 GRAPE BEGINNINGS INCORPORA
Cash Payment
E 609 - 49750 -253 Wine For Resale
WINE
$308.00
Invoice 170755
8/21/2014
Cash Payment
E 609 - 49750 -265 Freight
FREIGHT
$4.50
Invoice 170755
8/21/2014
Cash Payment
E 609 - 49750 -253 Wine For Resale
WINE
$180.00
Invoice 171036
8128/2014
Cash Payment
E 609 - 49750 -265 Freight
FREIGHT
$2,25
Invoice 171036
8/28/2014
Cash Payment
E 609 - 49750 -253 Wine For Resale
WINE
$180.00
Invoice 171117
9/1/2014
Cash Payment
E 609 - 49750 -265 Freight
FREIGHT
$2,25
Invoice 171117
9/112014
Transaction Date 913/2014
Wells Fargo
10100 Total
$677.00
Refer.
13 HOHENSTEINS,�INCORPORATED
���
- --
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$1,007.75
Invoice 720873
9/3/2014
Transaction Date 9/3/2014
Wells Fargo
10100 Total
$1,007.75
Refer
14 JJ TAYLOR DISTRIBUTING MINN�
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$3,121.37
Invoice 2251397
9/212014
Cash Payment
E 609 - 49750 -254 Soft Drinks /Mix For Rasa MIX
$38.80
Invoice 2251398
9/2/2014
Cash Payment
E 609 - 49750 -252 Beer For Resale
BEER
$6,309.38
Invoice 2251358
8/26/2014
Transaction Date
9/3/2014
w�tl_�re-
Wells Fargo
^�Mu-
10100 Total
$9,469.55
Refer
16 JOHNSON BROTHERS LIQUOR
mmYWM�W�-
Cash Payment
E 609 - 49750 -251 Liquor For Resale
LIQUOR
$2,843.63
Invoice 1929388
8/20/2014
Cash Payment
E 609 - 49750 -253 Wine For Resale
WINE
$3,810.80
Invoice 1929389
8/20/2014
Cash Payment
E 609 - 49750 -254 Soft Drinks /Mix For Rasa MIX
$60.50
Invoice 1929390
8/20/2014
Cash Payment
E 609 - 49750 -253 Wine For Resale
WINE CREDIT
- $12.41
Invoice 631376
8/22/2014
Cash Payment
E 609 - 49750 -251 Liquor For Resale
LIQUOR CREDIT
- $40.00
Invoice 631377
8/22/2014
Transaction Date
9/3/2014
Wells Fargo
10100 Total
$6,662.52
Refer 15
JOHNSON BROTHERS LIQUOR
-1925-
CITY OF MOUND 09/04/1411:12 AM
Page 4
Payments
CITY OF MOUND
Current Period: September 2014
Refer 18 MINNEHAHA BUILDING MAINTENA
Cash Payment E 609- 49750 -440 Other Contractual Servic
WASH WINDOWS INSIDE & OUT 7 -28 -14
$65.19
Cash Payment
E 609- 49750 -251 Liquor For Resale
LIQUOR
$3,376.45
Invoice 1935030
8/27/2014
Refer 19 MINNESOTA MUNICIPAL BEVERA
Cash Payment
E 609 - 49750 -251 Liquor For Resale
LIQUOR
$123.00
Invoice 1935032
8/27/2014
Transaction Date 9/4/2014
Cash Payment
E 609 - 49750 -253 Wine For Resale
WINE
$2,559.25
Invoice 1935031
8/27/2014
WATER SERVICE 6 -30 -14 THRU 8 -1 -14 HWS
$96.20
Cash Payment
E 609 - 49750 -254 Soft Drinks /Mix For
Resa MIX
$90.75
Invoice 1935033
8/27/2014
Refer 21 MUZAK - MINNEAPOLIS
Cash Payment
E 609 - 49750 -253 Wine For Resale
WINE
$44.04
Invoice 1932384
8/26/2014
Transaction Date 9/3/2014
Cash Payment
E 609 - 49750 -251 Liquor For Resale
LIQUOR CREDIT
410.00
Invoice 629726
8/8/2014
WINE
$1,369.13
Transaction Date
9/3/2014
Wells Fargo 10100 Total
$6,183.49
Refer m. 17 MARLIN S TRUCKING DELIVERY
............ ....�.��...,., ».w.. ..- ...._,..w.,._ �m,_ _.ww_...,-
....�...,„,..�.
Cash Payment
E 609 - 49750 -265 Freight
DELIVERY SVC 8 -04 -14
$59.45
Invoice 29683
8/4/2014
Cash Payment
E 609 - 49750 -265 Freight
DELIVERY SVC 8 -07 -14
$447.05
Invoice 29703
8/7/2014
Cash Payment
E 609 - 49750 -265 Freight
DELIVERY SVC 8 -11 -14
$58.00
Invoice 29713
8/11/2014
Cash Payment
E 609 - 49750 -265 Freight
DELIVERY SVC 8 -14 -14
$282.05
Invoice 29730
8/14/2014
Transaction Date
9/3/2014
Wells Fargo 10100 Total
$846.55
Refer 18 MINNEHAHA BUILDING MAINTENA
Cash Payment E 609- 49750 -440 Other Contractual Servic
WASH WINDOWS INSIDE & OUT 7 -28 -14
$65.19
Invoice 928027962 8/17/2014
Transaction Date 9/3/2014
Wells Fargo 10100 Total
$65.19
Refer 19 MINNESOTA MUNICIPAL BEVERA
Cash Payment E 609 - 49750 -434 Conference & Training
2 BEVERAGE & ALCOHOL TRAININGS
$300.00
Invoice 2014 -28 8126/2014
Transaction Date 9/4/2014
Wells Fargo 10100 Total
$300.00
Refer 20 MOUND CITY OF _
Cash Payment E 609- 49750 -382 Water Utilities
WATER SERVICE 6 -30 -14 THRU 8 -1 -14 HWS
$96.20
Invoice 09092014 8/2012014
Transaction Date 9/3/2014
Wells Fargo 10100 Total
$96.20
Refer 21 MUZAK - MINNEAPOLIS
Cash Payment E 609 - 49750 -440 Other Contractual Servic
SEPT 2014 MUSIC SERVICE- HWS
$115.95
Invoice 50972312 9/1/2014
Transaction Date 9/3/2014
Wells Fargo 10100 Total
$115.95
Refer 23 PAUSTIS AND SONS WINE COMPA _
Cash Payment E 609- 49750 -253 Wine For Resale
WINE
$1,369.13
Invoice 8462437 8/25/2014
Cash Payment E 609 - 49750 -265 Freight
FREIGHT
$23.75
Invoice 8462437 8/25/2014
Cash Payment E 609 - 49750 -253 Wine For Resale
WINE
$835.00
Invoice 8462454 8/26/2014
-1926-
CITY OF MOUND 09/04/1411:12 AM
Page 4
Payments
CITY OF MOUND
Current Period: September 2014
Refer 18 MINNEHAHA BUILDING MAINTENA
Cash Payment E 609- 49750 -440 Other Contractual Servic
WASH WINDOWS INSIDE & OUT 7 -28 -14
$65.19
Cash Payment
E 609- 49750 -251 Liquor For Resale
LIQUOR
$3,376.45
Invoice 1935030
8/27/2014
Refer 19 MINNESOTA MUNICIPAL BEVERA
Cash Payment
E 609 - 49750 -251 Liquor For Resale
LIQUOR
$123.00
Invoice 1935032
8/27/2014
Transaction Date 9/4/2014
Cash Payment
E 609 - 49750 -253 Wine For Resale
WINE
$2,559.25
Invoice 1935031
8/27/2014
WATER SERVICE 6 -30 -14 THRU 8 -1 -14 HWS
$96.20
Cash Payment
E 609 - 49750 -254 Soft Drinks /Mix For
Resa MIX
$90.75
Invoice 1935033
8/27/2014
Refer 21 MUZAK - MINNEAPOLIS
Cash Payment
E 609 - 49750 -253 Wine For Resale
WINE
$44.04
Invoice 1932384
8/26/2014
Transaction Date 9/3/2014
Cash Payment
E 609 - 49750 -251 Liquor For Resale
LIQUOR CREDIT
410.00
Invoice 629726
8/8/2014
WINE
$1,369.13
Transaction Date
9/3/2014
Wells Fargo 10100 Total
$6,183.49
Refer m. 17 MARLIN S TRUCKING DELIVERY
............ ....�.��...,., ».w.. ..- ...._,..w.,._ �m,_ _.ww_...,-
....�...,„,..�.
Cash Payment
E 609 - 49750 -265 Freight
DELIVERY SVC 8 -04 -14
$59.45
Invoice 29683
8/4/2014
Cash Payment
E 609 - 49750 -265 Freight
DELIVERY SVC 8 -07 -14
$447.05
Invoice 29703
8/7/2014
Cash Payment
E 609 - 49750 -265 Freight
DELIVERY SVC 8 -11 -14
$58.00
Invoice 29713
8/11/2014
Cash Payment
E 609 - 49750 -265 Freight
DELIVERY SVC 8 -14 -14
$282.05
Invoice 29730
8/14/2014
Transaction Date
9/3/2014
Wells Fargo 10100 Total
$846.55
Refer 18 MINNEHAHA BUILDING MAINTENA
Cash Payment E 609- 49750 -440 Other Contractual Servic
WASH WINDOWS INSIDE & OUT 7 -28 -14
$65.19
Invoice 928027962 8/17/2014
Transaction Date 9/3/2014
Wells Fargo 10100 Total
$65.19
Refer 19 MINNESOTA MUNICIPAL BEVERA
Cash Payment E 609 - 49750 -434 Conference & Training
2 BEVERAGE & ALCOHOL TRAININGS
$300.00
Invoice 2014 -28 8126/2014
Transaction Date 9/4/2014
Wells Fargo 10100 Total
$300.00
Refer 20 MOUND CITY OF _
Cash Payment E 609- 49750 -382 Water Utilities
WATER SERVICE 6 -30 -14 THRU 8 -1 -14 HWS
$96.20
Invoice 09092014 8/2012014
Transaction Date 9/3/2014
Wells Fargo 10100 Total
$96.20
Refer 21 MUZAK - MINNEAPOLIS
Cash Payment E 609 - 49750 -440 Other Contractual Servic
SEPT 2014 MUSIC SERVICE- HWS
$115.95
Invoice 50972312 9/1/2014
Transaction Date 9/3/2014
Wells Fargo 10100 Total
$115.95
Refer 23 PAUSTIS AND SONS WINE COMPA _
Cash Payment E 609- 49750 -253 Wine For Resale
WINE
$1,369.13
Invoice 8462437 8/25/2014
Cash Payment E 609 - 49750 -265 Freight
FREIGHT
$23.75
Invoice 8462437 8/25/2014
Cash Payment E 609 - 49750 -253 Wine For Resale
WINE
$835.00
Invoice 8462454 8/26/2014
-1926-
CITY OF MOUND 09/04/1411:12 AM
Page 5
Payments
CITY OF MOUND
Current Period: September 2014
-1927-
Cash Payment E 609 - 49750 -265 Freight
FREIGHT
$8.75
Invoice 8462454 8/26/2014
Cash Payment E 609- 49750 -253 Wine For Resale
WINE
$176.00
Invoice 8462899 8/27/2014
Cash Payment E 609 - 49750 -265 Freight
FREIGHT
$4.50
Invoice 8462899 8/27/2014
Transaction Date 9/3/2014
Wells Fargo
10100 Total
$2,417.13
Refer 22 PAUSTIS AND SONS WINE COM_ PA
_
Cash Payment E 609 - 49750 -253 Wine For Resale
WINE
$1,314.00
Invoice 8463572 902014
Cash Payment E 609 - 49750 -265 Freight
FREIGHT
$21,25
Invoice 8463572 9/2/2014
Cash Payment E 609 - 49750 -251 Liquor For Resale
LIQUOR
$57.00
Invoice 8463574 9/2/2014
Cash Payment E 609 - 49750 -265 Freight
FREIGHT
$2,25
Invoice 8463574 9/2/2014
Transaction Date 9/3/2014
Wells Fargo
10100 Total
$1,394.50
Refer 24 PHILLIPS WINE AND SPIRITS, INC
Cash Payment E 609 - 49750 -253 Wine For Resale
WINE
$1,286.75
Invoice 2654994 8/20/2014
Cash Payment E 609 - 49750 -251 Liquor For Resale
LIQUOR
$1,452.90
Invoice 2654993 8/20/2014
Transaction Date 9/3/2014
Wells Fargo
10100 Total
$2,739.65
Refer 25 PHILLIPS WINE AND SPIRITS, INC
�-
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
$1,582.80
Invoice 2658520 8/27/2014
Cash Payment E 609 - 49750 -253 Wine For Resale
WINE
$654.00
Invoice 2658521 8/27/2014
Transaction Date 9/3/2014
Wells Fargo
10100 Total
$2,236.80
Refer 27 SOUTHERN WINE & SPIRITS OF M
Cash Payment E 609 - 49750 -253 Wine For Resale
WINE
$2,292.00
Invoice 1197353 8/28/2014
Cash Payment E 609 - 49750 -251 Liquor For Resale
LIQUOR
$1,329.41
Invoice 1197352 8128/2014
Cash Payment E 609 - 49750 -252 Beer For Resale
BEER
$22.50
Invoice 1197354 8/28/2014
Transaction Date 9/3/2014
Wells Fargo
10100 Total
$3,643.91
Refer 26 SOUTHERN WINE & SPIRITS OF M
Cash Payment E 609 - 49750 -253 Wine For Resale
WINE
$1,744.00
Invoice 1194887 8/21/2014
Cash Payment E 609 - 49750 -251 Liquor For Resale
LIQUOR
$661.78
Invoice 1194888 8/21/2014
Cash Payment E 609 - 49750 -253 Wine For Resale
WINE CREDIT
- $48.00
Invoice 9041481 9/2/2014
Transaction Date 9/3/2014
Wells Fargo
10100 Total
$2,357.78
Refer 28 THORPE DISTRIBUTING COMPAN
-1927-
CITY OF MOUND 09/04/1411:12 AM
Page 5
Payments
CITY OF MOUND
Current Period: September 2014
-1927-
Cash Payment E 609 - 49750 -265 Freight
FREIGHT
$8.75
Invoice 8462454 8/26/2014
Cash Payment E 609- 49750 -253 Wine For Resale
WINE
$176.00
Invoice 8462899 8/27/2014
Cash Payment E 609 - 49750 -265 Freight
FREIGHT
$4.50
Invoice 8462899 8/27/2014
Transaction Date 9/3/2014
Wells Fargo
10100 Total
$2,417.13
Refer 22 PAUSTIS AND SONS WINE COM_ PA
_
Cash Payment E 609 - 49750 -253 Wine For Resale
WINE
$1,314.00
Invoice 8463572 902014
Cash Payment E 609 - 49750 -265 Freight
FREIGHT
$21,25
Invoice 8463572 9/2/2014
Cash Payment E 609 - 49750 -251 Liquor For Resale
LIQUOR
$57.00
Invoice 8463574 9/2/2014
Cash Payment E 609 - 49750 -265 Freight
FREIGHT
$2,25
Invoice 8463574 9/2/2014
Transaction Date 9/3/2014
Wells Fargo
10100 Total
$1,394.50
Refer 24 PHILLIPS WINE AND SPIRITS, INC
Cash Payment E 609 - 49750 -253 Wine For Resale
WINE
$1,286.75
Invoice 2654994 8/20/2014
Cash Payment E 609 - 49750 -251 Liquor For Resale
LIQUOR
$1,452.90
Invoice 2654993 8/20/2014
Transaction Date 9/3/2014
Wells Fargo
10100 Total
$2,739.65
Refer 25 PHILLIPS WINE AND SPIRITS, INC
�-
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
$1,582.80
Invoice 2658520 8/27/2014
Cash Payment E 609 - 49750 -253 Wine For Resale
WINE
$654.00
Invoice 2658521 8/27/2014
Transaction Date 9/3/2014
Wells Fargo
10100 Total
$2,236.80
Refer 27 SOUTHERN WINE & SPIRITS OF M
Cash Payment E 609 - 49750 -253 Wine For Resale
WINE
$2,292.00
Invoice 1197353 8/28/2014
Cash Payment E 609 - 49750 -251 Liquor For Resale
LIQUOR
$1,329.41
Invoice 1197352 8128/2014
Cash Payment E 609 - 49750 -252 Beer For Resale
BEER
$22.50
Invoice 1197354 8/28/2014
Transaction Date 9/3/2014
Wells Fargo
10100 Total
$3,643.91
Refer 26 SOUTHERN WINE & SPIRITS OF M
Cash Payment E 609 - 49750 -253 Wine For Resale
WINE
$1,744.00
Invoice 1194887 8/21/2014
Cash Payment E 609 - 49750 -251 Liquor For Resale
LIQUOR
$661.78
Invoice 1194888 8/21/2014
Cash Payment E 609 - 49750 -253 Wine For Resale
WINE CREDIT
- $48.00
Invoice 9041481 9/2/2014
Transaction Date 9/3/2014
Wells Fargo
10100 Total
$2,357.78
Refer 28 THORPE DISTRIBUTING COMPAN
-1927-
CITY OF MOUND 09/04/1411:12 AM
Page 6
Payments
CITY OF MOUND
Current Period: September 2014
Cash Payment
E 609- 49750 -252 Beer For Resale
BEER
$159.70
Invoice 845350
9/2/2014
Cash Payment
E 609 -49750 -252 Beer For Resale
BEER
$2,248.34
Invoice 845351
9/2/2014
Cash Payment
E 609 - 49750 -253 Wine For Resale
WINE
$25.10
Invoice 845349
9/2/2014
Cash Payment
E 609 - 49750 -252 Beer For Resale
BEER
$76.00
Invoice 843651
8/22/2014
Cash Payment
E 609- 49750 -252 Beer For Resale
BEER
$69.75
Invoice 843832
8/26/2014
Cash Payment
E 609 - 49750 -252 Beer For Resale
BEER
$4,663.59
Invoice 843833
8/26/2014
Transaction Date 9/3/2014
Wells Fargo
10100 Total
$7,242.48
Refer
310 VINOCOPIA, INCORPORATED
Cash Payment
E 609- 49750 -251 Liquor For Resale
LIQUOR
$112.75
Invoice 0105133
8/21/2014
Cash Payment
E 609 - 49750 -265 Freight
FREIGHT
$16.00
Invoice 0105133
8/21/2014
Cash Payment
E 609- 49750 -253 Wine For Resale
WINE
$648.00
Invoice 0105133
8/21/2014
Transaction Date
9/3/2014
Wells Fargo
10100 Total
$776.75
Refer
29 VINOCOPIA, INCORPORATED_
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$81.17
Invoice 0105579
8/28/2014
Cash Payment
E 609 - 49750 -265 Freight
FREIGHT
$20.00
Invoice 0105579
8/28/2014
Cash Payment
E 609 - 49750 -254 Soft Drinks /Mix For Resa MIX
$226.00
Invoice 0105579
8/28/2014
Cash Payment
E 609- 49750 -251 Liquor For Resale
LIQUOR CREDIT
- $16.00
Invoice 0104670
8/19/2014
Cash Payment
E 609 - 49750 -253 Wine For Resale
WINE CREDIT
- $68.00
Invoice 0104187CM 8119/2014
Transaction Date
9/3/2014
..
Wells Fargo
.,�......n„n..,,
10100 Total
$243.17
Refer ,31 WINE COMPANY.., .. ..............n ..
_.„e,..�.
._ ..�,....,.,.. M,m. <, .. �,.d.W.naa�.�,...n..
Cash Payment
E 609 - 49750 -253 Wine For Resale
WINE
$192.00
Invoice 370333
8/28/2014
Cash Payment
E 609 - 49750 -265 Freight
FREIGHT
$4.20
Invoice 370333
8/28/2014
Cash Payment
E 609 - 49750 -253 Wine For Resale
WINE
$332.00
Invoice 369718
8/21/2014
Cash Payment
E 609 - 49750 -265 Freight
FREIGHT
$6.30
Invoice \
8/21/2014
Transaction Date
9/3/2014
Wells Fargo
10100 Total
$534.50
—111-11-11. 111,11-1-1 . , .. —., w . . . .. ........ . . . . _ ---y-11,
Refer 32 WINE MERCHANTS
I.,,-_ .... . -'11.111—
. - .. -.7., . .._...m- _ ........ -.,
..mw„_.
Cash Payment
E 609 - 49750 -253 Wine For Resale
WINE
$483.00
Invoice 515991
8/20/2014
Cash Payment
E 609- 49750 -254 Soft Drinks /Mix For Resa MIX
$46.00
Invoice 515992
8/20/2014
-1928-
CITY OF MOUND 09/04/1411:12 AM
Page 6
Payments
CITY OF MOUND
Current Period: September 2014
Cash Payment
E 609- 49750 -252 Beer For Resale
BEER
$159.70
Invoice 845350
9/2/2014
Cash Payment
E 609 -49750 -252 Beer For Resale
BEER
$2,248.34
Invoice 845351
9/2/2014
Cash Payment
E 609 - 49750 -253 Wine For Resale
WINE
$25.10
Invoice 845349
9/2/2014
Cash Payment
E 609 - 49750 -252 Beer For Resale
BEER
$76.00
Invoice 843651
8/22/2014
Cash Payment
E 609- 49750 -252 Beer For Resale
BEER
$69.75
Invoice 843832
8/26/2014
Cash Payment
E 609 - 49750 -252 Beer For Resale
BEER
$4,663.59
Invoice 843833
8/26/2014
Transaction Date 9/3/2014
Wells Fargo
10100 Total
$7,242.48
Refer
310 VINOCOPIA, INCORPORATED
Cash Payment
E 609- 49750 -251 Liquor For Resale
LIQUOR
$112.75
Invoice 0105133
8/21/2014
Cash Payment
E 609 - 49750 -265 Freight
FREIGHT
$16.00
Invoice 0105133
8/21/2014
Cash Payment
E 609- 49750 -253 Wine For Resale
WINE
$648.00
Invoice 0105133
8/21/2014
Transaction Date
9/3/2014
Wells Fargo
10100 Total
$776.75
Refer
29 VINOCOPIA, INCORPORATED_
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$81.17
Invoice 0105579
8/28/2014
Cash Payment
E 609 - 49750 -265 Freight
FREIGHT
$20.00
Invoice 0105579
8/28/2014
Cash Payment
E 609 - 49750 -254 Soft Drinks /Mix For Resa MIX
$226.00
Invoice 0105579
8/28/2014
Cash Payment
E 609- 49750 -251 Liquor For Resale
LIQUOR CREDIT
- $16.00
Invoice 0104670
8/19/2014
Cash Payment
E 609 - 49750 -253 Wine For Resale
WINE CREDIT
- $68.00
Invoice 0104187CM 8119/2014
Transaction Date
9/3/2014
..
Wells Fargo
.,�......n„n..,,
10100 Total
$243.17
Refer ,31 WINE COMPANY.., .. ..............n ..
_.„e,..�.
._ ..�,....,.,.. M,m. <, .. �,.d.W.naa�.�,...n..
Cash Payment
E 609 - 49750 -253 Wine For Resale
WINE
$192.00
Invoice 370333
8/28/2014
Cash Payment
E 609 - 49750 -265 Freight
FREIGHT
$4.20
Invoice 370333
8/28/2014
Cash Payment
E 609 - 49750 -253 Wine For Resale
WINE
$332.00
Invoice 369718
8/21/2014
Cash Payment
E 609 - 49750 -265 Freight
FREIGHT
$6.30
Invoice \
8/21/2014
Transaction Date
9/3/2014
Wells Fargo
10100 Total
$534.50
—111-11-11. 111,11-1-1 . , .. —., w . . . .. ........ . . . . _ ---y-11,
Refer 32 WINE MERCHANTS
I.,,-_ .... . -'11.111—
. - .. -.7., . .._...m- _ ........ -.,
..mw„_.
Cash Payment
E 609 - 49750 -253 Wine For Resale
WINE
$483.00
Invoice 515991
8/20/2014
Cash Payment
E 609- 49750 -254 Soft Drinks /Mix For Resa MIX
$46.00
Invoice 515992
8/20/2014
-1928-
CITY OF MOUND 09/04/14 11:12 AM
Page 7
Payments
CITY OF MOUND
Current Period: September 2014
Cash Payment E 609 - 49750 -253 Wine For Resale
WINECREDIT
Invoice 66483 8/19/2014
Cash Payment E 609 - 49750 -253 Wine For Resale
WINE
Invoice 516942 8/27/2014
Cash Payment E 609 - 49750 -254 Soft Drinks /Mix For
Resa MIX
Invoice 516943 8/27/2014
Transaction Date 9/3/2014
Wells Fargo
Refer 33 WIRTZ BEVERAGE MN BEERm�T._...
Cash Payment E 609 - 49750 -252 Beer For Resale
BEER
Invoice 1090278801 8/27/2014
Cash Payment E 609 - 49750 -252 Beer For Resale
BEER
Invoice 1090278802 8/27/2014
Cash Payment E 609 - 49750 -252 Beer For Resale
BEER
Invoice 1090278680 8/27/2014
Cash Payment E 609- 49750 -252 Beer For Resale
BEER
Invoice 1090282265 9/3/2014
Cash Payment E 609 - 49750 -252 Beer For Resale
BEER
Invoice 1090282266 9/3/2014
Transaction Date 9/3/2014
Wells Fargo
Refer m 34�WIRTZ BEVERAGE MN WINE SPIRT
Cash Payment E 609 - 49750 -253 Wine For Resale
WINE
Invoice 1080221006 8/28/2014
Cash Payment E 609 - 49750 -251 Liquor For Resale
LIQUOR
Invoice 1080221005 8/2812014
Cash Payment E 609- 49750 -253 Wine For Resale
WINE
Invoice 1080221007 8/28/2014
Cash Payment E 609 - 49750 -251 Liquor For Resale
LIQUOR
Invoice 1080218110 8121/2014
Cash Payment E 609 - 49750 -253 Wine For Resale
WINE
Invoice 1080218111 8/21/2014
Transaction Date 9/3/2014
Wells Fargo
Fund Summary
10100 Wells Fargo
609 MUNICIPAL LIQUOR FUND
$92,883.58
$92,883.58
Pre - Written Check $0.00
Checks to be Generated by the Computer $92,883.58
Total $92,883.58
1929-
10100
10100
10100
- $120.00
$906.00
$23.00
Total $1,338.00
$86.00
$348.00
$7,682.62
$654.80
$432.00
Total $9,203.42
$192.00
$1,441.22
$1,562.00
$992.52
$544.00
Total $4,731.74
CITY OF MOUND 09/04/14 11:12 AM
Page 7
Payments
CITY OF MOUND
Current Period: September 2014
Cash Payment E 609 - 49750 -253 Wine For Resale
WINECREDIT
Invoice 66483 8/19/2014
Cash Payment E 609 - 49750 -253 Wine For Resale
WINE
Invoice 516942 8/27/2014
Cash Payment E 609 - 49750 -254 Soft Drinks /Mix For
Resa MIX
Invoice 516943 8/27/2014
Transaction Date 9/3/2014
Wells Fargo
Refer 33 WIRTZ BEVERAGE MN BEERm�T._...
Cash Payment E 609 - 49750 -252 Beer For Resale
BEER
Invoice 1090278801 8/27/2014
Cash Payment E 609 - 49750 -252 Beer For Resale
BEER
Invoice 1090278802 8/27/2014
Cash Payment E 609 - 49750 -252 Beer For Resale
BEER
Invoice 1090278680 8/27/2014
Cash Payment E 609- 49750 -252 Beer For Resale
BEER
Invoice 1090282265 9/3/2014
Cash Payment E 609 - 49750 -252 Beer For Resale
BEER
Invoice 1090282266 9/3/2014
Transaction Date 9/3/2014
Wells Fargo
Refer m 34�WIRTZ BEVERAGE MN WINE SPIRT
Cash Payment E 609 - 49750 -253 Wine For Resale
WINE
Invoice 1080221006 8/28/2014
Cash Payment E 609 - 49750 -251 Liquor For Resale
LIQUOR
Invoice 1080221005 8/2812014
Cash Payment E 609- 49750 -253 Wine For Resale
WINE
Invoice 1080221007 8/28/2014
Cash Payment E 609 - 49750 -251 Liquor For Resale
LIQUOR
Invoice 1080218110 8121/2014
Cash Payment E 609 - 49750 -253 Wine For Resale
WINE
Invoice 1080218111 8/21/2014
Transaction Date 9/3/2014
Wells Fargo
Fund Summary
10100 Wells Fargo
609 MUNICIPAL LIQUOR FUND
$92,883.58
$92,883.58
Pre - Written Check $0.00
Checks to be Generated by the Computer $92,883.58
Total $92,883.58
1929-
10100
10100
10100
- $120.00
$906.00
$23.00
Total $1,338.00
$86.00
$348.00
$7,682.62
$654.80
$432.00
Total $9,203.42
$192.00
$1,441.22
$1,562.00
$992.52
$544.00
Total $4,731.74
MOUND CITY COUNCIL MINUTES
August 26, 2014
The City Council of the City of Mound, Hennepin County, Minnesota, met in regular session on
Tuesday, August 26, 2014, at 7:00 p.m. in the council chambers of the Centennial Building.
Members present: Mayor Mark Hanus; Council members Mark Wegscheid, Heidi Gesch, Kelli
Gillispie and Ray Salazar
Members absent: None
Others present: City Manager Kandis Hanson, Fin Dir /Clerk/Treasurer Catherine Pausche,
Public Works Director Carlton Moore, Dan Faulkner, Stacie Kvilvang,
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 Alleaiance
3. Approve agenda
MOTION by Salazar, seconded by Wegscheid, to approve the agenda. All voted in favor
Motion carried.
4. Consent agenda
MOTION by Salazar, seconded by Wegscheid, to approve the consent agenda as amended.
Upon roll call vote, all voted in favor. Motion carried.
A. Approve payment of claims in the amount of $513,336.94
B. Approve minutes of the August 12, 2014 regular meeting.
C. Approve Pay Request No. 3 and Final from Minger Construction, Inc, in the amount of
$17,718.49, for the 2013 Lift Station Improvement Project, City Project No. PW- 13 -01
D. Approve Pay Request No. 1 from Penn Contracting, Inc, in the amount of $176,340.86,
for the 2014 Lift Station Improvement Project, City Project No. PW -14 -03
E. Approve Pay Request No. 1 from Allied Blacktop Company in the amount of $67,088.00,
for work completed on the 2014 Seal Coat Project, City Project No. PW- 14 -07.
F. RESOLUTION NO. 14 -63: RESOLUTION ORDERING PREPARTION OF
FEASIBILITY REPORT FOR GRANDVIEW BOULEVARD STREET, UTILITY AND
RETAINING WALL IMPROVEMENT PROJECT, CITY PROJECT NO. PW -15 -01
-1930-
MOUND CITY COUNCIL MINUTES
August 26, 2014
The City Council of the City of Mound, Hennepin County, Minnesota, met in regular session on
Tuesday, August 26, 2014, at 7:00 p.m. in the council chambers of the Centennial Building.
Members present: Mayor Mark Hanus; Council members Mark Wegscheid, Heidi Gesch, Kelli
Gillispie and Ray Salazar
Members absent: None
Others present: City Manager Kandis Hanson, Fin Dir /Clerk/Treasurer Catherine Pausche,
Public Works Director Carlton Moore, Dan Faulkner, Stacie Kvilvang,
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 Alleaiance
3. Approve agenda
MOTION by Salazar, seconded by Wegscheid, to approve the agenda. All voted in favor
Motion carried.
4. Consent agenda
MOTION by Salazar, seconded by Wegscheid, to approve the consent agenda as amended.
Upon roll call vote, all voted in favor. Motion carried.
A. Approve payment of claims in the amount of $513,336.94
B. Approve minutes of the August 12, 2014 regular meeting.
C. Approve Pay Request No. 3 and Final from Minger Construction, Inc, in the amount of
$17,718.49, for the 2013 Lift Station Improvement Project, City Project No. PW- 13 -01
D. Approve Pay Request No. 1 from Penn Contracting, Inc, in the amount of $176,340.86,
for the 2014 Lift Station Improvement Project, City Project No. PW -14 -03
E. Approve Pay Request No. 1 from Allied Blacktop Company in the amount of $67,088.00,
for work completed on the 2014 Seal Coat Project, City Project No. PW- 14 -07.
F. RESOLUTION NO. 14 -63: RESOLUTION ORDERING PREPARTION OF
FEASIBILITY REPORT FOR GRANDVIEW BOULEVARD STREET, UTILITY AND
RETAINING WALL IMPROVEMENT PROJECT, CITY PROJECT NO. PW -15 -01
-1930-
Mound City Council Minutes — August 26, 2014
G. RESOLUTION NO. 14 -64: RESOLUTION ORDERING PREPARATION OF
FEASIBILITY REPORT FOR TUXEDO BOULEVARD, SULGROVE ROAD TO
BRIGHTON BOULEVARD, STREET, UTILITY AND RETAINING WALL
IMPROVEMENT PROJECT, CITY PROJECT NO. PW -15 -02
H. Approve Pay Request by Asphalt Contractors, Inc, for work completed on the Greenway
Trail from Commerce Boulevard to Cypress Lane, in the amount of $6,865.00, City
Project No. PW -14 -07
5. Comments and suggestions from citizens present on any item not on the agenda
None were offered.
Council member Gesch arrived at 7:05 p.m.
Heidi Gesch recused herself because she lives in one of the project areas.
Faulkner stated that on June 10, 2014, the Council approved the 2014 storm drainage projects
including receipt of quotes. Subsequent rains caused Staff to reevaluate the recommended
projects. As a result, Staff is recommending the removal of Bradford Lane Drainage
improvement project due to questionable city ownership of an effected propery, and adding a
grading improvement project in the Maywood Road Right -of -Way, between Fairview Lane and
Chateau Lane. This project would create an earthen berm to divert the upstream runoff to both
adjacent roadways. The revised total project cost changed from $108,000 to approximately
$95,000.
Mayor Hanus asked about the amount of water being diverted on the streets and the
subsequent impact in large rain events. Faulkner stated that it was not calculated precisely, but
a culvert is not practical and the streets just can't be designed for an 100 year rain event.
Mayor Hanus requested the resolution reference the amended estimate of $95,000 in the
resolution.
MOTION by Hanus, seconded by Salazar, to approve the following resolution as amended. All
voted in favor. Motion carried.
RESOLUTION NO. 14 -65: RESOLUTION AMENDING REPORT AND AUTHORIZING
PREPARATION OF PLANS AND SPECIFICATIONS AND RECEIPT OF QUOTES FOR THE
2014 STORM DRAINAGE IMPROVEMENT PROJECT, CITY PROJECT NO. PW -14 -04
Kvilvang summarized the results of the bond sales that occurred earlier in the day. Highlights of
the issuance include:
-1931-
Mound City Council Minutes — August 26, 2014
G. RESOLUTION NO. 14 -64: RESOLUTION ORDERING PREPARATION OF
FEASIBILITY REPORT FOR TUXEDO BOULEVARD, SULGROVE ROAD TO
BRIGHTON BOULEVARD, STREET, UTILITY AND RETAINING WALL
IMPROVEMENT PROJECT, CITY PROJECT NO. PW -15 -02
H. Approve Pay Request by Asphalt Contractors, Inc, for work completed on the Greenway
Trail from Commerce Boulevard to Cypress Lane, in the amount of $6,865.00, City
Project No. PW -14 -07
5. Comments and suggestions from citizens present on any item not on the agenda
None were offered.
Council member Gesch arrived at 7:05 p.m.
Heidi Gesch recused herself because she lives in one of the project areas.
Faulkner stated that on June 10, 2014, the Council approved the 2014 storm drainage projects
including receipt of quotes. Subsequent rains caused Staff to reevaluate the recommended
projects. As a result, Staff is recommending the removal of Bradford Lane Drainage
improvement project due to questionable city ownership of an effected propery, and adding a
grading improvement project in the Maywood Road Right -of -Way, between Fairview Lane and
Chateau Lane. This project would create an earthen berm to divert the upstream runoff to both
adjacent roadways. The revised total project cost changed from $108,000 to approximately
$95,000.
Mayor Hanus asked about the amount of water being diverted on the streets and the
subsequent impact in large rain events. Faulkner stated that it was not calculated precisely, but
a culvert is not practical and the streets just can't be designed for an 100 year rain event.
Mayor Hanus requested the resolution reference the amended estimate of $95,000 in the
resolution.
MOTION by Hanus, seconded by Salazar, to approve the following resolution as amended. All
voted in favor. Motion carried.
RESOLUTION NO. 14 -65: RESOLUTION AMENDING REPORT AND AUTHORIZING
PREPARATION OF PLANS AND SPECIFICATIONS AND RECEIPT OF QUOTES FOR THE
2014 STORM DRAINAGE IMPROVEMENT PROJECT, CITY PROJECT NO. PW -14 -04
Kvilvang summarized the results of the bond sales that occurred earlier in the day. Highlights of
the issuance include:
-1931-
Mound City Council Minutes — August 26, 2014
➢ S &P reaffirmed the AA with a stable outlook bond rating, citing many strong
factors including the economy, management practices and liquidity
w There were 7 bids on the 2014A issues with a true interest cost of 2.874% which
was lower than the estimate and a premium bid resulted in reduced principle
➢ 8 bids were received on the 2014B bonds that refunded the 2005 A and B issues
with a true interest cost of 1.82% which was lower than the estimate resulting in
additional savings and a premium resulting in reduced principle.
A. MOTION by Salazar, seconded by Wegscheid, to approve the following resolution as
amended for the actual sale amounts. All voted in favor. Motion carried.
RESOLUTION 14 -66: RESOLUTION ACCEPTING PROPOSAL ON THE SALE OF
$4,925,000 GENERAL OBLIGATION BONDS, SERIES 2014A, PROVIDING FOR
THEIR ISSUANCE AND PLEDGING FOR THE SECURITY THEREOF SPECIAL
ASSESSMENTS AND NET REVENUES AND LEVYING A TAX FOR THE PAYMENT
THEREOF
B. MOTION by Salazar, seconded by Gesch, to approve the following resolution as amended
for the actual sale amounts. All voted in favor. Motion carried.
RESOLUTION NO. 14 -67: RESOLUTION ACCEPTING PROPOSAL ON THE SALE OF
$3,230,000 GENERAL OBLIGATION REFUNDING BONDS, SERIES 2014B, PROVIDING
FOR THEIR ISSUANCE, PLEDGING SPECIAL ASSESSMENTS AND NET REVENUES FOR
THE SECURITY THEREOF AND LEVYING A TAX FOR THE PAYMENT THEREOF
8. Information /Miscellaneous
A. Comments /reports from Councilmembers /City Manager
B. Minutes:
C. Reports: Orono Police Commission Meeting: Aug 13, 2014
D. Correspondence: Letter from City of Greenwood: Aug 8, 2014
9. Adiourn
MOTION by Gesch, seconded by Gillispie, to adjourn at 7:20 p.m. All voted in favor. Motion
carried.
Attest: Catherine Pausche, Clerk
-1932-
Mayor Mark Hanus
Mound City Council Minutes — August 26, 2014
➢ S &P reaffirmed the AA with a stable outlook bond rating, citing many strong
factors including the economy, management practices and liquidity
w There were 7 bids on the 2014A issues with a true interest cost of 2.874% which
was lower than the estimate and a premium bid resulted in reduced principle
➢ 8 bids were received on the 2014B bonds that refunded the 2005 A and B issues
with a true interest cost of 1.82% which was lower than the estimate resulting in
additional savings and a premium resulting in reduced principle.
A. MOTION by Salazar, seconded by Wegscheid, to approve the following resolution as
amended for the actual sale amounts. All voted in favor. Motion carried.
RESOLUTION 14 -66: RESOLUTION ACCEPTING PROPOSAL ON THE SALE OF
$4,925,000 GENERAL OBLIGATION BONDS, SERIES 2014A, PROVIDING FOR
THEIR ISSUANCE AND PLEDGING FOR THE SECURITY THEREOF SPECIAL
ASSESSMENTS AND NET REVENUES AND LEVYING A TAX FOR THE PAYMENT
THEREOF
B. MOTION by Salazar, seconded by Gesch, to approve the following resolution as amended
for the actual sale amounts. All voted in favor. Motion carried.
RESOLUTION NO. 14 -67: RESOLUTION ACCEPTING PROPOSAL ON THE SALE OF
$3,230,000 GENERAL OBLIGATION REFUNDING BONDS, SERIES 2014B, PROVIDING
FOR THEIR ISSUANCE, PLEDGING SPECIAL ASSESSMENTS AND NET REVENUES FOR
THE SECURITY THEREOF AND LEVYING A TAX FOR THE PAYMENT THEREOF
8. Information /Miscellaneous
A. Comments /reports from Councilmembers /City Manager
B. Minutes:
C. Reports: Orono Police Commission Meeting: Aug 13, 2014
D. Correspondence: Letter from City of Greenwood: Aug 8, 2014
9. Adiourn
MOTION by Gesch, seconded by Gillispie, to adjourn at 7:20 p.m. All voted in favor. Motion
carried.
Attest: Catherine Pausche, Clerk
-1932-
Mayor Mark Hanus
MOUND CITY COUNCIL MINUTES
SEPTEMBER 3, 2014
The City Council of the City of Mound, Hennepin County, Minnesota, met in special session on
Wednesday, September 3, 2014, at 6:30 p.m. in the council chambers of the Centennial
Building.
Members present: Mayor Mark Hanus; Councilmembers Kelli Gillispie, Ray Salazar, Mark
Wegscheid and Heidi Gesch
Others present: City Manager Kandis Hanson, Community Development Director Sarah Smith,
Public Works Superintendent Ray Hanson, Liquor Store Manager John Colotti, Public Works
Director Carlton Moore, Fire Chief Greg Pederson, Finance Director /Clerk/Treasurer Catherine
Pausche, Accountant Noah Iverson, Jameson Smieja, Pamela Myers, Vern Brandenburg, Ron
Pauly.
Open Meeting
Mayor Hanus called the meeting to order at 6:30 p.m. Kandis Hanson made some introductory
comments.
1. Westonka Historical Society — Vern Brandenburg and Ron Pauly
A. Request for funding agreement with cities
Brandenburg read from Minnesota State Statute authorizing cities to spend public funds on historical
preservation purposes.
Pauly summarized the request made to area cities to contract for services with the Westonka Historical
Society with funding based on population. Pauly said Spring Park gave $3,000 in 2014 and authorized
another $3,000 for 2015. Pauly proposed $1.50 per resident, which would equate to $13,597.50 for
Mound. Pauly stated they would like to expand into Level 4 of the Centennial Building.
Discussion ensued and it would was stated funding would be considered either later on in the
workshop or in a future budget meeting.
2. Finance and Admin — Catherine Pausche, Finance Director /Clerk /Treasurer
Pausche went over the packet materials for the following topics: fund balance and key
statistics, major contracts and procurement, staffing proposal and capital expenditures.
Pausche stated much of the information was provided for reference and could be referred back
to in future budget discussions. Pausche summarized the reduction in FTEs since 2008 and the
need to add back a position that was vacant and eliminated in 2014.
Metropolitan Environmental Wastewater treatment fees were discussed, including the need to
track/measure I & I elimination efforts and corresponding impact on fees.
3. Fire Department — Greg Pederson, Fire Chief
Pederson went over the packet materials for the following topics: purchase of a ladder truck
and long -term staffing needs.
-1933-
MOUND CITY COUNCIL MINUTES
SEPTEMBER 3, 2014
The City Council of the City of Mound, Hennepin County, Minnesota, met in special session on
Wednesday, September 3, 2014, at 6:30 p.m. in the council chambers of the Centennial
Building.
Members present: Mayor Mark Hanus; Councilmembers Kelli Gillispie, Ray Salazar, Mark
Wegscheid and Heidi Gesch
Others present: City Manager Kandis Hanson, Community Development Director Sarah Smith,
Public Works Superintendent Ray Hanson, Liquor Store Manager John Colotti, Public Works
Director Carlton Moore, Fire Chief Greg Pederson, Finance Director /Clerk/Treasurer Catherine
Pausche, Accountant Noah Iverson, Jameson Smieja, Pamela Myers, Vern Brandenburg, Ron
Pauly.
Open Meeting
Mayor Hanus called the meeting to order at 6:30 p.m. Kandis Hanson made some introductory
comments.
1. Westonka Historical Society — Vern Brandenburg and Ron Pauly
A. Request for funding agreement with cities
Brandenburg read from Minnesota State Statute authorizing cities to spend public funds on historical
preservation purposes.
Pauly summarized the request made to area cities to contract for services with the Westonka Historical
Society with funding based on population. Pauly said Spring Park gave $3,000 in 2014 and authorized
another $3,000 for 2015. Pauly proposed $1.50 per resident, which would equate to $13,597.50 for
Mound. Pauly stated they would like to expand into Level 4 of the Centennial Building.
Discussion ensued and it would was stated funding would be considered either later on in the
workshop or in a future budget meeting.
2. Finance and Admin — Catherine Pausche, Finance Director /Clerk /Treasurer
Pausche went over the packet materials for the following topics: fund balance and key
statistics, major contracts and procurement, staffing proposal and capital expenditures.
Pausche stated much of the information was provided for reference and could be referred back
to in future budget discussions. Pausche summarized the reduction in FTEs since 2008 and the
need to add back a position that was vacant and eliminated in 2014.
Metropolitan Environmental Wastewater treatment fees were discussed, including the need to
track/measure I & I elimination efforts and corresponding impact on fees.
3. Fire Department — Greg Pederson, Fire Chief
Pederson went over the packet materials for the following topics: purchase of a ladder truck
and long -term staffing needs.
-1933-
Hanus questioned how much the ladder truck is used and Pederson said in a recent study,
mainly due to the size, it is only used 12 — 15 times a year, whereas engines get used 275 times
per year. Pederson said the committee to evaluate equipment is looking at a combined use,
smaller ladder /engine and what the trade -offs would be.
4. Liquor Store —John Colotti, Manager
Colotti gave a technology update that includes the proposed purchase of a point of sale
(POS) /register system. Colotti stated the current POS system is over 10 years old and the
proposal includes the registers but not annual maintenance. Colotti stated it would streamline
many processes, including inventory management, which would free up management and
possibly reduce the need for part-time payroll. Salazar asked about the life expectancy and
Hanus asked about the pay -back period, for which Colotti stated he would further investigate.
5. Public Works — Carlton Moore, Public Works Dir & Ray Hanson Public Works Supt
Moore gave an overview of bid alternates, change orders and what is included in the
indirect/contingency costs. Moore also discussed engineering costs in general.
Discussion ensued about why vendor bids can't incorporate the need for changes and Gillispie
questioned the difference between what the Council approves and what is actually paid for. It
was agreed to have Staff provide further analysis on a project by project basis, over the life of
the project, breaking out the construction amounts and soft costs by category, and bring back to
the October budget workshop.
6. Community Development — Sarah Smith, Community Development Dir
Smith gave an overview of a staffing proposal for a Field Officer position and summarized
marketing and developer attraction efforts. Hanus stated that now that a market study has been
performed, it is time to "re- vision" what Mound should be.
Council members were then invited to give their thoughts on the budget and what was
presented. Hanus stated he has concerns about funding the Westonka Historical Society
because there are organizations who also wish to be funded, but that once the 10 -year Gillespie
Center agreement is completed, there may be an opportunity to divert those funds or provide
some kind of contribution in the meantime. Hanus said that could be discussed in future budget
discussion and did not have to be decided tonight. Hanus said he would agree to Scenario 2,
which was a 3% General Fund Revenue Levy /1.75% Total Levy increase, which included the
staff proposals presented at the meeting.
Wegscheid stated he also agreed with Scenario 2 and the personnel adjustments and Gesch
agreed. Wegscheid expressed concern over a potential back -lash from people opposed to the
City Hall move if the Council funded the Historical Society when we already discounted the rent.
Gillispie stated she agreed with Scenario 2 and stated she would like Staff to revisit the contract
with Hennepin County Assessors Office to try to incorporate cost/increases and possible
incorporate rent for the Centennial Building.
Salazar stated he agreed with Scenario 2 and the staffing changes and stated that perhaps
2016 would be a better time to consider funding the Historical Society. Hanus suggested a
ramp -up approach may work but that it did not have to be decided tonight.
-1934-
Hanus questioned how much the ladder truck is used and Pederson said in a recent study,
mainly due to the size, it is only used 12 — 15 times a year, whereas engines get used 275 times
per year. Pederson said the committee to evaluate equipment is looking at a combined use,
smaller ladder /engine and what the trade -offs would be.
4. Liquor Store —John Colotti, Manager
Colotti gave a technology update that includes the proposed purchase of a point of sale
(POS) /register system. Colotti stated the current POS system is over 10 years old and the
proposal includes the registers but not annual maintenance. Colotti stated it would streamline
many processes, including inventory management, which would free up management and
possibly reduce the need for part-time payroll. Salazar asked about the life expectancy and
Hanus asked about the pay -back period, for which Colotti stated he would further investigate.
5. Public Works — Carlton Moore, Public Works Dir & Ray Hanson Public Works Supt
Moore gave an overview of bid alternates, change orders and what is included in the
indirect/contingency costs. Moore also discussed engineering costs in general.
Discussion ensued about why vendor bids can't incorporate the need for changes and Gillispie
questioned the difference between what the Council approves and what is actually paid for. It
was agreed to have Staff provide further analysis on a project by project basis, over the life of
the project, breaking out the construction amounts and soft costs by category, and bring back to
the October budget workshop.
6. Community Development — Sarah Smith, Community Development Dir
Smith gave an overview of a staffing proposal for a Field Officer position and summarized
marketing and developer attraction efforts. Hanus stated that now that a market study has been
performed, it is time to "re- vision" what Mound should be.
Council members were then invited to give their thoughts on the budget and what was
presented. Hanus stated he has concerns about funding the Westonka Historical Society
because there are organizations who also wish to be funded, but that once the 10 -year Gillespie
Center agreement is completed, there may be an opportunity to divert those funds or provide
some kind of contribution in the meantime. Hanus said that could be discussed in future budget
discussion and did not have to be decided tonight. Hanus said he would agree to Scenario 2,
which was a 3% General Fund Revenue Levy /1.75% Total Levy increase, which included the
staff proposals presented at the meeting.
Wegscheid stated he also agreed with Scenario 2 and the personnel adjustments and Gesch
agreed. Wegscheid expressed concern over a potential back -lash from people opposed to the
City Hall move if the Council funded the Historical Society when we already discounted the rent.
Gillispie stated she agreed with Scenario 2 and stated she would like Staff to revisit the contract
with Hennepin County Assessors Office to try to incorporate cost/increases and possible
incorporate rent for the Centennial Building.
Salazar stated he agreed with Scenario 2 and the staffing changes and stated that perhaps
2016 would be a better time to consider funding the Historical Society. Hanus suggested a
ramp -up approach may work but that it did not have to be decided tonight.
-1934-
Adiourn
MOTION by Wegscheid, seconded by Gesch, to adjourn at 9:45 p.m. All voted in favor. Motion
carried.
Attest: Catherine Pausche, Clerk
Mayor Mark Hanus
-1935-
Adiourn
MOTION by Wegscheid, seconded by Gesch, to adjourn at 9:45 p.m. All voted in favor. Motion
carried.
Attest: Catherine Pausche, Clerk
Mayor Mark Hanus
-1935-
. Consulting Engineers & Surveyors 11
" 2638 Shadow Lane, Suite 200 • Chaska, MN 55318 -1172
Phone (952) 448 -8838 • Fax (952) 448 -8805
www.bolton- menk.com
September 3, 2014
Ms. Kandis Hanson, City Manager
City of Mound
2415 Wilshire Boulevard
Mound, MN 55364
RE: 2014 Lift Station Improvement Project
City Project No. PW -14 -03
Pay Request No. 2
Dear Ms. Hanson:
Please find enclosed Pay Request No. 2 from Penn Contracting, Inc. for work completed on the
2014 Lift Station Improvement Project from August 2, 2014 through August 29, 2014.
We have reviewed the contractor's request, verified quantities and recommend payment in the
amount of $58,900.95 to Penn Contracting, Inc.
Sincerely,
BOLTON & MENK, INC.
Daniel L. Faulkner, P.E.
Mound City Engineer
cc: Carlton Moore, Director of Public Works
Catherine Pausche, Director of Finance
-1936-
. Consulting Engineers & Surveyors 11
" 2638 Shadow Lane, Suite 200 • Chaska, MN 55318 -1172
Phone (952) 448 -8838 • Fax (952) 448 -8805
www.bolton- menk.com
September 3, 2014
Ms. Kandis Hanson, City Manager
City of Mound
2415 Wilshire Boulevard
Mound, MN 55364
RE: 2014 Lift Station Improvement Project
City Project No. PW -14 -03
Pay Request No. 2
Dear Ms. Hanson:
Please find enclosed Pay Request No. 2 from Penn Contracting, Inc. for work completed on the
2014 Lift Station Improvement Project from August 2, 2014 through August 29, 2014.
We have reviewed the contractor's request, verified quantities and recommend payment in the
amount of $58,900.95 to Penn Contracting, Inc.
Sincerely,
BOLTON & MENK, INC.
Daniel L. Faulkner, P.E.
Mound City Engineer
cc: Carlton Moore, Director of Public Works
Catherine Pausche, Director of Finance
-1936-
DATE: 9/212014
CONTRACTOR'S PAY REQUEST NO.
2014 Lift Station Improvements
City Project No. PW -14-03
BMI PROJECT NO. C12.107414
FOR WORK COMPLETED FROM
2
8/212014 THROUGH. 8129/2014
CONTRACTOR Penn Contracting, Inc
OWNER City of Mound
ENGINEER Bolton 8 Menk
TOTALAMOUNT BID........................ ... ......... ........... ............................... .. ....... - ..... ........... ............... ..........
.... ....... $
282,601.00
APPROVED CHANGE ORDERS + EXTRA WORK ...... ...... .... ............. .............. ........... ............... ................
$
16,950.00
CURRENT CONTRACT AMOUNT................... .................... ...... ................................. ...........................
. $
299.551.00
TOTAL, COMPLETED WORK TO DATE... ........ ...... ...... -- ............. .................... ............................................
- ......... $
247,622.96
TOTAL, STORED MATERIALS TO DATE......................... ......... ... ....... .... ......... .................. ...... .. ................. ............
$
-
DEDUCTION FOR STORED MATERIALS USED IN WORK COMPLETED............ .............. ................................
..... $
-
TOTAL, COMPLETED WORK 8 STORED MATERIALS ............................................................. ...............................
$
247,622.96
RETAINED PERCENTAGE ( 5.0% ) ....................................................................... ...............................
$
12,361.15
TOTAL AMOUNT OF OTHER DEDUCTIONS .......................................................................... ...............................
$
NET AMOUNT DUE TO CONTRACTOR TO DATE .................................................................... ...............................
$
235,241.81
TOTAL AMOUNT PAID ON PREVIOUS ESTIMATES ..................... ........... .............................. . ... _ ............... ............
$
176,340.86
PAY CONTRACTOR AS ESTIMATE NO.2 ............................................................................... ...............................
$
58,900.95
Certificate for Payment
I hereby certify that, to the best of my knowledge and belief, all items quantities and prices
of work and material shown on this Estimate are correct and that all work has been
performed in full accordance with the terms and conditions of the Contract for this project
between the Owner and the undersigned Contractor, and as amended by any
authorized changes, and that the foregoing is a true and correct statement of the amount
for the Final Estimate, that the provisions of M. S. 290.92 have been complied with and that
all claims against me by reason of the Contract have been paid or satisfactorily secured.
Contractor: Penn Contracklg, Inc
13025 Central Avenue NE
Blaine, MN 55434
By
Name Title
Date
CHECKED AND APPROVED AS TO QUANTITIES AND AMOUNT:
BOLTON & ME/N�K, INC.. ENGINEERS, 2638 SHADOW LN, SUITE 200, CHASKA MN 55316
By Lkl ZO�t^ -e' , PROJECT ENGINEER
Daniel L F aulkkp [ er
Date 4/� / % /
APPROVED FOR PAYMENT:
Owner: CITY OF MOUND
By
Name Title Date
-1937-
DATE: 9/212014
CONTRACTOR'S PAY REQUEST NO.
2014 Lift Station Improvements
City Project No. PW -14-03
BMI PROJECT NO. C12.107414
FOR WORK COMPLETED FROM
2
8/212014 THROUGH. 8129/2014
CONTRACTOR Penn Contracting, Inc
OWNER City of Mound
ENGINEER Bolton 8 Menk
TOTALAMOUNT BID........................ ... ......... ........... ............................... .. ....... - ..... ........... ............... ..........
.... ....... $
282,601.00
APPROVED CHANGE ORDERS + EXTRA WORK ...... ...... .... ............. .............. ........... ............... ................
$
16,950.00
CURRENT CONTRACT AMOUNT................... .................... ...... ................................. ...........................
. $
299.551.00
TOTAL, COMPLETED WORK TO DATE... ........ ...... ...... -- ............. .................... ............................................
- ......... $
247,622.96
TOTAL, STORED MATERIALS TO DATE......................... ......... ... ....... .... ......... .................. ...... .. ................. ............
$
-
DEDUCTION FOR STORED MATERIALS USED IN WORK COMPLETED............ .............. ................................
..... $
-
TOTAL, COMPLETED WORK 8 STORED MATERIALS ............................................................. ...............................
$
247,622.96
RETAINED PERCENTAGE ( 5.0% ) ....................................................................... ...............................
$
12,361.15
TOTAL AMOUNT OF OTHER DEDUCTIONS .......................................................................... ...............................
$
NET AMOUNT DUE TO CONTRACTOR TO DATE .................................................................... ...............................
$
235,241.81
TOTAL AMOUNT PAID ON PREVIOUS ESTIMATES ..................... ........... .............................. . ... _ ............... ............
$
176,340.86
PAY CONTRACTOR AS ESTIMATE NO.2 ............................................................................... ...............................
$
58,900.95
Certificate for Payment
I hereby certify that, to the best of my knowledge and belief, all items quantities and prices
of work and material shown on this Estimate are correct and that all work has been
performed in full accordance with the terms and conditions of the Contract for this project
between the Owner and the undersigned Contractor, and as amended by any
authorized changes, and that the foregoing is a true and correct statement of the amount
for the Final Estimate, that the provisions of M. S. 290.92 have been complied with and that
all claims against me by reason of the Contract have been paid or satisfactorily secured.
Contractor: Penn Contracklg, Inc
13025 Central Avenue NE
Blaine, MN 55434
By
Name Title
Date
CHECKED AND APPROVED AS TO QUANTITIES AND AMOUNT:
BOLTON & ME/N�K, INC.. ENGINEERS, 2638 SHADOW LN, SUITE 200, CHASKA MN 55316
By Lkl ZO�t^ -e' , PROJECT ENGINEER
Daniel L F aulkkp [ er
Date 4/� / % /
APPROVED FOR PAYMENT:
Owner: CITY OF MOUND
By
Name Title Date
-1937-
e
�I� Consulting Engineers & Surveyors
" 1 2638 Shadow Lane, Suite 200 • Chaska, MN 55318 -1172
Phone (952)448- 8838• Fax (952) 448 -8805
www.bolton- menk.com
September 3, 2014
Ms. Kandis Hanson, City Manager
City of Mound
2415 Wilshire Boulevard
Mound, MN 55364
1
RE: 2014 Street, Utility and Retaining Wall Improvement Project — East Three Points Blvd.
City Project Nos. PW- 14 -01, PW -14 -02
Pay Request No. 1
Dear Ms. Hanson:
Please find enclosed Pay Request No, l from GMH Asphalt Corporation for work completed on
the 2014 Street, Utility and Retaining Wall Improvement Project — East Three Points Boulevard,
from August 4, 2014 through August 25, 2014.
We have reviewed the contractor's request, verified quantities and recommend payment in the
amount of $248,278.04 to GMH Asphalt Corporation.
Sincerely,
BOLTON & MENK INC.
-fir
Daniel L. L. Faulkner, P.E.
Mound City Engineer
cc: Carlton Moore, Director of Public Works
Catherine Pausche, Director of Finance
-1938-
e
�I� Consulting Engineers & Surveyors
" 1 2638 Shadow Lane, Suite 200 • Chaska, MN 55318 -1172
Phone (952)448- 8838• Fax (952) 448 -8805
www.bolton- menk.com
September 3, 2014
Ms. Kandis Hanson, City Manager
City of Mound
2415 Wilshire Boulevard
Mound, MN 55364
1
RE: 2014 Street, Utility and Retaining Wall Improvement Project — East Three Points Blvd.
City Project Nos. PW- 14 -01, PW -14 -02
Pay Request No. 1
Dear Ms. Hanson:
Please find enclosed Pay Request No, l from GMH Asphalt Corporation for work completed on
the 2014 Street, Utility and Retaining Wall Improvement Project — East Three Points Boulevard,
from August 4, 2014 through August 25, 2014.
We have reviewed the contractor's request, verified quantities and recommend payment in the
amount of $248,278.04 to GMH Asphalt Corporation.
Sincerely,
BOLTON & MENK INC.
-fir
Daniel L. L. Faulkner, P.E.
Mound City Engineer
cc: Carlton Moore, Director of Public Works
Catherine Pausche, Director of Finance
-1938-
DATE: 9/2/2014
CONTRACTOR'S PAY REQUEST NO. 1
CONTRACTOR GMH Asphalt Corp.
2014 STREET IMPROVEMENTS - EAST THREE POINTS BLVD
OWNER City of
Mound
CITY PROJECT NOS. PW- 14 -01, 14 -02
ENGINEER Bolton
& Menk
BMI PROJECT NO. C12.107130
FOR WORK COMPLETED FROM 8/4/2014 THROUGH 8/2512014
TOTALAMOUNT BID— ... ....... ................ - .......... -- ........ --- ................................... ......................................
$
1,479,671.33
APPROVED CHANGE ORDERS.. ..... _ ....................................._..........................,... ...............................
$
-
CURRENT CONTRACT AMOUNT ........................................................................... ...............................
$
1,479,671.33
TOTAL, COMPLETED WORK TO DATE .....................................................................................
............................... $
261,345.31
TOTAL, STORED MATERIALS TO DATE .................................................................................
............................... $
-
DEDUCTION FOR STORED MATERIALS USED IN WORK COMPLETED ..............................
............................... $
-
TOTAL, COMPLETED WORK & STORED MATERIALS .............. _- ......... .................................
.................. ............ , $
261,345.31
RETAINED PERCENTAGE ( 5% ) .......................................................................
............................... $
13,067.27
TOTAL AMOUNT OF OTHER DEDUCTIONS .........................................................................
............................... $
-
NET AMOUNT DUE TO CONTRACTOR TO DATE ....................................................................
............................... $
248,278.04
TOTAL AMOUNT PAID ON PREVIOUS ESTIMATES..... ............ ............... ....... - ................................................
— $
-
PAY CONTRACTOR AS ESTIMATE NO. I-- ................................. ............... -- ......................................
.......... $
248,278.04
Certificate for Payment
I hereby certify that, to the best of my knowledge and belief, all items quantities and prices
of work and material shown on this Estimate are correct and that all work has been
performed in full accordance with the terms and conditions of the Contract for this project
between the Owner and the undersigned Contractor, and as amended by any
authorized changes, and that the foregoing is a true and correct statement of the amount
for the Final Estimate, that the provisions of M. S. 290.92 have been complied with and that
all claims against me by reason of the Contract have been paid or satisfactorily secured.
Contractor. GMH Asphalt Corporation
9180 Lake Town Road
Chaska, MN 55316
By
Date
CHECKED AND APPROVED AS TO QUANTITIES AND AMOUNT:
BOLTON & MENK, IhJ,C.ENGINEERS, 8 SHADOW LN, SUITE CHASKA MN 55318
By LJJ" L((i) /�yq! ^!�Gt /i9 PROJECT ENGINEER
Daniel L. Faulkner
Date /
APPROVED FOR PAYMENT:
Owner. CITY OF MOUND
By
Name Title Date
-1939-
DATE: 9/2/2014
CONTRACTOR'S PAY REQUEST NO. 1
CONTRACTOR GMH Asphalt Corp.
2014 STREET IMPROVEMENTS - EAST THREE POINTS BLVD
OWNER City of
Mound
CITY PROJECT NOS. PW- 14 -01, 14 -02
ENGINEER Bolton
& Menk
BMI PROJECT NO. C12.107130
FOR WORK COMPLETED FROM 8/4/2014 THROUGH 8/2512014
TOTALAMOUNT BID— ... ....... ................ - .......... -- ........ --- ................................... ......................................
$
1,479,671.33
APPROVED CHANGE ORDERS.. ..... _ ....................................._..........................,... ...............................
$
-
CURRENT CONTRACT AMOUNT ........................................................................... ...............................
$
1,479,671.33
TOTAL, COMPLETED WORK TO DATE .....................................................................................
............................... $
261,345.31
TOTAL, STORED MATERIALS TO DATE .................................................................................
............................... $
-
DEDUCTION FOR STORED MATERIALS USED IN WORK COMPLETED ..............................
............................... $
-
TOTAL, COMPLETED WORK & STORED MATERIALS .............. _- ......... .................................
.................. ............ , $
261,345.31
RETAINED PERCENTAGE ( 5% ) .......................................................................
............................... $
13,067.27
TOTAL AMOUNT OF OTHER DEDUCTIONS .........................................................................
............................... $
-
NET AMOUNT DUE TO CONTRACTOR TO DATE ....................................................................
............................... $
248,278.04
TOTAL AMOUNT PAID ON PREVIOUS ESTIMATES..... ............ ............... ....... - ................................................
— $
-
PAY CONTRACTOR AS ESTIMATE NO. I-- ................................. ............... -- ......................................
.......... $
248,278.04
Certificate for Payment
I hereby certify that, to the best of my knowledge and belief, all items quantities and prices
of work and material shown on this Estimate are correct and that all work has been
performed in full accordance with the terms and conditions of the Contract for this project
between the Owner and the undersigned Contractor, and as amended by any
authorized changes, and that the foregoing is a true and correct statement of the amount
for the Final Estimate, that the provisions of M. S. 290.92 have been complied with and that
all claims against me by reason of the Contract have been paid or satisfactorily secured.
Contractor. GMH Asphalt Corporation
9180 Lake Town Road
Chaska, MN 55316
By
Date
CHECKED AND APPROVED AS TO QUANTITIES AND AMOUNT:
BOLTON & MENK, IhJ,C.ENGINEERS, 8 SHADOW LN, SUITE CHASKA MN 55318
By LJJ" L((i) /�yq! ^!�Gt /i9 PROJECT ENGINEER
Daniel L. Faulkner
Date /
APPROVED FOR PAYMENT:
Owner. CITY OF MOUND
By
Name Title Date
-1939-
CITY OF MOUND
RESOLUTION NO. 14-
RESOLUTION DECLARING COST TO BE ASSESSED, AND ORDERING PREPARATION OF
PROPOSED ASSESSMENT ON
2013 STREET, UTILITY AND RETAINING WALL IMPROVEMENT PROJECT
WHEREAS, a contract has been let for the 2013 Street, Utility and Retaining Wall Improvement
Project and the construction cost for such improvement is $4,420,000, and the expenses
incurred or to be incurred in the making of such improvement amount is $950,000 so that the
total cost of the improvement will be $5,370,000.
NOW, THEREFORE BE IT RESOLVED by the City Council of the City of Mound:
1. The portion of the cost of such improvement to be paid by the City is hereby declared to
be $3,870,000 and the portion of the cost to be assessed against benefited property
owners is declared to be $1,500,000.
2. Assessments shall be payable in equal annual installments extending over a period of
fifteen (15) years, the first of the installments to be payable on or before the first Monday
in January, 2015, and shall bear interest at the rate of five (5) percent per annum from
the date of the adoption of the assessment resolution.
3. The City Clerk, with the assistance of the Consulting Engineer, shall forthwith calculate
the proper amount to be specially assessed for such improvement against every
assessable lot, piece or parcel of land within the district affected, without regard to cash
valuation, as provided by law, and she shall file a copy of such proposed assessment in
her office for public inspection.
4. The Clerk shall upon the completion of such proposed assessment, notify the Council
thereof.
Adopted by the City Council this 9`" day of September, 2014.
Attest: Catherine Pausche, City Clerk
Mayor Mark Hanus
m
CITY OF MOUND
RESOLUTION NO. 14-
RESOLUTION DECLARING COST TO BE ASSESSED, AND ORDERING PREPARATION OF
PROPOSED ASSESSMENT ON
2013 STREET, UTILITY AND RETAINING WALL IMPROVEMENT PROJECT
WHEREAS, a contract has been let for the 2013 Street, Utility and Retaining Wall Improvement
Project and the construction cost for such improvement is $4,420,000, and the expenses
incurred or to be incurred in the making of such improvement amount is $950,000 so that the
total cost of the improvement will be $5,370,000.
NOW, THEREFORE BE IT RESOLVED by the City Council of the City of Mound:
1. The portion of the cost of such improvement to be paid by the City is hereby declared to
be $3,870,000 and the portion of the cost to be assessed against benefited property
owners is declared to be $1,500,000.
2. Assessments shall be payable in equal annual installments extending over a period of
fifteen (15) years, the first of the installments to be payable on or before the first Monday
in January, 2015, and shall bear interest at the rate of five (5) percent per annum from
the date of the adoption of the assessment resolution.
3. The City Clerk, with the assistance of the Consulting Engineer, shall forthwith calculate
the proper amount to be specially assessed for such improvement against every
assessable lot, piece or parcel of land within the district affected, without regard to cash
valuation, as provided by law, and she shall file a copy of such proposed assessment in
her office for public inspection.
4. The Clerk shall upon the completion of such proposed assessment, notify the Council
thereof.
Adopted by the City Council this 9`" day of September, 2014.
Attest: Catherine Pausche, City Clerk
Mayor Mark Hanus
m
CITY OF MOUND
RESOLUTION NO. 14-
RESOLUTION FOR HEARING ON PROPOSED ASSESSMENT FOR
2013 STREET, UTILITY AND RETAINING WALL IMPROVEMENT PROJECT
WHEREAS, by a resolution passed by the Council on September 9, 2014, the City Clerk was
directed to prepare a proposed assessment of the cost of the 2013 Street, Utility and Retaining
Wall Improvement Project,
AND WHEREAS, the Clerk has notified the Council that such proposed assessment has been
completed and filed in her office for public inspection,
NOW, THEREFORE BE IT RESOLVED by the City Council of the City of Mound, Minnesota:
1. A hearing shall be held on the 14th day of October, 2014, in the council chambers of city
hall, at 7:00 p.m. to pass upon such proposed assessment and at such time and place
all persons owning property affected by such improvement will be given an opportunity
to be heard with reference to such assessment.
2. The City Clerk is hereby directed to cause a notice of the hearing on the proposed
assessment to be published once in the official newspaper at least two weeks prior to
the hearing, and she shall state in the notice the total cost of the improvement. She
shall also cause mailed notice to be given to the owner of each parcel described in the
assessment roll not less than two weeks prior to the hearing.
3. The owner of any property so assessed may, at any time prior to certification of the
assessment to the county auditor, pay the whole of the assessment on such property,
with interest accrued to the date of payment, to the City of Mound, except that no
interest shall be charged if the entire assessment is paid with 30 days from the adoption
of the assessment. The property owner may at any time thereafter, pay to the City of
Mound the entire amount of the assessment remaining unpaid, with interest accrued to
December 31" of the year in which such payment is made. Such payment must be
made before November 15th or interest will be charged through December 3151 of the
succeeding year.
Adopted by the City Council this 91h day of September, 2014.
Attest: Catherine Pausche, City Clerk-
-1941-
Mayor Mark Hanus
CITY OF MOUND
RESOLUTION NO. 14-
RESOLUTION FOR HEARING ON PROPOSED ASSESSMENT FOR
2013 STREET, UTILITY AND RETAINING WALL IMPROVEMENT PROJECT
WHEREAS, by a resolution passed by the Council on September 9, 2014, the City Clerk was
directed to prepare a proposed assessment of the cost of the 2013 Street, Utility and Retaining
Wall Improvement Project,
AND WHEREAS, the Clerk has notified the Council that such proposed assessment has been
completed and filed in her office for public inspection,
NOW, THEREFORE BE IT RESOLVED by the City Council of the City of Mound, Minnesota:
1. A hearing shall be held on the 14th day of October, 2014, in the council chambers of city
hall, at 7:00 p.m. to pass upon such proposed assessment and at such time and place
all persons owning property affected by such improvement will be given an opportunity
to be heard with reference to such assessment.
2. The City Clerk is hereby directed to cause a notice of the hearing on the proposed
assessment to be published once in the official newspaper at least two weeks prior to
the hearing, and she shall state in the notice the total cost of the improvement. She
shall also cause mailed notice to be given to the owner of each parcel described in the
assessment roll not less than two weeks prior to the hearing.
3. The owner of any property so assessed may, at any time prior to certification of the
assessment to the county auditor, pay the whole of the assessment on such property,
with interest accrued to the date of payment, to the City of Mound, except that no
interest shall be charged if the entire assessment is paid with 30 days from the adoption
of the assessment. The property owner may at any time thereafter, pay to the City of
Mound the entire amount of the assessment remaining unpaid, with interest accrued to
December 31" of the year in which such payment is made. Such payment must be
made before November 15th or interest will be charged through December 3151 of the
succeeding year.
Adopted by the City Council this 91h day of September, 2014.
Attest: Catherine Pausche, City Clerk-
-1941-
Mayor Mark Hanus
CITY OF MOUND
RESOLUTION NO. 14-
RESOLUTION AUTHORIZING A LIQUOR LIGHTING RETROFIT PROJECT
WHEREAS, The City of Mound operates a municipal liquor store; and
WHEREAS, florescent lighting is being more costly and less available; and
WHEREAS, management recommends upgrading beer cooler door lighting from florescent to a
more cost - efficient LED system; and
WHEREAS, the estimated cost not to exceed of $7,500 will be offset partially by savings in
electric utilities expense and rebates available from XCEL Energy;
NOW THEREFORE, BE IT RESOLVED that the City Council of the City of Mound, Minnesota,
hereby authorizes the City Manager to upgrade the municipal liquor store cooler lighting to
florescent to LED.
Adopted by the City Council this 24`h day of June, 2014.
Attest: Catherine Pausche, Clerk
-1942-
Mayor Mark Hanus
CITY OF MOUND
RESOLUTION NO. 14-
RESOLUTION AUTHORIZING A LIQUOR LIGHTING RETROFIT PROJECT
WHEREAS, The City of Mound operates a municipal liquor store; and
WHEREAS, florescent lighting is being more costly and less available; and
WHEREAS, management recommends upgrading beer cooler door lighting from florescent to a
more cost - efficient LED system; and
WHEREAS, the estimated cost not to exceed of $7,500 will be offset partially by savings in
electric utilities expense and rebates available from XCEL Energy;
NOW THEREFORE, BE IT RESOLVED that the City Council of the City of Mound, Minnesota,
hereby authorizes the City Manager to upgrade the municipal liquor store cooler lighting to
florescent to LED.
Adopted by the City Council this 24`h day of June, 2014.
Attest: Catherine Pausche, Clerk
-1942-
Mayor Mark Hanus
2135 Commerce Boulevard
Mound, MN 55364
952412.0648
To: Mayor Mark Hanus
City Council Members, Mound
Kandis Hanson, City Manager
From: John Colotti, Harbor Wine & Spirits Store Manager
Date: June 17th. 2014
Subject:LED Refrigerated Display Lighting Upgrade
Project Description or Issue: the liquor store is in current need of upgrading its existing florescent beer
cooler door lighting to a more cost - efficient, high- efficiency LED system.
Background Information: Harbor Wine and Spirits ended construction in February of 2003, and was built
with a 23 door beer cooler fitted with a florescent lighting system. In the past, I have purchased
individual replacement bulbs from Mound True Value Hardware when needed. However, the price has
risen to over $17 per bulb, and must be purchased by the 24 unit case. Florescent lighting of this type is
rapidly becoming obsolete, and difficult to find. The city's main lighting vendor, Border States Lighting,
no longer stocks bulbs of this type.
Recommendation: Convert existing florescent system to the General Electric "Immersion" LED
Refrigerated Display Lighting System. This system is rated to perform up to 50,000 hours, while using up
to 22% less energy. I have received a bid from R.C. Electric to install the system for $7360.00, labor and
parts included. XCEL Energy also has a $100.00 per door rebate available upon completion. Final cost
breakdown would total $5060.00.
-1943-
2135 Commerce Boulevard
Mound, MN 55364
952412.0648
To: Mayor Mark Hanus
City Council Members, Mound
Kandis Hanson, City Manager
From: John Colotti, Harbor Wine & Spirits Store Manager
Date: June 17th. 2014
Subject:LED Refrigerated Display Lighting Upgrade
Project Description or Issue: the liquor store is in current need of upgrading its existing florescent beer
cooler door lighting to a more cost - efficient, high- efficiency LED system.
Background Information: Harbor Wine and Spirits ended construction in February of 2003, and was built
with a 23 door beer cooler fitted with a florescent lighting system. In the past, I have purchased
individual replacement bulbs from Mound True Value Hardware when needed. However, the price has
risen to over $17 per bulb, and must be purchased by the 24 unit case. Florescent lighting of this type is
rapidly becoming obsolete, and difficult to find. The city's main lighting vendor, Border States Lighting,
no longer stocks bulbs of this type.
Recommendation: Convert existing florescent system to the General Electric "Immersion" LED
Refrigerated Display Lighting System. This system is rated to perform up to 50,000 hours, while using up
to 22% less energy. I have received a bid from R.C. Electric to install the system for $7360.00, labor and
parts included. XCEL Energy also has a $100.00 per door rebate available upon completion. Final cost
breakdown would total $5060.00.
-1943-
I would greatly appreciate your attention and consideration to this matter.
Respectfully submitted,
2.
Jo n Colotti
Store Manager Harbor Wine & Spirits
1944-
I would greatly appreciate your attention and consideration to this matter.
Respectfully submitted,
2.
Jo n Colotti
Store Manager Harbor Wine & Spirits
1944-
R.C. Electric Inc.
1565 Budd Ave
PO Box 26
Maple Plain, MN 55359
Name/Address
Harbor Wine and Spirits
2135 Commerce Blvd.
Mound, MN. 55364
Arm. John
Ship To
Date
Estimate #
4/30/2014
1562
Phone# Fax#
-1945-
P.O. No.
Project
Description
Qty
Cost
Total
Convert cooler doors to LED strips ( lighting )
Install on all 23 cooler door compartments
We will need racks moved back 10" from doors
XCEL has a rebate of $ 100.00 per door
Labor and materials without rebate
7,360.00
7,360.00
Phone # 763- 479 -2582
Fax # 763 -479 -2277
Total $7,360.00
Phone# Fax#
-1945-
R.C. Electric Inc.
1565 Budd Ave
PO Box 26
Maple Plain, MN 55359
Name/Address
Harbor Wine and Spirits
2135 Commerce Blvd.
Mound, MN. 55364
Arm. John
Ship To
Date
Estimate #
4/30/2014
1562
Phone# Fax#
-1945-
P.O. No.
Project
Description
Qty
Cost
Total
Convert cooler doors to LED strips ( lighting )
Install on all 23 cooler door compartments
We will need racks moved back 10" from doors
XCEL has a rebate of $ 100.00 per door
Labor and materials without rebate
7,360.00
7,360.00
Phone # 763- 479 -2582
Fax # 763 -479 -2277
Total $7,360.00
Phone# Fax#
-1945-
IS$ - • 00 *2 So
Vertical Cases
RV60 Series
♦ a
i • r �-
48- inch:GEt-T604850CTR- SY / -SB( 85742 /85745),GELT604840CTR- SY / -SB( 85748 /85751), GELT604835CTR- SY/- SBl85754/85757)
60- inch: GELT606050CTR- SY / -SB( 85699 / 85702), GELT606040CTR- SY / -SB( 85705 / 85708), GELT606035CTR- SY/- SB(85711/85714)
67- inch: GELT6067SOCTR- SY / -SB( 85717 /85722),GELT60674OCTR- SY / -SB( 85725 / 85728), GELF606735CTR- SY/- SB(85736/85739)
Description Code (Single Unit Product Number 110 -Pack Product Number)
OBEFORE YOU BEGIN
Read these instructions completely and carefully.
FOR YOUR SAFETY
Read and observe all CAUTIONS and WARNINGS shown
throughout these instructions.
• Installation to be performed by factory trained service
personnel only.
• For use inside a commercial refrigeration case with packaged
foods only.
• Use this unit only in the manner intended by the manufacturer.
If you have any questions, contact the manufacturer.
• Before installing, servicing or cleaning unit, switch power off
at the service panel and follow appropriate lock out/tog out
safety procedures
This device complies with port 15 ofthe FCC Rules. Operation is
subjectio thefollowing two conditions: (1) This device may notcause
harmful interference, and (2) this device must accept any interference
received, including interference that may cause undesired operation.
NOTE: This equipment has been tested and found to comply with the
limits fare Class A digital device, pursuant to part 15 of the FCC Rules.
These limits ore designed to provide reasonable protection against
harmful interference when the equipment is operated in a commercial
environment. This equipment generates, uses, and can radiate radio
frequency energy and, if not installed and used in accordance with
the instruction manual, may cause harmful interference to radio
communications. operation ofthis equipment in a residential area
is likely to cause harmful interference in which case the user will be
required to correct the interference at his own expense.
0 imagination at work
PREPARE ELECTRICAL WIRING
Electrical Requirements
• The power supply must be supplied with 100 -240 VAC,
50/60 Her and connected to an individual properly grounded
branch circuit, protected by a 15 or 20 ampere circuit breaker
or time delay fuse.
• Wring must be2vvirewith ground and rated for 75 •C1167 °R.
• Do not overload driver, follow installation instructions for the
G EPS6000NCMUL -SY or GEPS6500NCMUL -SY.
• Ensure that all connection points are sealed for damp location
using the appropriate method per the NEC or local electrical code.
LED DRIVER COMPATIBILITY
This system is compatible with GEPS6000NCMUL -SY or
GEPS650ONCMUL -SY LED Driver. Please refer to the separate
LED driver installation guide for appropriate wiring connections.
CAUTION /ATTENTION
ERIsk fgogglas hile perform ing installations described, gloves, safety
should be worn. / Risque de blessure. Lors de
stallations d6crites, des gants, des lunettes de s6cunte e protection doivent titre portees.
WARN] NG /AVERTISSEM ENT
Risk of electrical shock. Disconnect power before servicing or
installing product. / Risque de chips 6lectrique. Courier le courant
avant de reparer ou installer Is product.
-1946-
IS$ - • 00 *2 So
Vertical Cases
RV60 Series
♦ a
i • r �-
48- inch:GEt-T604850CTR- SY / -SB( 85742 /85745),GELT604840CTR- SY / -SB( 85748 /85751), GELT604835CTR- SY/- SBl85754/85757)
60- inch: GELT606050CTR- SY / -SB( 85699 / 85702), GELT606040CTR- SY / -SB( 85705 / 85708), GELT606035CTR- SY/- SB(85711/85714)
67- inch: GELT6067SOCTR- SY / -SB( 85717 /85722),GELT60674OCTR- SY / -SB( 85725 / 85728), GELF606735CTR- SY/- SB(85736/85739)
Description Code (Single Unit Product Number 110 -Pack Product Number)
OBEFORE YOU BEGIN
Read these instructions completely and carefully.
FOR YOUR SAFETY
Read and observe all CAUTIONS and WARNINGS shown
throughout these instructions.
• Installation to be performed by factory trained service
personnel only.
• For use inside a commercial refrigeration case with packaged
foods only.
• Use this unit only in the manner intended by the manufacturer.
If you have any questions, contact the manufacturer.
• Before installing, servicing or cleaning unit, switch power off
at the service panel and follow appropriate lock out/tog out
safety procedures
This device complies with port 15 ofthe FCC Rules. Operation is
subjectio thefollowing two conditions: (1) This device may notcause
harmful interference, and (2) this device must accept any interference
received, including interference that may cause undesired operation.
NOTE: This equipment has been tested and found to comply with the
limits fare Class A digital device, pursuant to part 15 of the FCC Rules.
These limits ore designed to provide reasonable protection against
harmful interference when the equipment is operated in a commercial
environment. This equipment generates, uses, and can radiate radio
frequency energy and, if not installed and used in accordance with
the instruction manual, may cause harmful interference to radio
communications. operation ofthis equipment in a residential area
is likely to cause harmful interference in which case the user will be
required to correct the interference at his own expense.
0 imagination at work
PREPARE ELECTRICAL WIRING
Electrical Requirements
• The power supply must be supplied with 100 -240 VAC,
50/60 Her and connected to an individual properly grounded
branch circuit, protected by a 15 or 20 ampere circuit breaker
or time delay fuse.
• Wring must be2vvirewith ground and rated for 75 •C1167 °R.
• Do not overload driver, follow installation instructions for the
G EPS6000NCMUL -SY or GEPS6500NCMUL -SY.
• Ensure that all connection points are sealed for damp location
using the appropriate method per the NEC or local electrical code.
LED DRIVER COMPATIBILITY
This system is compatible with GEPS6000NCMUL -SY or
GEPS650ONCMUL -SY LED Driver. Please refer to the separate
LED driver installation guide for appropriate wiring connections.
CAUTION /ATTENTION
ERIsk fgogglas hile perform ing installations described, gloves, safety
should be worn. / Risque de blessure. Lors de
stallations d6crites, des gants, des lunettes de s6cunte e protection doivent titre portees.
WARN] NG /AVERTISSEM ENT
Risk of electrical shock. Disconnect power before servicing or
installing product. / Risque de chips 6lectrique. Courier le courant
avant de reparer ou installer Is product.
-1946-
WARN I NG /AVERTISSEM ENT
Risk of electrical shock. Only those open holes indicated in the photographs and /or drawings may be made or altered as a result of kit
installation. Do not leave any other open holes in an enclosure of wiring or electric components / Risque de choc electrique. Seuls les trous
'.. ouverts indiques dons les photos et / on les dessins peuvent etre fortes ou modifies d la suite du montage du kit. Ne pas loisser outres trous
ouverts dons 1'enceinte on cdblage electrique ou composonts.
U2 Install Center LED Lights
• Place a Center LED Light against the back face of the
mullion near the two holes drilled at the top.
• Insert a #6 -32 x 1/2 -inch sheet metal screw into the top
slot of the Mounting Tab on the Center LED Light and
into the first hole that was drilled in the center mullion.
• Use a screwdriver to thread the screw into the drilled hole.
• Repeat for the second screw, and for the lower end of
the Center LED Light.
• Refer to the manufacturing manual for door frame
to ensure there are no components contained inside
the mullion that could be drilled through. Use a
#6 - 3/4 -inch self - drilling screw to attach the Center
LED Light into one or two of the additional mounting
holes located near the center of the LED Light.
• Refer to wiring diagram on page 5. Connect the red and
black output wires from the LED Light to the red and
black wires on the LED Driver using the twist lock splice
wire connectors provided.
-1947-
LED Or
Center LED Ligh-
Power Lead!
4ounting Tab
WARN I NG /AVERTISSEM ENT
Risk of electrical shock. Only those open holes indicated in the photographs and /or drawings may be made or altered as a result of kit
installation. Do not leave any other open holes in an enclosure of wiring or electric components / Risque de choc electrique. Seuls les trous
'.. ouverts indiques dons les photos et / on les dessins peuvent etre fortes ou modifies d la suite du montage du kit. Ne pas loisser outres trous
ouverts dons 1'enceinte on cdblage electrique ou composonts.
U2 Install Center LED Lights
• Place a Center LED Light against the back face of the
mullion near the two holes drilled at the top.
• Insert a #6 -32 x 1/2 -inch sheet metal screw into the top
slot of the Mounting Tab on the Center LED Light and
into the first hole that was drilled in the center mullion.
• Use a screwdriver to thread the screw into the drilled hole.
• Repeat for the second screw, and for the lower end of
the Center LED Light.
• Refer to the manufacturing manual for door frame
to ensure there are no components contained inside
the mullion that could be drilled through. Use a
#6 - 3/4 -inch self - drilling screw to attach the Center
LED Light into one or two of the additional mounting
holes located near the center of the LED Light.
• Refer to wiring diagram on page 5. Connect the red and
black output wires from the LED Light to the red and
black wires on the LED Driver using the twist lock splice
wire connectors provided.
-1947-
LED Or
Center LED Ligh-
Power Lead!
4ounting Tab
CITY OF MOUND
RESOLUTION NO. 14-
RESOLUTION AUTHORIZING CHANGES TO DEBT SERVICE LEVY SCHEDULES
AND TO APPROPRIATE FUNDS IN THE DEBT SERVICE FUND FOR BOND SERIES
2005A, 2013B, 2014A, 20148
WHEREAS, the City of Mound has issued General Obligation Improvement Bonds in
association with its annual street improvement project; and
WHEREAS, the City of Mound has issued General Obligation Improvement Bonds in
association with its redevelopment projects; and
WHEREAS, the City of Mound has pledged its full faith, credit and taxing powers to the
payment of principle and interest on the Bonds; and
NOW THEREFORE, BE IT RESOLVED by the City Council of the City of Mound,
Minnesota, as follows:
1. The revised debt schedules for the bond issues described in Exhibit A replace
the original bond service levy schedules for the remaining life of the bond for
Bond Issue 2013B
2. The revised debt levy schedule contained in Exhibit A be submitted to the County
Auditor to replace the information currently in the County's bond registers to
reflect new issue 2014A and Refunding Issue 2014B which replaces 2005A.
3. The City of Mound will levy special debt levies according to the schedules
provided in Exhibit A
Adopted by the City Council this 9th day of September, 2014.
Attest: Catherine Pausche, Clerk
Mayor Mark Hanus
CITY OF MOUND
RESOLUTION NO. 14-
RESOLUTION AUTHORIZING CHANGES TO DEBT SERVICE LEVY SCHEDULES
AND TO APPROPRIATE FUNDS IN THE DEBT SERVICE FUND FOR BOND SERIES
2005A, 2013B, 2014A, 20148
WHEREAS, the City of Mound has issued General Obligation Improvement Bonds in
association with its annual street improvement project; and
WHEREAS, the City of Mound has issued General Obligation Improvement Bonds in
association with its redevelopment projects; and
WHEREAS, the City of Mound has pledged its full faith, credit and taxing powers to the
payment of principle and interest on the Bonds; and
NOW THEREFORE, BE IT RESOLVED by the City Council of the City of Mound,
Minnesota, as follows:
1. The revised debt schedules for the bond issues described in Exhibit A replace
the original bond service levy schedules for the remaining life of the bond for
Bond Issue 2013B
2. The revised debt levy schedule contained in Exhibit A be submitted to the County
Auditor to replace the information currently in the County's bond registers to
reflect new issue 2014A and Refunding Issue 2014B which replaces 2005A.
3. The City of Mound will levy special debt levies according to the schedules
provided in Exhibit A
Adopted by the City Council this 9th day of September, 2014.
Attest: Catherine Pausche, Clerk
Mayor Mark Hanus
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CITY OF MOUND
RESOLUTION NO. 14-
RESOLUTION APPROVING A LEVY NOT TO
EXCEED $177,835 FOR THE PURPOSE OF DEFRAYING THE COST
OF OPERATION, PURSUANT TO THE PROVISIONS OF MSA 469, OF THE
HOUSING AND REDEVELOPMENT AUTHORITY OF AND FOR THE
CITY OF MOUND FOR THE YEAR 2015
WHEREAS, the City Council of the City of Mound is the governing body of the City of
Mound; and
WHEREAS, the City Council has received a resolution from the Housing and
Redevelopment Authority of and for the City of Mound, entitled `Resolution Authorizing
The Levy of a Special Benefit Levy Pursuant to Minnesota Statutes Section 469.033,
Subdivision 6 and Approval of a Budget for Fiscal Year 2015 "; and
WHEREAS, the City Council, pursuant to the provisions of MSA 469, must by resolution
consent to the proposed tax levy of the Housing and Redevelopment Authority of the
City of Mound.
NOW, THEREFORE BE IT RESOLVED by the City Council of the City of Mound,
Minnesota, that a special tax be levied upon real and personal property within the City
of Mound in the amount not to exceed $177,835.
BE IT FURTHER RESOLVED that the said levy, not to exceed $177,835, is approved
by this Council to be used for the operation of the Mound Housing and Redevelopment
Authority pursuant to the provisions of MSA 469, and such proposed special levy shall
be certified as a tax levy to the County Auditor of Hennepin County on or before
September 30, 2014. The final special levy shall be certified to the County Auditor of
Hennepin County by December 19, 2014.
Adopted by the City Council this 9th day of September, 2014.
Attest: Catherine Pausche, Clerk
-1950-
Mayor Mark Hanus
CITY OF MOUND
RESOLUTION NO. 14-
RESOLUTION APPROVING A LEVY NOT TO
EXCEED $177,835 FOR THE PURPOSE OF DEFRAYING THE COST
OF OPERATION, PURSUANT TO THE PROVISIONS OF MSA 469, OF THE
HOUSING AND REDEVELOPMENT AUTHORITY OF AND FOR THE
CITY OF MOUND FOR THE YEAR 2015
WHEREAS, the City Council of the City of Mound is the governing body of the City of
Mound; and
WHEREAS, the City Council has received a resolution from the Housing and
Redevelopment Authority of and for the City of Mound, entitled `Resolution Authorizing
The Levy of a Special Benefit Levy Pursuant to Minnesota Statutes Section 469.033,
Subdivision 6 and Approval of a Budget for Fiscal Year 2015 "; and
WHEREAS, the City Council, pursuant to the provisions of MSA 469, must by resolution
consent to the proposed tax levy of the Housing and Redevelopment Authority of the
City of Mound.
NOW, THEREFORE BE IT RESOLVED by the City Council of the City of Mound,
Minnesota, that a special tax be levied upon real and personal property within the City
of Mound in the amount not to exceed $177,835.
BE IT FURTHER RESOLVED that the said levy, not to exceed $177,835, is approved
by this Council to be used for the operation of the Mound Housing and Redevelopment
Authority pursuant to the provisions of MSA 469, and such proposed special levy shall
be certified as a tax levy to the County Auditor of Hennepin County on or before
September 30, 2014. The final special levy shall be certified to the County Auditor of
Hennepin County by December 19, 2014.
Adopted by the City Council this 9th day of September, 2014.
Attest: Catherine Pausche, Clerk
-1950-
Mayor Mark Hanus
CITY OF MOUND
RESOLUTION NO. 14-
RESOLUTION APPROVING THE 2015 PRELIMINARY GENERAL FUND
BUDGET IN THE AMOUNT OF $5,137,984 ;
SETTING THE PRELIMINARY LEVY AT $5,544,362 ;
AND APPROVING THE PRELIMINARY OVERALL BUDGET FOR 2015.
BE IT RESOLVED, that the City Council of the City of Mound, Minnesota, does hereby adopt
the following preliminary 2015 General Fund Budget appropriation:
TOTAL GENERAL FUND
5,137,984
BE IT FURTHER RESOLVED, that the City Council of the City of Mound, Minnesota, does
hereby direct the County Auditor to levy the following preliminary taxes for collection in 2015:
SPECIAL LEVIES
Fire
Relief
G.O.
Improvement 2006A
G.O.
Improvement 2007A
G.O.
Improvement 2008B
G.O.
Improvement 2009A
G.O.
Tax Increment 2009D (Dump)
G.O.
Refunding Bonds 2011A
G.O.
Improvement 2011 B
G.O.
Improvement 2012A
G.O.
Refunding Bonds 2012B (PS Building)
G.O.
Improvement 2013A
G.O.
Refunding Bonds 20136
G.O.
Improvement 2014A
G.O.
Refunding Bonds 2014B
Total Special Levies
PRELIMINARY REVENUE LEVY
Preliminary Certified Levy
-1951-
67,171
62,000
128,000
63,000
215,600
200,000
362,736
190,108
107,511
349,000
133,044
45,000
40,069
85,000
2,048,239
3,496,123
5,544,362
CITY OF MOUND
RESOLUTION NO. 14-
RESOLUTION APPROVING THE 2015 PRELIMINARY GENERAL FUND
BUDGET IN THE AMOUNT OF $5,137,984 ;
SETTING THE PRELIMINARY LEVY AT $5,544,362 ;
AND APPROVING THE PRELIMINARY OVERALL BUDGET FOR 2015.
BE IT RESOLVED, that the City Council of the City of Mound, Minnesota, does hereby adopt
the following preliminary 2015 General Fund Budget appropriation:
TOTAL GENERAL FUND
5,137,984
BE IT FURTHER RESOLVED, that the City Council of the City of Mound, Minnesota, does
hereby direct the County Auditor to levy the following preliminary taxes for collection in 2015:
SPECIAL LEVIES
Fire
Relief
G.O.
Improvement 2006A
G.O.
Improvement 2007A
G.O.
Improvement 2008B
G.O.
Improvement 2009A
G.O.
Tax Increment 2009D (Dump)
G.O.
Refunding Bonds 2011A
G.O.
Improvement 2011 B
G.O.
Improvement 2012A
G.O.
Refunding Bonds 2012B (PS Building)
G.O.
Improvement 2013A
G.O.
Refunding Bonds 20136
G.O.
Improvement 2014A
G.O.
Refunding Bonds 2014B
Total Special Levies
PRELIMINARY REVENUE LEVY
Preliminary Certified Levy
-1951-
67,171
62,000
128,000
63,000
215,600
200,000
362,736
190,108
107,511
349,000
133,044
45,000
40,069
85,000
2,048,239
3,496,123
5,544,362
BE IT FURTHER RESOLVED, that the City Council of the City of Mound, Minnesota, does
hereby adopt the preliminary overall budget for 2015 as follows:
GENERAL FUND
As per above 5,137,984
SPECIAL REVENUE FUNDS
Area Fire Service Fund 1,228,233
Dock Fund 175,963
HRA Transit District Maintenance Fund 50,800
TOTAL SPECIAL REVENUE FUNDS 1,454,996
ENTERPRISE FUNDS
Recycling Fund 196,412
Liquor Fund 626,945
Water Fund 1,819,080
Sewer Fund 2,287,975
Storm Water Utility Fund 425,472
TOTAL ENTERPRISE FUNDS 5,355,884
h��J1�lA�►_1:�/
General Fund 5,137,984
Special Revenue Funds 1,454,996
Enterprise Funds 5,355,884
TOTAL ALL FUNDS 11,948,864
Adopted by the City Council this 9th day of September, 2014,
Attest: Catherine Pausche, Clerk
Mayor Mark Hanus
-1952-
BE IT FURTHER RESOLVED, that the City Council of the City of Mound, Minnesota, does
hereby adopt the preliminary overall budget for 2015 as follows:
GENERAL FUND
As per above 5,137,984
SPECIAL REVENUE FUNDS
Area Fire Service Fund 1,228,233
Dock Fund 175,963
HRA Transit District Maintenance Fund 50,800
TOTAL SPECIAL REVENUE FUNDS 1,454,996
ENTERPRISE FUNDS
Recycling Fund 196,412
Liquor Fund 626,945
Water Fund 1,819,080
Sewer Fund 2,287,975
Storm Water Utility Fund 425,472
TOTAL ENTERPRISE FUNDS 5,355,884
h��J1�lA�►_1:�/
General Fund 5,137,984
Special Revenue Funds 1,454,996
Enterprise Funds 5,355,884
TOTAL ALL FUNDS 11,948,864
Adopted by the City Council this 9th day of September, 2014,
Attest: Catherine Pausche, Clerk
Mayor Mark Hanus
-1952-
GENERAL FUND REVENUES
3fO1O
� Current Ad Valorem Taxes
5.053.400
3'128,518
2'958.202
3,047'010
1:Lk(luo-r-Licenses
�
13,100
'
13,000
'
�.~~ -_-A~V~~~.T.~',-��~.
31620
-'Delinquent p*vowne Taxes
78.883
71.720
80'000
78.800
.316*v
r /u o
359.929
408,240
350.610
360.618
-
�fgU0-
'
'
'
31910_ -
__ - 111sena-Itles and intfen�st_KdVaffix-
27.884
27.600
151)00
15 Ono
131%
! Per- m-u's-��-���'���-��'�
xzzux
3ffl 0
1:Lk(luo-r-Licenses
11,475
13,100
13,000
13,000
3.307 939 3'000 1'000
az��b �---
---|
2'711 997 4,000 2.000
�j;��8V��
�4o P --�
.KMO
Gatagelicenses
3,000
3,000
3,000
3,000
'82172
�Rubl_ic Gathering Permit
900
2,575
600
600
ni 6b
!Grants from other Govt. Units
-
-
-
M80
CitherGlcen"e Merrnits
4,200
5,000
3,000
3,000
M90
'Misc. Business Permits
710
975
800
800
6,060
Total
121,876
68,219
'Total
20,335
25,150
20,500
20,500 0.00%
34101
Revenue
_19P
17,491
35,000
35,000
34105
Sale of Maps and Publications
12
150
150
�2220
Electrical-Per-mit -Fee
3,679
6,301
3,500
3,500
�2�3lj
Plumbing Connection Pe - rmits
8,810
12,094
8,000
8,000
32236
Heating-Pe mnits
5,102
19,160
5,000
5,000
i
xzzux
' 40
"^z,"____
�A~^^~^�``^```
- v" ' '
�uu�I
_�_
3.307 939 3'000 1'000
az��b �---
---|
2'711 997 4,000 2.000
�j;��8V��
�4o P --�
' ' ' -
jZ�bb
Police State Aid
76,592
Total 125,655 179.030! 130.580 144.500 4,33%
Intergovernmental
W40
GtlieFState Aid Grants
291,936
325,633
33421
Police State Aid
76,592
-
ni 6b
!Grants from other Govt. Units
-
-
-
-
26425
'PERA State Aid
6,060
6,060
6,060
6,060
Total
121,876
68,219
357,996
391,693 9.41%
Charges for Services
34101
Revenue
_19P
17,491
35,000
35,000
34105
Sale of Maps and Publications
12
150
150
GENERAL FUND REVENUES
3fO1O
� Current Ad Valorem Taxes
5.053.400
3'128,518
2'958.202
3,047'010
1:Lk(luo-r-Licenses
�
13,100
'
13,000
'
�.~~ -_-A~V~~~.T.~',-��~.
31620
-'Delinquent p*vowne Taxes
78.883
71.720
80'000
78.800
.316*v
r /u o
359.929
408,240
350.610
360.618
-
�fgU0-
'
'
'
31910_ -
__ - 111sena-Itles and intfen�st_KdVaffix-
27.884
27.600
151)00
15 Ono
131%
! Per- m-u's-��-���'���-��'�
xzzux
3ffl 0
1:Lk(luo-r-Licenses
11,475
13,100
13,000
13,000
3.307 939 3'000 1'000
az��b �---
---|
2'711 997 4,000 2.000
�j;��8V��
�4o P --�
.KMO
Gatagelicenses
3,000
3,000
3,000
3,000
'82172
�Rubl_ic Gathering Permit
900
2,575
600
600
ni 6b
!Grants from other Govt. Units
-
-
-
M80
CitherGlcen"e Merrnits
4,200
5,000
3,000
3,000
M90
'Misc. Business Permits
710
975
800
800
6,060
Total
121,876
68,219
'Total
20,335
25,150
20,500
20,500 0.00%
34101
Revenue
_19P
17,491
35,000
35,000
34105
Sale of Maps and Publications
12
150
150
�2220
Electrical-Per-mit -Fee
3,679
6,301
3,500
3,500
�2�3lj
Plumbing Connection Pe - rmits
8,810
12,094
8,000
8,000
32236
Heating-Pe mnits
5,102
19,160
5,000
5,000
i
xzzux
' 40
"^z,"____
�A~^^~^�``^```
- v" ' '
�uu�I
_�_
3.307 939 3'000 1'000
az��b �---
---|
2'711 997 4,000 2.000
�j;��8V��
�4o P --�
' ' ' -
jZ�bb
Police State Aid
76,592
Total 125,655 179.030! 130.580 144.500 4,33%
Intergovernmental
W40
GtlieFState Aid Grants
291,936
325,633
33421
Police State Aid
76,592
-
ni 6b
!Grants from other Govt. Units
-
-
-
-
26425
'PERA State Aid
6,060
6,060
6,060
6,060
Total
121,876
68,219
357,996
391,693 9.41%
Charges for Services
34101
Revenue
_19P
17,491
35,000
35,000
34105
Sale of Maps and Publications
12
150
150
CITY OF MOUND
GENERAL FUND REVENUES
.04-iul
Nssessmem searcn rees
_.
1,320
1,645
1,000
1,000
34104
Plan Check Fee
47,814
72,860
40,000
50,000
34114
:Planning Commission Approval
7,563
7,905
3,000
5,000
34191
!Surcharges
-
-
350
-
342 03
- -- _
Acc id ent Reports
731
30
-
-
34210
_
jbog Pick -up Charges
1,029
200
-
-
34215
'Kennel Boarding Fees �
1,177
64
-
-
34220
_�
-AR-ng rees
12
-
-
-
34230
Mesc Service Charges
188
43
-
-
'.34310
Container on Right of Way -:
-
-
100
34110
-
Depot Rental;
4,815
5,625
5,000
5,000
34940
:Cemetery Lot Sale ',
4,375
1,800
5,000
2,500
37290
;StreetLightingFee-
71,144
73,864
75,000
74,000
37295
--
.Street Lighting Penalty -
897
1,246
1,000
1,000
38051
Cable TV Franchise Fee -
104,892
105,072
105,000
105,000
38053
Cable TV Peg Access Fee
21,828
30,326
34,641
30,000
_ 38060
iii Center Point Franchise Fee
. - -.- -- - -- - -..
-
125,076
125,828
125,000
125,000
38070
_ 'Xcel Enerrgy Franchise Fee '
150,993
150,845
147,000
150,000
34108
',Admin Charges to Other Funds
133,991
136,241
132,866
132,866
'Total _.. -. -. 677,998 731,097 710,107 716,516 0.90%
-1954-
CITY OF MOUND
GENERAL FUND REVENUES
.04-iul
Nssessmem searcn rees
_.
1,320
1,645
1,000
1,000
34104
Plan Check Fee
47,814
72,860
40,000
50,000
34114
:Planning Commission Approval
7,563
7,905
3,000
5,000
34191
!Surcharges
-
-
350
-
342 03
- -- _
Acc id ent Reports
731
30
-
-
34210
_
jbog Pick -up Charges
1,029
200
-
-
34215
'Kennel Boarding Fees �
1,177
64
-
-
34220
_�
-AR-ng rees
12
-
-
-
34230
Mesc Service Charges
188
43
-
-
'.34310
Container on Right of Way -:
-
-
100
34110
-
Depot Rental;
4,815
5,625
5,000
5,000
34940
:Cemetery Lot Sale ',
4,375
1,800
5,000
2,500
37290
;StreetLightingFee-
71,144
73,864
75,000
74,000
37295
--
.Street Lighting Penalty -
897
1,246
1,000
1,000
38051
Cable TV Franchise Fee -
104,892
105,072
105,000
105,000
38053
Cable TV Peg Access Fee
21,828
30,326
34,641
30,000
_ 38060
iii Center Point Franchise Fee
. - -.- -- - -- - -..
-
125,076
125,828
125,000
125,000
38070
_ 'Xcel Enerrgy Franchise Fee '
150,993
150,845
147,000
150,000
34108
',Admin Charges to Other Funds
133,991
136,241
132,866
132,866
'Total _.. -. -. 677,998 731,097 710,107 716,516 0.90%
-1954-
35100
36150
-35200
CITY OF MOUND
GENERAL FUND REVENUES
court Fines 56,525
4dministrative Fines 2,320
-cifeits ---
69,258 50,000 50,000
9,177 8,000 10,000
58,845 68,435 58,000 60,000 3,45%
36100
1 Special Assessments
39,077
33,163
10,000
10,000
4,999,721
Miscellaneous Revenues
301
899
1,000
1,000
46-236
and Donations
-
1,150
-
-
36240
Refunds-and Reimburse ments-
67,481
41,754
20,000
30,000
36206
!Check Processing Fees
210
36200
'Miscellaneous --- Re- ve n u e s
1,055
-
-
36240
and Reimbursements-
72,174
814
-
-
36200
-!Refunds
:Miscellaneous Revenues
2,341
-
-
36240
Refunds and Reimbursements
18,278
424
-
-
34750
------ -----
!Park Dedication Fees
26,100
-
-
36206
,Misce llane - ous Re I ve I nue , s
235
-
-
36210
I n I e-r e s f 1 E a m i n g -s
36240
'Refunds and Reimbursements
1,113
!Proceeds -Gen Obligation Bond
-
-
-
-
38055
Antenna Leases -
86,280
89,338
90,000
90,000
362 10
'Interest Earnings
--
3,436
3,460
6,000
4,000
X9 16-1
Sa-le-s af 6enemf- Fixed Assets
10,546
20,690
-
-
39210
'Duplicating Service Charge
'Transfer
11,000
5,507
10,000
6,000
39203
from Other Fund
-P-eriodAd-j--u-s-t-ment -
65,452
63,515
63,515
63,515
ibi-i6bgb-366bb Prior
10,251
Total 375,139
300,906
200,515
204,515
1.99%
TOTAL REVENUE 4,899,894
4,999,721
4,899,498
5,030,352
2.67%
-1955-
35100
36150
-35200
CITY OF MOUND
GENERAL FUND REVENUES
court Fines 56,525
4dministrative Fines 2,320
-cifeits ---
69,258 50,000 50,000
9,177 8,000 10,000
58,845 68,435 58,000 60,000 3,45%
36100
1 Special Assessments
39,077
33,163
10,000
10,000
4,999,721
Miscellaneous Revenues
301
899
1,000
1,000
46-236
and Donations
-
1,150
-
-
36240
Refunds-and Reimburse ments-
67,481
41,754
20,000
30,000
36206
!Check Processing Fees
210
36200
'Miscellaneous --- Re- ve n u e s
1,055
-
-
36240
and Reimbursements-
72,174
814
-
-
36200
-!Refunds
:Miscellaneous Revenues
2,341
-
-
36240
Refunds and Reimbursements
18,278
424
-
-
34750
------ -----
!Park Dedication Fees
26,100
-
-
36206
,Misce llane - ous Re I ve I nue , s
235
-
-
36210
I n I e-r e s f 1 E a m i n g -s
36240
'Refunds and Reimbursements
1,113
!Proceeds -Gen Obligation Bond
-
-
-
-
38055
Antenna Leases -
86,280
89,338
90,000
90,000
362 10
'Interest Earnings
--
3,436
3,460
6,000
4,000
X9 16-1
Sa-le-s af 6enemf- Fixed Assets
10,546
20,690
-
-
39210
'Duplicating Service Charge
'Transfer
11,000
5,507
10,000
6,000
39203
from Other Fund
-P-eriodAd-j--u-s-t-ment -
65,452
63,515
63,515
63,515
ibi-i6bgb-366bb Prior
10,251
Total 375,139
300,906
200,515
204,515
1.99%
TOTAL REVENUE 4,899,894
4,999,721
4,899,498
5,030,352
2.67%
-1955-
City of Mound
General Fund Summary of Revenue and Expeditures
'Taxes-- - - -� -- -- -
-3520,0461 -�� 3
3,626,084 - -__-
__....
_._ 5,1
TOTALREVENUES-- - - - - -- - 4899,894 -- 4999,721 - -�
Expenditures
City Council - -- - -. -. 73,9277 70,674 -
Promotions - 69892', 66,000
City Manager /Clerk thru 2012 277,700- 181,444 _ - -
Elections '. 11,673: 393.
Finance & Admn - - - 294,572- -- --
Assessor .__. 96,431'._. -... _...
Legal _... -_ _._. 116340..._. -____
Centeniai Building 79,486 -
�InformationTechnology - - - - 36,004 - -
CityHall (24151Nilshire)�� -- -__._ __..._...
Police _ -_- _ -- 1,878,808 -- 1,
- rep _ __._ .. _. -
.Emergency Preparedness 4062
Planning & Inspections - - 307,530-
Streets _.__. .__._. _- _.._..906,336.._
Parks /Cemetary 493,167
Other - -_... -..._. ._......458280. -... -. _.. -1
3%
3492,6281
- - --
20,5001
-8.06%
661000.: 0.00%
.........193,199 358%
-. -- 1,555 87.04%
- -- 403,066, 2202 %;
_ - - -- 111,600] 14.34 %;
31,848 -- 56848: 78.50 %0
- 65 100 - 84,700 W, 11 %
1,622,250 1637,231 -- 0.92 %.
38,318 _- 195 6 3 -- -48.9561.
345416 - 376,844-- 9.10%
TOTAL EXPENDITURES _- 5,10-,646 - 4,862,771 -
877,377 5.29 %'
- 2.V%
CHANGE IN FUND BALANCE -- (203,153) 136,950 ..
(95,175) (107,632)- - 1309%
BEGINNING FUND BALANCE 2,443,441 2,253,586 2,364,646 2,269,471
Park Dedication NET 13,298 (25,890)
INCREASE / (DECREASE) IN FUND 8 (203,153) 136,950 (95,175) (107,632)
ENDING FUND BALANCE 2,253,586 2,364,646 2,269,471 2,161,839
Beginning Fund Balance V 2,443,441 2,253,586 2,364,646 2,269,471
Nonsaendable for
Prepaid Items 1,740 2,934 - -
Liquor Fund Loan - Long Term 520,967 441,033 359,087 275,080
Restricted for
Park Dedication - - - -
Committed for
Interfund Loans - Deficit Cash - - 525,000
Assigned for
Severance Pay 180,851 188,428 200,000 210,000
Next Year Budget Deficit 204,569 95,174 140,000 100,000
Unassigned 1,345,459 1,637,077 1,570,384 1,051,759
Total Fund Balance 12131 /xx
Unassigned as a % of Exp
2,253,586 2,364,646
26% 34%
-1956-
2,269,471 2,161,839
31% 20%
Finance & Admn - - - 294,572- -- --
Assessor .__. 96,431'._. -... _...
Legal _... -_ _._. 116340..._. -____
Centeniai Building 79,486 -
�InformationTechnology - - - - 36,004 - -
CityHall (24151Nilshire)�� -- -__._ __..._...
Police _ -_- _ -- 1,878,808 -- 1,
- rep _ __._ .. _. -
.Emergency Preparedness 4062
Planning & Inspections - - 307,530-
Streets _.__. .__._. _- _.._..906,336.._
Parks /Cemetary 493,167
Other - -_... -..._. ._......458280. -... -. _.. -1
3%
3492,6281
- - --
20,5001
-8.06%
661000.: 0.00%
.........193,199 358%
-. -- 1,555 87.04%
- -- 403,066, 2202 %;
_ - - -- 111,600] 14.34 %;
31,848 -- 56848: 78.50 %0
- 65 100 - 84,700 W, 11 %
1,622,250 1637,231 -- 0.92 %.
38,318 _- 195 6 3 -- -48.9561.
345416 - 376,844-- 9.10%
TOTAL EXPENDITURES _- 5,10-,646 - 4,862,771 -
877,377 5.29 %'
- 2.V%
CHANGE IN FUND BALANCE -- (203,153) 136,950 ..
(95,175) (107,632)- - 1309%
BEGINNING FUND BALANCE 2,443,441 2,253,586 2,364,646 2,269,471
Park Dedication NET 13,298 (25,890)
INCREASE / (DECREASE) IN FUND 8 (203,153) 136,950 (95,175) (107,632)
ENDING FUND BALANCE 2,253,586 2,364,646 2,269,471 2,161,839
Beginning Fund Balance V 2,443,441 2,253,586 2,364,646 2,269,471
Nonsaendable for
Prepaid Items 1,740 2,934 - -
Liquor Fund Loan - Long Term 520,967 441,033 359,087 275,080
Restricted for
Park Dedication - - - -
Committed for
Interfund Loans - Deficit Cash - - 525,000
Assigned for
Severance Pay 180,851 188,428 200,000 210,000
Next Year Budget Deficit 204,569 95,174 140,000 100,000
Unassigned 1,345,459 1,637,077 1,570,384 1,051,759
Total Fund Balance 12131 /xx
Unassigned as a % of Exp
2,253,586 2,364,646
26% 34%
-1956-
2,269,471 2,161,839
31% 20%
3%
3492,6281
- - --
20,5001
-8.06%
661000.: 0.00%
.........193,199 358%
-. -- 1,555 87.04%
- -- 403,066, 2202 %;
_ - - -- 111,600] 14.34 %;
31,848 -- 56848: 78.50 %0
- 65 100 - 84,700 W, 11 %
1,622,250 1637,231 -- 0.92 %.
38,318 _- 195 6 3 -- -48.9561.
345416 - 376,844-- 9.10%
TOTAL EXPENDITURES _- 5,10-,646 - 4,862,771 -
877,377 5.29 %'
- 2.V%
CHANGE IN FUND BALANCE -- (203,153) 136,950 ..
(95,175) (107,632)- - 1309%
BEGINNING FUND BALANCE 2,443,441 2,253,586 2,364,646 2,269,471
Park Dedication NET 13,298 (25,890)
INCREASE / (DECREASE) IN FUND 8 (203,153) 136,950 (95,175) (107,632)
ENDING FUND BALANCE 2,253,586 2,364,646 2,269,471 2,161,839
Beginning Fund Balance V 2,443,441 2,253,586 2,364,646 2,269,471
Nonsaendable for
Prepaid Items 1,740 2,934 - -
Liquor Fund Loan - Long Term 520,967 441,033 359,087 275,080
Restricted for
Park Dedication - - - -
Committed for
Interfund Loans - Deficit Cash - - 525,000
Assigned for
Severance Pay 180,851 188,428 200,000 210,000
Next Year Budget Deficit 204,569 95,174 140,000 100,000
Unassigned 1,345,459 1,637,077 1,570,384 1,051,759
Total Fund Balance 12131 /xx
Unassigned as a % of Exp
2,253,586 2,364,646
26% 34%
-1956-
2,269,471 2,161,839
31% 20%
TOTAL EXPENDITURES _- 5,10-,646 - 4,862,771 -
877,377 5.29 %'
- 2.V%
CHANGE IN FUND BALANCE -- (203,153) 136,950 ..
(95,175) (107,632)- - 1309%
BEGINNING FUND BALANCE 2,443,441 2,253,586 2,364,646 2,269,471
Park Dedication NET 13,298 (25,890)
INCREASE / (DECREASE) IN FUND 8 (203,153) 136,950 (95,175) (107,632)
ENDING FUND BALANCE 2,253,586 2,364,646 2,269,471 2,161,839
Beginning Fund Balance V 2,443,441 2,253,586 2,364,646 2,269,471
Nonsaendable for
Prepaid Items 1,740 2,934 - -
Liquor Fund Loan - Long Term 520,967 441,033 359,087 275,080
Restricted for
Park Dedication - - - -
Committed for
Interfund Loans - Deficit Cash - - 525,000
Assigned for
Severance Pay 180,851 188,428 200,000 210,000
Next Year Budget Deficit 204,569 95,174 140,000 100,000
Unassigned 1,345,459 1,637,077 1,570,384 1,051,759
Total Fund Balance 12131 /xx
Unassigned as a % of Exp
2,253,586 2,364,646
26% 34%
-1956-
2,269,471 2,161,839
31% 20%
Nonsaendable for
Prepaid Items 1,740 2,934 - -
Liquor Fund Loan - Long Term 520,967 441,033 359,087 275,080
Restricted for
Park Dedication - - - -
Committed for
Interfund Loans - Deficit Cash - - 525,000
Assigned for
Severance Pay 180,851 188,428 200,000 210,000
Next Year Budget Deficit 204,569 95,174 140,000 100,000
Unassigned 1,345,459 1,637,077 1,570,384 1,051,759
Total Fund Balance 12131 /xx
Unassigned as a % of Exp
2,253,586 2,364,646
26% 34%
-1956-
2,269,471 2,161,839
31% 20%
Total Fund Balance 12131 /xx
Unassigned as a % of Exp
2,253,586 2,364,646
26% 34%
-1956-
2,269,471 2,161,839
31% 20%
City of Mound
General Fund Summary of Revenue and Expeditures
'Taxes-- - - -� -- -- -
-3520,0461 -�� 3
3,626,084 - -__-
__....
_._ 5,1
TOTALREVENUES-- - - - - -- - 4899,894 -- 4999,721 - -�
Expenditures
City Council - -- - -. -. 73,9277 70,674 -
Promotions - 69892', 66,000
City Manager /Clerk thru 2012 277,700- 181,444 _ - -
Elections '. 11,673: 393.
Finance & Admn - - - 294,572- -- --
Assessor .__. 96,431'._. -... _...
Legal _... -_ _._. 116340..._. -____
Centeniai Building 79,486 -
�InformationTechnology - - - - 36,004 - -
CityHall (24151Nilshire)�� -- -__._ __..._...
Police _ -_- _ -- 1,878,808 -- 1,
- rep _ __._ .. _. -
.Emergency Preparedness 4062
Planning & Inspections - - 307,530-
Streets _.__. .__._. _- _.._..906,336.._
Parks /Cemetary 493,167
Other - -_... -..._. ._......458280. -... -. _.. -1
3%
3492,6281
- - --
20,5001
-8.06%
661000.: 0.00%
.........193,199 358%
-. -- 1,555 87.04%
- -- 403,066, 2202 %;
_ - - -- 111,600] 14.34 %;
31,848 -- 56848: 78.50 %0
- 65 100 - 84,700 W, 11 %
1,622,250 1637,231 -- 0.92 %.
38,318 _- 195 6 3 -- -48.9561.
345416 - 376,844-- 9.10%
TOTAL EXPENDITURES _- 5,10-,646 - 4,862,771 -
877,377 5.29 %'
- 2.V%
CHANGE IN FUND BALANCE -- (203,153) 136,950 ..
(95,175) (107,632)- - 1309%
BEGINNING FUND BALANCE 2,443,441 2,253,586 2,364,646 2,269,471
Park Dedication NET 13,298 (25,890)
INCREASE / (DECREASE) IN FUND 8 (203,153) 136,950 (95,175) (107,632)
ENDING FUND BALANCE 2,253,586 2,364,646 2,269,471 2,161,839
Beginning Fund Balance V 2,443,441 2,253,586 2,364,646 2,269,471
Nonsaendable for
Prepaid Items 1,740 2,934 - -
Liquor Fund Loan - Long Term 520,967 441,033 359,087 275,080
Restricted for
Park Dedication - - - -
Committed for
Interfund Loans - Deficit Cash - - 525,000
Assigned for
Severance Pay 180,851 188,428 200,000 210,000
Next Year Budget Deficit 204,569 95,174 140,000 100,000
Unassigned 1,345,459 1,637,077 1,570,384 1,051,759
Total Fund Balance 12131 /xx
Unassigned as a % of Exp
2,253,586 2,364,646
26% 34%
-1956-
2,269,471 2,161,839
31% 20%
Finance & Admn - - - 294,572- -- --
Assessor .__. 96,431'._. -... _...
Legal _... -_ _._. 116340..._. -____
Centeniai Building 79,486 -
�InformationTechnology - - - - 36,004 - -
CityHall (24151Nilshire)�� -- -__._ __..._...
Police _ -_- _ -- 1,878,808 -- 1,
- rep _ __._ .. _. -
.Emergency Preparedness 4062
Planning & Inspections - - 307,530-
Streets _.__. .__._. _- _.._..906,336.._
Parks /Cemetary 493,167
Other - -_... -..._. ._......458280. -... -. _.. -1
3%
3492,6281
- - --
20,5001
-8.06%
661000.: 0.00%
.........193,199 358%
-. -- 1,555 87.04%
- -- 403,066, 2202 %;
_ - - -- 111,600] 14.34 %;
31,848 -- 56848: 78.50 %0
- 65 100 - 84,700 W, 11 %
1,622,250 1637,231 -- 0.92 %.
38,318 _- 195 6 3 -- -48.9561.
345416 - 376,844-- 9.10%
TOTAL EXPENDITURES _- 5,10-,646 - 4,862,771 -
877,377 5.29 %'
- 2.V%
CHANGE IN FUND BALANCE -- (203,153) 136,950 ..
(95,175) (107,632)- - 1309%
BEGINNING FUND BALANCE 2,443,441 2,253,586 2,364,646 2,269,471
Park Dedication NET 13,298 (25,890)
INCREASE / (DECREASE) IN FUND 8 (203,153) 136,950 (95,175) (107,632)
ENDING FUND BALANCE 2,253,586 2,364,646 2,269,471 2,161,839
Beginning Fund Balance V 2,443,441 2,253,586 2,364,646 2,269,471
Nonsaendable for
Prepaid Items 1,740 2,934 - -
Liquor Fund Loan - Long Term 520,967 441,033 359,087 275,080
Restricted for
Park Dedication - - - -
Committed for
Interfund Loans - Deficit Cash - - 525,000
Assigned for
Severance Pay 180,851 188,428 200,000 210,000
Next Year Budget Deficit 204,569 95,174 140,000 100,000
Unassigned 1,345,459 1,637,077 1,570,384 1,051,759
Total Fund Balance 12131 /xx
Unassigned as a % of Exp
2,253,586 2,364,646
26% 34%
-1956-
2,269,471 2,161,839
31% 20%
3%
3492,6281
- - --
20,5001
-8.06%
661000.: 0.00%
.........193,199 358%
-. -- 1,555 87.04%
- -- 403,066, 2202 %;
_ - - -- 111,600] 14.34 %;
31,848 -- 56848: 78.50 %0
- 65 100 - 84,700 W, 11 %
1,622,250 1637,231 -- 0.92 %.
38,318 _- 195 6 3 -- -48.9561.
345416 - 376,844-- 9.10%
TOTAL EXPENDITURES _- 5,10-,646 - 4,862,771 -
877,377 5.29 %'
- 2.V%
CHANGE IN FUND BALANCE -- (203,153) 136,950 ..
(95,175) (107,632)- - 1309%
BEGINNING FUND BALANCE 2,443,441 2,253,586 2,364,646 2,269,471
Park Dedication NET 13,298 (25,890)
INCREASE / (DECREASE) IN FUND 8 (203,153) 136,950 (95,175) (107,632)
ENDING FUND BALANCE 2,253,586 2,364,646 2,269,471 2,161,839
Beginning Fund Balance V 2,443,441 2,253,586 2,364,646 2,269,471
Nonsaendable for
Prepaid Items 1,740 2,934 - -
Liquor Fund Loan - Long Term 520,967 441,033 359,087 275,080
Restricted for
Park Dedication - - - -
Committed for
Interfund Loans - Deficit Cash - - 525,000
Assigned for
Severance Pay 180,851 188,428 200,000 210,000
Next Year Budget Deficit 204,569 95,174 140,000 100,000
Unassigned 1,345,459 1,637,077 1,570,384 1,051,759
Total Fund Balance 12131 /xx
Unassigned as a % of Exp
2,253,586 2,364,646
26% 34%
-1956-
2,269,471 2,161,839
31% 20%
TOTAL EXPENDITURES _- 5,10-,646 - 4,862,771 -
877,377 5.29 %'
- 2.V%
CHANGE IN FUND BALANCE -- (203,153) 136,950 ..
(95,175) (107,632)- - 1309%
BEGINNING FUND BALANCE 2,443,441 2,253,586 2,364,646 2,269,471
Park Dedication NET 13,298 (25,890)
INCREASE / (DECREASE) IN FUND 8 (203,153) 136,950 (95,175) (107,632)
ENDING FUND BALANCE 2,253,586 2,364,646 2,269,471 2,161,839
Beginning Fund Balance V 2,443,441 2,253,586 2,364,646 2,269,471
Nonsaendable for
Prepaid Items 1,740 2,934 - -
Liquor Fund Loan - Long Term 520,967 441,033 359,087 275,080
Restricted for
Park Dedication - - - -
Committed for
Interfund Loans - Deficit Cash - - 525,000
Assigned for
Severance Pay 180,851 188,428 200,000 210,000
Next Year Budget Deficit 204,569 95,174 140,000 100,000
Unassigned 1,345,459 1,637,077 1,570,384 1,051,759
Total Fund Balance 12131 /xx
Unassigned as a % of Exp
2,253,586 2,364,646
26% 34%
-1956-
2,269,471 2,161,839
31% 20%
Nonsaendable for
Prepaid Items 1,740 2,934 - -
Liquor Fund Loan - Long Term 520,967 441,033 359,087 275,080
Restricted for
Park Dedication - - - -
Committed for
Interfund Loans - Deficit Cash - - 525,000
Assigned for
Severance Pay 180,851 188,428 200,000 210,000
Next Year Budget Deficit 204,569 95,174 140,000 100,000
Unassigned 1,345,459 1,637,077 1,570,384 1,051,759
Total Fund Balance 12131 /xx
Unassigned as a % of Exp
2,253,586 2,364,646
26% 34%
-1956-
2,269,471 2,161,839
31% 20%
Total Fund Balance 12131 /xx
Unassigned as a % of Exp
2,253,586 2,364,646
26% 34%
-1956-
2,269,471 2,161,839
31% 20%
CITY OF MOUND
TAX LEVY RECAP
Fund' :Desaiptiori'
,,'T e
'2012
^-2033.
5,544,362
015-
-2.24%
4.31%
- 1.18%
1.75%
REVENUE LEVY
101
Revenue - General
Revenue
3,474,798
3,544,294
3,394,294
3,496,123
222
Fire Relief Contribution
Special
82,069
83,782
78,920
67,171
355
G.O. Tax Increment -20136
Special
45,000
45,000
45,000
45,000
368
G.O. Improvement -2005A
Special
85,000
85,000
85,000
-
3xx
G.O. Refunding -20146
Special
4,923,126
5,108,757
4,991,042
85,000
369
G.O. Improvement -2006A
Special
58,000
58,000
62,000
62,000
361
G.O. Improvement -2007A
Special
128,000
128,000
128,000
128,000
362
G.O. Improvement -20088
Special
63,000
63,000
63,000
63,000
334
G.O. Equipment Certificate - 2008D
Special
46,400
-
-
-
363
G.O. Improvement -2009A
Special
235,000
215,600
215,600
215,600
335
G.O. Equipment Certificate - 2009C
Special
7,850
46,675
28,425
-
375
G.O. Tax Increment- 2009D (Dump)
Special
125,048
214,400
200,000
200,000
370
G.O. Refunding -2011A
Special
387,190
376,923
367,440
362,736
364
G.O. Improvement -20118
Special
191,368
191,105
190,685
190,108
365
G.O. Improvement -2012A
Special
-
113,181
110,346
107,511
371
G.O. Refunding - 2012B (PS Building) Special
357,500
349,000
349,000
349,000
310
G.O. Improvement -2013A
Special
-
-
131,154
133,044
3xx
G.O. Improvement -2014A
Special
40,069
TOTAL LEVY
5,286,223
5,513,960
5,448,864
5,544,362
CHANGE FROM PRIOR YEAR
-2.24%
4.31%
- 1.18%
1.75%
REVENUE LEVY
3,474,798
3,544,294
3,394,294
3,496,123
CHANGE FROM PRIOR YEAR
-6.75%
2.00%
-4.23%
3.00%
SPECIAL LEVY
1,811,425
1,969,666
2,054,570
2,048,239
CHANGE FROM PRIOR YEAR
7.75%
8.74%
4.31%
-0.31%
TOTAL LEVY
220,823
191,194
182,728
177,835
LESS: FISCAL DISPARITIES LEVY
(16,397)
(16,830)
(15,629)
285
HRA - Operating
HRA
48,498
16,854
7,541
944
350
HRA - Limited Tax Pledge - 2006
HRA
172,325
174,340
175,187
176,891
TOTAL LEVY
220,823
191,194
182,728
177,835
LESS: FISCAL DISPARITIES LEVY
(16,397)
(16,830)
(15,629)
-
NET LEVY
204,426
174,364
167,099
177,835
CHANGE FROM PRIOR YEAR
- 10.28%
- 14.71%
-4.17%
6.429%
1,`gxd2ateCelculatibrt ,'',2F52a.;'"'€;w
` x;6.,.a..A
CERTIFIED LEVY
5,286,223
5,513,960
5,448,864
5,544,362
LESS: FISCAL DISPARITIES LEVY
(363,097)
(405,203)
(457,822)
(396,685)
NET LEVY
4,923,126
5,108,757
4,991,042
5,147,677
MUNICIPAL TAX RATE
47.525%
54.709%
55.243%
48.335%
HRA TAX RATE
1.973%
1.867%
1.850%
1.670%
TOTAL DIRECT TAX RATE
49.499%
56.577%
57.092%
50.005%
;': J?iipgbYe 7aKes lVafu ' iWaiii�,) ;
`,,,ti " 0 'Ke
150,000
$
742
$ 849 $
856
$ 750
225,000
$
1,114
$ 1,273 $
1,285
$ 1,125
400,000
$
1,980
$ 2,263 $
2,284
$ 2,000
600,000
$
3,094
$ 3,536 $
3,568
$ 3,125
1,000,000
$
5,569
$ 6,365 $
6,423
$ 5,626
-1957-
SAFINANCE DEPT \BUDGET \2015 \Budget Working File \2015- BUDGET COMBINED Working File.xis 9/4/2014
CITY OF MOUND
TAX LEVY RECAP
Fund' :Desaiptiori'
,,'T e
'2012
^-2033.
5,544,362
015-
-2.24%
4.31%
- 1.18%
1.75%
REVENUE LEVY
101
Revenue - General
Revenue
3,474,798
3,544,294
3,394,294
3,496,123
222
Fire Relief Contribution
Special
82,069
83,782
78,920
67,171
355
G.O. Tax Increment -20136
Special
45,000
45,000
45,000
45,000
368
G.O. Improvement -2005A
Special
85,000
85,000
85,000
-
3xx
G.O. Refunding -20146
Special
4,923,126
5,108,757
4,991,042
85,000
369
G.O. Improvement -2006A
Special
58,000
58,000
62,000
62,000
361
G.O. Improvement -2007A
Special
128,000
128,000
128,000
128,000
362
G.O. Improvement -20088
Special
63,000
63,000
63,000
63,000
334
G.O. Equipment Certificate - 2008D
Special
46,400
-
-
-
363
G.O. Improvement -2009A
Special
235,000
215,600
215,600
215,600
335
G.O. Equipment Certificate - 2009C
Special
7,850
46,675
28,425
-
375
G.O. Tax Increment- 2009D (Dump)
Special
125,048
214,400
200,000
200,000
370
G.O. Refunding -2011A
Special
387,190
376,923
367,440
362,736
364
G.O. Improvement -20118
Special
191,368
191,105
190,685
190,108
365
G.O. Improvement -2012A
Special
-
113,181
110,346
107,511
371
G.O. Refunding - 2012B (PS Building) Special
357,500
349,000
349,000
349,000
310
G.O. Improvement -2013A
Special
-
-
131,154
133,044
3xx
G.O. Improvement -2014A
Special
40,069
TOTAL LEVY
5,286,223
5,513,960
5,448,864
5,544,362
CHANGE FROM PRIOR YEAR
-2.24%
4.31%
- 1.18%
1.75%
REVENUE LEVY
3,474,798
3,544,294
3,394,294
3,496,123
CHANGE FROM PRIOR YEAR
-6.75%
2.00%
-4.23%
3.00%
SPECIAL LEVY
1,811,425
1,969,666
2,054,570
2,048,239
CHANGE FROM PRIOR YEAR
7.75%
8.74%
4.31%
-0.31%
TOTAL LEVY
220,823
191,194
182,728
177,835
LESS: FISCAL DISPARITIES LEVY
(16,397)
(16,830)
(15,629)
285
HRA - Operating
HRA
48,498
16,854
7,541
944
350
HRA - Limited Tax Pledge - 2006
HRA
172,325
174,340
175,187
176,891
TOTAL LEVY
220,823
191,194
182,728
177,835
LESS: FISCAL DISPARITIES LEVY
(16,397)
(16,830)
(15,629)
-
NET LEVY
204,426
174,364
167,099
177,835
CHANGE FROM PRIOR YEAR
- 10.28%
- 14.71%
-4.17%
6.429%
1,`gxd2ateCelculatibrt ,'',2F52a.;'"'€;w
` x;6.,.a..A
CERTIFIED LEVY
5,286,223
5,513,960
5,448,864
5,544,362
LESS: FISCAL DISPARITIES LEVY
(363,097)
(405,203)
(457,822)
(396,685)
NET LEVY
4,923,126
5,108,757
4,991,042
5,147,677
MUNICIPAL TAX RATE
47.525%
54.709%
55.243%
48.335%
HRA TAX RATE
1.973%
1.867%
1.850%
1.670%
TOTAL DIRECT TAX RATE
49.499%
56.577%
57.092%
50.005%
;': J?iipgbYe 7aKes lVafu ' iWaiii�,) ;
`,,,ti " 0 'Ke
150,000
$
742
$ 849 $
856
$ 750
225,000
$
1,114
$ 1,273 $
1,285
$ 1,125
400,000
$
1,980
$ 2,263 $
2,284
$ 2,000
600,000
$
3,094
$ 3,536 $
3,568
$ 3,125
1,000,000
$
5,569
$ 6,365 $
6,423
$ 5,626
-1957-
SAFINANCE DEPT \BUDGET \2015 \Budget Working File \2015- BUDGET COMBINED Working File.xis 9/4/2014
MINUTES
MOUND ADVISORY PLANNING COMMISSION
JULY 1, 2014
Chair Penner called the meeting to order at 7:00 pm.
ROLL CALL
Members present: Chair Cynthia Penner; Commissioners Douglas Gawtry, David Goode, Kelvin
Retterath, Jameson Smieja, Bill Stone and Mark Wegscheid. Absent: Jeffrey Bergquist. Staff
present: Community Development Director Sarah Smith, Consultant Planner Rita Trapp and
Secretary Jill Norlander.
APPROVE MEETING AGENDA
Smith is requesting a 2nd meeting in July. Informational workshop on the water.
MOTION by Wegscheid, second by Goode, to approve the agenda as amended. MOTION
carried unanimously.
APPROVE MEETING MINUTES FOR JUNE 3 2014
MOTION by Stone, second by Gawtry, to approve the June 3, 2014 minutes. MOTION carried
unanimously.
BOARD OF APPEALS
Discussion /action — Review of amendment to zoning ordinance related to swimming pool
covers
Smith reviewed the history of the pool cover issue. A proposed ordinance has been drafted for
review. The ASTM minimum standard will be required.
Retterath commented that there might be a need for a clause requiring regular maintenance.
Smieja stated that he felt satisfied that the ordinance correctly placed the responsibility on the
property owner.
Retterath said that, if it passed the City Attorney's review it is good enough for him.
MOTION by Wegscheid, second by Gawtry, to recommend approving the changes. MOTION
carried unanimously.
-1958-
MINUTES
MOUND ADVISORY PLANNING COMMISSION
JULY 1, 2014
Chair Penner called the meeting to order at 7:00 pm.
ROLL CALL
Members present: Chair Cynthia Penner; Commissioners Douglas Gawtry, David Goode, Kelvin
Retterath, Jameson Smieja, Bill Stone and Mark Wegscheid. Absent: Jeffrey Bergquist. Staff
present: Community Development Director Sarah Smith, Consultant Planner Rita Trapp and
Secretary Jill Norlander.
APPROVE MEETING AGENDA
Smith is requesting a 2nd meeting in July. Informational workshop on the water.
MOTION by Wegscheid, second by Goode, to approve the agenda as amended. MOTION
carried unanimously.
APPROVE MEETING MINUTES FOR JUNE 3 2014
MOTION by Stone, second by Gawtry, to approve the June 3, 2014 minutes. MOTION carried
unanimously.
BOARD OF APPEALS
Discussion /action — Review of amendment to zoning ordinance related to swimming pool
covers
Smith reviewed the history of the pool cover issue. A proposed ordinance has been drafted for
review. The ASTM minimum standard will be required.
Retterath commented that there might be a need for a clause requiring regular maintenance.
Smieja stated that he felt satisfied that the ordinance correctly placed the responsibility on the
property owner.
Retterath said that, if it passed the City Attorney's review it is good enough for him.
MOTION by Wegscheid, second by Gawtry, to recommend approving the changes. MOTION
carried unanimously.
-1958-
OLD /NEW BUSINESS
Planning Commission refresher — variance criteria and parliamentary procedure
Per request from the commission, Staff reviewed parliamentary procedure, and the variance
and expansion permit process.
Commissioner Retterath discussion regarding stormwater management techniques and
accessory dwelling units
Retterath presented alternatives to the traditional pavers to mitigate hardcover requirements.
One is an engineered rain garden solution with hardcover credit for the property; another is a
percolating system similar to a sanitary sewer drain field.
Retterath provided a proposed ordinance for consideration allowing accessory dwelling units
(mother -in -law apartments).
MOTION by Retterath, second by Smieja, to recommend staff move the rain gardens and
subsurface driveway drainage to City Council for consideration. MOTION carried unanimously.
MOTION by Smieja, second by Retterath, to recommend City Council direct Staff to further
investigate accessory dwelling units and improve the distinction between this and a duplex.
MOTION carried. Voting for: Retterath, Stone, Penner, Goode and Smieja. Voting against:
Gawtry and Wegscheid
Gawtry stated that, in his experience, there is significant tax on staff time to regulate.
Wegscheid felt it wasn't a good fit for our community and agrees that regulation would be
significant.
Meeting Schedule
There is an extra meeting proposed on July 15th. (Goode will be unable to attend.)
August 5th has been rescheduled August 191h due to Night to Unite. ( Gawtry will be unable to
attend.)
MOTION by Gawtry, second by Smieja, to add July 151h as a second meeting. MOTION carried
unanimously.
Upcoming Projects
- Expansion permit regulations — to be discussed in a future meeting
- Animal regulations and proposed modifications to City Code — proposed to bring the
formal ordinance August 19th
Staff /Liaison Update
-1959-
OLD /NEW BUSINESS
Planning Commission refresher — variance criteria and parliamentary procedure
Per request from the commission, Staff reviewed parliamentary procedure, and the variance
and expansion permit process.
Commissioner Retterath discussion regarding stormwater management techniques and
accessory dwelling units
Retterath presented alternatives to the traditional pavers to mitigate hardcover requirements.
One is an engineered rain garden solution with hardcover credit for the property; another is a
percolating system similar to a sanitary sewer drain field.
Retterath provided a proposed ordinance for consideration allowing accessory dwelling units
(mother -in -law apartments).
MOTION by Retterath, second by Smieja, to recommend staff move the rain gardens and
subsurface driveway drainage to City Council for consideration. MOTION carried unanimously.
MOTION by Smieja, second by Retterath, to recommend City Council direct Staff to further
investigate accessory dwelling units and improve the distinction between this and a duplex.
MOTION carried. Voting for: Retterath, Stone, Penner, Goode and Smieja. Voting against:
Gawtry and Wegscheid
Gawtry stated that, in his experience, there is significant tax on staff time to regulate.
Wegscheid felt it wasn't a good fit for our community and agrees that regulation would be
significant.
Meeting Schedule
There is an extra meeting proposed on July 15th. (Goode will be unable to attend.)
August 5th has been rescheduled August 191h due to Night to Unite. ( Gawtry will be unable to
attend.)
MOTION by Gawtry, second by Smieja, to add July 151h as a second meeting. MOTION carried
unanimously.
Upcoming Projects
- Expansion permit regulations — to be discussed in a future meeting
- Animal regulations and proposed modifications to City Code — proposed to bring the
formal ordinance August 19th
Staff /Liaison Update
-1959-
Community Service Officer Mike Wocken accepted new position with Minnetrista.
Cases from June went to the City Council and all were approved (Bluebird, Driftwood, Shoreline,
and Bartlett).
Letter of resignation from Pete Wiechert was received. Vacancy will be addressed with the
regular term renewals this fall.
Workshop
Workshop on the Water discussed. Workshop will be noticed as a potential meeting to avoid
meeting rule issues.
ADJOURNMENT
MOTION by Penner, second by Gawtry, to adjourn at 9:03 p.m. MOTION carried unanimously.
Submitted by Jill Norlander
-1960-
Community Service Officer Mike Wocken accepted new position with Minnetrista.
Cases from June went to the City Council and all were approved (Bluebird, Driftwood, Shoreline,
and Bartlett).
Letter of resignation from Pete Wiechert was received. Vacancy will be addressed with the
regular term renewals this fall.
Workshop
Workshop on the Water discussed. Workshop will be noticed as a potential meeting to avoid
meeting rule issues.
ADJOURNMENT
MOTION by Penner, second by Gawtry, to adjourn at 9:03 p.m. MOTION carried unanimously.
Submitted by Jill Norlander
-1960-
MINUTES
MOUND ADVISORY PLANNING COMMISSION
JULY 15.2014
Chair Penner called the meeting to order at 7:00 pm.
ROLL CALL
Members present: Chair Cynthia Penner; Commissioners Jeffrey Bergquist, Douglas Gawtry
(7:02), Kelvin Retterath (7:03), Jameson Smieja, Bill Stone and Mark Wegscheid. Absent: David
Goode. Staff present: Community Development Director Sarah Smith and Secretary Jill
Norlander
Public present: Jason Baker, 1784 Jones Lane; Larry Baker, Maple Grove
BOARD OF APPEALS
Planning Case No. 14 -13 Variance
Property -1784 Jones Lane Applicant —Jason and Christine Baker
Smith introduced the variance request for a house addition /remodel project. Variance
approval is requested to allow a front setback of 27.54 feet instead of the required 30 feet.
The 12,402 square foot property is located on the south side of Jones Lane and has frontage on
Lake Minnetonka. The requested variance is for a 13' x 23' addition to the front (north) of the
existing home and a 6'x 24' expansion to the attached garage.
Staff is recommending approval of the request with 11 conditions and 7 findings of fact.
Wegscheid agrees with staff assessment all the way through.
Retterath asked about the inside wall.
Jason Baker, 1784 Jones Lane, said that there was reportedly a fire that occurred before they
owned the property. The wall is about 17 to 18 feet from the door and delineates a storage
room /workshop area. it makes the front of the garage about 24 wide by 18.5 deep.
Retterath asked about the reason for 6 foot garage expansion. Why not build it conforming?
Baker said that they put in a dormer above the garage for aesthetics for the neighbors and they
are changing the pitch of garage to match house. The resulting 3/12 pitch would cause
problems with snow.
-1961-
MINUTES
MOUND ADVISORY PLANNING COMMISSION
JULY 15.2014
Chair Penner called the meeting to order at 7:00 pm.
ROLL CALL
Members present: Chair Cynthia Penner; Commissioners Jeffrey Bergquist, Douglas Gawtry
(7:02), Kelvin Retterath (7:03), Jameson Smieja, Bill Stone and Mark Wegscheid. Absent: David
Goode. Staff present: Community Development Director Sarah Smith and Secretary Jill
Norlander
Public present: Jason Baker, 1784 Jones Lane; Larry Baker, Maple Grove
BOARD OF APPEALS
Planning Case No. 14 -13 Variance
Property -1784 Jones Lane Applicant —Jason and Christine Baker
Smith introduced the variance request for a house addition /remodel project. Variance
approval is requested to allow a front setback of 27.54 feet instead of the required 30 feet.
The 12,402 square foot property is located on the south side of Jones Lane and has frontage on
Lake Minnetonka. The requested variance is for a 13' x 23' addition to the front (north) of the
existing home and a 6'x 24' expansion to the attached garage.
Staff is recommending approval of the request with 11 conditions and 7 findings of fact.
Wegscheid agrees with staff assessment all the way through.
Retterath asked about the inside wall.
Jason Baker, 1784 Jones Lane, said that there was reportedly a fire that occurred before they
owned the property. The wall is about 17 to 18 feet from the door and delineates a storage
room /workshop area. it makes the front of the garage about 24 wide by 18.5 deep.
Retterath asked about the reason for 6 foot garage expansion. Why not build it conforming?
Baker said that they put in a dormer above the garage for aesthetics for the neighbors and they
are changing the pitch of garage to match house. The resulting 3/12 pitch would cause
problems with snow.
-1961-
Retterath stated that, if garage wall and dormer was set behind the 30' line, the pitches could
remain the same. The eaves would be a little higher and the dormer would be 6 inches higher.
He is struggling with the garage when it could be tucked behind the setback line.
Discussion
Retterath — look at floor plan of house addition, the angle of the lot is working against us. The
interior layout of stairs, everything is snuggled in just right. It's the growth of the garage that
bothers him. Why have setbacks if we don't enforce them. It's all reasonable but just because
it's reasonable doesn't mean it should be allowed. Irregularity of the lot has nothing to do with
the garage size issue.
MOTION by Bergquist, second by Gawtry, to recommend approval of the variance as
recommended by Staff subject to conditions 1 -11 and findings of fact 1 -7. MOTION carried.
Voting for: Penner, Bergquist, Gawtry, Smieja, Stone and Wegscheid Voting against: Retterath
ADJOURNMENT
MOTION by Penner, second by Gawtry, to adjourn at 7:22 p.m. MOTION carried unanimously.
Submitted by Jill Norlander
-1962-
Retterath stated that, if garage wall and dormer was set behind the 30' line, the pitches could
remain the same. The eaves would be a little higher and the dormer would be 6 inches higher.
He is struggling with the garage when it could be tucked behind the setback line.
Discussion
Retterath — look at floor plan of house addition, the angle of the lot is working against us. The
interior layout of stairs, everything is snuggled in just right. It's the growth of the garage that
bothers him. Why have setbacks if we don't enforce them. It's all reasonable but just because
it's reasonable doesn't mean it should be allowed. Irregularity of the lot has nothing to do with
the garage size issue.
MOTION by Bergquist, second by Gawtry, to recommend approval of the variance as
recommended by Staff subject to conditions 1 -11 and findings of fact 1 -7. MOTION carried.
Voting for: Penner, Bergquist, Gawtry, Smieja, Stone and Wegscheid Voting against: Retterath
ADJOURNMENT
MOTION by Penner, second by Gawtry, to adjourn at 7:22 p.m. MOTION carried unanimously.
Submitted by Jill Norlander
-1962-
-1963-
Harbor Wine & Spirits 2014
Date
Cust 14
Cust 13
Variance
Sales 2014
Sales 2013
Difference +/_
Cash
January
February
8,851
8,587
8,714
8,614
137
192,445.57
184,339.57
8,106.00
-47.59
March
9,099
9,237
-27
-138
190,271.10
211,432.20
200,423.60
207,569.80
- 10,152.50
-25.19
April
May
9,601
12,520
9,100
501
210,788.96
196,147.79
3,862.40
14,641.17
-6.97
-0.85
June
10,987
10,590
10,827
1,930
274,669.39
243,744.83
30,924.56
-32.79
July
12,336
12,196
160
140
253,357.01
296,219.94
257,333.00
299,483.48
- 3,975.99
-14.82
August
September
10,644
12,806
-2,162
286,090.73
304,315.79
- 3,263.54
- 18,225.06
-64.21
-17.71
October
10,183
10,339
- 10,183
- 10,339
213,541.40
- 213,541.40
November
10,184
- 10,184
234,353.00
241,629.40
- 234,353.00
- 241,629.40
December
11,023
- 11,023
291,300.67
- 291,300.67
Totals
82,625
123,813
- 41,188 2,874,182.33
*######*##
- 958,907.43
- 210.13
83o$q
(189) 1111 N D
1113351.9fo
21111,01
-1963-
-1963-
Harbor Wine & Spirits 2014
Date
Cust 14
Cust 13
Variance
Sales 2014
Sales 2013
Difference +/_
Cash
January
February
8,851
8,587
8,714
8,614
137
192,445.57
184,339.57
8,106.00
-47.59
March
9,099
9,237
-27
-138
190,271.10
211,432.20
200,423.60
207,569.80
- 10,152.50
-25.19
April
May
9,601
12,520
9,100
501
210,788.96
196,147.79
3,862.40
14,641.17
-6.97
-0.85
June
10,987
10,590
10,827
1,930
274,669.39
243,744.83
30,924.56
-32.79
July
12,336
12,196
160
140
253,357.01
296,219.94
257,333.00
299,483.48
- 3,975.99
-14.82
August
September
10,644
12,806
-2,162
286,090.73
304,315.79
- 3,263.54
- 18,225.06
-64.21
-17.71
October
10,183
10,339
- 10,183
- 10,339
213,541.40
- 213,541.40
November
10,184
- 10,184
234,353.00
241,629.40
- 234,353.00
- 241,629.40
December
11,023
- 11,023
291,300.67
- 291,300.67
Totals
82,625
123,813
- 41,188 2,874,182.33
*######*##
- 958,907.43
- 210.13
83o$q
(189) 1111 N D
1113351.9fo
21111,01
-1963-
Date Weather Cust 14 Cust 13 Variance 2014 2013 Difference +/- Cash +/-
1/1/2014
1/2/2014 ovrest 0
238
220
18
4645.69
4662.43
-16.74
-0.46
1/3/2014 ovrest 15
427
220
207
10022.69
3940.08
6082.61
0.5
1/4/2014 ovrest -5
548
439
109
12982.75
9703.68
3279.07
0.11
1/5/2014
629
-629
14846.25
- 14846.25
1/6/2014 cidy -12
241
0
241
4304.37
0
4304.37
0.6
1/7/2014 pt sun -5
269
233
36
5117.35
4080.65
1036.7
-8.96
1/8/2014 pt sun 5
240
236
4
5167.47
4498.67
668.8
-10.09
1/9/2014 pt sun 18
265
243
22
4770.9
4479.36
291.54
0.32
1/10/2014 cldy28
474
255
219
11306.26
4852.82
6453.44
-1.68
1/11/2014 cidy 32
566
543
23
13960.14
12701.35
1258.79
-0.3
1/12/2014
530
-530
12030.83
- 12030.83
1/1312014 pt sun 28
261
0
261
4499.3
0
4499.3
0.28
1114/2014 snow 18
249
254
-5
4573.64
4731.89
- 158.25
-2.84
1/15/2014 ovrest 20
239
262
-23
4343.36
4909.87
- 566.51
-0.29
1/16/2014 wind 10
258
255
3
5591.16
4658.74
932.42
0.25
1/17/2014 sun 05
492
237
255
12251.08
5022.92
7228.16
0.27
1/18/2014 snow 18
521
515
6
12589.53
11762.03
827.5
1
1/19/2014
537
-537
12063.89
- 12063.89
1/20/2014 snow 20s
238
0
238
4469.22
0
4469.22
-1.93
1/21/2014 cidy 0
267
201
66
5182.01
3506.99
1675.02
-3.65
1/22/2014 sun -5
207
266
-59
4047.36
5159.05
- 1111.69
-1.11
1/23/2014 pt sun -7
260
247
13
5271.83
4512.26
759.57
-8.98
1/2412014 cidy It snw
543
286
257
12602.9
5779.76
6823.14
0.58
1/25/2014 cidy 15
500
516
-16
11868.06
12268.6
- 400.54
-0.16
1/26/2014
533
-533
12011.68
- 12011.68
1/27/2014 pt sun -9
276
0
276
5300.63
0
5300.63
-0.85
1/28/2014 pt sun -10
237
258
-21
4549.01
5082.08
- 533.07
0.14
1/29/2014 sun 15
265
270
-5
4661.08
5097.62
- 436.54
-9.94
1/30/2014 5'snow 20
259
242
17
5590.73
5403.19
187.54
-0.92
1/31/2014 sun 5
511
287
224
12777.05
6572.88
6204.17
1.24
Totals
8851
8714
137
192445.57
'184339.6
8105.97
-47.59
-1964-
Date Weather Cust 14 Cust 13 Variance 2014 2013 Difference +/- Cash +/-
1/1/2014
1/2/2014 ovrest 0
238
220
18
4645.69
4662.43
-16.74
-0.46
1/3/2014 ovrest 15
427
220
207
10022.69
3940.08
6082.61
0.5
1/4/2014 ovrest -5
548
439
109
12982.75
9703.68
3279.07
0.11
1/5/2014
629
-629
14846.25
- 14846.25
1/6/2014 cidy -12
241
0
241
4304.37
0
4304.37
0.6
1/7/2014 pt sun -5
269
233
36
5117.35
4080.65
1036.7
-8.96
1/8/2014 pt sun 5
240
236
4
5167.47
4498.67
668.8
-10.09
1/9/2014 pt sun 18
265
243
22
4770.9
4479.36
291.54
0.32
1/10/2014 cldy28
474
255
219
11306.26
4852.82
6453.44
-1.68
1/11/2014 cidy 32
566
543
23
13960.14
12701.35
1258.79
-0.3
1/12/2014
530
-530
12030.83
- 12030.83
1/1312014 pt sun 28
261
0
261
4499.3
0
4499.3
0.28
1114/2014 snow 18
249
254
-5
4573.64
4731.89
- 158.25
-2.84
1/15/2014 ovrest 20
239
262
-23
4343.36
4909.87
- 566.51
-0.29
1/16/2014 wind 10
258
255
3
5591.16
4658.74
932.42
0.25
1/17/2014 sun 05
492
237
255
12251.08
5022.92
7228.16
0.27
1/18/2014 snow 18
521
515
6
12589.53
11762.03
827.5
1
1/19/2014
537
-537
12063.89
- 12063.89
1/20/2014 snow 20s
238
0
238
4469.22
0
4469.22
-1.93
1/21/2014 cidy 0
267
201
66
5182.01
3506.99
1675.02
-3.65
1/22/2014 sun -5
207
266
-59
4047.36
5159.05
- 1111.69
-1.11
1/23/2014 pt sun -7
260
247
13
5271.83
4512.26
759.57
-8.98
1/2412014 cidy It snw
543
286
257
12602.9
5779.76
6823.14
0.58
1/25/2014 cidy 15
500
516
-16
11868.06
12268.6
- 400.54
-0.16
1/26/2014
533
-533
12011.68
- 12011.68
1/27/2014 pt sun -9
276
0
276
5300.63
0
5300.63
-0.85
1/28/2014 pt sun -10
237
258
-21
4549.01
5082.08
- 533.07
0.14
1/29/2014 sun 15
265
270
-5
4661.08
5097.62
- 436.54
-9.94
1/30/2014 5'snow 20
259
242
17
5590.73
5403.19
187.54
-0.92
1/31/2014 sun 5
511
287
224
12777.05
6572.88
6204.17
1.24
Totals
8851
8714
137
192445.57
'184339.6
8105.97
-47.59
-1964-
Harbor Wine & Spirits February 2014
Date
Weather
Cust 14
Cust 13
Variance
2014
2013
Difference +/-
Cash =/-
2/1/2014
ovrest 15
672
509
163
17430.07
12047.74
5382.33
-0.57
2/2/2014
625
-625
16691.53
- 16691.53
2/3/2014
sun 10
209
209
3740.06
3740.06
0.05
2/4/2014
sun 10
254
226
28
4802.97
4638.25
164.72
-2.02
2/5/2014
sun 10
245
279
-34
4489.99
5512.54
- 1022.55
0.16
2/6/2014
sun 15
246
205
41
4945.97
3810.56
1135.41
-0.53
2/7/2014
sun 12
495
262
233
13569.02
4927.71
8641.31
-6.07
2/8/2014
ovrest 5
524
482
42
12310.28
10868.91
1441.37
0.36
2/9/2014
554
-554
15788.59
- 15788.59
2/10/2014
sun 01
217
217
3676.25
3676.25
2.07
2/11/2014
ovrest 5
280
236
44
5369.73
4213.09
1156.64
0.63
2/12/2014
sun 17
274
448
-174
5385.48
14398.06
- 9012.58
-1.1
2/13/2014
sun wnd 22
298
250
48
5741.18
5132.09
609.09
0.08
2/14/2014
sun 20
534
326
208
13731.14
7442.84
6288.3
0
2/15/2014
pt sun 22
468
441
27
11083.12
10540.04
543.08
-1.32
2/1612014
547
-547
13085.72
- 13085.72
2/17/2014
pt sun 18
249
249
4592.86
4592.86
1.21
2/18/2014
sun 36
295
235
60
5776.16
5019.97
756.19
-0.18
2/19/2014
sun 41
288
273
15
5495.66
5277.45
218.21
-1.54
2/20/2014
8 "snw 29
376
234
142
7837.8
4188.3
3649.5
-9.37
2/21/2014
pt sun 9
531
286
245
12603.33
5861.51
6741.82
6.29
2/22/2014
pt sun 15
543
532
11
13689.04
12738.1
950.94
-13.5
2/2312014
549
-549
14231.89
- 14231.89
2/24/2014
pt sun 5
253
253
4479.68
4479.68
0.5
2/25/2014
sun 01
246
254
-8
5167.33
5523.05
- 355.72
2/26/2014
sun 10
273
300
-27
5080.36
6371.6
- 1291.24
-0.15
2127/2014
pt sun 20
246
262
-16
5850.65
5370.78
479.87
-0.19
2/28/2014
sun 01
571
299
272
13423.01
6743.32
6679.69
2/29/2014
0
0
Totals
8587 8614 -27 190271.1 200423.6
1965-
10152.5 -25.19
Harbor Wine & Spirits February 2014
Date
Weather
Cust 14
Cust 13
Variance
2014
2013
Difference +/-
Cash =/-
2/1/2014
ovrest 15
672
509
163
17430.07
12047.74
5382.33
-0.57
2/2/2014
625
-625
16691.53
- 16691.53
2/3/2014
sun 10
209
209
3740.06
3740.06
0.05
2/4/2014
sun 10
254
226
28
4802.97
4638.25
164.72
-2.02
2/5/2014
sun 10
245
279
-34
4489.99
5512.54
- 1022.55
0.16
2/6/2014
sun 15
246
205
41
4945.97
3810.56
1135.41
-0.53
2/7/2014
sun 12
495
262
233
13569.02
4927.71
8641.31
-6.07
2/8/2014
ovrest 5
524
482
42
12310.28
10868.91
1441.37
0.36
2/9/2014
554
-554
15788.59
- 15788.59
2/10/2014
sun 01
217
217
3676.25
3676.25
2.07
2/11/2014
ovrest 5
280
236
44
5369.73
4213.09
1156.64
0.63
2/12/2014
sun 17
274
448
-174
5385.48
14398.06
- 9012.58
-1.1
2/13/2014
sun wnd 22
298
250
48
5741.18
5132.09
609.09
0.08
2/14/2014
sun 20
534
326
208
13731.14
7442.84
6288.3
0
2/15/2014
pt sun 22
468
441
27
11083.12
10540.04
543.08
-1.32
2/1612014
547
-547
13085.72
- 13085.72
2/17/2014
pt sun 18
249
249
4592.86
4592.86
1.21
2/18/2014
sun 36
295
235
60
5776.16
5019.97
756.19
-0.18
2/19/2014
sun 41
288
273
15
5495.66
5277.45
218.21
-1.54
2/20/2014
8 "snw 29
376
234
142
7837.8
4188.3
3649.5
-9.37
2/21/2014
pt sun 9
531
286
245
12603.33
5861.51
6741.82
6.29
2/22/2014
pt sun 15
543
532
11
13689.04
12738.1
950.94
-13.5
2/2312014
549
-549
14231.89
- 14231.89
2/24/2014
pt sun 5
253
253
4479.68
4479.68
0.5
2/25/2014
sun 01
246
254
-8
5167.33
5523.05
- 355.72
2/26/2014
sun 10
273
300
-27
5080.36
6371.6
- 1291.24
-0.15
2127/2014
pt sun 20
246
262
-16
5850.65
5370.78
479.87
-0.19
2/28/2014
sun 01
571
299
272
13423.01
6743.32
6679.69
2/29/2014
0
0
Totals
8587 8614 -27 190271.1 200423.6
1965-
10152.5 -25.19
Harbor Wine & Spirits March 2014
Date Weather
3/1/2014 ovrcast05
3/2/2014
3/3/2014 overcast -5
3/4/2014 overcast 20
3/512014 overcast 28
3/6/2014 overcast 26
3/7/2014 overcast 30
3/8/2014 pt sun 33
3/9/2014
3/10/2014 sun 53
3/11/2014 SUN 47
3/12/2014 sun 25
3113/2014 sun 32
3/14/2014 overcast 40
3/15/2014 overcast hi 20s
3/16/2014
3/17/2014 pt sun 32
3/18/2014 wet snw It 28
3/19/2014 ovrcast35
312012014 sun 40
3/21/2014 overcast 40
3/22/2014 sun 30s
3/23/2014
3/24/2014 ovrest20
3/25/2014 sun 20
3/26/2014 windy 30s
3/27/2014 rain /snow
3/28/2014 ovrest 30s
3/29/2014 sun 40s
3/30/2014
3/31/2014 pt sun 45
Totals
Cust 14 Cust 13 Variance 2014 2013 Difference +/- Cash +/-
501
527
-26
13668.95
13305.15
363.80
1.06
572
-572
14833.47
271
271
5997.44
5997.44
0.99
277
235
42
6020.6
4735.57
1285.03
-0.09
255
281
-26
5658.82
5559.27
99.55
0.03
275
229
46
6902.99
4460.53
2442.46
-0.26
483
248
235
12522.03
4907.54
7614.49
0.25
509
506
3
13994.1
11757.64
2236.46
-1.74
508
-508
11584.6
270
270
5264.31
5264.31
-0.67
308
262
46
7942.2
4860.28
- 3081.92
1.69
253
266
-13
6071.83
4802.67
1269.16
0
267
253
14
5401.71
5536.42
- 134.71
0.03
540
277
263
14020.73
5925.17
8095.56
-0.12
514
503
11
13592.69
11244.93
2347.76
-0.07
545
- 545
13436.73
297
297
5426.04
5426.04
-1.17
255
206
49
5510.11
3706.43
1803.68
-0.5
248
244
4
4718
4771.18
-53.18
0.38
251
206
45
4622.02
4321.48
300.54
0.14
461
237
224
10965.79
4498.75
6467.04
0.07
496
482
14
11053.41
10931.56
121.85
-1.88
447
-447
10105.6
238
238
4865
4865.00
0.02
281
227
54
5432.82
4383.42
1049.40
-4.37
244
262
-18
5209.67
5761.74
- 552.07
-0.5
257
246
11
4867.78
4581.46
286.32
0
532
274
258
13777.91
6130.69
7647.22
0.25
553
551
2
13179.76
13533.75
- 353.99
-0.9
643
-643
17893.78
263
263
4745.44
4745.44
0.39
9099 9237 -138 211432.2 207569.8
-1966-
3862.40 -6.97
Harbor Wine & Spirits March 2014
Date Weather
3/1/2014 ovrcast05
3/2/2014
3/3/2014 overcast -5
3/4/2014 overcast 20
3/512014 overcast 28
3/6/2014 overcast 26
3/7/2014 overcast 30
3/8/2014 pt sun 33
3/9/2014
3/10/2014 sun 53
3/11/2014 SUN 47
3/12/2014 sun 25
3113/2014 sun 32
3/14/2014 overcast 40
3/15/2014 overcast hi 20s
3/16/2014
3/17/2014 pt sun 32
3/18/2014 wet snw It 28
3/19/2014 ovrcast35
312012014 sun 40
3/21/2014 overcast 40
3/22/2014 sun 30s
3/23/2014
3/24/2014 ovrest20
3/25/2014 sun 20
3/26/2014 windy 30s
3/27/2014 rain /snow
3/28/2014 ovrest 30s
3/29/2014 sun 40s
3/30/2014
3/31/2014 pt sun 45
Totals
Cust 14 Cust 13 Variance 2014 2013 Difference +/- Cash +/-
501
527
-26
13668.95
13305.15
363.80
1.06
572
-572
14833.47
271
271
5997.44
5997.44
0.99
277
235
42
6020.6
4735.57
1285.03
-0.09
255
281
-26
5658.82
5559.27
99.55
0.03
275
229
46
6902.99
4460.53
2442.46
-0.26
483
248
235
12522.03
4907.54
7614.49
0.25
509
506
3
13994.1
11757.64
2236.46
-1.74
508
-508
11584.6
270
270
5264.31
5264.31
-0.67
308
262
46
7942.2
4860.28
- 3081.92
1.69
253
266
-13
6071.83
4802.67
1269.16
0
267
253
14
5401.71
5536.42
- 134.71
0.03
540
277
263
14020.73
5925.17
8095.56
-0.12
514
503
11
13592.69
11244.93
2347.76
-0.07
545
- 545
13436.73
297
297
5426.04
5426.04
-1.17
255
206
49
5510.11
3706.43
1803.68
-0.5
248
244
4
4718
4771.18
-53.18
0.38
251
206
45
4622.02
4321.48
300.54
0.14
461
237
224
10965.79
4498.75
6467.04
0.07
496
482
14
11053.41
10931.56
121.85
-1.88
447
-447
10105.6
238
238
4865
4865.00
0.02
281
227
54
5432.82
4383.42
1049.40
-4.37
244
262
-18
5209.67
5761.74
- 552.07
-0.5
257
246
11
4867.78
4581.46
286.32
0
532
274
258
13777.91
6130.69
7647.22
0.25
553
551
2
13179.76
13533.75
- 353.99
-0.9
643
-643
17893.78
263
263
4745.44
4745.44
0.39
9099 9237 -138 211432.2 207569.8
-1966-
3862.40 -6.97
Harbor Wine & Spirits April 2094
Date Weather
Cust 14
Cust 13
Variance
Sales 14
Sales 13
Difference +/- Cash +/-
4/1/2014 ovrest 35
282
209
73
5286.83
4299
987.83
-0.03
4/2/2014 ovrest 35
271
269
2
5125.13
5159.42
-34.29
0.28
4/3/2014 rain It snw 35
315
226
89
7350.31
4327.96
3022.35
-1.03
4/4/2014 morn snw It40
513
271
242
12025.09
5614.02
6411.07
7.69
415/2014 sun 57
570
454
116
12518.34
9951.96
2566.38
2.34
4/612014
507
-507
11905.8
- 11905.8
4/7/2014 pt sun 55
270
270
5196.15
5196.15
0.27
4/8/2014 pt sun 53
289
220
69
6527.88
3686.76
2841.12
-3.15
4/9/2014 sun hi 60s!
287
301
-14
5645.68
6186.24
- 540.56
0.11
4/10/2014 sun 60s
277
268
9
5359.58
5227.46
132.12
-0.78
4/1112014 sun 60s
550
267
283
12423.96
5356.57
7067.39
-0.21
4112/2014 ovrest 50s
525
534
-9
13207.06
12420.59
786.47
-8.11
4/13/2014
526
-526
12597.33
- 12597.33
4/14/2014 sun to 40s
261
261
5159.85
5159.85
0.41
4/15/2014 sun 42
292
247
45
6170.55
4570.23
1600.32
0.44
4/16/2014 lots of snow!
255
273
-18
4861.38
5667.78
-806.4
-1.47
4/17/2014 pt sun 40
303
252
51
7192.87
5109
2083.87
2.04
4/18/2014 pt sun 45
579
271
308
15039.79
5078.52
9961.27
-1.93
4/19/2014 pt sun wnd 55
696
542
154
18451.58
12865.98
5585.6
122
4/20/2014
566
-566
13105.32
- 13105.32
4/21/2014 Sun 62
264
264
4605.54
4605.54
-1.48
4/22/2014 sun hi 50s
284
247
37
5330.28
4933.97
396.31
0.37
4/23/2014 rain low 40s
232
265
-33
4613.92
5022.19
- 408.27
0.25
4/24/2014 rain low 40s
264
237
27
4985.17
4641.18
343.99
0.2
4/25/2014 sun hi 50s
580
281
299
12968.34
5483.58
7484.76
0.49
4/26/2014 ovrest to 40s
617
579
38
15144.91
14422
722.91
0.1
4/27/2014
694
-694
16211.3
- 16211.3
4/28/2014 rain 40s
258
258
4962.77
4962.77
0.08
4/29/2014 rain 40s
262
288
-26
4908.22
6004.28
- 1096.06
1.05
4/30/2014 rain 40s
305
306
-1
5727.78
6299.35
- 571.57
Totals
9601
9100
501
210788.96
196147.79
14641.17
-0.85
-1967-
Harbor Wine & Spirits April 2094
Date Weather
Cust 14
Cust 13
Variance
Sales 14
Sales 13
Difference +/- Cash +/-
4/1/2014 ovrest 35
282
209
73
5286.83
4299
987.83
-0.03
4/2/2014 ovrest 35
271
269
2
5125.13
5159.42
-34.29
0.28
4/3/2014 rain It snw 35
315
226
89
7350.31
4327.96
3022.35
-1.03
4/4/2014 morn snw It40
513
271
242
12025.09
5614.02
6411.07
7.69
415/2014 sun 57
570
454
116
12518.34
9951.96
2566.38
2.34
4/612014
507
-507
11905.8
- 11905.8
4/7/2014 pt sun 55
270
270
5196.15
5196.15
0.27
4/8/2014 pt sun 53
289
220
69
6527.88
3686.76
2841.12
-3.15
4/9/2014 sun hi 60s!
287
301
-14
5645.68
6186.24
- 540.56
0.11
4/10/2014 sun 60s
277
268
9
5359.58
5227.46
132.12
-0.78
4/1112014 sun 60s
550
267
283
12423.96
5356.57
7067.39
-0.21
4112/2014 ovrest 50s
525
534
-9
13207.06
12420.59
786.47
-8.11
4/13/2014
526
-526
12597.33
- 12597.33
4/14/2014 sun to 40s
261
261
5159.85
5159.85
0.41
4/15/2014 sun 42
292
247
45
6170.55
4570.23
1600.32
0.44
4/16/2014 lots of snow!
255
273
-18
4861.38
5667.78
-806.4
-1.47
4/17/2014 pt sun 40
303
252
51
7192.87
5109
2083.87
2.04
4/18/2014 pt sun 45
579
271
308
15039.79
5078.52
9961.27
-1.93
4/19/2014 pt sun wnd 55
696
542
154
18451.58
12865.98
5585.6
122
4/20/2014
566
-566
13105.32
- 13105.32
4/21/2014 Sun 62
264
264
4605.54
4605.54
-1.48
4/22/2014 sun hi 50s
284
247
37
5330.28
4933.97
396.31
0.37
4/23/2014 rain low 40s
232
265
-33
4613.92
5022.19
- 408.27
0.25
4/24/2014 rain low 40s
264
237
27
4985.17
4641.18
343.99
0.2
4/25/2014 sun hi 50s
580
281
299
12968.34
5483.58
7484.76
0.49
4/26/2014 ovrest to 40s
617
579
38
15144.91
14422
722.91
0.1
4/27/2014
694
-694
16211.3
- 16211.3
4/28/2014 rain 40s
258
258
4962.77
4962.77
0.08
4/29/2014 rain 40s
262
288
-26
4908.22
6004.28
- 1096.06
1.05
4/30/2014 rain 40s
305
306
-1
5727.78
6299.35
- 571.57
Totals
9601
9100
501
210788.96
196147.79
14641.17
-0.85
-1967-
Harbor Wine & Spirits May 2014
Date Weather
Cust 14
Cust 13
Variance
Sales 14
Sales 13
Difference +/-
Cash +/-
5/1/2014 rain hi 40s
289
241
48
5808.81
4760.95
1047.86
-0.28
5/2/2014 cldy 46
628
307
321
15187.43
6831.87
8355.56
-0.49
5/3/2014 pt sun 58
580
537
43
13760.32
12333.98
1426.34
-0.63
5/4/2014
542
542
0
15706.14
- 15706.14
5/5/2014 pt sun 60
300
300
6641.23
6641.23
0.91
5/6/2014 pt sun 62
338
294
44
6433.24
5304.79
1128.45
5/7/2014 ovrest to 60s
281
317
-36
4810.41
5966.05
- 1155.64
0
5/8/2014 rain hi 40s
309
271
38
6090.81
5252.89
837.92
-0.29
5/9/2014 wind to 60s
581
296
285
13583.38
6136.52
7446.86
-1.22
5/10/2014 ovrest 60
641
554
87
16175.71
13223.77
2951.94
-11.49
5/11/2014
588
- 588
15195.75
- 15195.75
5/12/2014 WET 57
245
245
4455.02
4455.02
0.03
5/13/2014 damp cidy 56
293
276
17
5250.27
5801.42
- 551.15
-0.07
5/14/2014 ovrest hi 50s
296
346
-50
5827.57
7058.81
- 1231.24
0.97
5/15/2014 ovrest 40s
265
302
-37
6317.14
5545.56
771.58
-0.05
5/16/2014 ovrest 40s
582
305
277
14592.33
6226.02
8366.31
1.48
5/17/2014 sun 68
699
528
171
17170.7
12690.12
4480.58
14.04
5/18/2014
613
-613
14820.08
- 14820.08
5/19/2014 hvy rain 65
274
274
5388.82
5388.82
-5.89
5/20/2014 midday sun8:
359
271
88
7561.97
5290.25
2271.72
1.07
5/21/2014 sun 75
332
294
38
6344.15
6248.28
95.87
0.07
5/22/2014 sun 79
365
264
101
7933.82
5535.12
2398.7
-1.09
5/23/2014 sun 78
748
315
433
20161.67
7329.28
12832.39
0.19
5/24/2014 sun to 80s
886
639
247
26388.27
18301.85
8086.42
-1.52
5/25/2014
720
-720
20639.97
- 20639.97
5/26/2014 sun 85
354
354
7329.27
7329.27
0.03
5/27/2014 sun 78
288
276
12
5181.69
5130.09
51.6
-31.64
5/28/2014 SUN 82
326
279
47
5751.63
4881.35
870.28
0.11
5/29/2014 sun 80
343
272
71
7691.02
5869.63
1821.39
328
5/30/2014 sun 86
754
329
425
17921.21
6738.49
11182.72
-0.28
5/31/2014 sun 85
622
614
8
14911.5
14925.8
-14.3
-0.03
Totals
12520
10590
1930
274669.39
243744.83
30924.56
-32.79
••2
Harbor Wine & Spirits May 2014
Date Weather
Cust 14
Cust 13
Variance
Sales 14
Sales 13
Difference +/-
Cash +/-
5/1/2014 rain hi 40s
289
241
48
5808.81
4760.95
1047.86
-0.28
5/2/2014 cldy 46
628
307
321
15187.43
6831.87
8355.56
-0.49
5/3/2014 pt sun 58
580
537
43
13760.32
12333.98
1426.34
-0.63
5/4/2014
542
542
0
15706.14
- 15706.14
5/5/2014 pt sun 60
300
300
6641.23
6641.23
0.91
5/6/2014 pt sun 62
338
294
44
6433.24
5304.79
1128.45
5/7/2014 ovrest to 60s
281
317
-36
4810.41
5966.05
- 1155.64
0
5/8/2014 rain hi 40s
309
271
38
6090.81
5252.89
837.92
-0.29
5/9/2014 wind to 60s
581
296
285
13583.38
6136.52
7446.86
-1.22
5/10/2014 ovrest 60
641
554
87
16175.71
13223.77
2951.94
-11.49
5/11/2014
588
- 588
15195.75
- 15195.75
5/12/2014 WET 57
245
245
4455.02
4455.02
0.03
5/13/2014 damp cidy 56
293
276
17
5250.27
5801.42
- 551.15
-0.07
5/14/2014 ovrest hi 50s
296
346
-50
5827.57
7058.81
- 1231.24
0.97
5/15/2014 ovrest 40s
265
302
-37
6317.14
5545.56
771.58
-0.05
5/16/2014 ovrest 40s
582
305
277
14592.33
6226.02
8366.31
1.48
5/17/2014 sun 68
699
528
171
17170.7
12690.12
4480.58
14.04
5/18/2014
613
-613
14820.08
- 14820.08
5/19/2014 hvy rain 65
274
274
5388.82
5388.82
-5.89
5/20/2014 midday sun8:
359
271
88
7561.97
5290.25
2271.72
1.07
5/21/2014 sun 75
332
294
38
6344.15
6248.28
95.87
0.07
5/22/2014 sun 79
365
264
101
7933.82
5535.12
2398.7
-1.09
5/23/2014 sun 78
748
315
433
20161.67
7329.28
12832.39
0.19
5/24/2014 sun to 80s
886
639
247
26388.27
18301.85
8086.42
-1.52
5/25/2014
720
-720
20639.97
- 20639.97
5/26/2014 sun 85
354
354
7329.27
7329.27
0.03
5/27/2014 sun 78
288
276
12
5181.69
5130.09
51.6
-31.64
5/28/2014 SUN 82
326
279
47
5751.63
4881.35
870.28
0.11
5/29/2014 sun 80
343
272
71
7691.02
5869.63
1821.39
328
5/30/2014 sun 86
754
329
425
17921.21
6738.49
11182.72
-0.28
5/31/2014 sun 85
622
614
8
14911.5
14925.8
-14.3
-0.03
Totals
12520
10590
1930
274669.39
243744.83
30924.56
-32.79
••2
Harbor Wine & Spirits June 2014
Date Weather Cust 14 Cust 13 Variance Sales 14 Sales 13 Difference +/- Cash
6/1/2014
635
-635
17346.72
- 17346.72
6/2/2014 sun wind 75
325
325
7097.08
7097.08
0.86
6/3/2014 sun 78
363
296
67
7119.12
5183.11
1936.01
0.88
6/4/2014 SUN 83
357
275
82
7406.43
5653.84
1752.59
- 224.28
6/5/2014 sun 77
328
283
45
6591.37
5547.52
1044.3
220.04
6/6/2014 sun to 80s
669
292
377
17330.6
7174.83
10155.77
-0.01
6/7/2014 t storms 70
589
603
-14
14277.13
15660.5
- 1383.37
0.08
6/812014
626
15677.25
6/9/2014 sun to 70s
300
300
5585.48
5585.48
0
6/10/2014 sun 76
377
313
64
8274.45
6220.68
2053.77
1.94
6/11/2014 sun 78
371
339
32
781328
6645.74
1167.54
-1.31
6/12/2014 overcast 74
319
303
16
7455.76
6084.81
1370.95
1.98
6/13/2014 pt sun 78
685
315
370
18285.73
7171.39
11114.34
0.28
6/14/2014 prt rain 75
650
643
7
18467.12
17497.1
970.02
-0.39
6/15/2014
648
17902.97
6/16/2014 sun3pmrain
318
318
6166.62
6166.62
-2.4
6117/2014 cldy 82
378
315
63
7380.87
5928.07
1452.8
-18.59
6/18/2014 sun to 70s
321
357
-36
6187.4
6839.46
- 652.06
1.29
6/19/2014 Stain
299
328
-0.29
6483.88
6540.51
-56.63
-17.88
6/20/2014 sun mid 80
688
326
362
17084.79
8070.99
9013.8
23.32
6/21/2014 sun mid 80
755
581
174
19489.77
15804.43
3685.34
-0.03
6/2212014
721
19337.79
6/23/2014 sun 84
346
346
6241.02
6241.02
-0.2
6/24/2014 sun 78
334
272
62
6529.96
4780.77
1749.19
0
6/2512014 sun 70s
307
347
-40
6247.17
7285.15
- 1037.98
-0.21
6/2612014 pt sun 78
350
331
19
7632.01
6345.49
1305.52
-4.75
6/27/2014 ovrest 82
597
377
220
14536.59
8345.02
6191.57
4.17
6/28/2014 rain of & on 7
621
627
-6
16357.78
16572.37
- 214.59
0.04
6/29/2014
674
17716.49
6/30/2014 sun 78
340
340
7515.6
7515.6
Totals
10987
12072
-1085
253357.01
257733
- 4175.99
-14.82
-1969-
Harbor Wine & Spirits June 2014
Date Weather Cust 14 Cust 13 Variance Sales 14 Sales 13 Difference +/- Cash
6/1/2014
635
-635
17346.72
- 17346.72
6/2/2014 sun wind 75
325
325
7097.08
7097.08
0.86
6/3/2014 sun 78
363
296
67
7119.12
5183.11
1936.01
0.88
6/4/2014 SUN 83
357
275
82
7406.43
5653.84
1752.59
- 224.28
6/5/2014 sun 77
328
283
45
6591.37
5547.52
1044.3
220.04
6/6/2014 sun to 80s
669
292
377
17330.6
7174.83
10155.77
-0.01
6/7/2014 t storms 70
589
603
-14
14277.13
15660.5
- 1383.37
0.08
6/812014
626
15677.25
6/9/2014 sun to 70s
300
300
5585.48
5585.48
0
6/10/2014 sun 76
377
313
64
8274.45
6220.68
2053.77
1.94
6/11/2014 sun 78
371
339
32
781328
6645.74
1167.54
-1.31
6/12/2014 overcast 74
319
303
16
7455.76
6084.81
1370.95
1.98
6/13/2014 pt sun 78
685
315
370
18285.73
7171.39
11114.34
0.28
6/14/2014 prt rain 75
650
643
7
18467.12
17497.1
970.02
-0.39
6/15/2014
648
17902.97
6/16/2014 sun3pmrain
318
318
6166.62
6166.62
-2.4
6117/2014 cldy 82
378
315
63
7380.87
5928.07
1452.8
-18.59
6/18/2014 sun to 70s
321
357
-36
6187.4
6839.46
- 652.06
1.29
6/19/2014 Stain
299
328
-0.29
6483.88
6540.51
-56.63
-17.88
6/20/2014 sun mid 80
688
326
362
17084.79
8070.99
9013.8
23.32
6/21/2014 sun mid 80
755
581
174
19489.77
15804.43
3685.34
-0.03
6/2212014
721
19337.79
6/23/2014 sun 84
346
346
6241.02
6241.02
-0.2
6/24/2014 sun 78
334
272
62
6529.96
4780.77
1749.19
0
6/2512014 sun 70s
307
347
-40
6247.17
7285.15
- 1037.98
-0.21
6/2612014 pt sun 78
350
331
19
7632.01
6345.49
1305.52
-4.75
6/27/2014 ovrest 82
597
377
220
14536.59
8345.02
6191.57
4.17
6/28/2014 rain of & on 7
621
627
-6
16357.78
16572.37
- 214.59
0.04
6/29/2014
674
17716.49
6/30/2014 sun 78
340
340
7515.6
7515.6
Totals
10987
12072
-1085
253357.01
257733
- 4175.99
-14.82
-1969-
Harbor Wine & Spirits July 2014
Date Weather Cust 14 Cust 13 Variance Sales 14 Sales 13 Difference Cash +l-
7/1/2014 ovrest 70
364
356
8
8564.8
7830.15
734.65
-0.05
7/2/2014 ovrest 70
443
489
-46
10824.58
13849.61
- 3025.03
-8.46
7/3/2014 sun mid70s
743
780
-37
24031.12
24215.48
- 184.36
-2.94
7/4/2014 sun to 80s
559
590
-31
16959.94
16101.36
858.58
0
7/5/2014 pt sun 79
598
541
57
14743.82
13765.99
977.83
-0.08
7/6/2014
671
-671
16601.32
- 16601.32
7/7/2014 pt sun 79
317
317
6742.68
6742.68
0.18
7/812014 sun to 70s
329
307
22
6858.09
6195.15
662.94
-0.24
7/9/2014 SUN 77
291
304
-13
6586.02
6562.7
23.32
1.04
7/10/2014 pt sun 83
375
314
61
8266.86
6813.7
1453.16
-2.82
7/11/2014 sun 80
597
370
227
13584.63
7497.07
6087.56
1.9
7/12/2014 damp 82
611
636
-25
15066.52
16141.41
- 1074.89
-5.68
7/13/2014
627
-627
15689.7
- 15689.7
7/14/2014 65 pt sun
314
314
6640.37
6640.37
0.19
7/15/2014 sun 70
368
381
-13
8470.41
8158.3
312.11
0
7/1612014 sun hi 70s
338
387
-49
6772.54
8337.18
- 1564.64
0.1
7/17/2014 sun hi 70s
401
371
30
9567.21
8896.83
670.38
-5.7
7/18/2014 sun hi 70s
677
396
281
17336.48
9207.69
8128.79
0.01
7/19/2014 sun to 80s
777
739
38
19346.33
20373.64
- 1027.31
-1.85
7/20/2014
775
-775
20711.63
- 20711.63
7/2112014 Sun 92
369
369
7262.52
7262.52
-13.94
7122/2014 sun hi 80s
345
310
35
7052.5
5553.1
1499.4
0.21
7/23/2014 sun mid80s
371
344
27
7946.58
8351.63
- 405.05
0.29
7/24/2014 part sun 82
356
320
36
8590.05
7098.48
1491.57
-23.24
7/25/2014 pt sun 80
634
350
284
16501.5
8363.77
8137.73
12.19
7/26/2014 sun 85
757
599
158
19393.53
15603.94
3789.59
0.27
7127/2014
605
-605
14718.11
- 14718.11
7/28/2014 sun 75
297
297
602139
6023.39
0.06
7/29/2014 sun 76
355
320
35
7285.9
6408.25
877.65
-1.79
7130/2014 SUN 80
369
314
55
8244.22
6437.29
1806.93
0.18
7/31/2014 sun 83
381
381
7557.35
7557.35
-14.04
Totals
12336
12196
140
296219.94
307293.3
- 3263.54
-64.21
-1970-
Harbor Wine & Spirits July 2014
Date Weather Cust 14 Cust 13 Variance Sales 14 Sales 13 Difference Cash +l-
7/1/2014 ovrest 70
364
356
8
8564.8
7830.15
734.65
-0.05
7/2/2014 ovrest 70
443
489
-46
10824.58
13849.61
- 3025.03
-8.46
7/3/2014 sun mid70s
743
780
-37
24031.12
24215.48
- 184.36
-2.94
7/4/2014 sun to 80s
559
590
-31
16959.94
16101.36
858.58
0
7/5/2014 pt sun 79
598
541
57
14743.82
13765.99
977.83
-0.08
7/6/2014
671
-671
16601.32
- 16601.32
7/7/2014 pt sun 79
317
317
6742.68
6742.68
0.18
7/812014 sun to 70s
329
307
22
6858.09
6195.15
662.94
-0.24
7/9/2014 SUN 77
291
304
-13
6586.02
6562.7
23.32
1.04
7/10/2014 pt sun 83
375
314
61
8266.86
6813.7
1453.16
-2.82
7/11/2014 sun 80
597
370
227
13584.63
7497.07
6087.56
1.9
7/12/2014 damp 82
611
636
-25
15066.52
16141.41
- 1074.89
-5.68
7/13/2014
627
-627
15689.7
- 15689.7
7/14/2014 65 pt sun
314
314
6640.37
6640.37
0.19
7/15/2014 sun 70
368
381
-13
8470.41
8158.3
312.11
0
7/1612014 sun hi 70s
338
387
-49
6772.54
8337.18
- 1564.64
0.1
7/17/2014 sun hi 70s
401
371
30
9567.21
8896.83
670.38
-5.7
7/18/2014 sun hi 70s
677
396
281
17336.48
9207.69
8128.79
0.01
7/19/2014 sun to 80s
777
739
38
19346.33
20373.64
- 1027.31
-1.85
7/20/2014
775
-775
20711.63
- 20711.63
7/2112014 Sun 92
369
369
7262.52
7262.52
-13.94
7122/2014 sun hi 80s
345
310
35
7052.5
5553.1
1499.4
0.21
7/23/2014 sun mid80s
371
344
27
7946.58
8351.63
- 405.05
0.29
7/24/2014 part sun 82
356
320
36
8590.05
7098.48
1491.57
-23.24
7/25/2014 pt sun 80
634
350
284
16501.5
8363.77
8137.73
12.19
7/26/2014 sun 85
757
599
158
19393.53
15603.94
3789.59
0.27
7127/2014
605
-605
14718.11
- 14718.11
7/28/2014 sun 75
297
297
602139
6023.39
0.06
7/29/2014 sun 76
355
320
35
7285.9
6408.25
877.65
-1.79
7130/2014 SUN 80
369
314
55
8244.22
6437.29
1806.93
0.18
7/31/2014 sun 83
381
381
7557.35
7557.35
-14.04
Totals
12336
12196
140
296219.94
307293.3
- 3263.54
-64.21
-1970-
-1971-
Harbor Wine &
Spirits August 2014
Date
Weather
Cust 14
Cust 13
Variance
2014
2013
Difference +/-
Cash +/-
8/1/2014
sun to 80s
700
365
335
18101.93
9143.43
8958.5
-0.01
8/2/2014
sun 80s
694
675
19
16736.12
17212.03
- 475.91
-0.03
8/3/2014
729
-729
18548.72
- 18548.72
8/4/2014
sun to 80s
304
0
304
5588.95
0
5588.95
-0.51
8/5/2014
sun 82
395
284
111
8823.06
6154.32
2668.74
-2.99
8/6/2014
sun 83
350
348
2
7685.33
7175.21
510.12
0.25
8/7/2014
sun 83
381
309
72
9696.21
8650.87
1045.34
0
8/8/2014
SUN 85
708
337
371
19284.71
7661.41
11623.3
0.14
8/9/2014
pt sun 84
692
673
19
17603.32
16288.22
1315.1
1.13
8/10/2014
685
-685
18338.14
- 18338.14
8/11/2014
pt sun 78
312
0
312
6461.26
0
6461.26
1.13
8/1212014
sun 80s
354
289
65
7262.84
5633.05
1629.79
-1.98
8/13/2014
sun 80s
340
362
-22
7459.39
7808.31
- 348.92
0.78
8/14/2014
sun 83
339
321
18
7300.41
6451.48
848.93
0.02
8/15/2014
sun 85
655
332
323
16531.36
7827.56
8703.8
8/16/2014
ovrest 80s
684
715
-31
18515.47
17810.53
704.94
-0.92
8/17/2014
727
-727
18562.64
- 18562.64
8/18/2014
sun 80s
317
0
317
5872.4
0
5872.4
0.88
8/19/2014
SUN 84
349
309
40
7347.95
5495.52
1852,43
2.2
8/20/2014
sun 85
326
363
-37
5985.28
7872.79
- 1887.51
-2.08
8/21/2014
early rain 84
316
326
-10
7267.76
7034.25
233.51
0
8/22/2014
ovrest 86
589
373
216
14274.29
8318.88
5955.41
-11.14
8/23/2014
overcast 88
640
713
-73
15658.5
16460.49
- 801.99
0.23
8/24/2013
691
-691
16775.83
- 16775.83
8/25/2014
pt sun 77
328
0
328
6309.14
0
6309.14
0.39
8/26/2014
sun 76
331
353
-22
6636.32
6585.22
51.1
0.18
8/27/2014
sun 70s
319
391
-72
6433.35
7737.9
- 1304.55
0
8/28/2014
ovrest 70s
339
324
15
8061.23
5985.78
2075.45
0.72
8/29/2014
rain 70s
558
396
162
14777.16
8637.97
6139.19
-5.21
8/30/2014
ovrest 70s
718
653
65
20416.99
17422.01
2994.98
-0.89
8/31/2014
763
-763
22723.23
- 22723.23
Totals
10644
12806
-2162
286090.73
304315.79
- 18225.06
-17.71
-1971-
-1971-
Harbor Wine &
Spirits August 2014
Date
Weather
Cust 14
Cust 13
Variance
2014
2013
Difference +/-
Cash +/-
8/1/2014
sun to 80s
700
365
335
18101.93
9143.43
8958.5
-0.01
8/2/2014
sun 80s
694
675
19
16736.12
17212.03
- 475.91
-0.03
8/3/2014
729
-729
18548.72
- 18548.72
8/4/2014
sun to 80s
304
0
304
5588.95
0
5588.95
-0.51
8/5/2014
sun 82
395
284
111
8823.06
6154.32
2668.74
-2.99
8/6/2014
sun 83
350
348
2
7685.33
7175.21
510.12
0.25
8/7/2014
sun 83
381
309
72
9696.21
8650.87
1045.34
0
8/8/2014
SUN 85
708
337
371
19284.71
7661.41
11623.3
0.14
8/9/2014
pt sun 84
692
673
19
17603.32
16288.22
1315.1
1.13
8/10/2014
685
-685
18338.14
- 18338.14
8/11/2014
pt sun 78
312
0
312
6461.26
0
6461.26
1.13
8/1212014
sun 80s
354
289
65
7262.84
5633.05
1629.79
-1.98
8/13/2014
sun 80s
340
362
-22
7459.39
7808.31
- 348.92
0.78
8/14/2014
sun 83
339
321
18
7300.41
6451.48
848.93
0.02
8/15/2014
sun 85
655
332
323
16531.36
7827.56
8703.8
8/16/2014
ovrest 80s
684
715
-31
18515.47
17810.53
704.94
-0.92
8/17/2014
727
-727
18562.64
- 18562.64
8/18/2014
sun 80s
317
0
317
5872.4
0
5872.4
0.88
8/19/2014
SUN 84
349
309
40
7347.95
5495.52
1852,43
2.2
8/20/2014
sun 85
326
363
-37
5985.28
7872.79
- 1887.51
-2.08
8/21/2014
early rain 84
316
326
-10
7267.76
7034.25
233.51
0
8/22/2014
ovrest 86
589
373
216
14274.29
8318.88
5955.41
-11.14
8/23/2014
overcast 88
640
713
-73
15658.5
16460.49
- 801.99
0.23
8/24/2013
691
-691
16775.83
- 16775.83
8/25/2014
pt sun 77
328
0
328
6309.14
0
6309.14
0.39
8/26/2014
sun 76
331
353
-22
6636.32
6585.22
51.1
0.18
8/27/2014
sun 70s
319
391
-72
6433.35
7737.9
- 1304.55
0
8/28/2014
ovrest 70s
339
324
15
8061.23
5985.78
2075.45
0.72
8/29/2014
rain 70s
558
396
162
14777.16
8637.97
6139.19
-5.21
8/30/2014
ovrest 70s
718
653
65
20416.99
17422.01
2994.98
-0.89
8/31/2014
763
-763
22723.23
- 22723.23
Totals
10644
12806
-2162
286090.73
304315.79
- 18225.06
-17.71
-1971-
1 1
Theresa Sunde
Government Relations Manager
Sent via certified mail
August 29, 2014
Dear Mound Government Official:
The purpose of this letter is to inform you on or around October 1, 2014, Mediacom will
be implementing the following rate adjustments:'
Product:
Old Rate:
New Rate:
Net Change:
Regional Sports
Surcharge
N/A
$2.64
$2.64
Late Fee
$7.50
$8.50
$1.00
College and professional sports play an important role in the lives of many
Americans. At Mediacom, we strive to bring our customers the most popular games
from the most popular teams in the areas we serve. Years ago, the biggest games
were primarily shown on local broadcast television. In more recent years, however,
professional teams and college conferences are raking in huge amounts of money by
selling off their TV rights to regional sports networks ( "RSNs ") like FSN, Comcast
SportsNet, the Big Ten Network and the newly launched SEC Network.
As the games get spread out over more channels, the cost of delivering sports content
has risen. Up to now, Mediacom has absorbed many of these costs. Unfortunately, we
are now forced to make some pricing changes. As noted above, on or about October
1 st, Mediacom will institute a Regional Sports Surcharge equal to the increases that
RSNs in your market have demanded we pay to them since the start of 2011 and that
we have not previously included in customer bills.
The Regional Sports Surcharge we are instituting varies by market based on the total
number RSNs carried in the Family TV tier and the wholesale rate charged by each
1 Depending on the terms of their offer, some customers currently on promotional rates may not receive this rate change
until the expiration of their respective promotional period.
Mediacom Communications Corporation
7504 2nd Street SF1972_ca, Minnesota 56093
1 1
Theresa Sunde
Government Relations Manager
Sent via certified mail
August 29, 2014
Dear Mound Government Official:
The purpose of this letter is to inform you on or around October 1, 2014, Mediacom will
be implementing the following rate adjustments:'
Product:
Old Rate:
New Rate:
Net Change:
Regional Sports
Surcharge
N/A
$2.64
$2.64
Late Fee
$7.50
$8.50
$1.00
College and professional sports play an important role in the lives of many
Americans. At Mediacom, we strive to bring our customers the most popular games
from the most popular teams in the areas we serve. Years ago, the biggest games
were primarily shown on local broadcast television. In more recent years, however,
professional teams and college conferences are raking in huge amounts of money by
selling off their TV rights to regional sports networks ( "RSNs ") like FSN, Comcast
SportsNet, the Big Ten Network and the newly launched SEC Network.
As the games get spread out over more channels, the cost of delivering sports content
has risen. Up to now, Mediacom has absorbed many of these costs. Unfortunately, we
are now forced to make some pricing changes. As noted above, on or about October
1 st, Mediacom will institute a Regional Sports Surcharge equal to the increases that
RSNs in your market have demanded we pay to them since the start of 2011 and that
we have not previously included in customer bills.
The Regional Sports Surcharge we are instituting varies by market based on the total
number RSNs carried in the Family TV tier and the wholesale rate charged by each
1 Depending on the terms of their offer, some customers currently on promotional rates may not receive this rate change
until the expiration of their respective promotional period.
Mediacom Communications Corporation
7504 2nd Street SF1972_ca, Minnesota 56093
RSN. The Regional Sports Surcharge does not apply to customers that only subscribe
to the Local Plus TV tier, as there are no RSNs carried in that level of service.
Similar to the Local Broadcast Station Surcharge that Mediacom instituted in 2012, we
hope the Regional Sports Surcharge will bring more transparency to our bills and help
consumers identify some of the primary causes behind rising cable and satellite rates.
Greater transparency is only part of the solution, though. Recognizing many consumers
are frustrated by the current state of affairs in the video marketplace, Mediacom filed a
petition on July 21, 2014, asking the Federal Communications Commission to adopt
new rules that would allow expensive channels to be sold a la carte, create options to
purchase channels on an unbundled basis, ensure consumers have access to free
online video content, and prevent unjustified wholesale price discrimination (see
https:Hmediacomcable.com /site /about news 25 07 2014.html).
In response to the petition, the FCC opened rule making proceeding No. 11728 to seek
comment from interested parties on the issues raised by Mediacom. Comments are
ue _SStember Qfid and we would invite your community to submit comments to
the FCC on behalf of your residents. -
Despite the increasing wholesale cost pressures faced by our business, Mediacom
appreciates the opportunity to continue to serve your community's telecommunications
needs. If you have any questions, please contact me at tsunde @mediacomcc.com
Sincerely,
Mediacom Communications Corporation
1504 2" Street SE_ 1973-ca, Minnesota 56093
RSN. The Regional Sports Surcharge does not apply to customers that only subscribe
to the Local Plus TV tier, as there are no RSNs carried in that level of service.
Similar to the Local Broadcast Station Surcharge that Mediacom instituted in 2012, we
hope the Regional Sports Surcharge will bring more transparency to our bills and help
consumers identify some of the primary causes behind rising cable and satellite rates.
Greater transparency is only part of the solution, though. Recognizing many consumers
are frustrated by the current state of affairs in the video marketplace, Mediacom filed a
petition on July 21, 2014, asking the Federal Communications Commission to adopt
new rules that would allow expensive channels to be sold a la carte, create options to
purchase channels on an unbundled basis, ensure consumers have access to free
online video content, and prevent unjustified wholesale price discrimination (see
https:Hmediacomcable.com /site /about news 25 07 2014.html).
In response to the petition, the FCC opened rule making proceeding No. 11728 to seek
comment from interested parties on the issues raised by Mediacom. Comments are
ue _SStember Qfid and we would invite your community to submit comments to
the FCC on behalf of your residents. -
Despite the increasing wholesale cost pressures faced by our business, Mediacom
appreciates the opportunity to continue to serve your community's telecommunications
needs. If you have any questions, please contact me at tsunde @mediacomcc.com
Sincerely,
Mediacom Communications Corporation
1504 2" Street SE_ 1973-ca, Minnesota 56093