2015-07-14 CC Agenda PacketPLEASE TURN OFF ALL CELL PHONES & PAGERS IN COUNCIL CHAMBERS.
CITY OF MOUND MI
cost, quality services tha
AGENDA
arovidesata reasonable
imunity,
MOUND CITY COUNCIL TUESDAY, JULY 14, 2015 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
1. Open meeting
2. Pledge of Allegiance
3. Approve agenda, with any amendments
4. *Consent Agenda
*A. Approve payment of claims
*B. Approve minutes: June 23, 2015 regular meeting
*C. Approve Pay Request No. 3 from Geislinger & Sons, Inc. in the amount of
$457,973.51 for the 2014 Street, Utility and Retaining Wall Improvements —
West Three Points Blvd. Utilities, City Project No. PW -14 -01
*D. Approve Pay Request No. 5 from GMH Asphalt in the amount of $170,500.11
for the 2014 Street, Utility and Retaining Wall Improvements — East Three
Points Boulevard, City Project No. PW -14 -01
*E. Approve Pay Request No. 1 from Geislinger & Sons, Inc. in the amount of
$150, 654.80 for the 2015 Street, Utility and Retaining Wall Improvements —
Grandview Boulevard and Tuxedo Boulevard, City Project Nos. PW -15 -02
and PW -15 -01
1681 -1713
1714 -1722
1723 -1724
1725 -1726
1727 -1729
*F.
Approve Payment of Invoice from Precision Seal Coating in the amount of
1730 -1731
$6,187.50 for the 2015 Crack Seal Project, City Project No. PW -15 -07
*G.
Adopt Resolution awarding the 2015 Seal Coat Project to Allied Blacktop
1732 -1734
Company in the amount of $24,148.00, City Project No. PW -15 -08
*H.
Approve Policy FIN -003 Procurement Policy
1735 -1752
*I.
Adopt Resolution approving the Elimination of Parcels from Tax Increment
1753 -1754
Financing District No. 1 -2 within Development District 1 of the City of Mound
*J.
Adopt Resolution Approving Public Gathering Permit for 2015 Full Throttle
1755 -1757
Fishing Tournament special event at Centerview Park and Beach
PLEASE TURN OFF ALL CELL PHONES & PAGERS IN COUNCIL CHAMBERS
*K. Adopt Resolution Approving Public Gathering Permit for 2015 River Valley 1758 -1762
Church Picnic at Surfside Park & Beach
*L. Adopt Resolution Approving Public Gathering Permit for Boy Scout Troop 1763 -1768
No. 569 - Flag Retirement Ceremony special event at the Harbor District
*M. Adopt Resolution Approving Second Amendment to Subdivision Agreement 1769 -1778
for The Landings on Lost Lake
Comments and suggestions from citizens present on any item not on the agenda.
(Limit to 3 minutes per speaker.)
Visit and presentation by Tim Litfin regarding 2015 Tour de Tonka annual special event
Public Hearing & Planning Commission Recommendation
Sarah Smith, Community Development Director, requesting review of street vacation 1779 -1822
application for north 1/2 of unimproved portion of Galway Road abutting property at
4730 Galway Road and consideration/action on variance application for lack of minimum
required frontage on improved road
Planning Case No. 15 -09 and 15 -10
Applicant: Justin Rock
Sarah Smith, Community Development Director, requesting discussion /action on proposed 1823
amendment to the Limited Use Agreement between the City of Mound, Mound HRA and
Mound Westonka Rotary Club
9. Eric Hoversten, Public Works Director, requesting discussion /action on Extra Work Order 1824 -1826
No. 1, with Insituform Technologies USA, LLC, in the amount of $198,623, for work
anticipated on the 2014/2015 Sanitary Sewer Rehabilitation Project, City Project No's.
PW -14 -05 and PW -15 -06
10. Jennifer Peterson, Council Member, opening discussion on Dakota Regional Trail Safety, 1827 -1828
with City Manager Kandis Hanson reporting
11. Eric Hoversten, Public Works Director, requesting discussion /taking comments on the 1829 -1832
2015 Minnehaha Creek Watershed District (MCWD) Capital Investment Plan (CIP)
12. Information/Miscellaneous
A. Comments /reports from Councilmembers /City Manager
B. Minutes:
C. Reports: Harbor Wine & Spirits: June 2015 1833
D. Correspondence: Orono Public Safety Open House: July 11, 2015 1834
13. Adjourn
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: »iii +z < �t cartorur�l cnrn.
COUNCIL BRIEFING
July 9, 2015
Upcoming Events Schedule: Don't Forget!!
July 1 I -- 9:00 -1:00 -- Open House at Orono Public Safety
July 14 — 6:55 — HRA regular meeting
July 14 — 7:00 — CC regular meeting
July 16 -18 -- Spirit of the Lakes Festival - Kick -Off is 5:00 Thurs at Surfside Park & Beach - great for kids!
July 28 — 6:55 — HRA regular meeting
July 28 — 7:00 — CC regular meeting
Aug 4 -- 6:00- 8:00pm -- Night to Unite - Organized neighborhood parties - Council Members may ride along.
Aug 11 — 6:55 — HRA regular meeting
Aug 1 I — 7:00 — CC regular meeting
Aug 22 -- 9:00 -2:00 -- Westonka Dog Days Festival
Aug 25 — 6:55 — HRA regular meeting
Aug 25 — 7:00 — CC regular meeting
Sept 9 -- 8:00 -- Police Commission Meeting - Mayor Wegscheid
Sept 12 -- 7:30am -- Running of the Bays races
Sept 19 -- 5:00 -11:00 -- Taste of Tonka
Oct 10 -- 8:30 -12:30 -- Farmers' Market & More grand finale'
Oct 30 -- Seasonal Hours end
Nov 1 -- Daylight Saving Time ends
Nov 19 -- 6:00 -- Tree Lighting Ceremony
Dec 9 -- 8:00 -- Police Commission Meeting - Mayor Wegscheid
City Offices Closed
Sept 7 Labor Day
Nov 11 Veterans Day
Nov 26 -27 Thanksgiving
City Official's Absences
June 24 -26 Kandis Hanson - professional development (registration withdrawn)
Music in the Park 2015 - All at Surfside at 7pm, except July 9 at the Harbor District
June 11 June 18 June 25
July 9 July 16 July 23
Night to Unite
If you would like to ride along on a fire truck or a police car and visit the various neighborhood parties in
Mound, you may make arrangements for your ride by calling Chief Greg Pederson at 472 -3555 or Chief
Farniok at 249 -4700.
2015
070215CTYMAN
$
25,943.18
2015
070715CTYMAN
$
51275.00
2015
BOLTM N K04 &05
$
94,830.61
2015
KE GRAVMAY15
$
31769.65
2015
071415CITY
$
91,591.20
2015
071415CITY2
$
992,704.33
2015
071415HWS
$
190,364.39
1681-
CITY OF MOUND 06/24/1510:07 AM
Page 1
Payments
Current Period: June 2015
Batch Name ESCROWREFND User Dollar Amt $5,000.00
Payments Computer Dollar Amt $5,000.00
$0.00 in Balance
Refer 1 CUBE INC.
Cash Payment G 101 -23150 New Construction Escrow REFUND NEW CONSTRUCTION ESCROW- $5,000.00
2221 CEDAR LN- CUBE INC. BP2014 -00629
Invoice 062315 6123/2015
Transaction Date 6/24/2015 Wells Fargo 10100 Total $5,000.00
MM~ Fund Summary
10100 Wells Fargo
101 GENERAL FUND $5,000.00
$5,000.00
Pre - Written Check $0.00
Checks to be Generated by the Computer $5,000.00
Total $5,000.00
-1682-
CITY OF MOUND 07/02/157:44 AM
Page 1
Payments
Current Period: July 2015
Batch Name
070215CTYMAN User Dollar Amt $25,943.18
Payments Computer Dollar Amt $25,943.18
$0.00 In Balance
Refer
1 COLOTTI, JOHN A.
_
Cash Payment
E 609 - 49750 -331 Use of personal auto
REIMB MILEAGE- TRIPS TO CITY HALL,
$60.00
BANK, PRIME ADVERTISING- J. COLOTTI
JUNE 2015
Invoice 070215
7/1/2015
Transaction Date 7/1/2015
Wells Fargo 10100 Total
$60.00
Refer
2 GUSTAFSON, BRUCE
Cash Payment
E 10143100 -218 Clothing and Uniforms
2015 BOOT ALLOWANCE REIMB -B.
$175.00
GUSTAFSON
Invoice 070215
6/24/2015
Transaction Date 6/30/2015
Wells Fargo 10100 Total
$175.00
Refer
3 HARTMAN, FREDRICK
-
Cash Payment
E 28145210 -331 Use of personal auto
REIMB MILEAGE -DOCK INSPECTIONS
$5.18
THREE PTS, F. HARTMAN
Invoice 070215
6/25/2015
Cash Payment
E 28145210 -200 Office Supplies
OFFICE DEPOT -REIMB LEGAL CLIPBOARD,
$10.17
COMPOSITION BOOK- F. HARTMAN
Invoice 070215
6/25/2015
Transaction Date
6/30/2015
Wells Fargo 10100 Total
$15.35
Refer
4 HOME DEPOT /GECF (PA49
_
Cash Payment
E 10145200400 Repairs & Maintenance
HARDWARE & WOOD - BACKSTOPS @
$145.72
AVON & HIGHLAND PARKS
Invoice 4014585
6/912015
Cash Payment
E 10145200 -221 Equipment Parts
VACUUM CLEANERS- DEPOT BLDG
$278.00
Invoice 4014585
6/9/2015
Transaction Date
6/30/2015
Wells Fargo 10100 Total
$423.72
Refer
5 LAKE MANAGEMENT, INC.
_
Cash Payment
E 10145200 -400 Repairs & Maintenance
2015 AQUATIC WEED MGMT PROGRAM
$4,524.00
TREATMENTS - 7 BEACHES & DNR PERMIT
FEE
Invoice 34499
1/14/2015 PO24505
Cash Payment
E 10145200400 Repairs & Maintenance
2 TREATMENTS WEED CONTROL 2015
$1,130.00
DUTCH LAKE BOAT ACCESS
Invoice 34500
1/14/2015 PO24506
Transaction Date
6/30/2015
Wells Fargo 10100 Total
$5,654.00
Refer
6 LEAGUE MN CITIES INSURANCE T
_
Cash Payment G 101 -22802 Festival
SPIRIT OF LAKES 2015 FESTIVAL
$250.00
FIREWORKS INSURANCE RIDER
Invoice 50245
6/1812015
Transaction Date
6130/2015
Wells Fargo 10100 Total
$250.00
Refer
7 MOUND FIRE RELIEFASSOCIAT/O
Cash Payment R 60949750 -37817 Promotional Event
FISH FRY 2015 TICKET SALES @ HWS- 16
$160.00
QTY
Invoice 070215
6/24/2015
Transaction Date
7/1/2015
Wells Fargo 10100 Total
$160.00
-1683-
CITY OF MOUND
Payments
Current Period: July 2015
Refer 8 OPUS 21 MGMT SOLUTIONS
Cash Payment E 601 -49400 -307 Admin /Finance /Compute MAY 2015 -CIS DATA HOSTING,
PRODUCTION, BILLING, CALL CTR SUPPORT
Invoice 150531 6/17/2015
Cash Payment E 602 -49450 -307 Admin /Finance /Compute MAY 2015 -CIS DATA HOSTING,
PRODUCTION, BILLING, CALL CTR SUPPORT
Invoice 150531 6/1712015
Cash Payment E 601 -49400 -322 Postage
Invoice 150531 6/17/2015
Cash Payment E 602 -49450 -322 Postage
Invoice 150531 6/17/2015
Transaction Date 7/1/2015
MAY 2015- UTILITY BILLING POSTAGE
MAY 2015- UTILITY BILLING POSTAGE
07/02/15 7:44 AM
Page 2
$1,744.62
$1,744.63
$348.04
$348.04
Wells Fargo 10100 Total $4,185.33
Refer
9 SHANKEN COMMUNICATIONS, W
_
Cash Payment
E 609 -49750 -255 Misc Merchandise For R
WINE SPECTATOR PUBLICATIONS 6 -15 -15
$15.00
STEWART
EDITION
Invoice 070215
Invoice SO468179 5/19/2015
Cash Payment
E 609 -49750 -255 Misc Merchandise For R
WINE SPECTATOR PUBLICATIONS 6 -30 -15
$15.00
Refer
13 VERIZON WIRELESS
EDITION
Invoice SO462037 6/212015
G 101 -13100 Due From Other Funds
CELL PHONE CHARGES 5 -14 -15 THRU 6 -13-
Transaction Date
7/1/2015
Wells Fargo 10100 Total
$30.00
Refer
11 SIMON, STEWART _
Cash Payment
E 10142115434 Conference & Training
REIMS PARKING FEES- MN STATE EOC
$14.00
EMERG MGR TRAINING ST. PAUL - S.
SIMON 6 -24 -15
Invoice 070215 7/1/2015
Transaction Date 7/1/2015
Wells Fargo 10100 Total $14.00
Refer
10 STEWART, JOHN
Cash Payment
R 101 -42000 -32190 Misc. Business Permit REFUND SOLICITOR PERMIT R#65043- J.
$150.00
STEWART
Invoice 070215
6/25/2015
Transaction Date
711/2015
Wells Fargo 10100 Total
$150.00
Refer
13 VERIZON WIRELESS
_
Cash Payment
G 101 -13100 Due From Other Funds
CELL PHONE CHARGES 5 -14 -15 THRU 6 -13-
$31.05
2015
Invoice 9747299044 6/13/2015
Cash Payment E 101- 43100 -321 Telephone & Cells
Invoice 9747299044 6/13/2015
Cash Payment E 60149400 -321 Telephone & Cells
Invoice 9747299044 6113/2015
Cash Payment E 602 -49450 -321 Telephone & Cells
Invoice 9747299044 6/13/2015
Cash Payment E 101 -42400 -321 Telephone & Cells
Invoice 9747299044 6/13/2015
Cash Payment E 101 -45200 -321 Telephone & Cells
Invoice 9747299044 6/13/2015
CELL PHONE CHARGES 5.14 -15 THRU 6 -13- $138.11
2015
CELL PHONE CHARGES 5 -14 -15 THRU 6 -13- $126.83
2015
CELL PHONE CHARGES 5 -14 -15 THRU 6 -13- $126.17
2015
CELL PHONE CHARGES 5 -14 -15 THRU 6 -13- $38.19
2015
CELL PHONE CHARGES 5 -14 -15 THRU 6 -13- $101.23
2015
CITY OF MOUND 07/02/157:44 AM
Page 3
Payments
Current Period: July 2015
Cash Payment E 101 -41310 -321 Telephone & Cells
Invoice 9747299044 6113/2015
Cash Payment E 222 -42260 -321 Telephone & Cells
Invoice 9747299044 6/13/2015
Cash Payment E 101 -42115 -321 Telephone & Cells
Invoice 9747299044 6/13/2015
Cash Payment G 101 -22816 Personal Cell Phone
Invoice 9747299044 6/13/2015
CELL PHONE CHARGES 5 -14 -15 THRU 6 -13- $50.49
2015
CELL PHONE CHARGES 5 -14 -15 THRU 6.13- $100.98
2015
CELL PHONE CHARGES 5.14.15 THRU 6-13- $15.53
2015
PLAN ADJ- 9427 B. GUSTAFSON- 2015 -$4.89
BALANCE
Cash Payment G 101 -22816 Personal Cell Phone PLAN ADJ- 9427 CREDIT - $67.06
Invoice 9747299044 6/13/2015
Cash Payment G 101 -22816 Personal Cell Phone PLAN ADJ- 3930 CREDIT -$7.18
Invoice 9747299044 6/1312015
Transaction Date 7/112015 Wells Fargo 10100 Total $649.45
Refer 12 VER/ZON WIRELESS _
Cash Payment E 602 -49450 -321 Telephone & Cells SEWER TRUCK #109 DATACARD SVC 5 -11- $35.01
15 THRU 6-10 -2015
Invoice 9747100463 6/1012015
Cash Payment E 602 - 49450 -321 Telephone & Cells
Invoice 9747100463 6110/2015
Cash Payment E 602- 49450 -321 Telephone & Cells
Invoice 9747100463 6110/2015
Cash Payment E 101 - 42400 -321 Telephone & Cells
Invoice 9747100463 6/10/2015
Cash Payment E 101 -42115 -321 Telephone & Cells
Invoice 9747100463 6110/2015
Cash Payment E 222 -42260 -321 Telephone & Cells
Invoice 9747100463 6/1012015
Cash Payment E 222 -42260 -321 Telephone & Cells
Invoice 9747100463 6/10/2015
Cash Payment E 222 - 42260 -321 Telephone & Cells
Invoice 9747100463 6/10!2015
Cash Payment E 222 - 42260 -321 Telephone & Cells
Invoice 9747100463 6/1012015
Cash Payment E 601- 49400 -321 Telephone & Cells
Invoice 9747100463 6/10/2015
Cash Payment E 601 -49400 -321 Telephone & Cells
PUB WKS SUPV VEHC #113 R. HANSON $35.01
DATACARD SVC 5 -11 -15 THRU 6 -10 -2015
Project 15.3
PUB WKS JET PACK LAPTOP AIRCARD SVC $35.01
5 -11 -15 THRU 6 -10 -2015
Project 15 -3
FIELD OFFICER DATACARD SVC 5 -11 -15 $17.51
THRU 6 -10 -2015
FIELD OFFICER DATACARD SVC 5 -11 -15 $17.50
THRU 6 -10 -2015
DATACARD SVC FIRE UNIT #42 DUTY $35.01
OFFICER 5 -11 -15 THRU 6 -10 -2015
DATACARD SVC FIRE UNIT #39 RESCUE $35.01
UTILITY 5 -11 -15 THRU 6 -10 -2015
DATACARD SVC FIRE ENGINE #40 5 -11 -15 $35.01
THRU 6 -10 -2015
DATACARD SVC FIRE ENGINE #29 5 -11 -15 $35.01
THRU 6 -10 -2015
WATER TRUCK #315 DATACARD SVC 5 -11- $35.01
15 THRU 6 -10 -2015
WATER TRUCK #512 L. GIESE DATACARD $35.01
SVC 5 -11 -15 THRU 6 -10 -2015
Invoice 9747100463 6/10/2015
Transaction Date 7/1/2015 Wells Fargo 10100 Total $350.10
Refer 15 XCEL ENERGY _
-1685-
CITY OF MOUND 07/02/15 7:44 AM
Page 4
Payments
Current Period: July 2015
Cash Payment E 101 -45200 -381 Electric Utilities
ELECTRIC SVC - 4/26115 TO 5/25115
$111.77
Invoice 460462357 6/15/2015
10100 Wells Fargo
Cash Payment E 101 -45200 -381 Electric Utilities
ELECTRIC SVC - 4/26/15 TO 5/25/15
$42.12
Invoice 460462357 6/15/2015
281 COMMONS DOCKS FUND
$15.35
Cash Payment E 60249450 -381 Electric Utilities
ELECTRIC SVC - 4/26/15 TO 5125/15
$3,049.65
Invoice 460462357 6/15/2015
602 SEWER FUND
$5,373.42
Cash Payment E 10143100 -381 Electric Utilities
ELECTRIC SVC - 4/26/15 TO 5/25/15
$1,505.37
Invoice 460462357 6/15/2015
Cash Payment E 60149400 -381 Electric Utilities
ELECTRIC SVC - 4126/15 TO 5/25115
$3,502.75
Invoice 460462357 6/15/2015
Cash Payment E 60949750 -381 Electric Utilities
ELECTRIC SVC - 4/26/15 TO 5/25/15
$1,557.21
Invoice 460462357 6/15/2015
Cash Payment E 10141930 -381 Electric Utilities
ELECTRIC SVC - 4/26/15 TO 5125/15
$893.78
Invoice 460462357 6/15/2015
Cash Payment E 22242260 -381 Electric Utilities
ELECTRIC SVC - 4/26/15 TO 5/25/15
$893.78
Invoice 460462357 6/15/2015
Cash Payment E 10141910 -381 Electric Utilities
ELECTRIC SVC - 4/26/15 TO 5/25115
$935.31
Invoice 460462357 6/15/2015
Cash Payment E 28546388 -381 Electric Utilities
ELECTRIC SVC - 4/26/15 TO 5/25/15
$1,250.27
Invoice 460462357 6/15/2015
Cash Payment E 10142115 -381 Electric Utilities
ELECTRIC SVC - 4/26/15 TO 5/25/15
$44.26
Invoice 460462357 6/15/2015
Transaction Date 7/1/2015
Wells Fargo 10100 Total
$13,786.17
Refer 14 XCEL ENERGY
_
Cash Payment E 10143100 -381 Electric Utilities
SHORELINE- COMMERCE STREET LIGHTS 5-
$40.06
26 -15 THRU 6 -24 -15
Invoice 461866902 6/25/2015
Transaction Date 7/1/2015
Wells Fargo 10100 Total $40.06
Fund Summary
10100 Wells Fargo
101 GENERAL FUND
$10,569.87
222 AREA FIRE SERVICES
$1,134.80
281 COMMONS DOCKS FUND
$15.35
285 MOUND HRA
$1,250.27
601 WATER FUND
$5,792.26
602 SEWER FUND
$5,373.42
609 MUNICIPAL LIQUOR FUND
$1,807.21
$25,943.18
Pre - Written Check $0.00
Checks to be Generated by the Computer $25,943.18
Total $25,943.18
CITY OF MOUND
Payments
Current Period: July 2015
Batch Name 070715CTYMAN User Dollar Amt $5,275.00
Payments Computer Dollar Amt $5,275.00
$0.00 In Balance
Refer_ 1 BETZ BUILDERS, INCORPORATED _
Cash Payment G 101 -23150 New Construction Escrow ESCROW REFUND 2217 CHATEAU LANE -
BP #2015 -00016 BETZ BUILDERS
07/08/15 11:36 AM
Page 1
$5,000.00
Invoice 070715
7/212015
Transaction Date
71712015
Wells Fargo 10100 Total
$5,000.00
Refer
3 CRAWFORD, DENISE
_
Cash Payment
R 101- 45000 -34110 Depot Rental
REFUND 6 -28 -15 DEPOT RENTAL FEE PER
$125.00
CITY MGR
Invoice 070715
7/7/2015
Transaction Date
7/8/2015
Wells Fargo 10100 Total
$125.00
Refer
2 ZHANG, QISHU
w
Cash Payment
R 101- 42000 -32190 Misc. Business Permit REFUND SOLICITORS PERMIT FEE RECT #
$150.00
65065 - QISHU ZHANG CANCELLED
Invoice 070715 716/2015
Transaction Date 717/2015 Wells Fargo 10100
Fund Summary
10100 Wells Fargo
101 GENERAL FUND $5,275.00
$5,275.00
Pre - Written Check $0.00
Checks to be Generated by the Computer $5,275.00
Total $5,275.00
-1687-
Total
$150.00
CITY OF MOUND
Payments
Current Period: July 2015
Batch Name BOLTMNK04 &05 User Dollar Amt
Payments Computer Dollar Amt
$94,830.61
$94,830.61
$0.00 In Balance
Refer 1 BOLTON AND MENK, INCORPORA _
Cash Payment E 402 - 43120 -300 Professional Srvs MSA SYSTEM COORD UPDATE SVCS THRU
MAY 8 2015
Invoice 0178621
5/31/2015
Cash Payment
E 675- 49425 -300 Professional Srvs
Invoice 0178624
5131/2015
Cash Payment
E 101- 43100 -300 Professional Srvs
Invoice 0178617
5/31/2015
Cash Payment
E 602 - 49450 -300 Professional Srvs
Invoice 0178639
5/31/2015
Cash Payment
E 401 - 43113 -303 Engineering Fees
Invoice 0178625
5/31/2015
Cash Payment
E 675- 49425 -300 Professional Srvs
Invoice 0178620
5/31/2015
Transaction Date
7/9/2015
Refer
2 BOLTONAND MENK, INCORPORA
Cash Payment
E 602 -49450 -300 Professional Srvs
Invoice 0178626
5/3112015
Cash Payment
E 601- 49400 -300 Professional Srvs
Invoice 0178622
5/31/2015
Cash Payment
E 401 -43114 -303 Engineering Fees
Invoice 0178629
5/31/2015
Cash Payment
E 602 - 49450 -500 Capital Outlay FA
Invoice 0178631
5/31/2015
Cash Payment
E 601- 49400 -500 Capital Outlay FA
Invoice 0178632 5/31/2015
Cash Payment E 602 -49450 -500 Capital Outlay FA
Invoice 0178634 5/31/2015
Cash Payment E 602 -49450 -300 Professional Srvs
Invoice 0178635 5/31/2015
Cash Payment E 602 -49450 -300 Professional Srvs
Invoice 0178623 5/31/2015
Cash Payment E 675 -49425 -500 Capital Outlay FA
Invoice 0178628 5/31/2015
Transaction Date 7/9/2015
SURFACE WATER MGMT SVCS THRU MAY
8 2015
GENERAL ENGINEERING SVCS THRU MAY 8
2015
IN -HOUSE ENGINEERING SVCS- 1ST HALF
MAY 2015
Project 15 -3
2013 STREET, UTILITY IMPROV PROD. PW13-
01 ENG SVCS THRU MAY 8 2015
Project PW 1301
STORMWATER UTILITY -SWPPP UPDATE
ENG SVCS THRU MAY 8 2015
Wells Fargo 10100 Total
MCES FLOWS- PROJECTS,
REVIEW /COORDINATION THRU MAY 8 2015
WATER WELLHEAD PROTECTION PLAN
ENGINEERING SVCS THRU MAY 8 2015
2014 STREET, UTILITY IMPROV PROJ. PW14-
01 ENG SVCS THRU MAY 8 2015
Project PW1401
2014 LIFT STATION IMPROV PROJ PW 14 -03
ENG SVC THRU MAY 8 2015
Project PW1403
2014 BARTLETT BLVD WATERMAIN
REPLACE PROJ PW 14 -08 ENG SVC THRU
MAY 8 2015
Project PW1408
2014 SANITARY SEWER REHAB -ENG SVC
THRU MAY 8 2015 PW 14 -05
Project PW1405
EMERGENCY SEWER DISCHARGE BACKUP
JUNE RAIN- ENG SVC THRU MAY 8 2015
GIS UPDATES ENG SVC THRU MAY 8 2015
Project 15 -4
2014 STORM DRAINAGE IMPROV PROJ PW
14 -04 ENG SVCS THRU MAY 8 2015
Project PW1404
Wells Fargo 10100 Total
07/09/15 9:35 AM
Page 1
$150.00
$612.00
$1,108.50
$2,500.00
$225.00
$163.00
$4,758.50
$5,719.00
$450.00
$33,455.25
$1,475.00
$75.00
$398.00
$672.00
$300.00
$375.00
$42,919.25
DIM6141111atI711I Ia]
Payments
Current Period: July 2015
07/09/15 9:35 AM
Page 2
Refer
3 BOLTON AND MENK, INCORPORA
_
Cash Payment
_
E 401 -43115 -303 Engineering Fees
2015 GRANDVIEW BLVD ST IMPROV PROJ
$6,936.43
ENG SVC THRU MAY 8 2015 PW 15 -01
Invoice 0178637
5131/2015
Project PW1501
Cash Payment
E 602 - 49450 -300 Professional Srvs
UPDATE STREET & UTILITY MAPS
$1,725.00
ENGINEERING SVCS THRU MAY 8 2015
Invoice 0178618
5131/2015
Project 15 -4
Cash Payment
E 602 -49450 -500 Capital Outlay FA
2015 LIFT STATION IMPROV PROJ PW15 -04
$6,439.00
ENG SVC THRU MAY 8 2015
Invoice 0178633
5/31/2015
Project PW1504
Cash Payment
E 601- 49400 -500 Capital Outlay FA
2015 BARTLETT BLVD WATERMAIN
$22,370.00
REPLACE PROJ PW 15 -09 COMMERCE TO
LOST LAKE BLVD ENG SVC THRU MAY 8
2015
Invoice 0178638
5/31/2015
Project PW1509
Cash Payment
E 401 - 43135 -303 Engineering Fees
2015 TUXEDO BLVD ST IMPROV PROJ ENG
$7,680.43
SVC THRU MAY 8 2015 PW 15 -02
Invoice 0178636
5/31/2015
Project PW1502
Cash Payment
E 601 -49400 -500 Capital Outlay FA
WATERMAIN LOOP BARTLETT TO ISLAND
$116.00
PARK PROJ 15 -10 ENG SVCS THRU MAY 8
2015
Invoice 0178640
5/31/2015
Project PW1510
Cash Payment
G 101 -23309 XXXX FAIRFIELD - PC #14 -1
MISSION WOODS DEVELOP REVIEW
$150.00
FAIRFIELD RD ENGINEER SVCS THRU MAY
82015
Invoice 0178619
5/31/2015
Cash Payment
G 101 -23328 5103 Windsor RD PC15 -07
S WINDSOR RD- SANDEN DEVELOP REVIEW
$75.00
ENG SVCS THRU MAY 8 2015
Invoice 0178619
5/31/2015
Cash Payment
E 427 - 43121 -303 Engineering Fees
2015 CRACK SEAL & SEAL COAT PROJ- PW
$350.00
15 -07 -08 ENG SVCS THRU MAY 8 2015
Invoice 0178642
5/31/2015
Project PW1507
Cash Payment
E 601 - 49400 -500 Capital Outlay FA
2015 WILSHIRE BLVD TRUNK WATERMAIN
$1,236.00
IMPROV PROD FEASIBILITY REPORT ENG
SVC THRU MAY 8 2015
Invoice 0178641
5/31/2015
Cash Payment
G 101 -23326 2180 CARDINAL LN PC #15-
2180 CARDINAL RD PC #15 -06 DEVELOP
$75.00
REVIEW ENG SVCS THRU MAY 8 2015
Invoice 0178619
5/31/2015
Transaction Date
7/9/2015
Wells Fargo 10100 Total
$47,152.86
CITY OF MOUND
Payments
Current Period: July 2015
Fund Summary
10100 Wells Fargo
101 GENERAL FUND
$1,408.50
401 GENERAL CAPITAL PROJECTS
$48,297.11
402 MUNICIPAL STAID ST CONSTUCT
$150.00
427 SEAL COAT FUND
$350.00
601 WATER FUND
$24,247.00
602 SEWER FUND
$19,228.00
675 STORM WATER UTILITY FUND
$1,150.00
$94,830.61
Pre - Written Check $0.00
Checks to be Generated by the Computer $94,830.61
Total $94,830.61
-1690-
07/09/15 9:35 AM
Page 3
CITY OF MOUND
Payments
Current Period: July 2015
Batch Name KENGRAVMAY15 User Dollar Amt $3,769.65
Payments Computer Dollar Amt $3,769.65
Refer
4 KENNEDYAND GRAVEN
Cash Payment
E 10141600 -300 Professional Srvs
Invoice 126557
6/30/2015
Cash Payment
E 101- 41600 -316 Legal P & I
Invoice 126557
6/3012015
Cash Payment
E 101 - 41600 -316 Legal P & I
Invoice 126557
6/3012015
Cash Payment
G 101 -23293 A. KING -2201 CENTERVIE
$0.00 In Balance
ADMINISTRATIVE LEGAL SVCS MAY 2015
PLANNING LEGAL SVCS MAY 2015
PLANNING LEGAL SVCS MAY 2015
2201 CENTERVIEW LN SUBDIVISION LEGAL
SVCS MAY 2015
Invoice 126557 6/30/2015
Cash Payment G 101 -23309 XXXX FAIRFIELD - PC #14 -1 MISSION WOODS SUBDV- FAIRFIELD LEGAL
SVC MAY 2015
Invoice 126557 6/30/2015
Cash Payment G 101 -23330 PC -15 -11 5139 Waterbury R 5139 WATERBURY LEGAL SVCS MAY 2015
Invoice 126557 6/30/2015
Cash Payment G 101 -23318 GALWAY - VACATION PC #14 GALWAY RD- J. ROCK PRIVATE DRIVE
Invoice 126557
6/30/2015
LEGAL SVCS MAY 2015
Invoice 126557
6/30/2015
6/30/2015
Cash Payment
G 101 -23327 MCESWETLD APP L39 W.E
MCES LIFT STATION CONVEYANCE LEGAL
6/30/2015
Cash Payment
SVCS MAY 2015
Invoice 126557
6/30/2015
Cash Payment
Cash Payment
G 101 -23331 PC -15 -12 2945 Cambridge L
2945 CAMBRIDGE LN VAR APP LEGAL SVCS
Cash Payment
E 602 - 49450 -300 Professional Srvs
MAY 2015
Invoice 126557
6/30/2015
Cash Payment
G 101 -23306 5500 Breezy Rd Legal Escro
5500 BREEZY RD- RECONVEYANCE OF
PORTION OF TAX FORFEIT LAND LEGAL
SVCS MAY 2015
Invoice 126557
6/30/2015
Cash Payment
G 101 -23315 4856 ISLAND VIEW DR AUT
4856 ISLAND VIEW DR PARCELS 51 & 52
LEGAL SVCS MAY 2015
Invoice 126557
6/30/2015
Cash Payment
G 101-233114909 ISLAND VIEW- MIKE
4909 ISLAND VIEW DR LEGAL SVCS MAY
2015
Invoice 126557
6/30/2015
Cash Payment
G 101 -22801 Deposits /Escrow
Invoice 126557
6/30/2015
Cash Payment
E 401- 43115 -300 Professional Srvs
Invoice 126557
6/30/2015
Cash Payment
E 401- 43135 -300 Professional Srvs
Invoice 126557
6/30/2015
Cash Payment
E 602- 49450 -500 Capital Outlay FA
Invoice 126557
6/30/2015
Cash Payment
E 602 - 49450 -300 Professional Srvs
Invoice 126557
6/30/2015
MOUND HARBOR ROTARY PROD. LEGAL
SVCS MAY 2015
2015 PUB WKS STREET IMPROV PROJ
PW15 -01 LEGAL SVCS- MAY 2015
Project PW1501
2015 PUB WKS STREET IMPROV PROJ
PW 15 -02 LEGAL SVCS- MAY 2015
Project PW1502
2015 PUB WKS STREET IMPROV PROJ
PW 15 -04 LEGAL SVCS- MAY 2015
Project PW 1504
PUB WKS- UNIFORM CONTRACTING
REQUIREMENTS- LEGAL SVCS MAY 2015
Project 15 -5
-1691-
07/09/15 11:40 AM
Page 1
$449.50
$255.00
$43.50
$157.00
$619.50
$101.50
$253.50
$310.00
$116.00
$573.00
$78.00
$161.00
$130.50
$217.35
$144.80
$145.00
$14.50
Transaction Date 7/9/2015
Fund Summary
101 GENERAL FUND
401 GENERAL CAPITAL PROJECTS
602 SEWER FUND
CITY OF MOUND
Payments
Current Period: July 2015
Wells Fargo 10100
10100 Wells Fargo
$3,246.00
$362.15
$159.50
$3,769.65
Pre - Written Check $0.00
Checks to be Generated by the Computer $3,769.65
Total $3,769.65
-1692-
07/09/15 11:40 AM
Page 2
Total $3,769.65
CITY OF MOUND
Payments
Current Period: July 2015
Batch Name 071415CITY User Dollar Amt $91,591.20
Payments Computer Dollar Amt $91,591.20
$0.00 In Balance
07/09/15 12:35 PM
Page 1
Refer 1 BAY WEST _
Cash Payment E 222 - 42260 -440 Other Contractual Servic FIELD ACTIVITIES SVC, OFFICE SVCS, SVC $673.46
HEAVY DUTY VEHICLE- FIRE DEPT
Invoice 15S- 000851 3/6/2015
Transaction Date 7/7/2015
Refer 2 BENIEK PROPERTY SVCS INC.
Cash Payment E 101- 49999 -300 Professional Srvs
Invoice 144914 6/30/2015
Cash Payment E 101 - 49999 -300 Professional Srvs
Invoice 144914 6/30/2015
Cash Payment E 101- 49999 -300 Professional Srvs
Invoice 144914 6/30/2015
Cash Payment E 101 - 49999 -300 Professional Srvs
Invoice 144914 6/30/2015
Cash Payment E 101 -49999 -300 Professional Srvs
Invoice 144914 6130/2015
Cash Payment E 101 -49999 -300 Professional Srvs
Invoice 144914 6/30/2015
Cash Payment E 101 -49999 -300 Professional Srvs
Invoice 144914
6/30/2015
Cash Payment
E 101. -49999 -300 Professional Srvs
Invoice 144914
6/30/2015
Cash Payment
E 101 -49999 -300 Professional Srvs
Invoice 144914
6/30/2015
Cash Payment
E 101- 49999 -300 Professional Srvs
Invoice 144914
6/30/2015
Cash Payment
E 101 - 49999 -300 Professional Srvs
Invoice 144914
6/30/2015
Cash Payment
E 101- 49999 -300 Professional Srvs
Invoice 144914
6/30/2015
Cash Payment
E 101 -49999 -300 Professional Srvs
Invoice 144914 6/30/2015
Cash Payment E 101 -49999 -300 Professional Srvs
Invoice 144914 6/3012015
Wells Fargo 10100 Total $673.46
FORCED MOWING & TRIMMING @ 2129 $60.00
BELMONT LN 6 -03 -15
FORCED MOWING & TRIMMING @ 1677 $60.00
CANARY LN 6 -03 -15
FORCED MOWING & TRIMMING @ 2500 $60.00
COMMERCE BLVD 6 -03 -15
FORCED MOWING & TRIMMING @ 2631 $180.00
COMMERCE BLVD 6- 03 -15- LARGE LOT
FORCED MOWING & TRIMMING @ 5031 $60.00
WREN RD 6 -04 -15
FORCED MOWING & TRIMMING @ 3067 $60.00
ALEXANDER LN 6 -17 -15
FORCED MOWING & TRIMMING @ 5032 $60.00
CRESTVIEW RD 6 -17 -15
FORCED MOWING & TRIMMING @ VACANT $120.00
LOT 4684/4650 MANCHESTER RD 6 -17 -15
FORCED MOWING & TRIMMING @ VACANT $120.00
LOT 4731/4765 MANCHESTER RD 6 -17 -15
FORCED MOWING & TRIMMING @ 1952 $60.00
SHOREWOOD LN 6 -17 -15
FORCED MOWING & TRIMMING @ 4969 $60.00
THREE PTS BLVD 6 -17 -15
FORCED MOWING & TRIMMING @ 4837 $60.00
BEDFORD RD 6 -24 -15
FORCED MOWING & TRIMMING @ 4962 $60.00
BEDFORD RD 6 -24 -15
FORCED MOWING & TRIMMING @ 4437 $60.00
RADNOR RD 6 -24 -15
-1693-
CITY OF MOUND
Payments
07/09/15 12:35 PM
Page 2
Current Period: July 2015
Cash Payment E 101 - 49999 -300 Professional Srvs FORCED MOWING & TRIMMING @ 3101 $60.00
TUXEDO BLVD 6 -24 -15
Invoice 144914 6130/2015
Cash Payment E 101- 49999 -300 Professional Srvs
Invoice 144914
6/30/2015
Transaction Date
717/2015
Refer
3 BIFFS, INC PORTABLE RESTROO
Cash Payment
E 101 - 45200 -410 Rentals (GENERAL)
Invoice W564423 6/24/2015
Cash Payment E 101 - 45200 -410 Rentals (GENERAL)
Invoice W564424 6/2412015
Cash Payment E 101 -45200 -410 Rentals (GENERAL)
Invoice W564425 6/24/2015
Transaction Date 717/2015
Refer 4 CENTERP01_NT ENERGY(MINNEG
Cash Payment E 602 - 49450 -383 Gas Utilities
Invoice 071415 -2
6124/2015
Cash Payment
E 602 -49450 -383 Gas Utilities
Invoice 071415 -2
6/24/2015
Cash Payment
E 602 -49450 -383 Gas Utilities
Invoice 071415 -2
6/24/2015
Cash Payment
E 602 - 49450 -383 Gas Utilities
Invoice 071415 -2
6/24/2015
Cash Payment
E 602 -49450 -383 Gas Utilities
Invoice 071415 -2
6/24/2015
Cash Payment
E 602 - 49450 -383 Gas Utilities
Invoice 071415 -2
6/24/2015
Cash Payment
E 602 - 49450 -383 Gas Utilities
Invoice 071415 -2
6/24/2015
Cash Payment
E 602 - 49450 -383 Gas Utilities
FORCED MOWING & TRIMMING @ 4451 $60.00
WILSHIRE BLVD 6 -24 -15
Wells Fargo 10100 Total $1,200.00
CENTERVIEW BEACH BIFFS RENTAL & SVC $379.00
5 -27 THRU 6- 23 2015
MOUND BAY PARK BIFFS RENTAL & SVC 5- $533.00
27 THRU 6- 23 2015
SKATEPARK BIFFS RENTAL & SVC 5 -27 $379.00
THRU 6 -23 2015
Wells Fargo 10100 Total
$1,291.00
2649 EMERALD DR. LS E3 GENERATOR
$16.35
NATL GAS SVC 5 -20 -15 THRU 6 -20 -15
7/7/2015
4791 NORTHERN RD LS D1 GENERATOR
$17.76
NATL GAS SVC 5 -20 -15 THRU 6 -20 -15
5 CENTRAL MCGOWAN, INCORPOR
3303 WATERBURY RD LS GAS SVC 5 -20 -15 $17.29
THRU 6 -20 -15
2990 HIGHLAND BLVD LS B1 GENERATOR $19.26
NATL GAS SVC 5 -20 -15 THRU 6 -20 -15
4948 BARTLETT LS E2 GENERATOR NATL $17.78
GAS SVC 5 -20 -15 THRU 6 -20 -15
4728 CARLOW RD LS GENERATOR NATL $17.22
GAS SVC 5 -20 -15 THRU 6 -20 -15
5808 GRANDVIEW BLVD LS GENERATOR $17.08
NATL GAS SVC 5 -20 -15 THRU 6 -20 -15
4922 THREE PTS BLVD LS GENERATOR $20.22
NATL GAS SVC 5 -20 -15 THRU 6 -20 -15
Invoice 071415 -2
6/24/2015
Transaction Date
7/7/2015
Wells Fargo 10100 Total
�pmmmm
$142.96
5 CENTRAL MCGOWAN, INCORPOR
_
_Refer
Cash Payment E 602 - 49450 -230 Shop Materials
HIGH PRESSURE CYLINDER RENTAL
$16.80
Invoice 00044256
6/30/2015
Project 15 -3
Transaction Date
7/7/2015
Wells Fargo 10100 Total
.,...,e„..�...,...�,....,�..
$16.80
Refer
6 EMERGENCY RESPONSE SOL UTI-
��--
-1694-
CITY OF MOUND 07/09/15 12:35 PM
Page 3
Payments
Current Period: July 2015
sn k
Cash Payment E 222 - 42260 -219 Safety supplies INSTALL NEW SLIDE BUTTON ASSEMBLY, $85.91
W/ GASKETS- FIREHAWK GREY
Invoice 4384 6/25/2015
Cash Payment E 222 - 42260 -219 Safety supplies
Invoice 4330 6/17/2015
Cash Payment E 222- 42260 -219 Safety supplies
Invoice 4339 6/18/2015
Transaction Date 717/2015
Refer 7 FRONTIER/CITIZENS COMMUNICA
INSTALL NEW HANDWHEEL, LOCKNUT &
SPRING IN CYLINDER 17
LUBRICATED 0 -RINGS IN REGULATORS -
SLIDE BUTTON ASSEMBLY
Wells Fargo 10100 Total
$199.76
$189.54
$475.21
Cash Payment E 101 -45200 -321 Telephone & Cells
PHONE SVC 6/30/15 TO 7/29/15
$122.37
Invoice 171415 -2 613012015
Cash Payment E 602 -49450 -321 Telephone & Cells
PHONE SVC 6/30/15 TO 7/29/15
$72.37
Invoice 171415 -2 613012015
Cash Payment E 609 - 49750 -321 Telephone & Cells
PHONE SVC 6/30/15 TO 7129/15
$591.7(
Invoice 171415 -2 6/30/2015
Cash Payment E 602 - 49450 -321 Telephone & Cells
PHONE SVC 6/30/15 TO 7/29/15
$417.85
Invoice 171415 -2 6/30/2015
Cash Payment E 601 - 49400 -321 Telephone & Cells
PHONE SVC 6/30/15 TO 7/29/15
$405.6C
Invoice 171415 -2 6/30/2015
Cash Payment E 101 -43100 -321 Telephone & Cells
PHONE SVC 6130/15 TO 7/29/15
$405.60
Invoice 171415 -2 6/30/2015
Cash Payment E 101- 41930 -321 Telephone & Cells
PHONE SVC 6/30/15 TO 7/29/15
$880.16
Invoice 171415 -2 6/30/2015
Cash Payment E 222 - 42260 -321 Telephone & Cells
PHONE SVC 6/30/15 TO 7/29/15
$293.39
Invoice 171415 -2 6/30/2015
Cash Payment E 101 -41910 -321 Telephone & Cells
PHONE SVC 6/30/15 TO 7/29/15
$146.70
Invoice 171415 -2 6/30/2015
Cash Payment E 101- 42110 -321 Telephone & Cells
PHONE SVC 6/30/15 TO 7/29/15
$146.70
Invoice 171415 -2 6130/2015
Transaction Date 7/7/2015
Wells Fargo 10100 Total
$3,482.48
Refer 8 FRONTIER/CITIZENS COMMUNICA
Cash Payment E 222- 42260 -321 Telephone & Cells
NETWORK ETHERNET SVC 3 -20 -15 THRU 4-
$184.79
20 -15
Invoice 4442944 6/20/2015
Cash Payment E 101 - 41920 -321 Telephone & Cells
NETWORK ETHERNET SVC 3 -20 -15 THRU 4-
$554.36
20 -15
Invoice 4442944 6/20/2015
Transaction Date 7/7/2015
Wells Fargo 10100 Total
$739.15
Refer 9 G & K SERVICES
Cash Payment E 609 -49750 -460 Janitorial Services
HWS -MAT SVC & SUPPLIES 6 -22 -15
$140.46
Invoice 1006159914 6/22/2015
Cash Payment E 609 - 49750 -460 Janitorial Services
HWS -MAT SVC & SUPPLIES 6 -29 -15
$10227
Invoice 1006171237 6/29/2015
Transaction Date 717/2015
Wells Fargo 10100 Total
$242.73
Refer � 1 i G & K SERVICES
Cash Payment E 101 -45200 -218 Clothing and Uniforms
UNIFORM SVC 6 -22 -15 PARKS
$58.74
Invoice 1006159920 6/22/2015
-1695-
CITY OF MOUND
Payments
Current Period: July 2015
07/09/15 12:35 PM
Page 4
Cash Payment
E 101- 45200 -210 Operating Supplies
PARKS -MAT SVC & SUPPLIES 6 -22 -15
$90.84
Invoice 1006159920 6/22/2015
Cash Payment
E 601 -49400 -218 Clothing and Uniforms
Cash Payment
E 101- 45200 -218 Clothing and Uniforms
UNIFORM SVC 6 -29 -15 PARKS
$0.00
Invoice
6/2 912 01 5
E 602 - 49450 -230 Shop Materials
Invoice 1006137115
Cash Payment
E 101 -45200 -210 Operating Supplies
MAT SVC & SHOP SUPPLIES 6 -29 -15 PARKS
$0.00
Invoice
6/29/2015
E 601 - 49400 -218 Clothing and Uniforms
Invoice 1006148534
Transaction Date
7/7/2015
Wells Fargo 10100 Total
$149.58
Refer
10 G & K SERVICES
Cash Payment
E 101 -43100 -218 Clothing and Uniforms
Invoice 1006137115 6/812015
Cash Payment
E 601 -49400 -218 Clothing and Uniforms
Invoice 1006137115 6/8/2015
Cash Payment
E 602 - 49450 -218 Clothing and Uniforms
Invoice 1006137115
6/8/2015
Cash Payment
E 602 - 49450 -230 Shop Materials
Invoice 1006137115
6/8/2015
Cash Payment
E 101- 43100 -218 Clothing and Uniforms
Invoice 1006148534
6/15/2015
Cash Payment
E 601 - 49400 -218 Clothing and Uniforms
Invoice 1006148534
6/1512015
Cash Payment
E 60249450 -218 Clothing and Uniforms
Invoice 1006148534 6/15/2015
Cash Payment
E 602 - 49450 -230 Shop Materials
Invoice 1006148534 6/15/2015
Cash Payment
E 10143100 -218 Clothing and Uniforms
Invoice 1006171244 6/29/2015
Cash Payment
E 601 - 49400 -218 Clothing and Uniforms
Invoice 1006171244 6/29/2015
Cash Payment
E 602 - 49450 -218 Clothing and Uniforms
Invoice 1006171244 6/29/2015
Cash Payment
E 602 - 49450 -230 Shop Materials
Invoice 1006171244 6129/2015
Transaction Date
7/7/2015
Refer
13 GOPHER STATE ONE CALL �.o.
Cash Payment
E 601 - 49400 -395 Gopher One -Call
Invoice 138080
6/30/2015
Cash Payment
E 602 -49450 -395 Gopher One -Call
Invoice 138080
6/30/2015
Transaction Date
7/7/2015
Refer
14 H & L MESABI AGGREGATE CONS
Cash Payment
E 101- 43100 -221 Equipment Parts
Invoice 93488
6/4/2015
Cash Payment
E 101 - 43100 -221 Equipment Parts
Invoice 93489
6/4/2015
Transaction Date
7/7/2015
Refer 12 HANSON, KANDIS
UNIFORM SVC 6 -8 -15 $58.02
UNIFORM SVC 6 -8 -15 $55.29
UNIFORM SVC 6 -8 -15 $67.03
MAT SVC & SHOP SUPPLIES 6 -8 -15 $132.13
Project 15 -3
UNIFORM SVC 6 -15 -15 $66.92
UNIFORM SVC 6 -15 -15 $77.79
UNIFORM SVC 6 -15 -15 $62.33
MAT SVC & SHOP SUPPLIES 6 -15 -15
$378.39
Project 15 -3
UNIFORM SVC 6 -29 -15
$54.02
UNIFORM SVC 6 -29 -15
$51.29
UNIFORM SVC 6 -29 -15
$52.39
MAT SVC & SHOP SUPPLIES 6 -29 -15
$84.24
Project 15 -3
Wells Fargo 10100 Total
$1.,139.84
JUNE 2015 LOCATES
JUNE 2015 LOCATES
Wells Fargo 10100
2 BLIZZARD PLOW BLADES
RETURN 1 BLIZZARD PLOW BLADE
Wells Fargo 10100
$145.83
$145.82
Total $291.65
$342.00
- $171.00
Total $171.00
CITY OF MOUND 07/09/1512:35 PM
Page 5
Payments
Current Period: July 2015
Invoice 071415
7/6/2015
12" CHAIN, 16" CHAIN- PARKS
$84.10
Transaction Date
7/7/2015
Wells Fargo 10100 Total
$49.23
Refer
15 HOME DEPOT CREDIT (FIRE)
-
$84.10
Cash Payment
E 222 - 42260 -210 Operating Supplies
ULTRALIGHT DRYWALL- TRAINING DRILLS
$27.42
Cash Payment
E 601 - 49400470 Water Samples
FIRE DEPT
$77.50
Invoice 4025052
6/19/2015
WATER TESTS -10
Transaction Date
7/7/2015
Wells Fargo 10100 Total
$27.42
Refer
16 LAKE RESTORATION, INC.
Wells Fargo 10100 Total
..... �..,..�,.«.s.,
$77.50
Cash Payment
E 675 - 49425440 Other Contractual Servic
BEACHWOOD POND TREATMENT
$575.00
Cash Payment
E 101 - 41930 -460 Janitorial Services
DUCKWEED, SUBMERGED WEEDS & ALGAE
$245.20
Invoice 132059
6/30/2015
Transaction Date
7/7/2015
Wells Fargo 10100 Total
$575.00
Refer
17 METROPOLITAN COUNCIL WASTE
_
Cash Payment
E 602- 49450 -388 Waste Disposal -MCIS
WASTEWATER SERVICES AUG 2015
$64,157.17
Invoice 0001046177
7/2/2015
BLDG
Transaction Date
7/7/2015
Wells Fargo 10100 Total.
$64,157.17
Refer 18 MINNEHAHA BUILDING MA/NTENA
Cash Payment E 101- 41930 -440 Other Contractual Servic WASH WINDOWS EXTERIOR 5 -25 -14 CITY $219.50
HALL
Invoice 928040852 6/21/2015
Cash Payment E 222 - 42260 -440 Other Contractual Servic WASH WINDOWS EXTERIOR 5 -25 -14 FIRE $219.50
DEPT
Invoice 928040852 6/21/2015
Cash Payment E 101 - 41910440 Other Contractual Servic WASH WINDOWS INSIDE & OUT 5- 25 -15- $570.00
CENTENNIAL BLDG
Invoice 928040756 6/21/2015
Transaction Date 7/7/2015 Wells Fargo 10100 Total $1,009.00
Refer 21 MINNESOTA EQUIPMENT- (SCHAR
Cash Payment
E 101 - 45200 -221 Equipment Parts
12" CHAIN, 16" CHAIN- PARKS
$84.10
Invoice P31836
6/11/2015
Transaction Date
717/2015
Wells Fargo 10100 Total
$84.10
Refer
19 MINNESOTA VALLEY TESTING LA
Cash Payment
E 601 - 49400470 Water Samples
MONTHLY CHLORINE REPORT & COLIFORM
$77.50
WATER TESTS -10
Invoice 759994
6/16/2015
Transaction Date
7/7/2015
Wells Fargo 10100 Total
..... �..,..�,.«.s.,
$77.50
Refer
20 MN CLEAN SERVICES, INC._
Cash Payment
E 101 - 41930 -460 Janitorial Services
JANITORIAL SVC- JUNE 2015- CITY HALL
$245.20
Invoice 0715M01
7/1/2015
Cash Payment
E 222 - 42260 -460 Janitorial Services
JANITORIAL SVC- JUNE 2015- FIRE DEPT
$245.20
Invoice 0715M01
7/1/2015
Cash Payment
E 10141910 -460 Janitorial Services
JANITORIAL SVC- JUNE 2015- CENTENNIAL
$326.93
BLDG
Invoice 0715M01 7/1/2015
-1697-
CITY OF MOUND 07/09/15 12:35 PM
Page 6
Payments
Current Period: July 2015
Cash Payment E 602- 49450 -460 Janitorial Services JANITORIAL SVC- JUNE 2015- PUBLIC $163.47
WORKS BLDG
Invoice 0715M01 7/1/2015
Project 15 -3
Transaction Date 7/5/2015
Wells Fargo 10100 Total
$980.80
Refer
22 MOST DEPENDABLE FOUNTAINS,
_
Cash Payment
E 101 - 45200 -221 Equipment Parts
4 REPLACEMENT METAL CARTRIDGES
$231.00
DRINKING FOUNTAINS- PARKS
Invoice 37598
6/3/2015
Transaction Date 717/2015
Wells Fargo 10100 Total
$231.00
Refer
23 MTl DISTRIBUTING, INC.
_
Cash Payment
E 101- 45200 -221 Equipment Parts
LAWNMOWER PARTS- PARKS
$61.91
Invoice 1015790 6/4/2015
Cash Payment
E 101- 45200 -221 Equipment Parts
LAWNMOWER IGNITION SWITCH
$76.48
Invoice 1021589 6/30/2015
Transaction Date 7/8/2015
Wells Fargo 10100 Total
$138.39
24 MUZAK - MINNEAPOLIS
_Refer
Cash Payment
E 609 - 49750 -440 Other Contractual Servic
MUSIC SERVICE- HWS- 7 -1 -15 THRU 9 -30 -15
$364.55
Invoice 51716517
711/2015
Transaction Date 7/8/2015
Wells Fargo 10100 Total
$364.55
Refer.Y
25 NORLINGS LAKE MINNETONKA LA
Cash Payment
E 401 - 43113 -300 Professional Srvs
LANDSCAPE CONSTRUCTION- 4679 & 4700
$1,200.00
MANCHESTER RD- 2013 STREET IMPROV
PRO.- PW 13 -01
Invoice 30642
6/15/2015
Project PW1301
Transaction Date
7/8/2015
Wells Fargo 10100 Total
$1,200.00
Refer
26 OFFICE DEPOT_
Cash Payment
E 101- 41930 -200 Office Supplies
COPY PAPER, ASTROBRITE PAPER -CITY
$148.63
HALL
Invoice 775645893001 6115/2015 PO 24199
Transaction Date
7/8/2015
Wells Fargo 10100 Total
$148.63
Refer
27 OPUS 21 MGMT SOLUTIONS
Cash Payment
E 601 -49400 -307 Admin /Finance /Compute JUNE 2015 -CIS DATA HOSTING,
$1,749.59
PRODUCTION, BILLING, CALL CTR SUPPORT
Invoice 150604
7/212015
Cash Payment
E 602 -49450 -307 Admin /Finance /Compute JUNE 2015 -CIS DATA HOSTING,
$1,749.60
PRODUCTION, BILLING, CALL CTR SUPPORT
Invoice 150604
7/2/2015
Cash Payment
E 601 - 49400 -322 Postage
JUNE 2015- UTILITY BILLING POSTAGE
$340.90
Invoice 150604
7/2/2015
Cash Payment
E 60249450-322 Postage
JUNE 2015- UTILITY BILLING POSTAGE
$340.89
Invoice 150604
7/2/2015
Transaction Date
�
7/8/2015
Wells Fargo 10100 Total
�� �... �. �., �.. ..- ,....�..,..„..,�.,...w„.s.�,
$4,180.98
Refer
29 R ICON USA, INC.���
Cash Payment
E222-42260-202 Duplicating and copying
FIRE DEPT COPIER ADDTL IMAGES FEE 3-
$29.20
10 -15 THRU 6 -09 -15
Invoice 94948345
6/24/2015
Transaction Date
7/8/2015
Wells Fargo 10100 Total
$29.20
Refer
31 SUN NEWSPAPERS -HWS ACCT.~��
CITY OF MOUND 07/09/1512:35 PM
Page 7
Payments
Current Period: July 2015
�`11'�4J'6
E 602 - 49450 -328 Employment Advertising
uvv�wtsa�x+
$97.20
Cash Payment
E 609 - 49750 -340 Advertising
LUCID SURFSIDE ALE CELEBRATION AD-
$833.62
Cash Payment
E 601 - 49400 -328 Employment Advertising
HWS 6 -20 -15
$97.20
Invoice 231000
6/2112015
SVC CALL AC SYSTEM- FIRE DEPT 7 -2 -15
$200.25
Cash Payment
E 609- 49750 -328 Employment Advertising
HELP WANTED SALES CLERK AD 3 -28 -15
$111.00
Invoice 230999
6/2112015
_
$200.25
Cash Payment
E 609- 49750 -340 Advertising
4TH OF JULY CELEBRATION SPONSOR AD-
$55.00
Transaction Date
7/8/2015
HWS 6 -27 -15
$1,494.25
Invoice 233014
6/28/2015
& #3 PARKS GARAGE
Transaction Date
718/2015
Wells Fargo 10100 Total
$999.62
Refer
32 SUN PATRIOT NEWSPAPER -CITY
_
$791.75
Cash Payment
G 101 -23318 GALWAY- VACATION PC #14
LEGAL PUB HEARING NTCE- 4730 GALWAY
$66.40
Cash Payment
E 101 - 41930 -400 Repairs & Maintenance
RD 6 -27 -15
$546.87
Invoice 232133
6/27/2015
HALL 2ND QTR 2015
Cash Payment
E 101- 41500 -351 Legal Notices Publishing
FINANCIAL STMT 2014 YEAR END
$647.64
Invoice 232134
6/27/2015
Cash Payment
E 101 - 41500 -351 Legal Notices Publishing
FINANCIAL STMT PT 2 -2014 YEAR END
$138.78
Invoice 232135
6/27/2015
Cash Payment
E 350 -47000 -620 Fiscal Agent s Fees
PUB HEARING NTCE REFINANCE 2006 HRA
$50.12
BONDS
Invoice 232136 6/27/2015
Cash Payment
E 602 - 49450 -328 Employment Advertising
HELP WANTED AD PW MAINT- UTILITIES
$97.20
Invoice 412929
6/28/2015
HALL 2ND QTR 2015
Cash Payment
E 601 - 49400 -328 Employment Advertising
HELP WANTED AD PW MAINT- UTILITIES
$97.20
Invoice 412929
6/28/2015
SVC CALL AC SYSTEM- FIRE DEPT 7 -2 -15
$200.25
Transaction Date
718/2015
Wells Fargo 10100 Total
$1,097,34
Refer
33 TWIN CITY GARAGE DOOR COMP
_
$200.25
Cash Payment
E 101- 45200 -400 Repairs & Maintenance
REPLACE CABLES, BROKEN SPRING
$791.75
Transaction Date
7/8/2015
SHAFT, ADD ANCHOR BRACKET - DOOR #2
$1,494.25
Refer
35 VESSCO, INCORPORATED_
& #3 PARKS GARAGE
Invoice 440637
6/17/2015
GAS MONITOR W /SENSOR & BATTERY
$2,074.10
Transaction Date
718/2015
Wells Fargo 10100 Total
$791.75
Refer �.Pm.».
34 UHL COMPANY
_4
Cash Payment
E 101 - 41930 -400 Repairs & Maintenance
PREVENTATIVE MTCE CONTRACT- CITY
$546.87
HALL 2ND QTR 2015
Invoice 36501 7/1/2015
Cash Payment
E 222 - 42260 -402 Building Maintenance
PREVENTATIVE MTCE CONTRACT- CITY
$546.88
HALL 2ND QTR 2015
Invoice 36501
7/1/2015
Cash Payment
E 222 - 42260 -402 Building Maintenance
SVC CALL AC SYSTEM- FIRE DEPT 7 -2 -15
$200.25
Invoice 36578
7/2/2015
Cash Payment
E 101- 41930 -400 Repairs & Maintenance
SVC CALL AC SYSTEM- CITY HALL 7 -2 -15
$200.25
Invoice 36578
7/2/2015
Transaction Date
7/8/2015
Wells Fargo 10100 Total
$1,494.25
Refer
35 VESSCO, INCORPORATED_
_
Cash Payment
E 601 - 49400 -440 Other Contractual Servic
GAS MONITOR W /SENSOR & BATTERY
$2,074.10
BACKUP - INSTALLED -WTR DEPT
Invoice 63700
6/2312015 PO 24548
Cash Payment
E 601- 49400 -221 Equipment Parts
GRP P.M. KIT 2001500 PPD VAC RE WTR
$457.65
DEPT
Invoice 63551
5/14/2015
-1699-
CITY OF MOUND 07/09/1512:35 PM
Page 8
Payments
Current Period: July 2015
Pre - Written Check $0.00
Checks to be Generated by the Computer $91,591.20
Total $91,591.20
-1700-
Cash Payment E 601- 49400 -440 Other Contractual
Servic BOOSTER PUMP & INSTALLATION
$1,332.61
Invoice 63699 6/23/2015 PO 24527
Transaction Date 718/2015
Wells Fargo 10100 Total
$3,864.36
Refer µ 36 XCEL ENERGY
_
Cash Payment E 602 - 49450 -381 Electric Utilities
ELECTRIC SVC 5 -27 -15 THRU 6 -27 -15
$75.05
CARLOW RD LIFT STATION
Invoice 462097516 6129/2015
Transaction Date 7/8/2015
Wells Fargo 10100 Total
$75.05
Fund Summary
10100 Wells Fargo
101 GENERAL FUND
$9,651.10
222 AREA FIRE SERVICES
$2,895.30
350 MOUND TRANSIT CTR SERIES 2006
$50.12
401 GENERAL CAPITAL PROJECTS
$1,200.00
601 WATER FUND
$6,865.35
602 SEWER FUND
$68,155.73
609 MUNICIPAL LIQUOR FUND
$2,198.60
675 STORM WATER UTILITY FUND
$575.00
$91,591.20
Pre - Written Check $0.00
Checks to be Generated by the Computer $91,591.20
Total $91,591.20
-1700-
CITY OF MOUND 07/09/15 12:30 PM
Page i
Payments
Current Period: July 2015
Invoice 1000062034 6/23/2015
Transaction Date
7/9/2015
Wells Fargo 10100 Total
$107,277.25
Refer
3 METROPOLITAN COUNCIL SAC C
_F
2ND QTR 2015 PROSECUTION SVCS
Cash Payment
G 602 -21825 SAC Deposits
SAC CHARGES 2ND QTR 2015
$27,061.65
Invoice 071415
6/30/2015
$12,500.00
Refer 7 REPUBLIC SERVICES
Transaction Date
7/9/2015
Wells Fargo 10100 Total
$27,061.65
Refer
4 MNSP_ECT�
Cash Payment
E 101 - 42400 -308 Building Inspection Fees
JUNE 2015 BUILDING INSPECTION FEES
$17,253.66
Invoice 6579
7/6/2015
Cash Payment E 602 - 49450 -384 Refuse /Garbage Dispos
JULY 2015 GARBAGE SVC
Cash Payment
G 101 -20800 Due to Other Governments
JUNE 2015 - ELECTRICAL STATE
- $150.00
Cash Payment E 101 - 41910 -384 Refuse /Garbage Dispos
JULY 2015 GARBAGE SVC
SURCHARGE FEE CREDIT
Invoice 6579
7/6/2015
Cash Payment
R 101- 42000 -32220 Electrical Permit Fee
JUNE 2015 ELECTRICAL INSPECTION
- $762.00
PERMIT FEE CREDITS
Invoice 6579
7/6/2015
Transaction Date
7/9/2015
Wells Fargo 10100 Total
$16,341.66
Refer
5 ORONO, CITY OF
_
Cash Payment
E 101- 41600 -450 Board of Prisoners
HENNEP CTY JAIL CHARGES- PER DIEM
$332.74
FEES JUNE 2015
Invoice 20140417
6/24/2015
Cash Payment
E 101 -42110 -300 Professional Srvs
2ND HALF 2015 CONTRACTED POLICE
$811,607.50
SERVICE
Invoice 20140412 6/24/2015
Transaction Date 7/9/2015
Wells Fargo 10100 Total
$811,940.24
Refer 6 POTTS, KENNETH N. P.A.
_�4W
Cash Payment E 101- 41600 -304 Legal Fees
2ND QTR 2015 PROSECUTION SVCS
$12,500.00
Invoice 071415 7/1/2015
Transaction Date 7/9/2015
Wells Fargo 10100 Total
$12,500.00
Refer 7 REPUBLIC SERVICES
_
Cash Payment E 222 - 42260 -384 Refuse /Garbage Dispos
JULY 2015 GARBAGE SVC
$160.22
Invoice 0894 - 003850528 6/25/2015
Cash Payment E 101 -41930 -384 Refuse /Garbage Dispos
JULY 2015 GARBAGE SVC
$160.23
Invoice 0894 - 003850528 6/25/2015
Cash Payment E 602 - 49450 -384 Refuse /Garbage Dispos
JULY 2015 GARBAGE SVC
$244.45
Invoice 0894 - 003850530 6/25/2015
Project 15 -3
Cash Payment E 101 - 41910 -384 Refuse /Garbage Dispos
JULY 2015 GARBAGE SVC
$166.89
Invoice 0894 - 003848317 6/25/2015
-1701-
CITY OF MOUND
Payments
07/09/15 12:30 PM
Page 2
Current Period: July 2015
Transaction Date 7/8/2015
Wells Fargo 10100 Total
Cash Payment E 101- 45200 -384 Refuse /Garbage Dispos
JULY 2015 GARBAGE SVC
$227.02
Invoice 0894 - 003848560 6/25/2015
Cash Payment E 401- 43114 -300 Professional Srvs
REPLACE APPLE TREE REMOVED DURING
Cash Payment E 670 -49500 -440 Other Contractual Servic
JUNE 2015 CITY -WIDE RECYCLING SVC
$12,991.77
Invoice 0894 - 003848263 6/25/2015
PROD - PW14 -01 -4941 THREE PTS BLVD- D.
Cash Payment E 670- 49500 -440 Other Contractual Servic
MAY 2015 SURFSIDE PARK RECYCLING SVC
$43.56
Invoice 0894 - 003848263- 6/25/2015
Invoice 072315 7/7/2015
Project PW1401
Cash Payment E 670- 49500 -440 Other Contractual Servic
JUNE 2015 SURFSIDE PARK RECYCLING
$43.56
$53.64
SVC
Invoice 0894 - 003848263- 6/25/2015
Transaction Date 7/8/2015
Wells Fargo 10100 Total
$14,037.70
Refer 8 ROEPKE, DOUG
Cash Payment E 401- 43114 -300 Professional Srvs
REPLACE APPLE TREE REMOVED DURING
$5164
CONSTRUCTION- 2014 PUB WKS IMPROV
PROD - PW14 -01 -4941 THREE PTS BLVD- D.
ROEPKE
Invoice 072315 7/7/2015
Project PW1401
Transaction Date 7/9/2015
Wells Fargo 10100 Total
$53.64
Refer 9 SOUTHWEST TRAILS ASSOCIATIO
Cash Payment G 101 -22801 Deposits /Escrow
SW TRAILS ASSOC 2015 SNOWMOBILE
$1,551.19
MTCE -DNR PMT #4 5 -28 -15
Invoice 071415 4/27/2015
Transaction Date 7/9/2015
Wells Fargo 10100 Total
$1,551.19
Refer 10 VELANDER, JEFF
_�
Cash Payment E 401 - 43114 -300 Professional Srvs
REIMB SPRINKLER REPAIR DUE TO
$141.00
DAMAGE DURING CONSTRUCTION- 2014
PUB WKS IMPROV PROD - PW14 -01 -4949
THREE PTS BLVD -J. VELANDER
Invoice 072315 7/7/2015
Project PW1401
Transaction Date 7/9/2015
Wells Fargo 10100 Total
$141.00
Fund Summary
10100 Wells Fargo
101 GENERAL FUND
$951,964.48
222 AREA FIRE SERVICES
$160.22
401 GENERAL CAPITAL PROJECTS
$194.64
602 SEWER FUND
$27,306.10
670 RECYCLING FUND
$13,078.89
$992,704.33
Pre - Written Check $0.00
Checks to be Generated by the Computer $992,704.33
Total $992,704.33
-1702-
CITY OF MOUND
Payments
Current Period: July 2015
07/09/15 8:14 AM
Page 1
Refer 4 ARCTIC GLACIER PREMIUM ICE
Cash Payment E 609 -49750 -255 Misc Merchandise For R
ICE
$208.74
Batch Name 071415HWS User Dollar Amt $190,364.39
Payments Computer Dollar Amt $190,364.39
Cash Payment E 609 -49750 -265 Freight
FREIGHT
$0.00 In Balance
Invoice 458517303 6/22/2015
Refer 1 12 CIDERHOUSE
_
Cash Payment E 609 -49750 -255 Misc Merchandise For R
Cash Payment E 609 - 49750 -252 Beer For Resale
BEER
$240.00
Invoice 72 6/26/2015
Cash Payment E 609 - 49750 -265 Freight
Transaction Date 7/1/2015
Wells Fargo 10100 Total
$240.00
2 ARCTIC GLACIER PREMIUM ICE
_
Transaction Date 7/1/2015 Due 12/31/2014
_Refer
Cash Payment E 609 -49750 -255 Misc Merchandise For R
ICE
$343.04
Invoice 462518805 7/7/2015
Cash Payment E 609 -49750 -252 Beer For Resale
Cash Payment E 609 - 49750 -265 Freight
FREIGHT
$1.00
Invoice 462518805 7/7/2015
Transaction Date 7/8/2015
Cash Payment E 609 - 49750 -255 Misc Merchandise For R
ICE
$40.19
Invoice 461516903 6/18/2015
Transaction Date 718/2015 Due 12/31/2014
Wells Fargo 10100 Total
$384.23
Refer 3 ARCTIC GLACIER PREMIUM ICE
_
Cash Payment E 609 -49750 -255 Misc Merchandise For R
ICE
$224.26
Invoice 439518303 7/2/2015
Cash Payment E 609- 49750 -265 Freight
FREIGHT
$1.00
Invoice 439518303 7/2/2015
Cash Payment E 609 -49750 -255 Misc Merchandise For R
ICE
$1.39
Invoice 439518304 7/212015
Transaction Date 7/812015 Due 12/31/2014
Wells Fargo 10100 Total
$226.65
Refer 4 ARCTIC GLACIER PREMIUM ICE
Cash Payment E 609 -49750 -255 Misc Merchandise For R
ICE
$208.74
Invoice 458517303 6/22/2015
Cash Payment E 609 -49750 -265 Freight
FREIGHT
$1.00
Invoice 458517303 6/22/2015
Cash Payment E 609 -49750 -255 Misc Merchandise For R
ICE
$229.49
Invoice 458517805 6/27/2015
Cash Payment E 609 - 49750 -265 Freight
FREIGHT
$1.00
Invoice 458517805 6/27/2015
Transaction Date 7/1/2015 Due 12/31/2014
Wells Fargo 10100
Total $440.23
Refer 5 ARTISAN BEER COMPANY _
Cash Payment E 609 -49750 -252 Beer For Resale
BEER
$1,121.90
Invoice 3038306 6/18/2015
Transaction Date 7/8/2015
Wells Fargo 10100
Total $1,121.90
Refer 6 BELLBOY CORPORATION
Cash Payment E609-49750-210 Operating Supplies SUPPLIES, BAGS $144.59
Invoice 92261800 6/29/2015
Cash Payment E 609 - 49750 -254 Soft Drinks /Mix For Resa MIX $92.00
Invoice 92261800 6/29/2015
Cash Payment E 609 -49750 -255 Misc Merchandise For R MDSE- FLASKS $17.80
Invoice 92261800 6/29/2015
Cash Payment E609-49750-254 Soft Drinks /Mix For Resa MIX $63.58
Invoice 92220700 6/22/2015
-1703-
Payments
Current Period: July 2015
07/09/15 8:14 AM
Page 2
Transaction Date 7/1/2015 Welts Fargo 10100 Total $317.97
Refer 8 BELLBOY CORPORATION
_
Cash Payment E 609 -49750 -251 Liquor For Resale LIQUOR
Cash Payment E 609 -49750 -251 Liquor For Resale
LIQUOR
$196.00
Invoice 48720100 6/17/2015
$82.9c
Invoice 92303100 71612015
Cash Payment E 609 -49750 -265 Freight
FREIGHT
$5.10
Invoice 48720100 6/17/2015
Cash Payment E 609 - 49750 -251 Liquor For Resale LIQUOR
Cash Payment E 609 - 49750 -251 Liquor For Resale
LIQUOR CREDIT
- $82.35
Invoice 48773400 6117/2015
Total $16,889.29
Refer 7 BELLBOY CORPORATION _
Cash Payment E 609 -49750 -251 Liquor For Resale
LIQUOR
$289,90
Invoice 48755800 6/17/2015
Cash Payment E 60949750 -254 Soft Drinks /Mix For Rasa MIX
Cash Payment E 609 - 49750 -265 Freight
FREIGHT
$5.10
Invoice 48755800 6/17/2015
$33.60
Invoice 92257700 6/26/2015
Cash Payment E 609 -49750 -251 Liquor For Resale
LIQUOR
$2,578.55
Invoice 48908600 6/26/2015
Transaction Date 7/1/2015 Wells Fargo 10100
Cash Payment E 609 -49750 -265 Freight
FREIGHT
$32.55
Invoice 48908600 6/26/2015
$140.35
Invoice 228989 7/1/2015
Transaction Date 7/1/2015
Wells Fargo 10100
Total $3,024.85
Refer 9 BELLBOY CORPORATION _
Cash Payment E 609 -49750 -251 Liquor For Resale LIQUOR
$6,220.5'
Invoice 49036100 7/612015
Cash Payment E 609 -49750 -254 Soft Drinks /Mix For Resa MIX
$82.9c
Invoice 92303100 71612015
Cash Payment E 609 -49750 -251 Liquor For Resale LIQUOR
$6,981.45
Invoice 48923800 6/29/2015
Cash Payment E 609 - 49750 -251 Liquor For Resale LIQUOR
$3,604.30
Invoice 48813700 6/22/2015
Transaction Date 7/8/2015 Wells Fargo 10100
Total $16,889.29
Refer 7 BELLBOY CORPORATION _
Cash Payment E609-49750-210 Operating Supplies SUPPLIES, BAGS
$58.00
Invoice 92257700 6/26/2015
Cash Payment E 60949750 -254 Soft Drinks /Mix For Rasa MIX
$55.00
Invoice 92257700 6/2612015
Cash Payment E 609 -49750 -255 Misc Merchandise For R MDSE- SHOT CUPS
$33.60
Invoice 92257700 6/26/2015
Cash Payment E 609 -49750 -254 Soft Drinks/Mix For Rasa MIX
$119.80
Invoice 48924000 6/29/2015
Transaction Date 7/1/2015 Wells Fargo 10100
Total $266.40
Refer 11 BERN/CKS BEVERAGES AND VEN
Cash Payment E 609 -49750 -254 Soft Drinks /Mix For Resa MIX
$140.35
Invoice 228989 7/1/2015
Cash Payment E 609 -49750 -252 Beer For Resale BEER
$948.75
Invoice 228989 7/1/2015
Transaction Date 7/8/2015 Wells Fargo 10100
Total $1,089.10
Refer 10 BERNICKS BEVERAGES AND VEN
Cash Payment E 609 - 49750 -254 Soft Drinks /Mix For Resa MIX $69.15
Invoice 225902 6/17/2015
Cash Payment E 609 -49750 -252 Beer For Resale BEER $1,357.50
Invoice 225903 6/17/2015
-1704-
CITY OF MOUND 07/09/158:14 AM
Page 3
Payments
Current Period: July 2015
Invoice 16679
6123/2015
DESIGN & LAYOUT OF HWS LOGO & POST
Transaction Date
7/1/2015
Wells Fargo 10100
Refer
13 COCA COLA BOTTLING- MIDWEST
Cash Payment
E 609 - 49750 -254 Soft Drinks /Mix For Rasa
COCA COLA PRODUCTS- MIX
Invoice 0198051310 6/16/2015
Cash Payment
E 609 - 49750 -254 Soft Drinks /Mix For Rasa
COCA COLA PRODUCTS- MIX
Invoice 0198052509 6/30/2015
Refer
Transaction Date
711/2015
Wells Fargo 10100
Refer 14 CREATIVE TWIST, LLC
Total $160.00
$241.28
$189.12
Total $430.40
Cash Payment
E 609 -49750 -340 Advertising
DESIGN & LAYOUT OF HWS LOGO & POST
$50.00
IT NOTES
Invoice 2030
6/17/2015
Transaction Date 7/1/2015
Wells Fargo
10100 Total
$50.00
Refer
15 DAHLHEIMER BEVERAGE LLC
_
Cash Payment
E 609 - 49750 -252 Beer For Resale
BEER
$174.00
Invoice 1162849
6/24/2015
Cash Payment
E 609 - 49750 -252 Beer For Resale
BEER
$334.00
Invoice 1162827
6/24/2015
Cash Payment
E 609 -49750 -252 Beer For Resale
BEER
$699.20
Invoice 1160754
6/17/2015
Cash Payment
E 609 -49750 -252 Beer For Resale
BEER
$939.30
Invoice 1162908
7/1/2015
Transaction Date
7/1/2015
Wells Fargo
10100 Total
$2,146.50
Refer
16 DAY DISTRIBUTING COMPANY
Cash Payment
E 609 -49750 -252 Beer For Resale
BEER
$107.50
Invoice 809408
7/1/2015
Cash Payment
E 609 - 49750 -252 Beer For Resale
BEER
$3,574.30
Invoice 809407
7/1/2015
Cash Payment
E 609 -49750 -252 Beer For Resale
BEER
$98.40
Invoice 808505
6/23/2015
Cash Payment
E 609 -49750 -252 Beer For Resale
BEER
$4,912.75
Invoice 808504
6123/2015
Cash Payment
E 609 -49750 -252 Beer For Resale
BEER
$3,044.80
Invoice 807357
6116/2015
Cash Payment
E 609 - 49750 -252 Beer For Resale
BEER
$61.40
Invoice 810186
7/7/2015
Cash Payment
E 609- 49750 -252 Beer For Resale
BEER
$3,927.97
Invoice 810185
7/7/2015
Transaction Date
7/1/2015
Wells Fargo
10100 Total
$15,727.12
Refer
17 EXTREME BEVERAGE
Cash Payment E 609 - 49750 -254 Soft Drinks /Mix For Rasa MIX
$218.90
Invoice 1207570
6/18/2015
Transaction Date
7/1/2015
Wells Fargo
10100 Total
$218.90
-1705-
CITY OF MOUND
Payments
Current Period: July 2015
Refer 18 GRAPE BEGINNINGS, INCORPORA
07/09/15 8:14 AM
Page 4
Cash Payment
E 60949750 -253 Wine For Resale
WINE
$108.00
Invoice 183859
7/1/2015
$1,149.50
Cash Payment
E 60949750 -265 Freight
FREIGHT
$2.25
Invoice 183859
711/2015
10100
Total $1,149.50
Transaction Date
7/1/2015
Wells Fargo 10100
Total $110.25
Refer 19 HOHENSTE/NS, INCORPORATED
_
Cash Payment E 609 -49750 -252 Beer For Resale
BEER
$1,149.50
Invoice 769788 6/25/2015
Transaction Date 7/1/2015
Wells Fargo
10100
Total $1,149.50
Refer 20 INDIAN ISLAND WINERY
_
Cash Payment E 609 - 49750 -253 Wine For Resale
WINE
$103.20
Invoice 2589 6/15/2015
Transaction Date 7/8/2015
Wells Fargo
10100
Total $103.20
Refer 21 JJ TAYLOR. DISTRIBUTING MINN
_µ
Cash Payment E 609 - 49750 -252 Beer For Resale
BEER
$3,187.76
Invoice 2373593 6129/2015
Cash Payment E 609 -49750 -254 Soft Drinks /Mix For Resa
MIX
$77.60
Invoice 2373594 6/29/2015
Cash Payment E 609 - 49750 -252 Beer For Resale
BEER
$153.75
Invoice 2373595 6/29/2015
Cash Payment E 609 -49750 -252 Beer For Resale
BEER
$5,281.65
Invoice 2373546 6/23/2015
Cash Payment E 609 - 49750 -254 Soft Drinks /Mix For Resa MIX
$38.80
Invoice 2373547 6/23/2015
Cash Payment E 609 -49750 -252 Beer For Resale
BEER CREDIT
- $16.80
Invoice 2355395 6111/2015
Transaction Date 7/1/2015
Wells Fargo
10100
Total $8,722.76
Refer 22 JJ TAYLOR. DISTRIBUTING MINN
_
Cash Payment E 609 - 49750 -252 Beer For Resale
BEER
$4,999.07
Invoice 2373498 6/16/2015
Cash Payment E 609 -49750 -254 Soft Drinks /Mix For Resa MIX
$148.00
Invoice 2373510 6/16/2015
Cash Payment E 60949750 -252 Beer For Resale
BEER
$235.60
Invoice 2373499 6/16/2015
Cash Payment E 60949750 -252 Beer For Resale
BEER
$5,366.31
Invoice 2387841 7/7/2015
Cash Payment E 609 -49750 -254 Soft Drinks /Mix For Resa
MIX
$80.00
Invoice 2387842 717/2015
Cash Payment E 60949750 -252 Beer For Resale
BEER CREDIT
- $80.00
Invoice 2360965 6/29/2015
Transaction Date 7/1/2015
Wells Fargo
10100
Total $10,748.98
Refer 23 JOHNSON BROTHERS LIQUOR
Cash Payment E 60949750 -251 Liquor For Resale
LIQUOR
$1,386.93
Invoice 5200597 7/1/2015
Cash Payment E 609- 49750 -253 Wine For Resale
WINE
$1,071.50
Invoice 5200598 7/1/2015
-1706-
CITY OF MOUND
Payments
Current Period: July 2015
07109/15 8:14 AM
Page 5
Cash Payment
E 609 - 49750 -252 Beer For Resale
BEER
$144.00
Invoice 5200599
7/1/2015
LIQUOR
Invoice 5188958
Cash Payment
E 609 - 49750 -253 Wine For Resale
WINE CREDIT
- $45.33
Invoice 528236
7/1/2015
6/17/2015
6125/2015
Transaction Date
7/1/2015
Wells Fargo 10100
Total $2,557.10
Refer
24 JOHNSON BROTHERS LIQUOR
_
E 60949750 -253 Wine For Resale
Cash Payment
E 609 - 49750 -254 Soft Drinks /Mix For Resa MIX
Invoice 5188960 6117/2015
6/15/2015
Cash Payment
E 609 - 49750 -251 Liquor For Resale
LIQUOR
Invoice 5188958
6/17/2015
E 609- 49750 -265 Freight
Cash Payment
E 609 -49750 -253 Wine For Resale
WINE
Invoice 5188959
6/17/2015
6125/2015
Cash Payment
E 609 - 49750 -251 Liquor For Resale
LIQUOR
Invoice 5201534
7/2/2015
7/812015
Cash Payment
E 60949750 -253 Wine For Resale
WINE CREDIT
Invoice 528694
6/3/2015
Transaction Date
7/1/2015
Wells Fargo
Refer
25 JOHNSON BROTHERS LIQUOR
_
Cash Payment
E 609- 49750 -252 Beer For Resale
BEER
Invoice 5194472
6/24/2015
Cash Payment
E 609- 49750 -251 Liquor For Resale
LIQUOR
Invoice 5194470
6/24/2015
Cash Payment
E 60949750 -253 Wine For Resale
WINE
Invoice 5194471
6/24/2015
Cash Payment
E 60949750 -251 Liquor For Resale
LIQUOR
Invoice 5179221
6/5/2015
Cash Payment
E 609 - 49750 -251 Liquor For Resale
LIQUOR CREDIT
Invoice 530056
6/12/2015
Cash Payment
E 609 - 49750 -253 Wine For Resale
WINE
Invoice 5198996
6/30/2015
Cash Payment
E 609 - 49750 -251 Liquor For Resale
LIQUOR
Invoice 5198995
6/30/2015
Transaction Date
7/1/2015
Wells Fargo
Refer
27 MARLIN S TRUCKING DELIVERY
_
Cash Payment
E 609 -49750 -265 Freight
Invoice 30300
6/15/2015
Cash Payment
E 609 -49750 -265 Freight
Invoice 30318
6/18/2015
Cash Payment
E 609- 49750 -265 Freight
Invoice 30325
6/22/2015
Cash Payment
E 609 - 49750 -265 Freight
Invoice 30344
6125/2015
Cash Payment
E 609 - 49750 -265 Freight
Invoice 30353
612912015
Transaction Date
7/812015
Refer
26 MARLIN S TRUCKING DELIVERY
Cash Payment E 609- 49750 -265 Freight
Invoice 30875 6/1/2015
10100
10100
DELIVERY SVC 6 -15 -15 HWS
DELIVERY SVC 6 -18 -15 HWS
DELIVERY SVC 6 -22 -15 HWS
DELIVERY SVC 6 -25 -15 HWS
DELIVERY SVC 6 -29 -15 HWS
Wells Fargo 10100
DELIVERY SVC 6 -01 -15
-1707-
$86.49
$6,586.63
$4,966.90
$879.00
- $58.34
Total $12,460.68
$62.00
$4,205.03
$4,135.75
$83.00
- $237.00
$4,056.60
$2,378.08
Total $14,683.46
$69.60
$377.00
$47.85
$327.70
$97.15
Total $919.30
$68.15
Cash Payment
E 609 -49750 -265 Freight
Invoice 30267
6/4/2015
Cash Payment
E 609 -49750 -265 Freight
Invoice 30276
6/8/2015
Cash Payment
E 609- 49750 -265 Freight
Invoice 30293
6/11/2015
Transaction Date
7/1/2015
CITY OF MOUND
Payments
Current Period: July 2015
DELIVERY SVC 6 -04 -15
DELIVERY SVC 6 -08 -15
DELIVERY SVC 6 -11 -15
Wells Fargo 10100
07/09/15 8:14 AM
Page 6
$435.00
$62.35
$213.15
Total $778.65
Refer 28 MINNEHAHA BUILDING MAINTENA
Cash Payment E 609 - 49750 -440 Other Contractual Servic WASH WINDOWS INSIDE & OUT 6 -1 -15 HWS
Invoice 928040604 6/2112015
Transaction Date 7/1/2015 Wells Fargo 10100 Total
Refer
29 MOUND, CITY OF
Cash Payment
E 609 - 49750 -382 Water Utilities
Invoice 071415 -2
6/20/2015
Transaction Date
7/112015
Refer 54 MP &G MARKETING SOLUTIONS, L
Cash Payment E 609 -49750 -340 Advertising
Invoice 071415 5/11/2015
Transaction Date 7/8/2015
Refer 30 NORTHERN VINEYARDS
WATER SERVICE 5 -1 -15 THRU 6 -1 -15 HWS
Wells Fargo 10100 Total
FINAL PYMT FOR MARKETING
DEVELOPMENT SVCS - RENDERED MAY 2015
$65.19
$65.19
$52.27
$52.27
$393.75
Wells Fargo 10100 Total $393.75
Cash Payment
E 609 -49750 -253 Wine For Resale
WINE
$78.00
Invoice 3903
6/15/2015
Transaction Date 7/8/2015
Wells Fargo 10100
Total $78.00
Refer
31 PARLEY LAKE WINERY
_
Cash Payment
E 609 -49750 -253 Wine For Resale
WINE
$198.00
Invoice 15065
7/312015
Transaction Date 7/8/2015
Wells Fargo 10100
Total $198.00
Refer
32 PAUST/S AND SONS WINE COMPA
_
Cash Payment
E 609 -49750 -253 Wine For Resale
WINE
$724.92
Invoice 8503932
6/22/2015
Cash Payment
E 609 -49750 -265 Freight
FREIGHT
$15.00
Invoice 8503932
6/22/2015
Cash Payment
E 609 -49750 -251 Liquor For Resale
LIQUOR
$152.01
Invoice 8503942
6122/2015
Cash Payment
E 609 -49750 -265 Freight
FREIGHT
$4.50
Invoice 8503942
6/22/2015
Transaction Date
7/1/2015
Wells Fargo 10100
Total $896.43
Refer
33 PAUST/S AND SONS WINE COMPA
_
Cash Payment
E 60949750 -253 Wine For Resale
WINE
$688.15
Invoice 8503049
6/15/2015
Cash Payment
E 609 - 49750 -265 Freight
FREIGHT
$11.25
Invoice 8503049
6115/2015
Cash Payment
E 609 - 49750 -253 Wine For Resale
WINE
$1,288.29
Invoice 8504982
6129/2015
Cash Payment
E 609 -49750 -265 Freight
FREIGHT
$20.00
Invoice 8504982
6/29/2015
IS
CITY OF MOUND 07/09/158:14 AM
Page 7
Payments
Current Period: July 2015
Invoice 1299298 6/25/2015
Cash Payment
E 609 -49750 -251 Liquor For Resale
LIQUOR
Invoice 1299299
Cash Payment
E 609 -49750 -253 Wine For Resale
WINE
$1,403.65
Invoice 8505811
716/2015
7/212015
Cash Payment
E 609 -49750 -265 Freight
FREIGHT
$17.50
Invoice 8505811
7/6/2015
Cash Payment
E 609 - 49750 -251 Liquor For Resale
Transaction Date 7/1/2015
Wells Fargo 10100
Total $3,428.84
Refer
34 PHILLIPS WINE AND SPIRITS, INC
_
Wells Fargo
Cash Payment
E 609 -49750 -253 Wine For Resale
WINE
$1,274.40
Invoice 2809468
6/24/2015
Invoice 1296844
6/18/2015
Cash Payment
E 609 - 49750 -251 Liquor For Resale
LIQUOR
$719.75
Invoice 2809467
6/24/2015
Cash Payment
Cash Payment
E 609 - 49750 -253 Wine For Resale
WINE
$56.00
Invoice 2809469
6/24/2015
711/2015
Wells Fargo
Cash Payment
E 609- 49750 -253 Wine For Resale
WINE
$1,497.15
Invoice 2812452
6130/2015
Cash Payment
E 609 - 49750 -251 Liquor For Resale
LIQUOR
$1,217.20
Invoice 2812451
6130/2015
Transaction Date
7/1/2015
Wells Fargo 10100
Total $4,764.50
Refer
35 PHILLIPS WINE AND SPIRITS, INC
_
Cash Payment
E 609- 49750 -251 Liquor For Resale
LIQUOR
$789.25
Invoice 2805766
6/17/2015
Cash Payment
E 609 - 49750 -253 Wine For Resale
WINE
$376.80
Invoice 2805767
6/17/2015
Transaction Date
7/1/2015
Wells Fargo 10100
Total $1,166.05
Refer
36 SOUTHERN WINE & SPIRITS OF M
_
Cash Payment
E 609 -49750 -253 Wine For Resale
WINE
$1,738.00
Invoice 1299298 6/25/2015
Cash Payment
E 609 -49750 -251 Liquor For Resale
LIQUOR
Invoice 1299299
6/25/2015
Cash Payment
E 609 -49750 -254 Soft Drinks /Mix For Resa
MIX
Invoice 1301965
7/212015
Cash Payment
E 609 -49750 -253 Wine For Resale
WINE
Invoice 1301964
7/2/2015
Cash Payment
E 609 - 49750 -251 Liquor For Resale
LIQUOR
Invoice 1301963
7/2/2015
Transaction Date
7/1/2015
Wells Fargo
Refer
37 SOUTHERN WINE & SPIRITS OF M
_
Cash Payment
E 609 - 49750 -253 Wine For Resale
WINE
Invoice 1296844
6/18/2015
Cash Payment
E 609 -49750 -251 Liquor For Resale
LIQUOR
Invoice 1296845
6/18/2015
Cash Payment
E 609 -49750 -251 Liquor For Resale
LIQUOR CREDIT
Invoice 9059438
612212015
Transaction Date
711/2015
Wells Fargo
Refer
38 THORPE DISTRIBUTING COMPAN
_
Cash Payment E 609 - 49750 -252 Beer For Resale BEER
Invoice 903326 6/29/2015
Cash Payment E 609 - 49750 -252 Beer For Resale BEER
Invoice 903325 6/29/2015
-1709-
$2,526.25
$48.00
$1,989.54
$1,556.44
10100 Total $7,858.23
$1,856.00
$3,547.64
- $31.50
10100 Total $5,372.14
$37.10
$5,538.66
CITY OF MOUND
Payments
Current Period: July 2015
07/09/15 8:14 AM
Page 8
Cash Payment
E 609 -49750 -252 Beer For Resale
BEER
$98.00
Invoice 903161
6/2912015
Cash Payment
E 609 - 49750 -252 Beer For Resale
BEER
$146.00
Invoice 904312
7/2/2015
Cash Payment
E 609 - 49750 -253 Wine For Resale
WINE
$75.30
Invoice 903332
6129/2015
Transaction Date 7/1/2015
Wells Fargo 10100 Total
$5,895.06
Refer
40 THORPE DISTRIBUTING COMPAN
_
Cash Payment
E 609 -49750 -252 Beer For Resale
BEER
$5,158.05
Invoice 900097
6/16/2015
41 TRADITION WINE & SPIRITS, LLC
-
Cash Payment
E 609 -49750 -252 Beer For Resale
BEER
$221.70
Invoice 900098
6/16/2015
6/19/2015
Cash Payment
E 609 -49750 -252 Beer For Resale
BEER
$176.40
Invoice 900096
6/16/2015
6/19/2015
Cash Payment
E 60949750 -252 Beer For Resale
BEER
$515.00
Invoice 901514
6/19/2015
6/19/2015
Cash Payment
E 60949750 -252 Beer For Resale
BEER
$55.00
Invoice 900595
6/16/2015
42 VINOCOPIA, INCORPORATED
Cash Payment
E 609 -49750 -252 Beer For Resale
BEER
$35.10
Invoice 901570
6/23/2015
6/30/2015
Cash Payment
E 60949750 -252 Beer For Resale
BEER
$13,597.90
Invoice 901571
6/23/2015
Cash Payment
G 101 -22802 Festival
LUCID BEER - MOUND SPIRIT OF THE
$115.00
LAKES SURFSIDE ALE- KICKOFF EVENT
Invoice 901573
6/23/2015
Transaction Date
7/1/2015
Wells Fargo 10100 Total
$19,874.15
Refer 39 THORPE DISTRIBUTING COMPAN
Cash Payment
E 609- 49750 -252 Beer For Resale
BEER
$12,558.54
Invoice 904881
717/2015
Cash Payment
E 609- 49750 -252 Beer For Resale
BEER
$52.20
Invoice 904883
7/7/2015
Cash Payment
E 60949750 -252 Beer For Resale
BEER
$269.75
Invoice 904882
7/7/2015
Cash Payment
E 609 - 49750 -252 Beer For Resale
BEER
$240.00
Invoice 904615
717/2015
Transaction Date
7/8/2015
Wells Fargo 10100
Total $13,120.49
Refer
41 TRADITION WINE & SPIRITS, LLC
-
Cash Payment
E 60949750 -251 Liquor For Resale
LIQUOR
$352.00
Invoice 6206
6/19/2015
Cash Payment
E 609 -49750 -265 Freight
FREIGHT
$6.00
Invoice 6206
6/19/2015
Cash Payment
E 60949750 -253 Wine For Resale
WINE
$76.50
Invoice 6206
6/19/2015
_
Transaction Date
7/1/2015
Wells Fargo 10100
Total $434.50
Refer
42 VINOCOPIA, INCORPORATED
Cash Payment
E 609 -49750 -251 Liquor For Resale
LIQUOR
$90.00
Invoice 0127909
6/30/2015
-1710-
CITY OF MOUND 07/09/158:14 AM
Page 9
Payments
Current Period: July 2015
lam
E 609 -49750 -253 Wine For Resale
WINE
$756.00
Cash Payment E 609 -49750 -265 Freight
FREIGHT
$1.50
Invoice 0127909 6/3012015
E 609 - 49750 -265 Freight
FREIGHT
$8.25
Cash Payment E 609 -49750 -253 Wine For Resale
WINE
$1,141.00
Invoice 0127908 6/30/2015
E 609- 49750 -253 Wine For Resale
WINE
$592.00
Cash Payment E 609 49750 -265 Freight
FREIGHT
$15.00
Invoice 0127908 6/3012015
E 609 -49750 -265 Freight
FREIGHT
$11.55
Cash Payment E 609 - 49750 -253 Wine For Resale
WINE
$160.00
Invoice 0127911 613012015
Cash Payment E 609 -49750 -265 Freight
FREIGHT
$1.50
Invoice 0127911 6130/2015
Transaction Date 7/112015
Wells Fargo
10100 Total
$1,409.00
Refer 43 VINOCOPIA, INCORPORATED
_
Cash Payment E 609 -49750 -251 Liquor For Resale
LIQUOR
$141.95
Invoice 0126807 6/15/2015
Cash Payment E 609 - 49750 -265 Freight
FREIGHT
$2.50
Invoice 0126807 6/15/2015
Cash Payment E 609- 49750 -251 Liquor For Resale
LIQUOR
$90.13
Invoice 0126805 6/15/2015
Cash Payment E 609 - 49750 -265 Freight
FREIGHT
$2.50
Invoice 0126805 6/15/2015
Cash Payment E 609 - 49750 -254 Soft Drinks /Mix For Rasa SODA
$80.00
Invoice 0126806 6/15/2015
Cash Payment E 609 - 49750 -265 Freight
FREIGHT
$5.00
Invoice 0126806 6/15/2015
Cash Payment E 609 -49750 -253 Wine For Resale
WINE
$120.00
Invoice 0127349 6/2412015
Cash Payment E 609- 49750 -265 Freight
FREIGHT
$2.50
Invoice 0127349 6124/2015
Transaction Date 7/8/2015
Wells Fargo
10100 Total
$444.58
Refer ,..».444 WEBLEASE USA
Cash Payment E 609 -49750 -440 Other Contractual Servic
MONTHLY WEBSITE
SVC 6 -15 -15 THRU 7 -14-
$99.00
15 HWS
Invoice 66891 6/15/2015
Transaction Date 7/1/2015
Wells Fargo
10100 Total
$99.00
Refer ... 45 WILD MOUNTAIN WINERY, INC.
_
Cash Payment E 609 -49750 -253 Wine For Resale
WINE
$618.48
Invoice 1219 6/1712015
Transaction Date 7/812015
Wells Fargo
10100 Total
$618.48
Refer 46 WINE COMPANY
Cash Payment
E 609 -49750 -253 Wine For Resale
WINE
$756.00
Invoice 396462
611812015
Cash Payment
E 609 - 49750 -265 Freight
FREIGHT
$8.25
Invoice 396462
611812015
Cash Payment
E 609- 49750 -253 Wine For Resale
WINE
$592.00
Invoice 396875
6/25/2015
Cash Payment
E 609 -49750 -265 Freight
FREIGHT
$11.55
Invoice 396875
6/25/2015
-1711-
CITY OF MOUND 07/09/158:14 AM
Page 10
Payments
Current Period: July 2015
Invoice 1090428773 6/30/2015
-1712-
Cash Payment E 609 -49750 -253 Wine For Resale
WINE
$192.00
Invoice 397600 712/2015
Cash Payment E 609 - 49750 -265 Freight
FREIGHT
$4.20
Invoice 397600 7/2/2015
Transaction Date 7/1/2015
Wells Fargo
10100 Total
$1,564.00
Refer 47 WINE MERCHANTS
-
Cash Payment E 609- 49750 -253 Wine For Resale
WINE
$1,023.00
Invoice 7035949 6/24/2015
Cash Payment E 609 -49750 -253 Wine For Resale
WINE
$934.68
Invoice 7036728 6/30/2015
Cash Payment E 609 -49750 -254 Soft Drinks /Mix For Resa MIX
$46.00
Invoice 7035950 6/24/2015
Cash Payment E 609 -49750 -254 Soft Drinks /Mix For Resa MIX
$21.00
Invoice 7036729 6/30/2015
Cash Payment E 609 -49750 -253 Wine For Resale
WINE
$1,611.96
Invoice 7034975 6/17/2015
Transaction Date 7/1/2015
Wells Fargo
10100 Total
$3,636.64
Refer 48 WIRTZ BEVERAGE MN BEER
_
Cash Payment E 609 -49750 -252 Beer For Resale
BEER
$2,909.15
Invoice 1090421181 6/17/2015
Cash Payment E 609 - 49750 -252 Beer For Resale
BEER
$184.60
Invoice 109042118 6/17/2015
Cash Payment E 609 -49750 -252 Beer For Resale
BEER
$16.00
Invoice 1090421183 6/17/2015
Cash Payment E 60949750 -252 Beer For Resale
BEER
$508.00
Invoice 1090421184 611712015
Cash Payment E 60949750 -252 Beer For Resale
BEER
- $240.00
Invoice 1090421181 6/1712015
Transaction Date 7/8/2015
Wells Fargo
10100 Total
$3,377.75
Refer 49 WIRTZ BEVERAGE MN BEER
_
Cash Payment E 609 - 49750 -252 Beer For Resale
BEER
$40.00
Invoice 1090424998 6/24/2015
Cash Payment E 60949750 -252 Beer For Resale
BEER
$124.40
Invoice 1090424997 6/2412015
Cash Payment E 609 -49750 -252 Beer For Resale
BEER
$309.00
Invoice 1090424996 6/24/2015
Cash Payment E 609- 49750 -252 Beer For Resale
BEER
$7,757.00
Invoice 1090424995 6/2412015
Transaction Date 7/1/2015
Wells Fargo
10100 Total
$8,230.40
Refer 50 WIRTZ BEVERAGE MN BEER
_
Cash Payment E 609 -49750 -252 Beer For Resale
BEER
$4.15
Invoice 1090428775 6130/2015
Cash Payment E 609 -49750 -252 Beer For Resale
BEER
$100.00
Invoice 1090428776 6/30/2015
Cash Payment E 609 -49750 -252 Beer For Resale
BEER
$196.80
Invoice 1090428774 6130/2015
Cash Payment E 609 - 49750 -252 Beer For Resale
BEER
$4,526.15
Invoice 1090428773 6/30/2015
-1712-
CITY OF MOUND
Payments
Current Period: July 2015
Transaction Date 7/1/2015
Wells Fargo
Refer 53 WIRTZ BEVERAGE MN WINE SPIRI
_
Cash Payment E 609- 49750 -253 Wine For Resale
WINE
Invoice 1080339875 6/25/2015
Cash Payment E 609 -49750 -251 Liquor For Resale
LIQUOR
Invoice 1080339874 6/25/2015
Transaction Date 7/1/2015
Wells Fargo
Refer 52 WIRTZ BEVERAGE MN WINE SPIRI
_
Cash Payment E 609 -49750 -253 Wine For Resale
WINE
Invoice 1080343488 7/1/2015
Cash Payment E 609 - 49750 -251 Liquor For Resale
LIQUOR
Invoice 1080342881 7/1/2015
Cash Payment E 60949750 -254 Soft Drinks /Mix For Resa
MIX
Invoice 1080342882 711/2015
Cash Payment E 609 - 49750 -251 Liquor For Resale
LIQUOR CREDIT
Invoice 2080090541 5/23/2015
Cash Payment E 609 - 49750 -251 Liquor For Resale
LIQUOR CREDIT
Invoice 2080093966 6/23/2015
Transaction Date 7/8/2015
Wells Fargo
Refer 51 WIRTZ BEVERAGE MN WINE SPIRT
_
Cash Payment E 609 - 49750 -253 Wine For Resale
WINE
Invoice 1080337157 6/18/2015
Cash Payment E 60949750 -251 Liquor For Resale
LIQUOR
Invoice 1080337156 6/18/2015
Cash Payment E 609 - 49750 -253 Wine For Resale
WINE
Invoice 1080337158 6118/2015
Cash Payment E 609 - 49750 -253 Wine For Resale
WINE
Invoice 1080337159 6/18/2015
Transaction Date 7/1/2015
Wells Fargo
Fund Summary
10100
Wells Fargo
101 GENERAL FUND
$115.00
609 MUNICIPAL LIQUOR FUND
$190,249.39
$190,364.39
Pre- Wriften Check $0.00
Checks to be Generated by the Computer $190,364.39
Total $190,364.39
-1713-
10100
10100
07/09/15 8:14 AM
Page 11
Total $4,827.10
$600.00
$1,475.42
Total $2,075.42
$1,000.00
$1,317.77
$130.00
- $127.45
-$9.33
10100 Total $2,310.99
$928.00
$603.36
$72.00
$176.00
10100 Total $1,779.36
MOUND CITY COUNCIL MINUTES
June 23, 2015
The City Council of the City of Mound, Hennepin County, Minnesota, met in regular session on
Tuesday, June 23, 2015, at 7:00 p.m. in the council chambers of the Centennial Building.
Members present: Mayor Mark Wegscheid, Council Members Heidi Gesch, Ray Salazar, Kelli
Gillispie, and Jennifer Peterson
Members absent: None.
Others present: City Manager Kandis Hanson, Director of Finance /Clerk/Treasurer Catherine
Pausche, Director of Public Works Eric Hoversten, Fire Chief Greg Pederson, Rita Trapp
(HKGI), Katie Morford, James Reuper, Terry Blount, Steve Shellenbaum, Judd Bracket, Renee
Dahl, Roger Schmitz, Paul Boyum, 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 Council
Member or citizen so requests, in which event it will be removed from the Consent Agenda and
considered in normal sequence.
1. Open meeting
Mayor Wegscheid called the meeting to order at 7:00 p.m.
2. Pledge of Allegiance
3. Approve agenda
Hanson noted that replacement pages have been provided for 1518, 1519 and 1546.
Hanson asked for item 4H be pulled from the consent agenda for discussion. Hanson asked
for the addition of item 15A, action on a resolution approving a provisional sign permit for the
Mound - Westonka Rotary Club.
MOTION by Salazar, seconded by Gesch, to approve agenda as amended.
All voted in favor. Motion carried.
4. Consent aaenda
MOTION by Salazar, seconded by Gesch, 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 $294,259.39
B. Approve minutes: June 9, 2015 regular meeting
C. Approve payment of invoice by American Engineering Testing in the amount of $860.20
for construction testing services, Bartlett Boulevard Watermain Improvements, City
Project No. 15 -09
D. RESOLUTION NO. 15 -63: RESOLUTION AWARDING 2015 CRACK REPAIR
PROJECT TO PRECISION SEALCOATING, ING. IN THE AMOUNT OF $6,187.50,
CITY PROJECT NO. PW -15 -07
E. RESOLUTION NO. 15 -64: RESOLUTION APPROVING LIQUOR LICENSE
RENEWALS FOR 2015 -2016
-1714-
Mound City Council Minutes —June 9, 2015
RESOLUTION NO. 15 -65: RESOLUTION APPROVING LIQUOR LICENSE
RENEWAL FOR CATTAILS KITCHEN 'N COCKTAILS, LLC, FOR THE PERIOD JULY
1, 2015 THROUGH DECEMBER 31, 2015
G. RESOLUTION NO. 15 -66: RESOLUTION APPROVING EXPANSION PERMIT FOR
4713 WILSHIRE BOULEVARD (PLANNING CASE NO. 15 -04)
H. Removed,
4H. Discussion /Action on a resolution approving variance for 5139 Waterbury Road.
Rita Trapp, City Planner from Hoisington Koegler Group, Inc (HKGI), said the property owner
would like to improve his deck. The home and deck meet setback requirements and the
property owner is seeking a variance as he would like to add a roof to the existing deck which
would then be considered a porch and be subject to the setback requirements for the structure
rather than the deck. Trapp explained the rear setback requirements for a deck are 10 feet and
15 feet for the primary structure.
Trapp stated the City Planning Commission reviewed the variance application and had an
extensive discussion regarding the difference between a deck and a porch. The Planning
Commission felt that the changes to deck were screening and there was no change to the
existing floor and ceiling and voted to recommend approval of the variance application. Trapp
said that Staff's recommendation was to deny the variance because of the potential for adding a
ceiling or floor to keep out the elements including rain from the deck which would increase
impervious surface and impact drainage at the property. Trapp stated there are drainage issues
in the area.
Trapp stated the property owner to the west of 5139 Waterbury Road has concerns about
drainage from the deck onto the property and another neighbor, Michael Olson, 3314 Tuxedo
Boulevard, faxed a letter over the weekend regarding the variance. Olson is a neighbor
downhill from the property requesting the variance. Trapp said she talked with Mr. Olson and
his main concerns were drainage and lack of privacy. Trapp said Mr. Olson's other concerns
about privacy were not relevant to this discussion due to the deck is already in place.
Mayor Wegscheid asked Trapp for the impervious surface count and whether it would conform if
the ceiling was covered. Trapp stated it would exceed the impervious surface calculation by 3
feet. Salazar asked about the original request for a "sofitted" ceiling with a gutter and
downspout system in which the runoff be directed to a wetland. Salazar stated controlling water
would be a good thing and he observed erosion under the deck impacting the integrity of the
retraining wall. Salazar said he sees the benefit of controlling the run -off.
Eric Hoversten responded to Salazar's comment about the control of run -off. Hoversten said
staff did not have access to the original intent of the property owner. He stated that the run -off
which Salazar described would be improved and then the structure would come under the rules
for a porch if the covering and drainage control system were considered. Salazar said he
understood the desire to screen the deck due to the particulars of the site being in a wooded
area.
Trapp said during the Planning Commission meeting where the variance was discussed the
property owner brought up the impervious surfaces. The Commission stated that as long as the
area is screened then the structure functions more as a deck than a porch. If a ceiling system
with drainage is installed then it would be considered a porch and the setbacks come into play.
Trapp stated the City Code only defines what a deck is and doesn't hold a definition for a porch.
-1715-
Mound City Council Minutes —June 9, 2015
This code definition of a deck is what staff uses when determining if the addition is part of the
structure or not.
Gesch stated the variance question at hand was whether the structure met the definition of a
deck. A deck meets setback requirement s and a porch does not. Trapp stated the Planning
Commission felt the screened deck met the standard for practical difficulty because the material
is not off the shelf and requires customization.
Gillispie said she would like to see a definition of a porch. Trapp stated the Planning
Commission will be working on this going forward. Peterson said that she feels that the under -
decking that manages water flow should still be considered a deck. Gesch said under - decking
should be counted as an impervious surface as it may affect other things such as run -off.
Gesch said the area has water drainage issues and the Code should be revisited or staff be
directed to work with the applicant to determine how to meet the impervious requirement.
Peterson recommended taking action on the resolution to allow the screening or not.
Barry Todd, 5139 Waterbury, the variance applicant, approached the City Council. He said he
is still making decisions on the construction of the unimproved driveway. Mayor Wegscheid
asked if there was opportunity to reduce the impervious cover count on the property. Todd
thought yes. Trapp stated the pervious driveway was considered into the calculations for lot
coverage in the variance application.
Todd said the current design of the deck/porch does not lend itself to becoming a closed -in
three season porch and noted that it would have to be approved by the Council through the
building permit process if he was to improve the deck. Todd said the water will naturally drain to
the wetland. Trapp said the original application did ask for the under - decking and water
management. Trapp said she is comfortable with removing condition one the setback
requirement.
Gesch said she is not comfortable shifting the issue from setback variance to hardcover. Todd
wanted to mention that there is a proper sequence to add the under - decking and it does not
make sense to screen it in and then add the under - decking later. The area will now count as
impervious and the applicant will have to figure out how to comply with the 30% hardcover.
MOTION by Salazar, seconded by Peterson, to approve the following resolution striking
condition one of the variance application and adding the under - decking as a deck material and
the requirement that the applicant has to meet the 30% hardcover requirement. All voted in
favor. Motion carried.
RESOLUTION NO. 15 -67: RESOLUTION APPROVING VARIANCE FOR 5139 WATERBURY
ROAD (PLANNING CASE NO. 15 -11)
5. Comments and suggestions from citizens present on any item not on the agenda.
None
6. Action on a Public Gathering Permit for 2015 Running of the Bays Half Marathon and
5K special event on September 12, 2015
Mayor Wegscheid recused himself because he is one of the event organizers and handed
the gavel to Acting Mayor Heidi Gesch.
Wegscheid addressed the Council and said lasts year's inaugural race raised $500 for
WECan and over $1,000 for Our Lady of the Lake Church. This year's race will start at
3
-1716-
Mound City Council Minutes — June 9, 2015
Grandview Middle School on September 12th and include a half marathon and 5K.
Wegscheid stated more people signed up already than participated last year and he
encouraged people to sign up at the website www.runningofthebays.com.
MOTION by Salazar, seconded by Gillispie, to approve the public gathering permit for the 2015
Running of the Bays Half Marathon and 5K special event on September 12, 2015, subject to the
conditions required by Staff. All voted in favor: Gillispie, Salazar, Gesch and Peterson. The
following voted against: none. The following abstained: Wegscheid. Motion carried.
Mayor Wegscheid took his seat again at the dais.
7. Sarah Smith, Comm_ unity Development Director, with a status report on nuisance
Pausche addressed the Council on behalf of Smith. Pausche reviewed the possible actions the
Council gave the property owner at the prior meeting. Pausche stated Scott Qualle, Building
Inspector, confirmed the property owner has finished the roof and the painting was nearly
complete and that Qualle the conditions were met so no need for further action.
8. Terry Blount, WeCAB Board of Directors, requesting action on a matching grant from
the City of Mound
Terry Blount, 1390 Cherry Place, Onono, said WeCAB is a non - profit organization providing
affordable transportation to people who can't drive. WeCAB operates primarily with volunteer
drivers in the Mound area and recently expanded to eastern Carver Co. Blount stated the
volunteer staff consists of 25 drivers and 6 -7 dispatchers and paid staff consists of 2 part-time
staff in Administration and Finance and eventually an Executive Director. Many of WeCAB rides
go to Ridgeview Medical Center who gave a $20K matching grant. in addition, WeCAB
provides trips to non - Ridgeview medical facilities, churches, grocery stores and other needed
activities. WeCAB provides on average 288 rides per week with 1300 volunteer hours who
drive over 21,000 miles. Charges for these services are based on income but most passengers
do not pay. Blount requested a matching grant from the City.
Mayor Wegscheid complemented the program and the volunteers who have created a great
asset to the community. Gillispie said WeCAB often attends Westonka Community and
Commerce meetings, but usually only asks for volunteer drivers and never asks for a
contribution from area businesses and asked if Mr. Blount was aware of this. Mr. Blount
acknowledged more work does need to be done on fundraising and will take note of this
situation.
Mayor Wegscheid asked how many other organizations are being asked and what amount is
being asked of Mound.
Blount stated the organization is making the rounds to other cities. He has been to Orono and
Maple Plain and plans on addressing the city councils of St. Bonifacius, Minnetrista and the
cities in eastern Carver County.
Wegscheid explained the City budget constraints and said the funding request needs to be part
of the budget discussions so that the request is planned for by the City. Gillispie noted other
non - profits located within the City are also seeking funds. She stated the Council should
consider the WeCAB request as a part of the budget discussion and she wants to be sure the
City is consistent in dealing with funding requests from all organizations.
-1717-
Mound City Council Minutes — June 9, 2015
Mayor Wegscheid noted the Council also requests financial information of groups seeking
contributions from the City.
P)
Jim Reuper, 4815 Island View Drive, stated Judd Bracket from the LMA was also present to
answer questions. Wegscheid asked how long Reuper has been involved and Reuper said
5 — 6 years with the LMA and a visitor and home owner for 33 years. Reuper noted when
he rebuilt a cabin into a retirement home he was required to put 4 feet of rock on the
driveway to keep it pervious and that it works well.
Reuper stated the Lake has undergone many changes through those 33 years including the
increase in noxious weeds. Reuper said the chemical treatments have been used for 5
years and are working but the cost is rising.
Mayor Wegscheid asked how the bays are chosen for treatment. Judd Bracket, 125
Woodpecker Ridge Road, Tonka Bay, said he is a bay captain for Gideon's Bay, and each
bay is independent and has its own checking account with the LMA. Bracket stated DNR
has put a stop to any more bays to be treated than the original three bays of Phelps,
Carmens, and Grays. Reuper said they were thought to be the worst of all the bays for
milfoil. Bracket stated the different chemicals or herbicides used to treat the weeds are EPA/
DNR approved and have been used for many years and are designed to treat milfoil.
Wegscheid said the 2015 funds can be released but that the 2016 amount needs to be part
of the budget discussion /workshop and asked why the DNR does not allow the treatment of
other Lake Minnetonka bays in Mound.
Gesch said her understanding was the higher contribution levels given previously by the City
were meant to get the program started with the thought future funding would be reduced.
A. Request to release the 2015 budgeted milfoil treatment funds ($3,000)
MOTION by Salazar, seconded by Gesch, to direct staff to release the 2015 budgeted
funds to the LMA. All voted in favor. Motion carried.
B. Request to budget additional funds in 2016
Wegscheid said it will be part of the 2016 budget discussion.
Bracket stated a Lake Improvement District (LID) was created for St. Alban's Bay where a
board of directors is formed to manage and distribute the costs among benefiting property
owners. Salazar said he is fundamentally opposed to that concept and expressed concern
about creating another arm of government. Bracket said it has been offered as an
alternative because fundraising efforts tend to become less effective over time.
im
Roger Schmitz from CenterPoint Energy read an award letter and presented the Chief with a
check for $2,500. Fire Chief Greg Peterson explained the multi -gas monitor's help the Fire
Department check CO2, Oxygen, Hydrogen Sulfide among other levels of gases. The Chief
1718-
Mound City Council Minutes — June 9, 2015
said the monitors are used on a weekly basis and are calibrated monthly and that the new
equipment makes recalibration easier as the old monitors are at an end of their useful lives.
A.
MOTION by Salazar, seconded by Gesch, to approve the following resolution. All voted in
favor. Motion carried.
RESOLUTION NO. 15 -68: RESOLUTION TO FORMALLY ACCEPT A CENTERPOINT
ENERGY COMMUNITY PARTNERSHIP GRANT IN THE AMOUNT OF $2,500 TO
PARTIALLY FUND MULTI -GAS ATMOSPHERE MONITORS AND A CALIBRATION
TESTING STATION
11.
Chief Pederson thanked the Council for participating in the NIMS (emergency management)
training on April 15 and April 22. The total training lasted 4 hours and is targeted for public
officials. The Chief handed out certificates and an updated Mound emergency contact
information cards for Council Members to carry. Pederson presented information to the Council
on what to do and what duties the City Council will need to perform in the event of an
emergency.
Chief thanked the Council again for their participation. Mayor Wegscheid thanked the Fire
Department and Field Officer Stewart Simon, in particular, for conducting the training.
12.
Simmons discussed the report on Preparation of Plans and Specifications for the Wilshire
Boulevard Trunk Watermain Upgrade Project which will include the Metropolitan Council
Environmental Services (MCES) sharing project costs. MCES requested the sharing of project
costs as they will be doing their work on Wilshire Boulevard and the City wanted to move up
City timeline for the project to coincide with the tear up of Wilshire.
Simmons said the Watermain work will increase water flow in an area of the Island which needs
improvement and when complete will allow the current City booster pump and standpipe on the
Island to be eliminated. These improvements will expand water flow by increasing the diameter
of the piping. Simmons also highlighted other reasons for moving the timing of the project up
including the planned Hennepin County mill and overlay and subsequent moratorium on
projects that would not allow the project to be completed before 2022.
Hanson asked Pausche to respond to the question of increased utility rates. Pausche stated
the decision to pay for the Watermain Project would not necessarily mean a large utility rate
increase and referenced the Bolton and Menk study presented last October about the
smoothing of rate increases over time and that she did not expect a significant impact. in
addition, Pausche less of the street improvements could be allocated to the utility funds to
manage rates since street improvement bonds mature faster. Pausche also noted that $300K in
savings has already been realized on the CIP projection that was presented in October.
MOTION by Salazar, seconded by Gesch, to approve the following resolution. Giilispie asked to
confirm Option 3 would not be bid and Simmons said no, that Option 3 was included to show a
comparison if the project was stand alone without MCES sharing costs. All voted in favor.
Motion carried.
-1719-
Mound City Council Minutes — June 9, 2015
RESOLUTION NO. 15 -69: RESOLUTION RECEIVING REPORT AND AUTHORIZING
PREPARATION OF PLANS AND SPECIFICATIONS FOR THE WILSHIRE BOULEVARD
TRUNK WATERMAIN UPGRADE PROJECT, CITY PROJECT NO. PW -15 -11
13.
Kvilvang broke out the purposes of the bonds which fund street and retaining wall improvements
over 15 years as well as utility improvements over 20 years. Kvilvang stated Standard and
Poor's bond rating for the City was AA Stable in 2014 and it has been assumed the rating will
remain the same. The bonds will go on sale July 28tH
MOTION by Salazar, seconded by Gesch, to approve the following resolution. All voted in
favor. Motion carried.
A. RESOLUTION NO. 15 -70: RESOLUTION PROVIDING FOR THE SALE OF
$8,785,000 GENERAL OBLIGATION BONDS, SERIES 2015A
Kvilvang said the original bonds that were issued for the construction of a municipal parking
ramp were the only financing vehicle available at the time. Now there is a tax abatement
bond vehicle which will provide for significant interest savings estimated at over $370,000
over the next 20 years.
MOTION by Salazar, seconded by Gesch, to approve the following resolution. All voted in
favor. Motion carried.
14.
B. RESOLUTION NO. 15 -71: RESOLUTION PROVIDING FOR THE SALE OF
$2,715,000 GENERAL OBLIGATION TAX ABATEMENT BONDS, SERIES 2015B
A. FIN -001 Investment Policy - no action
B. FIN -002 Fund Balance Policy - no action
C. FIN -003 Procurement Policy
Pausche stated that this document is an attempt to capture when staff should come to the
City Council for advance approval and to clarify expectations. The policy requires staff to
obtain advance approval by the Council for items which aren't "normal and customary"
versus expenses which are typical and part of the approved budget. In addition, any
contract which is for more than one fiscal year will be approved in advance by the Council.
Discussion ensued on what is the definition of "normal and customary." Pausche said she
will add language to this policy to clarify, including the requirement of providing a list of
approved consultants as part of the budget process. Any consultant not on the list will be
brought to the Council for advance approval.
-1720-
Mound City Council Minutes —June 9, 2015
Gillispie asked for the word "cumulative" to be added to the threshold of when change
orders are brought back to the Council for approval. Mayor Wegscheid requested every
construction contract contain language regarding the approval of change orders by the
Council. Pausche said the changes will be made and the policy will be put on the next
Consent Agenda for approval.
D. FIN -004 Staff Expense Reimbursement Policy
Pausche stated the State Auditor requires a Council approved policy in this area and found
no record of Council approval previously. Staff will provide a quarterly report of
conferences, training and travel of City staff by department starting June 30 as requested by
the Finance Committee.
MOTION by Salazar, seconded by Gesch to approve FIN -004 Staff Expense
Reimbursement Policy. All voted in favor. Motion carried.
E. FIN -005 Credit Card Purchasing Policy
Pausche state the Finance Committee recommended changes which have been reflected
and shared with department heads.
MOTION by Salazar, seconded by Gesch to approve FIN -005 Credit Card Purchasing
Policy. All voted in favor. Motion carried.
F. FIN -006 Elected Official Out -of -State Travel Policy
This policy also is required by the State Auditor. This policy was approved previously by the
City Council. Language was added and presented in the agenda packet.
MOTION by Gesch, seconded by Salazar to approve amendments to the FIN -006 Elected
Official Out -of -State Travel Policy. All voted in favor. Motion carried.
G. FIN -007 Official Employee Out -of -State Travel Policy - no action
H. FIN -008 Mobile Device Policy
Pausche stated that the state contract has kept costs manageable. Staff who do go over the
minimums are required to reimburse the City.
MOTION by Salazar, seconded by Gesch to approve FIN -008 Mobile Device Policy. All
voted in favor. Motion carried.
15. Catherine Pausche, Director of Finance and Administrative Services, requesting
action on a resolution to approve a network upgrade project
Pausche stated this item is in the 2015 budget but is being brought back to the Council for
approval because of an increase in scope in order to ensure a comprehensive upgrade. The
proposed contract with Five Technology will be for five years. Pausche received two quotes
and had feedback and discussions with other vendors while researching vendors. The other
vendor quote was higher for network replacement and ongoing support costs. Pausche noted
Microsoft Outlook email will be moved to the "Cloud" rather than the physical server which will
free up server space and reduce staff downtime. The City has worked with Five Technology
over the past seven years and the company is very familiar with the City's needs.
1721-
Mound City Council Minutes — June 9, 2015
MOTION by Salazar, seconded by Gillispie, to approve the following resolution. All voted in
favor. Motion carried.
RESOLUTION NO. 15 -72: RESOLUTION AUTHORIZING CITY MANAGER TO ENTER INTO
A CONTRACT WITH FIVE TECHNOLOGY FOR A NETWORK UPGRADE PROJECT AND
ON -GOING SUPPORT
15A. (Added) Catherine Pausche, Director of Finance and Administrative Services,
requesting discussion and action on a sign permit for the Mound Westonka Rotary.
Pausche stated that Community Development Director Sarah Smith continues to work with the
Mound Westonka Rotary on the Harbor District improvements. The Rotary is holding the July
9th Music in the Park in the Harbor District to showcase the improvements to the Harbor District
and wanted to install "semi- permanent" signs. Therefore, they are asking for the Council's
approval to begin production on the signs, subject to Staffs approval on the final conditions of
placement/size.
MOTION by Gesch, seconded by Salazar, to direct staff to amend the Limited Use Agreement
approved at the May 12, 2015 Council Meeting, between the City of Mound, the Mound Housing
and Redevelopment Authority and the Rotary Club of Mound - Westonka, to add proposed signs
subject to conditions set by Staff and the city code and subject to all conditions set forth in the
Limited Use Agreement. All voted in favor. Motion carried.
16. Information /Miscellaneous
A. Comments /reports from Council Members /City Manager
Hanson announced the Spirit of the Lakes festival is still in need of volunteers for short shifts
in various capacities. The festival is July 16 -18. Hanson highlighted activities at the festival
including the beer fest which is new in 2015.
Mayor Wegscheid stated he and Council Member Gesch went to the Orono Police
Commission training and highly recommended the training to the other council members.
B. Minutes: Planning Commission - May 5, 2015
C. Reports: Orono Police Commission Meeting Agenda
- June 10, 2015
Finance Department - May 2015 YTD
D. Correspondence: Memo from Sarah Smith regarding location change for
July 9th Music in the Park
17. Ad_ iourn
MOTION by Gesch, seconded by Gillispie, to adjourn at 10:03 p.m. All voted in favor.
Motion carried.
Attest: Catherine Pausche, Clerk
Mayor Mark Wegscheid
-1722-
86 N
UU, Consulting Engineers & Surveyors
2638 Shadow Lane, Suite 200 • Chaska, MN 55318 -1172
Phone (952) 448 -8838 • Fax (952) 448 -8805
www.boiton- menk.com
July 8, 2015
Ms. Kandis Hanson, City Manager
City of Mound
2415 Wilshire Boulevard
Mound, MN 55364
RE: 2014 Street and Utility Improvement Project — West Three Points Blvd. Utilities
City Project No. PW -14 -01
Pay Request No. 3
Dear Ms. Hanson:
Please find enclosed Pay Request No. 3 from Geislinger & Sons, Inc. for work completed on the
2014 Street, Utility and Retaining Wall Improvement Project — West Three Points Boulevard
Utilities, from May 26, 2015 tluough June 30, 2015.
We have reviewed the contractor's request, verified quantities and recommend payment in the
amount of $457,973.51 to Geislinger & Sons, Inc.
Sincerely,
BOLTON & MENK, INC.
Daniel L. Faulkner, P.E.
City Engineer
cc: Eric Hoversten, Director of Public Works
Catherine Pausche, Director of Finance
-1723-
DATE: 71612015
CONTRACTOR'S PAY REQUEST NO. 3 CONTRACTOR Geislinger & Sons
2014 STREET IMPROVEMENTS - WEST THREE POINTS BLVD UTILITIES OWNER
City of
Mound
CITY PROJECT NOS. PW -14 -01 ENGINEER
Bolton
& Menk
BMI PROJECT NO. C12.107130
FOR WORK COMPLETED FROM 5126/2015 THROUGH 6/3012015
TOTALAMOUNT BID.............. ............ . ........ ......... ....... -- ....... ... .......... ... .... ............ .... ......... ..... ...............................
$
920,288.89
APPROVEDCHANGE ORDERS .............................................................................. ...............................
$
-
CURRENT CONTRACT AMOUNT... ........................................................................ ._.............................
$
920,286.89
TOTAL, COMPLETED WORK TO DATE ..................................................................................... ...............................
$
814,409.67
TOTAL, STORED MATERIALS TO DATE ....... ...... . ........ ........ ......... . .... ...... ... ..... -..... ... .......... .....- . ....... I-- ...... ........
$
-
DEDUCTION FOR STORED MATERIALS USED IN WORK COMPLETED.............................. ...............................
$
-
TOTAL, COMPLETED WORK & STORED MATERIALS .......... ......... ....... ..--.. ... .... ... .......... ..... . ...... ..I .... .-- .... ........
$
814,409.67
RETAINEDPERCENTAGE 5% 1 ...................................... ..... - ........... ... ......... .... ......... ... ..................
, $
40,720.48
TOTALAMOUNTOF OTHER DEDUCTIONS ......................................................................... ...............................
$
NET AMOUNT DUE TO CONTRACTOR TO DATE.... ............ -.. ... ,.. ..... .... ..... ....... ..... .... .... ....... . .. ....... .... ........ ..... ....
. $
773,689.19
TOTAL AMOUNT PAID ON PREVIOUS ESTIMATES ....... . ........ ... ....... . ......... . ... . ..... .... ........ ...... ...... ................ ..:......
$
315,715.68
PAY CONTRACTOR A$ ESTIMATE NO. 3 ................................................................................. ...............................
$
457,973.51
Certificate for Payment
I hereby certify that, to the best of my knowledge and belief, all Items quant8les and prices
of work and material shown on INS 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. Gelslinger & Sons, Inc.
511 Central Ave. S. PO Box 437
Watkins, MN 55389
n
By
Name Title
Date '7 -/ -15
CHECKED AND APPROVED AS TO QUANTITIES AND AMOUNT:
BOLTON & MENK,.INC., ENGINEERS, 26338 SHADOW LN, SUITE 200, CHASKA MN 55318
- -1�%
�(7iVC-
By c.1= 1� /� , PROJECT ENGINEER
Daniell L. Faulkner
Date " -7-206
/
APPROVED FOR PAYMENT:
Owner: CITY OF MOUND
By
Name Title Date
-1724-
VA Consulting Engineers & Surveyors
2638 Shadow Lane, Suite 200 • Chaska, MN 55318 -1172
Phone (952) 448 -8838 • Fax (952) 448 -8805
www.bolton- menk.com
July 8, 2015
Ms. Kandis Hanson, City Manager
City of Mound
2415 Wilshire Boulevard
Mound, MN 55364
RE: 2014 Street, Utility and Retaining Wall Improvement Project — East Three Points Blvd.
City Project No. PW -14 -01
Pay Request No. 5
Dear Ms. Hanson:
Please find enclosed Pay Request No. 5 from GMH Asphalt Corporation for work completed on
the 2014 Street, Utility and Retaining Wall Improvement Project — East Three Points Boulevard,
from November 27, 2014 through June 30, 2015. This project is substantially complete and
therefore the retainage has been reduced from 5% to 2 %. The amount retained is now $28,510
which is adequate to cover the minor items left to be done.
We have reviewed the contractor's request, verified quantities and recommend payment in the
amount of $170,500.11 to GMH Asphalt Corporation.
Sincerely,
BOLTON & MENK, INC.
Daniel L. Faulkner, P.E.
City Engineer
cc: Eric Hoversten, Director of Public Works
Catherine Pausche, Director of Finance
-1725-
DATE: 7/112015
CONT'RACTOR'S PAY REQUEST NO. 5
2014 STREET IMPROVEMENTS - EAST THREE POINTS BLVD
CITY PROJECT NOS. PW- 14 -01, 14 -02
BMI PROJECT NO. 012.107130
FOR WORK COMPLETED FROM 11/2712014 THROUGH 6130/2015
TOTAL AMOUNT BID............
APPROVED CHANGE ORDERS.................................... .............. - ...........
CONTRACTOR GMH Asphalt Corp_
OWNER City of Mound
ENGINEER Bolton & Mack
..... _..._ ...................... $ 1.479,671.33
................. _.... _... $ 16.196.00
CURRENT CONTRACT AMOUNT ... --- ... ....... .............................. ... ...... ........... .... .. ..... ..,..... ....
............ $
TOTAL. COMPLETED WORK TO DATE, ..... --- .................. -- .......... --- .................................. ............................... $
TOTAL, STORED MATERIALS TO DATE .... ... ........................................... ... ................... .... - ..... ............ ...
DEDUCTION FOR STORED MATERIALS USED IN WORK COMPLETED ...... ..._ - .... ....... ....
....._..... $
TOTAL, COMPLETED WORK & STORED MATERIALS.. ...... - ... ........
RETAINED PERCENTAGE ( 2'A ) -- ...........................
TOTAL AMOUNT OF OTHER DEDUCTIONS .- ...-- ..............
NET AMOUNT DUE TO CONTRACTOR TO DATE .................
TOTAL AMOUNT PAID ON PREVIOUS ESTIMATES ..........
PAY CONTRACTOR AS ESTIMATE NO. 5 .............................
Certificate for Payment
$
E
1,497,867.33
1,425,479.64
1,425,479.64
28.509.59
1,396,970.05
1226,469.94
.. ............ ............_....... ........................._..... $ 170.500.11
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 hill 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
9'180 Lake Town Road
By 7as a. 1 `
�-- Title\) T
Date -7—R- 1 5-
CHECKED AND APPROVED AS TO QUANTITIES AND AMOUNT:
BOLTON & ME INC., ENGI ERS, 2138 SHADOW LN, WITE 200, CHASKA MN 55318
By ,•`L 'f�r�_. , PROJECT ENGINEER
Daniel L. cFaulkne°r�
Date % 9
APPROVED FOR PAYMENT:
Owner. CITY OF MOUND
By
Name Title Data
-1726-
86 K
�� Consulting Engineers & Surveyors
" / \ 2638 Shadow Lane, Suite 200 • Chaska, MN 55318 -1172
Phone (952) 448 -8838 • Fax (952) 448 -8805
www.bolton- menk.com
July 8, 2015
Ms. Kandis Hanson, City Manager
City of Mound
2415 Wilshire Boulevard
Mound, MN 55364
RE: 2015 Street, Utility & Retaining Wall Improvements — Grandview Blvd. & Tuxedo Blvd.
City Project Nos. PW- 15 -02, PW -15 -01
Pay Request No. 1
Dear Ms. Hanson:
Please find enclosed Pay Request No. 1 from Geislinger & Sons, Inc. for work completed on the
2015 Street, Utility and Retaining Wall Improvement Project — Grandview Boulevard and
Tuxedo Boulevard from June 1, 2015 through June 30, 2015. The amount shown as "MCES
Amount Due To Contractor" will need to be invoiced to the Metropolitan Council, along with a
progress report, in accordance with the Construction Cooperative Agreement number 15I032,
and processed as a re- imbursement to the City.
We have reviewed the contractor's request, verified quantities and recommend payment in the
amount of $150,654.80 to Geislinger & Sons, Inc.
Sincerely,
BOLTON & MENK, INC.
Daniel L. Faulkner, P.E.
City Engineer
cc: Carlton Moore, Director of Public Works
Catherine Pausche, Director of Finance
-1727-
DATE: 7/6/2015
CONTRACTOR'S PAY REQUEST NO. 1 CONTRACTOR Geislinger & Sons, Inc
2015 STREET, UTILITY & RETAINING WALL IMPROVEMENTS OWNER City of Mound
CITY PROJECT NO PW- 15 -01, PW- 15 -02, PW -15 -03 ENGINEER Bolton & Menk
BM[ PROJECT NO. C12.108886, 012.108887
FOR WORK COMPLETED FROM 6/1/2015 THROUGH 6130)1015
TOTALAMOUNT BID............. ............................................................... ............. ..... --................................................ $ 3,682.938.26
APPROVED CHANGE ORDERS+ EXTRA WORK ....................................................... ............................... $ -
CURRENT CONTRACT AMOUNT... ... ...... .............. ...................................................... ........................ $ 3,68$936.25
TOTAL, CITY COMPLETED WORK TO DATE
$
150,790.84
TOTAL, MCES COMPLETED WORK TO DATE
$
7,793,16
TOTAL, COMPLETED WORK TO DATE ....... - ..................... . ...... . ........... :... .................
........ ............... .......................... $
158,584.00
TOTAL, MOUND STORED MATERIALS TO DATE
$
TOTAL, MCES STORED MATERIALS TO DATE
$
TOTAL, STORED MATERIALS TO DATE ....................................................................................
.............................. $
MOUND DEDUCTION FOR STORED MATERIALS USED IN WORK COMPLETED
$
MCES DEDUCTION FOR STORED MATERIALS USED IN WORK COMPLETED
$
DEDUCTION FOR STORED MATERIALS USED IN WORK COMPLETED., ........................
...... .......... ..................... $
-
TOTAL, MOUND COMPLETED WORK & STORED MATERIALS
$
150,790.84
TOTAL, MCES COMPLETED WORK & STORED MATERIALS
$
7,793.16
TOTAL, COMPLETED WORK & STORED MATERIALS ...............................................................
............................... $
158,584.00
MOUND RETAINED PERCENTAGE 1 5.0% )
$
7,539.54
MCES RETAINED PERCENTAGE ( 5.0% )
$
389.66
RETAINED PERCENTAGE 5.0% ) .....................................................................
............................... $
7,929.20
MOUND AMOUNT OF OTHER DEDUCTIONS
$
-
MCES AMOUNT OF OTHER DEDUCTIONS
$
-
TOTAL AMOUNT OF OTHER DEDUCTIONS ............................................ .....................................................
.......... $
-
MOUND AMOUNT DUE TO CONTRACTOR TO DATE
$
143,251.30
MCESAMOUNT DUE TO CONTRACTOR TO DATE
$
7,403.50
NETAMOUNT DUE TO CONTRACTOR TO DATE... ..................................................................
......- .......................- $
150,654.80
TOTAL, MOUND AMOUNT PAID ON PREVIOUS ESTIMATES
$
-
TOTAL, MCES AMOUNT PAID ON PREVIOUS ESTIMATES
$
.
TOTAL AMOUNT PAID ON PREVIOUS ESTIMATES ...... .................... ......... ....... - ......
........... ....... ............,.................. $
-
CITY OF MOUND THIS ESTIMATE
$
143,251.30
MCES THIS ESTIMATE
$
7,403.50
PAY CONTRACTOR AS ESTIMATE NO. 1 _ ..............................................................._........_....
............................... $
150,654.80
-1728-
Certificate for Payment
1 hereby certify that, to the best of my knowledge and belief, all items quantities and prices
of work and material shown on this Estimate are correct and that all work has been
performed in full accordance with the terms and conditions of the Contract for this project
between the Owner and the undersigned Contractor, and as amended by any
authorized changes, and that the foregoing is a true and correct statement of the amount
for the Final Estimate, that the provisions of M. S. 290.92 have been complied with and that
all claims against me by reason of the Contract have been paid or satisfactorily secured.
Contractor: Geislinger & Sons, Inc
511 Central Ave. S. P.O. Box 437
Watkins, MN 55389
Name Title
Date 7 -7.. 15
CHECKED AND APPROVED AS TO QUANTITIES AND AMOUNT:
BOLTON & MENK, INC., ENGINEERS, 2638 SHADOW LN, SUITE 200, CHASKA MN 55318
BY a C.O& ENGINEER
Daniel L. Faulkner LX.fI
Date
APPROVED FOR PAYMENT:
Owner CITY OF MOUND
By
-1729-
L_ 8L
)ll�` Consulting Engineers & Surveyors
" , ` 2638 Shadow Lane, Suite 200 - Chaska, MN 55318 -1172
Phone(952)448- 8838- Fax(952)448 -8805
www.bolton- menk.com
July 8, 2015
Ms. Kandis Hanson, City Manager
City of Mound
2415 Wilshire Boulevard
Mound, MN 55364
RE: 2015 Crack Sea] Project
City Project No. PW -I5 -07
Pay Request No. I and Final
Dear Ms. Hanson:
705
Please find enclosed the Invoice from Precision Seal Coating for crack seal work recently
completed on Ridgewood/Idlewood/Highland and the SW Island area streets, with the exception
of Windsor Road, east of Tuxedo Boulevard as the contractor ran out of material.
We have reviewed the contractor's request, verified quantities and recommend payment in the
amount of $6,187.50 to Precision Sealcoating Inc.
Sincerely,
BOLTON &nMEENK, INC..
Daniel L. Faulkner, P.E.
City Engineer
cc: Eric Hoversten, Director of Public Works
Catherine Pausche, Director of Finance
-1730-
1'�ecCt' %-ro'i5
Ucl „sci gaP, 7�u�Ao�
PRECISION
Sealcoating Inc.
Date: 7/2/2015 This Is A Invoice
TO: City Of Mound (MN) FOR: 2015 Crack Repair Bill
5341 Maywood Road Contact: Dan Faulkner
Mound, MN 55364 Phone: 1- 952 - 448 -8838
1- 612 -756 -3382
Fax: 1- 952 - 448 -8805
I DESCRIPTION I AMOUNT I
Invoicing For The Work Performed
Attention: Dan Faulkner (1-612-756-3382)
All Work Completed On Schedule Per Contract
Contract For The 2015 Crack Filling Bid That Was Complete
As Per Cities Budget 4,500 Pounds Applied @ $1.375
Start Date & Completed: 7 -1 -2015
Invoice Number: #1064
See Attached Street Maps
Thanks Again
Precision's
0
Date: 7/2 /2015
FEDERAL ID# 39 -18 -14017 STATE ID# 514407
�T
$6,187.50
Make all checks payable to: Precision Seakoating Inc.
Payment is due within 30 days of Invoice upon completion.
Payments not received when due will incur a late payment charge that will be computed at the rate of 18% APR.
If you have any questions concerning this please contact
Bob Wedde Owner
(920) 229 -3306
Thank you for your Business!
N6450 River Road PHONE (920) 229 -3306
Princeton, WI FAX (920) 295 -6709
54968
-1731-
I
Consulting Engineers & Surveyors
" 2638 Shadow Lane, Suite 200 • Chaska, MN 55318 -1172
Phone (952)448- 8838• Fax (952) 448 -8805
www.bolton- menk.com
July 8, 2015
Honorable Mayor and Members of the City Council
City of Mound
2415 Wilshire Boulevard
Mound, MN 55364
RE: 2015 Seal Coat Project
City Project No. PW -15 -08
Award of Contract
Dear Mayor and Members of the City Council:
The streets to be seal coated include the Ridgewood /ldlewood /Highland route which was
reconstructed as part of the 2011 Street Reconstruction Project. The contractor is required to
complete this work by August 31, 2015. The streets must be swept within one to three days. This
will be followed by the second sweeping, required to be completed by September 10, 2015.
Quotes were received for the 2015 Seal Coat Project on June 18, 2015. There are basically four
qualified contractors that do nearly all of the seal coating work in the metro area and they were
all contacted to see if they would submit a quote for the Mound project. Two of them responded
that they were too busy, one did not respond and the fourth submitted a quote as follows:
1. Allied Blacktop Company $24,148.00.00
The low quote is slightly less than the engineer's estimate of $24,800.00. Allied Blacktop, out of
Maple Grove, MN has successfully completed several seal coat projects throughout Minnesota
including the City of Mound's 2010, 2011, 2013 and 2014 Seal Coat projects.
It is our recommendation to award the 2015 Seal Coat Project to Allied Blacktop Company in the
amount of $24,148.00. A resolution is included recommending award of contract in this amount
to Allied Blacktop Company. The City Seal Coat fund of approximately $50,000 is sufficient to
cover all project related costs.
Sincerely,
Bolton & M /e�nk, Inc. l Daniel L. Faulkner, P. E.
City Engineer
cc: Eric Hoversten, Director of Public Works
DESIGNING FOR A BETTER TOMORROW
Bolton & Menk is an equal opportunity employer
-1732-
CITY OF MOUND
RESOLUTION NO. 15-
RESOLUTION AWARDING CONTRACT FOR
2015 BITUMINOUS SEAL COAT IMPROVEMENT PROJECT
WHEREAS, the City has an annual road maintenance program consisting of crack repair and
seal coating that is contracted work and funded by the City's Seal Coat Fund; and
WHEREAS, the Seal Coat Fund will have a balance of approximately $50,000 which is
sufficient to fund all project related costs for both the Crack Repair project and the Seal Coat
project; and
WHEREAS, this type of road maintenance is typically completed initially on streets that are four
to six years old; and
WHEREAS, the 2015 Seal Coat project area includes the Ridgewood /ldlewood /Highland portion
of the bituminous streets reconstructed with the 2011 Street Reconstruction Project but not the
SW Island area streets due to budget constraints; and
WHEREAS, the Seal Coat Project was estimated to cost less than $100,000, the statutory limit
requiring public advertisement for bids; and
WHEREAS, quotes were solicited from four qualified contractors and received on June 18, 2015
at the office of Bolton & Menk, Inc. and tabulated as follows:
Allied Blacktop Company $24,148.00
NOW, THEREFORE BE IT RESOLVED by the City Council of the City of Mound, Minnesota, to
award the contract for the 2015 Bituminous Seal Coat Improvement Project to Allied Blacktop
Company, out of Maple Grove, MN in the amount of $24,148.00.
Adopted by the City Council this 14th day of July, 2015.
Attest: Catherine Pausche, City Clerk
Mayor, Mark Wegscheid
-1733-
CITY OF MOUND
RESOLUTION NO. 15-
RESOLUTION AWARDING CONTRACT FOR
2015 BITUMINOUS SEAL COAT IMPROVEMENT PROJECT
WHEREAS, the City has an annual road maintenance program consisting of crack repair and
seal coating that is contracted work and funded by the City's Seal Coat Fund; and
WHEREAS, the Seal Coat Fund will have a balance of approximately $50,000 which is
sufficient to fund all project related costs for both the Crack Repair project and the Seal Coat
project; and
WHEREAS, this type of road maintenance is typically completed initially on streets that are four
to six years old; and
WHEREAS, the 2015 Seal Coat project area includes the Ridgewood /ldlewood /Highland portion
of the bituminous streets reconstructed with the 2011 Street Reconstruction Project but not the
SW Island area streets due to budget constraints; and
WHEREAS, the Seal Coat Project was estimated to cost less than $100,000, the statutory limit
requiring public advertisement for bids; and
WHEREAS, quotes were solicited from four qualified contractors and received on June 18, 2015
at the office of Bolton & Menk, Inc. and tabulated as follows:
Allied Blacktop Company $24,148.00
NOW, THEREFORE BE IT RESOLVED by the City Council of the City of Mound, Minnesota, to
award the contract for the 2015 Bituminous Seal Coat Improvement Project to Allied Blacktop
Company, out of Maple Grove, MN in the amount of $24,148.00.
Adopted by the City Council this 14`h day of July, 2015.
Attest: Catherine Pausche, City Clerk-
Mayor, Mark Wegscheid
-1734-
MEMORANDUM
Date: July 8, 2015
To: Honorable Mayor and City Council
From: Catherine Pausche, Finance Director /Clerk/Treasurer
Subject: Revised FIN-003 Procurement Policy
At the June 23rd Council meeting, a series of financial policies where reviewed and approved by
the City Council. Staff was asked to revise FIN-003 Procurement Policy for the following:
1) To add clarification on what is "normal and customary" expenditures (see Section 1.7.1 (4)
and 6.1)
2) Require additional language in construction contracts for change order approvals (see Section
1.7.2)
3) Add a section to address contract for services with non - profits (see Section 6.2) - this was
suggested by Staff.
All changes have been highlighted and underlined. We will continue to work on a process to
formalize the process by which non - profits can request money from the City, with the contract
for services being the end result of those that are approved. Staff will also work to ensure we
have contracts with agencies for which funds have already been approved.
Please let Catherine know if you have any questions regarding these matters at (952)472 -0633
-1735-
PROCUREMENT POLICY
Original Adoption: _1_115
Reviewed/Updated: n/a
Reference No. FIN-003
Section 1. Purchasing Guidelines
1.1 Purpose
To provide formalized guidelines to ensure a procurement system of quality and
integrity; provide for the fair and equitable treatment of all persons or firms involved in
purchasing by the City of Mound ( "the City "); ensure that supplies and services
(including construction) are procured efficiently, effectively, and at the most favorable
prices available to the City; promote competition in contracting; and assure that the
City's purchasing actions are in full compliance with applicable Federal, State, and local
laws.
1.2 Definition
The term "procurement," as used in this Policy, includes the procuring, purchasing,
leasing, or renting of: (1) goods, supplies, equipment, and materials, (2) construction
and maintenance; consultant services, (3) Architectural and Engineering (A/E) services,
(4) social services, and (5) other services.
The standards in this manual are minimum standards to ensure fiscal responsibility.
Departments may set more restrictive procedures to meet their own budgetary
accountability.
1.3 ADA Compliance
The City of Mound is subject to the provisions of the Americans with Disabilities Act
(ADA). In general, the city will consider the needs of people with disabilities as it
purchases equipment and configures work and public areas.
1.4 Related Policies
Additional policies that relate to this purchasing policy and should be referenced in
accordance with such, include:
• Staff Expense Reimbursement Rules
• Official Employee Out -of -State Travel Policy
• Elected Official Out -of -State Travel Policy
• Mobile Device Policy
• Credit Card Purchases
-1736-
1.5 Pre - Approved Expenditures
The city council has pre- approved payments that occur in the normal course of business
through the budget approval process that the city is contractually /legally obligated to
pay. Examples include utility related expenditures for vendors such as Minnegasco,
Northern States Power, Metropolitan Council Environmental Services, Republic
Services (garbage and curbside recycling), Frontier, Mediacom and Verizon. Payroll
vendor examples include the United States Treasury, State of Minnesota, BCBS, PERA,
and other similar companies related to salary and benefits. Finally, the liquor store does
not get advance approval for purchase of products for resale (liquor, wine and beer).
Any payments to these vendors that are outside the normal course of business will be
presented to the City Council for individual approval.
1.6 Capital Projects /infrastructure Improvements
Capital projects /infrastructure improvement projects are approved on a project by
project basis by City Council resolution in the following sequence and are not part of the
annual operating and capital expenditure approval process:
• RESOLUTION ORDERING PREPARATION OF A FEASIBILITY REPORT
• RESOLUTION RECEIVING FEASIBILITY REPORT
• RESOLUTION ORDERING IMPROVEMENT AND PREPARATION OF PLANS
• RESOLUTION APPROVING PLANS AND SPECIFICATIONS AND ORDERING ADVERTISEMENT
FOR BIDS
• RESOLUTION AWARDING CONTRACT
• RESOLUTION PROVIDING FOR THE SALE OF GO BONDS (Amount = contract award, issuance
costs and indirect costs /contingency)
• RESOLUTION ACCEPTING PROPOSAL ON THE SALE OF G.O. BONDS
• PAY REQUESTS BASED ON PERCENTAGE OF COMPLETION/ENGINEERING ATTESTATION
APPEAR ON THE CONSENT AGENDA FOR APPROVAL
Professional engineering and legal costs are indirect costs not part of the contract
award. These expenditures are included in the claims approved at the regular council
meetings. A quarterly report recapping year -to -date engineering expenses is provided
in the Information /Miscellaneous /Report portion of the City Council agenda packet.
Due to the complexity of street and infrastructure improvement projects, contracts are
awarded based on estimates of linear footage, etc. During the course of the project,
estimates can change and are subject to approval by the engineer /Public Works
Director. Material variances or changes in scope are brought back to the Council for
approval as an addendum to the contract.
L]
-1737-
Section 1.7 Purchasing Guidelines
1.7.1 Quick Reference Guide - Assumes normal operating and capital
expenditures within budget, excludes liquor product purchases
Value of Purchase
Quotations Weeded
Payment Request
Advance Approvals
Options
Needed Prior
to Purchasing
Less than $1000
Departmental Discretion
Petty Cash < $25
Department Spv
Yes
(Note: City Manager
Credit Card
Finance
No
approves all training
Check Request
City Manager
No
and staff exp
City Council
No
reimbursements)
$1000 - $4,999
Departmental Discretion
Credit Card
Department Head
Yes
Check Request
Finance
No
City Manager
No
City Council
No
$5,000- $24,999
Two Written Quotes or
Check Request
Department Head
Yes
RFP's
Purchase Order
Finance
No
City Manager
Yes
City Council
No
$25,000 - $99,999
Two Written Quotes or
Check Request
Department Head
Yes
RFP's for capital items,
Purchase Order
Finance
Yes
RFP's only for services
City Manager
Yes
(see RFP Sec. 4.5 )
City Council
No
Greater than
Sealed Bids, solicited by
Check Request
Department Head
Yes
$100,000
public notice
Council Resolution
Finance
Yes
accepting bid
City Manager
Yes
City Council
Yes
Notes:
(1) If a cooperative purchasing agreement is in place, quotations are not required, but
the agreement being used should be documented. Examples: State of Minnesota
Cooperative Purchasing Venture (CPV), LOGIS for employee benefits, NJPA, etc.
(2) Formalized contracts or leases for a period exceeding one year must be approved
by City Council resolution.
(3) See Staff Expense Reimbursement Rules and Out of State Travel Policy for
additional restrictions on employee related expenses and employee recognition events.
-1738-
1.7.2 Quick Reference Guide - Unbudgeted Capital Expenditure
Value of Purchase
Quotations Needed
Payment Request
Options
Approvals Needed Prior
to Purchasing
Unbudgeted
Two Written Quotes,
Check Request
Department
Yes
Capital
RFP's, or Sealed Bids
Purchase Order
Finance
Yes
Expenditures
for over $100,000
Council Resolution
City Manager
Yes
Greater than
City Council
Yes
$5,000
Street/Infrastructure
Performance Bonds
Council Resolution
City Council
Yes
Improvement
required equal to
Contracts
contract price
Change Orders/
All increases above
Council Resolution
City Council
Yes
Material
$50,000 or 10% of the
Amendments
cumulative contract
amount, whichever is
less, via change order or
otherwise, must be
approved by a contract
amendment approved by
resolution and a vote
taken to require or waive
additional bond amounts
The following is an excerpt from the GASB 54 Fund Balance Policy adopted in 2011
with regard to budgeted and unbudgeted operating expenditures:
The adopted budget resolution indicates the amount that can be expended by
each fund and is supported by detailed budget estimates for individual
expenditure accounts, also referred to as "line items." Variances to budget in
these line item expenses may occur as long as the fund remains at or above
budgeted levels. If a fund is not expected to meet or exceed its budget, a budget
revision at the fund level must be authorized by the City Council at the request of
the City Manager. The Council, under Minnesota Statutes 412.731, can modify
or amend the budget resolution if funds are available and a 4/5 vote is obtained.
Therefore, operating expenditures can fluctuate between the line items but all must be
considered normal and customary in the ordinary course of business. Extraordinary
and material expenditures or operating expenditures that may cause the fund to exceed
the approved budget amount will be approved by the Council with a resolution
approving the purchase and then in the form of a budget amendment/revision if needed
rd
-1739-
Section 2. Purchasing Practices
2.1 Ethics / Relations with Vendors
The City of Mound holds its employees to the highest ethical standards. Purchases
shall be conducted so they foster public confidence in the integrity of the city's
procurement system, and open and free competition among prospective suppliers. In
keeping with this value, employees should avoid the following practices when making
purchases on behalf of the city:
Circumventing competitive bidding requirements.
Examples of this include:
• Splitting purchases so that they can be made through several small purchases.
• Using the emergency procedure process when no true emergency exists.
• Using a `sole source' exemption when competition is available.
Denying one or more vendors the opportunity to bid on a contract
Examples of this include:
• Using unnecessarily restrictive specifications.
• Pre - qualifying bidders on a discriminatory basis.
• Removing companies from a bidders list without just cause.
• Requiring unnecessarily high bonding.
Giving favored vendors an unfair advantage.
Example of this include:
• Providing vendors with information regarding their competition's offers in
advance of a bid opening.
• Making information available to favored vendors and not to others.
• Giving un- favored vendors inaccurate or misleading information.
Accepting gifts from vendors.
• Minnesota Statutes §471.895 prohibits government employees from receiving
gifts except where they are included as part of the cost of a product, good, or
service provided (such as a meal provided as part of a conference).
2.2 Conflicts of Interest
No employee, officer, Board member, or agent of the City of Mound or Mound HRA
shall participate directly or indirectly in the selection, award, or administration of any
contract if a conflict of interest, either real or apparent, would be involved. This type of
conflict would be when one of the persons listed below has a financial or any other type
of interest in a firm competing for the award:
A. An employee, officer, Board member, or agent involved in making the award;
-1740-
B. His /her relative (including father, mother, son, daughter, brother, sister, uncle, aunt,
first cousin, nephew, niece, husband, wife, father -in -law, mother -in -law, son -in -law,
daughter -in -law, brother -in -law, sister -in -law, stepfather, stepmother, stepson,
stepdaughter, stepbrother, stepsister, half brother, or half sister);
C. His /her partner; or
D. An organization which employs or is negotiating to employ, or has an arrangement
concerning prospective employment of any of the above.
Officers, employees, board members and agents are required to disclose any potential
conflicts of interest and abide by the requirements as set forth in Minnesota Statutes
469.009,471.87, 471.88, and 471.89. Note: non - decision making employees may not
do business with the City that is not part of their regular duties /payroll compensation,
election judges excluded because they are governed by state statute.
Section 3. Authorization
The City of Mound has a decentralized purchasing program where individual
departments are responsible for making their own purchases.
Payment Authorization Process
Determine the need for commodities and services.
2. Research the cost of the purchase and determine proper purchasing alternative.
3. Determine the appropriate fund /expense account and whether there is sufficient
funds available.
4. Forward request to Department Head or Supervisor for approval. If purchase
exceeds $5,000, pre - approval is needed by City Manager in the form of a signed
purchase order. Exceptions: (1) capital expenditure itemized on the capital
budget approved as part of the annual budget process and (2) purchase of liquor
store inventory or public works materials that are a standard part of operations
(3) emergency repairs to equipment (4) utilities or other contracted services
where an agreement is effective and in place (engineering, network/software
maintenance.)
5. Department Head or Supervisor forwards request for payment with invoice to the
finance department for input into financial accounting system.
6. Finance produces check register /claims report that is included in the City Council
agenda packet for approval by the City Council.
7. Checks are cut and mailed after City Council approval.
-1741-
Section 4. Purchasing Alternatives
4.1 Sealed Bids
• A formal sealed bid procedure is required for all purchases in excess of $100,000
except professional services (engineering /architecture) and those on the State of
Minnesota Cooperative Purchasing Venture (CPV) for things like heavy
equipment.
• A published notice of bid is required in the official city newspaper at least seven
days in advance of bid opening. The published notice must state where the plans
and specifications can be obtained by bidders and specifically, where the bid
opening will be held. The notice may also be published on the city's official web
site; however, this publication is in addition to the official newspaper publication.
• All bid openings are to be administered by originating department.
• The preparation of all specifications are to be the responsibility of the originating
department.
• Required authorization for plans and specifications is the responsibility of the
originating department.
• The city council must formally approve the bid contract.
• The originating department then provides an electronic copy of the signed
contract with the Clerk.
4.2 State, County and Other Cooperative Purchasing Contracts
State Cooperative Purchasing Contracts — The City of Mound participates in the State
of Minnesota Cooperative Purchasing Venture (CPV). This enables participants to buy
goods and services at a reduced cost under the terms of contracts already negotiated
by the State of Minnesota.
• The finance department has access to the releases and listings of
products /services that can be purchased on state contract.
• If it is determined that a product/service is on a state contract vendors should be
told that the purchase will be made using that contract. When completing the
purchasing paperwork, note that the purchase is per state contract and indicate the
contract number.
4.3 Quotes
If a purchase is estimated to exceed $5,000 but not to exceed $100,000, the purchase
may be made either by obtaining two written quotes or issuing a Request for Proposal
(RFP). Either the quote or response to the RFP should clearly identify the vendor,
services being provided and cost. All such quotes /RFP responses must be forwarded to
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the finance department with the purchasing documents and will be retained for 7 years
along with the invoice.
4.4 Emergency
Emergency situations may arise where the normal purchasing process cannot be
followed for the procurement of goods and services. An emergency must be a situation
arising suddenly and unexpectedly which requires speedy action essential to health,
safety, and welfare of the community, and not just an inconvenience. The City Council
must adopt a resolution declaring the emergency.
4.5 Request for Proposals (RFP)
RFPs are typically used to solicit proposals for professional services. Typical
information to address in RFPs includes:
Background and scope of the project
Proposal requirements should include adequate information to allow for proper
review and evaluation including:
• Description of firm and qualifications, including any specialized experience
related to the project.
• A list of similar projects the firm has completed.
• Project timetables including: estimate of hours, breakdown of hours by
phase, and the city's expectation for a completion date.
• Designation of a firm principal who will be in charge of the project.
• Resumes for management and lead staff who will work on the project.
• Statement that either no subcontractors are allowed or that all
subcontractors will be identified and are subject to the city's approval.
Estimate of cost to provide the service, outline of fee schedule and
payment schedule.
• Description of city's selection process.
• City's evaluation criteria, which typically may include:
• Quality and thoroughness of the proposal.
• Similar past experience and /or expertise.
• References
• Cost estimate
• The following statement must be included: The city reserves the right to
reject any and all proposals, waive all technicalities and accept any
proposal deemed to be in the city's best interest.
• Submittal deadline: date, time, project name, and addressee.
• Statement: "Proposers are solely responsible for delivery of their
proposals to the city before the deadline. Any proposal received after the
deadline will not be considered and will be returned."
• Information about where questions should be directed.
Note: Staff should make sure that all proposers are given the same information.
If the city drafts the agreement, attach a copy of the agreement proposed to be used for
the project. The agreement includes provisions to which the firm must agree, so it is
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important that they see the agreement up front. It is suggested that the RFP be
submitted to the City Attorney or LMC Attorney for review prior to distribution.
4.6 Leases /Contracts
All lease and contractual agreements need advance approval by the finance department
and legal counsel. Lease /Contract periods for more than one year must be approved by
City Council resolution. Lease /Contract documents shall not contain auto - renewal
language unless deemed to be in the City's favor.
4.7 On -Line Purchases
The following guidelines are recommended for purchasing products over the Internet:
Only purchase from vendors that use secure servers for e- commerce. Most sites
will have a disclaimer, but some do not have the disclaimer language. If in doubt,
either send an e-mail to the vendor or call them.
When using a credit card, follow the standard purchasing guidelines that are
used when paying by credit card on the telephone. It is generally safe to use a
credit card on the Internet, but be cautious - see the first item in this subsection.
Section 5. Payment
The City of Mound uses various processes in making payments for goods and services.
5.1 Standard Purchase Orders
Purchase orders are used when required by the vendor to acknowledge the city's
request for goods and services. A copy of the purchase order will be sent to the vendor
when requested.
Obtain purchase order /number from finance department along with necessary
approvals.
Once invoice is received and purchase order complete, return completed
purchase order with invoice attached and authorization for payment to the
finance department.
Purchase orders are also required to be approved in advance by the City Manager for
purchases between $5,000 and $100,000.
5.2 Invoices / Check requests
Vendor payments are made only off of original invoices to avoid duplicate
payment. Invoices must be included the proper authorization(s) and
purchase order, written quotes, etc.
Official Check Request Forms are used for claims that do not have an invoice,
-1744-
often to reimburse or refund a customer.
5.3 Immediate Payment
The finance department policy is for bills to be paid on the claims list and the checks cut
after Council approval has been received. For certain exceptions, immediate pay, also
referred to as a "manual batch ", may be used under the following guidelines:
immediate pay is for payments that need to be made prior to claims list. Such
items include getting discounts, avoiding late charges (i.e.: credit card
payments), purchases requiring payment with delivery, etc.
Immediate pay checks are issued on a weekly basis, as needed. All requests for
immediate pay checks must be submitted to the finance department prior to noon
on Wednesday.
Checks will be issued, mailed, or returned to the appropriate department on
Thursdays. All of the regular documentation must accompany requests for
immediate pay (purchase order, check request, invoice or expense voucher).
5.4 Blanket Purchase Orders, Charge Accounts, and House Accounts
The city uses blanket purchase orders, charge accounts, and house accounts for
frequently used vendors. This process requires submission of receipt with an
account code and the appropriate approvals. All new open accounts must be
authorized by the requesting department head and finance department (example:
True Value, Super America and Jubilee Foods).
5.5 Statements
The finance department tracks all statements — reviewing for old invoices or
credits. For vendors where the city has open accounts, the finance department
only pays once a month after matching invoices to the statement.
All statements are to be mailed directly to the finance department.
5.6 Account Coding
All requests for payment including check request, purchase order, or expense voucher
must have an eleven digit code to process payment. Refer to department budget for
reference of line item code.
Helpful hints for completing payment process:
Eleven digit code — 101 (fund) 41500 (department or project) 210 (expense line
item - office supplies)
Description - specific description of up to 30 characters.
10
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• Vendor information and address.
• invoice Number — important to prevent duplicate payment.
• Computer generated material preferred. Handwritten is acceptable if legible.
5.7 Petty Cash
• Used for reimbursement to employees for items $25 or less for expenditures
made on behalf of the city.
• An expense voucher must be completed, with a receipt attached, with proper
departmental authorization obtained prior to reimbursement.
• Reimbursements must be approved by a Department Supervisor.
5.8 Guidelines for Payment Processing
• Invoices must be attached to the check request, purchase order, or expense
voucher.
• Processing of payments on claims - invoices are due by noon on the Tuesday
before a City Council meeting, which are held the second and fourth Tuesday of
the month. Payments are mailed by the Friday after the meeting.
• Immediate pays are due by noon on Wednesday in the finance department, with
checks issued the following day.
• All requests for payments must have eleven digit code to process payment. Refer
to department budget line item codes for proper coding.
5.9 Credit Cards
Department Supervisors are issued a city credit card to allow for more efficient
purchasing and to make purchases at businesses that no longer allow open accounts.
To assist the finance department in ensuring consistency, accuracy, and thoroughness,
credit card holders must follow the FIN -005 Credit Card Purchasing Policy. Credit cards
should not be used for vendors who are typically paid by check from the City.
5.10 Electronic Funds Transfer
Electronic Funds Transfer may be required in some cases to complete a business
transaction. The funds are transferred electronically from the parties bank accounts.
Some instances may include transactions with the State of Minnesota, a federal agency,
another local government, bond payment agent or a closing agent in the purchase or
sale of real estate. These transactions need to follow the same guidelines for payment
processing in Section 5.9.
11
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5.11 Expense Reimbursement
Expense vouchers are required for reimbursement to employees of city - related
expenses on a monthly basis. If larger expenses are incurred, more than one voucher
may be reimbursed in one month. All expense vouchers must contain proper account
codes, department approval, and receipts must be attached where applicable. Please
refer to the staff expense and out of state travel polices for further guidelines.
Reimbursement requests in excess of 45 days from the date the expense is incurred
may be denied.
Section 6. Agreement Processing
6.1 Agreement Forms
Agreements need to be reviewed by the city attorney unless they follow a previously
used format. However, if attachments to the agreement modify the agreement or
provide new terms, the agreement should be reviewed by the city attorney. The city
attorney's review must occur prior to submission for a council agenda and /or signatures.
• The city attorney must review an agreement if it is written on the other party's
form, or if a special agreement is being drafted.
• Please note: These provisions apply to ALL agreements, including maintenance
agreements, service contracts, lease agreements, etc.
Authorization Levels
• The city manager is authorized to sign agreements within budget, less than
$100,000, and with a term of less than one year, unless it is for a consultan
Council authorization is required where a contract term is for greater than one
year or the cost is $100,000 or over. The actual agreement must be attached to
the resolution as an exhibit.
Signatures /Official Records
• Once the agreement is approved, the other party should submit the original of the
agreement for signatures (as many original copies can be submitted as required,
but the city requires one original copy for the responsible department). The
agreement packet must include the agreement, any required bonds, and the
certificate of insurance.
The Department of Finance and Administrative Services will maintain a database
of fully executed agreements. Once the agreement has been fully executed, a
PDF with all the attachments must be submitted to the Department of Finance
and Administrative Services to be stored in the central file database. The
originating department may keep the original in the department files.
Finance Department will maintain a master list of service contracts, including the
effective dates, date the insurance expires, and any special conditions, for
instance, if the agreement calls for performance by a specific date.
12
1747-
6 2 Contacts for Services- Social Services and Other Non - profits
Section 7. Capital Outlay And Capital Assets
7.1 Capitalization Threshold
Capital outlay purchases are for items costing more than $5,000, are a tangible asset,
and have a life expectancy of more than one year. These items must be included in
each department budget in expense account 5XX and become a recorded capital asset.
It should be noted that delivery charges and sales tax must be included as a cost of the
item purchased when determining if the purchase is a capital outlay item.
The amount to record for that capital asset would be any charge "to place the asset in
its intended location and condition for use." For example if the city were to purchase a
street vehicle, all of the following would be considered part of that asset: the vehicle,
warning lights, decals, delivery charges, sales tax, licensing, and any other costs to put
the asset into its usable condition. Like items that are used together, for example —
meeting room chairs, that are used together can also be bundled and considered a
capital asset if the total value exceeds $5,000.
7.2 Acquisition
All acquisitions should follow the city's capital replacement schedule when applicable.
7.3 Tracking and Transfer
Once the asset is recorded on the city's financial accounting system, it is the
responsibility of the assigned department to notify the finance department of any assets
that have been transferred to a different department. In addition, at the end of the year,
a physical count of all capital assets will need to be done by each department assigned
assets. This count will be done at or near the end of the calendar year. Each
department will be provided a list of assigned assets by the finance department. The
count will then be made by the department with any discrepancies noted on the list
13
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provided.
7.5 Deletion or Disposal of Capital Assets
When an asset is sold or disposed of the assigned department must complete a capital
asset disposal form with the required information in order for the finance department to
remove the asset from the financial accounting system. This includes items that are
disposed of with no sale or trade value. Once again disposals should follow the capital
replacement policy of the city.
Section 8. Disposal of Surplus Property
8.1 Auction or Trade In
The city has the option to sell surplus items at a public auction, usually held by
Hennepin County.
The auction house will forward a tabulation of the bids received along with payment.
The information is reviewed by the equipment manager and then the payment is
forwarded to the finance department.
A department may also trade in a vehicle when purchasing a replacement as long as
the trade in value approximates fair market value. Any proceeds from a trade in are
treated as a gain or loss on the sale of capital assets and are never used to reduced the
basis of the replacement item.
A capital asset disposal form must be filled out when an item sold at auction or traded
in.
8.2 Computer Equipment
When a piece of computer equipment has reached the end of its useful life with the city,
the hard drive must be removed and shredded and hardware disposed of by a computer
recycling vendor.
14
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REBECCA OTTO
STATE AUDITOR
FIN -003 Procurement Policy Exhibit A Page 1 of 3
STATE OF MINNESOTA
OFFICE OF THE STATE AUDITOR
SUITE 500
525 PARK STREET
SAINT PAUL, MN 55103 -2139
Statement of Position
Public Expenditures: Donations and Dues
(651) 296 -2551 (Voice)
(651) 296 -4755 (Fax)
state.auditor@osastate.mmus (E -mail)
1- 800 - 627 -3529 (Relay Service)
Public entities are often asked to give funds to support various groups and activities.
While the causes may be worthwhile, public entities need to be cautious when making
any financial commitments involving public funds.
In most circumstances, public entities have no authority to give away public funds as
donations. Generally, in order to spend money, a public entity must have authority to do
so. Authority for an expenditure may be specifically stated in a statute or charter, or it
may be implied as necessary to do what an express power authorizes. In addition, the
expenditure must be for a "public purpose."
Gifts/Donations to Private Individuals /Organizations
Following these general principles, donations to people, non - profits, charities, or other
groups are not permitted unless they are based upon specific statutory or charter
authority. For example, the Minnesota Attorney General's Office has issued opinions
finding that cities have no authority to donate city funds to organizations such as the Red
Cross or the Boy Scouts.' The assumption is that a gift of public funds to an individual
or private entity serves a private rather than a public purpose.
Before a public entity makes a contribution, it is important for that entity to determine
that it has specific authorization to make the expenditure. Here are some examples of
specific, statutorily authorized appropriations:
• Artistic Organizations. A county, city or town may appropriate money to
support artistic organizations.2
• Historical Causes. A town or city may appropriate annually a specified amount
to a county historical society so long as the society is affiliated with, and
approved by, the Minnesota Historical Society.' Cities have express authority to
commemorate important and outstanding events in city history, and to appropriate
money to collect, preserve and distribute its history data for future generations.'
The Attorney General's Office recognizes that a city can advance money to a
' See, for example, Op. Att'y Gen. 59 -A -3 (May 21, 1948).
2 Minn. Stat. § 471.941.
3 Minn. Star. § 138.053.
Minn. Stat. § 471.93.
Reviewed: December 2014 2007 -1017
Revised: April 2014
This Statement of Position is not legal advice and is subject to revision.
-1750- An Equal Opportunity Employer
FIN -003 Procurement Policy Exhibit A Page 2 of 3
nonprofit to sponsor a centennial celebration,5
• Prevention of Cruelty to Animals. A county may appropriate money for
maintenance and support of the local society for the prevention of cruelty to
animals, 6
• Food Shelves. Cities and counties may donate funds in the form of grants to food
shelves providing food to the needy without charge.7
• SeniorNouth Centers. A county, city or town may appropriate money to
support the facilities, programs, and services of a public or private, not - for - profit
senior citizen center or youth center.8
• Public Recreation Programs. Counties, cities, towns and school districts may
spend funds to operate programs of public recreation, recreational facilities, and
playgrounds.' These programs may be conducted independently or with any
nonprofit organization.
• Promotion. A city or urban town may appropriate up to $50,000 annually to an
incorporated development society or organization of this State, for promoting,
advertising, improving, or developing the economic and agricultural resources of
the city or urban town.10 A city may appropriate money to advertise the city and
its resources and advantages," Similarly, a county may appropriate funds to a
similar entity for promoting, advertising, improving or developing the economic
and agricultural resources of the county. 12 The county statute does not contain an
annual spending limit.
• Employee Recognition. Towns may spend funds to recognize volunteers, service
efforts, and retiring town officers," Counties and cities may spend funds for
preventive health and employee recognition services, 14
• Community Celebrations. Towns may spend funds to host or support a
community celebration. 15 Cities or towns may spend funds on Memorial Day
observances, 16 and may appropriate money for county or district fairs,17
centennial and historical celebrations.18 Statutory cities may spend funds to
provide free musical entertainment. 19 The authority to purchase fireworks seems
to be implied 20
5 See Op. AtPy Gen. 59a -3 (Jan. 18, 1968) (citing Minn. Stat. § 471.93).
6 Minn. Stat § 343.11.
' Minn. Star. § 465.039.
1 Minn. Stat. § 471.935.
9 See generally, Minn. Star. §§ 471.15 to .1911. Minn. Star. Minn. Star. § 469.189., and 471.16, subd. 1.
11 Minn. Star, § 469.191. In addition, Economic Development Authorities (EDAs) have authority to
conduct activities advancing the city and its economic development, and to carry out other public relations
activities to promote the city and its economic development. See generally, Minn. Star. §§ 469.090 -.1081
and Minn. Stat. § 469.1082 (county EDAs).
11 Minn. Stat. § 375.83.
Minn. Stat. § 469.189.
Minn. Star. § 365.10, subd. 12 (but electors must approve).
4 Minn. Stat. § 15.46.
Minn. Star. § 365.10, subd. 12 (but electors must approve).
e Minn. Stat. § 465.50.
"Minn. Stat. § 38.12.
18 Minn. Stat. § 471.93.
19 Minn. Stat. § 412.221, subd. 15.
21 Minn. Stat. § 624.22, subd. I(a) (2) (A municipality may stage a fireworks display after obtaining a
permit).
Reviewed: December 2014 2 2007 -1017
Revised: April 2014
-1751-
FIN -003 Procurement policy Exhibit A Page 3 of 3
As an alternative to a donation, a public entity may enter into a contract with an
organization to accomplish tasks that the entity is authorized to perform by statute or
charter. For example, a city could not give money to the Boy Scouts for a recycling
program, but the city could enter a contract with the Boy Scouts to do part of its recycling
program. The amount of money paid to the Boy Scouts must be related to the value of
the services they provide to the city.
Memberships and Dues
There is no general authorization for cities to join "private" organizations; but there may
be specific statutory or charter authority to join specific organizations. For example,
cities and urban towns in Minnesota may pay dues to become members of the League of
Minnesota Cities. 21
Similarly, cities, counties, and towns may appropriate money for membership in county,
regional, state, and national associations of a civic, educational, or governmental nature.
These associations must have as their purpose the betterment and improvement of
municipal governmental operations.22 This authorization also allows public entities to
participate in the meetings and activities of these associations.
A school board may authorize and pay for the membership of the school district or of any
district representative designated by the board in those local economic development
associations or other community or civic organizations that the board deems
appropriate.23
The Attorney General's Office has determined that local units of government may not
pay dues to a local chamber of commerce 24. However, because cities and urban towns
may appropriate up to $50,000 to an incorporated development society or organization
for promotional activities, a city or urban town could contribute to a local chamber of
commerce for one of the purposes authorized by statute, such as promoting the city or
urban town.25 Counties have similar authority but do not have the $50,000 monetary
Cap 2' The use of public funds would be limited to statutorily authorized activities. As a
result, the OSA recommends that counties, cities, and urban towns create and maintain
documentation that shows the funds have been given for specific statutory purposes. 27
2' Minn. Stat. § 465.58.
22 Minn. Star. § 471.96.
23 Minn. Stat. § 12313.02, subd. 24.
24 See Attorney General Letter dated June 27, 1997 (attached).
25 Minn. Star. § 469.191. An EDA has broader authority to join an official, industrial, commercial or trade
association, or other organization concerned with one of the EDA's authorized purposes.
26 Minn. Stat. § 375.83.
22 Documentation includes, but is not limited, to minutes, resolutions and contracts.
Reviewed: December 2014 3 2007 -1017
Revised: April 2014
-1752-
r h,
To: Kandis Hanson — City Manager
From: Stacie Kvilvang - Ehlers
Date: July 7, 2015
Subject: Removal of Parcels From TIF 1 -2
The City will be issuing tax abatement bonds on August 28, 2015 (Series 2015B) to
refinance the HRA's Limited Tax Pledge Bonds (Mound Transit Center) Series 2006.
The City is refinancing these bonds with a shorter term (2 years) to obtain additional
interest savings and meet statutory duration limits.
The two (2) parcels that the Mound Transit Center is located on are within the above
referenced TIF district. A city cannot issue tax abatement bonds for parcels located
within a TIF district, so therefore they need to be removed. The parcels in question are:
1311724330159 Transit Center
1311724330160 Veteran's Memorial Park
It should be noted that removal of these parcels from the TIF district has no negative
impact on the TIF district since they are tax exempt (they don't generate TIF because
no taxes are paid). This is considered an administrative modification to the TIF district
and does not require a public hearing because the current tax capacity is the same as
the base tax capacity (zero).
Both the HRA and City will approve similar resolutions authorizing the removal.
Please contact me at 651- 697 -8506 with any questions.
EHLERS
LEADERS IN PUBLIC FINANCE
Minnesota
Offices also in Wisconsin and Illinois
-1753-
phone 651 - 697 -8500
fax 651- 697 -8555
toll free 800 -552 -1171
vwvw.ehlers- inc, corn
3060 Centre Pointe Drive
Roseville, MN 55113 -11 22
CITY OF MOUND
RESOLUTION NO, 15-
RESOLUTION APPROVING THE ELIMINATION OF PARCELS FROM
TAX INCREMENT FINANCING DISTRICT NO. 1 -2 WITHIN
DEVELOPMENT DISTRICT NO. 1 OF THE CITY OF MOUND
WHEREAS, on December 14, 1999, the City of Mound (the "City ") created its Tax Increment
Financing District No. 1 -2 (the "TIF District ") within its Development District No. 1 by approval of a tax
increment financing plan (the "TIF Plan) for the TIF District; and
WHEREAS, the following properties, by property identification numbers, were included in the
TIF District:
1311724330159
1311724330160
WHEREAS, the City desires by this resolution to amend the TIF Plan to remove the above -
described parcels from the TIF District, thereby reducing the size thereof, and
WHEREAS, the total current net tax capacity of the parcels to be eliminated from the TIF District
equals or exceeds the net tax capacity and, therefore this amendment to the TIF Plan is accomplished
pursuant to Minnesota Statutes, Section 469.175, Subdivision 4, clause (e) (2)(A).
NOW THEREFORE, BE IT RESOLVED by the City that the TIF Plan for the TIF District is
hereby amended to remove the described parcels and the City Manager is authorized and directed to
notify the Hennepin County Director of Property Tax and Public Records thereof pursuant to Minnesota
Statutes, Section 469.175, Subdivision 4, clause (e).
Adopted by the City Council this 14th day of July, 2015.
Catherine Pausche, Clerk
-1754-
Mayor Mark Wegscheid
2415 Wilshire Boulevard
Mound, MN 55364
(952) 472 -0604
MEMORANDUM
To: Honorable Mayor and City Council
From: Sarah Smith, Community Development Director
Date: July 9, 2015
Re: July 14, 2015 City Council Consent Agenda Item — 2015 Full Throttle Fishing Special Event
Summary. A Public Gathering Permit application was submitted by Mark Schultz, requesting
use of Centerview Park and Beach , for the 2015 Full Throttle fishing tournament being held on
Saturday, August 8, 2015 from 7:00 a.m. to 3:00 p.m. (weigh -in)
Details.
• Members may recall this event was held at at Centerview Park and Beach for the past 2 years.
All public launches on Lake Minnetonka will be used for the fishing tournament. Centerview
Park and Beach will be used for the weigh -in station.
• Expected attendance is 50 people.
• Staff has informed Staff about the upcoming event and has also contacted the Lake
Minnetonka Conservation District, the Hennepin County Transportation Department and the
Hennepin County Sheriff's Water Patrol about the event.
• The park will remain open during the event. Preliminary information is that a picnic table and
additional trash can will be placed at the site by the Parks Department for the event.
Recommendation. Staff recommends approval of the requested permit, subject to the following
conditions:
1. Applicant shall be responsible for procurement of all required local and public
agency permits that are needed to hold the event. Applicant shall provide copies of
all said permits to the City prior to the issuance and release of the Public Gathering
Permit
2. Applicant shall work with the Orono Police Department, the Fire Department, and
and the Public Works Department regarding any and /or all logistics forthe upcoming
event including, but not limited to, equipment and personnel needs, site set -up and
staging, traffic /pedestrian control and circulation, etc. Applicant is responsible for
payment of fees for public safety or public services that may apply.
-1755-
3. As applicable, amplified music, speakers and PA /sound systems are to be directed in
the direction best suited to minimize impact upon neighbors.
4. Placement of any and /or all temporary signs shall be subject to regulations contained
in City Code Chapter 119 and may include issuance of a permit and payment of the
required fee. Applicant shall work with the Community Development Department to
determine if a temporary sign permit is required.
S. No signage can be placed upon private property unless permission from the private
property owner and /or other interested party has been provided to the applicant who
shall be responsible for obtaining same.
6. Signage placement is subject to review and approval by the City of Mound. No signage
shall be placed in a location so as to affect vehicular and pedestrian traffic. The City of
Mound reserves the right to modify sign placement in the field.
7. Signage placed outside of the City's approval of the temporary permit shall be subject
to removal by the City.
8. The submittal of a Certificate of Insurance, naming the City of Mound as an additional
insured , is required and shall be provided prior to the release and issuance of the
Public Gathering Permit. Required insurance and coverage shall be in accordance
with the City's established policies, Applicant to work with Finance Director Catherine
Pausche regarding the form and required amounts for the Certificate of Insurance.
9. Applicant is advised that no special parking approvals in the park area or on
local streets are being granted as part of the Council's approval of the Public
Gathering Permit.
10. If different from the application, contact information, including name and cell phone
number, for the person(s) who will be on site the day of the event shall be
provided prior to the release of the Public Gathering Permit.
11. The applicant pay the required application fee of $300 and $500 damage deposit for
the 1 -day event.
® Page 2
-1756-
CITY OF MOUND
5341 MAYWOOD ROAD
MOUND, MINNESOTA 55364
PUBLIC GATHERING PERMIT
Use of a public park or commons by any group consisting of 15 or more individuals.
Use is not to interfere with traffic and general use of the park or commons orto be beyond the ability
of the police in maintaining order.
NO LIQUOR OR BEER MAY BE USED IN ANY OF THE CITY PARKS OR BUILDINGS
Group is to remove all litter and trash and provide a deposit to insure cleaning up of the park area.
PERMIT FEE: $300 /DAY TO $600/DAY*
DAMAGE DEPOSIT: $500 TO $1000 /DAY*
*Permit fee and damage deposit amount to be determined by City Manager and City Staff
upon receipt of application stating specific use and requirements.
Date(s) of Use
eta . } r i 'Z-C i 5
Area to be Used
C gal
Time Frame (5�-ti
Intended Use Loe tg Lr i .ter (ov S � v ti C. v.C9 w £1 tit
Expected Attendance
Organization
Representative's Name VA AR V- Sc G�1) =�Z_
Address -) '
`� `� � v � n �r��. � ,l .r < .ice
Telephone No. Home: -7 33 9`b -7�- &work:
Drivers License Number
Departmental Approval
City Clerk
Police Dept,
Park Dept.
Fire Dept.
-1757-
2415 Wilshire Boulevard
Mound, MN 55364
(952) 472 -0604
MEMORANDUM
To: Honorable Mayor and City Council
From: Sarah Smith, Community Development Director
Date: July 9, 2015
Re: July 14, 2015 City Council Consent Agenda Item — River Valley Church Picnic / Special Event
Summary. A Public Gathering Permit application was submitted by David Olson, on behalf of River
Valley Church, requesting use of Surfside Park and Beach on Sunday, August 16, 2015 for a church
picnic from 2:00 p.m. to 9:00 p.m. A preliminary site plan was submitted with the application.
The applicant has also rented the Depot for the day of the event.
Details.
• Members may recall, River Valley Church held this event at Surfside Park and Beach last year.
• Staff has informed Mound Staff and the Orono Police Department about the upcoming event
and has also contacted the Lake Minnetonka Conservation District, the Hennepin County
Transportation Department and the Hennepin County Sheriffs Water Patrol .
• The park will remain open during the special event.
• Applicant is advised that food trucks are not allowed as City ordinance prohibits commercial
businesses from operating in Mound's parks. Staff was informed by the applicant that they
have retained a catering service who will be bringing the food to the site by a catering truck
and then will be served from on the food tables as shown on the preliminary site plan.
Recommendation. Staff recommends approval of the requested permit, subject to the following
conditions:
1. Applicant shall be responsible for procurement of all required local and public
agency permits that are needed to hold the event. Applicant shall provide copies of
all said permits to the City prior to the issuance and release of the Public Gathering
Permit.
-1758-
2. Applicant shall work with the Orono Police Department, the Fire Department, and
and the Public Works Department regarding any and /or all logistics for the upcoming
event including, but not limited to, equipment and personnel needs, site set -up and
staging, traffic /pedestrian control and circulation, etc. Applicant is responsible for
payment of fees for public safety or public services that may apply.
3. As applicable, amplified music, speakers and PA/sound systems are to be directed in
the direction best suited to minimize impact upon neighbors.
4. Placement of any and /or all temporary signs shall be subject to regulations contained
in City Code Chapter 119 and may include issuance of a permit and payment of the
required fee. Applicant shall work with the Community Development Department to
determine if a temporary sign permit is required.
5. No signage can be placed upon private property unless permission from the private
property owner and /or other interested party has been provided to the applicant who
shall be responsible for obtaining same.
6. Signage placement is subject to review and approval by the City of Mound. No signage
shall be placed in a location so as to affect vehicular and pedestrian traffic. The City of
Mound reserves the right to modify sign placement in the field.
7. Signage placed outside of the City's approval of the temporary permit shall be subject
to removal by the City.
8. The submittal of a Certificate of Insurance, naming the City of Mound as an additional
insured , is required and shall be provided prior to the release and issuance of the
Public Gathering Permit. Required insurance and coverage shall be in accordance
with the City's established policies. Applicant to work with Finance Director Catherine
Pausche regarding the form and required amounts for the Certificate of Insurance.
9, Applicant is advised that no special parking approvals in the parking lot(s) or on
local streets are granted as part of the Council's approval of the Public Gathering
Permit.
10. If different from the application, contact information, including name and cell phone
number, for the person(s) who will be on site the day of the event shall be
provided prior to the release of the Public Gathering Permit.
11. The applicant pay the required application fee of $300 and $500 damage deposit for
the 1 -day event.
12. The use of the park for the church picnic shall be the same as the Public Gathering
Permit approved in 2014, which was 4:00 p.m. to 9:00 p.m., so as to allow for full use
and enjoyment of the park by the public.
11 So as to allow for public use and enjoyment of the park, park use is restricted to the
area in and around the Depot building. Staff to work with the applicant to specifically
• Page 2
-1759-
define the use area for the event and will be depicted on an approved final site plan,
to be provided by the applicant.
14. Food for the event cannot be provided by a "food truck" as commercial businesses are
prohibited from operating in City parks.
• Page 3
-1760-
CITY OF MOUND
5341 MAYWOOD ROAD
MOUND, MINNESOTA 55364
PUBLIC GATHERING PERMIT
Use of a public park or commons by any group consisting of 15 or more individuals.
Use is not to interfere with traffic and general use ofthe park or commons or to be beyond the ability
of the police in maintaining order.
NO LIQUOR OR BEER MAY BE USED IN ANY OF THE CITY PARKS OR BUILDINGS.
Group is to remove all litter and trash and provide a deposit to insure cleaning up of the park area.
PERMIT FEE: $300 /DAY TO $600 /DAY*
DAMAGE DEPOSIT: $500 TO $1000/DAY*
*Permit fee and damage deposit amount to be determined by City Manager and City Staff
upon receipt of application stating specific use and requirements.
Date(s) of Use
l 1�
Area to be Used yvr�s��t � %� �. �ix..rl� „��l�y �a•,s; <,lc���
Time Frame
Intended Use CAS r�-l^ i c
Ea oected Attendance zzc; " ale
Orgamzation Z\ "C" \J "0
Representative's Name �?", I �\ O�'x''`
Address SS ial } e- (fl c,
Telephone No. Home: 612.5" �' Work: `jS Z -z�-s l
Drivers License Number
Departmental Approval
City Clerk
Police Dept,
Park Dept.
Fire Dent.
511:91
�Sl
I
-1762-
2415 Wilshire Boulevard
Mound, MN 55364
(952) 472 -0604
MEMORANDUM
To: Honorable Mayor and City Council
From: Sarah Smith, Community Development Director
Date: July 9, 2015
Re: July 14, 2015 City Council Consent Agenda Item — Boy Scout Troop No. 569 Flag Retirement
Ceremony/ Special Event
Summary. A Public Gathering Permit application was submitted by Justin Gresenz, on behalf of Boy
Scout Troop No. 659, to hold a flag retirement ceremony in the Harbor District on Monday, July 20,
2015 from 7:30 PM to 9:30 PM. Event information is included in the submitted application and
supporting documents that were provided by the applicant.
Details.
• This activity is being organized by Boy Scout Troop No. 569 as a community service project and
will include a program and /or ceremony to properly retire American flags. It is Staffs
understanding that they are working with the Mound American Legion and are also extending
invitations to local Cub Scout, Boy Scout and Girl Scout troops to attend.
• Expected attendance is 50+ people.
• Staff has informed Mound Staff and the Orono Police Departments about the event and will
also be notifying involved public agencies . Members are advised that the troop has been in
contact with Fire Chief Pederson about possible attendance /assistance at the event which is
under review. Applicant has been advised that the Fire Department holds its weekly training
on Monday evenings.
• The application included a request to close Auditors Road. Staff recommends that Auditors
Road remain open for the special event.
Recommendation. Staff recommends adoption of the attached draft resolution approving the
requested Public Gathering Permit application, including waiver of the application fee and damage
deposit, subject to the following conditions:
1. Applicant shall be responsible for procurement of all required local and public
agency permits that are needed to hold the event. Applicant shall provide copies of
all said permits to the City prior to the issuance and release of the Public Gathering
Permit.
-1763-
2. Applicant shall work with the Orono Police Department, the Fire Department, and
and the Public Works Department regarding any and /or all logistics for the upcoming
event including, but not limited to, equipment and personnel needs, site set -up and
staging, traffic /pedestrian control and circulation, etc.
3. As applicable, amplified music, speakers and PA /sound systems are to be directed in
the direction best suited to minimize impact upon neighbors.
4. Placement of any and /or all temporary signs shall be subject to regulations contained
in City Code Chapter 119 and may include issuance of a permit and payment of the
required fee. Applicant shall work with the Community Development Department to
determine if a temporary sign permit is required.
S. No signage can be placed upon private property unless permission from the private
property owner and /or other interested party has been provided to the applicant who
shall be responsible for obtaining same.
6. Signage placement is subject to review and approval by the City of Mound. No signage
shall be placed in a location so as to affect vehicular and pedestrian traffic. The City of
Mound reserves the right to modify sign placement in the field.
7. Signage placed outside of the City's approval of the temporary permit shall be subject
to removal by the City.
8. The submittal of a Certificate of Insurance, naming the City of Mound as an additional
insured , is required and shall be provided prior to the release and issuance of the
Public Gathering Permit. Required insurance and coverage shall be in accordance
with the City's established policies. Applicant to work with Finance Director Catherine
Pausche regarding the form and required amounts for the Certificate of Insurance.
9. Applicant is advised that no special parking approvals in the subject vicinity, including
local streets and the parking deck /lots, are being granted as part of the Council's
approval of the Public Gathering Permit.
10. If different from the application, contact information, including name and cell phone
number, for the person(s) who will be on site the day of the event shall be
provided prior to the release of the Public Gathering Permit.
• Page 2
-1764-
CITY OF MOUND
RESOLUTION NO. 15-
RESOLUTION APPROVING PUBLIC GATHERING PERMIT FOR BOY SCOUT
TROOP NO. 569 FOR FLAG RETIREMENT CEREMONY BEING HELD IN
HARBOR DISTRICT AND WAIVING FEES DUE TO PUBLIC PURPOSE OF
GATHERING
WHEREAS, on December 9, 2014, the City Council of the City of Mound adopted
Resolution 14 -111 to establish its fee schedule for 2015 ( "Fee Schedule "); and
WHEREAS, the Fee Schedule sets a public gathering permit fee range from $300 -600
and the damage deposit range from $500 -1000 per day with the actual amounts determined by
the City Manager and City Staff upon receipt of the permit application stating the specific use
and requirements of the City for the proposed public gathering; and
WHEREAS, pursuant to the requirements of City Code of Ordinances, Section 50 -20, on
July 8, 2015, submitted a Public Gathering Permit application for a flag retirement ceremony to
be held on Monday, July 20, 2015 from 7:30 PM to 9:30 PM in the Harbor District; and
WHEREAS, City Staff has reviewed said application and has recommended reasonable
conditions to protect the public's investment in its public parks and common areas as set forth in
a staff memo to the City Council dated July 9, 2015, ( "Conditions "); and
WHEREAS, the City Manager and City Staff desire to waive fees for the proposed
public gathering because it is a public event that benefits the community as a whole; and
NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of Mound as
follows:
1. The recitals set forth above are incorporated into this Resolution.
2. Fee waiver and damage deposit waiver are in the public interest due to the
overwhelming public benefits.
3. The Public Gathering Permit is approved for the flag retirement ceremony.
Passed by the City Council this 14th day of July, 2015.
Attest: Catherine Pausche, Clerk
Mayor Mark Wegschied
-1765-
Use of a public park or commons by any group consisting of 15 or more individuals.
Use is not to interfere with traffic and general use of the park or commons or to be beyond the ability
of the police in maintaining order.
NO LIQUOR OR BEER MAY BE USED IN ANY OF THE CITY PARKS OR BUILDINGS.
Group is to remove all litter and trash and provide a deposit to insure cleaning up of the park area.
PERMIT FEE: $300 /DAY TO $600/DAY*
DAMAGE DEPOSIT: $500 TO $1000/DAY*
*Permit fee and damage deposit amount to be determined by City Manager and City Staff
upon receipt of application stating specific use and requirements.
Date(s) of Use
7 -,z6) /T
Area to be Used
Time Frame
Intended Use fzl5e �
Expected Attendance ✓ �1 ��'
Organization
Representative's Name
Address
Telephone No. Home: �� °���� �✓��
Drivers License Numm. -
5617
City Clerk
Police Dept.
Park Dept.
Fire Dent.
PIVA
-1768-
Executive Summary
M 9 _i
TO: Mound City Council and Staff
FROM: Sarah Smith, Community Development Director
Rita Trapp, Consulting City Planner
DATE: July 8, 2015
SUBJECT: Second Amendment to the Subdivision Agreement for The Landings on Lost Lake
REQUEST SUMMARY
The applicant, Mark Saliterman of Lost Lake Homes & Marina, has requested an amendment to
the Subdivision Agreement for The Landings on Lost Lake. This amendment would allow a
-- design - modification -4o the lower portion of Units- 1 -0 -16 -such that - each of4he units - would have -a
patio door and a window.
On April 28, 2015 the City Council approved a modification to the Conditional Use Permit for The
Landings on Lost Lake to allow design modifications to Units 10 -16. These modifications
included removing the patio door such that each of the units would have two windows on its
lower level. During the discussion with the City Council questions were raised about whether the
egress was needed to protect life safety and the possibility of future property owners being able
to add a patio door. Consultation with the building official determined that there was not an issue
with the patio door being removed. However, it was also determined that the cost of installation
of the patio doors at initial construction is significantly less than at a later point. The applicant
has therefore requested the ability to install the patio doors as originally planned.
Staff believes the installation of the patio doors will be an improvement over what was stipulated
in the conditional use permit. Thus, Staff does not believe an amendment to the CUP is needed.
Staff is requesting approval of the attached Second Amendment to the Subdivision Agreement
for The Landings on Lost Lake to clearly identify the approved site development plans for Units
10 -16.
123 North Third Street, Suite 100, Minneapolis, Minnesota 55401
(612) 338 -0800 Fax (612) 338 -6838
-1769-
SECOND AMENDMENT TO THE
SUBDIVISION AGREEMENT
THE LANDINGS ON LOST LAKE
This SECOND AMENDMENT TO THE SUBDIVISION AGREEMENT ( "First
Amendment') dated as of the day of 2015, by and between the City of
Mound, a Minnesota municipal corporation ( "City "), and Lost Lake Homes and Marina, LLC, a
Minnesota limited liability company ( "Subdivider ").
RECTIALS
WHEREAS, City and Subdivider entered into that certain Subdivision Agreement as of
, 2013 and that certain First Amendment to the Subdivision Agreement as of April
_, 2015 (collectively, the "Agreement') for the property legally described on the attached
Exhibit A, attached hereto and made a part hereof ( "Subject Property "); and
WHEREAS, City and Subdivider wish to amend a term of the Agreement as specified
herein.
NOW, THEREFORE, in consideration of the covenants and obligations contained
herein, City and Subdivider agrees as follows:
Section 4 is amended to read as follows:
Development Plan. Units 1 -9 located on the Subject Property will be developed in
accordance with the Site Development Plans received by the City on March 22, 2013,
copies of which are on file with the City. Units 10 -16 located on the Subject Property will
be developed in accordance with the Site Development Plans received by the City on
January 22, 2015 with the exception of the rear elevations, which will be developed in
accordance with the Site Development Plans dated May 27, 2015, copies of which are on
file with the City. If the Site Development Plans vary from the written terms of this
Agreement, the written terms shall control.
i
464322v2 MJM MU200 -171
-1770-
2. Except as specifically noted in this Second Amendment, the Agreement shall remain in
full force and effect.
464322v2 MJM MU200 -171
1771-
IN WITNESS WHEREOF, the parties have hereunto set their hands the day and year
first above written.
CITY OF MOUND
0
Mark Wegscheid, Mayor
STATE OF MINNESOTA }
) ss
COUNTY OF HENNEPIN }
Kandis Hanson, City Manager
The foregoing instrument was acknowledged before me this day of
2015, by Mark Wegscheid, Mayor, and Kandis Hanson, City Manager, of the
City of Mound, a Minnesota municipal corporation, on behalf of the corporation and pursuant to
the authority granted by its City Council.
Notary Public
LOST LAKE HOMES AND MARINA, LLC
By: Mark Saliterman
Its: Chief Manager
STATE OF MINNESOTA }
) ss
COUNTY OF HENNEPIN )
The foregoing instrument was acknowledged before me this day of
2015, by Mark Saliterman, its Chief Manager, on behalf of the company.
Notary Public
Drafted by:
Kennedy & Graven, Chartered (mjm)
470 U.S. Bank Plaza
200 South Sixth Street
Minneapolis, MN 5540
3
464322v2 MJM MU200 -171
-1772-
Exhibit A
Legal Description of Subject Property
Lots 1, 2, and 3, Block 3, THE LANDINGS ON LOST LAKE, Hennepin County, Minnesota
Lots 4, 5, 6, & 7, Block 3, THE LANDINGS ON LOST LAKE, Hennepin County, Minnesota
-1773-
Bank Consent
( "Bank ") holds a mortgage encumbering the Subject
Property as described in the First Amendment to the Subdivision Agreement.
The Subject Property is subject to the foregoing First Amendment to the Subdivision Agreement
and, accordingly, Bank hereby consents to the First Amendment to the Subdivision Agreement;
provided, that in doing so, Bank shall not be liable to the City or any other person for the
performance or non - performance of the First Amendment to the Subdivision Agreement by the
Subdivider; provided further, that in the event that Bank acquires fee title to the Subject Property by
foreclosure or sale in lieu of foreclosure, Bank shall not be required to perform any of the
obligations required of the Subdivider in said First Amendment to the Subdivision Agreement
during the Bank's term of ownership so long as Bank is actively marketing the Subject Property for
sale and maintaining the Subject Property in compliance with applicable ordinances.
Dated:
IIn
Its:
20
ACKNOWLEDGEMENT FOR BANK
STATE OF MINNESOTA )
)ss.
COUNTY OF
The foregoing instrument was acknowledged before me this
20 , by
on behalf of the
the
under the laws of
Notary Public
day of
of
[Subdivider to provide the required consents to the City, if applicable at any time]
46432242 MJM MU200 -171
S J
-1774-
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THE LANDINGS ON LOST LAKE ea�eo„z�s�v�. n "A: k;z
-1775-
THE -LANDINGS ON LOST LAKE
-1776-
-1776-
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Current Approved Plan
(April 2015)
THE LANDINGS ON LOST LAKE
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Current Approved Plan
(April 2015)
N\ THE LANDINGS ON LOST LAKE
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-1778-
Executive Summary
TO:
FROM:
DATE:
SUBJECT:
Honorable Mayor and City Council
Sarah Smith, Community Development Director
July 9, 2015
Planning Case No. 15 -09 and Planning Case No. 15 -10
street vacation application for north % of unimproved portion of
Galway Road abutting 4730 Galway Road and variance
application for lack of frontage on an improved public street
LOCATION: 4730 Galway Road
PID NO: 19- 117 -23 -23 -0139
APPLICANT: Justin Rock
COMPREHENSIVE PLAN: Low Density Residential
ZONING: R -1A Single Family Residential
Summary
The City Council, at its July 14, 2014 meeting, will hold a public hearing for review and
consideration of the application from Justin Rock, who is requesting vacation of the north % of
unimproved Galway Road, a 15 foot strip of road that abuts his property at 4730 Galway Road.
This portion is located east of the Galway Road /Shannon Lane intersection and extends to
Excelsior Lane which abuts Lake Minnetonka. As part of the meeting, the City Council will also
be reviewing a variance application from Mr. Rock for lack of frontage on an improved public
street. While the street vacation will provide some frontage on a public street, it will not meet
the 40 foot requirement of the R -1A Zoning District. The vacation and variance applications
are being requested to allow the applicant construct a new, single- family home and related
utility and driveway improvements on the property with frontage on an improved road, with
the west being deemed the front.
Background
Recent City Council actions related to this property include:
• October 28, 2015 - adopted Resolution No. 14 -91 granting Public Lands Permit approval
for driveway construction and utilities installation in the north 1/2 of unimproved
Galway Road for the new home to be constructed on the subject lot and Resolution No.
14 -92 granting variance approval for lack of street frontage on an improved public road
and a reduced front setback for construction of the new house.
• March 24, 2015 - adopted Resolution No. 15 -26 denying the request to vacate the
-1779-
unimproved portion of Galway Road from Shannon Lane to Excelsior Lane.
Details regarding the applications are contained in the Planning Report No 15 -09 and 10 dated
May 29, 2015 along with the applicants' submitted materials which have been included as
attachments. Staff's recommendation was for approval of the vacation and the variance
applications, subject to conditions.
Comment from MnDNR
The City of Mound received the included June 25, 2015 comment letter from the MnDNR
regarding the vacation request. The MnDNR opposes the vacation request as it concludes that
the proposed vacation is not in the public interest and would provide no public benefit. A
representative of the MnDNR will be attending the July 14th public hearing for review of the
requested vacation application. Members are also advised that Staff contacted the MnDNR by
telephone on June 29th and 30th for conformity with the 15 -day requirement in Minnesota
Statutes 412.812.
Planning Commission Meeting Overview
The proposed project and applications were reviewed by the Planning Commission at its June
2" d meeting. The focus of the Planning Commission discussion was on the street vacation. It
was noted that the vacation of just the north half would leave the south half open for public
access and eliminate the need for a public lands permit. The vacation also eliminates the
variance for setback as the proposed home location is now conforming given the reassignment
of setbacks. Five neighboring property owners spoke at the meeting. All expressed concern
about the proposed vacation due to views and reduced access to the dock area along Excelsior
Lane. A letter was also received from the property owner on the south side of Galway Road
expressing their interest in pursuing a similar road vacation if this request was approved. The
Planning Commission voted unanimously to recommend denial of the vacation and subsequent
variance request. A copy of the minute excerpts from the June 2, 2015 meeting have been
included as an attachment. Draft resolutions for the requested actions have not been prepared
as direction from the City Council is sought prior to their preparation.
Additional Information
• A letter was sent to the applicant on June 15, 2015, extending the City's timeline for
action on the variance application for 60 additional days, as provided by Minnesota
Statutes 15.99. With the extension, the City's deadline for action on the variance is
August 20, 2015. Members are advised that the provisions of this statute do not apply
to vacation applications.
• A copy of the vacation request was forwarded to private utility companies for review
and comment. City received information from both Centerpoint Energy and Xcel Energy
that they have no concerns or objections to the request.
• As the application does not meet the provisions of the statute related to a petition, a
4/5 vote of the Council will be required to approve the vacation application.
• If the vacation request is not approved, then the variance application is moot.
W-1
a M n S n
June 25, 2015
Ms. Sarah J. Smith
Community Development Director
City of Mound
5341 Maywood Road
Mound, MN 55364
MINNESOTA DEPARTMENT OF NATURAL RESOURCES
CENTRAL REGION
1200 WARNER ROAD
SAINT PAUL, MN 55106
651- 259 -5800
Re: Street Vacation Application for North One -Half of Galway Lane Located in Mound, MN
Dear Ms. Smith:
Thank you for seeking input from the Department of Natural Resources regarding the proposal to vacate the
portion of Galway Road adjacent to the property addressed 4730 Galway Road in Mound. The street vacation
was described in the request is as follows: "North 1h of undeveloped Galway Road directly south of
applicant's property." Your letter was forwarded to me to review and provide comments as required by M.S.
412.851.
Galway Lane, later renamed Galway Road, was dedicated in the 1913 plat "Seton" with the following
language: "...donate and dedicate to the public use forever the streets, avenues, roads, lanes and common so
shown on the annexed plat."
M.S. 412.851 indicates that "No vacation shall be made unless it appears in the interest of the public to do so. "In
response, "The commissioner must evaluate:
(1) the proposed vacation and the public benefits to do so;
(2) the present and potential use of the land for access to public waters; and
(3) how the vacation would impact conservation of natural resources."
The DNR has reviewed the proposed vacation of Galway Road abutting the public waters of Lake Minnetonka
in the City and Mound, and we oppose vacation for the following reasons:
Lake Minnetonka is a designated public water of the state of Minnesota providing unparalleled water
recreation for citizens of Minnesota,
Public benefits of this vacation could include increased compliance with local zoning code, improved
emergency access to private property, and potential tax revenue. These public benefits must be
weighed against current and potential access to public waters as well as impacts to natural resources.
DNR staff visited the site and observed evidence of current public use of the proposed vacated area. It
appeared that people have been accessing Black Lake channel on sled, ATV, and by foot. In addition, it
was clear that snowmobiles and cross - country skiers use the channel in the winter. The observed
patterns suggest the majority of people who access this portion of the channel use Galway Road
instead of the other nearby rights of way. It is also likely that Galway Road provides summer access
to docks located on the Black Lake channel.
Galway Road provides access to several other undeveloped public rights of way in addition to
providing access to the shoreline of Lake Minnetonka. In total, this interconnected system comprises
over 1 acre of public lakeshore land. Vacating Galway Road would reduce access to this land and
reduce access to the lake.
mndnr.gov
PRINTED ON RECYCLED PAPER CONTAINING A MINIMUM OF 10% POST- CONSUMER WASTE,
AN EQUAL OPPORTUNITY EMPLOYER.
-1781-
MINNESOTA DEPARTMENT OF NATURAL RESOURCES
CENTRAL REGION
1200 WARNER ROAD
SAINT PAUL, MN 55106
651- 259 -5800
The south half of Galway Road, 15' wide, may be sufficient to serve current public access and city
maintenance activities; however, we urge the city to consider future needs and potential for public
access. Changing recreational trends or increased population could result in a need for additional or
improved public access to the lake. We cannot anticipate what needs may exist for public access on
this stretch of Lake Minnetonka shoreline in 100 years; once this valuable land leaves public
ownership it is likely gone forever.
The mere fact of its proximity to available access to Lake Minnetonka at other locations nearby does
not negate this right of way's significant value for current and future access. While it is true that there
are other ways to access the lake nearby, that is no reason in itself to vacate a portion of this path
which has clearly become a traditional way to reach the lake.
Vacation could result in increased runoff and disturbance of natural surfaces through construction
activities, as depicted in the preliminary site plan. While this land is in public ownership any
development would be evaluated and controlled by local government.
We strongly recommend to the city that other means are selected to work with the applicant. City staff
indicated the applicant has already received an easement to construct a driveway across Galway Road to
provide private and emergency access to this property. If the vacation is approved, we recommend the city
retain rights and the option to use this land for public access in the future should it be necessary.
In summary, the Department of Natural Resources concludes the proposed vacation is not in the public
interest, would provide no public benefits, and is opposed to it.
If you have any questions or concerns about this letter, please contact Darin Newman, recreation and land
planner with DNR Parks and Trails Division, at darin,newman@state.mn.us or 651- 259 -5611.
Thank you for the opportunity to comment on the proposed vacation.
Sincerely,
Keith Parker
Central Region Director
Minnesota Department of Natural Resources
Cc; Darin Newman, Division of Parks and Trails
mndnr.gov
��pp PRINTED ON RECYCLED PAPER CONTAINING A MINIMUM OF 10% POST - CONSUMER WASTE.
4r AN EQUAL OPPORTUNITY EMPLOYER.
-1782-
CITY OF MOUND, MINNESOTA
NOTICE OF A PUBLIC HEARING TO CONSIDER STREET VACATION
NOTICE IS HEREBY GIVEN that the City Council of the City of Mound, will meet
on Tuesday, July 14, 2015 at 7:00 p.m., or as soon as possible thereafter, in
the Council Chambers in the Centennial Building (former Mound City Hall), 5341
Maywood Road, Mound, MN, to hold a public hearing to consider an application
from Justin Rock, to vacate the north one -half (1/2) of unimproved Galway Road
that abuts his property located at 4730 Galway Road (PID No. 19- 117- 23 -23-
0139) on the south side. The unimproved street portion, proposed to be vacated,
is 15 feet in width and is commonly known as Galway Road, but is depicted in
the original plat for "Seton" as Galway Lane.
Copies of the application and related materials are available for viewing at City
Hall or upon request. All persons appearing at said hearing with reference to the
above matter will be given the opportunity to be heard at this meeting.
Sarah Smith
Community Development Director
Posted: June 16, 2015
Published in the Laker on June 20, 2015 and June 27, 2015
-1783-
PH: (952) 472 -0600
FAX: (952) 472 -0620
WEB: wwwalycfmound.com
July 1, 2015
Dear Property Owners and Interested Parties:
As part of its Tuesday, July 14, 2015 regular meeting, to be held at 7:00 p.m. in the Council
Chambers in the Centennial Building (former City Hall), 5341 Maywood Road, Mound, MN, the
Mound City Council will hold a public hearing to consider a request from Justin Rock to vacate
the north 112 of the unimproved portion of Galway Road that abuts his property located at
4730 Galway Road. The unimproved street portion proposed to be vacated is 15 feet in width
and is commonly known as Galway Road, but is depicted in the original plat for " Seton" as
Galway Lane. The applicant also submitted a variance application. For your review and
information, a copy of the public hearing notice and graphics that show the road portion to be
vacated and proposed house configuration have been included as attachments.
As your property is located in the plats of Seton, Seton Place and Seton Bluff, or you are a non
abutting, public dock site holder in the vicinity of Excelsior Commons, you are receiving an
official public notice about the upcoming City Council public hearing for review of the requested
street vacation application, at which time formal public comment will be taken.
If you have any questions regarding this letter or information contained herein, including the
upcoming public hearing, please feel free to contact me by telephone at 952.472.0604 or by
email at Sarahsmith @cityofmound.com.
Sincerely,
Sarah ith, Community Development Director
Pr- 1784_;led Paper
MINUTE EXCERPTS
MOUND ADVISORY PLANNING COMMISSION
JUNE 2, 2015
Chair Penner called the meeting to order at 7:00 pm.
ROLL CALL
Members present: Chair Cynthia Penner; Commissioners Jason Baker, Jeffrey Bergquist, Doug
Gawtry, Jameson Smieja, and Bill Stone. Members absent: David Goode, Pete Wiechert and
Jennifer Peterson. Staff present: Community Development Director Sarah Smith, Consultant
Planner Rita Trapp and Secretary Jill Norlander.
Members of the public: Andrew Johnsrud (Watertown); Steve Shellenbaum (4317 Wilshire
Blvd); Gary Vogetl (4313 Wilshire Blvd); Al & Kathy Leach (2645 Shannon La); Brian Nelson
(2620 Tyrone La); Lauren Mattioli (4730 Galway Rd); Justin Rock (4730 Galway Rd); Barry Todd
(5139 Waterbury Rd); Amy Buie (5139 Waterbury Rd); Christine Ralston (2945 Cambridge La);
Connie Meyer (4731 Carlow Rd); Katia Carroll (5159 Waterbury Rd); Dan Swanson (2560
Wexford La)
APPROVAL OF MEETING AGENDA
MOTION by Gawtry, second by Stone, to approve the agenda. MOTION carried unanimously.
REVIEW AND ACTION ON MAY 5 2015 MEETING MINUTES
MOTION by Bergquist, second by Smieja, to approve the May 5, 2015 meeting minutes as
written. MOTION carried unanimously.
BOARD OF APPEALS
B. PC Case 15 -09 & 10 Vacation and Variance
4730 Galway Road Applicant: Justin Rock
Sarah Smith introduced the vacation request. The property, which is approximately 11,133
square feet and undeveloped, abuts unimproved Galway Road on the south and unimproved
Excelsior Lane on the east. Excelsior Lane extends to Lake Minnetonka and is the location for
several dock sites. The property contains varied terrain with a wooded area in the SW corner
and includes several trees. The road section proposed to be vacated abuts the property on the
south side. It is 15 feet in width and provides access to the lake for dock users.
The vacation request is for the north Y2 of unimproved Galway Road. The variance is for lack of
required 40 feet minimum frontage on an improved public street.
Smith reviewed the history of vacation requests for this property including the approved
variance for lack of frontage as well as a request by the 2 abutting property owners to vacate
the entire 30 foot right of way, which was denied by the City Council.
By keeping the south % half open it maintains access for the public. Vacation of north %:
provides frontage on an improved road. It eliminates the need for 1 variance. It eliminates the
need for the public lands permit that was approved previously. The setback assignment will be
different and the proposed house would have conforming setbacks.
Staff has recommended approval of both the vacation and variance with conditions and
findings as outlined in the Planning Report.
Stone asked if utilities were impacted and if the 6 -foot setback would impede in any way.
Smith stated she did not know specifics and that grading details would be worked out based on
the final design plan.
Baker asked if there was any discussion of angling the vacated area in a triangular line. Smith
said that is not the request that was submitted and reviewed.
Smieja asked about the amount of encroachment that the Council wanted to limit. Smith
stated that they were showing 5.1 +/- and it was acting like a side. The resolution stated that it
was to be a minimum of 6 feet with a limit of 20% of the total lot length of the south side.
Smieja requested that it be considered whether we are conferring special privilege — is that part
of the statute for vacations? Smith replied that statute refers to having no public benefit.
A discussion ensued regarding the house plan from last fall to the present plan; the expansion
and shifting to the south.
Bergquist asked about the hardcover. Smith stated that the lot would get 40% hardcover
allowance because it's a lot of record. Granting the vacation would not change the lot of record
status.
Justin Rock (4730 Galway Rd) said the intent was to maintain a 15 ft setback on north. There's
still going to be a driveway on the north portion and an access to the lake for the public.
Baker asked if they considered an angle easement. it had not been considered up to this point.
Staff indicated that it wouldn't work.
Bergquist stated that, a few months ago the main concern was traffic (snowmobile, etc); now
the house is even closer. it doesn't make sense.
Bergquist asked if a retaining wall needed. Rock said it was not determined until final plans
with grades are drawn up. Something will need to be done because of elevations.
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Allen Leach (2645 Shannon Lane) — corner of Galway and Shannon; this is the access point that
99% of the dock users use; lots of snowmobile traffic. Cutting the access to 15 feet is
concerning. There's a telephone pole and large trees along the access, possibly in the access or
overhanging. Hopefully, people will not drive across his driveway. The access south of this one
is very steep and heavily vegetated. The one south of that is marshy and impassable in wet
years like last year. Galway is very hard; you can drive a car down. The Mullers and the former
owners have maintained this access very nicely.
Smieja had concerns about driveway activities. Smith said that the public lands permit has a
requirement for an easement agreement that addresses the use and protects City's rights. The
scope and intent of the activities haven't yet been defined. Smieja asked if there was a concern
that the public would lose the use of the driveway area should the land be vacated. Smith
stated that, if the land were vacated, fee title is in the hands of the owner; if not vacated it
would still be public.
Stone asked if 15 feet would be adequate for access. Leach replied that he didn't know. He's
always concerned when the city gives up land that has been open to the public for a hundred
years.
Laura Mattioli (4730 Galway Rd) stated that the portion that they are requesting to vacate is
hilly and not accessible. We are trying to accommodate the neighbors as we can. The lot is
very restrictive for the size of a house.
Bergquist thought that the previously planned house was very adequate in size.
Brian Nelson (2620 Tyrone La) indicated that the south half is a perfect road; the north is a
slope. Galway was the dump truck and dredging machines' route to access the dock area. Last
summer there were fish in the pond on Excelsior Lane. Now Mr. Rock cleared it all out. He is
concerned that this access will be closed down because it is too close to the new house. He
asked if the driveway would change the terrain.
Smith said that driveway design would be subject to review and acceptance by Public Works
and Engineering; grades will probably change. The 15 foot access will be maintained in similar
condition to what is there.
Smith indicated that there was a letter from the abutting owner (Muller) indicating that they
would be interested in pursuing the vacation of their half should the vacation be approved for
the north half.
Dan Swanson (2560 Wexford La) is an abutting dock holder. He uses the access year round and
is against the vacation. With the previous plan, Mr. Rock expressed concern about traffic. Now
the proposed house is closer. He also inquired about snow storage.
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Kathy Leach (2645 Shannon La) is concerned that it diminishes property values. They won't be
able to see down to the lake. It's not just people in the area; it's used by the public all summer
long. The street is packed with cars all summer. She has concerns about the proposal.
Connie Meyer (4731 Carlow Rd) stated that they knew what the lot size was before they bought
it. We agreed to the 15 feet between their home and the lot line. They knew in advance how
the road was. Now the house is moving closer to the lake and blocking some of our view.
There is only one real access to the lake. It should be used by everyone. Maintaining the land is
done by many; Muller's as well as others. She's against the vacation.
Bergquist asked Ms. Meyer if, in her opinion, the lot size was adequate for a house. Meyer
replied that it was and that they were going to build on it several years ago.
Penner pointed out that it's our responsibility to determine if there is any public benefit to
keeping the subject property.
Smieja stated that the state statute says it must be in the public interest to vacate (not to keep)
the property.
Smieja asked if the easement on lot 18 that Ms. Meyer referred to is significant for the city.
Smith was not aware of the easement as it wasn't shown on the survey.
Rock clarified that there is a 15 foot walking easement along east edge of Lot 18 (north to
south) that he thought existed from the 80's.
Smieja empathized with the property owners. The City Attorney indicated that there should be
no vacation unless it was in the interest of the public. This appears not to be in the interest of
the public. He recommends denial of the vacation and that they should maintain the approvals
that are already in place.
MOTION by Smieja, second by Bergquist, to recommend denial of the vacation and subsequent
variance. MOTION carried unanimously.
Sarah-
I am emailing regarding the proposed abatement of the north (15 feet) of the fire lane on Galway by
Justin Rock. As the adjoining property owner I have a few questions:
1) Was some disclosure missing from the purchase of this property that has resulted in the ongoing
push to acquire more land? I am concerned why the proposed structure is not being designed
to fit the land that was purchased?
2) There appears to be ongoing requests which only consider the new property owner and does
not take into consideration other owners in the vicinity
3) If there is discussion to abate the fire line than Cory and I would like consideration for the south
portion to also be given up by city. Like the new property owners, additional square footage
would allow us to expand ground cover through other landscaping which we would like to do;
driveway expansion etc...
4) It is our request that if the entire fire lane can not be abated that no concession should be
granted for just the north half. This would demonstrate preferential treatment to new property
owners versus consideration of benefits to prior owners as well.
If you have any questions, please let me know. I am traveling on business and am unable to attend
tonights meeting.
Linda & Cory Muller
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May 11, 2014
The Honorable Tom Landwehr, Commissioner
Minnesota Department of Natural Resources
500 Lafayette Road
St. Paul, MN 55155 -4040
RE: Street Vacation Application — North One -Half of Galway Lane (unimproved) located in
Mound, MN k
Pursuant to Minnesota Statutes Section 412.851, a copy of an application submitted to the City
of Mound by an abutting property owners to vacate the' north one -half of unimproved Galway
Lane in Mound, MN, is being sent to the Minnesota
Department of Natural Resources for 60 -day review in advance of a public hearing to be held by
the Mound City Council on Tuesday, July 14, 2015 at 7:00 p.m.
The street vacation application was submitted by Justin Rock, who owns the undeveloped
property located on the north side of Galway Lane (PID No. 19- 117 -23 -23
0139). Staff also wishes to advise that the road name, as contained in the original plat for
"Seton" is shown as Galway Lane; however, according to Sec. 21.02 in Appendix B of the
Mound City Code, Galway Lane was renamed as Galway Road. Also, the Mound City Council,
on October 28, 2014, approved a Public Lands Permit to allow construction of driveway and
utilities installation in the north one -half of unimproved Galway Road, subject to conditions,
and approved variances for allow construction of a new single - family home, subject to
conditions.
If you have any questions regarding any of this information, please contact me by telephone at
(952) 472 -0604 or by email at Sarahsmith @cityofmound.com.
Sincere
Sarah J. Smith
Community Development Director
Cc: Kate Drewry, Hyrdologist, MnDNR Division of Waters
Keith Parker, Director, MnDNR Central Region
Darin Newman, Planner, MnDNR Parks and Trails Division
Justin Rock, 7647 Mariner Point, Maple Grove, MN 55311
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412.851 - 2014 Minnesota Statutes
aY rTR'
2O14 Minnesota Statutes
Found 1 matches for 412.851
412.851 VACATION OF STREETS.
The council may by resolution vacate any street, alley, public grounds, public way, or any
part thereof, on its own motion or on petition of a majority of the owners of land abutting
on the street, alley, public grounds, public way, or part thereof to be vacated. When there
has been no petition, the resolution may be adopted only by a vote of four -fifths of all
members of the council. No vacation shall be made unless it appears in the interest of the
public to do so after a hearing preceded by two weeks' published and posted notice. The
council shall cause written notice of the hearing to be mailed to each property owner
affected by the proposed vacation at least ten days before the hearing. The notice must
contain, at minimum, a copy of the petition or proposed resolution as well as the time,
place, and date of the hearing, In addition, if the street, alley, public grounds, public way,
or any part thereof terminates at, abuts upon, or is adjacent to any public water, written
notice of the petition or proposed resolution must be served by certified mail upon the
commissioner of natural resources at least 60 days before the hearing on the matter. The
notice to the commissioner of natural resources does not create a right of intervention by
the commissioner. At least 15 days prior to convening the hearing required under this
section, the council or its designee must consult with the commissioner of natural
resources to review the proposed vacation. The commissioner must evaluate:
(1) the proposed vacation and the public benefits to do so;
(2) the present and potential use of the land for access to public waters; and
(3) how the vacation would impact conservation of natural resources.
The commissioner must advise the city council or its designee accordingly upon the
evaluation. After a resolution of vacation is adopted, the clerk shall prepare a notice of
completion of the proceedings which shall contain the name of the city, an identification of
the vacation, a statement of the time of completion thereof, and a description of the real
estate and lands affected thereby. The notice shall be presented to the county auditor who
shall enter the same in the transfer records and note upon the instrument, over official
signature, the words "entered in the transfer record." The notice shall then be recorded
With the county recorder. Any failure to file the notice shall not invalidate any vacation
proceedings.
History: 1949 c 119 s 102 1953 c 735 s 12; 1957 c 383 s 1; 1967 c 289 s 15; 1969 c
9s 85; 1973 c 123 art 2 s 1 subd 2; 1973 c 494 s 11 1976 c 181 s 2 _1986c 444' 1989 c
183 s 4 1990 c 433 s 2; 2005 c 4 s 105; 2005 c 117 s 2
Copyright n 2014 by the Revisor of Statutes, State of Minnesota. All rights reserved.
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Page I of I
Authenticate
PLANNING REPORT
TO: Planning Commission and Docks Advisory Commission
FROM: Sarah Smith, Community Development Director
DATE: May 29, 2015
SUBJECT: Street Vacation Application -north 1/2 of unimproved portion of Galway
Lane abutting located at 4730 Galway Road and Variance Application
APPLICANT: Justin Rock
PLANNING CASE NUMBERS: 15 -09 and 15 -10
ZONING: R -1A Single Family Residential
COMPREHENSIVE PLAN: Low Density Residential
SUMMARY
At its June 2, 2015 meeting, the Planning Commission will review the following
applications submitted by Mr. Justin Rock related to property he owns at 4730
Galway Road (P/D No. 19- 117 -23 -23 -0139) so as to allow construction of a single - family
home and related utility and driveway improvements:
Street Vacation north 112 of unimproved Galway Road
Variance lack of required (40) feet minimum frontage on an
improved public street
PROCESSES
Vacation. Minnesota Statutes (MS) 412.851 states that a statutory city may abandon
ownership or control over all or any part of the land they have set aside, dedicated or
used as streets or alleys. This action may be initiated by the City Council by resolution or
by the submission of a petition by the owners of at least 50 percent of the surrounding
land area. Procedurally, state statute requires that the City Council must hold a public
hearing on the proposal following two weeks of published notice and posted notice.
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The City must also provide written notice to each affected owner at least (10) days
before the public hearing. Members are advised that the City Council public hearing is
scheduled for Tuesday, July 14, 2015, at 7:00 p.m. The notice of public hearing is being
published in the June 20th and June 27th editions of the Laker and will be mailed out
at least ten (10) ten days prior to the City Council hearing to affected owners in
accordance with the statute requirements.
if the street, alley, public grounds, public way, or any part thereof that is proposed to be
vacated terminates at or abuts upon any public water, no vacation shall be made unless
written notice of the petition or proposed resolution is served by certified mail upon the
Commissioner of Natural Resources at least 60 days before the hearing on the matter.
The notice is for notification purposes only and does not create a right of intervention
by the Commissioner of Natural Resources
A letter by Certified Mail was sent to the MnDNR on May 11, 2015 with regard to the
requested street vacation including the scheduled City Council public hearing date of
Tuesday, July 14, 2015 at 7:00 p.m. As of the date of this report, no comments from the
MnDNR have been received.
Additionally, MS 412.851 requires the City to contact the MnDNR, at least 15 days prior
to convening the public hearing, to consult with the commissioner of natural resources
to review the proposed vacation. The commissioner is to evaluate the following:
(1) the proposed vacation and the public benefits to do so;
(2) the present and potential use of the land for access to public waters; and
(3) how the vacation would impact conservation of natural resources.
Staff will be contacting the MnDNR, at least 15 days in advance of the public hearing to
discuss the application and aforementioned items so as to meet this requirement of the
statute.
Variance.
City Code Section 129 -39 (a) states that a variance may be granted to provide relief to a
landowner where the application of the City Code imposes practical difficulty for the
property owner. In evaluating the variance the City Council must consider whether:
(1) The variance proposed meets the criteria for Practical Difficulties as defined
in City Code Sub. 129 -2.
(2) Granting of the variance requested will not confer on the applicant any
special privilege that is denied by this chapter to owners of other lands,
structures or buildings in the same district nor be materially detrimental to
property within the same zone.
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(3) The variance requested is the minimum variance which would alleviate the
practical difficulty.
(4) A variance shall only be permitted when it is in harmony with the general
purposes and intent of the zoning ordinance and when the terms of the
variance are consistent with the comprehensive plan.
According to City Code Sec. 129 -2, "Practical Difficulties" is defined as follows:
Practical Difficulties, as used in conjunction with a variance, means that:
(i) The property owner proposes to use the property in a reasonable manner
not permitted by the zoning ordinance;
(ii) The plight of the landowner is due to circumstance unique to the property
including unusual lot size or shape, topography or other circumstances not
created by the landowner; and
(iii) The variance, if granted, will not alter the essential character of the locality.
Economic considerations alone do not constitute practical difficulties.
Practical difficulties include, but are not limited to, inadequate access to
direct sunlight for solar energy systems.
TIMELINES FOR ACTION
The variance application was submitted on April 22, , 2015. Pursuant to Minnesota State
Statutes Section 15.99, the City of Mound has sixty (60) days to approve or deny the
land use request unless an extension is executed by the City in accordance with state
rules. Minnesota Statutes 645.15 sets forth the procedures for determining "Day 1" for
the purpose of application of the 60 -day rule and was determined to be April 23, 2015,
2015, The City's deadline for action on the variance is on or before June 21, 2015
unless an extension is executed. As the City Council public hearing is scheduled for July
14, 2015 for the vacation request, members of the Planning Commission and applicant
are advised that the City will be executing a 60 -day extension for action on the variance
request.
SITE INFORMATION AND BACKGROUND
The subject property, which is approximately 11,133 square feet and undeveloped,
abuts unimproved Galway Road on the south side and unimproved Excelsior Lane on the
east side. Excelsior Lane extends to Lake Minnetonka and is the location for several dock
sites which are part of the City's dock program. The property contains varied terrain
with a wooded area in the SW corner and includes several trees. There are single - family
homes located on the north and west sides of the property and there is also a home
located on the south side of unimproved Galway Road that fronts Shannon Lane.
File information indicates that the current configuration of the property has been in
existence since 1979 when Lot 15 was split off from an abutting parcel (4739 Carlow
Road) and was added to this parcel. Based on Staff review, the subject parcel is a lot of
record. While variance approval is required for lack of required frontage, the subject
property exceeds the required 6,000 SF lot size requirement and 50 -foot lot width
requirement for an existing, R -1A (lakeshore) lot.
The property at 4730 Galway Road is vacant and was purchased in October 2014 by the
applicant, Justin Rock. The City Council, at its October 28, 2015 meeting, adopted
Resolution No. 14 -91 granting Public Lands Permit approval for driveway construction
and utilities installation in the north 1/2 of unimproved Galway Road for the new home
to be constructed on the subject lot and Resolution No. 14 -92 granting variance
approval for lack of street frontage on an improved public road and a reduced front
setback for construction of the new house.
The subject road section proposed to be vacated abuts the property at 4730 Galway
Road on the south side. It is 15 feet in width and undeveloped /unimproved. It was
dedicated as "Galway Lane" in the original plat of Seton, but was renamed and is
commonly known as "Galway Road." This portion of road is located east of the Galway
Road /Shannon Lane intersection and extends to Excelsior Lane which abuts Lake
Minnetonka.
A proposed building footprint was shown on a site plan submitted with the application,
however, elevation drawings are not available at this time. Based on earlier information
reviewed with the 2014 applications, the home planned for the property is a 1 -story
with walkout. The proposed driveway will come into the property in the SW corner to
the garage, which is located on the west side of the house, with the doors facing
Galway Road. A copy of the 2014 plan has been included as an attachment. Members
are advised that the building footprint shown on the new site plan, assuming the
vacation is approved, is conforming to setbacks and is similar to the 2014 plan.
However, the proposed house pad has been shifted to the south and east. Similar to
the 2014 site plan, a north setback of 15.6 feet has been shown on the current plan.
A vacation application was previously submitted by the applicant and the abutting
owners on the south 1/2 of Galway Road, who reside at 2640 Shannon Lane. The City
Council, at its March 24, 2015 meeting, denied the requested vacation application. A
copy of Resolution No. 12 -26 has been included as an attachment.
PLANNING COMMISSION MEETING NOTIFICATION
An informational notice about the June 2, 2015 Planning Commission meeting and
review of the vacation and variance applications was sent on May 21, 2015 to property
owners, per Hennepin County records, in the Seton plat, the Seton Place plat and the
Seton Bluff plat; also the non - abutting dock site holders along Excelsior Lane.
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City Attorney Melissa Manderschied
If the application does not meet the requirements of a petition, which needs the
signatures of a majority of abutting land owners per MS 412.851, there is no petition.
When there has been no petition, the vacation resolution may be adopted only by a
vote of four fifths of all members of the council after properly noticed hearing per MS
412.851.
if the vacation is approved, the property owner will need to submit a request for an
examiner's directive (per MS 508.73, sub 2) so the roadway ROW will go to the abutting
property at 4730 Galway Road property.
Information about the remaining options for the public to access the undeveloped
Excelsior Road / water, if the subject area is vacated, should be part of the City's
evaluation.
Per statute, no vacation shall be made unless it appears in the interest of the
public to do so.
City Engineer Dan Faulkner and /or Brian Simmons
Use of the existing ROW as a utility /storm sewer /corridor is important.
Fire Chief Greg Peterson
There are no fire code or safety concerns with vacating the subject portion of Galway
Road.
Public Works Director Eric Hoversten
I would not normally concur with vacating lands. However, in this circumstance it
appears to be consistent with the approach taken on previous decisions /actions specific
to this property to the extent that it will allow for the development of the lot while still
maintaining minimal access to the commons beyond.
DISCUSSION
1. When a city vacates a street, the involved portion of the public right -of -way is
split 50 -50, (presumably to the centerline) to the abutting owner(s) and is usually
free of easements either in favor of the public or owners of other property
abutting the street. State statute allows that a City may specify the extent to
which a proposed vacation affects existing utility easements, including the right
to maintain and continue existing utility easements.
If the public right of way was originally dedicated within one plat, the entire
dedication reverts to the abutting property owner(s) within that plat. In the case
of the requested portion of unimproved Galway Lane, the ROW reverts to the
immediate property owner on the north (Justin Rock).
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2. The vacation application included on the Docks Advisory Commission (DCA)
meeting agenda for review at its May 21, 2015 meeting. The DCA
recommendation was for approval, subject to conditions. Refer to
memorandum dated May 22, 2015 that was prepared by Finance Director /City
Clerk Catherine Pausche, who is the Dock Administrator.
The shoreline along Excelsior Lane is Type D Commons. This is shoreline that is
traversable on the top, and traversable along the water's edge; accessible by
public right of way.
4. The unimproved road provides public access to the lake (i.e. getting to docks,
skating, fishing, etc.). With the south 112 not part of the vacation request, access
will continue to be provided.
5. Lot Frontage and Setback Assignment
City Code Sec. 129- 101(b)(2) states that residential lots in the R -IA District must
have minimum lot frontage of 40 feet on an improved public street except that
lots fronting on a cul -de -sac shall be 40 feet at the front building setback line.
City Code Sec. 129 -2 defines "Lot line, front" as follows:
Lot line, front, means that boundary of a lot which abuts an existing or
dedicated public street. In the case of a corner lot it shall be the shortest dimension on a
public street or as otherwise designated by the Community Development Director
based on the practical front yard of the property as determined by such factors as the
existing or proposed building configuration of the property and taking into
consideration the characteristics of the surrounding properties. If the dimensions of a
corner lot are equal, the front line shall be designated by the owner and filed with the
city. For purpose of this chapter, a lot shall have only one front setback.
Based on the aforementioned definition, Staff deems the front of the lot to be
the abutting Galway Road /Shannon Lane (west side) if the partial vacation is
approved. A front setback of 20 feet is required.
The rear (east) setback is opposite the front. Therefore, the rear setback for a
principal structure on subject lot is the most restrictive of the following:
- standard principal structure setback of 15 feet; or
- lakeshore setback of 50 -feet from the 929.4 OHWM; or
- top of bluff setback of 10 -feet.
For this lot, based on site conditions, the most restrictive rear setback is the
standard 15 -foot setback, as required for a principal structure
The minimum side setback on the north side is six (6) feet.
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Staff's evaluation of the south side setback is that it should be the same as
allowed per Sec. 129 -194 (i) for street frontages created by fire lanes or per Sec.
129 -194 (j) for street frontages created by an alley. Both sections state that
street frontages adjacent to a fire lane or alley lane having a width not
exceeding 15 feet shall be considered side or rear yards, as appropriate and
subject to the applicable district setbacks. In this case, the south side
setback would be six (6) feet. It is important to mention that Sec. 129.194 (k)
states that street frontages created by unimproved roads exceeding 15 feet are
considered to be side or rear setbacks, as appropriate with a minimum setback
of ten (10) feet. Since the remaining portion of unimproved Galway Road does
not exceed 15 feet, Staff's evaluation is that the requirements that are provided
for alleys and fire lanes should be applied.
It is anticipated that an Erosion Control Permit will be required from the MCWD
for the project. Copies of the application materials were forwarded to the
MCWD as part of the routing process. Applicant is encouraged to be in contact
with the MCWD regarding the permit(s) that maybe required for the project.
8. Per code, minimum driveway width is 10 feet; maximum width is 24 feet. A 1-
foot side setback is required. Hard surfacing is also required.
9. Metropolitan Council Environmental Services Sewer Area Charge (SAC), Mound
Sewer and Water Trunk Charges, and Mound Sewer and Water Connection
Charges shall apply to the project with involved fees to be paid at the time of
building permit issuance. Fees shall be the amounts that are in effect at the time
of permit issuance
11. Applicant is advised that there are building and /or fire code regulations related
to proximity of structures to property lines including but not limited to, fire
proofing and projections. Staff suggests applicant contact the Building Official to
discuss the regulations as they apply to a future project.
12. The City's regulations related to yards and open space including, but not limited
to, allowed encroachments are contained in Sec.129 -197.
13. Retaining walls less than four (4) feet do not require a building permit. Walls
exceeding four (4) feet require the submittal of plans prepared by a
professional engineer.
14. Minimum construction elevation required to be at or above the Regulatory
Flood Projection Elevation (933.0) or three feet above the OHWM wetland.
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RECOMMENDATION
Staff recommends that the Planning Commission recommend Council approval of the
street vacation application for the north 1/2 of the unimproved road.
In recommending approval of the street vacation, the following findings are offered:
1. There is no public benefit to retaining the north portion of unimproved Galway
Road as it is being developed as a driveway for the proposed new home.
2. The south 112 of unimproved Galway Road is open and accessible to
Excelsior Lane (undeveloped) which is adjacent to Lake Minnetonka.
Variance. Staff recommends that the Planning Commission recommend that the City
Council grant variance approval for lack of minimum required frontage on an improved
public road to allow construction of the improvements on the property and in the
Galway Road right of way, subject to the following conditions:
1. Applicant shall be responsible for payment of all costs associated with the land
use request.
2. No future approval of any development plans and /or building permits is included
as part of this action.
3. Applicant shall provide all required information upon submittal of the building
permit application.
4. Approval of the drainage plans, utility plans and proposed grades by the City
Engineer.
5. Impervious surface coverage on the property shall not exceed 40 percent and
shall be subject to the provisions of Sec. 129- 385(g)(2)a as allowed for existing
lots of record.
6. MCES Sewer Area Charge (SAC). The 2015 MCES fee for a SAC unit is $2,485.00.
MCES charge will be collected at the time of building permit issuance for the
proposed new house.
City Water /Sewer Trunk Area Charges. The 2015 trunk waterfee is $2,000.00
per lot and the 2014 trunk sewer charge is $2,000.00 per lot. Payment of trunk
water and trunk sewer charges will be collected prior to release of the building
permit and will be the amount in effect at the time the building permit is issued.
-1799-
City Water / Sewer Connection Fees. The 2015 water connection fee is $240.00
and the 2015 sewer connection fee is $240.00. The water and sewer connection
fees will be collected at the time of building permit issuance for the new house
to be constructed and shall be the amount in effect at the time.
9. Minimum construction elevation shall be at or above the Regulatory Flood
Project Elevation of 933.0 or three feet above the ordinary high water mark of a
wetland.
10. No materials shall be stockpiled in the 100 -year floodplain area(s). Staging and
stockpiling activities shall be coordinated in cooperation with the Mound Public
Works Department.
11. Applicant shall be responsible for procurement of any and /or all local or public
agency permits including, but not limited to, the submittal of all required
information prior to building permit issuance.
12. The applicant shall be responsible for recording the resolution with Hennepin
County. The applicant is advised that the resolution will not be released for
recording until all conditions have been met. No building permit will be issued
until evidence of recording of the resolution at Hennepin County is provided
unless an escrow of sufficient amount is on file with the City. The applicant may
also direct the City to record the resolution with the fees to be taken out of the
escrow.
13. Effective September 1, 2011, new Minnehaha Creek Watershed District (MCWD)
rules related to wetlands, floodplain, erosion control and others are in effect.
These rules are now under the jurisdiction of the MCWD as regulatory authority
and permitting was officially turned back to the District by the Mound City
Council on August 23, 2011. Applicant is directed to contact the MCWD related
to the new regulations and applicable permits that may be needed to undertake
the proposed project. Evidence from the MCWD in the form of a permit or
waiver must be provided before release of any future building permit.
14. Approval of the requested vacation request for the north 1/2 of Galway Road.
15. Any additional conditions from Staff, Consultants, Planning Commission, Docks
and Commons Commission and City Council.
in recommending Staff approval of the variance, the following findings of fact are
offered:
1. The criteria of City Code Section 129 -39 (a) are being met.
=
2. The requested variance is for an existing lot of record.
3. With the exception of the requested lack of minimum frontage on an
improved street, the proposed new house will meet the other City Code
requirements.
4. The street vacation, if approved, will provide 15 feet of frontage for the
property on an improved street, which is an improved condition.
5. The subject property includes varied topography and slopes downward
towards Lake Minnetonka.
6. Access to the property can be provided from the vicinity of the Galway Road
and Shannon Lane right of way.
7. There are no plans to improve Galway Road in the subject vicinity.
8. The existing house on the south side of unimproved Galway Road will be
located approximately 42 feet from the proposed new house.
CITY COUNCIL REVIEW
Required. The public hearing for review of the vacation application is Tuesday, July 14,
2015 at 7:00 p.m. The variance application will also be reviewed at that time.
-1801-
ISO Me,
4�A� 6`
55
0 47 0
2415 Wilshire Boulevard, Mound, MN 55364
Phone 952- 472 -0600 Fax 952 - 472.0620
Application Fee and Escrow Deposit required at time of application.
Planning Commission Date June 2, 2015 Case No. 15-ID
City Council Date -
Please type or print clear)
RADJACENT Name Justin Rock Email justinjayrock @gmaii.com
Address 7647 Mariner Pt., Maple Grove, MN 55311
Phone (Home) (work) (ce1g612- 508 -5870
E -Mail Address Fax
d)aoentAddress4730 Galway Road, Mound, MN 55364
ame of Business
o ;00 0 B(ock015
Seton, Lots 15 16 17 and 18 uhdmision Ploy 1911723230139
ZONING
DISTRICT Cirde: R -1 R -tA R -2 R -3 B -1 B-2 B-3
AREA North 1/2 of undeveloped Galway Road directly South of applicants property,
TO BE
VACATED
nTHIS Vacating the North portion of Galway Road will then be added to the lot at the North,
which will give the lot improved road frontage
IS There is no public use for the undeveloped North portion of Galway Road. There
is no need to improve Galway Road. This portion has no utilities present.
Vacatin 1/2 will still maintain an access oint on the South onion for the Public. g p p
I certify that all of the statements above and statements contained in any required papers
or plans to be submitted herewith are true and accurate. I acknowledge that I have read all
of the information provided and that 1 am responsible for all costs Incurred by the City
related to the processing of this a (cation. f J
✓S < n V G CA1t
Print Applicant's Name Applicant's Signature Date
Print Applicant's Name
Vacation Information
(1/2/2015) Page 4 of 4
Applicant's Signature
-1802-
Date
b
(tiW
[`tlTY OF MOUND
2415 Wilshire Boulevard, Mound, MN 55364
Phone 952 -472 -0600 FAX 952472 -0620
l • ' 1
Application Fee and Escrow Deposit required at time of
Planning Commission Date June 2, 2015
City Council Date June 23, 2015
Please Woe or print lealbiv
Case
Slpl 11 �
8d0 y,�'
SUBJECT
Address 4730 Galway Road, Mound, MN
PROPERTY
LEGAL
Lot 000
B1ock015
DESC.
Subdivision Seton Lots 15 16 17 and 18
plD## 1 911 723 2301 39
Zoning: R1 R1A R2 R3 81 82 83 (Circle one)
PROPERTY
ustin Rock
Email justinjayrock @gmail.com
OWNER
rAddress4730
Galway Road, Mound, MN
Phone Home 612-508-5870 Work
Fax
APPLICANT
Name
Email
(IF OTHER
THAN
Address
OWNER)
phone Home Work
Fax
Has an application ever been made for zoning, variance, conditional use permit, or other zoning procedure
for this,properly? Yes (X) No ( ). If yes, list date(s) of application, action taken, resolution number(s)
and provide copies of resolutions.
October 2014-
Approved Public Land Permit Resolution No. 14 -91, Approved Variance Resolution No. 14 -92
Detailed description of proposed construction or alteration (size, number of stories, type of use, etc.):
With approved partial vacation of Galway Road, this lot will have 15' of road frontage. Zoning requires
a minimum of 40' of improved road frontage.
Variance Information
(1/2/2015) Page 4 of 6
Case No.
6. Was the practical difficulty described above created by the action of anyone having property interests in
the land after the zoning ordinance was adopted (1982)? Yes ( ), No 00. If yes, explain:
7. Was the practical difficulty created by any other human -made change, such as the relocation of a road?
Yes ( ), No ( )O. If yes, explain:
8. Are the conditions of practical difficulty for which you request a variance peculiar only to the property
described in
this petition? Yes (X), No ( ). if no, list some other properties which are similarly affected?
Prior to Galway Road partial vacation, lot did not have improved road frontage. After the road vacation,
mentioned lot will have 15' of road frontage.
9. Comments: Variance will be required due to a partial vacation of Galway Road. The mentioned lot will
have 15' of improved road frontage. Zoning requires a minimum of 40' of improved road frontage.
I certify that all of the above statements and the statements contained in any required papers or plans to be
submitted herewith are true and accurate. I acknowledge that I have read all of the variance information
provided. I consent to the entry in or upon the premises described in this application by any authorized
official of the City of Mound for the purpose of inspecting, or of posting, maintaining and removing such
notices as may be required by law.
Owner's Signature_�/�G�1
Applicant's
Variance Information
(1/212015) Page 6 of 6
:1�
Date r,Z O �-S
Date
Case No. °
3. Do the existing structures comply with all area, height, bulk, and setback regulations for the zoning
district in which it is located? Yes (X) No ( ). If no, specify each non - conforming use (describe reason
for variance request, i.e. setback, lot area, etc.):
Proposed house will meet all other zoning regulations.
SETBACKS: REQUIRED REQUESTED VARIANCE
(or amsfing)
Front Yard: (N S E W)
ft,
ft.
ft.
Side Yard: (N S E W)
ft.
ft.
ft.
Side Yard: (N S E W)
Rear Yard: (N S E W)
Lakeside: (N S E W)
ft.
(NSEW)
ft.
ft.
ft.
Street Frontage: 40
ft. 15
ft. 25
ft.
Lot Size:
sq ft
sq ft
sq ft
Hardcover:
sq ft
sq ft
sq ft
4. Does the present use of the property conform to all regulations for the zoning district in
which it is
located? Yes (X), No ( ). If no, specify each non - conforming use:
5. Which unique physical characteristics of the subject property prevent its reasonable use for any of the
uses permitted in that zoning district?
( ) too narrow ( ) topography ( )Sol]
( ) too small ( ) drainage ( ) existing situation
( ) too shallow ( ) shape ( ) other: specify
Please describe: Lot does not have adequate improved road frontage.
Variance Information
(1/212015) Page 5 of 6
-1805-
-for~ Justin Rock APR 2 011 g
I EXISTING I
I
HOUSE I BY�_
L —
PROPOSED GALWAY LANE
VACATION DESCRIPTION:
A strip of land 15.00 feet in width
described as that pan` of the North
half of Galway Lane as dedicated in
SETON, according to said plat on file
and of record in the office of the
County Recorder, Hennepin County,
Minnesota. Said strip of land is to
extend by its full width from a line
drawn from the Southwest corner of
Lot 15, Block 15, in said plat, to the
Northwest corner of Lot 10, Block 23,
in said plat, to a line drawn from the
Southeast comer of Lot 18, said
Block 15, to the Northeast comer of
Lot 1, said Block 23.
i----------i----------j ---------- T----------
� X15
I I I 1 I
1 j I I
1 I I 1 1
I 18 `C I
I Y 15 I 16 I 17 1 o l
O 1
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I �°p j I 1 Oc I
1 0^ i N 112 Old VACATE® GALWAil LANE W O I
c i TO AC�jRUE TO LOTS 15 - 1$, BLK.15 I
i
1
I hereby certify that this survey was prepared by me or under
my direct supervision and that l am a duly licensed Professional
Land Surveyor under the laws of the State of Minnesota.
Y • 22703 11107114
cfn,.an V lerha I irense No. Date
Traverse PC
REVISED: 04116115 - GALWAY LANE
REVISED: 11/19/14 - GALWAY LANE
.:
W
O
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aI
.-
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e
ORE M I E
LAND SURVEYING, LLC
952 -443 -3010 _1806-
~ for ~ Justin Rock
X eti
of." XX Galway Road (Unassigned)
Mound, MN 55364 I /
— — x
RET. WALL
GALWA r xq" r OMD
8. San. —Sews!
BENCHMARK: - -2
Top nut of I
fire hydrant
Elevation = 950.14 t
gad
955.0
(95MJ
/
955.3
-- - -- 1951.0
_ 20.3
LIL -(�T -i
i
EX/STING I E
i HOUSE I 1
FF = 954.7 I
EXISTING ' DECD
1 I I
N
4
h
Iis + —�� o'
I I I tl ' 4 g5�
Hard Cover Calculations:
Lot Size:
13,532 s.f (INCLUDING N 1/2
Proposed House:
3,696 s.
. e
XYJ_
Total Hardcover:
/
e
34.23%
y fir,
W
%C C) t
o,
LU
Y,
!
g
4
42.9 C -
6
gy^
�
RET. WALL
GALWA r xq" r OMD
8. San. —Sews!
BENCHMARK: - -2
Top nut of I
fire hydrant
Elevation = 950.14 t
gad
955.0
(95MJ
/
955.3
-- - -- 1951.0
_ 20.3
LIL -(�T -i
i
EX/STING I E
i HOUSE I 1
FF = 954.7 I
EXISTING ' DECD
1 I I
N
4
h
Iis + —�� o'
I I I tl ' 4 g5�
Hard Cover Calculations:
Lot Size:
13,532 s.f (INCLUDING N 1/2
Proposed House:
3,696 s.
Proposed Driveway:
936 s.f.
Total Hardcover:
4632 s.f.
Hardcover % :
34.23%
159.93' (MEAS)
16o.00' (PLA7)
X� �/ /x� / / E / til I ��t i x931.3
937.01
V
WAY RD) 7rN �. ,'x
`L
a
z ??
vqa 'r
A/ 4„ E
X m 1 6m I I m / ! 1A.0• X93&51
p/ ® 4F
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4og / O
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/
A.
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931.3 1.937/31 Lam/
0 —� /i Sv_ so". X1941.4 — AI Y 9'S Y/ / _NAS�
Sad 5'P
,rwa I t )lu to i _I
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h I 944.7 ¢c
•— 945.5
x \ /t A TO )SE V CA\TED / a �. ) y� / / a
159.94' 1
San. Sew. MH \ to l l i S 89°47104" W
.A- INV. 93754 gag' �\ \
X ga
I 1
i
1
i
_ I
I
I
EXISTING s
r HOUSE 1
I hereby certify that this survey was prepared by me or under
my direct supervision and that I am a duly licensed Professional
Land Surveyor under the laws of the State of Minnesota.
�,, Y - �, 22703 08120114
Steven V. Ische License No. Date
Traverse PC
Proposed House Elevations:
Top of Foundation: 952.0
Finished Garage Slab: 951.6
Walkout: 942.0
LEGEND
.b- Fire Hydrant
Catch Basin
i Spot Elevation
Deciduous Tree
'o-- Power Pole
® Found Iran Monument
0 Set 1/2" Iron Pipe
O Sanitary Manhole
—SS Sanitary Sewer
—SD Storm Sewer
—W Water Main
—G Underground Gas Llne
X 937.3 Existing Grade
X (937.3) Proposed Grade
_ .y. Direction of Surface
g�a L0 iR� 6X V // y / / e
g'S1' W /r
so 931.3/ / 41F
MOUND 100•YEAR FLOODPLAIN
ELEV. = 991.0
I(MCWD 1
00 -YEAR FLOODPLA/N
ELEV. = 991.5) r
REVISED: 04/11/15- PROPOSED HOUSE
PAD, HARDCOVER, GRADES
REVISED: 09103114 - PROPOSED HOUSE
PAD, HARDCOVER, GRADES
REVISED: 08/22/14 - E R/W OF
SHANNON LANE
REVISED: 081211
14 -HOUSE
PAD, HARDCOVER, UTILITIES,
DECK AD✓. HOUSES, DRIVEWAY,
O.H.W. 8 GRADES
OqUMIER
LAND SURVEYING, LLC
95Z- 443 -307
0
i�
Drainage
00 -YEAR FLOODPLA/N
ELEV. = 991.5) r
REVISED: 04/11/15- PROPOSED HOUSE
PAD, HARDCOVER, GRADES
REVISED: 09103114 - PROPOSED HOUSE
PAD, HARDCOVER, GRADES
REVISED: 08/22/14 - E R/W OF
SHANNON LANE
REVISED: 081211
14 -HOUSE
PAD, HARDCOVER, UTILITIES,
DECK AD✓. HOUSES, DRIVEWAY,
O.H.W. 8 GRADES
OqUMIER
LAND SURVEYING, LLC
95Z- 443 -307
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V
MEMORANDUM
Date: May 22, 2015
To: Sarah Smith, Community Development Director
From: Catherine Pausche, Director of Finance and Administrative Services
Subject: Partial Vacation Request for Galway Lane
The Docks and Commons Commission (DCC) discussed the Partial Vacation Request
Application for Galway Lane, Applicant Justin Rock, at the May 21, 2015 DCC regular meeting.
The DCC unanimously approved a recommendation to the City Council to approve the partial
vacation request. An excerpt of the drat meeting minutes follows:
6. Partial Street Vacation Application - unimproved portion of Galway Lane abuttine 4730
Galway Road
Pausche stated the request for a total vacation of this unimproved street was denied by the
Council at the March 24, 2015 meeting. One of the applicants, Justin Rock, has since returned
requesting a partial vacation. Pausche stated that the standard for allowing a vacation is that
there is no public benefit to keeping the land.
Justin Rock, 4730 Galway Road, stated the partial vacation he is requesting will still leave 15 feet
of public access all the wayto the commons and that variances have been granted to essentially
do the same improvements, but that a vacation would simplify the process.
Osmek said this is not the first road vacated so it is not setting the precedent. Funk said the DCC
should focus on the public benefits of access and he felt the 15 feet is still adequate.
Beystrom asked about the setbacks before and after the vacation and Rock said they are just
shifting the whole house pad south and do not intent to expand the footprint.
Gillispie asked what side of the road parking is permitted. Rock said parking occurs on the side
streets in addition to Shannon. Osmek said the DCC could recommend a condition to clearly
mark what is public and what is private and Rock said he and the neighbor are currently
maintaining the entire area so that is not really a concern. Osmek mentioned vacating to the
SI•
waterline invokes other rules and Rock said the vacation is up to the unimproved Excelsior Road
and not the water.
Pausche noted that no noticing took place forth is discussion like the last time. Noticing is not
required for a DCC meeting, but area residents and non - abutters will be noticed for the Planning
Commission and Council discussion. Pausche relayed residents concerns noted in the March
DCC meeting that were included in the minutes. One resident questioned the dedication of the
Seton Plat and why a vacation can even be considered.
Gillispie added she thought the DNR report also mentioned the dedication language and asked if
they have been consulted on the partial vacation. Pausche said they have and their response
will be received in time for the Planning Commission and Council meetings. Pausche asked that
the DCC assume the DNR response would be similar for the purpose of this discussion. Gillispie
asked what the typical width of other public access points are and Osmek said roads are
typically 24 feet wide but that 15 feet is not unusual.
MOTION by Funk, seconded by Beystrom, to recommend that the City Council approve
the partial vacation application for an unimproved portion of Galway Lane based on
sufficient public access still being available. All voted in favor. Motion carried.
Please let me know if you have any questions regarding this matter.
-1810-
CITY OF MOUND
RESOLUTION NO. 15 -26
RESOLUTION DENYING VACATION OF UNMPROVED PORTION OF GALWAY LANE
PLANNING COMMISSION CASE NO. 14-28
WHEREAS, a petition was submitted by Justin Rock and Cory and Linda Muller,
requesting vacation of a portion of unimproved Galway Lane that abuts their properties at
4730 Galway Road and 2640 Shannon Lane; and
WHEREAS, the proposed road to be vacated is 30 feet in width and 160 feet in length. It
is currently undeveloped /unimproved. It was platted as "Galway Lane" in the original plat
of Seton but is commonly known as "Galway Road." The portion of road proposed to be
vacated is located east of the Galway Road / Shannon Lane intersection and extends to
Excelsior Commons which abuts Lake Minnetonka; and
WHEREAS, the petition was distributed for review and comment to City departments,
consultants, public agencies and private utilities; and
WHEREAS, as required by Minnesota Statutes Section 412.851, the notice of public
hearing for the City Council's review of the vacation petition scheduled for March 24, 2015
was forwarded to the MnDNR on December 23, 2014 by certified mail as required by state
law for vacation petition that extend to public water; and
WHEREAS, written notice of the Planning Commission and Docks and Commons
Commission review of the vacation petition was mailed on February 19, 2014 to property
owners, per Hennepin County tax records, located in the Seton plat, the Seton Place plat
and the Seton Bluff plat to notify them of the upcoming meetings being held on March 3,
2015 and March 19th, 2015 respectively. The notice was also mailed to the non - abutting
dock site holders in Excelsior Commons; and
WHEREAS, on February 25, 2015, the City received a letter from the MnDNR dated
February 20, 2015 stating its opposition to the vacation petition; and
WHEREAS, Staffs recommendation for denial of the requested vacation petition is based
on the following findings of fact:
1. The subject road portion provides access to Excelsior Commons, which abuts
Lake Minnetonka and includes docks in the City's program for 12 non -
abutting properties; and
2. The area is used by the public to gain access to Lake Minnetonka; and
3. The subject road portion has been, and may need to again be, used for adjacent
right -of -way or utility reconstruction.
W
WHEREAS, the Planning Commission reviewed the vacation petition at its March 3, 2015
meeting and voted to recommend the City Council deny the vacation request with the
Findings of Fact 1 through 3 that were included in the Planning Report dated
February 27, 2015; and
WHEREAS, the Docks and Commissions Commission reviewed the vacation petition at its
March 19, 2015 meeting and the unanimous consensus was to recommend that the City
Council deny the vacation request; and
WHEREAS, information regarding the City's review of the vacation petition is contained in
the Planning Report dated February 26, 2015, the draft Planning Commission meeting
minutes from the March 3, 2015 meeting, the Planning Report Addendum No. 1 dated
March 13, 2015, the draft Docks and Commons Commission meeting minutes dated
March 19, 2015 and the Executive Summary Report dated March 20, 2105 which are
hereby made part of the record of the vacation proceedings; and
WHEREAS, pursuant to Minnesota Statutes Section 412.851, the City Council of Mound
held a public hearing on the street vacation petition on March 24, 2015 and provided
proper notice thereof pursuant to state law; and
WHEREAS, the City Council studied the practicality of the vacation petition taking into
consideration the present and future development of the property and the requirements
of the Zoning, Subdivision Ordinance and other official controls; and
WHEREAS, the City Council considered the interest of the public in the portion of the
road requested to be vacated and finds that the public's interests are not advanced by
the requested vacation based on the following findings of fact:
A. The subject road portion provides access to Excelsior Commons, which
abuts Lake Minnetonka, and includes docks in the City's program for
12, non - abutting properties; and
B. The area is used by the public to gain access to Lake Minnetonka; and
C. The subject road portion has been, and may need to again be, used for
adjacent right•of -way or utility reconstruction; and
D. The MnDNR in its letter dated February 20, 2015 objects to the road
vacation.
NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of Mound,
Minnesota as follows:
1. The City hereby denies the request to vacate the unopened portion of Galway Lane
as legally described on the attached Exhibit A.
2. The City Clerk is authorized and directed to prepare and file with Hennepin County
the required notice of completion of these vacation proceedings.
1812-
Exhibit A
A strip of land 30.00 feet in width
described as that part of Galway
Lane as dedicated in SETON,
according to said plat on file and of
record in the office of the County
Recorder, Hennepin County,
Minnesota. Said strip of land is to
extend by its full width from a line
drawn from the Southwest comer of
Lot 15, Block 15, in said plat, to the
Northwest corner of Lot 10, Block 23,
in said plat; to a line drawn from the
Southeast corner of Lot 18, said
Block 15, to the Northeast corner of
Lot 1, said Block 23.
-1813-
CITY OF MOUND
RESOLUTION NO. 14 -91
RESOLUTION TO APPROVE A PUBLIC LANDS PERMIT FOR PROPERTY AT
4730 GALWAY ROAD
19- 117 -23 -23 -0139
WHEREAS, the applicant, Justin Rock, is requesting a Public Lands Permit to undertake
improvements associated with the construction of a driveway and utilities installation in
unimproved Galway Road for a new house to be constructed at 4730 Galway Road; and
WHEREAS, the property is owned by Richard and Connie Meyer, who consented to the
submitted application; and
WHEREAS, City Code Section 62 -11, requires City Council approval by a majority vote for
construction of any kind on any public way, park or commons, or the alteration of the natural
contour of any public way, park or commons; and
WHEREAS, details regarding the request are contained in the Planning Report No. 14 -23 dated
October 3, 2014 which included Staff's recommendation for approval, subject to conditions; and
WHEREAS, the Planning Commission considered this request at their meeting on Tuesday,
October 7, 2014 along with a variance application for lack of improved frontage and a reduced
front setback. The Planning Commission voted to recommended approval of the Public Lands
Permit as recommended by Staff; and
WHEREAS, the City Council reviewed the Public Lands Permit application at its October 28,
2014 meeting and determined that approval would allow the property to be used in a reasonable
manner; and
WHEREAS, in granting approval of the Public Lands Permit application, the City Council hereby
makes the following findings of fact:
The construction of driveway access and utility improvements to accommodate the
construction of a new, single - family home is viewed as favorable.
2. The City's rights related to the platted street can be maintained and continued.
NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of Mound, Minnesota, to
approve the Public Lands Permit as submitted by Justin Rock for 4730 Galway Road with the
following conditions:
Prior to commencing any site or land alteration activities, final construction plans for the
proposed driveway access and related utility installation work in the ROW shall be
subject to review and acceptance by the Public Works and Engineering Departments. A
hold harmless agreement, if needed, shall be prepared by the City Attorney along with
the submittal of financial security, in a form acceptable to the City to undertake work on
public property and to ensure that the improvements are installed to the satisfaction of
the Public Works Director, or designee.
-1814-
2. An encroachment agreement between the owner of the subject lot and the City will be
required for driveway access, and other improvements, in unimproved Galway Road. At
this time, it is unknown whether there are other property owners that may need to be a
party to the encroachment agreement. Documents shall be in recordable form and shall
also be required to be signed by any lien holder of record, and other involved parties, as
determined by the City Attorney, All fees incurred by the City related to the preparation
and execution of the agreement or other required document(s), as deemed necessary,
shall be the responsibility of the applicant.
3. Variance approval for the new house project.
Adopted by the City Council this 28th day of October 2014.
Attest: Catherine Pausche, Clerk
-1815-
Mayor Mark Hanus
CERTIFICATE
City of Mound
STATE OF MINNESOTA)
) SS
COUNTY OF HENNEPIN)
1, the undersigned, being duly qualified and the Clerk of the City of Mound, Minnesota, hereby
attest and certify that:
1. As such officer, I have the legal custody of the original record from which
the attached was extracted.
2. t have carefully compared said extract with said original record.
1 1 find said extract to be a true, correct and complete extract from the
original minutes of a meeting of the City Council of said City held on the date
indicated in said extract, including any resolution adopted at such meeting,
insofar as they relate to:
CITY OF MOUND
RESOLUTION NO. 14-92
RESOLUTION APPROVING VARIANCES FOR 4730 GALWAY ROAD
PLANNING CASE NO. 14 -23
19- 117 -23 -23 -0139
Said meeting was duly held, pursuant to call and notice thereof as required by law on the 28th
day of October, 2014.
WITNESS my hand officially as such Clerk, and the seal of said City, this 30" day of October,
2014.
Catherine Pausche, Clerk
CITY OF MOUND
RESOLUTION NO. 14-92
RESOLUTION APPROVING VARIANCES FOR 4730 GALWAY ROAD
PLANNING CASE NO. 14 -23
19- 117 -23 -23 -0139
WHEREAS, the applicant, Justin Rock, is proposing to construct a new single- family
dwelling on a vacant lot located at the intersection of Galway Road, which is unimproved
in this area, and Shannon Lane. The project also involves construction of a driveway
across the north % portion of unimproved Galway Road and other related improvements,
including, but not limited to, utility services, and
WHEREAS, the project requires variance approval as the existing, vacant lot lacks
frontage on an improved public street and the applicant is seeking a reduced front
setback for the proposed, single - family home to be constructed;
WHEREAS, in addition to the variances that are needed for the project, a Public Lands
Permit is also required to undertake improvements in unimproved Galway Road related
to driveway construction and utilities work; and
WHEREAS, the applicant submitted variance and public lands permit applications on
September 4, 2014 for the proposed project; and
WHEREAS, the current property owners, Richard and Connie Meyer, consented to the
applications; and
WHEREAS, details about the project are contained in Planning Report No. 14 -23 dated
October 3, 2014 and the applicant's submitted application and supporting materials; and
WHEREAS, the property is zoned RAA Single - Family Residential. Section 129 -101 of
the City Code contains the regulations for the R -1A District; and
WHEREAS, City Code Section 129 -39 (a) outlines the criteria for granting variances
which is provided below:
(a) Criteria. A variance to the provisions of this chapter may be granted, but is not
mandated, to provide relief to the landowner in those zones where this chapter imposes
practical difficulties to the property owner in the use of the owner's land. No use
variances may be granted. A variance may be granted only in the event that the
following circumstances exist:
(1) The variance proposed meets the criteria for Practical Difficulties as defined
in City Code Sub. 129 -2.
(2) Granting of the variance requested will not confer on the applicant any special
privilege that is denied by this chapter to owners of other lands, structures or
buildings in the same district nor be materially detrimental to property within the
same zone.
-1817-
(3) The variance requested is the minimum variance which would alleviate the
practical difficulty.
(4) A variance shall only be permitted when it is in harmony with the general
purposes and intent of the zoning ordinance and when the terms of the variance
are consistent with the comprehensive plan.
and
WHEREAS, according to City Code Sec. 129 -2, "Practical Difficulties" is defined as
follows:
Practical Difficufties, as used in conjunction with a variance, means that:
(i) The property owner proposes to use the property in a reasonable manner not
permitted by the zoning ordinance;
(ii) The plight of the landowner is due to circumstance unique to the property
including unusual lot size or shape, topography or other circumstances not
created by the landowner; and
(iii) The variance, if granted, will not alter the essential character of the locality.
Economic considerations alone do not constitute practical difficulties. Practical
difficulties include, but are not limited to, inadequate access to direct sunlight for
solar energy systems.
; and
WHEREAS, Staff recommended approval of the requested variances subject to
conditions; and
WHEREAS, the variance application was reviewed by the Planning Commission at a
meeting held on October 7, 2014 who voted, seven (7) in favor and one (1) opposed, to
recommend Council approval, with the conditions recommended by Staff, and an
additional condition that the portion of the new house needing a front setback variance
be revised to be a minimum of six (6) feet with a limit of 20% of the total lot length on the
south side; and
WHEREAS, the City Council reviewed the variance(s) application at its October 28,
2014 meeting and determined that approval would allow the property to be used in a
reasonable manner; and
WHEREAS, in granting approval, the City Council hereby makes the following findings of
fact:
1. The criteria of City Code Section 129 -39 (a) are being met.
2. The requested variances are for an existing lot of record.
3. The majority of the proposed new house meets the required 20 -foot front
setback.
4. The proposed structure is a 1 -story with walkout.
5. With the exception of the requested front setback variance, the proposed
new house will meet the other City Code requirements.
6. The lack of improved frontage on an improved street is an existing condition
and the variance requested is due to existing site characteristics that were
not created by the applicant.
7. The subject property includes varied topography and slopes downward
towards Lake Minnetonka.
8. Access to the property can be provided from the vicinity of the Galway Road
and Shannon Lane right of way.
9. There are no plans to improve Galway Road in the subject vicinity.
10. The existing house on the south side of unimproved Galway Road will be
located approximately 57 feet from the proposed new house.
11. The proposed house /pad has been placed to maintain neighbor views to the
lake.
NOW, THEREFORE, BE IT RESOLVED that the City Council of the City of Mound does
hereby approve the variances with the following conditions:
1. Applicant shall be responsible for payment of all costs associated with the land
use request.
2. No future approval of any development plans and /or building permits is included
as part of this action.
3. Applicant shall provide all required information upon submittal of the building
permit application.
4. Approval of the drainage plans, utility plans and proposed grades by the City
Engineer,
5. Impervious surface coverage on the property shall not exceed 40 percent and
shall be subject to the provisions of Sec. 129- 385(g)(2)a as allowed for existing
lots of record.
6. MCES Sewer Area Charge (SAC). The 2014/2015 MCES fee for a SAC unit is
$2,485.00. MCES charge will be collected at the time of building permit issuance
for the proposed new house.
7. City Water /Sewer Trunk Area Charges. The 2014 trunk water fee is $2,000.00
per lot and the 2014 trunk sewer charge is $2,000.00 per lot. Payment of trunk
water and trunk sewer charges will be collected prior to release of the building
permit and will be the amount in effect at the time the building permit is issued.
8. City Water 7 Sewer Connection Fees, The 2014 water connection fee is $240.00
and the 2014 sewer connection fee is $240.00. The water and sewer connection
fees will be collected at the time of building permit issuance for the new house to
be constructed and shall be the amount in effect at the time.
9. Minimum construction elevation shall be at or above the Regulatory Flood Project
Elevation of 933.0 or three feet above the ordinary high water mark of a wetland.
10. No materials shall be stockpiled in the 100 -year floodplain area(s). Staging and
stockpiling activities shall be coordinated in cooperation with the Mound Public
Works Department.
I 1. Applicant shall be responsible for procurement of any and/or all local or public
agency permits including, but not limited to, the submittal of all required
information prior to building permit issuance.
12. The applicant shall be responsible for recording the resolution with Hennepin
County. The applicant is advised that the resolution will not be released for
recording until all conditions have been met. No building permit will be issued
until evidence of recording of the resolution at Hennepin County is provided
unless an escrow of sufficient amount is on file with the City. The applicant may
also direct the City to record the resolution with the fees to be taken out of the
escrow.
13. Effective September 1, 2011, new Minnehaha Creek Watershed District (MCWD)
rules related to wetlands, floodplain, erosion control and others are in effect.
These rules are now under the jurisdiction of the MCWD as regulatory authority
and permitting was officially turned back to the District by the Mound City Council
on August 23, 2011. Applicant is directed to contact the MCWD related to the
new regulations and applicable permits that may be needed to undertake the
proposed project. Evidence from the MCWD in the form of a permit or waiver
must be provided before release of any future building permit.
14. Public Lands Permit approval for the project by the City.
15. The front setback of the proposed single - family home shall be at least six (6) feet
from the front property line, which is along unimproved Galway Road. The portion
of the home that can be located in the front setback area between 6 feet and 20
feet of the front property tine shall be limited to 20% of the total length of the front
property line.
The variances are hereby approved for the following legally described property:
Lots 15, 16, 17, & 18, Block 15,
SETON, Hennepin County,
Minnesota,
Hennepin County, Minnesota
Adapted by the City Council this 28t' day of October,
Attest: Catherine Pausche, Clerk
i
Mark Hanus, Mayor
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-1822-
APPENDIX B — STREET NAMES AND NUMBERS
Presenely,Vamed
To Be Named
Fairfield Drive
Fairfield Road
Fairview Drive
Fairview Lane
Fairwood Avenue
Pecan Lane
Fay Place
Essex Lane
Fern Croft Lane
Woodland Road
Fern Place
Fern Lane
Fern Street
Basswood Lane
Fernside Place
Femside Lane
First Avenue
Cypress Lane
Forest Lane
Pine Lane between Maple Rd. and Walnut Road
Franklin Place
Franklin Road
Galway Lane
Galway Road
Glamorgan Place
Galmorgan Road
Glasgow Lana
Glasgow Road
Glen Elyn Lane
Glen Elyn Road
Glen Road
Butternut Road
Glendale Drive
Avon Drive from Inwood Lane to Bartlett Boulevard
Glendale Drive
Glendale Road
Glenwood Drive
Glenwood Road
Gordon Lane
Gordon Road
Grandview Drive
Grandview Boulevard
Hawthorne Drive
Hawthorne Road between Dickens Lane and Tdlewood Road
Hawthorne Drive
Cherrywood Road between Ridgewood Road and Mwthorne
Road
Hawthorne Drive
Ridgewood Road between Westedge Boulevard and
Chenywood Rd.
Hazelwood Drive
Hazelwood Lane
- HickoryPtace
Hickory Lane
Hiddenvale Road
Hidden Vale Lane
FillcrestDrive
HillcrestRoad
Hillside Avenue
Hillside lane from Sparrow Rd, to Crescent Road
Holt Avenue
Holt Lane
Idlewilde Trail
Heron lane
Idlewilde, Drive
Idlewood Road
Inverness Road
Inverness Lane
Inwood Lane
Inwood Road
Ivy Street
Cedar Lane
Jack's Lane
Diamond Lane
CD8;17
-1822-
MEMORANDUM
Date: July 8, 2015
To: Honorable Mayor and City Council
From: Catherine Pausche, Finance Director /Clerk/Treasurer
Sarah Smith, Community Development Director
Subject: Rotary Request to Share in Legal Fees for Mound Harbor District Project
The City has been requested to consider sharing legal fees with the Rotary for the Mound Harbor
District Project. Legal fees to date as of 7/9/15 for the creation of the Limited Use Agreement amount
to $1,487.50. This project required quite a bit of research to cobble together each relevant parcel and
then to determine and describe the ownership interests for each. No additional legal fees in addition to
the LUA are anticipated unless problems arise in administering the agreement.
The Limited Use Agreement currently contains specific language that the project is to occur at no cost
to the Owner (City). The cost of insuring the Stillman sculpture is estimated to be $800 and that, along
with the legal fees, was higher than anticipated. The Rotary has requested that the Council consider
the public benefit of the project when deciding whether to contribute to the legal fees and also to
consider the reasonableness of the request in light of the entire scope of the project. Options to
consider (or some combination thereof) include amending the Limited Use Agreement to:
1) Add language that the Owners (City) will pay for the cost related to creating the Limited Use
Agreement as this document will be able to be repurposed in the future for other situations that arise
and was created primarily for the benefit of the City and that the Developer (Rotary) is responsible for
any other legal costs incurred by the City related to the Agreement.
2) Add language that the Owners (City) will pay half of all legal expenses incurred by the Owners
(City) with the other half to be paid by the Developer (Rotary) incurred by the City related to the
Agreement.
3) Add language that the Owners (City) will pay the first $XXX of legal expenses incurred by the City
as a result of the Limited Use Agreement and the Developer (Rotary) is responsible for all remaining
legal costs incurred by the Owners (City) related to the Agreement.
Staff requests the Council to provide direction on if and how to amend the Limited Use Agreement in
relation to the sharing of legal fees. Please let Sarah or Catherine know if you have any questions
regarding these matters at (952)472 -0604 or (952)472 -0633.
-1823-
E
• �I� Consulting Engineers & Surveyors
2638 Shadow Lane, Suite 200 • Chaska, MN 55318 -1172
Phone (952) 448 -8838 • Fax (952) 448 -8805
www.bofton- menk.com
July 8, 2015
Honorable Mayor and Members of the City Council
City of Mound
2415 Wilshire Boulevard
Mound, MN 55364
RE: 2014/2015 Sanitary Sewer Rehabilitation Project
City Project Nos. PW -14 -05 and PW -15 -06
Extra Work Order No. 1
Dear Mayor and Members of the Council:
Please find attached, proposed Extra Work Order No. 1 for the 2014/2015 Sanitary Sewer Rehabilitation
project. The contract for this project was awarded to Insituform Technologies USA, LLC on December 9,
2014 in the amount of $161,716.00 (including the alternate add -on) but work has not yet commenced. The
Extra Work Order will enable the City to have additional sewer pipe lining completed at the unit price bid
in the contract, which is considerably below what we had estimated prior to bidding.
In addition, the City has budgeted an annual amount of $150,000 for sewer pipe lining and this project
covers both 2014 and 2015, and therefore total available funding is $300,000. The Extra Work Order of
$36,907.00 (22.8% increase; less than 25 %, the maximum advisable increase) will result in a new total
contract amount of $198,623.00. Since there is still over $100,000 available in the City's budget, we are
in the process of preparing a proposal for receipt of quotes for more sewer pipe lining to take further
advantage of the current bidding climate for this type of work. We anticipate bringing a request to award
a contract for this additional work to the July 28" Council meeting.
It is our recommendation that the Council approve the attached resolution approving Extra Work Order
No. 1 at an increase in the contract amount of $36,907.00. The new Contract amount with Insituform
Technologies USA, LLC will be $198,623.
Sincerely,
BOLTON & MENK, INC.
Daniel L. Faulkner, P.E.
City Engineer
Cc: Eric Hoversten, Public Works Director
H:\ MOUN\ CI2108533 \I_Corres \E_Docs12015 -07 -08 Ltr to Council, EWO No. Ldoc
DESIGNING FOR A BETTER TOMORROW
Bolton & Menk is an equal opportunity employer
M
PROJECT:
BMI PROJECT NO.:
OWNER:
CONTRACTOR:
DESCRIPTION:
APPROVED:
ENGINEER:
CONTRACTOR:
201412015 Sanitary Sewer Rehabilitation
012.108533
City of Mound, Minnesota
Insituform Technologies USA, LLC
DATE: June 18,2015
WHEREAS, the City of Mound determined that additional lining Is necessary for reducing Inflow and infiltration in sanitary
sewer flows
WHEREAS, it was determined that these noted Improvements would be cost effectively constructed as pad of the
2014/2015 Sanitary Sewer Rehabilitation project;
WHEREAS, the Contractor requested a modest adjustment to Item No. i Mobilization and Item No. 2 Traffic Control and no
change in the contract unit prices for Item No. 3 Cured in Place Pipe and Item No, 4 Lateral Reinstatement (Any Size);
NOW THEREFORE, BE IT MUTUALLY AGREED THAT:
Article 4.02 of the 2014/2015 Sanitary Sewer Rehabilitation Agreement is hereby modified to change the dale of substantial
and final completion from July 31, 2015 to August 31, 2015.
Article 6.01 of the 2014/2015 Sanitary Sewer Rehabilitation Agreement Is hereby modified to Include the Items on the
attached Schedule of Unit Prices for sanitary sewer improvements.
Net Change In Contract
Previous Contract Amount
New Contract Amount
$36,907.00
$161,716.00
$198,623.00
Jana Lame, Contracting & Attesting Officer 06/24/15
CITY:
Name Title Date
SCHEDULE OF UNIT PRICES
Item
No
Description
Unit
Price
Of
Unit
Amount
ADDS:
i
2
3
4
MOBILIZATION 5 %MAXIMUM
TRAFFIC CONTROL
CURED IN PLACE PIPE (CIPEJ APPROXIMATELY 8" MEASU
LATERAL REINSTATEMENT ANY SIZE
$2.500.00
2,000.00
$20.50
90.00
0.25
0.25
1684
14
LUMP SUM
LUMP SUM
LIN FT
EACH
625.00
$500.00
34,522.00
$1,260.00
SUBTOTAL:
$36 907.00
Net "hanmae in Contmct
&36.907A0
Previous ConIMCI Amount
1161,716.00
New Cantraci Amount 1
$198.623.00
-1825-
CITY OF MOUND
RESOLUTION NO. 15-
RESOLUTION APPROVING EXTRA WORK ORDER NO. 1, 2014/2015 SANITARY SEWER
REHABILITATION PROJECT — CITY PROJECT NOS. PW- 14 -05, PW -15 -06
WHEREAS, Resolution 14 -103 awarded the contract for the 2014/2015 Sanitary Sewer Rehabilitation
Project to Insituform Tech USA in the amount of $161,716.00 (including Alternate Add -on); and
WHEREAS, many of the City's sanitary sewer lines are in need of pipe line rehabilitation to lessen the
amount of clean water infiltration; and
WHEREAS, the City has budgeted an annual amount of $150,000 to address the inflow and infiltration
problem and the current contract covers a two -year period; and
WHEREAS, the City's contractor, Insituform Technologies USA, LLC has agreed to increase the
quantity of sewer lining at their current contract unit price; and
WHEREAS, Extra Work Order No. 1 has been prepared, signed by the contractor and submitted to the
City for approval;
NOW, THEREFORE BE IT RESOLVED by the City Council of the City of Mound, Minnesota:
That Extra Work Order No. 1, attached to this Resolution, totaling $36,907.00 is hereby approved and
further, the new total contract amount is increased from $161,716.00 to $198,623.00
Adopted by the City Council this 1411 day of July 2015.
Attest: Catherine Pausche, City Clerk
Mayor Mark Wegscheid
-1826-
MEMORANDUM
DATE: July 9, 2015
TO: Mayor Wegschied
City Council Members
FROM: Kandis Hanson, City Manage
RE: Dakota Regional Trail Safety Meeting
At the request of Council Member Jennifer Peterson, which was supported by Mayor Mark
Wegscheid, there was a meeting of the interested parties regarding trail safety on the Dakota
Regional Trail as it passes through Mound. The meeting was held on Weds, July 1, 2015, and
improving crossing safety at County Road 15 was the emphasis.
Meeting attendees included Three Rivers Park District staff, Hennepin County Transportation
staff, and Mound staff.
After much discussion and brainstorming as to what would be feasible, the following short-term,
near -term and long -term measures were stated:
Short -Term
Education by way of news articles in local papers, City of Mound news letter**, and City
website. Additionally, City staff have asked for assistance from Spring Park and Minnetrista,
being contiguous to Mound, to help with the education piece. The City Contact will be delivered
the last week in July to 4,000 readers:
Contact
Drivers and Trail Users - Rules of the Road. On a more serious note, I would like to offer
safety advice to drivers and bicyclists as they pass through Mound. Bicycles are legal vehicles
on Minnesota roads and bicyclists have the same rights as motorists. This means they share
equally the responsibilities of bicycle safety and reducing bicycle/ motor vehicle crashes. The top
factor contributing to these crashes is failure of both bicyclists and motorists to yield the right -of-
way.
-1827-
Trail Crossing Safety Tips for Bicyclists: Comply with posted STOP signs and yield the right -of-
way to motorists; wait for a gap in traffic to safely cross.
Trail Crossing Safety Tips for Motorists: If you're driving a motor vehicle and reach a trail
crossing, do not stop and "wave through" trail users. Your attempt to be courteous is actually
contrary to posted trail signs which tell bicyclists and others to stop and yield to traffic. Stopping
may also confuse other motorists and reduce visibility for everyone. Specific trail crossings in
Mound where these state laws apply are at Shoreline Drive, Commerce Drive, Fairview Lane,
and Montclaire Lane.
Near -Term
Examine possibilities for public awareness events with Orono Police Department, Three Rivers
Police and Hennepin County Public Safety in which they would stop drivers and trail users to
educate. Possibly include carefully crafted, coordinated LED message board usage in area on
trail and roadway. Additionally, install some of the trail signage to warn riders of non - stopping
cross traffic. Look at crossing alignment and barricading that may prevent direct /unchecked
crossings.
Long -Term
Evaluation of a road -way redesign that would narrow the road to two lanes instead of four (plus
turn lanes), which acts as a traffic - calming measure. This timed especially as development
occurs at the Harbor District, which will add additional traffic conflicts (cars, including valet
parking; pedestrians; bikes, etc). Make this a design component for the Harbor District when in
the earliest stages of design.
Topic will be introduced by Council Member Jennifer Peterson and discussion will be led by
City Manager Kandis Hanson. Additional viable ideas by Council Members are welcome.
Thank you.
FAA
CITY OF MOUND
2415 Wilshire Boulevard, Mound MN 55364
Ph 952- 472 -0600 Fax 952- 472 -0620
www.citvofmound.com
July 8, 2015
Honorable Mayor and Members of the City Council
City of Mound
2415 Wilshire Boulevard
Mound, MN 55364
RE: City Comments on 2015 Minnehaha Creek Watershed District (MCWD) Capital
Investment Plan (CIP)
The City has been afforded opportunity to comment on the attached email executive
summary of the MCWD CIP and project list. The summary lays out the general nature of
MCWD capital expenses against Focus and Response expense tracks. Presently,
MCWD does not project any investment within Mound. However, the increase in project
cost -share funds under the Responsive Track from $500K to $1M may prove beneficial
in the near -term considering several initiatives on the horizon that may impact the
watershed. It is difficult to distinguish cost share from "collaborations" in the Focus
Track which may be more appropriate for several of these future development
opportunities: Wolner Field pervious parking lot repair, maintenance of Lost Lake
Channel, and the number of emerging downtown development opportunities.
I assume that the 2015 budget is already locked and set and in motion. I would
recommend concurring with the specific plan for 2016 — 2018 with a comment holding
open opportunity to inject requirements relevant to the above as they develop — Wolner
Field most likely the soonest to emerge.
Sincerely,
ric Hoversten
Public Works Director
crichoversten@cityofmound.com
952- 472 -0636
Enc: MCWD CIP Exec Summary and Project List
FW Annual Review of MCWD Capital Improvement Plan
subject: FW: Annual Review of MCWD Capital Improvement Plan
Attachments: MCWD Revised Draft CIP_5- 26- 15.pdf
From: Becky Christopher [ mailto: Bchristopher @minnehahacreek.org]
Sent: Friday, rune 19, 2015 5:09 PM
subject: Annual Review of MCWD Capital Improvement Plan
Dear city and County Administrators, Mayors, and staff,
As it does each year at this time, the Minnehaha Creek watershed District (MCWD or
District) is
distributing its revised Capital Improvement Plan (cIP) for your review and comment.
Your input on
the revised draft CIP is valuable in helping to identify new opportunities to work
together to protect
and improve water resources.
This year's draft CIP reflects the District's "Two- Track" approach for project and
program
implementation. This approach is intended to allocate District resources to their
highest and best use
in addressing water resource issues throughout the watershed and allow for improved
integration
with community land use planning.
Focus Track: This track prioritizes projects, staff and financial resources
to high need areas
within the District in order to make significant, lasting improvements to the most
sensitive
water challenges in the watershed.
Responsive Track: The District continues to remain responsive to needs and
opportunities
District -wide through project partnerships, grant funding, education programming,
permitting
assistance, aquatic invasive species prevention, and other District resources.
As reflected in the draft CIP, the District's current priority areas under the Focus
Track are the
Minnehaha Creek Greenway and the six Mile creek subwatershed. These areas have been
identified
as priorities based on factors including water resource needs and impairments, scale
and complexity of
the subwatersheds, opportunities created by development and redevelopment, and local
partnerships and support.
The Responsive Track of the CIP includes projects District -wide that are being
developed in response
to community requests or opportunities. These include Cost share grant projects,
flood damage
repairs, and capital projects such as the Highway 101 Causeway shoreline
improvements. we
encourage cities and counties to approach the District with project opportunities
that may be
incorporated into the CIP based on timing, alignment with District goals, and
available funding.
This list includes all projects that are currently in development and have potential
to move forward
dependent on further analysis, community support, and securing of land rights and
funding. In the six
Page 1
1
FW Annual Review of MCWD Capital Improvement Plan
Mile creek subwatershed, the District will be initiating a process later this year
to develop a strategic
implementation plan for the area in coordination with the municipalities, counties,
Three Rivers Park
District, and the public. This process will refine the prioritization and timing of
specific projects.
Another change to this year's CIP is the addition of the "Funding sources" column to
reflect the
District's efforts to diversify funding sources beyond the District levy. Keep in
mind that "cost
estimates" listed in the CIP do not reflect the true budget or levy projections, as
they do not account
for a variety of funding sources: carryover from past years, projects levied over
multiple years, or
outside funding from grants and project partners.
The draft CIP can be found on the District website at:
http: / /www.minnehahacreek.org /CIP. You are
invited to submit comments on the proposed draft CIP as well as suggestions for how
the District can
better integrate its water resource improvement efforts with project and land use
planning in your
community. Comments received will be compiled and presented to the MCWD Board of
Managers for
review prior to approval of the CIP. Please submit comments via mail or email
(provided below) no
later than 3uly 20, 2015.
sincerely,
Becky Christopher
Lead Planner & Project Manager
Minnehaha Creek Watershed District
15320 Minnetonka Blvd., Minnetonka, MN 55345
952- 641 -4512 11 www.minnehahacreek.org
Page 2
-1831-
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Harbor Wine & Spirits June 2015
Date Weather Cust 15 Cust14 Variance 2015 2014 Difference +/-
6/1/2015 sun 70s 316 316 6523.24 6523.24
6/2/2015 sun 75 343 325 18 7650.88 7097.08 553.8
6/3/2015 rain 70s 284 363 -79 6131.79 7119.12 - 987.41
6/4/2015 DREARY 72 296 357 -61 6953.5 7406.43 - 452.93
6/5/2015 sun mid 70s 670 328 342 16336.21 6591.37 9744.84
6/6/2015 sun mid 70s 715 669 46 17659.72 17330.6 329.12
6/7/2015 589 14277.13
6/8/2015 sun to 80s 333 333 6595.78 6595.78
6/9/2015 sun 90 369 300 69 7901.11 5585.48 2315.63
6/10/2015 sun hi 70s 323 377 -54 6383.32 8274.45 - 1891.13
6/11/2015 rain 72 332 371 -0.39 8231.38 7813.28 418.1
6/12/2015 sun 78 724 319 405 18521.7 7455.76 11065.94
6/13/2015 cloudy 80 647 685 -38 15755.38 18285.73 - 2530.35
6/14/2015 650 18467.12
6/15/2015 sun 74 317 317 5744.39 5711.39
6/16/2015 ovrest 70 314 318 -4 6398.41 6166.62 231.79
6/17/2015 ovrest 70 315 378 -63 6625.73 7380.87 - 755.14
6/18/2015 sun 78 353 321 32 6977.61 6187.4 790.21
6/19/2015 pt sun 80 628 299 329 16673.78 6483.88 10189.9
6/20/2015 sun to 80s 712 688 24 18850.52 17084.79 1765.73
6/21/2015 755 19489.77
6/22/2015 sun /rain 84 314 314 6493.45 6493.45
6/23/2015 sun 82 338 346 -8 6690.05 6241.02 449.43
6/24/2015 sun to 80s 356 334 22 7190.95 6629.96 560.99
6/25/2015 sun 82 373 307 66 7944.43 6247.17 1697.26
6/26/2015 sun/ It rain 83 653 350 303 16886.47 7632.01 9254.46
6/27/2015 sun 83 769 597 172 20065.38 14536.59 5528.79
6/28/2015 621 16357.78
6/29/2015 pt sun 82 361 361 8590.79 8590.79
6/30/2015 sun 80 354 340 14 8725.18 7515.6 1209.58
TOTALS 11509 10647 522 268501.2 255671 12830.14
-1833-
Proudly serving the communities ofMinnetonka Beach,
Mound, Orono and Spring Park
Date: Saturday, July 11, 2015
Time: 9 a.m. to 1 p.m.
Location: 2730 Kelley Parkway, Orono, Minnesota
Police Station •
Car Seat Clinic
Public Safety Vehicle Display
K9 Demonstration
Air Care Helicopter
-1834-
Good afternoon-
I am writing again to object to the vacation of the north 15 feet of undeveloped Galway lane adjacent to
my property. I understand there is a city council meeting on Tuesday and hope to be in attendance. In
preparation for this meeting I again ask the following:
1) was information missing from the original disclosure documents which has made develop,net of the
originally submitted drawing not possible
2) 1 continue to be concerned about the out right ignoring of requests made to new property owner
A. It is my understanding there was to be no clearing of land around the protected wetland. Per
attached photo, property was once again mowed. Who determines what /where mowing can take
place. This appears to be disregard for previous cease and desist.
B. According to Mr Simon owner was notified not to use undeveloped road as driveway and access to
parking. Attached photos illustrate vehicles are still driving down and parking.
3) If the 15' is vacated what's next- variance to replant wetland in order to have more yard?
4) this action will set precedent. If a decision to vacant north 15' than discussion should broaden to
complete vacation of undeveloped Galway. As current homeowners we too would like more ground
cover to enhance property.
our neighborhood is being impacted adversely by the tension created by this proposal. I would urge
your strong consideration of these comments and quick resolution. We all need to move beyond this
and get back to enjoying the privilege of access to lake Minnetonka and all that comes with it.
Kind regards,
Linda muller
July 14, 2015 City Council Meeting
Agenda Item No. 7 Pages 1779 -1822
Additional Information
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