2016-01-12 CC Agenda PacketPLEASE TURN OFF ALL CELL PHONES & PAGERS IN COUNCIL CHAMBERS.
CITY OF MOUND MISSION STATEMENT: The City of Mound, through teamwork and cooperation, provides at a reasonable
cost, quality services that respond to the needs of all citizens, fostering a safe, attractive and flourishing community.
AGENDA
MOUND CITY COUNCIL TUESDAY, JANUARY 12, 2016 - 7:00 PM
ANNUAL 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. Opening meeting
2. Pledge of Allegiance
3. Approve agenda, with any amendments
4. *Consent Agenda
*A. Approve payment of claims 1-44
*B. Approve minutes:
Dec 8, 2015 Regular Meeting 45-48
Dec 15, 2015 Special Meeting - Emergency Training & Sewer Update 49-52
*C.
Adopt a resolution appointing Heidi Gesch as Acting Mayor for 2016
53
*D.
Adopt a resolution appointing City Council Members as Representatives
54
of the City Council to Committees and Commissions for 2016
*E.
Adopt a resolution appointing Catherine Pausche as the Acting City
55
Manager for 2016
*F.
Adopt a resolution appointing Field Officer Stewart Simon as Assistant
56
Weed Inspector for 2016
*G.
Adopt a resolution approving the purchase of at least a $20,000 bond
57
for the Finance Director/Clerk/Treasurer
*H.
Adopt a resolution designating the Official Depositories for 2016
58
*I.
Adopt a resolution designating The Laker as the Official Newspaper
59
for 2016
*J.
Approve request for commercial kennel license for Mound Emergency
60
Management Division, waiving the fee
*K.
Approve resolution making selection not to waive the statutory tort limits for
61
liability insurance purposes
*L. Set Joint Special Meeting Workshop of the Mound Planning Commission and
City Council, for the purpose of discussing Planning Commission 2016 Work Plan
and Projects: Feb 16, 2016, 7:00 pm
PLEASE TURN OFF ALL CELL PHONES & PAGERS IN COUNCIL CHAMBERS.
*M. Confirm Open Book meeting by Hennepin County Assessors for May 4, 2016 62
from 5:00 pm to 7:OOpm to be located at the Centennial Building, 5341 Maywood
Road, Mound
*N. Approve resolution approving public lands permit for selective tree removal, vacant 63-71
city lot, PID 23-117-24-34-0103 IVO 6168 Sinclair Ct
*O. Approve resolution authorizing staff to direct consultant to migrate existing GIS 72-77
data display applications to HTMLv compatibility
*P. Approve Pay Request No. 5 from Midwest Asphalt Corporation in the amount of 78-80
$33,970.10 for the 2014 Street, Utility and Retaining Wall Improvements —
West Three Points Blvd. Street, City Project No. PW -14-01
*Q. Approve payment of invoice from American Engineering Testing in the amount 81-83
of $7,195.00.00 for geotechnical investigative services and report for, Bartlett
Boulevard, City Project No. PW -16-01, Tuxedo Boulevard, Phase II, City Project
No. PW -16-02 and Cypress/Maywood, City Project No. PW -16-03
*R. Approve Resolution requesting an Advance of Municipal State Aid funds for the 84-86
Construction of designated State Aid routes: Bartlett Boulevard from Wilshire
Boulevard to Shoreline Boulevard and Cypress Lane/Maywood Road from
Shoreline Boulevard south to Maywood Road and from Wilshire Boulevard west to
Cypress Lane
5. Comments and suggestions from citizens present on any item not on the
agenda. (Limit to 3 minutes per speaker.)
o. Action to approve minutes from December 17, 2015 special meeting. 87-88
Community Development Director Sarah Smith requesting discussion/action on 89-107
conditional use permit violation(s) at 4831 Shoreline Drive (Main Street Auto)
8. Information/Mi scellaneous
A. Comments/reports from Councilmembers
B. Reports: Finance: YTD Nov 2015 108-110
C. Minutes: Planting Commission - Dec 1, 2015 111-115
D. Correspondence: Letter from Mediacom re: rate changes 12-16-15 116-117
Letter from Met Council re: 2016 City I/1 Program 12-17-15 118
Letter from MMCD re: 2015 mosquito control 11-6-15 119-120
Letter from CenterPoint Energy re: proposed rate increase 8-3-15 121-123
9. Adjourn
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: iigvu.citvo/mound com.
COUNCIL BRIEFING
JANUARY 129 2016
Upcoming Events Schedule: Don't Forget!!
Jan 26 -- 6:55 -- HRA regular meeting
Jan 26 -- 7:00 -- CC regular meeting
Feb 9 -- 6:55 -- HRA regular meeting
Feb 9 -- 7:00 -- CC regular meeting
Feb 16 -- 7:00 -- Joint Planning Commission/City Council Meeting
Feb 23 -- 6:55 -- HRA regular meeting
Feb 23 -- 7:00 -- CC regular meeting
Feb 25 -- 6:30 -- Volunteer Recognition Event at the Gillespie Center
Mar 5 -- 5:00 to 8:00 pm -- Moonlight Trail Night
Mar 8 -- 6:55 -- HRA regular meeting
Mar 8 -- 7:00 -- CC regular meeting
Mar 13 -- Daylight Savings Time Begins
Mar 22 -- 6:55 -- HRA regular meeting
Mar 22 -- 7:00 -- CC regular meeting
Apr TBD -- 6:30 -- Department Heads Annual Reports to the City Council
City Offices Closed
Jan 18 Martin Luther King Day
Feb 15 President's Day
City Official's Absences
Please notify the City Manager in advance of an absence. Some votes require more than a simple
majority and Staff needs to plan accordingly.
Inquire in advance, please......
Council members are asked to call or email their questions in advance of a public meeting so that more
research may be done or additional information may be provided that will assist in your quality decision-
making.
Cott' Of Mound Owoms 01-12=16
YEAR BATCH NAME DOLLAR AMOUNT
2015 NOV15ELANCC $ 3,244.90
2015 DEC15ELANCC 5,916.49
2015
NOV15HOISING
$
1,186.15
2015
121615CTYMAN
$
1®362.95
2015 121715CTYMAN $ 721P297.68
2015
TRI -K121815
$
339.99
2015
121715CTY2
$
4,277.88
2015
121815CTYMAN
19,464.98
-1-
Page 2
City of MoundClaims 01-12-16
2015 122115HWS $ 3,363.63
2015 _. ; •.
2015
122815HWS
$
87,542.98
2015
123015CTYMAN
$
3,290.24
2015
2015CITY-API
$
48,964.80
2016 010716CTYMAN $ 32.75
�TOTAL CLAIMSI$ 268,748.10
-2-
CITY OF MOUND
Payments
Current Period: December 2015
Fa "
Batch Name NOV15ELANCC User Dollar Amt $3,244.90
Payments Computer Dollar Amt $3,244.90
$0.00 In Balance
Refer 11 ELAN CREDIT CARD Ck# 054050E 12/30/2015
Cash Payment E 101-41310-431 Meeting Expense COOKIES & CIDER FOR 10/29/15 ALL STAFF
MTG
Invoice 11232015 10/28/2015
Cash Payment E 609-49750-409 Other Equipment Repair
Invoice 11232015 10/16/2015
Cash Payment E 101-43100-434 Conference & Training
Invoice 11232015 10/29/2015
Cash Payment E 101-43100-434 Conference & Training
Invoice 11232015 10/29/2015
Cash Payment E 101-43100-455 Permits
Invoice 11232015 10/13/2015
Cash Payment E 609-49750-500 Capital Outlay FA
Invoice 11232015 10/28/2015
Cash Payment E 101-43100-434 Conference & Training
Invoice 11232015 10/29/2015
Cash Payment E 222-42260-200 Office Supplies
Invoice 11232015 10/6/2015
Cash Payment E 222.42260-434 Conference & Training
POSITIVE PROMOTIONS- VACUUM
CLEANER REPAIR- HWS
AMERICAN PUB WRKS ASSOC MN
CHAPTER FALL CONF REGISTRATION- R.
HANSON NOV 19-20 BROOKLYN CENTER
AMERICAN PUB WRKS ASSOC MN
CHAPTER FALL CONF REGISTRATION- R.
HANSON NOV 18TH BROOKLYN CENTER
ROAD PERMIT HENNEP CTY 10-13-15
MERCHANTWAREHOUSE.COM- 2 CHIP
READING REGISTER CREDIT CARD
PROCESSING TERMINALS- HWS
AMERICAN PUB WRKS ASSOC MN
CHAPTER FALL CONF REGISTRATION- E.
HOVERSTEN NOV 18TH BROOKLYN CENTER
AMAZON.COM- TWO-SIDED CD/DVD PAGES
FOR 3 -RING BINDER- 10 PK- FIRE DEPT
COMFORT INNS- DULUTH LODGING MN
STATE FIRE CHIEFS CONF- G. PEDERSON
12/30/15 2:25 PM
Page 1
$19.97
$87.91
$245.00
$150.00
$215.00
$1,331.50
$150.00
$17.90
$513.81
Invoice 11232015 10/29/2015
Cash Payment E 222-42260-434 Conference & Training COMFORT INNS- DULUTH LODGING MN $513.81
STATE FIRE CHIEFS CONF- G. PALM
Invoice 11232015 10/29/2015
Transaction Date 12/6/2015 Wells Fargo 10100 Total $3,244.90
R Fund Summary
10100 Wells Fargo
101 GENERAL FUND $779.97
222 AREA FIRE SERVICES $1,045.52
609 MUNICIPAL LIQUOR FUND $1,419.41
$3,244.90
Pre -Written Check $3,244.90
Checks to be Generated by the Computer $0.00
Total $3,244.90
-3-
CITY OF MOUND
Payments
Current Period: December 2015
12/30/15 2:47 PM
Page 1
;,,m�.�� : .. ,",.a.�uiL,�,:x.4§• Fes"`APs.'.."AFL{"'Sii`°.u+:'E""�„"z"�a3v�::. .:i'�`ft..dl�Ta�"iX.'.
Batch Name DEC15ELANCC User Dollar Amt $5,916.49
Payments Computer Dollar Amt $5,916.49
$0.00 In Balance
Refer 12 ELAN CREDIT CARD Ck# 054051 E 12/30/2015
Cash Payment E 101.41500.430 Miscellaneous HOLIDAY STATIONSTORES- GAS FOR CITY $26.69
CAR -TAURUS
Invoice 122315 11/4/2015
Cash Payment E 101-41500434 Conference & Training MN GOVT FINANCE OFFICERS ASSOC- $15.00
NOVEMBER MONTHLY MTG-C. PAUSCHE
Invoice 122315
11/17/2015
Cash Payment
G 101-13100 Due From Other Funds
Invoice 122315
11/18/2015
Cash Payment
G 101-13100 Due From Other Funds
Invoice 122315
11/20/2015
Cash Payment
E 602-49450-212 Motor Fuels
Invoice 122315
11/13/2015
Cash Payment
E 101-43100-220 Repair/Maint Supply
Invoice 122315
11/4/2015
Cash Payment
E 101.43100-224 Street Maint Materials
Invoice 122315 11/4/2015
Cash Payment E 10141110-430 Miscellaneous
Invoice 122315 11/17/2015
Cash Payment E 609-49750-200 Office Supplies
Invoice 122315 11/4/2015
Cash Payment E 609.49750-200 Office Supplies
Invoice 122315 11/8/2015
Cash Payment E 222-42260-210 Operating Supplies
Invoice 122315 11/4/2015
Cash Payment E 222-42260-210 Operating Supplies
Invoice 122315 11/9/2015
Cash Payment E 222-42260-200 Office Supplies
Invoice 122315 11/7/2015
Cash Payment E 222-42260-434 Conference & Training
Invoice 122315 11/12/2015
CUB FOODS- COOKIES FOR NOV 2015 $2097
RESIDENT MTG- INDIAN KNOLL MANOR
USMARKERBOARD- 11"X 8.5" SNAP $174.84
FRAME - INDIAN KNOLL MANOR
HOLIDAY STATIONSTORES GAS PUB WKS $47.63
VEHICLE
Project 15-3
CD PRO POWER CORDS- 160 MISC - $1,107.00
EXTENSION CORDS- STREETS DEPT
MYTARRCOM 30'X 30' VINYL COATED $2,278.43
HEAVY DUTY TARP- STREETS DEPT, 4 QTY
24'X 36"' BLACK HEAVY DUTY TARPS
FTD BLOOMS TODAY- ROSE FLORAL $80.96
BOUQUET- M.MACKRES'FATHER FUNERAL
ARRANGEMENT
OFFICE DEPOT- ASTROBRITE PAPER, 654 $38.60
PAPER -HWS
OFFICE DEPOT- PLANNER REFILL PAGES, $73.43
PLASTIC DIVIDER SHEETS, PROTECTOR
SHEETS- HWS
OUR DESIGNS.COM 10 QTY 2" HAZ MAT $31.75
OPERATIONS DECALS FIRE DEPT
AMAZON MARKETPLACE- I PHONE I PAD $31.98
USB CABLES- CHARGE CORD- 2 QTY FIRE
DEPT
AMAZON.COM 2-OFFICEMATE SLIM $18.68
CLIPBOARD STORAGE BOXES- FIRE DEPT
PIER HOUSE 60 CLEARWATER FL- $567.84
LODGING FIRE CHIEF SYMPOSIUM NOV i 1-
14 G. PEDERSON
ME
CffY OF MOUND
Current Period: December 2015
12/30/15 2:47 PM
Page 2
Cash Payment E222-42260-434 Conference & Training PIER HOUSE 60 CLEARWATER FL- $567.84
LODGING FIRE CHIEF SYMPOSIUM NOV 11-
14 G. PALM
Invoice 122315 11/12/2015
Cash Payment E 222-42260.434 Conference & Training
Invoice 122315 11/17/2015
Cash Payment E 222.42260-210 Operating Supplies
Invoice 122315 11/25/2015
Cash Payment E 222-42260-210 Operating Supplies
Invoice 122315 11/25/2015
Cash Payment E 101.45200-210 Operating Supplies
Invoice 122315 11/13/2015
Cash Payment E 222-42260-434 Conference & Training
Invoice 122315 11/12/2015
Cash Payment E 101-45250-210 Operating Supplies
SQ PRECISION SEDAN TRANSPORTATION- $74.75
CLEARWATER FL FIRE CHIEFT SYMPOSIUM
NOV 11-14 G. PALM
AMAZON.COM 3 APPLE DUAL USB PORTS $20.97
PORTABLE CAR CHARGER FOR I PADS -
FIRE DEPT
AMAZON.COM CALIFORNIA CAR DUSTER $21.44
W/ WOODEN HANDLE FIRE DEPT
OSI -UNITED STATES FLAG- ILLUMINATION $99.90
LIGHTS- 2- PARKS DEPT
OVER BILL -PIER HOUSE 60 CLEARWATER $567.84
FL- LODGING FIRE CHIEF SYMPOSIUM --
CREDIT TO COME ON NEXT MONTH'S STMT
OSI -UNITED STATES FLAG- ILLUMINATION $49.95
LIGHT- CEMETERY
Invoice 122315 11/13/2015
Transaction Date 12/29/2015 Wells Fargo 10100 Total $5,916.49
Fund Summary
101 GENERAL FUND
222 AREA FIRE SERVICES
602 SEWER FUND
609 MUNICIPAL LIQUOR FUND
10100 Wells Fargo
$3,853.74
$1,903.09
$47.63
$112.03
$5,916.49
Pre -Written Check $5,916.49
Checks to be Generated by the Computer $0.00
Total $5,916.49
-5-
CITY OF MOUND 12/17/153:04 PM
Page 1
Current Period: December 2015
lial,
Batch Name NOV15HOISING User Dollar Amt $1,186.15
Payments Computer Dollar Amt $1,186.15
$0.00 In Balance
Refer 11 HOISINGTONKOEGLERGROUP, I _
Cash Payment E 101-42400-300 Professional Srvs MISC PLANNING SVCS NOV 2015 $539.50
Invoice 007-001-90 12/4/2015
Cash Payment G 101-23343 PC -15-22 2855 CAMBRIDGE 2855 CAMBRIDGE WAIVER MISC PLANNING $352.75
SVCS NOV 2015
Invoice 015-015-8 12/4/2015
Cash Payment G 101.23344 PC15.23 1732 CANARY KO 1732 CANARY LN VARIANCE MISC $293.90
PLANNING SVCS NOV 2015
Invoice 015-015-8 12/4/2015
Transaction Date 12/17/2015 Wells Fargo 10100 Total $1,186.15
Fund Summary
10100 Wells Fargo
101 GENERAL FUND $1,186.15
$1,186.15
Pre -Written Check $0.00
Checks to be Generated by the Computer $1,186.15
Total $1,186.15
0
CITY OF MOUND
Payments
Current Period: December 2015
Batch Name 121615CTYMAN User Dollar Amt $1,362.95
Payments Computer Dollar Amt $1,362.95
Refer 33 TRUE VALUE HWS
Cash Payment E 609.49750-210 Operating Supplies
Invoice 130405 11/19/2015
Cash Payment E 609-49750-210 Operating Supplies
Invoice 130420 11/20/2015
Cash Payment E 60949750-210 Operating Supplies
Invoice 130801 12/5/2015
Transaction Date 12/15/2015
12/15/15 4:06 PM
Page 1
$0.00 In Balance
5 SHEETS CUT GLASS, SPARKLE CLEANER, $84.46
MOP HEAD, BOWL CLEANER, SCREWS,
NUTS BOLTS
LG TRASH BAGS, SCREWS, NUTS BOLTS $15.96
60 YD 3 PK TAPE, CLEAR TAPE 6 YD, MOP $48.69
HEADS, JANITOR MOP STICK
Wells Fargo 10100 Total $149.11
Refer
34 TRUE VALUE MOUND (FIRE) _
Cash Payment
E 222.42260.409 Other Equipment Repair 2 PK HINGES- RESCUE #11
Invoice 130487
11/23/2015
Transaction Date
12/15/2015 Wells Fargo 10100
Refer
35 TRUE VALUE, MOUND (PW PKS) _
$6.74
Total $6.74
Cash Payment E 101.43100-210 Operating Supplies 100 CT CLEAR LIGHT SET- TREE LIGHTING -
75 QTY
Invoice 129926 11/2/2015
Cash Payment E 101-43100-210 Operating Supplies
Invoice 129963 11/3/2015
Cash Payment E 101.43100-210 Operating Supplies
Invoice 129970 11/3/2015
Cash Payment E 101-43100-210 Operating Supplies
Invoice 130002 11/4/2015
Cash Payment E 60149400.210 Operating Supplies
Invoice 130032 11/52015
Cash Payment E 10143100-210 Operating Supplies
Invoice 130108
11/9/2015
Cash Payment
E 10143100.210 Operating Supplies
Invoice 130117
11/9/2015
Cash Payment
E 10143100.210 Operating Supplies
Invoice 130146
11/102015
Cash Payment
E 10143100.210 Operating Supplies
Invoice 130198
11/122015
Cash Payment
E 101-45200-220 Repair/Maint Supply
Invoice 130224
11/12/2015
Cash Payment
E 10143100.210 Operating Supplies
Invoice 130236 11/132015
,,Cash Payment E 10143100-210 Operating Supplies
Invoice 130261 11/14/2015
Cash Payment E 10143100-210 Operating Supplies
Invoice 130303 11/16/2015
6" DIAGONAL PLIERS
100 CT CLEAR LIGHT SET- TREE LIGHTING -
48 QTY
3 OUTLET ADAPTER, TRITAP ADAPTER -
TREE LIGHTING
SCREWS, NUTS, BOLTS- MAG SOCKET
100 CT CLEAR LIGHT SET- TREE LIGHTING -
24 QTY
ELECTRIC TAPE- TREE LIGHTING
3 OUTLET ADAPTER- TREE LIGHTING
3/8 X 100' SAXON GP ROPE
GAL 50 RV ANTIFREEZE GLEND
C7 & C9 CLEAR REPLACEMENT BULBS -
TREE LIGHTING
C7 CLEAR REPLACEMENT BULBS -TREE
LIGHTING
ELECTRIC TAPE 3/4 X 60'
-7-
$299.25
$10.78
$191.52
$105.47
$6.83
$95.76
$8.95
$42.98
$15.29
$8.37
$28.95
$22.67
$3.58
CITY OF MOUND 12/15/15 4:06 PM
Page 2
Payments
Invoice 130497 11/232015
Cash Payment
Current Period: December 2015
200'2/0 DBL LOOP CHAIN
$27.52
Invoice 130519
11/242015
Cash Payment
E 101-41910-220 Repair/Maint Supply
GE 2PK 90W FLOOD LIGHTS
$46.78
Invoice 130317
11/17/2015
Invoice 130532
11/242015
Cash Payment
E 101-45200-220 Repair/Maint Supply
200'2/0 DBLLOOP CHAIN, FG EYE, FG
$5.45
SCREWS, NUTS, BOLTS
$1.34
BREECHING SNP
11252015
Invoice 130333
11/17/2015
Cash Payment
E 10145200-220 Repair/Maint Supply
Cash Payment
E 101-45200-220 Repair/Maint Supply
10 OZ SUB FLOOR ADHESIVE
$32.36
Invoice 130344
11/182015
Transaction Date
12/152015
Cash Payment
E 101-45200-220 Repair/Maint Supply
JIG SAW BLADES, ANTI RUST CSTM WHT
$128.54
PAINT, YEL EXTENSION CORD, SWITCH
COVER, OUTLET BOX, OUTLET,
CONNECTORS, PAINT TRAYS- PARKS
Invoice 130350
11/18/2015
Cash Payment
E 60249450-210 Operating Supplies
HEX SOCKET, LYSOL WIPES, GLADE SPRAY
$18.86
Invoice 130352
11/18/2015
Cash Payment
E 101.43100-210 Operating Supplies
8 OUTLET BLK POWER CENTER- TREE
$20.69
LIGHTING
Invoice 130368
11/182015
Cash Payment
E 101-45200-220 Repair/Maint Supply
SS CLAMP, GALV HEX BUSHING, 2" POLY
$18.40
FPT ADAPTER- PARKS
Invoice 130423
1120/2015
Cash Payment
E 101-45200-220 Repair/Maint Supply
54 PC DRIVER BIT SET, 12 OZ GAS LINE
$29.20
ANTIFREEZE, 3/8' CLR BUMPER
Invoice 130497 11/232015
Cash Payment
E 101.45200-210 Operating Supplies
200'2/0 DBL LOOP CHAIN
$27.52
Invoice 130519
11/242015
602 SEWER FUND
$18.86
Cash Payment
E 101-45200-210 Operating Supplies
SCREWS, NUTS, BOLTS
$2.24
Invoice 130532
11/242015
Cash Payment
E 601-49400-220 Repair/Maint Supply
SCREWS, NUTS, BOLTS
$1.34
Invoice 130545
11252015
Cash Payment
E 10145200-220 Repair/Maint Supply
SCREWS, NUTS, BOLTS -12" CDX PLYWOOD
$35.32
Invoice 130657
11/30/2015
Transaction Date
12/152015
Wells Fargo 10100 Total
$1,207.10
Fund Summary
10100 Wells Fargo
101 GENERAL FUND
$1,180.07
222 AREA FIRE SERVICES
$6.74
601 WATER FUND
$8.17
602 SEWER FUND
$18.86
609 MUNICIPAL LIQUOR FUND
$149.11
$1,362.95
Pre -Written Check $0.00
Checks to be Generated by the Computer $1,362.95
Total $1,362.95
CITY OF MOUND 01/07/161:10 PM
Page i
Payments
Current Period: December 2015
Batch Name 121715CTYMAN
Payment Computer Dollar Amt $72,297.68 Posted
Refer
14 ABM EQUIPMENT AND SUPPLY, IN Ck# 050070 12/17/2015
Cash Payment
E 60149400-220 Repair/Maint Supply
HYDRANT HOSES 25 FT, CLAMPS &
$484.54
Project 15-3
ADAPTERS- WTR DEPT
COFFEE- PUB WORKS
Invoice 0145474
10/30/2015
Project 15.3
Transaction Date
12/14/2015 Due 0
Wells Fargo 10100 Total
$484.54
Refer ^�
7 AUTOMATIC SYSTEMS COMPANY
Ck# 050071 12/17/2015
FLUORESCENT LIGHT BULBS- CENTENNIAL
Cash Payment
E 602-49450440 Other Contractual Servic EMERGENCY SVC- BAYWOOD SHORES
$1,547.65
Invoice 910245094 10/28/2015
LIFE STATION 11-27-15
Invoice 29739
12/3/2015
$178.40
Refer 31 CARQUESTAUTO PARTS (FIRE)
Cash Payment
E 602-49450440 Other Contractual Servic REPAIR PUMP #2 @ BARTLETT BLVD LIFT
$358.90
SPARK PLUGS, STAR TRON SFE 8 OZ
$14.87
STATION 11-04-15
Invoice 29695
11/20/2015
REMAN STARTER #33'86 CHEVY DIESEL
$259.03
Transaction Date
12/14/2015 Due 0
Wells Fargo 10100 Total
$1,906.55
Refer
15 BENDICKSON, WES
Ck# 050072 12/17/2015
Cash Payment
E 10145200-300 Professional Srvs
15 LOADS OF LEAVES HAULED & DUMPED
$750.00
FOR GENERATORS
10-12, 10-19, & 10-30-15
Invoice 121515
11/4/2015
Transaction Date
12/14/2015 Due 0
Wells Fargo 10100 Total
$750.00
Refer 16 BERRY COFFEE COMPANY
Ck# 050073 12/17/2015
Cash Payment E 602-49450-210 Operating Supplies
COFFEE- PUB WORKS
$57.00
Invoice T147464 10/28/2015
Project 15-3
Cash Payment E 60249450.210 Operating Supplies
COFFEE- PUB WORKS
$28.50
Invoice M35765 12/9/2015
Project 15.3
Transaction Date 12/14/2015 Due 0
Wells Fargo 10100 Total
$85.50
Refer 1 BORDER STATES ELECTRIC SUPP
Ck# 050074 12/17/2015
Cash Payment E 101-41910-210 Operating Supplies
FLUORESCENT LIGHT BULBS- CENTENNIAL
$178.40
BLDG
Invoice 910245094 10/28/2015
Transaction Date 12/14/2015 Due 0
Wells Fargo 10100 Total
$178.40
Refer 31 CARQUESTAUTO PARTS (FIRE)
Ck# 050075 12/17/2015
Cash Payment E 22242260-409 Other Equipment Repair
SPARK PLUGS, STAR TRON SFE 8 OZ
$14.87
Invoice 6974-260427 11/9/2015
Cash Payment E 222-42260409 Other Equipment Repair
REMAN STARTER #33'86 CHEVY DIESEL
$259.03
Invoice 6974-260882 11/17/2015
Cash Payment E 22242260-212 Motor Fuels
DIESEL FUEL SUPPLEMENT 32 OZ
$55.14
Invoice 6974-261322 1124/2015
Cash Payment E 22242260-409 Other Equipment Repair
OIL FILTERS, 1oW 30 MOTOR OIL 5 QTS-
$44.98
FOR GENERATORS
Invoice 6974-261337 11/24/2015
Cash Payment E 222-42260-212 Motor Fuels FUEL STABILIZER 32 OZ SMALL EQUIP FIRE $12.87
DEPT
Invoice 6974-261391 11/25/2015
Cash Payment E 222-42260-210 Operating Supplies LINE TAPE -3M- FIRE GRAPHICS REMOVAL $13.45
Invoice 6974-261545 11/28/2015
Cash Payment E 22242260409 Other Equipment Repair CREDIT RETURN FUEL FILTERS -$101.13
Invoice 6974.260569 11/112015 -9-
CITY OF MOUND
Payments
Current Period: December 2015
01/07/16 1:10 PM
Page 2
Invoice 6974-260725 11/13/2015
Cash Payment E 10143100-220 Repair/Maint Supply
MARINE DEEP CYCLE 550 CCA #104
$83.64
Transaction Date 12/15/2015 Due 0
Wells Fargo 10100 Total
$299.21
Refer 25 CARQUEST OF NAVARRE (P/Kq
Ck# 050076 12/17/2015
$33.92
Cash Payment E 101.43100.210 Operating Supplies
OIL & FUEL FILTERS RELAY ACCESSORY,
$161.92
Cash Payment E 601-49400-220 Repair/Maint Supply
TORCTITE CLAMPS
$10.18
Invoice 6974.259912 10/30/2015
Cash Payment E 601-49400-220 Repair/Maint Supply
AUTOMOTIVE LAMP #512 '13 FORD F350
$66.23
Invoice 6974-259612 10/26/2015
Cash Payment E 10145200-220 Repair/Maint Supply
COTTER PIN VALUE PACK- PARKS
$4.86
Invoice 6974-258254 10/5/2015
Transaction Date 12/14/2015 Due 0
Wells Fargo 10100 Total
$233.01
Refer 32 CARQUEST OF NAVARRE (P/WJ
Ck# 050076 12/17/2015
Cash Payment E 10145200-220 Repair/Maint Supply
HOOD HOLDOWN LATCH
$4.78
Invoice 6974-260085 11/3/2015
Project 15-3
Cash Payment E 60249450-220 Repair/Maint Supply
UNIV BATTERY TERMINAL, 12 VOLT
$111.12
Refer 26 CHIDESTER, JAMES
BATTERY-SCHERVEN GENERATOR
Invoice 6974-260328 11/6/2015
Project 15-3
$175.00
Cash Payment E 602.49450-220 Repair/Maint Supply
OIL, AIR & FUEL FILTERS- TORCTITE CLAMP
$86.16
Invoice 121715 12/11/2015
'09 FORD F550 #209
Invoice 6974-260359 11/6/2015
Project 15-3
$175.00
Cash Payment E 601-49400-220 Repair/Main Supply
BRAKE PADS & ROTORS #113- WTR DEPT
$300.42
Invoice 6974-260665 11/13/2015
BULK COARSE HWY MIX- 49.19 TON
$3,627.76
Cash Payment E 101.43100-220 Repair/Maint Supply
7 RV BLADE CONNECTOR- TRAILER #104-
$14.71
Cash Payment E 101-43100-224 Street Maint Materials
STREETS
$12,946.82
Invoice 6974-260725 11/13/2015
Cash Payment E 10143100-220 Repair/Maint Supply
MARINE DEEP CYCLE 550 CCA #104
$83.64
Invoice 6974-260726 11/13/2015
Cash Payment E 601-49400-220 Repair/Main/ Supply
TAILGATE HANDLE GM -#302
$33.92
Invoice 6974-261021 11/19/2015
Cash Payment E 601-49400-220 Repair/Maint Supply
OIL & AIR FILTER #113 WTR DEPT
$10.18
Invoice 6974-261135 11/20/2015
Cash Payment E 101-45200-220 Repair/Maint Supply
5/8 EYEBOLT W/2 NUTS- PARKS
$3.31
Invoice 6974-261574 11/30/2015
Cash Payment E 10145200-220 Repair/Maint Supply
REFILL FOR 40619 STR- PARKS
$11.42
Invoice 6974-261586 11/30/2015
Cash Payment E 602-49450-220 Repair/Maint Supply
FLEX BERAM BLADE #112'12 FORD F550
$23.02
Invoice 6974-261625 11/30/2015
Project 15-3
Cash Payment E 602-49450.220 Repair/Maint Supply
RETURN CREDIT SHOP SUPPLIES
-$20.00
Invoice 6974-261138 11/20/2015
Project 15-3
Transaction Date 12/15/2015 Due 0
Wells Fargo 10100 Total
$662.68
Refer 26 CHIDESTER, JAMES
Ck# 050077 12/17/2015
Cash Payment E 60149400-218 Clothing and Uniforms
2015 BOOT ALLOWANCE REIMBURSEMENT-
$175.00
J. CHIDESTER
Invoice 121715 12/11/2015
Transaction Date 12/15/2015 Due 0
Wells Fargo 10100 Total
$175.00
Refer 2 COMPASS MINERALS AMERICA
Ck# 050078 12/17/2015
Cash Payment E 101-43100-224 Street Maint Materials
BULK COARSE HWY MIX- 49.19 TON
$3,627.76
Invoice 71419274 12/4/2015
Cash Payment E 101-43100-224 Street Maint Materials
BULK COARSE HWY MIX- 175.55 TON
$12,946.82
Invoice 71417861 122/2015
-10-
CITY OF MOUND 01/07/16110 PM
Page 3
Payments
Current Period: December 2015
Cash Payment E 101-43100.224 Street Maint Materials
Invoice 71418532 12/3/2015
Transaction Date 12/14/2015 Due 0
BULK COARSE HWY MIX- 219 TON
Wells Fargo 10100 Total
$16,151.27
$32,725.85
Refer
17 CONCRETE CUTTING AND CORIN
Ck# 050079 12/17/2015
$1,512.50
Cash Payment
E 101-45200-210 Operating Supplies
REPAIR STIHL CUTTER HEAD, FUEL FILTER
$87.60
Transaction Date
12/15/2015 Due 0
& SUPPLIES
$1,512.50
Invoice 101745
10/28/2015
Ck# 050082 12/17/2015
20 LAWSON PRODUCTS, INC
Transaction Date
12/14/2015 Due 0
Wells Fargo 10100 Total
$87.60
Refer -��-
13 DELANO RENTAL INCORPORATED
Ck# 050080 12/17/2015
Cash Payment
E 101-45200-410 Rentals (GENERAL)
TOWABLE 48" AERATOR RENTAL -PARKS
$114.40
Invoice 10000 11/212015
Transaction Date 12/14/2015
DEPT
Due 0 Wells Fargo 10100 Total $114.40
Refer
18 ENVIRONMENTAL EQUIPMENTAN
Ck# 050081 12/17/2015
Refer
Cash Payment
E 602-49450-440 Other Contractual Servic HOSE SUCTION HD, CLAMPS
$1,512.50
Invoice 12369
1022/2015
Project 15-3
Invoice 99952
Transaction Date
12/15/2015 Due 0
Wells Fargo 10100 Total
$1,512.50
Refer
5 HD SUPPLY WATERWORKS, LTD
Ck# 050082 12/17/2015
20 LAWSON PRODUCTS, INC
Cash Payment
E 601.49400-210 Operating Supplies
WATER METER PARTS- VALVES,
$48.50
MISC PARTS- PUB WKS- CLAMPS, NYLON
$95.19
STEM/GUIDES
Invoice E757583 11/252015
Cash Payment E 601-49400-210 Operating Supplies
Invoice E664883 10/19/2015
Cash Payment E 601-49400.210 Operating Supplies
Invoice E666104 10/292015
Cash Payment E601-49400-210 Operating Supplies
Invoice E808039 11/17/2015
WATER METER PARTS- CURB BOX LIDS, $530.52
RODS, COUPLING TOPS
WATER METER PARTS- CLAMPS $579.98
WATER METERS W/ RADIO READS & LEAK $3,678.50
DETECTORS, COUPLING, VALVE BOXES,
LIDS, TOUCHPAD
Transaction Date 12/14/2015 Due 0
Wells Fargo 10100 Total
$4,837.50
Refer
19 HECKSEL MACHINE SHOP
Ck# 050083 12/17/2015
Cash Payment
E 601-49400-404 Machinery/Equip Repairs FLAT ALUM EXPANDED- BOOSTER STATION
$43.20
Invoice 99952
11/5/2015
Transaction Date 12/152015 Due 0
Wells Fargo 10100 Total
$43.20
Refer
20 LAWSON PRODUCTS, INC
Ck# 050084 12/17/2015
Cash Payment
E 602-49450-220 Repair/Maint Supply
MISC PARTS- PUB WKS- CLAMPS, NYLON
$95.19
CABLE TIES, COTTER STEEL ZINC
Invoice 93030927039303
11/20/2015
Project 15-3
Transaction Date
12/15/2015 Due 0
Wells Fargo 10100 Total
$95,19
_Refer
12 LUBE TECH, INC.
Ck# 050085 12/17/2015
Cash Payment
E 602-49450-210 Operating Supplies
BULK OIL- PUB WKS SHOP SUPPLIES
$248.96
Invoice 717513
12/8/2015
Project 15-3
Cash Payment
E 602-49450-210 Operating Supplies
USED BULK OIL PICK UP- PUB WKS SHOP
$50.00
Invoice 718861
12/10/2015
Project 15-3
Transaction Date
12/14/2015 Due 0
Wells Fargo 10100 Total
$298.96
Refer
21 MINNESOTA EQUIPMENT-(SCHAR
Ck# 050086 12/17/2015�a�--��.4W���
-11-
CITY OF MOUND
Payments
Current Period: December 2015
01/07/16 1:10 PM
Page 4
�'`i.L1I'N.�"aFLfJf $M3�'�W.1WA�`:ee3MA2R
iW.
Cash Payment
E 101-45200-220 Repair/Maint Supply
PARKS- ELEMENT FILTERS, 8"
$112.58
CONNECTORS
Invoice P38824
11/16/2015
Cash Payment
E 10145200-220 Repair/Maint Supply
PARKS- MOWER BLADES
$322.50
Invoice P96128
12/4/2015
Cash Payment
E 10143100404 Machinery/Equip Repairs REPAIR STREET SWEEPER- CHANGED AIR
$1,895.48
& OIL FILTERS 10-27 TO 11-02-15
Invoice R133589 12/3/2015
Transaction Date 12/14/2015 Due 0
Walls Fargo 10100 Total
$2,330.56
Refer
27 MN DEPT OF HEALTH -WATER PR
Ck# 050087 12/17/2015
Cash Payment
E 601.49400434 Conference & Training
WATER OPERATOR EXAM FEE- R. PRICH
$32.00
Invoice 121715
12/9/2015
Cash Payment
E 601-49400434 Conference & Training
WATER OPERATOR EXAM FEE- B. KRESS
$32.00
Invoice 121715
12/9/2015
Transaction Date 12/15/2015 Due 0
Wells Fargo 10100 Total
$64.00
Refer
22 NAPA AUTO PARTS - SPRING PAR
Ck# 050088 12/17/2015
Cash Payment
E 10143100-220 Repair/Maint Supply
NAPAGOLD FUEL FILTER #412 STREETS
$40.86
DEPT VEHICLE
Invoice 959066
10/27/2015
Transaction Date
12/14/2015 Due 0
Wells Fargo 10100 Total
$40.86
Refer.
9 NELSON ELECTRIC MOTOR REPAI
Ck# 050089 12/17/2015
Cash Payment
E 60249450-440 Other Contractual Servic PULL #2 PUMP Q SHOREWOOD LIFT
$275.00
STATION, INSTALL LOANER UNIT 12-03-15
Invoice 7480
12/3/2015
Transaction Date
12/14/2015 Due 0
Wells Fargo 10100 Total
$275.00
Refer p
11 NEWMAN SIGNS T.�..,.
Cl 050090 12/17/2015
Cash Payment
E 10143100-226 Sign Repair Materials
REVERSE TURN SYMBOL, EC FILM- FLAT-
$99.62
SIGN MATERIALS
Invoice 0293111
12/10/2015
Cash Payment
E 101.43100-226 Sign Repair Materials
SIGN MATERIALS- DELINEATOR BLACK
$153.49
CIRCLES FLUORESCENT
Invoice 0292875
12/3/2015
Cash Payment
E 10143100-226 Sign Repair Materials
150 GALV PIPE 10' ROUND SIGN POSTS 16
$2,433.50
GAGE
Invoice 0291469
10/29/2015 PO 24558
Transaction Date
12/14/2015 Due 0
Wells Fargo 10100 Total
$2686.61
Refer
29 NORLINGS LAKE MINNETONKA LA
Ck# 050091 12/17/2015
Cash Payment
E 40143115-300 Professional Srvs
LANDSCAPE PLANTING -REPAIR 2015
$4,650.00
STREET PROJ- 2125 GRANDVIEW COURT -
PW 15.01
Invoice 31071
12111/2015
Project PW 1501
Transaction Date
12/15/2015 Due 0
Wells Fargo 10100 Total
$4,650.00
Refer
4 UHL COMPANY
Ck# 050092 12/17/2015
Cash Payment E 10141910-500 Capital Outlay FA
NEW MMB 1000 CONTROLLER- REPLACE
$7,950.00
DELTA CONTROLLER- CENT BLDG
Invoice 39604
12/4/2015 PO 24552
Cash Payment E 101-41910400 Repairs & Maintenance
REPAIRS TO VAV BOX- CENT BLDG
$1,867.18
Invoice 39605
12/4/2015
-12-
4idl{iiZ{ 7
01/07/16 1:10 PM
Page 5
Current Period: December 2015
Cash Payment E 28546388-400 Repairs & Maintenance REPAIR AIR HANDLER IN VESTIBULE-
$268.25
PARKING DECK HEAT
Invoice 39606 12/4/2015
Transaction Date 12/14/2015 Due 0
Wells Fargo 10100 Total
$10,085.43
Refer 28 UNITED FARMERS COOPERATIVE
Ck# 050093 12/172015
Cash Payment E 101.45200.218 Clothing and Uniforms
UNIFORM BIB OVERALLS- PARKS DEPT- G.
$99.99
BALL
Invoice 20.623366 10/1/2015
Transaction Date 12/152015 Due 0
Wells Fargo 10100 Total
$99.99
Refer 8 USA BLUEBOOK
Ck# 050094 12/17/2015
Cash Payment E 601.49400-210 Operating Supplies
HACH TOTAL CHLORINE SWIFT TEST
$56.90
Invoice 815751 12/3/2015
Transaction Date 12/14/2015 Due 0
Wells Fargo 10100 Total
$56.90
Refer .�-24 VESSCO, INCORPORATED
Ck# 050095 12/17/2015
Cash Payment E 601.49400-220 Repair/Maint Supply
HOUSING FRONT- WTR DEPT
$68.47
Invoice 64698 10/23/2015
Cash Payment E 60149400404 Machinery/Equip Repairs INSTALL NEW INJECTORS, FITTINGS,
$3,153.40
TUBING AND PM KITS - REPAIR VACUUM
REGULATOR
Invoice 64978 12/1/2015
Transaction Date 12/14/2015 Due 0
Wells Fargo 10100 Total
$3,221.87
Refer .... 23 WESTSIDE WHOLESALE TIRE AN
Ck# 050096 12/17/2015���
Cash Payment E 101-45200-220 Repair/Maint Supply
10 TIRES- PARKS ROAD RIDER TRAILER -
$1,702.62
PARKS VEHICLES
Invoice 754714 10/8/2015
Transaction Date 12/142015 Due 0
Wells Fargo 10100 Total
$1,702.62
Refer 30 WIDMER CONSTRUCTION, LLC
Ck# 050097 12/172015
Cash Payment E 601-49400-440 Other Contractual Servic
REPAIR WATERMAIN @ COUNTY RD 110 -
$2,593.75
10-01-15
Invoice 4021 10232015
Transaction Date 12/15/2015 Due 0
Wells Fargo 10100 Total
$2,593.75
Fund Summary
10100
Wells Fargo
602 SEWER FUND
$4,374.00
601 WATER FUND
$11,887.51
401 GENERAL CAPITAL PROJECTS
$4,650.00
285 MOUND HRA
$268.25
222 AREA FIRE SERVICES
$299.21
101 GENERAL FUND
$50,818.71
$72,297.68
Pre -Written Check $72,297.68
Checks to be Generated by the Computer $0.00
Total $72,297.68
CITY OF MOUND
Payments
Current Period: December 2015
Batch Name TRI -K121815 User Dollar Amt $339.99
Payments Computer Dollar Amt $339.99
$0.00 In Balance
Refer 1 TRI -K SERVICES
12/18/15 2:32 PM
Page 1
Cash Payment E 22242260-409 Other Equipment Repair PART FOR POLARIS 6 -WHEELER MOUND $339.99
FIRE DEPT
Invoice 121815 12/18/2015
Transaction Date 12/182015 Wells Fargo 10100 Total $339.99
Fund Summary
10100 Wells Fargo
222 AREA FIRE SERVICES $339.99
$339.99
Pre -Written Check $0.00
Checks to be Generated by the Computer $339.99
Total $339.99
-14-
Batch Name 121715CITY2
Payments
CITY OF MOUND
Payments
Current Period: December 2015
User Dollar Amt $4,277.88
Computer Dollar Amt $4,277.88
$0.00 In Balance
12/18/15 8:41 AM
Page 1
Refer 3 G & K SERVICES
_
Cash Payment E 101-45200-218 Clothing and Uniforms
UNIFORM SVC 11-2-15 PARKS
$57.84
Invoice 1006375754 11/2/2015
Cash Payment E 101-45200-210 Operating Supplies
MAT SVC & SHOP SUPPLIES 11-2-15 PARKS
$83.68
Invoice 1006375754 11/212015
Cash Payment E 10145200.218 Clothing and Uniforms
UNIFORM SVC 11-16-15 PARKS
$57.84
Invoice 1006398669 11/162015
Cash Payment E 10145200-210 Operating Supplies
MAT SVC & SHOP SUPPLIES 11-16-15
$84.18
PARKS
Invoice 1006398669 11/16/2015
Cash Payment E 10145200-218 Clothing and Uniforms
UNIFORM SVC 11-9-15 PARKS
$65.28
Invoice 1006387222 11/9/2015
Cash Payment E 10145200-210 Operating Supplies
MAT SVC & SHOP SUPPLIES 11-9-15 PARKS
$104.76
Invoice 1006387222 11/9/2015
Cash Payment E 101-45200-218 Clothing and Uniforms
UNIFORM SVC 11.23-15 PARKS
$65.28
Invoice 1006410083 11/232015
Cash Payment E 10145200-210 Operating Supplies
MAT SVC & SHOP SUPPLIES 11-23-15
$183.83
PARKS
Invoice 1006410083 11/23/2015
Cash Payment E 101.45200-218 Clothing and Uniforms
UNIFORM SVC 11-30-15 PARKS
$57.84
Invoice 1006421600 11/30/2015
Cash Payment E 10145200-210 Operating Supplies
MAT SVC & SHOP SUPPLIES 11-30-15
$84.18
PARKS
Invoice 1006421600 11/30/2015
Transaction Date 12/1712015
Wells Fargo 10100 Total
$844.71
Refer 2 G & K SERVICES
Cash Payment E 609-49750.460 Janitorial Services
Invoice 1006387216 11/9/2015
Cash Payment E 609-49750.460 Janitorial Services
Invoice 1006375745 11/22015
Cash Payment E 609-49750-460 Janitorial Services
Invoice 100641007 11/23/2015
Cash Payment E 60949750.460 Janitorial Services
Invoice 1006398660 11/16/2015
Cash Payment E 609-49750-460 Janitorial Services
Invoice 1006433076 12/7/2015
Cash Payment E 609-49750460 Janitorial Services
Invoice 1006421591 11/30/2015
Cash Payment E 609-49750.460 Janitorial Services
Invoice 1006364252 10/26/2015
Cash Payment E 609-49750-460 Janitorial Services
Invoice 1006444536 12/14/2015
Transaction Date 12/17/2015
Refer 1 G & K SERVICES
MAT SVC & SUPPLIES 11-09-15 LIQUOR $153.50
STORE
MAT & TOWEL SVC 11-02-15 LIQUOR STORE $92.18
MAT & TOWEL SVC 11-23-15 LIQUOR STORE $82.38
MAT & TOWEL SVC 11-16.15 LIQUOR STORE $109.15
MAT SVC & SUPPLIES 12-07-15 LIQUOR $120.26
STORE
MAT & TOWEL SVC 11-30-15 LIQUOR STORE $109.15
MAT & TOWEL SVC 10-26-15 LIQUOR STORE $109.15
MAT & TOWEL SVC 12-14-15 LIQUOR STORE $90.91
Wells Fargo 10100 Total $866.68
-15-
CITY OF MOUND
Payments
Current Period: December 2015
Cash Payment E 101-43100-218 Clothing and Uniforms
Invoice 1006375752 11/2/2015
Cash Payment E 601-49400-218 Clothing and Uniforms
Invoice 1006375752 11/2/2015
Cash Payment E 602-49450-218 Clothing and Uniforms
Invoice 1006375752 11/2/2015
Cash Payment E 602-49450-210 Operating Supplies
Invoice 1006375752 11/2/2015
Cash Payment E 101.43100-218 Clothing and Uniforms
Invoice 1006387220 11/9/2015
Cash Payment E 601.49400-218 Clothing and Uniforms
Invoice 1006387220 11/9/2015
Cash Payment E 602-49450-218 Clothing and Uniforms
Invoice 1006387220 11/9/2015
Cash Payment E602-49450-210 Operating Supplies
Invoice 1006387220 11/9/2015
Cash Payment E 101.43100-218 Clothing and Uniforms
Invoice 1006421598 11/30/2015
Cash Payment E 601-49400-218 Clothing and Uniforms
Invoice 1006421598 11/30/2015
Cash Payment E 602-49450-218 Clothing and Uniforms
Invoice 1006421598 11/30/2015
Cash Payment E 602-49450-210 Operating Supplies
Invoice 1006421598 11/30/2015
Cash Payment E 101-43100-218 Clothing and Uniforms
Invoice 1006398667 11/16/2015
Cash Payment E 601.49400-218 Clothing and Uniforms
Invoice 1006398667 11/16/2015
Cash Payment E 602-49450.218 Clothing and Uniforms
Invoice 1006398667 11/16/2015
Cash Payment E 602-49450-210 Operating Supplies
Invoice 1006398667 11/16/2015
Cash Payment E 101-43100.218 Clothing and Uniforms
Invoice 1006364256 10/26/2015
Cash Payment E601-49400-218 Clothing and Uniforms
Invoice 1006364256 10/26/2015
Cash Payment E 602-49450.218 Clothing and Uniforms
Invoice 1006364256 10/26/2015
Cash Payment E 602.49450-210 Operating Supplies
Invoice 1006364256 10/26/2015
Cash Payment E 101-43100-218 Clothing and Uniforms
Invoice 1006410081 11/23/2015
Cash Payment E601-49400-218 Clothing and Uniforms
Invoice 1006410081 11/23/2015
Cash Payment E602-49450-218 Clothing and Uniforms
Invoice 1006410081 11/23/2015
Cash Payment E602-49450-210 Operating Supplies
Invoice 1006410081 11/23/2015
Transaction Date 12/17/2015
12/18/15 8:41 AM
Page 2
UNIFORM SVC 11-2-15 $61.75
UNIFORM SVC 11-2-15 $51.94
UNIFORM SVC 11-2-15 $67.03
MAT SVC & SHOP SUPPLIES 11-2.15 $417.26
Project 15-3
UNIFORM SVC 11-9-15 $46.70
UNIFORM SVC 11-9-15 $41.78
UNIFORM SVC 11 -9-15 $56.87
MAT SVC & SHOP SUPPLIES 11-9-15 $140.81
Project 15.3
UNIFORM SVC 11-30-15 $61.85
UNIFORM SVC 11-30.15 $52.04
UNIFORM SVC 11-30-15 $67.13
MAT SVC & SHOP SUPPLIES 11-30-15 $546.33
Project 15.3
UNIFORM SVC 11.16-15 $49.96
UNIFORM SVC 11-16.15 $40.15
UNIFORM SVC 11-16-15 $55.24
MAT SVC & SHOP SUPPLIES 11.16-15 $154.09
Project 15-3
UNIFORM SVC 1046-15 $51.86
UNIFORM SVC 10-26.15 $42.05
UNIFORM SVC 10-26-15 $57.14
MAT SVC & SHOP SUPPLIES 10-26-15
$206.63
Project 15-3
UNIFORM SVC 11-23-15
$51.97
UNIFORM SVC 11-23-15
$42.16
UNIFORM SVC 11-23-15
$57.25
MAT SVC & SHOP SUPPLIES 11-23-15
$146.50
Project 15-3
Wells Fargo 10100 Total
$2.566.49
-16-
CITY OF MOUND
Payments
12/18/15 8:41 AM
Page 3
Current Period: December 2015
0..cti.::F�F+:dsa"'a.".
Fund Summary
10100 Wells Fargo
101 GENERAL FUND
$1,168.80
601 WATER FUND
$270.12
602 SEWER FUND
$1,972.28
609 MUNICIPAL LIQUOR FUND
$866.68
$4,277.88
Pre -Written Check $0.00
Checks to be Generated by the Computer $4,277,88
Total $4,277,88
-17-
Mir O 11110111"M :
Payments
12/18/15 2:27 PM
Page 1
Cash Payment E 101-43100-224 Street Maint Materials
Invoice 151115 11/15/2015
Transaction Date 12/16/2015
DURA DRIVE HOTMIX 14.04 TON
$798.17
Wells Fargo 10100 Total $798.17
Refer 6 CONLEYS 144LDLIFE CONTROL, LL _
Cash Payment E 101-45200-440 Other Contractual Servic BEAVER REMOVAL- (4) -TRAPPPING LOST $1,200.00
LAKE PARK AREA 12.15-15
Invoice 457 12/15/2015
Transaction Date 12/16/2015 Wells Fargo 10100 Total $1,200.00
Current Period: December 2015
Batch Name
121815CTYMAN - User Dollar Amt $19,464.98
Payments Computer Dollar Amt $19,464.98
$0.00 In Balance
Refer
1 AMBIENT WEA THER.COM
_
Cash Payment
E 602.49450.500 Capital Outlay FA
DAVIS INSTRUMENTS WEATHER STATION,
$1,570.29
WEATHERLINK SOFTWARE, CONTROLLER
FORSCADA
Invoice 1006458 12/11/2015 PO 24606
Project 15-5
Transaction Date 12/17/2015
Wells Fargo 10100 Total
$1,570.29
Refer
2 BRYCE, JEFFREY��"�
Cash Payment
E 222-42260-331 Use of personal auto
REIMBURSE MILEAGE TO COMMAND
$73.60
TRAINING CLASS EDEN PRAIRIE 12-10
THRU 12-13-J. BRYCE
Invoice 121815
12/16/2015
-
Cash Payment
E 222.42260-434 Conference & Training
REIMBURSE MEALS- COMMAND TRAINING
$7.00
CLASS EDEN PRAIRIE 12-10 THRU 12-13- J.
BRYCE
Invoice 121815
12/16/2015
Transaction Date 12/17/2015
Wells Fargo 10100 Total
$80.60
�R
Refer ._.�....�...,,3
CENTERPOINT ENERGY (MINNEG�
_
Cash Payment
E 10141930.383 Gas Utilities
GAS SVC 10-21-15 TO 11-19-15
$108.83
Invoice 121815
12/10/2015
Cash Payment
E 22242260-383 Gas Utilities
GAS SVC 10-21.15 TO 11-19-15
$108.83
Invoice 121815
12/10/2015
Cash Payment
E 101-45200.383 Gas Utilities
GAS SVC 10-21-15 TO 11-19-15
$341.69
Invoice 121815
12/10/2015
Cash Payment
E 101.41910-383 Gas Utilities
GAS SVC 10-21-15 TO 11-19-15
$545.90
Invoice 121815
12/10/2015
Cash Payment
E 602-49450.383 Gas Utilities
GAS SVC 10-21-15 TO 11-19-15
$248.66
Invoice 121815
12/10/2015
Project 15.3
Cash Payment
E 60949750-383 Gas Utilities
GAS SVC 10.21-15 TO 11-19-15
$89.87
Invoice 121815
12/10/2015
Cash Payment
E 10145200-383 Gas Utilities
GAS SVC 10-21.15 TO 11-19-15 DEPOT BLDG
$98.91
Invoice 121815
12/10/2015
Transaction Date
12/17/2015
Wells Fargo 10100 Total
$1,542.69
Refer
4 CENTRAL MCGOWAN, INCORPOR
_
Cash Payment
E 602-49450-210 Operating Supplies
HIGH PRESSURE CYLINDER RENTAL
$16.80
Invoice 00055906 11/30/2015
Project 15.3
Transaction Date
12/16/2015
Wells Fargo 10100 Total
$16.80
Refer
5 COMMERCIAL ASPHALT CO.
Cash Payment E 101-43100-224 Street Maint Materials
Invoice 151115 11/15/2015
Transaction Date 12/16/2015
DURA DRIVE HOTMIX 14.04 TON
$798.17
Wells Fargo 10100 Total $798.17
Refer 6 CONLEYS 144LDLIFE CONTROL, LL _
Cash Payment E 101-45200-440 Other Contractual Servic BEAVER REMOVAL- (4) -TRAPPPING LOST $1,200.00
LAKE PARK AREA 12.15-15
Invoice 457 12/15/2015
Transaction Date 12/16/2015 Wells Fargo 10100 Total $1,200.00
CITY OF MOUND
Payments
Current Period: December 2015
12/18/15 2:27 PM
Page 2
Refer 10 FRON77ERICITIZENS COMMUNICA
Cash Payment
E 101-45200.321 Telephone, Cells, & Radi
a
Refer
7 EMERGENCYAPPARATUS MA/NT
_
Cash Payment
E 222-42260-409 Other Equipment Repair SVC CALL COOLANT LEAK ENGINE #29
$258.92
Invoice 84093
11/16/2015
Invoice 121815
11/30/2015
Transaction Date 12/16/2015
Wells Fargo 10100 Total
$258.92
Refer
8 FERGUSON WATERWORKS
-----�_��
Invoice 121815
Cash Payment
E 601.49400-440 Other Contractual Servic REPAIR & TEST LOCATOR MONITOR-
$325.00
Cash Payment
E 602-49450321 Telephone, Cells, & Radi
WATER DEPT
$419.51
Invoice 0175660
11/232015
Cash Payment
E 601.49400-440 Other Contractual Servic
REPAIR & TEST LOCATOR MONITOR-
$203.26
Invoice 121815
11/30/2015
WATER DEPT
Invoice 0175665
11/23/2015
PHONE SVC 11/30/15 TO 12/29/15
$407.17
Cash Payment
E 601.49400-440 Other Contractual Servic REPAIR & TEST LOCATOR MONITOR-
$297.95
Cash Payment
WATER DEPT
PHONE SVC 11/30/15 TO 12/29/15
Invoice 0175667
11/232015
11/30/2015
Transaction Date
M
12/16/2015
Wells Fargo 10100 Total
$826.21
Refer
15 FIRE CHIEFS ASSOC, HENNEP/N_-.��
�m....�,�..A»_.,,.-..._..
Cash Payment
E 222-42260-434 Conference & Training
BLUE CARD SIM TRAINING- DEC 10 THRU 13
$425.00
$149.60
Invoice 121815
2015-J. BRYCE
Invoice 15-016
12/15/2015
E 101.42110321 Telephone, Cells, & Radi
PHONE SVC 11/30/15 TO 12/29/15
Cash Payment
E 222-42260-434 Conference & Training
BLUE CARD SIM TRAINING- DEC 10 THRU 13
$425.00
Transaction Date�
2015-A. CRANDALL
$3,518.57
Invoice 15-016
12/15/2015
Transaction Date
12/17/2015
Wells Fargo 10100 Total
$850.00
Refer
9 FLEETPRIDE TRUCK & TRAILER P
Cash Payment E 10143100-220 Repair/Maint Supply
DIESEL EXHAUST FLUID 6 CITY 2.5 GAL
$53.76
Invoice 73805660
12/1/2015
Transaction Date
12/16/2015
Wells Fargo 10100 Total
$53.76
Refer 10 FRON77ERICITIZENS COMMUNICA
Cash Payment
E 101-45200.321 Telephone, Cells, & Radi
PHONE SVC 11/30/15 TO 12/29/15
$122.59
Invoice 121815
11/30/2015
Cash Payment
E 602-49450-321 Telephone, Cells, & Radi
PHONE SVC 11/30/15 TO 12/29/15
$72.56
Invoice 121815
11/30/2015
Cash Payment
E 609.49750-321 Telephone, Cells, & Radi
PHONE SVC 11/30/15 TO 12/29/15
$593.59
Invoice 121815
11/30/2015
Cash Payment
E 602-49450321 Telephone, Cells, & Radi
PHONE SVC 11/30/15 TO 12/29/15
$419.51
Invoice 121815
11/30/2015
Cash Payment
E 601.49400.321 Telephone, Cells, & Radi
PHONE SVC 11/30/15 TO 1229/15
$407.17
Invoice 121815
11/30/2015
Cash Payment
E 101-43100-321 Telephone, Cells, & Radi
PHONE SVC 11/30/15 TO 12/29/15
$407.17
Invoice 121815
11/302015
Cash Payment
E 101-41930.321 Telephone, Cells, & Radi
PHONE SVC 11/30/15 TO 12/29/15
$897.58
Invoice 121815
11/30/2015
Cash Payment
E 222.42260-321 Telephone, Cells, & Radi
PHONE SVC 11/30/15 TO 12/29/15
$299.20
Invoice 121815
11/30/2015
Cash Payment
E 101-41910-321 Telephone, Cells, & Radi
PHONE SVC 11/30/15 TO 12/29/15
$149.60
Invoice 121815
11/30/2015
Cash Payment
E 101.42110321 Telephone, Cells, & Radi
PHONE SVC 11/30/15 TO 12/29/15
$149.60
Invoice 121815
11/30/2015
Transaction Date�
12/17/2015 �� WeIlsFaigct 10100 Total
$3,518.57
CITY OF MOUND
Payments
Current Period: December 2015
12/18/15 2:27 PM
Page 3
14
11
_
150 LB CHLORINE CYLINDERS & BULK
HUDROFLUOSILICIC ACID
Wells Fargo 10100 Total
$2,607.35
$2,607.35
Refer T
Refer
11 FULLERTON BUILDING CENTER
_
Cash Payment
Cash Payment
E 101.45200-220 Repair/Maint Supply
2 QTY 4 X 8-3/4" BOARDS
$85.88
Invoice 2202861
11/17/2015
Invoice 1000067831 12/7/2015
Transaction Dale
12/17/2015
Wells Fargo 10100 Total
$85.98
Refer
12 GRADY, DANIEL+µ"r-pM14M
_
ADMINISTRATION FEE - NOV 2015
Cash Payment
E 10145200-218 Clothing and Uniforms
2015 BOOT ALLOWANCE REIMBURSEMENT-
$175.00
Transaction Date
D. GRADY
Wells Fargo 10100 Total
Invoice 121815 12/16/2015
Transaction Date 12/16/2015 Wells Fargo 10100 Total $175.00
Refer 13 GRAINGERS, INCORPORATED _
Cash Payment E 60149400-220 Repair/Maint Supply 2 ELECTRIC TANKLESS WATER HEATERS $721.22
240 VAC
Invoice 9883258049 11/2/2015
Transaction Date 12/16/2015 Wells Fargo 10100 Total $721.22
Refer 14 HAWKINS, INCORPORATED
Cash Payment E 601-49400-227 Chemicals
Invoice 3793787 10/27/2015
Transaction Date 12/17/2015
_
150 LB CHLORINE CYLINDERS & BULK
HUDROFLUOSILICIC ACID
Wells Fargo 10100 Total
$2,607.35
$2,607.35
Refer T
16 HENNEPIN COUNTY INFORMATIO..
E 222-42260-210 Operating Supplies
3 QTY 17 GALLON STORAGE TOTES- FIRE
Cash Payment
E 602.49450.321 Telephone, Cells, & Red!
PW RADIO LEASE & ADMINISTRATION FEE -
$127.28
Invoice 8574056
NOV 2015
Invoice 1000067831 12/7/2015
Project 15-3
12/16/2015
Cash Payment
E 222-42260-321 Telephone, Cells, & Radi FIRE DEPT RADIO LEASE &
$780.26
19 HOME DEPOT/GECF (PIM
_
ADMINISTRATION FEE - NOV 2015
Cash Payment
Invoice 1000067765
12/4/2015
$185.59
Transaction Date
12/16/2015
Wells Fargo 10100 Total
$907.54
Refer�_
17 HENNEPIN COUNTY RECORDER
_
_ 12/16/2015
Cash ment
Pay
G 101-23341 PC15-20 5913 FAIRFIELDR
ABSTRACT & TORRENS RECORDING -HENN
$48.00
CTY-PC 15-20 FAIRFIELD RD
Invoice 121815
11/30/2015
Cash Payment
G 101-23336 PC 15-16 5901 Bartlett BLVD ABSTRACT & TORRENS RECORDING -HENN
$144.00
CTY-PC 15-16, 5901 BARTLETT- 2
EASEMENTS,
Invoice 121815
11/30/2015
Cash Payment
G 101-23338 PC 15-18 5308 THREEPTS
ABSTRACT & TORRENS RECORDING -HENN
$48.00
CTY-PC 15-18 5308 THREE PTS BLVD
Invoice 121815
11/30/2015
Transaction Date
12/16/2015
Wells Fargo 10100 Total
$240.00
Refer
18 HOME DEPOT CREDIT (FIRE)
_
Cash Payment
E 222-42260-210 Operating Supplies
3 QTY 17 GALLON STORAGE TOTES- FIRE
$29.91
DEPT
Invoice 8574056
12/2/2015
Transaction Date
12/16/2015
Wells Fargo 10100 Total
$29.91
Refer
19 HOME DEPOT/GECF (PIM
_
Cash Payment
E 101.43100.223 Building Repair Supplies
30 FTX 30 FT HEAVY DUTY TARP- STREETS
$185.59
DEPT
Invoice W438572361 12/2/2015
Transaction MDat, e
_ 12/16/2015
Wells Farg_20_ 10100 -„��- Total
$185.59
CITY OF MOUND
Payments
12/18/15 2:27 PM
Page 4
Current Period: December 2015
w
Refer 22 HUTCHINSON CONCRETE _
Cash Payment E 101.43100-224 Street Maint Materials CONCRETE- 2 X 2 X 6 CUBES, 2 X 2 X 4 $600.00
CUBES-- TOTAL 14 & DELIVERY
Invoice 00050680 11/12/2015
Cash Payment E 101-43100-224 Street Maint Materials
Invoice 00050681 11/12/2015
Cash Payment E 101-43100-224 Street Maint Materials
Invoice 00050686 11/13/2015
Cash Payment E 101.43100-224 Street Maint Materials
Invoice 00050697 11/16/2015
Cash Payment E 101.43100.224 Street Maint Materials
CONCRETE- 2 X 2 X 6 CUBES, 2 X 2 X 4
CUBES—TOTAL 15 & DELIVERY
CONCRETE- 2 X 2 X 6 CUBES, 2 X 2 X 4
CUBES— TOTAL 14 & DELIVERY
CONCRETE- 2 X 2 X 6 CUBES, 2 X 2 X 4
CUBES— TOTAL 14 & DELIVERY
CONCRETE- 2 X 2 X 6 CUBES, 2 X 2 X 4
CUBES— TOTAL 13 & DELIVERY
Invoice 00050698 11/16/2015
12/6/2015
Transaction Date
12/17/2015
Wells Fargo 10100 Total
Refer X20
LOFFLER COMPANIES, INCORPO
_ .-..._
Cash Payment
E 101-41930-202 Duplicating and copying
COPY ROOM KONICA C652 -COLOR
OVERAGE - 11/14/15 TO 12/13/15
Invoice 2123942
12/3/2015
Cash Payment
E 101-41930-202 Duplicating and copying
COPY ROOM KONICA C652 - B & W
OVERAGE - 11/14/15 TO 12/13/15
Invoice 2123942 12/3/2015
Cash Payment E 602-49450.202 Duplicating and copying KONICA MINOLTA B200 PW COPIER
OVERAGE CHG 11/10/15 TO 12/09/15
Invoice 2121380 12/1/2015 Project 15-3
Transaction Date 2/16/2015 Wells Fargo 10100 Total
Refer 21 MEDIACOM
Cash Payment E 101-42110-321 Telephone, Cells, & Red! ORONO PD INTERNET SVC 12-16-15 THRU 1
15-16
Invoice 121815
12/6/2015
Transaction Date
12/17/2015
Refer w
23 MN DEPT TRANSPORTATION
Cash Payment
E 401-43115.300 Professional Srvs
Invoice P00005319 11/13/2015
Cash Payment E 401-43135.300 Professional Srvs
Invoice P00005319 11/13/2015
Transaction Date 12/17/2015
Refer 24 MOBILE RADIO
$625.00
$600.00
$600.00
$575.00
$3,000.00
$152.74
$111.89
$1.67
$266.30
$95.90
Wells Fargo 10100 Total $95.90
BITUMINOUS MATERIAL INSPECTIONJOB $128.38
COSTS TRANSFERS 10-30-15 - 2015 STREET
PROJ PW 15-01 & 15-02
Project PW1501
BITUMINOUS MATERIAL INSPECTIONJOB $128.38
COSTS TRANSFERS 10-30-15 - 2015 STREET
PROJ PW 1"1 & 15.02
Project PW1502
Wells Fargo 10100 Total $256.76
Cash Payment E 601-49400-404 Machinery/Equip Repairs MAG MOUNT PRE -ATTACHED, 900 MZH $61.28
ANTENNAK MALE CONNECTOR WATER
DEPT
Invoice 529393 1112/2015
Transaction Date 12/17/2015 Wells Fargo 10100 Total $61.28
Refer 25 OFFICE DEPOT _
-21-
CITY OF MOUND
Payments
Current Period: December 2015
12/18/15 2:27 PM
Page 5
Fund Summary
10100 Wells Fargo
101 GENERAL FUND
Cash Payment
E 101.41930.200 Office Supplies
BPS, ,COPY PAPER CITY HALL, LG
$106.15
$256.76
601 WATER FUND
PDYMO APER G BINDER CLIPS
602 SEWER FUND
Invoice 810504278001 12/4/2015 PO 24691
609 MUNICIPAL LIQUOR FUND
$683.46
Cash Payment
E 601-49400-200 Office Supplies
NAME BADGES- WATER DEPT
$9.99
Invoice 810504278001 12/4/2015 PO 24691
Transaction Date
12/16/2015
Wells Fargo 10100 Total
$116.14
Fund Summary
Pre -Written Check $0.00
Checks to be Generated by the Computer $19,464.98
Total $19,464.98
-22-
10100 Wells Fargo
101 GENERAL FUND
$9,027.05
222 AREA FIRE SERVICES
$2,407.72
401 GENERAL CAPITAL PROJECTS
$256.76
601 WATER FUND
$4,633.22
602 SEWER FUND
$2,456.77
609 MUNICIPAL LIQUOR FUND
$683.46
$19,464.98
Pre -Written Check $0.00
Checks to be Generated by the Computer $19,464.98
Total $19,464.98
-22-
[•�irY7�Pr[•1�1, I■7
Payments
12/21/15 12:31 PM
Page 1
Current Period: December 2015
s, 40.:... a;:i%`�d'='S�1rw+i. -. ..rh�.F-.•:+. r•+�._•�.vtr�r+,��."`�'.._i_r�-,.Av.-�
Batch Name 122115HWS User Dollar Amt $3,363.63
Payments Computer Dollar Amt $3,363.63
$0.00 In Balance
Refer 1 WIRTZ BEVERAGE MIN WFNE SPIRI
Cash Payment E 609-49750-253 Wine For Resale
WINE
Invoice 1080377759 9/25/2015
Cash Payment E 609.49750-251 Liquor For Resale
LIQUOR CREDIT
Invoice 2080054693 9/25/2015
Cash Payment E 609.49750.251 Liquor For Resale
LIQUOR
Invoice 1080409117 12/10/2015
Cash Payment E 609-49750-253 Wine For Resale
WINE
Invoice 1080409118 12110/2015
Cash Payment E 609-49750-253 Wine For Resale
WINE
Invoice 1080411908 12/17/2015
Cash Payment E 609.49750.251 Liquor For Resale
LIQUOR
Invoice 1080411906 12/17/2015
Cash Payment E 609-49750-254 Soft Drinks/Mix For Rasa MIX
Invoice 1080411907 12117/2015
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR CREDIT
Invoice 2080107158 10/5/2015
Transaction Date 12/21/2015
Wells Fargo
Fund Summary
10100 Wells Fargo
609 MUNICIPAL LIQUOR FUND $3,363.63
$3,363.63
Pre -Written Check $0.00
Checks to be Generated by the Computer $3,363.63
Total $3,363.63
-23-
10100
$256.00
-$90.00
$677.55
$480.00
$518.00
$1,689.07
$55.00
-$221.99
Total $3,363.63
Payments
Current Period: December 2015
Batch Name 122815CTYMAN User DollarAmt $17,462.68
Payments Computer Dollar Amt $17,462.68
$0.00 In Balance
Refer 1 ASSURED SECURITY, INC. _
Cash Payment E 602-49450-220 Repair/Maint Supply HID PROXIMITY CLAMSHELL CARD
Invoice 72760 10/9/2015
12/23/15 1:59 PM
Page 1
$510.00
Transaction Date 12/23/2015 Wells Fargo 10100 Total $510.00
Refer 2DISPLAYSALES _
Cash Payment E 10143100-210 Operating Supplies CHRISTMAS WREATHS & BULBS $169.00
Invoice 004903 12/14/2015
Transaction Date 12/23/2015 Wells Fargo 10100 Total $169.00
Refer 16 GILLET, MARC
Cash Payment R 601-49400-36200 Miscellaneous Revenu REFUND UTILITY OVERPAYMENT- 5032 $180.57
CRESTVIEW RD- M. GILLET
Invoice 122315 12/21/2015
Transaction Date 12/23/2015 Wells Fargo 10100 Total $100.57
Refer 3 HECKSEL MACHINE SHOP _
Cash Payment E 101-45200-220 Repair/Maint Supply WOOD CHIPPING BOX ALUM EXPANDED $381.00
MATERIAL- PARKS
Invoice 100112 12/14/2015
Transaction Date 12/23/2015 Wells Fargo 10100 Total $381.00
Refer
4 HENNEPIN COUNTY ELECTIONS
_
Cash Payment
E 101-41410-210 Operating Supplies
ELECTIONS- POSTAL VERIFICATION $333.68
CARDS -2015
Invoice 1215-1
12/11/2015
Transaction Date
12/23/2015
Wells Fargo 10100 Total $333.68
Refer M
6 HOME DEPOT/GECF (PA49
_
Cash Payment
E 101.43100-220 Repair/Maint Supply
DEWEALT 20V 2 PACK BATTERY- STEP $827.53
WHEEL
LADDER, MEASURING
RECIPROCATING SAW, ALUMINUM SCOOP,
SHARPIE, CONDUIT, SLOTTED
SCREWDRIVER, HEX BIT SOCKET SET,
WIRE STRIPPER/CUTTER, LONGNOSE
PLIERS, SCREWDRIVER SET
Invoice 2825.217043 12117/2015
Transaction Date 12/23/2015 Wells Fargo 10100 Total $827.53
Refer 9 HOWLING WOLF EMBROIDERY _
Cash Payment E 101-41500-218 Clothing and Uniforms CITY LOGO EMBROIDERED ON $14.00
MOUNDWEAR-C. ROBERTS
Invoice 3914 12/15/2015
Cash Payment E 101-42400-218 Clothing and Uniforms
Invoice 3914 12/15/2015
Transaction Date 12/23/2015
Refer 5 LA WSON PRODUCTS, INC
CITY LOGO EMBROIDERED ON
MOUNDWEAR-J. NORLANDER
Wells Fargo 10100
-24-
Total
$7.00
$21.00
Payments
Current Period: December 2015
Cash Payment E 101-45200-210 Operating Supplies
Invoice 9303750333 12/9/2015
12/23/15 1:59 PM
Page 2
MISC PARTS- PARKS DEPT- NYLON CABLE $452.48
TIES, AMP MAXI FUSES, WIRE
CONNECTORS, SLUM RIVETSAMP AUTO
FUSES, MINI FUSES
Transaction Date 12/23/2015 Wells Fargo 10100 Total $452.48
Refer 7 MINNESOTA VALLEY TESTING LA _
Cash Payment E 601.49400470 Water Samples MONTHLY CHLORINE REPORT & COLIFORM $77.50
WATER TESTS -10
Invoice 788173 12/15/2015
Transaction Date 1223/2015 Wells Fargo 10100 Total $77.50
Refer8 NEOPOST
Cash Payment G 101-15500 Prepaid Items POSTAGE METER MACHINE LEASE & MTCE $1,623.00
1-3-16 THRU 1-2-17
Invoice N5660359 12/3/2015
Transaction Date 12/14/2015 Wells Fargo 10100 Total $1,623.00
Refer ^� 17 R. C. ELECTRIC, INCORPORATED
CashPayment E 10145200400 Repairs & Maintenance REMOVE & REPLACE FLOOD & FLAG LIGHT $312.06
AT VETERANS PARK
Invoice 4919 11/2/2015
Cash Payment E 101-41910-400 Repairs & Maintenance REMOVE & REPLACE FLOODLIGHT AT $605.76
CENTENNIAL BLDG
Invoice 4919 11/22015
Cash Payment E 401-43115-300 Professional Srvs
Invoice 4903 1020/2015
FURNISH & INSTALL NEW BLACK LAMP $518.17
POST LIGHT & GFCI RECEPTACLE-
GRANDVIEW BLGD- 2015 STREET PROJ PW
15-01
Project PW 1501
Transaction Date 12/23/2015 Wells Fargo 10100 Total $1,435.99
Refer 18 SIGNAGE, THE _
Cash Payment E 222-42260-219 Safety supplies 1" REFLECTIVE WHITE DECALS- T. PALM, C. $35.00
PALM, CATTON, BROWN, D. BERENT,
GORMAN
Invoice 30155 12/42015
Transaction Date 12232015 Wells Fargo 10100 Total $35.00
Refer
10 SIMPLEX GRINNELL _
Cash Payment
G 101-15500 Prepaid Items
ALARM & DETECTION MONITORING 1-01-16 $375.00
THRU 12-31-17 CENT BLDG
Invoice 78258767 11/30/2015
Cash Payment
G 602-15500 Prepaid Items
ALARM & DETECTION MONITORING 1-01-16 $375.00
THRU 12-31-17 PUS WKS BLDG
Invoice 78259666 11/30/2015
Project 16-3
Cash Payment
E 609.49750-440 Other Contractual Servic
REPLACE HORN -STROBE ALARM SYSTEM- $174.76
HWS 11-20-15
Invoice 81982763 12/1/2015
Cash Payment G 609-15500 Prepaid Items ALARM & DETECTION MONITORING 1-01-16 $545.00
THRU 12-31-17 hws
Invoice 78291649 12/3/2015
Transaction Date 12/14/2015 Wells Fargo 10100 Total $1,469.76
Refer 19 SOUTHWEST NEWS MEDIA
-25-
CITY OF MOUND
Payments
Current Period: December 2015
12/23/15 1:59 PM
Page 3
Transaction Date 12/23/2015 Wells Fargo 10100 Total $73.85
Refer 21 STANG INDUSTRIES, INC _
Cash Payment E 222-42260-210 Operating Supplies FIRE HOSE MONITORS, VALVES, NOZZLES $1,614.50
Invoice 27699 11/25/2015 P024452
Transaction Date 1223/2015 Wells Fargo 10100 Total $1,614.50
Refer11 SUNNEWSPAPERS-HWSACCT. _
Cash Payment E 60949750-340 Advertising REPEAL OF PROHIBITION SALE AD- HWS 11- $833.63
28-15
Invoice 281578 1129/2015
Transaction Date 12/232015 Wells Fargo 10100 Total V $833.63
Refer -'� 22 TONKA PLUMBING HEATING & CL
Cash Payment E 602-49450-440 Other Contractual Servic REPAIR FURNACE @ PUB WKS BLDG- $450.00
REPLACE DRAFT MOTOR 11-19-15
Invoice 8189 1123/2015 Project 15-3
Transaction Date 1223/2015 Wells Fargo 10100 Total $450.00
Refer 23 TWIN CITY GARAGE DOOR COMP ...>.�.,...ed.....�. �.,.
Cash Payment E 22242260401 Building Repairs H REPAIR
DOOR OPE ERE REPLACBRE DEPT AD $540.50
GARAGE DOOR
Invoice 450812 11/24/2015
Transaction Date 12/23/2015
Refer ... 12 ULINE
Cash Payment E 101-43100-210 Operating Supplies
Invoice 72434636 622/2015
Wells Fargo 10100
LINED COWHIDE LEATHER DRIVER
GLOVES -STREETS DEPT
Total $540.50
$117.60
Transaction Date 1223/2015 Wells Fargo 10100 Total
Refer
13 WACONIA FORD MERCURY
_
Cash Payment
E 609-49750-340 Advertising
SMALL BUS SATURDAY AD 11-02-15
$10.00
Invoice 1838839
11/19/2015
Transaction Date
12/23/2015
Cash Payment
E 609-49750-340 Advertising
SMALL BUS SATURDAY AD LAKESHORE
$381.50
Cash Payment
E 101-45200-534 Tree Planting
WEEKLY NEWS 11-02.15
Invoice 2015.170
Invoice 1839144
11/24/2015
Tnneantinn Date
12/23/2015
Cash Payment
E 609-49750-340 Advertising
SMALL BUS SATURDAY AD 11-26-15
$10.00
Invoice 1839995
11/26/2015
TransactionDate12/23/2015
Wells Fargo 10100 YW Notal
$401.50
Refer
20 SPIKES FEED, SEED & PET SUPPL
_
Cash Payment
E 101-45200-232 Landscape Material
LOW GROW NO MOW 10# SEED MIX,--
$73.85
SHORT NATIVE WILDFLOWER MIX
Invoice 16990
11/16/2015
Transaction Date 12/23/2015 Wells Fargo 10100 Total $73.85
Refer 21 STANG INDUSTRIES, INC _
Cash Payment E 222-42260-210 Operating Supplies FIRE HOSE MONITORS, VALVES, NOZZLES $1,614.50
Invoice 27699 11/25/2015 P024452
Transaction Date 1223/2015 Wells Fargo 10100 Total $1,614.50
Refer11 SUNNEWSPAPERS-HWSACCT. _
Cash Payment E 60949750-340 Advertising REPEAL OF PROHIBITION SALE AD- HWS 11- $833.63
28-15
Invoice 281578 1129/2015
Transaction Date 12/232015 Wells Fargo 10100 Total V $833.63
Refer -'� 22 TONKA PLUMBING HEATING & CL
Cash Payment E 602-49450-440 Other Contractual Servic REPAIR FURNACE @ PUB WKS BLDG- $450.00
REPLACE DRAFT MOTOR 11-19-15
Invoice 8189 1123/2015 Project 15-3
Transaction Date 1223/2015 Wells Fargo 10100 Total $450.00
Refer 23 TWIN CITY GARAGE DOOR COMP ...>.�.,...ed.....�. �.,.
Cash Payment E 22242260401 Building Repairs H REPAIR
DOOR OPE ERE REPLACBRE DEPT AD $540.50
GARAGE DOOR
Invoice 450812 11/24/2015
Transaction Date 12/23/2015
Refer ... 12 ULINE
Cash Payment E 101-43100-210 Operating Supplies
Invoice 72434636 622/2015
Wells Fargo 10100
LINED COWHIDE LEATHER DRIVER
GLOVES -STREETS DEPT
Total $540.50
$117.60
Transaction Date 1223/2015 Wells Fargo 10100 Total
Refer
13 WACONIA FORD MERCURY
_
Cash Payment
E 101-45200-220 Repair/Maint Supply
TENSION- PARKS
Invoice 81956
12/82015
Transaction Date
12/23/2015
Wells Fargo 10100 Total
Refer
14 WACONIA TREE FARMS
_
Cash Payment
E 101-45200-534 Tree Planting
5 BLACK HILLS SPRUCE TREES- PARKS
Invoice 2015.170
11/42015
Tnneantinn Date
12/23/2015
Wells Fargo 10100 Total
Refer 15XCELENERGY _ _26_
$117.60
$132.34
$132.34
$1,150.00
.$1,150.00
Payments
Current Period: December 2015
Cash Payment E 10143100-381 Electric Utilities
Invoice 481429985 12/3/2015
Transaction Date 12/23/2015
Refer 24 ZIEGLER, INCORPORATED
12/23/151:59 PM
Page 4
ELECTRIC SVC 111-03-15 THRU 12-02-15 $4,524.90
CITY OWNED STREET LIGHTS
Wells Fargo 10100 Total $4,524.90
Cash Payment E 602-49450-220 Repair/Maint Supply TIRE INNER TUBE PARTS $107.35
Invoice PC120061850 11/25/2015 Project 15-3
Transaction Date 12/23/2015 Wells Fargo 10100 Total $107.35
Fund Summary
Pre -Written Check $0.00
Checks to be Generated by the Computer $17,462.68
Total $17,462.68
-27-
10100 Wells Fargo
101 GENERAL FUND
$11,099.20
222 AREA FIRE SERVICES
$7190.00
401 GENERAL CAPITAL PROJECTS
$518.17
601 WATER FUND
$258.07
602 SEWER FUND
$1,442.35
609 MUNICIPAL LIQUOR FUND
$1,954.89
$17,462.68
Pre -Written Check $0.00
Checks to be Generated by the Computer $17,462.68
Total $17,462.68
-27-
CITY OF MOUND 12!29115 8:11 AM
Page 1
Payments
Current Period: December 2015
sa;,'>�r&ZS7.1•",&;i.#��`�G.'s'w'C�5`:°e".�:�et9k',�. ..�._ .^�-- u-..��".3�'�`ti&ibe�.�'3�=3m
Batch Name 122815HWS User Dollar Amt $87,542.98
Payments Computer Dollar Amt $87,542.98
$0.00 In Balance
Refer 1 ARCTIC GLACIER PREMIUM ICE _
Cash Payment E 609-49750-255 Misc Merchandise For R ICE $110.56
Invoice 439534908 12/15/2015
Cash Payment E 609-49750-265 Freight FREIGHT $1.00
Invoice 439534908 12/15/2015
Transaction Date 12/23/2015 Due 12/31/2014 Wells Fargo 10100 Total $111.56
Refer 2 ARTISAN BEER COMPANY
Cash Payment E 609-49750-252 Beer For Resale
BEER
$195.45
Invoice 3071187 ' 12/10/2015
Cash Payment E 609-49750-252 Beer For Resale
BEER
$371.25
Invoice 3070079 12/3/2015
Cash Payment E 609-49750-252 Beer For Resale
BEER
$326.35
Invoice 3072654 12/17/2015
Cash Payment E 60949750-252 Beer For Resale
BEER
$50.00
Invoice 3073497 12/22/2015
Cash Payment E 609-49750-252 Beer For Resale
BEER CREDIT
-$240.00
Invoice 330268 11/17/2015
Cash Payment E 609-49750-252 Beer For Resale
BEER CREDIT
•$42.95
Invoice 329238 11/4/2015
Cash Payment E 609-49750-252 Beer For Resale
BEER CREDIT
-$15.38
Invoice 330196 11/16/2015
Cash Payment E 609-49750-252 Beer For Resale
BEER CREDIT
-$3.95
Invoice 330197 11/16/2015
Cash Payment E 609-49750-252 Beer For Resale
BEER CREDIT
-$376.08
Invoice 330198 11116/2015
Transaction Date 12/23/2015
Wells Fargo 10100 �_.,�W,..._..
J
Total $264.69
Refer 3 BELLBOY CORPORATION
Cash Payment E609-49750-210 Operating Supplies
SUPPLIES, BAGS
$56.80
Invoice 93119100 12/7/2015
Cash Payment E 609-49750-254 Soft Ddnks/Mix For Resa MIX
$67.25
Invoice 93119100 12/7/2015
Cash Payment E 609-49750-255 Misc Merchandise For R
MDSE- PLASTIC CUPS, FLASKS
$46.50
Invoice 93119100 12/7/2015
Cash Payment E 60949750-254 Soft Drinks/Mix For Resa MIX
$1999
Invoice 93112700 12/4/2015
Cash Payment E 609-49750-210 Operating Supplies
SUPPLIES- BAGS
$47.00
Invoice 93112700 12/4/2015
Transaction Date 1223/2015
Wells Fargo 10100
Total $237.54
Refer 5 BELLBOY CORPORATION
Cash Payment E 609-49750.251 Liquor For Resale
LIQUOR
$2,791.15
Invoice 51548600 12/22/2015
Cash Payment E 609-49750-265 Freight
FREIGHT
$29.45
Invoice 51548600 1222/2015
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
$850.00
Invoice 51553600 1222/2015
-28-
07=
12/29/15 8:11 AM
Page 2
Current Period: December 2015
_
Cash Payment E60949750-210 Operating Supplies SUPPLIES, BAGS
Cash Payment E 609-49750-251 Liquor For Resale
Cash Payment E 609-49750-265 Freight
FREIGHT
$15.50
Invoice 51553600 12/22/2015
Invoice 93210200 12/22/2015
Cash Payment E 60949750-251 Liquor For Resale
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
$2,335.34
Invoice 51285000 12/4/2015
Cash Payment E 609.49750-255 Misc Merchandise For R MDSE- 3 PC SHAKER SETS
Cash Payment E 609-49750-265 Freight
Cash Payment E 609-49750-265 Freight
FREIGHT
$23.53
Invoice 51285000 12/4/2015
Refer —. 7 BERNICKS BEVERAGES AND VEN
Cash Payment E 609.49750-251 Liquor For Resale
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
$794.00
Invoice 51505800 12/18/2015
Cash Payment E 609.49750-252 Beer For Resale BEER
Transaction Date 12/23/2015
Cash Payment E 609-49750-265 Freight
FREIGHT
$12.75
Invoice 51505800 12/18/2015
Invoice 19271 11/24/2015
Transaction Date 12/23/2015
Wells Fargo 10100
Total $6,851.72
Refer 6 BELLBOY CORPORATION
_
Cash Payment E60949750-210 Operating Supplies SUPPLIES, BAGS
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
$4,439.12
Invoice 51305500 12/7/2015
$29.00
Invoice 93210200 12/22/2015
Cash Payment E 60949750-251 Liquor For Resale
LIQUOR
$1,366.49
Invoice 51390700 12/11/2015
Cash Payment E 609.49750-255 Misc Merchandise For R MDSE- 3 PC SHAKER SETS
Cash Payment E 609-49750-265 Freight
FREIGHT
$20.68
Invoice 51390700 12/11/2015
$252.91
Refer —. 7 BERNICKS BEVERAGES AND VEN
Cash Payment E 609.49750-251 Liquor For Resale
LIQUOR
$4,405.85
Invoice 51410300 12/14/2015
Cash Payment E 609.49750-252 Beer For Resale BEER
Transaction Date 12/23/2015
Wells Fargo 10100
Total $10,232.14
Refer 4 BELLBOY CORPORATION _
Cash Payment E60949750-210 Operating Supplies SUPPLIES, BAGS
$135.47
Invoice 93210200 12/22/2015
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX
$29.00
Invoice 93210200 12/22/2015
Cash Payment E 609-49750-255 Misc Merchandise For R MDSE- CORKSCREW, GIFT BAGS, BOWS
$53.94
Invoice 93210200 1222/2015
Cash Payment E 609.49750-255 Misc Merchandise For R MDSE- 3 PC SHAKER SETS
$34.50
Invoice 93157300 12/142015
Transaction Date 12/23/2015 Wells Fargo 10100 Total
$252.91
Refer —. 7 BERNICKS BEVERAGES AND VEN
Cash Payment E 609-49750-254 Soft Drinks/Mix For Rasa MIX
$94.40
Invoice 266910 12/162015
Cash Payment E 609.49750-252 Beer For Resale BEER
$689.36
Invoice 266911 12/16/2015
Cash Payment E 609-49750-252 Beer For Resale BEER CREDIT
-$199.80
Invoice 19271 11/24/2015
Transaction Date 12/23/2015 Wells Fargo 10100 Total
$583.96
Refer 8 BLUE SKY MEDIA
Cash Payment E 609.49750-340 Advertising
Invoice 16930 12/182015
Transaction Date 1223/2015
Refer 9 CHANKASKA CREEK TASTING
Cash Payment E 609-49750-253 Wine For Resale
Invoice 147816 12/15/2015
1/4 PAGE AD LAKE MTKA MOVER MAILER $168.00
DEC 2015 ISSUE
Wells Fargo 10100
WINE
-29-
Total $168.00
$201.60
CITY OF MOUND
Payments
Current Period: December 2015
12/29/15 8:11 AM
Page 3
+:{:::... J .... ... �. -..-. ..iel..
._ ,...._ 5.
_
Transaction Date 12/23/2015
Wells Fargo
10100
Total
$201.60
Refer K,y
10 COCA COLA BOTTLING -MIDWEST
Cash Payment
E 609-49750.252 Beer For Resale
Cash Payment
E 60919750-254 Soft Drinks/Mix For Rasa COCA COLA PRODUCTS- MIX
Invoice 801806
$288.04
Invoice 0108054909 12/15/2015
Transaction Date
12/23/2015
Wells Fargo 10100
Transaction Date 12/23/2015
Wells Fargo
10100
Total
$288.04
Refer
11 DAHLHEIMER BEVERAGE LLC
_
$2,170.65
Invoice 2454375
12/9/2015
Cash Payment
E 609.49750-252 Beer For Resale
BEER
E 609.49750.254 Soft Drinks/Mix For Rasa MIX
$100.30
$653.50
Invoice 1185249
12/16/2015
Cash Payment
E 60919750-252 Beer For Resale
BEER
Transaction Date
12/23/2015
Wells Fargo
10100
Total
$653.50
Refer
12 ENKI BREWING COMPANY
Total $2,295.55
Cash Payment
E 60919750-252 Beer For Resale
BEER
$73.80
Invoice 4875
12/7/2015
Cash Payment
E 60919750-252 Beer For Resale
BEER
$180.00
Invoice 3690
3/18/2015
Cash Payment
E 609.49750-252 Beer For Resale
BEER
$180.00
Invoice 3583
2/18/2015
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$138.80
Invoice 4768
11/10/2015
Cash Payment
E 609.49750-252 Beer For Resale
BEER CREDIT
-$50.00
Invoice 4875A
12/16/2015
Transaction Date
12/23/2015
Wells Fargo
10100
Total
$522.60
Refer�yw
13 EXTREME BEVERAGE
Cash Payment
E 60919750-254 Soft Drinks/Mix For Resa MIX
$184.00
Invoice 1333136
12/17/2015
Transaction Date
12/23/2015
Wells Fargo
10100
Total
$184.00
Refer 14 FLAHERTY S HAPPY TYME COMP _
Cash Payment E 609-49750.254 Soft Drinks/Mix For Rasa MIX $108.00
Invoice 31237 12/16/2015
Cash Payment E 60949750-254 Soft Drinks/Mix For Resa MIX $54.00
Invoice 31715 12/19/2015
Transaction Date 12/23/2015 Wells Fargo 10100 Total $162.00
Refer
15 HOHENSTEINS, INCORPORATED
_
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$1,058.84
Invoice 799442
12/10/2015
Cash Payment
E 609-49750.252 Beer For Resale
BEER
$647.50
Invoice 801806
1222/2015
Transaction Date
12/23/2015
Wells Fargo 10100
Total $1,706.34
....._.W.�....-�
Refer N
18 JJ TAYLOR. DISTRIBUTING MINN
_
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$2,170.65
Invoice 2454375
12/9/2015
Cash Payment
E 609.49750.254 Soft Drinks/Mix For Rasa MIX
$100.30
Invoice 2454376
12/9/2015
Cash Payment
E 60919750-252 Beer For Resale
BEER
$24.60 1
Invoice 2432236
12/9/2015
--
Transaction Date
12/23/2015
Wells Fargo 10100
Total $2,295.55
Refer 16 JJ TAYLOR. DISTRIBUTING MINN - _30_
Payments
Current Period: December 2015
Cash Payment
E 609-49750.252 Beer For Resale
BEER
Invoice 2454421
12/16/2015
12/3/2015
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Rasa MIX
Invoice 2454414
12/16/2015
12122/2015
Cash Payment
E 60949750-252 Beer For Resale
BEER
Invoice 2454415
12/16/2015
12/22/2015
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 2433391
12/16/2015
1222/2015
Cash Payment
E 609.49750-252 Beer For Resale
BEER
Invoice 2454413
12/16/2015
122/2015
Transaction Date
12/23/2015
Wells Fargo
Refer-
17 JJ TAYLOR. DISTRIBUTING MINN
LIQUOR
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 2454457
12/22/2015
12/3/2015
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 2454453
12122/2015
E 609-49750-253 Wine For Resale
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 2454449
12/22/2015
12/4/2015
Cash Payment
E 609-49750-252 Beer For Resale
BEER
.. Invoice 2454450
1222/2015
Cash Payment
E 609.49750-252 Beer For Resale
BEER
Invoice 2428823
122/2015
12/22/2015
Transaction Date
1223/2015
Wells Fargo
Refer
19 JOHNSON BROTHERS LIQUOF
Cash Payment
E 609.49750-253 Wine For Resale
Invoice 5318437
12/3/2015
Cash Payment
E 609-49750-251 Liquor For Resale
Invoice 554842
12/42015
Cash Payment
E 609-49750-253 Wine For Resale
Invoice 554843
12/4/2015
Cash Payment
E 60949750.253 Wine For Resale
Invoice 554841
12/4/2015
Transaction Date
12/232015
Refer
21 JOHNSON BROTHERS LIQUOR
12/29/15 8:11 AM
Page 4
$24.60
$118.80
$27.65
$123.00
$3,851.50
10100 Total $4,145.55
10100
$27.70
$119.90
$3,810.46
$38.20
$49.20
Total $4,045.46
WINE $80.00
LIQUOR CREDIT
-$3.99
WINE CREDIT
-$4.68
WINE CREDIT
-$3.45
Wells Fargo 10100
Total $67.88
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$1,224.95
Invoice 5328197
12/162015
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$1,728.75
Invoice 5328195
12/16/2015
Cash Payment
E 609-49750.253 Wine For Resale
WINE
$2,494.10
Invoice 5328196
12/162015
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$1,417.64
Invoice 5333485
12/22/2015
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$2,026.62
Invoice 5333487
12222015
Cash Payment
E 609.49750-253 Wine For Resale
WINE
$1,562.10
Invoice 5333486
12/222015
Transaction Date
1223/2015
Wells Fargo 10100
Total $10,454.16
Refer -
20 JOHNSON BROTHERS LIQUORY-���
_31-�Y��6��
CITY OF MOUND 12/29/15 8:11 AM
Page 5
Payments
Current Period: December 2015
Refer
23 NEW FRANCE WINE COMPANY
Cash Payment
E 609-49750.254 Soft Drinks/Mix For Resa MIX
$76.95
Invoice 5322525
12/9/2015
$160.00
Invoice 106049
Cash Payment
E 609.49750-251 Liquor For Resale
LIQUOR
$2,268.93
Invoice 5322526
12/9/2015
$1.50
Invoice 106049
Cash Payment
E 609.49750-253 Wine For Resale
WINE
$3,343.65
Invoice 5322524
12/9/2015
Total $161.50
Refer --
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$778.50
Invoice 5322523
12/9/2015
$282.00
Invoice 15160
Transaction Date
12/23/2015
Wells Fargo 10100
Total $6,468.03
Refertl
22 MARLIN S TRUCKING DELIVERYY�uOOY-o
Total $282.00
Refer
Cash Payment
E 60949750-265 Freight
DELIVERY SVC 12-3-15
$291.45
Invoice 31376
12/3/2015
$785.07
Invoice 8527755
Cash Payment
E 609-49750-265 Freight
DELIVERY SVC 12-7-15
$52.20
Invoice 31385
12/7/2015
$12.50
Invoice 8527755
Cash Payment
E 609-49750-265 Freight
DELIVERY SVC 12-10.15
$224.75
Invoice 31402
12/10/2015
$475.00
Invoice 8526953
Cash Payment
E 609-49750-265 Freight
DELIVERY SVC 12.14-15.
$52.20
Invoice 31412
12/14/2015
$8.75
Invoice 8526953
Transaction Date
12/23/2015
Wells Fargo 10100
Total $620.60
Refer
23 NEW FRANCE WINE COMPANY
_
Cash Payment
E 60949750-253 Wine For Resale
WINE
$160.00
Invoice 106049
12/16/2015
Cash Payment
E 609.49750-265 Freight
FREIGHT
$1.50
Invoice 106049
12/16/2015
Transaction Date
12/23/2015
Wells Fargo 10100
Total $161.50
Refer --
24 PARLEY LAKE WINERY
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$282.00
Invoice 15160
12/22/2015
Transaction Date
12123/2015
Wells Fargo 10100
Total $282.00
Refer
26 PAUSTIS AND SONS WINE COMPA
_
Cash Payment
E 60949750-253 Wine For Resale
WINE
$1,395.84
Invoice 8529016
12/21/2015
Cash Payment
E 609-49750-265 Freight
FREIGHT
$23.75
Invoice 8529016
12121/2015
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$218.00
Invoice 8529017
12/21/2015
Cash Payment
E 609-49750-265 Freight
FREIGHT
$2.25
Invoice 8529017
12/21/2015
Transaction Date
12/23/2015
Wells Fargo 10100
Total $1,639.84
Refer
25 PAUSTIS AND SONS WINE COMPA
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$785.07
Invoice 8527755
12/14/2015
Cash Payment
E 609.49750.265 Freight
FREIGHT
$12.50
Invoice 8527755
12/142015
Cash Payment
E 609.49750-253 Wine For Resale
WINE
$475.00
Invoice 8526953
12/8/2015
Cash Payment
E 60949750-265 Freight
FREIGHT
$8.75
Invoice 8526953
12/8/2015
-32-
CITY OF MOUND 12/29/15 8:11 AM
Page 6
Payments
Current Period: December 2015
Refer
31 SOUTHERN WINE & SPIRITS OF M _
Cash Payment
Cash Payment E 609.49750-251 Liquor For Resale
LIQUOR
Invoice 1356299
$172.00
Invoice 8527422 12/10/2015
Cash Payment
E 609-49750-251 Liquor For Resale LIQUOR
$1,265.61
Cash Payment E 609-49750-265 Freight
FREIGHT
$2.25
Invoice 8527422 12/10/2015
$48.00
Invoice 1356301
12/10/2015
Transaction Date 12/23/2015
Wells Fargo
10100
Total $1,455.57
Refer 27 PHILLIPS WINE AND SPIRITS, INC
_
Cash Payment E 60949750-253 Wine For Resale
WINE
-$477.30
Invoice 2902999 12/22/2015
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
$254.50
Invoice 2902998 12/22/2015
Cash Payment E 609-49750-253 Wine For Resale
WINE
$956.75
Invoice 2895333 12/9/2015
Transaction Date 12/23/2015
Wells Fargo
10100
Total $1,688.55
Refer 28 PHILLIPS WINE AND SPIRITS, INC
W�....-.d..�.._-..._
Cash Payment E 609.49750-251 Liquor For Resale
LIQUOR
$772.70
Invoice 2899293 12/16/2015
Cash Payment E 609-49750-253 Wine For Resale
WINE
-
$1,041.25
Invoice 2899294 12/16/2015
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
$599.20
Invoice 28953332 12/9/2015
Transaction Date 12/23/2015
Wells Fargo
10100
Total $2,413.15
Refer�tl W4� 29 SCHRAM WINERY, LLC-_�
Cash Payment E 609.49750-253 Wine For Resale
WINE
$120.00
Invoice 14063 12/10/2015
Transaction Date 12/2812015
Wells Fargo
10100
Total $120.00
Refer 30 SOCIABLE CIDERWERKS_�y-�W
-��---�-��
Cash Payment E 609-49750-252 Beer For Resale
BEER
$100.00
Invoice 2347 12/8/2015
Transaction Date 12/28/2015
Wells Fargo
10100
Total $100.00
Refer 32 SOUTHERN WINE & SPIRITS OF M
Cash Payment E 609.49750-253 Wine For Resale
WINE
$1,582.50
Invoice 1361237 12/23/2015
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
$762.25
Invoice 1361238 12/23/2015
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa
MIX
$61.89
Invoice 1361239 12/23/2015
Transaction Date 12/23/2015
Walls Fargo
10100
Total $2,406.64
Refer
31 SOUTHERN WINE & SPIRITS OF M _
Cash Payment
E 609-49750-253 Wine For Resale WINE
$1,850.06
Invoice 1356299
12110/2015
Cash Payment
E 609-49750-251 Liquor For Resale LIQUOR
$1,265.61
Invoice 1356300
12/10/2015
Cash Payment
E 609.49750-254 Soft Drinks/Mix For Rasa MIX
$48.00
Invoice 1356301
12/10/2015
Cash Payment
E 609-49750-253 Wine For Resale WINE
$1,795.50
Invoice 1358866
12/17/2015
-33-
CITY OF MOUND 12/29/15 8:11 AM
Page 7
Payments
Current Period: December 2015
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,-.�„.,gra,.,.�,.... vm�uam'sa"+�.wttw�.�"�=»s
m..me^
aG Y5.^:,^r'-"�-"fLti.,n's-`x3.�.i$e�'tw�sui;:�b.us.�a.�ale"'d::•;�:..:,,
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$978.16
Invoice 1358864
12/17/2015
Transaction Date
1223/2015
Wells Fargo
10100 Total $5,937.33
Refer
33 THORPE DISTRIBUTING COMPAN
_
Cash Payment
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$250.50
Invoice 1004316
12/11/2015
Transaction Date
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$244.00
Invoice 1008089
12/14/2015
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$4,419.15
Invoice 1005624
12/15/2015
Cash Payment
E 609.49750-252 Beer For Resale
BEER
$85.20
Invoice 1005625
12/15/2015
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa MIX
$28.80
Invoice 1005625
12/15/2015
-34-
Transaction Date
1223/2015
Wells Fargo
10100 Total $5,027.65
Refer
34 THORPE DISTRIBUTING COMPAN
_
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$416.65
Invoice 1002008
12/8/2015
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$46.20
Invoice 1002009
12/8/2015
_
Cash Payment
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$117.00
Invoice 1007962
12/18/2015
Transaction Date
Cash Payment
E 609.49750-252 Beer For Resale
BEER
$190.00
Invoice 1011626
12/18/2015
Transaction Date
1223/2015
Wells Fargo 10100
Total $769.85
Refer
35 THORPE DISTRIBUTING COMPAN
_
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$1,518.60
Invoice
1221/2015
Cash Payment
E 60949750-252 Beer For Resale
BEER CREDIT
-$30.00
Invoice 00110078 1221/2015
37 VINOCOPIA, INCORPORATED
_
Cash Payment
E 609.49750-252 Beer For Resale
BEER CREDIT
-$26.25
Invoice 897743
1123/2015
12/10/2015
Transaction Date
1228/2015
Wells Fargo 10100
Total $1,462.35
Refer
36 TKO WINES, INC.
_
Cash Payment
E 609.49750-253 Wine For Resale
WINE
$151.20
Invoice 2665
12/3/2015
Transaction Date
1223/2015
Wells Fargo 10100
Total $151.20
Refer
37 VINOCOPIA, INCORPORATED
_
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$695.38
Invoice 0140147
12/10/2015
Cash Payment
E 60949750-265 Freight
FREIGHT
$10.50
Invoice 0140147
12/10/2015
Cash Payment
E 60949750-253 Wine For Resale
WINE
$633.00
Invoice 0140146
12/10/2015
Cash Payment
E 609-49750.265 Freight
FREIGHT
$9.00
Invoice 0140146
12/10/2015
Cash Payment
E 609-49750-254 Soft Ddnks/Mix For Rasa SODA
$120.00
Invoice 0140799
12/17/2015
-34-
CITY OF MOUND 12/29/158:11 AM
Page 8
D
Payments
Current Period: December 2015
VK}��.1',i^..i'
.iT�'i hyi4lnniw'i4k3.....v�+.iE(a. aCC. eka%f A, �p��'•�s«r4,c.:-v.Y`..�°�f+1Tt'Sa1Fz�scm+uwm
Total
Cash Payment
E 609-49750.265 Freight
FREIGHT
$7.50
Invoice 0140799
12/17/2015
Cash Payment
E 609-49750-440 Other Contractual Servic MONTHLY WEBSITE SVC 12-15-15 THRU 1-
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$108.25
Invoice 0140800
12/17/2015
Invoice 67751
12/15/2015
Cash Payment
E 609-49750-265 Freight
FREIGHT
$2.50
Invoice 0140800
12/17/2015
$99.00
Refer
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$120.00
Invoice 0139508
12/3/2015
WINE
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$751.63
Invoice 0139507
12/3/2015
Cash Payment
E 609-49750-265 Freight
Cash Payment
E 609.49750-253 Wine For Resale
WINE CREDIT
-$110.50
Invoice 0140146CM 12/14/2015
Transaction Date
12/23/2015
Wells Fargo 10100
Total $2,347.26
Refer 38 WACONIA BREWING COMPANY
Cash Payment E 60949750-252 Beer For Resale
Invoice 3878 12/22/2015
Transaction Date 12/23/2015
_
BEER
Wells Fargo 10100
Total
$40.00
$40.00
Refer
39 WEBLEASE USA
Cash Payment
E 609-49750-440 Other Contractual Servic MONTHLY WEBSITE SVC 12-15-15 THRU 1-
$99.00
14-16 HWS
Invoice 67751
12/15/2015
Transaction Date 12/23/2015
Wells Fargo 10100
Total
$99.00
Refer
41 WINE COMPANYw
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$264.00
Invoice 412651
12/17/2015
Cash Payment
E 609-49750-265 Freight
FREIGHT
$6.30
Invoice 412651
12/17/2015
Cash Payment
E 60949750-253 Wine For Resale
WINE
$304.00
Invoice 413145
12/212015
Transaction Date 1223/2015
Wells Fargo 10100
Total
$574.30
Refer
40 WINE COMPANY
_
Cash Payment
E 609.49750-253 Wine For Resale
WINE
$480.00
Invoice 411231
12/3/2015
Cash Payment
E 609-49750.265 Freight
FREIGHT
$8.40
Invoice 411231
12/3/2015
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$288.00
Invoice 411908
12/10/2015
Cash Payment
E 609-49750-265 Freight
FREIGHT
$8.40
Invoice 411908
12/10/2015
Transaction Date
12232015
Wells Fargo 10100
.W..�.u...,...-......_..,..._..�...-_»,W..w,-..__..,..�....�..
Total
$784.80
Refer
42 WINE MERCHANTS .�ti...-��_�
��
Cash Payment
E 609-49750.253 Wine For Resale
WINE
$1,139.00
Invoice 7060650
12/162015
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$510.00
Invoice 7059430
12/9/2015
Cash Payment
E 609.49750.255 Misc Merchandise For R
MDSE -4 PK WINE GLASSES
$132.00
Invoice 7060651
12/162015
-35-
CITY OF MOUND
Payments
Current Period: December 2015
12/29/15 8:11 AM
Page 9
i ..vY55>+MSS#.ii.'utYSWR�'1Q`�`,' ;u�J.AMv
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa
MIX -SODA
$23'00
Invoice 7060651 12/16/2015
Transaction Date 12/23/2015
Wells Fargo
10100 Total
$1,804.00
Refer43 WINE MERCHANTS'_
Cash Payment E 609-09750-253 Wine For Resale
WINE
$777.00
Invoice 7061794 12/22/2015
$21.D0
Cash Payment E 609-49750.254 Soft Drinks/Mix For Resa MIX
Invoice 7061795 12/22/2015
Transaction Date 1223/2015
Wells Fargo
10100 Total
$798.00
Refer ��µ_-•�,� 45 WIRTZ BEVERAGE MN BEER
Cash Payment E 60949750-252 Beer For Resale
BEER
$1,119'70
Invoice 1090506256 12/222015
Cash Payment E 609-09750.252 Beer For Resale
BEER
$23.80
Invoice 1090506257 12/22/2015
Transaction Date 12/23/2015
Wells Fargo
10100 Total
$1,143.50
Refer 44 WIRTZ BEVERAGE MN BEER
_
Cash Payment E 60949750-252 Beer For Resale
BEER
$488.65
Invoice 1090500853 12/9/2015
Cash Payment E 609-49750-252 Beer For Resale
BEER
$146.75
Invoice 1090500854 12/9/2015
$1,662'71
Cash Payment E 609-09750-252 Beer For Resale
BEER
Invoice 1090503229 12/16/2015
$81.00
Cash Payment E 609-49750-252 Beer For Resale
BEER
Invoice 1090503230 12/16/2015
Transaction Date 12/23/2015
Wells Fargo
10100 Total .�
$2,379.11
Refer 46 WIRTZ BEVERAGE MN WINE SPIRT
_
Cash Payment E 609-09750-253 Wine For Resale
WINE
$932.00
Invoice 1080414681 12/23/2015
$2,342.55
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 1080414680 1223/2015
Transaction Date 12/23/2015
Wells Fargo
10100 Total
$3,274.55
Refer w.. 47 Z WINES USA LLC
_
Cash Payment E 609.49750-253 Wine For Resale
WINE
$160.00
Invoice 16459 121172015
$5.00
Cash Payment E 609-49750-265 Freight
FREIGHT
Invoice 16459 12/17/2015
Transaction Date 1228/2015
Wells Fargo
10100 Total
$165.00
Fund Summary
10100
Wells Fargo
609 MUNICIPAL LIQUOR FUND
$87,542.98
$87,542.98
Pre -Written Check $0.00
Checks to be Generated by the Computer $87,542.98
Total $87,542.98
nn
vw
CITY OF MOUND
Payments
12/30/15 4:23 PM
Page 1
Current Period: December 2015
SFxa ..:t:S.w> -+,.. „e.b.wo `�'"� `.�•"-"` .''y''ai"'.a ... .�_.,.-..may yyr _.`.�"si'° ",5�.. e-"¢`3?"w7a`�'an" z'"`;
Batch Name 123015CTYMAN
Payments
User Dollar Amt
Computer Dollar Amt
Refer 4 MIDWEST SERVICES
Cash Payment E 602-49450-440 Other Contractual Servic
Invoice 1035 12/1/2015
Cash Payment E 602-49450.440 Other Contractual Servic
Invoice 1035 12/1/2015
Cash Payment E 602-49450-440 Other Contractual Servic
Invoice 1035 12/1/2015
$3,290.24
$3,290.24
$0.00 In Balance
CALLIBRATED SANDERS ON FREIGHTLINER
PLOW TRUCKS- CHANGE BRAKES &
ROTORS ON #113,
Project 15-5
DOT INSPECTION #515, ROLLER TRAILER
REPAIR WIRING, BRAKE INSPECTION
Project 15-5
CHARGED BATTEY #605, INSTALL NEW
BREAKAWAY BATTERIE ON ROLLER
TRAILER, INSTALL TAILGATE HANDLE
TRUCK #302, WELDED A FOOT ON TRAILER
JACK
Project 15-5
Cash Payment E 602-49450-440 Other Contractual Servic REPAIR WOOD SHIPPER FEEDER,
TOGHTEN HEATER HOSE CLAMPS -
WATERSIDE & SCHERVEN GENERATORS,
TOOPED OFF COOLANT, REPLACE
BATTERY AND CORRODED BATTERY
j CABLE END, DOT INSPECTION LUBE OIL
J FILTER #209
Invoice 1035 12/1/2015 Project 15.5
$640.00
$720.00
$640.00
$760.00
Transaction Date 12/30/2015 Wells Fargo 10100 Total $2,760.00
Refer
3 NORLANDER, JILL
_
Cash Payment
E 101-42400-218 Clothing and Uniforms
REIMBURSE- 2015 MOUNDWEAR J. $36.00
NORLANDER
Invoice 123015
11/11/2015
Transaction Date
12/30/2015
Wells Fargo 10100 Total $36.00
Refer ....,....�..1
PALM, GREG
Cash Payment
E 222-42260-434 Conference & Training
REIMB- MEALS & TRANSPORTATION- $97.28
VOLUNTEER & OFFICERS FIRE
SYMPOSIUM- FL 11-11-15 THRU 11-14-15 G.
PALM
Invoice 122315 1213/2015
Transaction Date 12/23/2015 Wells Fargo 10100 Total $97.28
Refer 2 PEDERSON, GREG _
Cash Payment E 222-42260-434 Conference & Training REIMB- MEALS & TRANSPORTATION— $396.96
VOLUNTEER & OFFICERS FIRE
SYMPOSIUM- FL 11-11-15 THRU 11-14.15 G.
PEDERSON
Invoice 122315 12/3/2015
Transaction Date 12/23/2015 Wells Fargo 10100 Total $396.96
-37-
CIN OF MOUND
Payments
Current Period: December 2015
Fund Summary
10100 Wells Fargo
101 GENERAL FUND
$36.00
222 AREA FIRE SERVICES
$49424
602 SEWER FUND
$2,760.00
$3,290.24
Pre -Written Check $0.00
Checks to be Generated by the Computer $3,290.24
Total $3,290.24
S"
12/30/15 4:23 PM
Page 2
Payments
Current Period: Closing 2015
01/07/16 9:35 AM
Page 1
4r'iii:� .s."-"-�ya""ea -nax�:s.«-.r.,.+; yy^. wa-�$ia�s. _ �e.^�»i.•.;ua � #..
_2"x&�1s �6%R' 'fl'm36CF".i.a
Batch Name 2015CITY-AP1 User Dollar Amt $48,964.80
Payments Computer Dollar Amt $48,964.80
$0.00 In Balance
Refer _
1 CENTERPOINT ENERGY(MINNEG
AP Payment
E 602-49450-383 Gas Utilities
Invoice 010616
12/22/2015
AP Payment
E 602.49450-383 Gas Utilities
Invoice 010616
12/22/2015
AP Payment
E 602-49450-383 Gas Utilities
Invoice 010616
12/22/2015
AP Payment
E 602-49450-383 Gas Utilities
Invoice 010616
12/22/2015
AP Payment
E 602-49450.383 Gas Utilities
Invoice 010616
12/22/2015
AP Payment
E 602-49450-383 Gas Utilities
Invoice 010616
12/22/2015
AP Payment E 602-49450-383 Gas Utilities
2649 EMERALD DR. LS E3 GENERATOR
NATL GAS SVC 11-19-15 THRU 12-18-15
4791 NORTHERN RD LS D1 GENERATOR
NATL GAS SVC 11-19-15 THRU 12-18-15
3303 WATERBURY RD LS GAS SVC 11-19-15
THRU 12-18-15
2990 HIGHLAND BLVD LS 81 GENERATOR
NATL GAS SVC 11-19-15 THRU 12-18.15
4948 BARTLETT LS E2 GENERATOR NATL
GAS SVC 11-19-15 THRU 12-18-15
4728 CARLOW RD LS GENERATOR NATL
GAS SVC 11.19-15 THRU 12-18-15
5808 GRANDVIEW BLVD LS GENERATOR
NATL GAS SVC 11.19-15 THRU 12-18-15
Invoice 010616 12/22/2015
AP Payment E 602-49450.383 Gas Utilities 4922 THREE PTS BLVD LS GENERATOR
NATL GAS SVC 11-19-15 THRU 12-18-15
Invoice 010616 12/22/2015
Transaction Date 1/6/2016 Due 12/31/2015 Accounts Payable 20200 Total
$22.97
$19.68
$19.15
$19.69
$18.60
$19.15
$21.88
$19.68
$160.80
Refer 3 DERUS GOVERNMENTAL CONSUL _
AP Payment E 101-41310-300 Professional Srvs DECEMBER 2015 INTERIM CITY MGR SVCS $3,037.50
Invoice 010616 1/5/2016
Transaction Date 1/6/2016 Due 12/31/2015 Accounts Payable 20200 Total $3,037.50
Refer 2 DYNAMEX INC
AP Payment E 601-49400-322 Postage
Invoice 1900252 12/19/2015
AP Payment E 60249450-322 Postage
Invoice 1900252 12/19/2015
OPUS 21 PREPAID COURIER PACKS X 12
OPUS 21 PREPAID COURIER PACKS X 12
Transaction Date 1/6/2016 Due 12/31/2015 Accounts Payable 20200 Total
Refer 4 GLASS PLUS, INCORPORATED _
AP Payment E 28546388401 Building Repairs REPLACE 2 WINDOW PANES @ PARKING
DECK DUE TO VANDALISM- 23 x 24 CLEAR
TEMPERED GLASS
Invoice 12884 11/30/2015
Transaction Date 1/6/2016 Due 12/31/2015 Accounts Payable 20200
Refer 5 GOPHER STA TE ONE CALL
AP Payment E 601-49400-395 Gopher One -Call
Invoice 153460 12/30/2015
AP Payment E 60249450-395 Gopher One -Call
Invoice 153460 12/30/2015
Total
$49.50
$49.50
$99.00
$921.00
$921.00
DECEMBER 2015 LOCATES $45.73
DECEMBER 2015 LOCATES $45.72
-39-
CITY OF MOUND 01/07/169:35 AM
Page 2
Payments
Current Period: Closing 2015
Transaction Date 1/6/2016 Due 12/31/2015
Accounts Payable 20200 Total
$91.45
Refer
6 HD SUPPLY WATERWORKS, LTD
AP Payment
E 601-49400.210 Operating Supplies
16 WATER METERS & 5 LID COVERS 15"
$2,417.40
WATER
Invoice E895533 12/17/2015
AP Payment
E 601-49400-210 Operating Supplies
WATER METER PARTS- 3 -STRAND 22
$425.13
GAUGE WIRE
Invoice E930306 12/17/2015
Transaction Date 1/6/2016 Due 12/31/2015
Accounts Payable 20200 Total
$2,842.53
®....
Refer
7 JEFFERSON FIRE AND SAFETY, IN
_
AP Payment
E 222.42260-210 Operating Supplies
NAUTIC ART POLAR 75 ICE RESCUE BOAT
$6,295.00
W/ACCESSORIES- FIRE DEPT
Invoice 221787
11/30/2015 PO 24464
Transaction Date 1/6/2016 Due 12/31/2015
Accounts Payable 20200 Total
$6,295.00
Refer�y-
8 MINUTEMAN PRESS�N��y_�Yu�
AP Payment
E 281-45210-200 Office Supplies
2,000 3 -PART DOCK PROGRAM
$326.75
CUSTOMIZED RECEIPTS
Invoice 17853
12/30/2015 PO 24702
Transaction Date 1/6/2016 Due 12/31/2015
Accounts Payable 20200 Total
$326.75
Refer
MN CLEAN SERVICES, INC.
_
)
AP Payment
_9
E 101-41910.460 Janitorial Services
JANITORIAL SVC- DECEMBER 2015-
$326.93
CENTENNIAL BLDG
Invoice 0116M01
1/1/2016
AP Payment
E 222.42260-460 Janitorial Services
JANITORIAL SVC- DECEMBER 2015- FIRE
$245.20
DEPT
Invoice 0116M01
1/1/2016
AP Payment
E 101-41930460 Janitorial Services
JANITORIAL SVC- DECEMBER 2015- CITY
$245.20
HALL BLDG
Invoice 0116M01
1/1/2016
AP Payment
E 602-49450.460 Janitorial Services
JANITORIAL SVC- DECEMBER 2015- PUBLIC
$163.47
WORKS BLDG
Invoice 0116M01
1/1/2016
Project 15.3
Transaction Date
1/6/2016 Due 12/31/2015
Accounts Payable 20200 Total
$980.80
ReferY
10 MNSPECT
AP Payment
E 10142400-308 Building Inspection Fees
DEC 2015 BUILDING INSPECTION FEES
$16,652.53
Invoice 6713
1/4/2016
AP Payment
G 101-20800 Due to Other Governments
DEC 2015 - ELECTRICAL STATE
-$20.00
SURCHARGE FEE CREDIT
Invoice 6713
1/4/2016
AP Payment
R 10142000-32220 Electrical Permit Fee
DEC 2015 ELECTRICAL INSPECTION
-$255.00
PERMIT FEE CREDITS
Invoice 6713
1/4/2016
Transaction Date
1/6/2016 Due 12/31/2015 Accounts Payable 20200 Total
$16,377.53
ReferY
11 NELSON ELECTRIC MOTOR REPAI
AP Payment E 602-49450440 Other Contractual Servic
REBUILD PUMP #2 @ SHOREWOOD LIFT
$934.00
STATION- REPLACE BEARINGS, SEALS &
ORINGS
_.
Invoice 7493
12/15/2015
Transaction Date
12/2/2015 Due 12/31/2015 Accounts Pavable 20200 _ _ Total
$934.00
Cd'i IX61.i j1011101 �]
Payments
Current Period: Closing 2015
01/07/16 9:35 AM
Page 3
a '„t1-.:...� : rs r" -:,ia:.,�.s, x s <.a -.. ,.. s�a�r .i 1✓kf' sqy„' is':Jk?.u" 'sic.`'Y 3"t' '8. a a:.3'� "
Refer 13 NEWMAN SIGNS _
AP Payment E 10143100-226 Sign Repair Materials SIGN MATERIALS- DELINEATOR YELLOW $145.98
CIRCLES/RED
Invoice TI -0293280 12/15/2015
Transaction Date 1/6/2016 Due 12/31/2015 Accounts Payable 20200 Total $145.98
Refer 12 ORONO, CITY OF
AP Payment E 101-41600-450 Board of Prisoners HENNEP CTY JAIL CHARGES- PER DIEM
$278.64
FEES NOV 2015
Invoice 20140573 1221/2015
Transaction Date 1/6/2016 Due 12/31/2015 Accounts Payable 20200 Total
$278.64
Refer --��-15VERIZONWIRELESS
AP Payment E 602-49450-321 Telephone, Cells, & Radi SEWER TRUCK #109 DATACARD SVC 11.11-
$35.01
15 THRU 12-10-2015
Invoice 9757000868 12/10/2015
AP Payment E 602.49450-321 Telephone, Cells, & Radi PUB WKS SUPV VEHC #113 R. HANSON
$35.01
DATACARD SVC 11-11-15 THRU 12-10-2015
Invoice 9757000868 12/102015 Project 15.3
AP Payment E 602-49450-321 Telephone, Cells, & Radi PUB WKS JET PACK LAPTOP AIRCARD SVC
$35.01
11.11-15 THRU 12-10-2015
Invoice 9757000868 12/10/2015 Project 15-3
AP Payment E 101-42400.321 Telephone, Celts, & Radi FIELD OFFICER DATACARD SVC 11.11-15
$17.51
THRU 12-10-2015
Invoice 9757000868 12/10/2015
AP Payment E 101-42116-321 Telephone, Cells, & Radi FIELD OFFICER DATACARD SVC 11-11-15
$17.50
THRU 12-10-2015
Invoice 9757000868 12/10/2015
AP Payment E 222.42260321 Telephone, Cells, & Radi DATACARD SVC FIRE UNIT #42 DUTY
$35.01
OFFICER 11-11-15 THRU 12-10-2015
Invoice 9757000868 12/10/2015
AP Payment E 222-42260-321 Telephone, Cells, & Radi DATACARD SVC FIRE UNIT #39 RESCUE
$35.01
UTILITY 11-11.15 THRU 12-10-2015
Invoice 9757000868 12/10/2015
AP Payment E 222.42260-321 Telephone, Cells, & Radi DATACARD SVC FIRE ENGINE #40 11-11.15
$35.01
THRU 12-10-2015
Invoice 9757000868 12/10/2015
AP Payment E 222-42260.321 Telephone, Cells, & Radi DATACARD SVC FIRE ENGINE #29 11-11-15
$35.01
THRU 12-10-2015
Invoice 9757000868 12/102015
AP Payment E 60149400-321 Telephone, Cells, & Radi WATER TRUCK #315 DATACARD SVC 11-11-
$35.01
15 THRU 12-10-2015
Invoice 9757000868 12/10/2015
AP Payment E 601-49400-321 Telephone, Cells, & Radi WATER TRUCK #512 L. GIESE DATACARD
$35.01
SVC 11-11.15 THRU 12-10-2015
Invoice 9757000868 12/10/2015
Transaction Date 1/6/2016 Due 12/31/2015 Accounts Payable 20200 Total
$350.10
Refer 14 VER/ZON WIRELESS
AP Payment G 101.13100 Due From Other Funds CELL PHONE CHARGES 11-14-15 THRU 12-
$31.05
13-2015
Invoice 9757208167 12/13/2015
AP Payment E 10143100-321 Telephone, Cells, & Radi CELL PHONE CHARGES 11-14-15 THRU 12-
$151.18
13-2015
Invoice 9757208167 12/13/2015 -41-
CITY OF MOUND
Payments
Current Period: Closing 2015
01 /07116 9:35 AM
Page 4
. ,. _ « ��s4�£`??V',S
AP Payment E 601-49400.321 Telephone, Cells, & Radi CELL PHONE CHARGES 11-14-15 THRU 12-
$136.57
13-2015
Invoice 9757208167 12/13/2015
AP Payment E 602-49450-321 Telephone, Cells, & Radi CELL PHONE CHARGES 11-14-15 THRU 12-
$136.57
13-2015
Invoice 9757208167 12/13/2015
AP Payment E 101-42400-321 Telephone, Cells, & Radi CELL PHONE CHARGES 11-14-15 THRU 12-
$38.20
13.2015
Invoice 9757208167 12/13/2015
AP Payment E 10145200-321 Telephone, Cells, & Radi CELL PHONE CHARGES 11-14-15 THRU 12-
$96.59
13-2015
Invoice 9757208167 12/1312015
AP Payment E 101-41310-321 Telephone, Cells, & Radi CELL PHONE CHARGES 11-14-15 THRU 12-
$0.00
13-2015
Invoice 9757208167 12/13/2015
AP Payment E 22242260-321 Telephone, Cells, & Radi CELL PHONE CHARGES 11-14-15 THRU 12-
$100.96
13.2015
Invoice 9757208167 12/13/2015
AP Payment E 10142115-321 Telephone, Cells, & Radi CELL PHONE CHARGES 11-14-15 THRU 12-
$15.53
13-2015
Invoice 9757208167 12/13/2015
Transaction Date 1/6/2016 Due 12/31/2015
Accounts Payable 20200 Total
$706.65
Refer 16 XCEL ENERGY
_
AP Payment E 101-45200-381 Electric Utilities
ELECTRIC SVC - 10/26/15 TO 11/25/15 PARKS
$199.52
Invoice 482763107 12/14/2015
AP Payment E 101-45200.381 Electric Utilities
ELECTRIC SVC - 10/26/15 TO 11/25/15 DEPOT
$50.03
Invoice 482763107 12/14/2015
AP Payment E 602-49450-381 Electric Utilities
ELECTRIC SVC - 10/26/15 TO 11/25/15
$3,343.75
SEWER
Invoice 482763107 12/14/2015
AP Payment E 101-43100-381 Electric Utilities
ELECTRIC SVC - 10/26/15 TO 11/25/15
$2,053.70
STREETS
Invoice 482763107 12/14/2015
AP Payment E 601-49400-381 Electric Utilities
ELECTRIC SVC - 10/26/15 TO 11/25/15
$3,266.83
WATER
Invoice 482763107 12/14/2015
AP Payment E 609-49750-381 Electric Utilities
ELECTRIC SVC - 10/26/15 TO 11/25/15 HWS
$1,350.21
Invoice 482763107 12/14/2015
AP Payment E 101-41930-381 Electric Utilities
ELECTRIC SVC -10/26/15 TO 11/25/15 CITY
$1,221.27
HALL
Invoice 482763107 12/14/2015
AP Payment E 222-42260-381 Electric Utilities
ELECTRIC SVC - 10/26/15 TO 11/25/15 FIRE
$1,221.27
DEPT
Invoice 482763107 12/14/2015
AP Payment E 101-41910-381 Electric Utilities
ELECTRIC SVC - 10/26/15 TO 11/25/15 CENT
$801.42
BLDG
Invoice 482763107 12/14/2015
AP Payment E 285-46388-381 Electric Utilities
ELECTRIC SVC - 10/26/15 TO 11/25/15
$1,711.21
PARKING DECK
Invoice 482763107 12/14/2015
AP Payment E 101.42115-381 Electric Utilities
ELECTRIC SVC -10/26/15 TO 11/25/15 SIREN
$42.81
Invoice 482763107 12/14/2015
-42-
CITY OF MOUND
Payments
01 /07/16 9:35 AM
Page 5
Current Period: Closing 2015
Trnneaefinn tn.ta 1/819nis Due 12/31/2015 Accounts Pavable 20200 Total $15.262.02
Refer 17 XCEL ENERGY
AP Payment E 60249450-381 Electric Utilities
Invoice 484428417 12/30/2015
AP Payment E 101.43100-381 Electric Utilities
Invoice 484428417 12/30/2015
ELECTRIC SVC 11-23-15 THRU 12/28/15 $68.85
CARLOW RD LIFT STATION
SHORELINE -COMMERCE STREET LIGHTS $86.20
11-22.15 THRU 12/27/15
Transaction Date 1/6/2016 Due 12/31/2015 Accounts Payable 20200
Fund Summary
101 GENERAL FUND
222 AREA FIRE SERVICES
281 COMMONS DOCKS FUND
285 MOUND HRA
601 WATER FUND
602 SEWER FUND
609 MUNICIPAL LIQUOR FUND
20200 Accounts Payable
$25,234.29
$8,002.47
$326.75
$2,632.21
$6,411.18
$5,007.69
$1,350.21
$48,964.80
Pre -Written Check $0.00
Checks to be Generated by the Computer $48,964.80
Total $48,964.80
-43-
Total $155.05
CITY OF MOUND 01/07/169:29 AM
Page 1
Payments
Current Period: January 2016
.ww...r..v risr3E.2tZ
Batch Name 010716CTYMAN User Dollar Amt $32.75
Payments Computer Dollar Amt $32.75
$0.00 In Balance
Refer 1 DRIVER AND VEHICLE SERVICES
Cash Payment E 22242260438 Licenses and Taxes TITLE TRANSFER FIRE VEHICLE 1997 $32.75
FORD - PURCHASED 3-23- 2006
Invoice 010716 1/7/2016 __
Transaction Date 1/6/2016 Due 1/7/2016 Wells Fargo 10100 Total $32.75
Fund Summary
10100 Wells Fargo
222 AREA FIRE SERVICES $32.75
$32.75
Pre -Written Check $0.00
Checks to be Generated by the Computer $32.75
Total $32.75
MOUND CITY COUNCIL MINUTES
December 8, 2015
The City Council of the City of Mound, Hennepin County, Minnesota, met in regular session on
Tuesday, December 8, 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, Jennifer Peterson
Members absent: None.
Others present: Director of Public Works Eric Hoversten, Director of Community Development
Sarah Smith, Director of Finance and Administrative Services Catherine Pausche, Katie
Morford, Jaxon Helland, Cece Witte, Emily Paulson, Fonika Broekhuis, Matt Hanish
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 7:01 p.m.
2. Pledge of Allegiance
3. Approve agenda
Mayor Wegscheid welcomed the students in the audience and Jaxon Helland introduced
himself.
Mayor Wegscheid requested the following changes and noted replacement pages for:
a. Agenda Item 4H - additional information provided on pages 3051 and 3052
b. Agenda Item 4K - amount changed to $185,672.28 and replacement pages
provided
c. Strike Agenda Item 4N2(a) - Gina Nettle requested not to be reappointed to
POSC
d. Agenda Item 7D - replacement page provided for page 3106 of the resolution
and pages 31 and 33 of the budget packet to reflect purchase of the Fire aerial
ladder truck.
MOTION by Salazar, seconded by Gesch, to approve the agenda as amended.
All voted in favor. Motion carried.
Mayor Wegscheid thanked the advisory commissioners, old and new, for their service.
4. Consentagenda
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 $405,161.58
B. Approve minutes: Oct 21, 2015 Special Meeting Workshop
C.
Lgo
Mound City Council Minutes — Dec 8, 2015
1. January 3, 2016 Chili Feed for Troops at the Gillespie Center
2. February 20, 2016 Spaghetti Feed at the Gillespie Center
E. RESOLUTION NO. 15-140: RESOLUTION OF SPONSORSHIP AS RELATED TO
THE SOUTHWEST TRAILS SNOWMOBILE ASSOCIATION
F. RESOLUTION NO. 15-141: RESOLUTION APPROVING CONTRIBUTIONS FOR 2015
G. RESOLUTION NO. 15-142: RESOLUTION TO APPROVE AMENDMENTS TO THE
ADMINISTRATIVE CODE
H. RESOLUTION NO. 15-143: RESOLUTION TO APPROVE WAIVER OF PLATTING
FOR 5040 ENCHANTED LANE, PID NO. 13-117-24-12-0100
I. Approve Pay Request No. 6 and Final from GMH Asphalt in the amount of $35,307.39
for the 2014 Street, Utility and Retaining Wall Improvements - East Three Points
Boulevard, City Project No. PW -14-01
J. Approve Pay Request No. 6 from Geislinger & Sons, Inc. in the amount of $138,145.22
for the 2015 Street, Utility and Retaining Wall Improvements - Grandview Boulevard and
Tuxedo Boulevard, City Project Nos. PW -15-01, PW -15-02 and PW -15-03
K. Approve Pay Request No. 1 from Insituform Technologies USA, LLC in the amount of
$185,672.28 for the 2014/2015 Sanitary Sewer Rehabilitation project, City Project Nos.
PW -14-05, PW -15-06 (Note: original amount $193,410.03)
L. RESOLUTION NO. 15-144: RESOLUTION TO AUTHORIZE MAYOR AND ACTING
CITY MANAGER TO ENTER INTO A CONTRACT AGREEMENT FOR
PROFESSIONAL ENGINEERING SERVICES
M. RESOLUTION NO. 15-145: RESOLUTION TO AUTHORIZE MAYOR AND ACTING
CITY MANAGER TO ENTER INTO A CONTRACT AGREEMENT FOR LEGAL
SERVICES
N. Approve Appointments to Commissions:
1. Planning Commission Reappointments
a. David Goode (Reappt) 3 -year term through 2018
b. Pete Wiechert (Reappt) 3 -year term through 2018
2. Parks & Open Spaces Commission
a. Removed.
b. Shawn Seiler (New)
3. Docks & Commons Commission
a. Heidi Peterson (New)
3 -year term through 2018
3 -year term through 2018
5. Comments and suggestions from citizens present on any item not on the agenda
None.
sm
Mound City Council Minutes —Dec 8, 2015
6. Action approving minutes from November 24 2015 regular meeting
MOTION by Salazar, seconded by Gesch, to approve the minutes. The following voted in
favor: Wegscheid, Gesch, Salazar, Gillispie. The following voted against: none. The
following abstained: Peterson. Motion carried.
7. 2016 Final Budget and Levy Discussion/Approval
Catherine Pausche, Director of Finance and Administrative Services, presented a Power Point
presentation that gave an overview of the 2016 budget and levy.
A. Review and Discussion on contracts and credit cards.
1. City of Mound vendor and contract listing
Pausche stated a list of the vast majority of vendors for the City of Mound was
included in the packet and that under the column labeled "Contract', those vendors
marked with an "X" indicate vendors where a signed agreement is in place. Those
agreements will be approved by the Council upon renewal and any consultant not on
the list and marked with an "X" will also be approved in advance by the Council.
Pausche said other vendors that fall within the "normal and customary" and within
budget definition will be subject to the commitment authority/approval process.
MOTION by Salazar, seconded by Gillispie, to approve the contact list. All voted in
favor. Motion carried.
2. Accepting credit cards at City Hall
Pausche stated additional information has been provided to the options presented at
an August meeting. Discussion ensued and Mayor Wegscheid said people electing
the convenience should pay the fees and those fees should not be spread among all
tax payers. Salazar noted that this is not retail where profits are built in but rather
services are provided at cost and those costs should be reflected in the payment
method. Pausche noted utility billing payments are excluded and this if for licenses
and permits.
MOTION by Wegscheid, seconded by Salazar, to direct staff to pursue Option 3,
where credit cards will be accepted at City Hall for permits and licenses and the
entire associated fee will be charged to the customer. All voted in favor. Motion
carried.
B. Action on Resolution Adopting Fee Schedule for 2016
Pausche noted the changes are essentially housekeeping to reflect the changes to
the City Code and the utility rate increases that were discussed at the October 21st
budget workshop. Pausche noted more will work will be done on public gathering
permit fees and brought back in early 2016.
MOTION by Gesch, seconded by Salazar, to approve the resolution.
All voted in favor. Motion carried.
RESOLUTION NO. 15-146: RESOLUTION ADOPTING FEE SCHEDULE
FOR 2016
C. Action on a Resolution Approving a Levy not to Exceed $197,008.00 for the
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Mound City Council Minutes — Dec 8, 2015
for the Year 2016
MOTION by Salazar, seconded by Gesch, to approve the resolution.
All voted in favor. Motion carried.
RESOLUTION NO. 15-147: RESOLUTION APPROVING A LEVY OF $197,008
FOR THE PURPOSE OF DEFRAYING THE COST OF OPERATION
PURSUANT TO THE PROVISIONS OF MSA 469 OF THE HOUSING AND
REDEVELOPMENT AUTHORITY OF, AND FOR, THE CITY OF MOUND FOR
THE YEAR 2016
D. Action on Resolution Approving the 2016 Final General Fund Budget in the
amount of $5,348,219.00: Setting the Final Levy at $5,649, 172.00; and
Approving the Overall Final Budget for 2016
MOTION by Gesch, seconded by Salazar, to approve the resolution.
All voted in favor. Motion carried.
RESOLUTION NO. 15-148: RESOLUTION APPROVING THE 2016 FINAL
GENERAL FUND BUDGET IN THE AMOUNT OF $5,348,219; SETTING THE
FINAL LEVY AT $5,649,172; AND APPROVING THE FINAL OVERALL
BUDGET FOR 2016
8. Information/Miscellaneous
A. Comments/reports from Council Members/Interim City Manager
Mayor Wegscheid gave an update on the search for a new city manager and said 13
applications were received and that 3 finalists would be selected for interviews in the next
few weeks. Mayor Wegscheid noted that the December 22nd meetings were cancelled for
the Christmas holiday and that City Hall will be closed all day on Christmas and New Year's
eve, in addition to Christmas and New Year's day. The Mayor once again thanked all
volunteers who serve on the advisory commissions to the City Council. Salazar wished
everyone a Merry Christmas.
B. Minutes: Planning Commission - Nov 3, 2015
Parks and Open Spaces Commission - Nov 12, 2015 (DRAFT)
Docks and Commons Commission - Nov 19, 2015 (DRAFT)
C. Reports: Harbor Wine & Spirits - November 2015
Finance Department - October 2015 YTD
D. Correspondence:
9, Adiourn
MOTION by Gesch, seconded by Salazar, to adjourn at 7:29 p.m. All voted in favor.
Motion carried.
Attest: Catherine Pausche, Clerk
in
Mayor Mark Wegscheid
MOUND CITY COUNCIL MINUTES
December 15, 2015
The City Council of the City of Mound, Hennepin County, Minnesota, met in a special session
on Tuesday, December 15, 2015, at 6:30 p.m. in the council chambers of the Centennial
Building to discuss a private sewer lateral program.
Members Present: Mayor Wegscheid, Council Members Salazar, Gillispie, Gesch, and
Peterson
Members Absent: None.
Others present: City Engineers Dan Faulkner and Brian Simmons, Public Works Director Eric
Hoversten, Public Works Superintendent Ray Hanson, Director of Finance and Administrative
Services Catherine Pausche, Orono Police Sergeant Kenny Beck, Officer Mike Fournier, Katie
Morford, Sarah Smith, Greg Pederson, Sindy Dossett, Bert Tracy.
1. Open Meeting
Mayor Wegscheid called the meeting to order at 6:30pm.
2. Approve revised agenda, with any amendments
MOTION by Salazar, seconded by Gillispie to approve the revised agenda. All voted in
favor. Motion carried.
3. Emergency Response Training
Sergeant Beck and Officer Fournier from the Orono Police Department conducted an
emergency response training.
4. Mound Private Sewer Lateral Program Workshop
Simmons stated that new in 2016, work on private sewer laterals can be counted as MCES
surcharge satisfying work based on specific financial thresholds and criteria being met.
Simmons showed a diagram showing MCES will be monitoring the hourly exceedances
versus daily measurements used in the past and said that this is a significant change.
Simmons noted that MCES sends periodic notices of exceedances and then calculates the
financial impact, or "surcharge", around August for planning purposes.
Simmons stated exceedances are impacted by both precipitation and lake levels so it is
difficult to state exactly what kind of rain events would prompt an exceedance. The level of
saturation of the ground has a significant impact. Simmons noted that the program started
in 2005 and Mound's first exceedance was in 2007 requiring a $56,000 surcharge work plan
and then in 2014 when a $933,750 work plan was required. Hoversten said wide fluctuation
at the water treatment plants requires excess capacity that is very expensive to provide so
MCES is trying to entice users to reduce peaks.
Simmons noted that the difference in flows between dry months like January, February, and
March compared to the wet months of June, July and August are referred to as inflow,
versus infiltration, which is caused by aging pipes which is more constant and consistent.
Simmons pointed out page 11 of the packet that lists what private property improvements
can consist of and noted that a 25% credit for staff time can be counted as well.
5. Follow-up on Discussion Topics (Insurance Programs Rain Barrels Other Community
Programs)
IN
Mound City Council Minutes—Dec 15, 2015
Simmons stated that rain barrels impact water use more than inflow and infiltration, or 1/1"
but that water conservation is also a priority for communities. Peterson said although it is
not the complete solution, it helps. Simmons stated lateral line insurance policies typically
exclude 1/1 as a reason for repair. Wegscheid said the City should make an effort to educate
the public via the newsletter and other media so they begin to understand the issues and
possible solutions.
6. Present Staff Recommended Program Outline
Simmons said the objectives are to rapidly and effectively eliminate the risk of exceedance
penalties, reduce 1/1 through targeted investigation, repair and renewal, and focus up front
effort,on discovery and elimination of inflow. Simmons said this could be achieved through
point of sale inspections, demolition/rebuild/addition inspections, City wide voluntary/self
reporting inspections and risk targeted inspection projects led by the City.
Q/A with Bert Tracy Golden Valley Public Works
Bert Tracy said Golden Valley has been mitigating 1/1 since 2005 when they had an
exceedance and penalty imposed by MCES. Bert Tracy said Golden Valley has much more
private pipe than public pipes, like most other cities and their approach is three pronged
which targets MCES, public and private lines. With regard to private lines inspections,
Tracy said some owners delay repairs until they sell the home or wait for a large project that
will trigger a permit and compliance.
Tracy said most repairs are lining repairs using alternative methods like cure in place lining,
with the average cost of $3,500 to $5,000, noting the product and vendor have to be
approved by Golden Valley building inspections department with the lines inspected after
the repair. Tracy said Golden Valley started out with two approved vendors and now has 10
or more with the price coming down. Tracy said the permit fee is $250 for residential and
$750 for commercial which includes two televised inspections, before and after. The City
initially contracted with SEH but now employs a full time inspector. Tracy said floor drains
must be inspected to ensure no drain tile empties into it but rather a sump basket is present.
Tracy said Golden Valley does not care whether it is the buyer or seller who pays for the
repair, just that it must occur prior to a transfer of property. Simmons noted that the market
should dictate who pays and that escrows could be created to ensure the repairs eventually
get done without holding up the transfer. Tracy said a sump pump inspection of over 1,000
properties had just over 100 compliant. Tracy said that although realtors and residents
resisted it initially, once the certificate is obtained, it becomes an asset and the seller and
realtor can market it as such. Tracy said the certificates currently don't expire and
subsequent sales only require a sump pump inspection. Golden Valley started a special
assessment policy to incent residents to repair the entire lateral line and not just where it
failed.
Salazar asked what about newer residents who challenge the change in code and ask why
they should be responsible. Hoversten said that is why it is better to let the market decide
with the point of sale, but that other options will be presented as well.
Tracy said times have changed and the 50's mantra of 'the solution to pollution is dilution' is
no longer accepted because of the cost of treating clean water. Tracy said one home was
200 feet from the road and the entire line needed replacement at a cost of $20,000, but
others are just a few hundred dollars. Wegscheid asked about the estimated cost for
comprehensive repair for Mound estimated at $16M versus just paying the fine. Hoversten
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Mound City Council Minutes — Dec 15, 2015
described the formula to allocate the Met Council's operating budget and noted that cities
that do not address 1/1 will continue to get a larger share of the MCES budget.
Gillispie asked what the surcharge would have been for the last period if the hourly
exceedance was in place. Hoversten and Simmons said they will ask the Met Council if the
data is available.
Wegscheid asked Tracy for their experience and Tracy noted a similar event in 2011 was
9.9 vs. 13 in the 2005 event prior to the program (based on comparable ground water data
and rainfall). Golden Valley has invested '/z million to a million a year since the 2005
surcharge was assessed.
Peterson said she is concerned about the speed and intensity of rolling out the program.
Wegscheid agreed and stated public education will be critical in addition to starting with
voluntary reporting and possibly point of sale. Hoversten said the key will be to have a plan
with what to do with the information and what action will be required. Gesch said she warns
against waiting for other cities to act as Mound is unique with the age of housing stock and
proximity to the lake. Salazar asked for more current information when Simmons showed a
2007 I/1 study. Simmons said the data is available for City lift stations and some MCES lift
stations, but the Council needs to direct staff continue to do the assessment. Simmons
noted that Golden Valley has very few direct connections to MCES compared to Mound.
MOTION by Wegscheid, seconded by Salazar, to direct staff to get more current
information. All voted in favor. Motion carried. Hoversten noted that it should be available
for the proposed follow-up discussion in February. Hoversten noted the point of sale
program creates an incentive to know if there is a problem and fix it rather than waiting for a
collapse.
Tracy noted there is a breakdown on the inspection report to indicate what repairs are
needed and the video is made available upon request.
8. Update on MCES Coordination
This topic was not discussed in detail.
9. Breakdown of Components in the Recommended Program
Simmons said the City will need to decide if the City will buy the equipment to do in-house
and charge a fee or to outsource the televising of lines.
10. Point of Sale
Simmons outlined a typical point of sale program that was detailed on Page 24 of the
packet, including televising of line, certification, and potential escrow at 2 times the cost of
potential repairs.
11. Demo/Rebuild or Addition
Simmons noted the building permit process would trigger the need for an inspection, the
process of which was described on Page 25.
Tracy noted Golden Valley requires a brand new home to be lined to the right of way.
Simmons noted there has to be a penalty for non-compliance and gave the example of
charging a penalty on the utility bill that could ultimately be used to abate.
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Mound City Council Minutes— Dec 15, 2015
12. City-wide Voluntary/Self Reporting
Simmons referred to page 26 of the packet and Hoversten mentioned the $250K buy down
of MCES surcharges, subject to funds available in the budget, could be used to match funds
(also see page 8 of the packet).
Tracy said Metro Cities is setting up a committee on 1/1 which he and possibly Hoversten will
participate on. Tracy said Metro Cities lobbies very hard to get grant funds allocated to 1/1.
Hoversten said it is key to have language in the Code to support these initiatives to ensure
the City can compete in the competitive grant process. Tracy said most of the grant funds
were used in the point of sale program and some in the pavement management program.
Peterson said it may deter people from selling aging homes and delaying improvements.
Tracy said 50% of improvements up to a certain amount are eligible for grant funds and the
rest can be assessed.
Hoversten said the only funds available right now are the pay or play surcharges, which is
approximately $250K per year of City money. Hoversten recommended going after the
bigger problems, which is a combination of very specific property data and modeling data
that helps to target problem areas. Hoversten noted the state grant cycle is biennium and
that there was no private grant funding for the current biennium. Hoversten said it is
important to get the pieces in place during the interim. Hoversten said inflow happens near
the foundation and infiltration happens between the house and the sewer connect.
Hoversten said many lines go from the house to the sewer line near the lake, some of which
fall below the high water mark of 929, which will also need to be analyzed.
13. Risk Targeted Inspection Projects
Simmons noted potential sources (pages 20 — 21 of the packet) to create additional funds
available to address 1/1. Page 22 has a potential timeline and Wegscheid reiterated the
need to address the worst areas first. Simmons agreed that the model map will be updated
to prioritize the highest risk areas (pages 33-34 of the packet).
14. Next Steps
MOTION by Gillispie, seconded by Gesch to have staff to prepare proposed Code changes
for the Council to consider. All voted in favor. Motion carried.
Wegscheid said he is in favor and knows other cities will need to incorporate similar
measures, but that he wants to ensure this is done methodically and is well thought out.
15. Adiiourn
MOTION by Gesch, seconded by Gillispie, to adjourn at 8:40pm.
Attest: Catherine Pausche, Clerk
-52-
Mayor Mark Wegscheid
CITY OF MOUND
RESOLUTION NO. 16 -
RESOLUTION APPOINTING HEIDI GESCH
AS ACTING MAYOR FOR 2016
WHEREAS, Minnesota State Statutes Chapter 412.121 states that at its first meeting
each year the Council shall choose an Acting Mayor from the Councilmembers; and
WHEREAS, the Acting Mayor shall perform the duties of Mayor during the disability or
absence of the Mayor from the City or, in the case of vacancy in the office of Mayor,
until a successor has been appointed and qualifies.
NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of Mound,
Minnesota, to appoint Heidi Gesch as Acting Mayor for 2016.
Adopted by the City Council this 12th day of January, 2016.
Attest: Catherine Pausche, Clerk
-53-
Mayor Mark Wegscheid
CITY OF MOUND
RESOLUTION NO. 16 -
RESOLUTION APPOINTING CITY COUNCIL MEMBERS
AS REPRESENTATIVES OF THE CITY COUNCIL TO
COMMISSIONS AND COMMITTEES FOR 2016
BE IT RESOLVED that the City Council of the City of Mound, Minnesota, does hereby
appoint the following Council Members as Council Representatives to the following City
Advisory Commissions and Committees for the year 2016:
Parks and Open Space Commission -- Heidi Gesch
Docks and Commons Commission -- Kelli Gillispie
Planning Commission -- Jennifer Peterson
Fire District Committee -- Ray Salazar
Budget and Finance Committee -- Kelli Gillispie and Mark Wegscheid
Personnel Committee -- Heidi Gesch & Mark Wegscheid
Public Works Facility Committee -- Ray Salazar & Mark Wegscheid
Orono Police Commission -- Heidi Gesch & Mark Wegscheid
Suburban Rate Authority -- Ray Salazar & Jennifer Peterson
Approved by the City Council this 12th day of January, 2016.
Attest: Catherine Pausche, Clerk
-54-
Mayor Mark Wegscheid
J
CITY OF MOUND
RESOLUTION NO. 16 -
RESOLUTION APPOINTING FINANCE DIRECTOR/CLERK/TREASURER
CATHERINE PAUSCHE AS ACTING CITY MANAGER FOR 2016
BE IT RESOLVED that the City Council of the City of Mound, Minnesota, does hereby
appoint Finance Director/Clerk/Treasurer Catherine Pausche as the Acting City
Manager for the year 2016, to act in this capacity if the City Manager is disabled,
incapacitated, away on City business, or away on vacation.
Adopted by the City Council this 12th day of January, 2016.
Attest: Catherine Pausche, Clerk
-55-
Mayor Mark Wegscheid
CITY OF MOUND
RESOLUTION NO. 16 -
RESOLUTION APPOINTING FIELD OFFICER
STEWART SIMON AS ASSISTANT WEED INSPECTOR FOR 2016
BE IT RESOLVED that the City Council of the City of Mound, Minnesota, does hereby
appoint Field Officer Stewart Simon as the Assistant Weed Inspector for the City of
Mound for 2016.
Adopted by the City Council this 12th day of January, 2016.
Attest: Catherine Pausche, Clerk
-56-
Mayor Mark Wegscheid
CITY OF MOUND
RESOLUTION NO. 16 -
RESOLUTION APPROVING THE PURCHASE OF AT LEAST A $20,000 BOND FOR
THE CITY FINANCE DIRECTOR/CLERK/TREASURER
WHEREAS, Minnesota State Statute 412.111 requires City Clerks and Treasurers to
have a corporate surety bond conditioned for the faithful exercise of duties and the
proper application of, and payment upon demand of, all moneys officially received; and
WHEREAS, The Council may provide for the payment from city funds of the premium
on the official bond of any officer or employee of the city; and
WHEREAS, Unless otherwise prescribed by law, the amount of the bonds shall be fixed
by the Council; and
WHEREAS, The League of Minnesota Cities Insurance Trust provides bond coverage
to meet the needs and requirements of Minnesota cities as part of the overall property
and liability coverage program purchased by the City;
NOW, THEREFORE, BE IT RESOLVED that the City Council of the City of Mound,
Minnesota does hereby authorize the purchase of at least a $20,000 bond for the City
Finance Director/Clerk/Treasurer Catherine Pausche.
Adopted by the City Council this 12th day of January, 2016.
Attest: Catherine Pausche, Clerk
-57-
Mayor Mark Wegscheid
CITY OF MOUND
RESOLUTION NO. 16 -
RESOLUTION DESIGNATING THE OFFICIAL
DEPOSITORIES FOR 2016
WHEREAS, Minnesota State Statute Chapter 427 requires the City to select an official
depository/depositories for City funds within 30 days of the start of the City's fiscal year.
NOW, THEREFORE, BE IT RESOLVED that the City Council of the City of Mound, Minnesota,
does hereby designate the following banks and financial institutions as official depositories for
the City of Mound in 2015:
Wells Fargo Bank
Wells Fargo Securities, LLC.
Citigroup Asset Mgmt (Morgan Stanley Smith Barney) US Bank
Minnesota Municipal Money Market Funds (PMA) RBC Dain Rauscher Capital Markets
Community Investment Partners Multi -Bank Securities, Inc. (MBS)
BE IT FURTHER RESOLVED that the City's deposits shall be protected by Federal Deposit
Insurance and/or collateral in accordance with MSA Chapter 118A.
BE IT FURTHER RESOLVED that the City Finance Director is hereby authorized to open or
continue an account or accounts with said institutions on such terms as required by said
institutions in the name of the City, and to deposit, or cause to be deposited in such account or
accounts, any monies, checks, drafts, orders, notes or other instruments for the payment of
money, upon compliance by said depository with this resolution and the law in such case
provided.
BE IT FURTHER RESOLVED that the designation shall continue in force until December 31,
2016, or until written notice of its revision or modification has been received by said institution.
Adopted by the City Council this 12'" day of January, 2016.
Attest: Catherine Pausche, Clerk
ma
Mayor Mark Wegscheid
CITY OF MOUND
RESOLUTION NO. 16 -
RESOLUTION DESIGNATING THE LAKER
AS THE OFFICIAL NEWSPAPER FOR 2016
WHEREAS, Minnesota State Statute 412.831 states that the Council shall, annually, at
its first meeting of the year, designate a legal newspaper of general circulation in the
City as its official newspaper; and
WHEREAS, publication of ordinances and other matters as required by law are to be so
published, and such other matters as the. Council may deem advisable and in the public
interest to have published in this manner.
NOW, THEREFORE, BE IT RESOLVED that the City Council of the City of Mound,
Minnesota, does hereby designate The Laker as the official newspaper for the City of
Mound for 2016.
Adopted by the City Council this 12th day of January, 2016.
Attest: Catherine Pausche, Clerk
-59-
Mayor Mark Wegscheid
Or --
2415 WILSHIRE BOULEVARD
i OF MOUND MOUND, MINNESOTA 55364
PH: (952) 472-0600
FAX: (952) 472-0620
WEB: www.cityofmound.com
MEMORANDUM
Date: January 6, 2016
To: Mound City Council
From: Field Officer Stewart Simon
Subject: Commercial Kennel License
I hereby request the Mound City Council grant a Commercial Kennel License for the calendar year 2016
to the Mound Emergency Management Division. This license will allow the City to temporarily hold dogs
and cats impounded by the Orono Police Department and/or the Mound Field Officer in our police
precinct kennel facility located at 2415 Wilshire Boulevard.
I also request that the $150/year license fee be waived.
Cc: City Manager Eric Hoversten
Mound Fire Chief Greg Pederson
Orono Police Chief Corey Farniok
printed on recycled Paper
CITY OF MOUND
RESOLUTION NO. 16 -
RESOLUTION MAKING A SELECTION NOT TO WAIVE THE STATUTORY TORT
LIMITS FOR LIABILITY INSURANCE PURPOSES
WHEREAS, pursuant to previous action taken, the League of Minnesota Cities
Insurance Trust has asked the City to make an election with regards to waiving or not
waiving its tort liability established by Minnesota Statutes 466.04; and
WHEREAS, the choices available are to not waive the statutory limit, to waive the limit
but to keep insurance coverage at the statutory limit, or to waive the limit and add
insurance to a new level. .
NOW, THEREFORE, BE IT RESOLVED by the City Council of Mound, Minnesota, to
hereby elect not to waive the statutory tort liability established by Minnesota Statute
466.04 and that such election is effective until amended by further resolution of the
Mound City Council.
Adopted by the City Council this 12th day of January, 2016.
Attest: Catherine Pausche, Clerk
-61-
Mayor Mark Wegscheid
Hennepin County Memo
To: Catherine Pausche, Mound City Clerk
From: Rob Winge, Principal Appraiser
Date: December 8, 2015
Re: 2016 Open Book Meeting Dates
Wednesday May 4 5 — 7:00
Day of the Week Date and Time
Your city has opted for an Open Book meeting in place of a Local Board of Appeal and
Equalization meeting. After reviewing previous meeting dates, the date noted above has been
selected for the 2016 appeal process.
Please confirm the date as noted, or if you wish to change the date, call us with an alternative by
January 29, 2016. This will allow for Notices of Valuation and Classification to be prepared
timely. If you have any questions, please feel free to call JoDee Schinkel at (612) 348-8155.
Please return the confirmation to JoDee Schinkel, A-2103 Government Center, Minneapolis,
MN, 55487, fax to 612 348-8751, or email to Jodee.schinkel@hennepin.us.
City:
Date:
Time:
Place:
Clerk/Administrator
CONFIRMATION
Mayor
Council
Council
Council
Council
Council
-62-
CITY OF MOUND
RESOLUTION NO. 16 -
RESOLUTION APPROVING PUBLIC LANDS PERMIT FOR SELECTIVE TREE
REMOVAL, VACANT CITY LOT, PID 23-117-24-34-0103 IVO 6168 SINCLAIR CT
WHEREAS, the applicant, Gene Hostetler, 6168 Sinclair Court submitted a Public
Lands Permit application for a proposed selective tree removal from the City out -lot,
across Sinclair Ct from 6168 (requestor) PID 23-117-24-34-0103; and
WHEREAS, 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 about the proposed project are contained in the submitted materials
from the applicant; also the Staff Report regarding the same dated December 16, 2015,
enclosed; and
WHEREAS, the subject lot is a lakeshore lot, the trees are located outside of the
lakeshore impact zone. The area is not a bluff. The parcel is contiguous with, but
separated from the parcel south which hosts public docks on its lakeshore side by an
unopened road ROW. These dock areas are accessed along the west edge of the
aggregated parcels via "Lagoon Park", not the subject property or area of selective
removals.; and
WHEREAS, the parcel contains portions of a larger surface feature designated
"Wetland 27" in our Municipal Separate Storm Sewer System (MS4) Inventory. The
selective removal of this type of volunteer, low value tree growth would be considered
maintenance and have no impact on the functional value. No permitting or requests to
other lake resource authorities is required; and
WHEREAS, requestor proposes removal of 6 semi -mature, volunteer, cottonwood trees
as marked in the attached photo. All are low value; with poor visual appearance.
Several are leaning over the road and will become a hazard to traffic over time; and
WHEREAS, requestor agrees to cover all cost of the removals; and the City will benefit
from the removal by elimination of a future hazard caused by the trees already leaning
over the street
WHEREAS, City Staff recommends Council approve the Public Lands Permit; and
-63-
WHEREAS, the City Council considered the Public Lands Permit request and the Staff
recommendations at its meeting of Tuesday, January 12, 2016; and
NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of Mound,
Minnesota, to approve the Public Lands Permit for the selective removal of volunteer,
low value, semi -mature trees on vacant city property, out -lot PID 23-117-24-34-0103.
Adopted by the City Council this 12th day January, 2016.
Attest: Catherine Pausche
OU
Mayor Mark Wegscheid
I
Exhibit A: October 29, 2015 Staff Report
-65-
CITY OF MOUND — PUBLIC WORKS DEPARTMENT
2415 Wilshire Blvd
Mound, MN 55364
TO: City Council
FROM: Eric Hoversten, Public Works Director
DATE: December 16, 2015
SUBJECT: Public Lands Permit Application
APPLICANT: Gene Hostetler
LOCATION: City Outlot, across Sinclair Ct from 6168 (requestor)
PID 23 117 24 34 0103
REQUEST: City Code Section 62-11 regulates use of public lands in the City of Mound
and states that 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, is unlawful unless
a special construction on public land permit is issued.
The applicant, Gene Hostetler who resides at 6168 Sinclair Ct is requesting a Public
Lands Permit to complete a selective removal of trees within the confines of the
referenced city lot.
Public Works Director:
1. Requestor originally contacted City Staff at the City Hall Customer Service Counter
to discuss procedures to gain approval for selective removal of trees in the City lot
across from residence. A Public Lands Permit was determined best means to
proceed.
2. The attached permit request, photos, and project description were received by staff on
November 3, 2015.
3. The referenced property is a city lot, address unassigned as depicted in the print out
from the Hennepin County Property Tax GIS website.
4. Chapter 62-11, (d), (1), f requires council approval of private resident requests for
removal of live, standing trees from public lands.
5. Chapter 129-385, (d), (2) e, 1, b, 2 allows for:
2. In shore and bluff impact zones and on steep slopes on private property, limited
clearing of trees and shrubs and cutting, pruning, and trimming of trees is allowed to
provide a view to the water from the principal dwelling site and to accommodate the
placement of stairways and landings, picnic areas, access paths, beach and watercraft
-66-
access areas, and permitted water -oriented accessory structures or facilities, provided
that:
(i) The screening of structures, vehicles, or other facilities as viewed from the water,
assuming summer, leaf -on conditions, is not substantially reduced.
(ii) The provisions in this subsection are not applicable to the removal of trees, limbs, or
branches that are dead, diseased, or pose safety hazards.
6. The subject lot is a lakeshore lot, the trees are located outside of the lakeshore impact
zone. The area is not a bluff. The parcel is contiguous with, but separated from the
parcel south which hosts public docks on its Lakeshore side by an unopened road
ROW. These dock areas are accessed along the west edge of the aggregated parcels
via "Lagoon Park", not the subject property or area of selective removals.
7. The parcel contains portions of a larger surface feature designated "Wetland 27" in
our Municipal Separate Storm Sewer System (MS4) Inventory. The selective
removal of this type of volunteer, low value tree growth would be considered
maintenance and have no impact on the functional value. No permitting or requests
to other lake resource authorities is required.
8. Requestor proposes removal of 6 semi -mature, volunteer, cottonwood trees as marked
in the attached photo. All are low value; with poor visual appearance. Several are
leaning over the road and will become a hazard to traffic over time.
9. Requestor agrees to cover all cost of the removals.
10. The City will benefit from the removal by elimination of a future hazard caused by
the trees already leaning over the street.
Planning Director:
SITE INSPECTION
City Officials are encouraged to visit the site prior to the meeting.
RECOMMENDATION
Council approve the request for selective removal of 6 cottonwood trees on subject parcel
and waive any permitting fees due to the general benefit to the city
CITY COUNCIL REVIEW
Is required.
ATTACHMENTS:
® Public Lands Permit Application dated November 3, 2015
® Photo of impacted treeline with removals marked
® Hennepin County Property Map for 6168 Sinclair Ct (adjacent address)
-67-
2
PUBLIC LANDS
ry ou ,.__ APPUCATION
2495 Wilshire Boulevard, Mound, MN 55364
Phone 952-472-0600 Fax 952-472-0620
Date Received
Parks and Open Space Commission Date City Council Date
DISTRIBUTION Building Official Parks Director
DNR MCWD
Public Works Other
Check One
[j CONSTRUCTION ON PUBLIC LAND PERMIT — new construction. NOTE: NO
PERMIT SHALL BE ISSUED FOR CONSTRUCTION OF BOAT HOUSES OR
OTHER BUILDINGS ON PUBLIC LAND - City Code Section 62-11(a) & (b).
PUBLIC LAND MAINTENANCE PERMIT — to allow repairs to an existing structure -
City Code Section 62-11(c).
r] CONTINUATION OF STRUCTURE — to allow an existing encroachment to.remain in
an "as is" condition - City Code Section 62-11(g).
LAND ALTERATION — change in shoreline, drainage, slope, trees, vegetation, fill,
etc. - City Code Section 62-11(d).
The structure or work you are requesting is an activity on publicly owned lands. Structures like boat houses, patios,
sheds: etc. are all NONCONFORMING USES. It is the intent of the City to bring all these uses into conformance, which
means that those structures will at some time in the future have to be removed from the public lands, All permits are
granted for a limited time and are non -transferable. Stairway construction must meet the State Building Code when the
permit is for new construction, or a new permit is applied for due to a change in dock site holder.
APPLICANT
Name
r-iVdsc LYFV V1 ........ ....
� I
41ff F kO S ( � ( LES_ Email
Address
fbQ% ✓� G'r.
LVI L4
aa ( %I2 •q (�1' Jr252 (M)
Phone (H) rid -445-A
ABUTTING
Address
LA6MO Pam 04 411-'CLAt LCE,
PROPERTY
LEGAL
Lot
Block
DESC.
Subdivision
PID#
Zoning: R1 R1A. R2 R3 E31 B2 63 (Circleone)
Public Lands Permit Application
Page 1 of 2
- - -! , •O 1OnI6
. Alp
PUBLIC i Name
PROPERTY
CONTRACTOR
Emai(
Dock Site # Shoreline Type
Address
Phone (H) W) (M)
A FEE OF $200.00 APPLIES IF VALUATION OF PROJECT EXCEEDS $1,000.00 AND NO
PUBLIC BENEFIT IS DERIVED.
PROPOSED COST OF PROJECT (INCLUDING LABOR & MATERIALS) $ 50>
DESCRIBE REQUEST & PURPOSE I� i+t(9V i GOZ"r�l� 71Z
. Oiler �2 ► 94fa
c5 614->a G(&9�
51
6 (r�A I P, C7', IF-)F-Ttlf-
-
Applicant's Signature Date ----
6r-,4 A rt--M-4f �1)
PublicLands Permit Application -69-
Page 2 of 2
Revised 112/2015
Hennepin County GIS - Printable Map Page 1 of 1
-71-
https://gi s.hennepin.usIProperty/printldefault.aspx?C=446307.92778474785,4974482.115... 12/16/2015
CITY OF MOUND
RESOLUTION NO. 16 -
RESOLUTION AUTHORIZING STAFF TO DIRECT CONSULTANT TO MIGRATE EXISITING
GIS DATA DISPLAY APPLICATIONS TO HTMLv COMPATIBILTY
WHEREAS, The City of Mound Policy FIN -003 Procurement Policy was approved by the City
Council on July 14, 2015; and
WHEREAS, said policy requires advance Council approval for entering professional services,
maintenance, or support contract actions intended to carry year -from -year; and
WHEREAS, the City of Mound has an existing contract relationship with Bolton & Menk, Inc.,
who is the proposed vendor and is the current vendor providing GIS management and
maintenance services under said contract; and
WHEREAS, introduction of additional vendors in GIS management and maintenance would
introduce redundant costs, and be detrimental to the city and the quality of services received;
and
WHEREAS, the current GIS viewer application software is expected to become obsolete and
conversion to HTMLv format will ensure continuity of services as the technology environment
continues to advance and adapt; and
WHEREAS, the current GIS viewer application software is not device -responsive to various
platforms (PC/Laptop, Tablet, Smartphone, etc) and the basic software package is not
compatible with many smart -device operating systems (1 -os, Android) limiting user -hardware
options to PC/Laptop only; and
WHEREAS, options to use tablets and smart phone devices in the future will provide both direct
technology cost savings and other indirect savings to the City; and
WHEREAS, device -responsive web viewing of our GIS database will become a critical
requirement in establishing web -based, map -launched asset and work management tools
separately proposed via that preferred product and vendor; and
WHEREAS, $30,000 was included in the 2016 budget submission across various accounts
(Sewer, Water, Streets, Parks, Code Enforcement, etc) in which this cost was forecast and
included; and
WHEREAS, due to the linkages between ongoing GIS management and maintenance no other
quotes were invited or considered; and
-72-
WHEREAS, the attached proposal indicates a lump sum cost of $5,000 for all work related to
this conversion separate and beyond the normal management and maintenance costs included
in recurring invoices.
NOW THEREFORE, BE IT RESOLVED that the City Council of the City of Mound, Minnesota,
hereby authorizes the City Manager to accept this quote and direct Bolton and Menk Inc. to
proceed with the conversion of services.
Adopted by the City Council this 12`" day of January, 2016.
Attest: Catherine Pausche, Clerk
-73-
Mayor Mark Wegscheid
CITY OF MOUND — PUBLIC WORKS DEPARTMENT
2415 Wilshire Blvd
Mound, MN 55364
TO: City Council
FROM: Eric Hoversten, Public Works Director
DATE: Dee 30, 2015
SUBJECT: GIS Platform Upgrade, HTML v
LOCATION: Virtual, Bolton & Menk-hosted GIS Dataset and Platform
REQUEST: Council approve one-time funding, within budget for conversion of City
GIS mapping tools from current Silverlite viewer platform to HTMLv.
CITY PUBLIC WORKS DEPARTMENT REVIEW:
Current GIS system data formats and configurations require the use of Silverlite viewer
software. Near-term, this software does not have a version compatible with either Ios
mobile or Android mobile operating systems. Further; and in the longer tern, Silverlite
is a Windows, PC program. As the market drives compatibility changes towards more
mobile devices, we anticipate Silverlite applications to go out of sustainment by the
vendor. We will eventually need to make this transition for sustainment of our dataset
and map accessibility.
HTMLv will allow for device -sensitive user interface across, PC, laptop, 2 -in -1, tablet,
and smartphone devises. Currently, the GIS toolset can only be viewed via PC or laptop
limiting device choices and driving unnecessary devise, support, and indirect costs.
This upgrade will also support Staff initiatives to bring Asset and Work Management
software tools on line to improve resource management, work control, and situational
awareness. The software tool under review is designed for use on PC, laptop, tablet, and
smartphone devices across Windows, Ios and Android operating systems — many of
which we would intend to leverage in our implementation. The tool set uses a map -based
front-end as the primary user interface point -and -play simplicity. The HTMLv upgrade
is essential for full functionality of these map -driven work management applications.
Once converted to HTMLv compatibility, the GIS dataset will still be viewable through
Silverlite viewers and maintained as such until Silverlite is no longer required or goes out
of vendor sustainment. This dual compatibility will not drive any additional cost to the
City but provide added flexibility to users.
The ability to consider tablet -based tools for mobile connectivity for maintenance
workers has further cost -efficiency implications. Tablet unit cost is typically lower than
laptop replacement costs. Presently the laptops used in the maintenance trucks are 6 — 8
-74-
years old and in need of replacement due to battery issues, software currency, etc. Use of
installed laptops in the trucks also adds extensive idle -time and idling fuel costs in order
to keep the systems on network and batteries charged. This idle time can be eliminated if
the devices are replaced with tablet technology.
The City staff budgeted approximately $30,000 across several of our accounts to
implement an Asset and Work Management toolset for Code Compliance, Parks, and
Public Works. This cost for these GIS upgrades was included in that budget estimate.
Our present Engineering Consultant (Bolton & Menk, Inc.) manages and maintains the
GIS dataset and viewer tools. They have proposed a $5,000 not -to -exceed cost for
migrating our current dataset from Silverlite to HTMLv (attached). Actual costs will be
invoiced based on the established rate schedule for BMI in accordance with the existing
contract terms.
Due to the interdependencies between the ongoing engineer services and the GIS
platform, and inclusion of GIS maintenance and management as a contract task; BMI was
the only vendor source considered for this requirement. No other quotes were sought or
received.
SITE INSPECTION
City Officials are encouraged to review the attached proposal and quotes above prior to
consideration of any action. No site inspection is required.
RECOMMENDATION
The City Council for the City of Mound approve the City Manager to direct BMI to
convert current Silverlite GIS to HTMLv compatibility.
ENCLOSURES:
Bolton & Menk, Inc. Cost Proposal
-75-
B® L.i®N & rkkA r,�j
Consulting Engineers & Surveyors
V, 2638 Shadow Lane, Suite 200 - Chaska, MN 55318.1172
Phone (952) 448-8838 - Fax (952) 448-8605
www.bolion-menk.com
September 14, 2015
Mr. Ray Hanson
Public Works Superintendent
2415 Wilshire Blvd
Mound, MN 55364
RE: Mobile GIS Viewer Development
City of Mound, MN
Dear Mr. Hanson,
[ Cie
We appreciate the opportunity to provide this proposal related to GIS Services for the City of Mound
public works department. Since 2008, Bolton & Menk has provided GIS services to the City of Mound
including a web based GIS application for staff access. We look forward to assisting you in these GIS
endeavors.
TASK 1- MOBILE GIS APPLICATION DEVELOPMENT
Bolton & Menk does have the capability to produce a mobile version of the existing web GIS application.
This mobile version would be developed with similar functionality and be available across all traditional
and mobile devices. While Bolton & Menk does not provide any devices with this mobile GIS
application, many of our clients have utilized Apple Wad devices. The typical cost for iPads range from
$500 - $700 per device and do require a cellular plan for use in the field. This mobile GIS application
will be developed as a companion to the existing application and is not meant to replace it.
The Cost to develop this application would be $5,000
PROJECT COST
Compensation for selected tasks shall be on a lump sum basis. Any additional tasks requested by the City
of Mound and outside the scope of this proposal will be performed at our regular hourly fee schedule.
Task 1— Mobile GIS Application Development $ 5,000.00
TOTAL COST $ 5,000.00
PROJECT SCHEDULE
Bolton & Menk anticipates finalization of the mobile GIS application within 6 weeks of project initiation.
N:V'roposa1sV4omd\GIS Proposal 2015\G1S_Smices_091415.dmx
DESIGNING FOR A BETTER TOMORROW
Bolton & Menk is an -76 -opportunity employer
Mr. Ray Hanson
September 14, 2015
Page 2
We appreciate the opportunity to provide you with this proposal for services. If you have any questions or
comments regarding this proposal, please feel free to call Brian at 612-756-3441 or John at 507-381-
8094.
Sincerely,
BOLTON & MENK, INC.
Brian D. Simmons, P.E. John D. Shain, GISP
Project Manager GIS Project Manager
-77-
B® LTON & M E N 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
January 7, 2016
Ms. Catherine Pausche, Director of Finance
City of Mound
2415 Wilshire Boulevard
Mound, MN 55364
1 NC®
RE: 2014 Street and Utility Improvement Project — West Three Points Blvd. Street
City Project No. PW -14-01
Pay Request No. 5
Dear Ms. Pausche:
Please find enclosed Pay Request No. 5 from Midwest Asphalt Corporation for work completed
on the 2014 Street, Utility and Retaining Wall Improvement Project — West Three Points
Boulevard Street, from November 7, 2015 through January 6, 2016. This pay request includes an
additional 0.2 for Item No. 1, Mobilization, amounting to $12,000. The total payment for this
lump sum item is $72,000 as shown in the attached Request for Payment spreadsheet.
The justification for this additional payment amount is due to the thickness of the existing
asphalt pavement on Three Points Blvd. in the section covered by this contract, Avocet Lane to
Commerce Blvd. The 4 soil borings taken by the City's geotechnical consultant, AET, prior to
the preparation of plans and specifications, indicated an average thickness of approximately 5.5
inches. The actual thickness encountered by Midwest was in the 8 to 10 inch range. This required
additional mobilizations and equipment since their asphalt re -claimer was not capable to remove
the thicker than expected asphalt. The contractor has provided equipment and labor costs and our
inspector also observed the additional work effort required which was completed early in the
project this past summer.
We have reviewed the contractor's request, verified quantities and recommend payment in the
amount of $33,970.10 to Midwest Asphalt Corporation.
Sincerely,
BOLTON & MENK, INC.
CQa44-�d-z
Daniel L. Faulkner, P.E.
City Engineer
cc: Eric Hoversten, Director of Public Works
WE
DATE: S/G/204fi
CONTRACTOR
MtdwestnnCarp
CONTRACTOR'S PAY REQUEST NO. 5
2014 STREET IMPROVEMENTS- WEST THREE POINTS BLVD STREET OWNEERR
nd
CINof Mouuf
CIN PROJECT NOS, PW -14011 ENGINEER
Bolton&Menk
BEN PROJECT NO. C12.107130
FOR WORK COMPLETED FROM 21/7/2015 THROUGH 1/6/2016
$
690.241.35
TOTALAMOUNTBID.............. _... ......... ................ ..... ................ ..... ........ ..... ............ _..»................... ................. ....................
APPROVED CHANGE ORDERS +EXTRA WORK............._...............-...._.»................. .......... ..._._....»..........._............
$
Y2,OOD.OD
$
602,231.35
CURRENTCONTRACTAMOUNT............_................_ .. ..... .................»......................_........................»..-»
$
499,563.95
TOTAL. COMPLETED WORKTO DATE...».. ... .........................................................-......................................_......
TOTAL. STORED MATERIRLSTO DATE. ................ ...... ....... ...... ........ ......... _... ......... ...... ........ .......... —............
$
DEDUCTION FOR STORED MATERIALS USED IN WORK COMPLETED.......-...-..._. ...............................»..
$
TOTAL, COMPLETED WORK& SEORED MATEILIAIS............. .........»..........._....................... .......................... ..... ......_
$
499563.95
RETAINEDPERCENTAGE ( 5% )..... ... ....... _.... .... ..... .... ................ ............ .... ........ .... .._....._.........._.............
$
24.976.20
TOTALAMOUNTOFOTHER DEDUCTIONS..........................................__...........»....«..................................,._..»
$
NETAMOUNTDUETOL'DNTRACTORTODATE....................._.....................................................-............................
$
474585.75
TOTALAMOUNTPAIDONPREVIDUSESTIMATES....... ........ ............ .......... ............. ._............. ... _..... ............... ..�
$
440.645.65
PAYCONTRACTORAS ESTIMATE NO. 5 .................................. .......... ...... ... ........... ....... ........ ........ ...-............ .... ..
$
33,970.]0
Ce flflcare for Payment
1 hereby ceNlfythap to the bestof mykrmwledge and belief, all Items quantities and prices
of work and material shown an this FAimete arecormct andthat all work has been
performed In full accordance with the terms and conditlonsof the Contract for tlds project
between the Owner and the undersigned Contractor, and as amended by any
cuthorlaed changes, andthat the foregoing Is a true and correct statement Of the amount
for the Final Estimate, that the pmvisbmof M.5.290.92 hew: beencomplledwlth andthat
all cloims agalmn me by reason of the Contract haw: been paid orsatlsfactarily secured.
CHECKED AND APPROVED AS TO QUANTITIES AND AMOUNT.
BOLTON It MENX, INC., ENG[If�/ERS, 2638 SHADOW LN, SUITE 200,04AM WIN 55318 -
by /-\/'T-l�f'Ayl/.� ,PROIECTENGINEER
Doelell/L`Fawn,
... y /7 %�
APPROVED MR PAYMENT:
Owner: CITY OF MOUND
By
Name
-79-
Dale
REQUEST POR PAYMENT
PATE
RF.QVfST A'O.:
2014 STREET, UTILITY, 8 RETAINING WALL IMPROVEMENTS- WEST THREE POINTS BLVD.
STREET IMPROVEMENTS
PROJECT.. Ci1Y Pmlecl Nc. PW -11-01
C'ONTRAC'TOR: MIDWEST ASPHALT CORPORATION
i
ORIGINAL BID
COMPLETED
BID
UNIT
THIS
MONTH I
TO
DATE
REM
NO.
BID REM
UNIT
QUAN"
PRICE
dUANTITyi
AMOUNT
QUANTITY
I AMOUNT
GENERAL
MOBILIZATION
LUMP SUM
1
340,000.00
0.42
$25,200.00
1.20
$]2,000.00
1
2
TRAFFIC CONTROL
LUMPSUM
1
315.000.00
0.22
53,300.00
1.00
$15,000.00
3
CONSTRUCTION SIGN -SPECIAL
EACH
1
3650.00
0
$0.00
1
$650.00
4
REMOVALS
REMOVE CONCRETE CURB 6 GUTTER
LIN FT
1,000
55.30
0
$0.00
1,158
S.1J7.40
5
REMOVE CONCRETE DRIVEWAY PAVEMENT AND SIDEWALK
6O FT
3,250
$1.60
0
50.00
3,334
111
6
REMOVE BITUMINOUS DRIVEWAY PAVEMENT
SQ YD
375
$15,40
0
10.00
463
$7,13020
7
REMOVE CASTING (SANITARY)
EACH
13
$115.00
0
IO.DD
14
$1,610UD
8
REMOVE MISCELLANEOUS STRUCTURES
CUYD
10
$76.00
0
$0.00
Z
$152.00
ROADWAY CONSTRUCTION
CUYD
3,453
$1000
0
$0.00
3.453
134,530.00
9
COMMON EXCAVATION IF)(EV)
320
$22.00
0
50.00
386
$8,536.00
10
SUBGRADE EXCAVATION(EV)
CUYD
0
50.00
140
33,640.03
11
SUSGRADE EIC REPLACEMENT (GRANULAR BORROW) ICV)
CUYD
320
52600
12
STABILIZING AGGREGATE I IYJ- MINUS
TON
BID
326.00
0
$0.00
0
332
$0.00
311,82000
13
STABILIZING AGGREGATE TCLEAR
TON
W
$35.00
0
$0.00
14
GEOTEXTILE FABRIC TYPE V(P)
SQ YD
9,437
$165
0
BODS
9,137
315,571.05
15
SUBGRACE PREPARATION (P)
SO YD
9,516
$0.60
0
$0.50
9,516
55,709.80
16
AGGREGATE BASE (CV) CLASS 5, 100%CRUSHED
CUYD
2.773
52000
0
$0.00
2,773
$55,460.00
17
TYPE SP 125 NON WEARING COURSE MIX(3,S)
TON
1.130
164.00
00
5000
1.05610
$66,304.00
16
TYPE SP 9.5 WEARING COURSE MIX (4.11) 1 V'THICK
SO YD
B,P20
$6.70
0
$0.00
0
$0.00
19
STAGING SITE
COMMON EXCAVATION (EV) (STAGING)
CUYD
160
TIBBS
0
30.00
65
$1.3>6.00
20
FULL DEPTH RECLAMATION
SO YD
1,643
3320
0
$DAO
560
$1]92.00
21
TYPE SP 125 NON WEARING COURSE MIX (3.13)
TON
190
$70.00
0.0
$0.00
000
$4,83000
22
TYPE SP 9.5 WEARING COURSE MIX (4.8) 1,5" THICK
BOYD
1,643
$770
0
$0.00
580
54,465.00
WATERMAIN
EACH
3
511D.00
0
$000
5
$550.00
23
WATER SERVICE LID CCVER
18
$400.00
0
$0.00
16
$6,900,00
24
ADJUSTVALVEBOX
EACH
0
S0,00
13
$3,38000
25
ADJUST CURB STOP ELEVATION
EACH
15
$260.00
SANITARY SEWER
EACH
4
$400.00
0
$0.00
4
,600.00
26
ADJUST VALVE BOX
EACH
13
$310.00
0
ED.00
12
$3 ,RDBD
27
CASTING ASSEMBLY (SANITARY)
EACH
17
$1,200.00
0
BDOO
11
520400.00
28
ADJUST FRAME& RING CASTING
0
50.00
14
$3,020.00
29
INTERNAL CHIMNEY DEAL
EACH
17
$280.00
STORM SEWER
LIN FT
285
$34.00
0
50.00
199
$6,]88.00
30
4- PERF TP PIPE DRAIN
$16000
0
50.00
13
$2,00000
31
ADJUST FRAME B RING CASTING
EACH
13
SIDEWALKS, DRIVEWAYS, CURB B GUTTER
".DO
0
SIX
32
AGGREGATE SURFACING CLASS 6(DRIVEWAY)(1UO91 CRUSHED)
TON
10
$60.50
0
33
4- CONCRETE WALK (W) 4- AGGREGATE BASE CLASS S)
SOFT
3,000
$5.50
0
SDSD
2.679
514,734.50
34
6" CONCRETE WALK W? CAGGREGATE BASE CLASS 5)(CURB RAMP)
BO FT
950
$7.80
0
$D.00
925
$7,215.00
35
TYPE LV4 WEAR COURSE MIX (8) 2O' DRIVEWAY IW/ r AGE. BASE CL S)
SQ FT
2,400
$3.40
0
30.00
872
$2,964.80
36
BITUMINOUS COMMERCIAL DRIVEWAY 3.5" THICK (WI e- AGGREGATE BASE)
SOFT
1,7D0
3500
0
$0.00
3,299
$1.495.00
37
CONCRETE CURB B GUTTER DESIGN 9612
LIN FT
6
350.00
0
SODD
32
$1,600.00
38
CONCRETE CURB 6 GUTTER DESIGN 8613
LIN FT
2.250
$17.50
0
$0.00
2.000
53500000
39
CONCRETE CURB DESIGN V
LIN FT
50
$43.00
DO
$D.00
41.5
$1.784.50
40
6- CONCRETE DRIVEWAY PAVEMENT (VO4" AGGREGATE BASE CLASS S)
SOFT
1,300
$6.40
0
50.00
1,164
$7.577,60
41
TRUNCATED COMES
SOFT
112
$4TO0
0
$0.00
123
18,018.00
42
REVISE SIGNAL SYSTEM
SYSTEM
1
$12,500.00
0.5
$5,625.00
0.95
511,87500
63
IRRIGATION SYSTEM AND DOG FENCE ALLOWANCE
ALLOWANCE
I
$2,000.00
0
$0.00
0
50.00
44
LANDSCAPE ALLOWANCE
ALLOWANCE
1
ES,000.DO
0
50.00
0,805
41,025.00
45
PAVEMENT MESSAGE (ARROW PAINT (TEMPORARY)
EACH
4
$82.00
0
$000
4
3320.00
46
PAVEMENT MESSAGE (ARROW) EPDXY
EACH
4
$137.D0
0
$0.60
0
$0.00
47
VSOLID UNE WHITE- PAINT QEMPOARARY)
LIN FT
300
$1.10
0
$0.00
296
$325.60
48
4" SOLD UNE YELLOW- PAINT (TEMPORARY)
LIN FT
300
$1.10
0
SO00
297
5326.70
49
4" SOLID LINE WHITE-EPDXY
LIN FT
300
$155
0
5000
D
$0.00
5D
4` SOLID LINE YELLOW-EPDXY
LIN FT
300
$1.65
0
$0.00
D
$000
51
CROSSWALK MARKING- PAINT (TEMPORARY)
SOFT
500
$1.65
D
SODD
252
1116.80
52
CROSSWALK MARKING -EPDXY
SOFT
500
31.50
0
50.00
0
50.00
RESTORATION, EROSION CONTROL
$DBD
0
$0.00
53
FLOTATION SILT CURTAIN TYPE STILL WATER
LIN FT
50
$22.00
0
9
$1,278.00
54
STORM ORAM INLET PROTECTION
EACH
20
$142.00
0
$0.00
10
&2,750.00
65
MAINTAIN EROSION CONTROL (SILT FENCE, ETC)
LUMPSUM
1
$2750.00
11.2
$55000,
56 SANOBAG
BARRIER
EACH
1S
$2200
0
50.00
0
$0.00
57
TOPSOIL BORROW (LV)
CUYD
275
$1900
0
50.00
127
52,413.30
LS
1
5160.00
0
00.00
1
$1WAD
58 SEED
MIXTURE as -252
BOYD
iOD
51550
0
30.00
241
$3735.60
59 SODDING
TYPE LAWN
75
IIAB
0
30.00
52
5228.80
60 EROSION
61 HYDROMULCH
CONTROL BLANKET CATEGORY 3
W/25-151SEED MIX
SOYO
SQYD
1,6DO
$4.35
0
$oDD
1,510
$6.568.50
EW -1 EXTRA
WORK- SAWCUTTING BITUMINOUS PAVEMENT
LIN FT
0
$6.00
128
5768OD
124
376600
EW -2 EXTRA
WORK- SAWCUTTING CURB B GUTTER I
EACH I
0 1
535.00
B
5315.00
9
$315.00
$35,758.00
$699,503.95
i
• BO I_TON 8L M FEE N K
�I� Consulting Engineers & Surveyors
n / r 2638 Shadow Lane, Suite 200 • Chaska, MN 55318-1172
Phone (952) 448-8838 • Fax (952) 448.8805
www.bolton-menk.com
January 5, 2016
Eric Hoversten, Director of Public Works
City of Mound
2415 Wilshire Boulevard
Mound, MN 55364
I NC®
RE: 2016 Street, Utility and Retaining Wall Improvements — Bartlett Blvd., Tuxedo Blvd., Cypress /Maywood
City Project Nos. PW -16-01, PW -16-02, PW -16-03
AET Invoice for Investigative Services
Dear Eric:
Attached please find American Engineering Testing, Inc. Invoice number 69790 dated 11/30/15 in the
amount of $7,195.00 for geotechnical (soil borings and report) and ground penetrating radar services
(pavement thickness) for the proposed Bartlett Blvd, Tuxedo Blvd Phase II and Cypress/Maywood
project.
Invoice number 69790 is in conformance with AET's proposal dated September 23, 2015 and accepted on
October 7, 2015. I recommend payment of this invoice in the amount of $7,195.00 to American
Engineering Testing, Inc. This total amount should be proportionally charged to the three project areas as
I've detailed on the Itemization sheet.
Sincerely,
BOLTON &�MENK�, /INC
Daniel L. Faulkner, P.E.
City Engineer
HAMOUN\C12110649\1 Corces\E Docs\2015-12.09 Ltr of Recdn, AET Construction Services lnv.doc
DESIGNING FOR A BETTER TOMORROW
Bolton & Menk is an -' i opportunity employer
81-
MOUND, CITY OF
C/O BOLTON & MENK, INC
2638 SHADOW LN, SUITE 200
CHASKA, MN 55318
American Engineering Testing, Inc.
550 Cleveland Avenue North
St. Paul, Minnesota 55114
Phone: (651)659-9001
Fax: (651) 659 1379
Federal Tax ID: 41-0977521
BILLING CONTACT: DAN FAULKNER
SCOPE OF WORK:
GEOTECHNICAL EXPLORATION AND GPR
SERVICES
DUE DATE: 12/30/2015
INVOICE
CUSTOMER
NUMBER
NUMBER
DATE
69790
11/30/15
M00016
PROJECT MANAGER: D. VAN HEUVELN
PROJECT NUMBER: 20-13623
PROJECT:
2016 STREET, UTILITY, AND RETAINING
WALL IMPROVEMENTS
PW -16-01, PW -16-02, PW -16-03
SEE ATTACHED ITEMIZATION MOUND, MN
For inquiries or additional information regarding this invoice, please contact 651-789-4651 or email
acco un ting@amengtest. com
Remit payment to: 550 Cleveland Avenue North, St. Paul, MN 55114
Amount due this Invoice $7,195.00
AET Federal to #41-0977594 ADS Federal ID #41-1646054
550 Cleveland Avenuc82.-h I St. Paul, MN 55114
Phone 651.659.9001 1 Toll Free 800-972.6364 1 Fax 651-655-1379 1 www.amengtest.com I AA/EEO
This document shall not be reproduced, except in full, without wdtten approval from American Engineering Testing, Inc.
Billing Contact: DAN FAULKNER
Project Number: 20-13623
Scope of Work:
GEOTECHNICAL EXPLORATION
SERVICES
PO# 2015-00002259
American Engineering Testing, Inc
550 Cleveland Ave North
St. Paul, MN 55114
ITEMIZATION
Due Date: 12/30/15
Invoice
Number
Invoice
Date
Customer
Number
69790
11/30/15
M00016
Project:
2016 STREET, UTILITY, AND
RETAINING WALL IMPROVEMENTS
PW -16-01, PW -16-02, PW -16-03
MOUND, MN
Quantity
Unit
Description
Unit Price
Amount
Geotechnical Services
1
lump sum
Lump Sum Fee: AET Proposal No. 20-13623
$7,195.00
$7,195.00
Dated September 23, 2015
iA Sot`(
0
� ffi3, Sy 7. Sof
ASN -/(o -o r 4,
744. SJ
3 C�/, W
��-il�,o�
3 798. 75f
�7, kgs va
$7195.001
Total=
Page 1 of 1
F.OMCC323C
BOLTON 8L. MINK,
�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
January 7, 2016
Honorable Mayor and Members of the City Council
City of Mound
2415 Wilshire Boulevard
Mound, MN 55364
RE: 2016 Street, Utility and Retaining Wall Improvement Project
Resolution Requesting Advance MSA Funding
City Project Nos. PW -16-01, PW -16-03
Dear Mayor and Council Members:
1 NC®
Minnesota Statute 162.14, Subdivision 6 provides for municipalities to make advances from
future year's Municipal State Aid (MSA) allocations for the purpose of expediting construction.
This process not only helps reduce the total construction cash balance for all MSA cities, but also
allows municipalities to fund projects that may have been delayed due to funding shortages.
Previously, the City of Mound, received an advance for the city's cost share portion of the
County Road 15 (Shoreline Blvd.) improvement completed by Hennepin County in 2005/06.
The request for 2016 will help the City fund its portion of project costs. The attached Resolution
includes estimated costs for the state aid eligible items included with the Bartlett Boulevard
project area (S.A.P. 145-103-003), Cypress Lane project area (S.A.P. 145-110-003) and the
Maywood Road project area (S.A.P. 145-109-005). The other project referenced in the
Resolution, S.A.P. 145-106-003 is Three Points Boulevard, and the amount of $19,073.28, is the
remaining 5% of the State Aid eligible items that will be received when the project is completed
next summer.
The Resolution does not include the Tuxedo Boulevard project area as State Aid requirements
for this project area would be very difficult to meet without significant variances due to the
roadway alignment, both horizontally and vertically.
The funding gap of approximately $549,000 will be met with the approval of the City's advance
funding request of $700,000. This amount will be repaid from the City's future MSA
Construction allocations estimated to be approximately $300,000 per year.
Sincerely,
BOLTON & MENK, INC.
Daniel L. Faulkner, P.E.
City Engineer
DESIGNING FOR A BETTER TOMORROW
Bolton & Menk is an_84' opportunity employer
CITY OF MOUND
RESOLUTION NO. 16 -
RESOLUTION REQUESTING ADVANCE MUNICIPAL STATE AID FUNDING FOR
RECONSTRUCTION OF STATE AID STREETS
WHEREAS, the City Council conducted Public Improvement Hearings on November 24, 2015
for the proposed reconstruction of: 1. Bartlett Boulevard from Wilshire Boulevard to Shoreline
Boulevard, Municipal State Aid (MSA) section 145-103-020, 022, 023; 2. Cypress Lane from
Shoreline Boulevard to Maywood Road, MSA section 145-110-010; 3. Maywood Road from
Wilshire Boulevard to Cypress Lane, MSA section 145-109-045; and
WHEREAS, at the conclusion of the Public Improvement Hearings on November 24, 2015, the
City Council ordered the proposed improvements and is planning to implement the following
street and utility reconstruction projects as Municipal State Aid Street projects in 2016 which will
require State Aid funds in excess of those available in its State Aid Construction Account: 1.
Bartlett Boulevard from Wilshire Boulevard to Shoreline Boulevard; 2. Cypress Lane from
Shoreline Boulevard to Maywood Road; 3. Maywood Road from Wilshire Boulevard to Cypress
Lane; and
WHEREAS, the City of Mound is prepared to proceed with the construction of said projects
through the use of an advance from the Municipal State Aid Street Fund to supplement the
available funds in its State Aid Construction Account; and
WHEREAS, the advance is based on the following determination of estimated expenditures:
Account Balance as of January 6, 2016 $542,604.57
Estimated 2016 Construction Allocation $300.824.00
Estimated Account Balance as of February 1, 2016 = $843,428.57
Less estimated disbursements:
Project # S.A.P. 145-106-003 $19,073.28
Project#S.A.P. 145-103-003 $1,003,000.00
Project #S.A.P. 145-110-003 $233,000.00
Project#S.A.P. 145-109-005 $137.000.00
Total = $1,392,073.28
Difference = $548,644.71
Requested Advance Amount $700,000
WHEREAS, repayment of the funds so advanced will be made in accordance with the
provisions of Minnesota Statutes 162.14, Subdivision 6 and Minnesota Rules, Chapter
8820.1500, Subdivision 10b; and
WHEREAS, the City of Mound acknowledges advance funds are released on a first -come -first -
serve basis and this resolution does not guarantee the availability of funds;
NOW, THEREFORE BE IT RESOLVED by the City Council of Mound, Minnesota, that the
Commissioner of Transportation be and is hereby requested to approve this advance for
financing approved Municipal State Aid Street Projects of the Municipality of Mound in an
amount up to $700,000. 1 hereby authorize repayments from subsequent accruals to the
Municipal State Aid Street Construction Account of said Municipality from future year allocations
until fully repaid.
MR
Adopted by the City Council this 121h day of January 2016.
Mark Wegscheid, Mayor
Attest: Catherine Pausche, City Clerk
MOUND CITY COUNCIL MINUTES
December 17, 2015
The City Council of the City of Mound, Hennepin County, Minnesota, met in a special meeting
on Thursday, December 17, 2015, at 6:30 p.m. in the council chambers of the Centennial
Building to discuss the search for a full-time city manager.
Members present: Mayor Mark Wegscheid; Council Members Ray Salazar, Heidi Gesch, and
Jennifer Peterson
Members absent: Council Member Kelli Gillispie
Others present: Interim City Manager Bob Derus, Director of Finance and Administrative
Services Catherine Pausche, Katie Morford
1. Open meeting
Mayor Wegscheid called the meeting to order at 6:40 p.m.
2. Approve Agenda
MOTION by Salazar, seconded by Gesch, to approve agenda. All voted in favor. Motion
carried.
3.
hiring recommendation
Bob Derus gave background on the timeline and process for the search fora full-time city manager,
including development of the position summary, job description and qualifications. Derus stated The
position was posted and 13 applications were received by the deadline on December 4, 2015, and that
five applicants were chosen to participate in the final interviews which were conducted on December
14th and 15th with the City Council search committee members participating.
Derus stated the committee is recommending Eric Hoversten, the City's current public works director to
serve in a combined role of city manager and public works director. Derus summarized Hoversten's
qualifications, including a Bachelor's Degree in Civil Engineering from U.S. Air Force Academy and a
Master's Degree in Human Resources Management from Troy State University, which Derus noted is
very valuable in a city manager role. In addition, Derus stated Hoversten has extensive management
and leadership experience from his service in the Air Force including community and infrastructure
planning, programming and budgeting, strategic planning, construction supervision, contract
procurement, emergency management, oversight of the fire department, and labor relations.
Derus said this is the second time he has recommended the joint role of city manager/administrator and
public works director. Derus said the first time was in St. Michael and it has been very successful and
that he is confident Hoversten will have success as well. Derus said he always looks for opportunities to
job share that will provide value for many years to come.
Mayor Wegscheid noted that although 13 candidates may be considered low, they were of high quality.
Wegscheid said the decision was obvious as the council has had the benefit of working with Hoversten,
noting how fast Hoversten has gotten up to speed. Wegscheid also noted that Hoversten has been
U. 0
Mound City Council Minutes—Dec 17, 2015
tapped by other agencies to participate on task forces, which is also evidence of his knowledge and
leadership skills. Wegscheid thanked Derus for his service and said it was a pleasure working with him.
Peterson added that in addition to the applicants, she and Derus reached out to other potential
candidates and is confident that position opening was well known. Salazar said he has many
conversations with Hoversten on various issues and is excited and confident about this selection.
4. Council action on an employment aureement
MOTION by Salazar, second by Gesch, to approve the employment agreement. All voted in favor.
Motion carried.
5. Adiourn
MOTION by Gesch, seconded by Salazar, to adjourn at 7:51 pm.
Mayor Mark Wegscheid
Attest: Catherine Pausche, Clerk
2451 Wilshire Boulevard
Mound, MN 55364
(952)472-0604
MEMORANDUM
To: Honorable Mayor and City Council
From: Sarah Smith, Community Development Director
Date: January 7, 2016
Re: Discussion/action related to violation(s) of Conditional Use Permit for property at
4831 Shoreline Drive which allows for sales and display of (20) vehicles
Summary. At its January 12, 2016 meeting, the Mound City Council will discuss and consider
revocation of the Conditional Use Permit (CUP) that allows open lot vehicle sales and display for up
to (20) vehicles at the property located at 4831 Shoreline Drive. The grounds for the proposed
revocation is that there are violations on the property including storage and display of more than (20)
passenger vehicles on the subject property. There are also on-going issues with automotive repair
activities taking place on the property and the storage and display of non -passenger -type vehicles
(i.e., motorcylcles, limousines, etc.). These activities are not permitted uses in this particular zoning
district and are not authorized by the Conditional Use Permit that was issued.
Overview.
1. The business presently operating on the site is MainStreet USA which began operations in 2009.
According to Hennepin County tax records, the property owners are Alexander Teplitski and
Maxim Teplitski. The operator of the dealership at 4831 Shoreline Drive is Max Teplitski.
2. Based on Staffs on-going monitoring of the site, there have been excessive numbers of
vehicles on the site and it is not clear whether the stored vehicles are on display for sale, or if
they are on the property for other reasons. Additionally, there have been on-going issues
related to automotive repair activities taking place on the property; also the storage and
display of motorcycles, limousines, and body and engine parts. Photos of the subject site
taken by the Field Officer on January 12, 2016 have been included as an attachment.
3. Resolution No. 02-68 references open lot vehicle sales and does not mention sale of commercial
semi -trucks or "recreational vehicles' nor does it authorize storage or repair activities. The intent
of the original CUP was for sales/display of (20) passenger -type vehicles.
4. Based on information submitted as part of the original 2002 CUP application from Matt Lajoy,
(former owner of Lake Minnetonka Quality Motors), which included a supplemental applicant
memorandum dated April 23, 2002, it was stated by the applicant that he had been conducting a
very successful used car dealership on the site since December 1, 2001 and that he consistently
maintained a very clean dealership with shiny and rust free vehicles and that cars such as BMW,
Mercedes, Acura, Toyota, Saturn and other high quality vehicles had been sold on the property.
It was also stated in the supplemental applicant narrative that no automotive repair would occur
or take place and the applicant fully understood that the property is located at the one of the
main entrances to the City and that the site is visually prominent.
-89-
S. The operator previously submitted an application to amend the current CUP in September 2009
to increase the number of vehicles to be offered for sales/display as well as to offer major/minor
vehicle repair and service maintenance work. Additional information was submitted in
November 2009 and June 2010. However, the application remained incomplete. Additional
discussion with Max Teplitski took place in 2014 and 2014 regarding his continued interest in
amending the CUP. Mr. Teplitski, on April 30, 2015, provided a revised surrey to depict a
proposed parking configuration for display of (30) vehicles. However, as of January 7, 2016, no
CUP application has been submitted. Therefore, the conditions of Resolution No. 02-68 for the
Subject Property apply to the operations for MainStreet USA.
6. The City Council, at its April 26, 2011 meeting, took action to revoke the CUP due to similar
violations including excessive number of vehicles being stored and displayed as well as the
storage of semi -trucks, boats and trailers on the Subject Property. The CUP revocation was
rescinded by the City Council at its May 10, 2011 meeting after corrections were made to bring
the Subject Property into compliance.
Action/Next Steps.
City Code Section 129-38 (c) (9) states that in the event an applicant violates any of the conditions set
forth in the permit, the City Council shall have the authority to revoke the conditional use permit. Due
to non-compliance on behalf of the owners and operator to take appropriate steps to correct the
current violations on the site for conformity with the CUP and the failure to contact Staff, the City
Council will discuss the matter and consider taking action on Tuesday, January 12, 2016.
MainStreet USA's representatives have been notified of the Council's consideration of this matter and
have been invited to attend the meeting. See attached copy of letter datedlanuary7, 2016. In the
event that MainStreet's representatives attend the meeting, the Council should give them the
opportunity to address the Council in order to present evidence and make any comments that they
feel are necessary concerning the matter.
Staff recommends the City Council consider the following options:
1. Adopt a resolution revoking the CUP.
2. Adopt a resolution to revoke the CUP, effective 12:01pm on Wednesday, January 13, 2016, which
is to remain in place until after the January 26, 2016 City Council meeting (orsome other date that
is specified by Council) . The resolution allows MainStreet USA time to bring the property into
compliance with the CUP and requires the removal of vehicles that are not being offered for
display and sales and are not employee or customer vehicles. In addition, all non -passenger type
vehicles must be removed. The owners/operators must also cease all automotive repair
activities that are not consistent with getting a vehicle ready for sale (i.e., detailing) and remove all
auto and engine parts from the Subject Property. If the property is brought back into
compliance, the revocation action may be stayed by the City Council. In the event the property is
not brought into compliance by the January 26, 2016 Council meeting (or other specified date),
the City Council take action on a new resolution revoking the CUP.
® Page 2
-90-
(A L)
2415 WILSHIRE 80ULEVARD
C'To/ OF/OUN� MOUND, MINNESOTA 55364
PH: (952) 472-0600
FAX: (952) 472-0620
WES: www.cityofmound.com
January 7, 2015 By US Mail, Hand Delivery and
Email (mteplitski@aol.com)
Mr. Maxim Teplitski
Mr. Alexandercony
MainStreet USA,, Inc. Inc.
4831 Shoreline Drive
Mound, MN 55364
Re: Notice of Proposed Revocation of a Conditional Use Permit to Allow Open Lot
Vehicle Sales for the Property Located at 4831 Shoreline Drive, City of Mound
This letter will serve as notice that the Mound City Council will be considering revocation of the
Conditional Use Permit Allowing Open Lot Vehicle Sales on your property located at 4831
Shoreline Drive. The grounds for the proposed revocation is due to the excessive number of
vehicles presently being sold or stored on the property and on-going issues with open storage of
motorcycles, limousines and automotive body and engine parts. In addition, it appears that
automotive repair work is taking place on the property. These activities are not permitted uses
in this particular zoning district and are not authorized by the Conditional Use Permit that was
issued for the property.
The City Council will consider revocation of the Conditional Use Permit at its meeting on
Tuesday, January 12, 2016 in the Council Chambers in the Centennial Building (former City
Hall) at 5341 Maywood Road, Mound, Minnesota, at 7.00 p.m. You have the right to appear
and participate in the meeting, present evidence, and make any comments you have regarding the
proposed action.
Very truly yours,
Sarah J. Smith
Community Development Ditector
Attachments:
1. Copy of staff Memorandum from Community Development Director dated January 7,
2016
2. Summary of Site Inspections/Meetings/Correspondence
3 Copy of Staff Memorandum from Field Officer Stewart Simon dated January 7, 2016 and
Attachment A (Photographs taken January 7, 2016)
4. Draft Resolution No. 16-_
5. Copy of Resolution No. 02-68
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4NAimed on mcY0ed Q8PVr
2415 Wilshire Boulevard
Mound, MN. 55364
(952)472-0605
Memorandum
To: Sarah Smith, Community Development Director
From: Field Officer Stewart B. Simon
Date: January 7, 2016
Re: Site Conditions -4831 Shoreline Dr. (Mainstreet USA, Inc.)
On December 17, 2015, 1 hand delivered a letter to Alexander and Maxim (Max) Teplitski, in
regards to the ongoing Conditional Use Permit violations on the property located at 4831
Shoreline Dr., Mainstreet USA, Inc. Per the letter, the owners of the business were to schedule
a meeting with Staff, prior to December 29, 2015. To date, I have not been contacted by the
owners of the business.
Since delivering the letter to the business, I have conducted four (4) inspections of the
property, to document the conditions thereupon:
• 12/30/2015, 09:01: 38 -vehicles were on the property. The business was not open at
the time of the inspection; no employees or customers were on site.
• 01/04/2016, 09:14: 36 -vehicles were on the property. The "Open" sign in the front
window of the business was illuminated, however there were no signs of employees or
customers on the site. All of the vehicles on the property were covered in frost, and
appeared to be undisturbed.
• 01/05/2016, 09:35: 37 -vehicles were on the property. The business was not open at
the time of the inspection; no employees or customers were on site.
• 01/07/2016, 08:50: 39 -vehicles were on the property. One (1) vehicle, a Lincoln Town
Car, stored on the southeastern side of the property, was missing the front bumper and
headlight assembly. The business was not open at the time of the inspection; no
employees or customers were on site.
I have attached a series of photographs to this memo, (Attachment A) which were taken during
the 01/07/2016 inspection. It should be noted, the conditions of the property depicted in the
photographs, is consistent with the conditions found on previous site visits.
Please let me know if you have any other questions regarding the conditions found on the
subject property.
SBS
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Attachment A
2 -93-
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Summary of Inspection / Meetings / Correspondence
(September 14, 2014 - December 14, 2015)
September 4, 2014: (38) vehicles were observed on the property. In addition, automotive
repair work was being performed in the garage area. Max Teplitski had a conversation
with Field Officer Stewart Simon, in which, he was reminded of the conditions of the
CUP, limiting the number of vehicles allowed on the property, and the prohibition of
automotive repair work, over and above preparing and detailing a vehicle for sale.
• October 17, 2014: During a site inspection, (36) vehicles were observed on the property.
October 21, 2014: A letter was hand delivered to Max Teplitski by Field Officer Stewart
Simon, requesting he bring the property into compliance with the CUP, by October 31,
2014. Mr. Teplitski was advised to contact Field Officer Simon in advance of the
deadline date, if there were circumstances preventing him from bringing the property into
compliance with the CUP. A copy of the letter was also sent to Mr. Teplitski via U.S.
mail.
November 3, 2014: Staff received a letter from Mr. Teplitski, dated October 30, 2014.
Mr. Teplitski's letter stated they "addressing the concern of the city with the condition of
the lot -car dealership." Additionally, Mr. Teplitski said he had been in contact with Staff,
and "have been compliant with the city codes, city ordinances and the conditions of our
use permit." Further, Mr. Teplitski indicated he wanted to complete the process for
amending the current CUP.
November 7, 2014: (24) vehicles were observed on the property. Mr. Teplitski had a
conversation with Field Officer Stewart Simon and requested additional time to remove
the vehicles "not for sale" from the property. Mr. Teplitski was granted an extension to
remove the vehicles "not for sale", so long as forward progress was made on bringing the
property into compliance with the CUP. Field Officer Simon provided Mr. Teplitski with
an application for a CUP, based on his request.
• December 11, 2014: During a site inspection, several motorcycles and a limousine were
observed to be stored on the property.
January 15, 2015: Max Teplitski had a meeting with Field Officer Stewart Simon, at City
Hall, to discuss what was required to amend and update the CUP for the property.
January 22, 2015: Max Teplitski had a meeting with Community Development Director
Sarah Smith and Field Officer Stewart Simon, at City Hall, to discuss amending the CUP
for the property. Mr. Teplitski stated he wanted to have (35) vehicles for sale on the
property. He was advised by Staff of the CUP currently in place, that limits the number
of vehicle sales on the property to no more than (20). He was also that advised
motorcycles, recreational vehicles, and limousines are not covered by the CUP. Mr.
Teplitski was further advised that automotive repair work was not authorized to be
performed on the property. Mr. Teptlitski told Staff, the only work performed on the site
is that necessary to prepare a vehicle for sale, including service to vehicle safety
equipment. Further, Mr. Teptlitslki told Staff the he does not provide vehicle repair
service to the public.
• March 11, 2015: An inspection of the property was conducted, during which, 38 vehicles,
including one limousine, were found on the property. Additionally, four motorcycles
were displayed on the lot. Further, miscellaneous auto parts, consistent with major
automotive repairs, were observed in a barrel, outside of the service bays.
• March 12, 2015: A site inspection was conducted, during which, (34) vehicles were
found on the property. One of the vehicles was missing the hood and front bumper. A
second vehicle was seen in one of the service bays, which appeared to be undergoing
major automotive repairs.
• April 10, 2015: Max Teplitski had meeting with Community Development Director Sarah
Smith and Field Officer Stewart Simon, at City Hall, to discuss amending the CUP for
the property. He brought an updated survey, indicating the display and parking of up to
(30) automobiles on the property. He was advised by Staff, the provisions under the
current CUP are in effect. Mr Teplitski was further advised motorcycles, motorhomes,
boats, limousines, and other recreational vehicles are not permitted to be on the property,
per the current CUP. Mr. Teplitski told Staff that an application for a CUP would be
submitted within 14 -days.
• June 10, 2015: An inspection of the property was conducted; (42) automobiles and two
(2) motorcycles were found displayed or parked on the property. One (1) of the vehicles,
a Dodge Stratus, stored in front of the service bays, looked to be derelict, with heavy
rear -end damage. Additionally, discarded automobile parts and several automobile
transmissions were observed in the service bays and in a collection bin adjacent to the
building. Max Teplitski was advised by Field Officer Simon that no automobile repair
work was to be performed, and no motorcycles were to be displayed or sold, under the
current CUP. Mr. Teplitski told Field Officer Simon that the transmissions found in the
trunk of a vehicle was recently purchased at auction, and the motorcycles belonged to an
employee and/or Alexander Teplitski. Mr. Teplitski further advised Field Officer Simon
he would submit an application to amend the CUP within two (2) weeks.
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July 8, 2015: An inspection of the property was conducted; (35) automobiles and three
(3) motorcycles were found displayed or parked on the property. Behind the building was
an automobile with front-end damage and covered with a white tarp, and a white pick-up
truck with miscellaneous automotive body, interior, and mechanical parts stored in the
payload area. Additionally, two (2) vehicles were observed in the service bays and one
(1) vehicle was parked in front of the service bay; all three vehicles looked to be in
various stages of repair. It was also noted that temporary signage had been put up
without a permit.
July 16, 2015: Email correspondence was provided by Max Teplitski that older
vehicles in back of the property were moved as well as the vehicle that was subject of an
insurance claim would be removed. In the email, Max Teplitski also confirmed that (2)
bikes had been moved off -premise but had not been offered for sale on the property.
Additional information was provided as there was not more than (20) vehicles offered
for sale on the property and that other vehicles on the property were employee and
customer vehicles along with vehicles staged in the back that were not offered for sale.
However, Staff s follow-up monitoring found more vehicles on premise that would be
normal and customary for 20 vehicles offered for sale, in addition to employee and
customer vehicles. On August 4, 2015, (32) vehicles were observed on the subject site
before the business was open.
• August 26, 2015: A temporary sign permit application was submitted but was rejected
because the requested signage did not meet the provisions of the City Code Chapter 119.
• September 3, 2015: During a field inspection, (32) vehicles were observed on the
property.
• September 4, 2015: During a field inspection, (35) vehicles were observed on the
property.
• September 8, 2015: During a field inspection, (34) vehicles were observed on the
property.
• September 9, 2015: During a field inspection, (39) vehicles were observed on the
property.
• September 10, 2015: During a field inspection, (39) vehicles were observed on the
property.
• September 11, 2015: During a field inspection, (36) vehicles were observed on the
property.
• September 14, 2015: During afield inspection, (39) vehicles were observed on the
property.
• September 16, 2015: During a field inspection, (4 1) vehicles were observed on the
property.
• December 3, 2015: During a field inspection, (39) vehicles were observed on the
property.
• December 7, 2015: During a field inspection, (39) vehicles were observed on the
property.
• December 10, 2015: During a field inspection, (42) vehicles and one (1) motorcycle were
observed on the property.
• December 14, 2015: During a field inspection, (41) vehicles were observed on the
property.
CITY OF MOUND
RESOLUTION NO. 16 -
RESOLUTION REVOKING THE CONDITIONAL USE PERMIT ALLOWING OPEN LOT
VEHICLE SALES ON THE PROPERTY LOCATED AT 4831 SHORELINE DRIVE
WHEREAS, in April of 2002, Ken Custer and Matt Lajoy (the "Applicants"), submitted an
application to the City for a Conditional Use Permit ("the CUP") to allow open lot vehicle
sales on the property located at: 4831 Shoreline Drive, Mound, Minnesota, to be operated
as "Lake Minnetonka Quality Motors."; and
WHEREAS, the Subject Property is zoned "B-2 - General Business" which allows local
retail sales and services along with office space opportunities to serve local population
demand and needs of non -highway orientation; and
WHEREAS, on June 11, 2002, the Mound City Council adopted Resolution No. 02-68
which approved a Conditional Use Permit to allow operation of open lot vehicle sales for no
more than 20 vehicles on the Subject Property; and
WHEREAS, the Subject Property was subsequently sold to Alexander Teplitski and Maxim
Teplitski who operate the automotive dealership MainStreet USA, Inc. on the Subject
Property ("MainStreet USA"); and
WHEREAS, at its regular meeting held on January 12, 2016, the City Council considered
the possible revocation of the CUP issued for open lot sales of (20) vehicles at 4831
Shoreline Drive ("the Subject Property") due to on-going violations related to the number of
vehicles stored and displayed on the Subject Property, the storage of motorcycles,
limousines and engine parts on the Subject Property, and repair activities taking place on
the Subject Property; and
WHEREAS, the current owners and operators of MainStreet USA were provided notice
stating the time, date and purpose for consideration of the matter by the City Council at its
January 12, 2016 meeting; and
WHEREAS, the current owners and operators of MainStreet USA were given full
opportunity to address the Council concerning the matter and the possible revocation of the
CUP at its Tuesday, January 12, 2016 meeting; and
WHEREAS, details about the matter are contained in the Community Development
Director's memorandum dated January 7, 2016 and the Field Officer's memorandum dated
January 7, 2016, along with the supporting materials that were prepared including a
summary of inspections, correspondence and meetings and current photographs; and
WHEREAS, the City Council has received the written and oral report from Staff concerning
the matter and is fully informed concerning the matter; and
-100-
Resolution No. 16 -
NOW, THEREFORE BE IT RESOLVED, the City Council of the City of Mound, Minnesota,
hereby makes the following findings of fact:
On December 17, 2015, the City notified MainStreet USA by letter, a copy of
which is on file with the City of Mound, that there were CUP compliance
issues related to the storage and repair of vehicles on the Subject Property
and requested that the owner and operator contact Staff in advance of
December 29, 2015, to discuss the matter and to bring the Subject Property
into compliance by January 6, 2016 or the matter would be discussed by
the City Council if the issues were not resolved.
2. A copy of the City's letter dated December 17, 2015 was hand delivered to
MainStreet USA by Field Officer Stewart Simon and also sent to
MainStreet USA by U.S. Mail and by Certified Mail.
3. Field inspections were conducted by Field Officer Simon following the City's
letter to MainStreet USA on December 17, 2015 to evaluate site conditions.
Field Officer Simon's observations are outlined in his memorandum dated
January 7, 2016.
4. The Field Officer conducted a field inspection on January 7, 2016 which is
the day following the City's requested deadline of January 6, 2016 to bring
the Subject Property into compliance with the CUP, and found that
conditions on the site remain unresolved.
5. The City has received complaints about the appearance of the Subject
Property.
6. There has been motorcycles, limousines and engine and body parts on
the Subject Property within the course of the last year and it is not clear
whether the stored items are on display for sale, or if they are on the
property for other reasons.
7. The CUP authorizes only "open lot vehicle sales" and does not authorize the
storage or sale of motorcycles, limousines or engine and body parts, nor
does it authorize automotive repair activities.
8. There appears to be automotive repair work taking place on the Subject
Property beyond the activities that would be normal and customary for
getting a vehicle ready for sale, such as detailing.
9. The CUP authorizes only "open lot vehicle sales" and does not authorize the
storage or sale of motorcycles, limousines or engine and body parts, nor
does it authorize automotive repair activities.
-101-
Resolution No. 16-
10. No response was received from MainStreet USA in advance of the
requested deadline of December 29, 2015 to contact Staff , nor in advance
of the Wednesday, January 6, 2016 deadlilne to bring the Subject Property
into compliance. Therefore, the City informed MainStreet USA by letter on
January 7, 2016, which was hand -delivered, sent by U.S. Mail and also
forwarded by email to Maxim Teplitski, that the City Council would be
meeting on January 12, 2016 to consider revocation of the CUP.
11. City Code Sec. 129-38 (c) (9) gives the City Council the authority to revoke
the conditional use permit in the event that the applicant violates any of the
conditions set forth in the conditional use permit.
12. The CUP was revoked previously by the City Council on April 26, 2011 for
violations on the Subject Property related to the CUP. The CUP revocation
was rescinded by the City Council at its May 10, 2011 meeting pursuant to
the terms of the Resolution.
NOW, THEREFORE BE IT FURTHER RESOLVED, the City Council of the City of Mound,
Minnesota, hereby makes the following conclusions and decision:
The Subject Property is visually prominent as it is located at one of the main
entrances to the City.
The current conditions on the Subject Property are unappealing and
unattractive and are causing negative effects to the adjacent residential
areas.
3. Display and storage of more than (20) vehicles being offered for sale is not
authorized by the CUP. The current CUP does not permit or allow sale and
display of motorcycles, recreational vehicles or limousines.
4. The conducting of automotive repair activities on the Subject Property
beyond the scope of what is customary for getting a vehicles read for
display and sale, such as detailing, is not authorized by the current CUP.
5. By conducting these activities on the Subject Property, MainStreet USA is in
violation of the CUP.
6. Alternate A.
The Conditional Use Permit is hereby revoked for the following described
property included on Exhibit A.
6. Alternate B.
The Conditional Use Permit approved by Resolution No. 02-68 for the
Subject Property is hereby revoked for the property described on Exhibit A
effective 12:01 a.m. on January 13, 2016; however, revocation is hereby
stayed subject to MainStreet USA's compliance with the following
conditions:
a. The business is to be closed and remain closed until January 27, 2016.
102-
Resolution No. 16-
b. During this closure the business and property is to be brought to full
compliance with the CUP, no later than January 22, 2016.
c. City staff shall perform a site inspection no later than January 25, 2016.
d. The CUP will be brought back to the City Council meeting to be held on
Tuesday, January 26, 2016 for final action. This action may include,
but is not limited to:
(1) full and permanent revocation
(2) lifting of the revocation
(3) lifting of the stay
(4) extension of the stay for a period designated by the City Council to
assess continued compliance to the CUP
e. Staff is to create an accounting of direct costs associated with the
warnings and delivery of the warnings under discussion, and include
the preparation of bringing this matter to the City Council. The
business is to remit this amount to the City on or before January 25,
2016.
The Resolution revoking the Conditional Use Permit shall be recorded at
Hennepin County.
8. The recitals stated are hereby incorporated into this resolution.
9. The City Council directs Staff and its agents to take all steps necessary
and convenient to accomplish the intent of this resolution.
Adopted by the City Council of the City of Mound this 12th day of January, 2016.
Attest: Catherine Pausche, City Clerk
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Mayor Mark Wegscheid
EXHIBIT A
Resolution No. 16 -
Lots 1 to 4 inclusive and Lots 20 and 21 and that part of the vacated alley lying
Northeasterly of a line drawn from the Northwest corner of Lot 4 to the southwest corner
of Lot 20, all in Block 1, Shirley Hills Unit A; ALSO the northeasterly 0.75 feet of Lot 5,
and that part of the adjoining vacated alley lying northeasterly of the northwesterly
extension of the Southwesterly line of said Northeasterly 0.75 feet, and Southwesterly of
a line drawn from the Northwest corner of Lot 4 to the Southwest corner of Lot 20, all in
said Block; EXCEPT the West 0.75 feet of Lot 20, and that part of the adjoining vacated
Southwest corner of said Lot 20, and Southwesterly of a line described as follows:
Beginning at the point of intersection of the East line of said West 0.75 feet with the
southerly line of said Lot 20; thence South along the Southerly extension of said East
line to its point of intersection with the Northwesterly extension of the Southwesterly line
of the Northeasterly 0.75 feet of Lot 5; thence Southeasterly along said Northwesterly
extension to its intersection with a line drawn from the Northwest corner of said Lot 4 to
the Southwest corner of said Lot 20, and there ending.
All in Block 1, Shirley Hills Unit A, according to the plat thereof on file and of record in
the office of the Registrar of Titles in and for said County of Hennepin and State of
Minnesota.
-104-
CITY OF MOUND
RESOLUTION NO. 02-68
RESOLUTION TO APPROVE A CONDITIONAL USE PERMIT TO ALLOW
"OPEN LOT VEHICLE SALES" FOR LAKE MINNETONKA QUALITY MOTORS
LOCATED IN THE B-2 GENERAL BUSINESS DISTRICT
AT 4831 SHORELINE DRIVE, LOTS 1 TO 4,21 AND PART OF 5 AND 20, BLOCK 1,
SHIRLEY HILLS UNIT A. PID #13-117-24-44-0014
P & Z CASE #02-15
WHEREAS, owner, Ken Custer, and Lessee, Matt LaJoy (Lake Minnetonka Quality
Motors) have applied for a Conditional Use Permit to allow principal use of the property
at 4831 Shoreline Drive for open lot vehicle sales; and
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WriCRE-0, IVIV—UIIU Vll�/ liliVG Va 4uun a++v.aiw u.lv.w v11e $..—
B-2 General Business District by Conditional Use Permit; and
WHEREAS, Mound City Code Section 350.310, Subd. 95 defines an open sales lot as
follows
"Any land used or occupied for the purpose of buying and selling goods,
materials, or merchandise and for the storing of same under the open sky prior
to sale."
WHEREAS, there are no active Conditional Use Permits which govern use of the site;
and
WHEREAS, the applicant proposes to display and sell up to (20) vehicles on the
property; and
WHEREAS, the Planning Commission has reviewed the request and recommended
approval subject to conditions,
-105-
Resolutlon No. 02-68
NOW, THEREFORE BE IT RESOLVED by the City Council of the City of Mound,
Minnesota, as follows:
1. The City does hereby grant the Conditional Use Permit for Lake Minnetonka
Quality Motors to allow open lot vehicle sales at 4831 Shoreline Drive subject to
the following conditions:
a. No more than twenty (20) vehicles shall be displayed and offered for sale
on the property.
b. All signage, including banners, flags, shall meet the regulations of City
Code Section 365.
2. This Conditional Use Permit is approved for the following legally described
property on the attached Exhibit A.
The foregoing resolution was moved by Councilmember Brown, seconded by
Councilmember Osmek.
The following voted in the affirmative: Brown, Hanus, Meisel, Osmek and Meyer.
The following voted in the negative: None.
Adopted by the City Council this 11"' day of June, 2002.
SS/Bonnie Ritter
Attest: Bonnie Ritter, City Clerk
SS/Pat Meisel
Mayor Pat Meisel
-106-
EXHIBIT A
Resolution No. 02-65
Lots 1 to 4 inclusive and Lots 20 and 21 and that part of the vacated alley tying
Northeasterly of a line drawn from the Northwest comer of Lot 4 to the southwest comer
of Lot 20, all in Block 1, Shirley Hills Unit A; ALSO the northeasterly 0.75 feet of Lot 5,
and that part of the adjoining vacated alley lying northeasterly of the northwesterly
extension of the Southwesterly line of said Northeasterly 0.75 feet, and Southwesterly of
a line drawn from the Northwest corner of Lot 4 to the Southwest comer of Lot 20, all in
said Block; EXCEPT the West 0.75 feet of Lot 20, and that part of the adjoining vacated
Southwest comer of said Lot 20, and Southwesterly of a line described as follows:
Beginning at the point of intersection of the East line of said West 0.75 feet with the
southerly line of said Lot 20; thence South along the Southerly extension of said East
line to its point of intersection with the Northwesterly extension of the Southwesterly line
of the Northeasterly 0.75 feet of Lot 5; thence Southeasterly along said Northwesterly
extension to its intersection with a line drawn from the Northwest comer of said Lot 4 to
the Southwest comer of said Lot 20, and there ending.
All in Block 1, Shirley Hills Unit A, according to the plat thereof on file and of record in
the office of the Registrar of Titles in and for said County of Hennepin and State of
Minnesota.
-107-
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MINUTES
MOUND ADVISORY PLANNING COMMISSION
DECEMBER 1, 2015
Chair Penner called the meeting to order at 7:00 pm.
ROLL CALL
Members present: Chair Cindy Penner; Commissioners Jeffrey Bergquist, Doug Gawtry, David
Goode, Jameson Smieja, Bill Stone, and Pete Wiechert. Members absent: Jennifer Peterson and
Jason Baker. Staff present: Community Development Director Sarah Smith and Consultant
Planner Rita Trapp.
Members of the public:
APPROVAL OF MEETING AGENDA
MOTION by Smieja, second by Goode, to approve the agenda. MOTION carried unanimously.
REVIEW AND ACTION ON NOVEMBER 3, 2015 MEETING MINUTES
MOTION by Stone, second by Goode, to approve the November 3, 2015 meeting minutes as
written. MOTION carried unanimously.
BOARD OF APPEALS
Planning Case No. 15-22/24 Waiver of Platting and Variance
2855 Cambridge Lane Applicant: Hans and Sharon Bergh
Trapp reviewed the waiver of platting application and variance submitted and provided a
summary of the Planning Report. Division is proposed to create 2 lots along original lots; one
lot with existing house/1 lot consisting of Lots 10 and 11. Variance is not needed on north side
as its not being created as a result of the waiver.
Parcel B requires no variances as it meets regulations for lot of record (lakeshore) for R -1A
District. Abutting neighbors we notified by mailed letter. Notice of Intervention by neighboring
owner makes a filer to the proceedings.
Trapp summarized staff/consultant/agency comments.
Background included a minor subdivision/vacation in 2005 but was withdrawn. Follow up
applications, included minor subdivision/variance (lot area), that were denied. Rita noted that
the 2005 and 2006 applications were minor subdivisions and current is waiver of platting. In
2006 City had to modify its shoreland regulations following notification from the MN DNR that
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the lots were not in compliance. She summarized the change as well as the discussion about lot
sizes.
Two letters were received. Trapp read the letter into the record from Bob Kasai who is located
to the south. It was brought to the meeting. Trapp also recognized the letter received from
the property owner to the north, a copy of which was provided.
Erin Moss, 2955 Cambridge Lane, (renter) has no interest in expanding the house. She has lived
in neighborhood for 6 years. She asked about whether the north side setback and needs a
variance and south side does not.
Debbie Byrnes Hagberg (re: lot in the north side of unimproved section of Bedford Road). Mom
has been on Commission and is past president of the Gillespie Center. Solies sold to former
owner. She showed a graphic of the Wychwood addition. She is in favor of this split as a
steward of what the island could be. She is third generation. She wants to keep the small town
charm of the existing. They currently live in Anoka and may retire here. Currently it's used as a
family cabin. It fits into the neighborhood and Phelps Island. It's an example of life cycle
housing.
Tom Casey, 2854 Cambridge Lane, has lived there since the late 1970s. He commented that
they are great neighbors. Waiver of platting to split north lot; waiver could also be requested
to split Lots 10 and 11. Think beyond personalities. This is about the future and the lot will turn
over in the future. He noted that Staff recommended denial of waiver and variances. He talked
about practical difficulties, parking and traffic and lake access.
Smieja asked Mr. Casey to restate what was concerned about. He indicated that it's traffic,
road width, safety, shoreland impacts, added noise; everything that goes with "doubling" the
impact on the land.
Debbie Hagberg spoke about housing goals in the comprehensive plan and historical platting
and flexibility to maintain integrity. She does not think there are many lots with a house that
could be subdivided.
Hans Bergh, owner, spoke about putting a conforming house on the lot, however, it will not fit
the neighborhood or maintain affordable housing. He also doesn't think it will stress the
commons related to an additional dock site. He offered the idea about an extra dimension
between the south line and a future house on Parcel B.
Smieja asked what he had originally planned to do with the lot. Mr. Bergh indicated that he
had planned to building on the lot for retirement. Due to job changes, plans have changed. Mr.
Bergh also commented that he was not the applicant in 2005/2006.
Tom Casey noted that Mr. Bergh was aware of the 2005/2006 decisions. Mr. Casey talked
about the increase in neighborhood traffic. He also commented about the width of Bedford
Road and Cambridge Lane.
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Erin Moss, 2855 Cambridge Lane (renter), talked about a previous case related to 1975 Lakeside
Lane.
Ms. Hagberg asked how long the lots have been together. Staff mentioned that Lots 9-11 were
together in 1965 when water and sewer were extended.
Ms. Trapp iterated that staff is looking at it purely from a planning perspective. The lots, as
platted, are significantly undersized. She also talked about the north and south side setbacks.
The "south" is created because the lots are being split. There has to be something unique. We
want to maintain different housing sizes and want to maintain character. We took a look at lot
sizes. Our concern is the implications, especially with regard to the minimum requirements.
Could the commons be counted?
Smieja asked about the 2005/2006 minor subdivision and the MN DNR history.
Stone was interested in the 6,000 SF lot standards vs. 10,000 SF.
Erin Moss asked if the City was required to amend the regulations.
Debbie Hagberg reiterated the excerpts from the City Code for waiver of platting. She also
highlighted some of the comments in the Planning Report.
Discussion
Stone had a concern about the size of Parcel A and brought up whether minor subdivision with
lot sizes closer to 6,000 SF would fly.
Smieja thought that 2 lots with variances versus 1 lot with variances isn't much different.
Rita talked about minor subdivision requiring a 10,000 SF minimum lot size.
Gawtry doesn't have as much concern with the smaller lot as he does with Parcel B because the
future house size could be much bigger and less desired.
Smieja stated that lot size doesn't necessarily dictate whether people building homes decide to
build right to the setbacks.
Smieja said this plan is deviating from the comp plan and zoning ordinance. Practical difficulty
test is not met. Plans are for the changing environment. We are talking about dividing up a
property that is far off from the current regulations.
Stone indicated that, in principal, he is in agreement with Smieja as you look towards the
future. If the lot was divided in half it would be close to the old standard but would require a
variance for both lots.
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Gawtry said that they are proposing to create a lot that creates future limitations.
Smieja appreciates what they are trying to do here but the Planning Commission's job is to
interpret the code.
MOTION by Smieja, second by Goode, to recommend denial of the waiver of platting and
variance in accordance with staff recommendations and findings of fact. MOTION carried
unanimously.
OLD/NEW BUSINESS
Comprehensive Plan Chapter Review
Chapter 5 - Parks and Recreation
Trapp gave an overview of Parks/Commons/Future Pathways Systems/Trails.
Discussion
Smieja talked about opportunities with existing parks. Rita commented that there are not
specific regulations for each park. It could be incorporated as a section of the Comp Plan or
could be a master plan for a specific park.
Goode talked about absolute absence of ability for people to access the lake and lake access
parking restrictions. Ninety five percent of the shoreline near his house is taken up by locked
commons docks. People try to fish in the 8-9 feet of shore available next to the docks. Penner
mentioned that there is discussion in the school system about needing more park space/
athletic fields/gymnasium and cooperating with the schools. Rita stated that our challenge is
the lack of land. PC members talked about the opportunity to visit with the school. Rita
commented that a true community park is 25-50 acres. Smieja mentioned that we have limited
opportunities and commented that it would be great to figure out how to improve/maximizing
what we do have. Discussion of a Splash Pad amenity was discussed. Staff discussed
involvement with Parks Commission as part of process. Stone talked about different parks for
different uses (i.e., swings/baseball/softball/trails, etc.). Access including walking/driving and
parking needs may also need to be evaluated. Rita talked about providing a list of parks and
space requirements/needs. Public involvement options were briefly talked about.
Chapter 6 — Transportation
Trapp provided an overview of road types in Mound. Most of City's efforts are to maintain and
improve especially in cooperation with County when they do their roads. Also mentioned was
bus service/public parking and supporting services. PC members suggested a long term
discussion. Continued Metro Transit cooperation is important. Penner mentioned the crossing
for Dakota Trail over CSAH 15/Shoreline Drive; also crossing over Commerce Boulevard. Stone
talked about bike lanes. Smieja felt that there needs to be a clear vision to get around in the
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community from all directions. Route along County Road 15 to the west especially to and from
downtown. Goode mentioned that he recently testified at Council meeting about speed
bumps. Of concern is the speed of traffic in some areas (Wilshire/Three Point/Tuxedo/Bartlett)
and parking in the community (by parks, on local roads, etc.).
Expansion Permits
Staff is suggesting major and minor projects so as to allow for administrative approval of some
projects. Trapp reviewed examples of previous expansion requests. If following the proposed
guidelines, approximately half of all the expansion cases would qualify for administrative
review, eliminating the need for staff reports and meeting time.
MOTION by Gawtry, second by Stone, to direct staff to prepare guidelines for major and minor
expansion permit approval. MOTION carried unanimously.
City Council Liaison/Staff Update
• Tues reappointment of PC
• Volunteer recognition in February
• Joint CC/PC meeting
• New policy related to review unimproved row and tax forfeit non -release policy
ADJOURNMENT
MOTION by Penner, second by Smieja, to adjourn at 9:32 p.m. MOTION carried unanimously.
Submitted by Jill Norlander
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Sent via certified mail
December 16, 2015
Dear Government Official
Theresa Sunde
Government Relations Manager
The purpose of this letter is to inform you that effective on or about January 18, 2016,
Mediacom will be implementing the following rate adjustments impacting our video
customers:'
Product:
Old Rate:
New Rate:
Net Change:
Local Broadcast
Channel
$3.31
$6.47
$3.16
Surcharge 2
Regional Sports
3$2.84
2.97
0.13
Surcharge
The decision to make price adjustments is always a difficult one. However, cable and
satellite companies are constantly being pressured by the content companies we buy
from to pay more for the channels that we carry.
Over the last decade, the most aggressive channel owners when it comes to price
increases are the local broadcast stations like ABC, CBS, FOX and NBC. In fact, a
recent industry analyst report indicates that broadcast station owners have increased
the fees they charge to cable and satellite companies by an astounding 40% during
each of the last 3 years.
Many of the channels that carry live sports have also been very aggressive in their
pricing practices. In recent years, professional teams and college conferences are
raking in huge amounts of money by selling off their TV rights to a growing number of
national and regional sports networks. As the games spread out over more channels,
the cost of delivering sports content continues to rise.
In order to bring more transparency to the massive fee increases being taken by local
broadcast stations and sports networks, Mediacom instituted both a Local Broadcast
1 Depending on the terms of their contract certain customers on promotional rates may or may not receive this rate
change at this time.
2 In some customer communications the Local Broadcast Channel Surcharge is referred to as the Local Broadcast Station
Surcharge.
3 The Regional Sports Surcharge does not apply to customers that only subscribe to the Local Plus TV tier, as there are no
regional sports networks carried in that level of service.
-116- st Peter
�., Channel Surcharge and a Regional Sports Surcharge over the last several years. The
Local Broadcast Channel Surcharge was previously equal to the fee increases that the
local broadcast stations in your market have demanded we pay to them since the start
of 2012, but now represents the entire cost of all the local broadcast channels
Mediacom carries in your market. The Regional Sports Surcharge is equal to the
increases that regional and certain other sports networks in your market have
demanded we pay to them since the start of 2011.
For over a decade, Mediacom has been aggressively pursuing legislative and regulatory
reforms to rules governing our Nation's wholesale video marketplace. By providing
specific information about the price increases being demanded by the local broadcast
station owners and sports networks, we ultimately hope to draw the attention of
consumers and their elected representatives to this rapidly escalating problem.
Despite the increasing wholesale cost pressures faced by our business, Mediacom
appreciates the opportunity to continue to serve your community's telecommunications
needs. If you have any questions, please contact me directly at
tsundeCc)mediacomcc.com.
Sincerely,
—� Theresa Sunde
Government Relations Manager
-117- Sf Peter
December 17, 2015
Bob Derus
Interim City Manager
City of Mound
2415 Wilshire Boulevard
Mound, MN 55364
RE: Receipt and Approval of Mound's Work Plan for the 2016 Ongoing Inflow/Infiltration (III) Program
Dear Mr. Derus:
The purpose of this letter is to inform you that the Metropolitan Council Environmental Services (MCES) has
received the City's 2016 1/1 Program Year Response Form outlining the City's proposed 2016 Inflow and
Infiltration (1/1) mitigation work activities and budget. MCES finds the City's 1/1 work plan as outlined in this
form takes an appropriate approach for 1/1 mitigation and is acceptable. An 1/1 surcharge will not be placed on
the City's Municipal Wastewater Charge in 2016.
The total and annualized work plan amounts are $933,750 and $233,437.50 respectively. The City proposed
$177,072 of eligible 1/1 mitigation work for 2015 to complete the 2015 annualized work plan. Please submit
the 2015 information to MCES by March 31, 2016. Please note that the actual eligible amount will be
determined once the final documentation is submitted.
MCES appreciates the City's commitment and continued work in mitigating 1/I. If you have questions or
need additional information, please contact Rebecca Fabunmi at (651) 602-1517 or at
rebeccc7.fabunmi@metc.state.mn.us.
Sincerely,
eVtCA-
Bryce Pickart
Assistant General Manager, Technical Services
cc: Eric Hoversten, Director of Public Works, City of Mound
Dan Faulkner, City Engineer, City of Mound
Catherine Pausche, Director of Finance and Administrative Services, City of Mound
Jennifer Munt, Metropolitan Council Member, District 3
Jeannine Clancy, Manager, Environmental Services Community Programs
Rebecca Fabunmi, Principal Engineer, Environmental Services Community Programs
IF
METROPOLITAN
-C 0 U N C I L
2013 actual 2014 actual 2015 proposed
2016 proposed
Public
$ 114,189 $ - $ 146,948
$ 94,595
Private
Investigative
City Staff Costs
$ 30,124
$ 47,298
Total
$ 114,189 $ 177,072
$ 141,893
The total and annualized work plan amounts are $933,750 and $233,437.50 respectively. The City proposed
$177,072 of eligible 1/1 mitigation work for 2015 to complete the 2015 annualized work plan. Please submit
the 2015 information to MCES by March 31, 2016. Please note that the actual eligible amount will be
determined once the final documentation is submitted.
MCES appreciates the City's commitment and continued work in mitigating 1/I. If you have questions or
need additional information, please contact Rebecca Fabunmi at (651) 602-1517 or at
rebeccc7.fabunmi@metc.state.mn.us.
Sincerely,
eVtCA-
Bryce Pickart
Assistant General Manager, Technical Services
cc: Eric Hoversten, Director of Public Works, City of Mound
Dan Faulkner, City Engineer, City of Mound
Catherine Pausche, Director of Finance and Administrative Services, City of Mound
Jennifer Munt, Metropolitan Council Member, District 3
Jeannine Clancy, Manager, Environmental Services Community Programs
Rebecca Fabunmi, Principal Engineer, Environmental Services Community Programs
IF
METROPOLITAN
-C 0 U N C I L
416N
r���? &
/ I I I I OC VN
��'' METROPOLITAN MOSQUITO CONTROL DISTRICT
Metro Counties Government Center
2099 University Avenue West
Saint Paul, MN 55104-3431
Ms. Catherine Pausche
Mound City Manager
5341 Maywood Road
Mound, MN 55364
Dear Ms. Pausche:
Website: www.mmcd.org
Phone: 651-645-9149
FAX: 651-645-3246
TTY use Minnesota Relay Service
November 6, 2015
Enclosed is a summary of work done by the Metropolitan Mosquito Control District (MMCD) in the
city of Mound area during the 2015 mosquito control season.
2015 was another interesting year when it came to mosquito production. Precipitation was below
average through June. The entire District received weekly significant rain in July. Precipitation
continued through August. The more typical dry period did not begin until after significant rain in
mid September. This resulted in high levels of mosquito production. We treated the majority of our
overall 344,000 acres between late April and mid September.
In 2015 the Minnesota Department of Health reported six human West Nile virus (WNV) illnesses;
three of those cases were reported in people who live within our District. In addition, one La
Crosse encephalitis case and two Jamestown Canyon cases were reported in residents of the
state. Investigations into where these cases were exposed is ongoing, however, MMCD employees
continued to monitor and control populations of mosquitoes capable of transmitting disease right
up until we received our first frost this fall.
MMCD employees also controlled immature black flies in small steams and large rivers throughout
the metropolitan area. These treatments have resulted in significantly fewer adult black flies when
compared to a time before we conducted treatments. MMCD staff also continued to monitor the
distribution of ticks capable of transmitting disease, and worked with the Minnesota Department of
Health to provide information designed to reduce the risk of tick transmitted diseases.
If you have any questions, or would like to meet to discuss our agency's activities within Mound,
please contact me.
z
Manweiler, Executive Director
1) 643-8365
Email: mmcd_sam@mmcd.org
-11�-
Metropolitan Mosquito Control District
2015 Activity Summary Mound
Service Summary
Larval Sites Inspected = 342
Larval Mosquito Treatments = 5,286 acres
Adult Mosquito Treatments =247 acres
Customer Calls = 8
Catch Basins Treated = 303
Tires Removed = 10
Doone ".,
Sorbo Park
Swenson Park
-120-
CenterPoint.
Energy
August 3, 2015
Dear CGmn:uiiiiy I_e3+:fetr'
505 Nicollet Mall
PO Box 59038
Minneapolis, MN 55459-0038
I am writing to inform you that on August 3, 2015, CenterPoint Energy filed with the
Minnesota Public Utilities Commission to change its rates for utility distribution service.
A rate filing is the regulatory process that public utilities must follow to formally change
rates and services for their customers. This filing will affect the rates paid by all of
CenterPoint Energy's more than 824,000 customers. The process for changing our
rates will take about one year, with interim (temporary) rates implemented on October 2,
2015, and final rates implemented in 2016.
For your information, enclosed is a news release covering some of the basic information
about our filing. Please contact me if you have any questions or would like additional
information about the filing. Information is available at our website at
CenterPointEnergy.com/RateCase.
Sincerely,
Trey Kuchar
District Director
763-754-4142
Enc.
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For Immediate Release
For more infonnatbn contact
Becca Virden
Phone 612.321A679
Pager 612.538.1234
Page 1 of 2
ConterPoint Energy files to change natural gas distribution
rates for customers in Minnesota
Capital investments for system safety and reliability are primary drivers for proposed rate change
MINNEAPOLIS August 3,2015- CenterPoint Energy today filed an application with the
Minnesota Public Utilities Commission (MPUC) to change the company's natural gas
distribution rates. If approved, the new rates would generate approximately $54 million or 6
percent in additional revenue on an annual basis. The effect on individual monthly bills will vary
depending on natural gas use. If approved, the net impact of the new rates will increase the
average residential customer's bill by about $5 per month.
"Our significant investments, such as our ongoing pipeline replacement programs, maintain the
safety and reliability of our natural gas system and benefit our customers and communities," said
Joe Vortherms, division vice president of CenterPoint Energy's regional gas operations. "These
capital investments, which are the primary reasons for this proposed increase, help ensure that
we have a modernized, technologically advanced natural gas system that will continue to meet
the needs of customers now and in the future."
This filing seeks approval to change the distribution charge on a customer's natural gas bill,
which makes up about 40 to 50 percent of the total bill and covers the cost of distributing natural
gas. The filing does not apply to the cost of natural gas, which is the wholesale price the
company pays for natural gas, and makes up about 50 to 60 percent of the bill. The wholesale
price of natural gas changes monthly depending on market prices and is passed on directly to
customers with no mark-up.
The proposed change affects two components that make up the distribution charge portion of a
customer's bill:
• First, CenterPoint Energy is proposing to increase the monthly Basic Charge for
residential customers from $9.50 to $11.50 a month.
• Second, the company is proposing to increase the Delivery Charge from the current
$0.18977 per therm (which includes the $0.00519 per therm for the Gas Affordability
Service Program) to $0.22405 per therm.
The principal reasons CenterPoint Energy is proposing to change base rates are to:
• Recover the company's significant capital expenditures in its Minnesota service area. In
accordance with natural gas pipeline safety and integrity regulations, these capital
expenditures are necessary to maintain a safe and reliable system, to respond to
significant public improvement requirements on the system and to modernize the system
with technology improvements.
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cefi tPointe
Enev
For Immediate Release
For more information contact
Becca Virden
Phone 612.321.4879
Pager 612.538.1234
Page 2 of 2
Establish rates for all customers groups that better reflect the actual costs of providing
service to those customers.
Achieve an overall revenue recovery level that meets the company's financial objectives.
The MPUC is generally allowed 10 months to issue a final decision on general rate filings,
however, if the MPUC approves, interim (temporary) rates are expected to take effect on Oct. 2,
2015, and will be in place until a final decision is made. If the final rates are lower than interim
rates, CenterPoint Energy will refund customers the difference including interest. If final rates
are higher than interim rates, customers will receive no additional charges for natural gas used
while interim rates were in effect.
Customers with questions about the proposed change to natural gas distribution rates can call
CenterPoint Energy at 612-372-4727 or toll-free 800-245-2377, or visit the company's website at
CenterPointEnergv.com/RateCase.
Additionally, public hearings will be held to provide customers and other interested parties the
opportunity to comment on the rate request, followed by formal hearings at the MPUC.
CenterPoint Energy, Inc., headquartered in Houston, Texas, is a domestic energy delivery
company that includes electric transmission & distribution, natural gas distribution and energy
services operations. The company serves more than five million metered customers primarily in
Arkansas, Louisiana, Minnesota, Mississippi, Oklahoma, and Texas. The company also owns a
55.4 percent limited partner interest in Enable Midstream Partners, a publicly traded master
limited partnership it jointly controls with OGE Energy Corp., which owns, operates and
develops natural gas and crude oil infrastructure assets. With more than 7,400 employees,
CenterPoint Energy and its predecessor companies have been in business for more than 140
years. For more information, visit the website at CenterPointEnergy.com.
This news release includes forward-looking statements within the meaning of the Private Securities
Litigation Reform Act of 1995. These forward-looking statements are based upon assumptions of
management which are believed to be reasonable at the time made and are subject to significant risks and
uncertainties. Actual events and results may differ materially from those expressed or implied by these
forward-looking statements. Any statements in this news release regarding future events, such as future
regulatory actions on the MPUC application, and any other statements that are not historical facts are
forward-looking statements. Each forward-looking statement contained in this news release speaks only
as of the date of this release.
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