2018-01-09 CC Agenda PacketPLEASE TURN OFF ALL CELL PHONES & PAGERS IN COUNCIL CHAMBERS.
1 -11 ON I HOIN �
11,0100HY1101M
TUESDAY, JANUARY 9, 2018 - 7:00 PM
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
Opening meeting
2. Pledge of Allegiance
Approve agenda, with any amendments
*Consent Agenda: Items listed under the Consent Agenda are considered routine in nature, have been evaluated by staff,
recommended by staff for approval by the Council, 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. At this time, anyone present who wishes to offer dissenting
comment to any items on the Consent Agenda is invited to identify themselves and the item of concern so that the it may be
removed from the Consent Agenda and considered after discussion in normal sequence. Separate introduction or further support
from petitioners or requestors is not required at this time and removal of an item from the Consent Agenda for this purpose is not
required or appropriate.
4. *Consent A enda
*A. Approve payment of claims
El
*B. Adopt a resolution appointing Kelli Gillispie as Acting Mayor for 2018 50
*C. Adopt a resolution appointing City Council Members as Representatives 51
of the City Council to Committees and Commissions for 2018
*D. Adopt a resolution appointing Catherine Pausche as the Acting City 52
Manager for 2018
*E. Adopt a resolution appointing Field Officer Stewart Simon as Assistant Weed 53
Inspector for 2018
*F. Adopt a resolution approving the purchase of bonding as provided under 54-54.1
Minnesota State Statute 412.111
*G. Adopt a resolution designating the Official Depositories for 2018 55
*H. Adopt a resolution designating The Laker as the Official Newspaper for 2018 56
*1. Approve request for commercial kennel license for Mound Emergency 57
Management Division, waiving the fee
*J. Approve resolution making selection not to waive the statutory tort limits for 58
liability insurance purposes
PLEASE TURN OFF ALL CELL PHONES & PAGERS IN COUNCIL CHAMBERS.
*K. Approve resolution recommending continuation of CDBG funding of Westonka 59
Community Action Network (WeCAN) 60
*L. Approve resolution amending resolution 17-1XX Adopting Fee Schedule for 2018 61
*M. Confirm 2017 Hennepin County Assessor Open Book Meeting for Wednesday, 62
May 2, 2018 from 5 pm to 7 pm in the Council Chambers at 5341 Maywood Road
*N. Approve a 1 Day to 4 Day Temporary On -Sale Liquor License for Northwest 63
Tonka Lions Chili Feed for the Troops Fundraiser on January 14, 2018
at the Gillespie Center, with fees paid
*O. Approve Resolution Authorizing Mayor and City Manager Sign MNDoT Agency 64
Agreement for Acceptance of Federal Highway Administration Aid on Behalf of 65
City Of Mound
*P. Approve a Resolution approving Final Plat for Eva and Abbie Addition at 80
4873 Shoreline Drive 82
*Q. Approve a Resolution approving easement over PID No. 25-117-24-21-0026 for road 89
and utilities purposes on parcel adjacent to 3206 Warner Road 90
Comments and suggestions from citizens present on any item not on the agenda.
(Limit to 3 minutes per speaker.)
6. Visit by Hennepin County Commissioner Jeff Johnson
7. Presentation by Building Official, Mr Scott Qualle, of MNSpect on status of upgrade to 92
electronic permit application software and administrative processing.
8. Update to Council by City Manager and Director of Public Works Eric Hoversten regarding
December 12, 2017 resident comments regarding Belmont/Shoreline crosswalk safety
9. Information/Miscellaneous
A. Comments/reports from Councilmembers
B. Reports: Harbor Wine & Spirits: Dec 2017 93
C. Minutes:
D. Correspondence: Center Point Energy Notice of Public Hearings for Rate Case 94
MN 4th District Court Municipality Reassignments 96
10. 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: www. cityofmound. com.
January 9, 2018
Upcoming Events Schedule: Don't Forget!!
HAPPY NEW YEAR!!!
23 January- 6:55 PM - HRA Regular Meeting (as may be required)
23 January- 7:00 PM - City Council Regular Meeting
13 February- 6:55 PM - HRA Regular Meeting (as may be required)
13 February- 7:00 PM - City Council Regular Meeting
27 February- 6:55 PM - HRA Regular Meeting (as may be required)
27 February- 7:00 PM - City Council Regular Meeting
13 March- 6:55 PM - HRA Regular Meeting (as may be required)
13 March- 7:00 PM - City Council Regular Meeting
23 March - 1 April - Westonka Schools Spring Break
27 March- 6:55 PM - HRA Regular Meeting (as may be required)
27 March- 7:00 PM - City Council Regular Meeting
City Offices Closed
15 January 2018 - Martin Luther King Jr. Day
19 February 2018 - Presidents' 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.
City of Mound Claims 01-09-19,
YEAR
BATCH NAME
DOLLAR
AMOUNT
17
113017BLTMNK
$
108,462.00
2017
NOWNIFIRST
11143.61
2017
#8-17PARKCO
$
264,636.08
2017
#9-17RYANCO
$
149, 507.04
2017
121217PAYREQ
$
139,923.60
2017
121517CTYMAN
$
35,934.86
2017
1217 E L CC
21P178.02
17
1217UBREFUND
$
2,533.65
17
122117CTYMAN
$
62, 918.71
17
122717 T7,065.46
4
Page 2
City of Mound Claims 1-09-18
AMOUNTYEAR BATCH NAME
DOLLAR
2017
122817CTYMAN
$
36,038.83
2017
122817HWS
$
79,931.94
2017
2017CITY-AP1
$
11725.17
2018
010918CITY
$
8,474.17
,TOTAL CLAIMS 900,473.14
5
Payments
Current Period: December 2017
Batch Name 113017BLTMNK
Payment Computer Dollar Amt $108,462.00 Posted
Refer 1 BOLTON AND MENK, INCORPORA Ck# 055270 12/27/2017
Cash Payment E 675-49425-300 Professional Srvs SURFACE WATER MGMT ENG SVCS OCT
21THRU NOV 17, 2017
Invoice 0211557 11/30/2017
Transaction Date 12/26/2017 Due 0 Wells Fargo 10100 Total
Refer 2 BOLTON AND MENK, INCORPORA Ck# 055270 12/27/2017
Cash Payment E 601-49400-300 Professional Srvs WATER WELLHEAD PROTECTION PLAN
ENGINEERING SVCS OCT 21THRU NOV 17,
2017
Invoice 0211560
11/30/2017
Cash Payment
E 101-43100-300 Professional Srvs
GIS UPDATES ENG SVC OCT 21THRU NOV
17, 2017
Invoice 0211553
11/30/2017
Cash Payment
E 601-49400-300 Professional Srvs
GIS UPDATES ENG SVC OCT 21THRU NOV
17, 2017
Invoice 0211553
11/30/2017
Cash Payment
E 602-49450-300 Professional Srvs
GIS UPDATES ENG SVC OCT 21THRU NOV
17, 2017
Invoice 0211553
11/30/2017
Cash Payment
E 675-49425-300 Professional Srvs
GIS UPDATES ENG SVC OCT 21THRU NOV
17, 2017
Invoice 0211553
11/30/2017
Cash Payment
E 601-49400-500 Capital Outlay FA
2015 WILSHIRE BLVD TRUNK WATERMAIN
IMPROV PROJ PW 15-11 ENG SVC OCT
21THRU NOV 17, 2017
Invoice 0122561
11/30/2017
Project PW1511
Transaction Date
12/26/2017 Due 0
Wells Fargo 10100 Total
Refer
3 BOLTON AND MENK INCORPORA
Ck# 055270 12/27/2017
Cash Payment
E 602-49450-500 Capital Outlay FA
2016 LIFT STATION IMPROV PROD PW 16-05
ENG SVC OCT 21THRU NOV 17, 2017
Invoice 0211537
11/30/2017
Project PW1605
Cash Payment
G 101-23327 MCESL39 BRADFORDNVIL
MCES LS #39 & INTERCEPT REPLACEMENT
PROJ -ENGINEERING SVCS OCT 21THRU
NOV 17, 2017
Invoice 0211556 11/30/2017
Cash Payment E 401-43146-303 Engineering Fees
Invoice 0211541 11/30/2017
Cash Payment E 401-43116-303 Engineering Fees
Invoice 0211540 11/30/2017
Cash Payment E 401-43136-303 Engineering Fees
Invoice 0211558 11/30/2017
Cash Payment E 675-49425-500 Capital Outlay FA
Invoice 0211539 11/30/2017
2016 CYPRESS-MAYWOOD STREET IMPROV
PROD PW 16-03 ENG SVC OCT 21THRU NOV
17, 2017
Project PW1603
2016 BARTLETT BLVD STREET IMPROV
PROJ PW 16-01 ENG SVC OCT 21THRU NOV
17, 2017
Project PW1601
2016 TUXEDO BLVD EAST STREET IMPROV
PROJ PW 16-02 ENG SVC OCT 21THRU NOV
17, 2017
Project PW1602
2016 STORM DRAINAGE IMPROV PROJ- PW
16-09 ENG SVCS OCT 21THRU NOV 17, 2017
Project PW1609
01/04/18 10:52 AM
Page 1
$5,433.50
$5,433.50
$135.50
$567.00
$567.00
$567.00
$567.00
$981.00
$3,384.50
$2,005.50
$185.50
$200.00
$3,102.50
$630.00
$2,958.00
CITY OF MOUND 01/04/18 10:52 AM
Page 2
Payments
Current Period: December 2017
Transaction Date 12/26/2017 Due 0 Wells Fargo 10100 Total $9,081.50
Refer 4 BOLTON AND MENK, INCORPORA Ck# 055270 12/27/2017
Cash Payment E 602-49450-500 Capital Outlay FA 2017 LIFT STATION IMPROV PROD PW 17-05 $6,864.00
ENG SVCS OCT 21 THRU NOV 17, 2017
Invoice 0211545 11/30/2017 Project PW1705
Cash Payment E 401-43117-303 Engineering Fees 2017 LYNWOOD BLVD STREET IMPROV $43,325.00
PROJ PW 17-01 ENG SVCS OCT 21 THRU
NOV 17, 2017
Invoice 0211542 11/30/2017
Cash Payment E 401-43137-303 Engineering Fees
Invoice 0211544 11/30/2017
Cash Payment E 401-43147-303 Engineering Fees
Invoice 0211543 11/30/2017
Cash Payment E 401-43110-303 Engineering Fees
Invoice 0211547 11/30/2017
Cash Payment E 602-49450-500 Capital Outlay FA
Invoice 0211546
Transaction Date
Refer
Project PW1701
2017 WILSHIRE/MAYWOOD STREET
$10,730.00
IMPROV PROD PW 17-02 ENG SVCS OCT 21
THRU NOV 17, 2017
Project PW1702
2017 TUXEDO BLVD PHASE III STREET
$2,216.50
IMPROV PROJ PW 17-03 ENG SVCS OCT 21
THRU NOV 17, 2017
Project PW1703
2017 RETAINING WALL IMPROV PROD PW
$3,842.50
17-04 ENG SVCS OCT 21 THRU NOV 17, 2017
Project PW1704
2017 SAN SEWER & MANHOLE REHAB PROJ
$1,813.50
17-06- ENG SVCS OCT 21 THRU NOV 17, 2017
11/30/2017 Project P 170
12/26/2017 Due 0 Wells Fargo 10100 Total
5 BOLTON AND MENK, INCORPORA Ck# 055270 12/27/2017
$68,791.50
Cash Payment E 101-43100-300 Professional Srvs GENERAL ENGINEERING SVCS OCT 21 $951.67
THRU NOV 17, 2017
Invoice 0211552 11/30/2017
Cash Payment E 602-49450-300 Professional Srvs
Invoice 0211552 11/30/2017
Cash Payment E 601-49400-300 Professional Srvs
Invoice 0211552 11/30/2017
Cash Payment E 675-49425-300 Professional Srvs
Invoice 0211559 11/30/2017
Cash Payment E 101-43100-300 Professional Srvs
Invoice 0211554 11/30/2017
Cash Payment E 602-49450-300 Professional Srvs
Invoice 0211554 11/30/2017
Cash Payment E 601-49400-300 Professional Srvs
Invoice 0211554 11/30/2017
Cash Payment E 401-43118-303 Engineering Fees
Invoice 0211550 11/30/2017
GENERAL ENGINEERING SVCS OCT 21 $951.67
THRU NOV 17, 2017
GENERAL ENGINEERING SVCS OCT 21 $951.66
THRU NOV 17, 2017
WCA ADMINISTRATION STORMWATER $612.00
SVCS OCT 21 THRU NOV 17, 2017
MOUND/MCES DAKOTA RAIL TRAIL $42.66
INTERCEPTOR ENGINEERING SVCS OCT 21
THRU NOV 17, 2017
MOUND/MCES DAKOTA RAIL TRAIL $42.67
INTERCEPTOR ENGINEERING SVCS OCT 21
THRU NOV 17, 2017
MOUND/MCES DAKOTA RAIL TRAIL $42.67
INTERCEPTOR ENGINEERING SVCS OCT 21
THRU NOV 17, 2017
2018 WESTEDGE BLVD ST IMPROV PROD $15,422.00
PW 18-01 ENG SVCS OCT 21 THRU NOV 17,
2017
Project PW1801
7
CITY OF MOUND
Payments
01/04/18 10:52 AM
Page 3
Current Period: December 2017
Cash Payment G 101-23375 MCES L38 WESTEDGE/CR MCES LS #38 WESTEDGE FORCEMAIN $2,239.00
ENGINEERING SVCS OCT 21 THRU NOV 17,
2017
Invoice 0211555 11/30/2017
Cash Payment E 602-49450-500 Capital Outlay FA
Invoice 0211548 11/30/2017
2018 LIFT STATION IMPROV PROJ PW 18-03
ENG SVCS OCT 21 THRU NOV 17, 2017
Project PW1803
Transaction Date 12/26/2017
Due 0 Wells Fargo 10100 Total
Fund Summary
10100 Wells Fargo
675 STORM WATER UTILITY FUND
$9,570.50
602 SEWER FUND
$12,759.34
601 WATER FUND
$2,677.83
401 GENERAL CAPITAL PROJECTS
$79,468.50
101 GENERAL FUND
$3,985.83
$108,462.00
Pre -Written Checks $108,462.00
Checks to be Generated by the Computer $0.00
Total $108,462.00
8
$515.00
$21,771.00
CITY OF MOUND 01/04/18 11:30 AM
Page 1
Payments
Current Period: December 2017
Batch Name NOVUNIFIRST
Payment Computer Dollar Amt $1,143.61 Posted
Refer 2 UNIFIRST CORPORATION
Cash Payment E 101-45200-218 Clothing and Uniforms
Invoice 0900391016 11/8/2017
Cash Payment E 101-45200-218 Clothing and Uniforms
Invoice 0900392126 11/15/2017
Cash Payment E 101-45200-218 Clothing and Uniforms
Invoice 0900393247 11/22/2017
Ck# 055143 12/12/2017
UNIFORM SVC PARKS 11-08-17 $47.99
UNIFORM SVC PARKS 11-15-17 $47.99
UNIFORM SVC PARKS 11-22-17 $47.99
Transaction Date 12/11/2017 Due 0 Wells Fargo 10100 Total $143.97
Refer 1 UNIFIRST CORPORATION Ck# 055143 12/12/2017
Cash Payment E609-49750-210 Operating Supplies CLEANING SUPPLIES- HWS- MATS, $103.86
TERRYCLOTHS, MOPS, WIPES- 11-15-17
Invoice 0900392164 11/15/2017
Cash Payment E 609-49750-210 Operating Supplies CLEANING SUPPLIES- HWS- MATS, $71.22
TERRYCLOTHS, MOPS, WIPES- 11-22-17
Invoice 0900393290 11/22/2017
Cash Payment E 609-49750-210 Operating Supplies
Invoice 0900394424 11/29/2017
Cash Payment E 609-49750-210 Operating Supplies
CLEANING SUPPLIES- HWS- MATS, $100.39
TERRYCLOTHS, MOPS, WIPES- 11-29-17
CLEANING SUPPLIES- HWS- MATS, $71.22
TERRYCLOTHS, MOPS, WIPES- 12-06-17
Invoice 0900395537 12/6/2017
Transaction Date 12/1112017 Due 0
Wells Fargo 10100 Total
$346.69
Refer 3 UNIFIRST CORPORATION
Ck# 055143 12/12/2017
Cash Payment E 101-45200-210 Operating Supplies
MATS & SHOP SUPPLIES- PARKS 11-08-17
$47.99
Invoice 0900391055 11/8/2017
Cash Payment E 101-45200-210 Operating Supplies
MATS & SHOP SUPPLIES- PARKS 11-15-17
$56.03
Invoice 0900392162 11/15/2017
Cash Payment E 101-45200-210 Operating Supplies
MATS & SHOP SUPPLIES- PARKS 11-22-17
$47.99
Invoice 0900393288 11/22/2017
Transaction Date 12/11/2017 Due 0
Wells Fargo 10100 Total
$152.01
Refer 7 UNIFIRST CORPORATION
Ck# 055143 12/12/2017
Cash Payment E 602-49450-218 Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 11-08-17
$21.08
Invoice 0900391015 11/8/2017
Cash Payment E 601-49400-218 Clothing and Uniforms
Invoice 0900391015 11/8/2017
Cash Payment E 101-43100-218 Clothing and Uniforms
Invoice 0900391015 11/8/2017
UNIFORM SVC PUBLIC WORKS 11-08-17
UNIFORM SVC PUBLIC WORKS 11-08-17
Transaction Date 1211112017 Due 0 Wells Fargo 10100
Refer 6 UNIFIRST CORPORATION
Cash Payment E602-49450-210 Operating Supplies
Invoice 0900392163 11/15/2017
Cash Payment E 601-49400-210 Operating Supplies
Invoice 0900392163 11/15/2017
Ck# 055143 12/12/2017
MAT SVC & SHOP SUPPLIES- PUBLIC
WORKS 11-15-17
MAT SVC & SHOP SUPPLIES- PUBLIC
WORKS 11-15-17
61
Total
$17.78
$22.85
$61.71
$52.50
$52.50
mmw1o11:30mw
Page 2
CITYOFMOUND —
Payments
Current Period: December 2017
Cash Payment E1O1-431O0-21UOperating Supplies
MAT SVC & SHOP SUPPLIES- PUBLIC
$52.50
WORKS 11-15-17
Invoice 0900392163 1185/2017
Transaction Date 12/11/2017 Due
Wells Fargo 10100 Total
$157.50
Refer 4UN09RSTCORPORATION
Ck# 055143 12/12/2017
Cash Payment E8O2'49450-21UOperating Supplies
MAT SVC & SHOP SUPPLIES- PUBLIC
$1680
WORKS 11-08-17
Invoice 0900391056 11@12017
CavhP^ymont EOO1-494O0-21UOperating Supplies
MAT SVC & SHOP SUPPLIES- PUBLIC
$18.00
WORKS 11-08-17
Invoice 0900391056 11/8/2017
Cesxpoyment E10143UO-21OOperating Supplies
MAT SVC & SHOP SUPPLIES- PUBLIC
*16.01
WORKS 11-08-17
Invoice OSou3e 050 11/8/2017
Transaction Date 12n1/2017 Due
Wells Fargo 10100 Total
$48.81
Refer 5UNIFIR3TCORPORATION
Ck# 055143 12/12/2017
Cash Payment E0Uc-4S4oO218Operating Supplies
MAT SVC & SHOP SUPPLIES- PUBLIC
$16o0
WORKS 11-22-17
Invoice 0900393289 11/2212017
CashPayment E8O1-*94UO'o10Operating Supplies
MAT SVC & SHOP SUPPLIES- PUBLIC
$16.00
WORKS 11'22'17
Invoice 0900393289 11/22/2017
Cash Payment E181431O0-21DOperating Supplies
MAT SVC & SHOP SUPPLIES- PUBLIC
$15.99
WORKS 11-22-1r
Invoice 0900393289 11/22o017
Transaction Date 12/11/2017 Due
Wells Fargo 10100 rpto|
$47.e9
Refer 1OLN0RR3TCORPORATION
Ck# 055143 12/12/2017
Cash Payment E6O24o4o0-218Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 11-22-17
$21.08
Invoice 0900393246 11/22/2017
Cash Payment sVU1-4940O'218Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 11-22-17
$17.78
Invoice 0900393246 11/22o017
Cash Payment E1O1-431OO-218Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 11-22-17
$22�85
Invoice 0900393246 11/22/2017
Transaction Date 12/11/2017 Due
Wells Fargo 10100 Total
$61.71
Refer 9UNIFInDTCORPORATION
Ck# 055143 12/12/2017
Cash Payment E0U24S*5O'218Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 11-15'17
$21.08
Invoice 0900392125 11/15/2017
Cash Payment E0O1-494UO'218Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 11'15-1r
$17.78
Invoice 0900392125 11/15/2017
Cash Payment E1O1'43100'218Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 11-15'17
$22.85
Invoice 0900392125 11/15/2017
Transaction Date 12/11/2017 Due
Wells Fargo 10100 Total
$61.71
Refer 80KN9R3TCORPORATION
Ck# 055143 12/12/2017
Cash Payment e0O2'4845O'218Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 10-2S'17
$2108
Invoice 0900388774 1025/2017
Cash Payment E0O1494UO-218Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 1O-25'17
$17.78
Invoice 0900388774 1025/2017
Cash Payment E1O1-*31oO'21BClothing and Uniforms
UNIFORM SVC PUBLIC WORKS 10-25'17
*2285
Invoice 0900388774 1025/2017
i0
[01kWirels-irelf]IIT
Payments
01/04/18 11:30 AM
Page 3
Current Period: December 2017
Transaction Date 12/11/2017 Due 0 Wells Fargo 10100 Total $61.71
Fund Summary
10100 Wells Fargo
609 MUNICIPAL LIQUOR FUND
$346.69
602 SEWER FUND
$168.82
601 WATER FUND
$155.62
101 GENERAL FUND
$472.48
---._.--- ---- _. _._.
$1,143.61
Pre -Written Checks $1,143.61
Checks to be Generated by the Computer $0.00
Total $1,143.61
m
Payments
Current Period: December 2017
Batch Name #8-17PARKCO
Payment Computer Dollar Amt $264,636.08 Posted
Refer 8 PARK CONSTRUCTION COMPANY Ck# 055221 12/13/2017
Cash Payment E 401-43117-500 Capital Outlay FA PAY REQ #8 2017 STREET IMPROV PROJ -
PW 17-01 LYNWOOD BLVD -WORK
COMPLETED OCT 28 THRU NOV 29 2017
Invoice 121217 12/6/2017 Project PW1701
Cash Payment E 401-43137-500 Capital Outlay FA PAY REQ #8 2017 STREET IMPROV PROD -
PW 17-02 WILSHIRE/MAYWOOD/HIDDEN
VALE -WORK COMPLETED OCT 28 THRU
NOV 29 2017
Invoice 121217 12/6/2017
Cash Payment E 401-43147-500 Capital Outlay FA
Invoice 121217 12/6/2017
Cash Payment E 401-43110-500 Capital Outlay FA
Invoice 121217 12/6/2017
Cash Payment E 401-43137-500 Capital Outlay FA
Invoice 121217 12/6/2017
Transaction Date 12/12/2017
Fund Summary
401 GENERAL CAPITAL PROJECTS
Project PW1702
PAY REQ #8 2017 STREET IMPROV PROD -
PW 17-03 TUXEDO BLVD PHASE III -WORK
COMPLETED OCT 28 THRU NOV 29 2017
Project PW1703
PAY REQ #8 2017 STREET IMPROV PROJ -
PW 17-04 RETAINING WALL REPLACE -
WORK COMPLETED OCT 28 THRU NOV 29
2017
Project PW1704
PAY REQ #8 2017 STREET IMPROV PROD -
PW 17-02 WILSHIRE- MISC-WORK
COMPLETED OCT 28 THRU NOV 29 2017
Project PW1702
Due 0 Wells Fargo 10100 Total
10100 Wells Fargo
$264,636.08
$264,636.08
Pre -Written Checks $264,636.08
Checks to be Generated by the Computer $0.00
Total $264,636.08
12
01/04/18 11:32 AM
Page 1
$197,908.49
$53,704.66
$3,694.93
$3,779.61
$5,548.39
$264,636.08
CITY OF MOUND 01/04/18 11:34 AM
Page 1
Payments
Current Period: December 2017
Batch Name #9-17RYANCO
Payment Computer Dollar Amt $149,507.04 Posted
Refer 9 RYAN CONTRACTING COMPANY Ck# 055222 12/13/2017
Cash Payment
E 401-43116-500 Capital Outlay FA
PAY REQUEST #9 & FINAL 2016 STREET
IMPROV PROJ -PW 16-01 BARTLETT BLVD -
WORK COMPLETED THRU NOV 30 2017
Invoice 121217
12/6/2017
Project PW1601
Cash Payment
E 401-43136-500 Capital Outlay FA
PAY REQUEST #9 & FINAL 2016 STREET
IMPROV PROJ -PW 16-02 TUXEDO BLVD -
WORK COMPLETED THRU NOV 30 2017
Invoice 121217
12/6/2017
Project PW1602
Cash Payment
E 401-43146-500 Capital Outlay FA
PAY REQUEST #9 & FINAL 2016 STREET
IMPROV PROJ -PW 16-03
CYPRESS/MAYWOOD- WORK COMPLETED
THRU NOV 30 2017
Invoice 121217
12/6/2017
Project PW1603
Cash Payment
E 401-43110-500 Capital Outlay FA
PAY REQUEST #9 & FINAL 2016 RETAINING
WALL IMPROV PROD -PW 16-04 WORK
COMPLETED THRU NOV 30 2017
Invoice 121217
12/6/2017
Project PW1604
Transaction Date
12/12/2017 Due 0
Wells Fargo 10100 Total
Fund Summary
10100 Wells Fargo
401 GENERAL CAPITAL PROJECTS $149,507.04
$149,507.04
Pre -Written Checks $149,507.04
Checks to be Generated by the Computer $0.00
Total $149,507.04
13
$76,019.72
$43,412.78
$25,274.68
$4,799.86
$149,50T04
Payments
Current Period: December 2017
Batch Name 121217PAYREQ
Payment Computer Dollar Amt $139,923.60 Posted
Refer 15 GEISLINGER AND SONS, INCOPO Ck# 055223 12/13/2017
Cash Payment E 401-43115-500 Capital Outlay FA 2015 STREET PROJ--GRANDVIEW BLVD -
PAY REQUEST # 15 & FINAL WORK
COMPLETED THRU DEC 6TH 2017 - PW 15-
01
Invoice 121217 12/6/2017
Cash Payment E 401-43135-500 Capital Outlay FA
Invoice 121217 12/6/2017
Cash Payment E 401-43110-500 Capital Outlay FA
Invoice 121217 12/6/2017
Cash Payment E 401-43115-500 Capital Outlay FA
Invoice 121217 12/6/2017
Cash Payment G 401-22000 Deposits
Project PW1501
2015 STREET PROJ -TUXEDO BLVD- PAY
REQUEST # 15 & FINAL WORK COMPLETED
THRU DEC 6TH 2017- PW 15-02
Project PW1502
2015 RETAINING WALL PROJ --PAY
REQUEST #15 & FINAL WORK COMPLETED
THRU DEC 6TH 2017- PW 15-03
Project PW1503
2015 STREET PROD --SIDEWALK PORTION-
GRANDVIEW BLVD- PAY REQUEST# 15 &
FINAL WORK COMPLETED THRU DEC 6TH
2017 - PW 15-01
Project PW1501
01/04/18 11:35 AM
Page 1
$14,211.24
$12,441.85
$825.61
$43.14
MCES 2015 STREET PROJ -PW 15-02- $32,441.03
TUXEDO BLVD- MCES SANITARY SEWER
PIPE IMPROV PORTION PAY REQUEST # 14
& FINAL WORK COMPLETED THRU DEC 6TH
2017
Invoice 121217 12/6/2017 Project PW1502
Transaction Date 12/12/2017 Due 0 Wells Fargo 10100 Total
Refer 3 WIDMER CONSTRUCTION, LLC Ck# 055224 12/13/2017
Cash Payment E 602-49450-500 Capital Outlay FA PAY REQ #3 - 2017 LIFT STATION IMPROV
PROD PW 17-05 WORK COMPLETED OCT 1
THRU NOV. 30, 2017 PW 17-05
Invoice 121217 12/6/2017 Project PW1705
Transaction Date 12/12/2017 Due 0 Wells Fargo 10100 Total
Fund Summary
10100 Wells Fargo
602 SEWER FUND $79,960.73
401 GENERAL CAPITAL PROJECTS $59,962.87
$139,923.60
Pre -Written Checks $139,923.60
Checks to be Generated by the Computer $0.00
Total $139,923.60
14
$59,962.87
$79,960.73
$79,960.73
01 /04/18 11:37 AM
Page 1
Payments
Current Period: December 2017
Batch Name 121517CTYMAN
Payment Computer Dollar Amt $35,934.86 Posted
Refer
10 ARCTIC GLACIER PREMIUM ICE
Ck# 055144 12/12/2017
Cash Payment
E 609-49750-255 Misc Merchandise For R ICE
$113.29
Invoice 1929734306
12/9/2017
Cash Payment
E 609-49750-255 Misc Merchandise For R ICE
$239.72
Invoice 1969726603 9/23/2017
Cash Payment
E 609-49750-255 Misc Merchandise For R ICE
$134.50
Invoice 1917730806
11/4/2017
Transaction Date 12/12/2017 Due 0
Wells Fargo 10100 Total
$487.51
Refer
9 BRAUN INTERTEC CORPORATION
Ck# 055145 12/12/2017
Cash Payment
E 401-43117-300 Professional Srvs
CONSTRUCTION MATERIALS TESTING 2017
$3,503.28
STREET IMPROV PROJECTS- PW 17-01
LYNWOOD/FAIRVIEW-THRU 11-3-17
Invoice 13110798
11/7/2017
Transaction Date
12/12/2017 Due 0
Wells Fargo 10100 Total
$3,503.28
Refer
12 BURNET TITLE- EDINA
Ck# 055146 12/12/2017
Cash Payment
R 601-49400-36200 Miscellaneous Revenu UTILITY BILLING REFUND- 3142 DEVON LN-
$360.42
BURNET TITLE EDINA
Invoice 121517
12/11/2017
Transaction Date
12/12/2017 Due 0
Wells Fargo 10100 Total
$360.42
Refer
14 EGAN COMPANIES
Ck# 055147 12/12/2017
Cash Payment
E 285-46388-440 Other Contractual Servic REPAIR PARKING DECK LIGHTING
$897.00
CONTROL- 11-30-17
Invoice JC10165193 12/5/2017
Transaction Date
12/12/2017 Due 0
Wells Fargo 10100 Total
$897.00
Refer
15 HENNEPIN COUNTY WFORMATIO
Ck# 055148 12/12/2017
Gash Payment
E602-49450-321 Telephone, Cells, & Radi PW RADIO LEASE & ADMINISTRATION FEE-
$152.48
NOV 2017
Invoice 1000101672 12/4/2017
Project 17-3
Cash Payment
E 222-42260-321 Telephone, Cells, & Radi FIRE DEPT RADIO LEASE &
$1,161.55
ADMINISTRATION FEE - NOV 2017
Invoice 1000101607 12/4/2017
Transaction Date
12/12/2017 Due 0
Wells Fargo 10100 Total
$1,314.03
Refer
2 JUBILEE FOODS- (HWS)
Ck# 055150 12/12/2017
Cash Payment
E 609-49750-255 Misc Merchandise For R
24 PACK BOTTLED WATER FOR RESALE-
$11.97
HWS
Invoice 121217
11/24/2017
Transaction Date
12/11/2017 Due 0
Wells Fargo 10100 Total
$11.97
Refer
3 JUBILEE FOODS
Ck# 055149 12/12/2017
Cash Payment
E 101-45200-210 Operating Supplies
JOHNNIE'S OUTDOOR -WINTER GREENERY-
$35.94
PLANTS CITY ENTRANCES -POTS-
LANDSCAPING
Invoice 121217
11/15/2017
Cash Payment E 101-45200-210 Operating Supplies
JOHNNIE'S OUTDOOR -WINTER GREENERY-
$216.69
PLANTS CITY ENTRANCES -POTS-
LANDSCAPING
Invoice 121217
11/15/2017
15
CITY OF MOUND 01/04/1811:37 AM
Page 2
Payments
Current Period: December 2017
Cash Payment
E 101-41910-210 Operating Supplies
JOHNNIE'S OUTDOOR -WINTER GREENERY-
$108.34
PLANTS CENTENNIAL BLDG ENTRANCE -
POTS
Invoice 121217
11/15/2017
Cash Payment
E 222-42260-431 Meeting Expense
WATER & POP FOR FIRE COMMISSION
$12.47
LUNCH MTG 11-21-17
Invoice 121217
11/15/2017
Transaction Date
12/11/2017 Due 0
Wells Fargo 10100 Total
$373.44
Refer
7 KRESS, BRENT
Ck# 055151 12/12/2017
Cash Payment
E 101-43100-218 Clothing and Uniforms
2017 BOOT ALLOWANCE REIMB- B. KRESS
$149.99
Invoice 121517
12/11/2017
Transaction Date
12/12/2017 Due 0
Wells Fargo 10100 Total
$149.99
Refer
11 MNSPECT
Ck# 055152 12/12/2017
Cash Payment
E 101-42400-308 Building Inspection Fees NOV 2017 BUILDING INSPECTION FEES
$27,121.93
Invoice 7207
12/7/2017
Cash Payment
G 101-20800 Due to Other Governments
NOV 2017 - ELECTRICAL STATE
-$16.00
SURCHARGE FEE CREDIT
Invoice 7207
12/7/2017
Cash Payment
R 101-42000-32220 Electrical Permit Fee
NOV 2017 ELECTRICAL INSPECTION
-$247.40
PERMIT FEE CREDITS
Invoice 7207
12/7/2017
Transaction Date
12/12/2017 Due 0
Wells Fargo 10100 Total
$26,858.53
Refer
1 NAPA AUTO PARTS - SPRING PAR
Ck# 055153 12/1212017
Cash Payment
E 602-49450-220 Repair/Maint Supply
A/C BELT #209 SEWER TRUCK
$22.19
Invoice 0577-038491
11/16/2017
Cash Payment
E 101-42115-210 Operating Supplies
WIPER CROSS PIN EMERG MGMT VEHICLE
$3.50
#516
Invoice 0577-038406 11/15/2017
Cash Payment
E 101-42400-210 Operating Supplies
WIPER CROSS PIN EMERG MGMT VEHICLE
$3.49
#516
Invoice 0577-038406
11/15/2017
Transaction Date
12/11/2017 Due 0
Wells Fargo 10100 Total
$29.18
Refer
8 PRICH, RYAN N.
Ck# 055154 12/12/2017
Cash Payment
E 601-49400-218 Clothing and Uniforms
2017 BOOT ALLOWANCE REIMB- R. PRICH
$159.99
Invoice 121517
12/11/2017
Transaction Date
12/12/2017 Due 0
Wells Fargo 10100 Total
$159.99
Refer
13 SHEFFIELD, DAVID
Ck# 055155 12/12/2017
Cash Payment
G 281-22000 Deposits
REFUND LOST LAKE DOCK KEY DEPOSIT-
$100.00
2017 2 KEYS- D. SHEFFIELD
Invoice 121517 12/12/2017
Transaction Date 12/12/2017
Refer 16 SOUTHWEST NEWS MEDIA
Cash Payment E 609-49750-340 Advertising
Invoice 1978053 11/23/2017
Transaction Date 12/12/2017
Refer 4 TRUE VALUE HWS
Due 0 Wells Fargo 10100 Total
Ck# 055156 12/12/2017
SMALL BUSINESS SATURDAY AD- HWS 11-
23-17
Due 0 Wells Fargo 10100
Ck# 055157 12/12/2017
Total
$100.00
$394.00
$394.00
Payments
Current Period: December 2017
01/04/18 11:37 AM
Page 3
Cash Payment
E 609-49750-210 Operating Supplies
TRASH BAGS, LOTION SOAP, SPARKLE
$64.00
11/20/2017
CLEANER, LIQUID PLUMBER, LYSOL,
E 601-49400-220 Repair/Maint Supply
BIT SET, SCREWS, NUTS, BOLTS- WATER
Invoice 148662
NATURAL BOTTLE SPRAYER- HWS
Invoice 148297
11/3/2017
1-112" 2 -HOLE STL STRAP„ SCREWS, NUTS,
Cash Payment
E 609-49750-210 Operating Supplies
GAL FLOOR FINISH- HWS
$21.15
Invoice 149081
12/8/2017
Transaction Date
12/11/2017 Due 0
Wells Fargo 10100 Total
$85.15
Refer
5 TRUE VALUE MOUND (FIRE)
Ck# 055158 12/12/2017
Cash Payment
E 222-42260-402 Building Maintenance
SCREWS, NUTS, BOLTS- INSTALLATION OF
$4.57
NEW PRESSURE WASHER- FIRE BAY
Invoice 148485 11/10/2017
Cash Payment E 222-42260-409 Other Equipment Repair ENGINE #40- CLEAR K&B SEAL, K&B
SILICONE
Invoice 148643
Transaction Date
Refer
11/19/2017
12/11/2017 Due 0 Wells Fargo 10100
6 TRUE VALUE, MOUND (PW PKS) Ck# 055159 12/12/2017
Total
Cash Payment
E 601-49400-220 Repair/Maint Supply
ANTIFREEZE BLEND- WATER DEPT
Invoice 148650
11/20/2017
Cash Payment
E 601-49400-220 Repair/Maint Supply
BIT SET, SCREWS, NUTS, BOLTS- WATER
Invoice 148662
11/20/2017
Cash Payment
E 601-49400-220 Repair/Maint Supply
1-112" 2 -HOLE STL STRAP„ SCREWS, NUTS,
BOLTS- WATER
Invoice 148507 11/13/2017
Cash Payment E 601-49400-220 Repair/Maint Supply
Invoice 148518 11/14/2017
Cash Payment E 601-49400-220 Repair/Maint Supply
Invoice 148408 11/7/2017
Cash Payment E 601-49400-220 Repair/Maint Supply
Invoice 148375 11/6/2017
Cash Payment E 601-49400-220 Repair/Maint Supply
Invoice 148802 11/27/2017
Cash Payment E 285-46388-210 Operating Supplies
Invoice 148250 11/1/2017
Cash Payment E 602-49450-220 Repair/Maint Supply
Invoice 148585 11/16/2017
Cash Payment E 602-49450-220 Repair/Maint Supply
Invoice 148410 11/7/2017
Cash Payment E 602-49450-210 Operating Supplies
Invoice 148446 11/9/2017
Cash Payment E 602-49450-220 Repair/Maint Supply
Invoice 148268 11/2/2017
Cash Payment E 101-43100-210 Operating Supplies
Invoice 148829 11/28/2017
Cash Payment E 101-43100-210 Operating Supplies
Invoice 148836 11/28/2017
1/4" X 50' NYLON CORD WATER DEPT
WIRE BRUSH SHOE HANDLE, 2X4 GALV
NIPPLE- WATER DEPT
DUST PAN, WEDGE DOOR STOP - WATER
DEPT
2X4 GALV NIPPLE- WATER DEPT
ANTIFREEZE BLEND- PARKING DECK
BATHROOMS
3 OZ AERO LOCK EASE, 8 OZ ANTI SEIZE
COMPOUND- SEWER DEPT
2 X 4 GALVANIZED NIPPLE- SEWER DEPT
2 PC TRANSMISSION FUNNEL, ANTIFREEZE
BLEND- SEWER DEPT
SCREWS, NUTS, BOLTS, CAT ROLLER #604
Project 17-3
17 OZ FLUROESCENT MARKING PAINT -
STREETS
120Z BLACK GLOSS BLACK ENAMEL
SPRAY, SCREWS, NUTS, BOLTS- STREETS
17
$28.31
$32.88
$17.94
$10.18
$8.65
$8.09
$14.38
$19.05
$17.52
$17.94
$13.48
$19.78
$21.80
$10.23
$18.87
$10.83
CITY OF MOUND 01/04/1811:37 AM
Page 4
Payments
Current Period: December 2017
Cash Payment E 101-45200-210 Operating Supplies
SNAP LINKS- 6 QTY BEACH BUOYS
$23.71
Invoice 148714 11/22/2017
Cash Payment E 101-45250-210 Operating Supplies
LATH NUNDLE- CEMETERY
$18.99
Invoice 148832 11/28/2017
Cash Payment E 101-45200-210 Operating Supplies
ROPE CLAMP- BEACH BUOYS
$6.28
Invoice 148696 11/21/2017
Cash Payment E 101-45200-220 Repair/Maint Supply
FG EYE BT PARKS SHOP
$12.56
Invoice 148539 11/14/2017
Cash Payment E 101-45200-210 Operating Supplies
GE HALOGEN BULB- DEPOT BLDG
$4.49
Invoice 148302 11/3/2017
Cash Payment E 101-45200-210 Operating Supplies
30OZ ZEP EMPTY SPRAYER, 128 OZ CLR
$57.12
CLEANER- QTY 2- DEPOT BLDG
Invoice 148294 11/3/2017
Cash Payment E 281-45210-220 Repair/Maint Supply
RED, ORANGE, PURPLE, LIME PAINT-
$14.36
DOCKS
Invoice 148650 11/20/2017
Cash Payment E 281-45210-210 Operating Supplies
DOCKS- STAIRWAY BOARD PAINT ENAMEL
$37.88
GLOSS CLEAR
Invoice 148851 11/29/2017
Cash Payment E 101-41930-210 Operating Supplies
50 LB FAST MELT ICE MELTER- QTY 49-
$264.46
CITY HALL & FIRE
Invoice 148271 11/2/2017
Cash Payment E 101-41910-210 Operating Supplies
50 LB FAST MELT ICE MELTER- QTY 49 CITY
$264.45
HALL & FIRE
Invoice 148271 11/2/2017
Cash Payment E 222-42260-210 Operating Supplies
50 LB FAST MELT ICE MELTER- QTY 49-
$264.45
CENTENNIAL BLDG
Invoice 148271 11/2/2017
Transaction Date 12/11/2017 Due
0 Wells Fargo 10100 Total
$1,177.49
Fund Summary
10100 Wells Fargo
609 MUNICIPAL LIQUOR FUND
$978.63
602 SEWER FUND
$239.96
601 WATER FUND
$616.22
401 GENERAL CAPITAL PROJECTS
$3,503.28
285 MOUND HRA
$914.94
281 COMMONS DOCKS FUND
$152.24
222 AREA FIRE SERVICES
$1,471.35
101 GENERAL FUND
$28,058.24
$35,934.86
Pre -Written Checks $35,934.86
Checks to be Generated by the Computer $0.00
Total $35,934.86
18
CITY OF MOUND
Payments
Current Period: December 2017
Batch Name 1217ELANCC
Payment Computer Dollar Amt $2,178.02 Posted
Refer 11 ELAN CREDIT CARD
Cash Payment E 475-46386-430 Miscellaneous
Invoice 122617 11/30/2017
Cash Payment E 601-49400-455 Permits
Ck# 080060E 12/26/2017
MINNESOTA'S BOOKSTORE- STAT OF MN
LIST OF LICENSED APPRAISERS
UTILITY PERMIT HENNEP CTY 11-08-17
WATERMAIN BREAK BARTLETT BLVD &
DICKENS LN
Invoice 122617
11/28/2017
Cash Payment
E 609-49750-340 Advertising
IN PRIME ADVERTISING- MONTHLY
WEBSITE HOSTING HWS
Invoice 122617
11/27/2017
Cash Payment
E 609-49750-307 Admin/Finance/Compute WALGREENS- SANDISK USB 32 GB- HWS
Invoice 122617
11/18/2017
Cash Payment
E 609-49750-431 Meeting Expense
CARBONE'S PIZZERIA- HWS HOLIDAY
STAFF LUNCH 11-22-17
Invoice 122617
11/22/2017
Transaction Date
12/27/2017 Due 0
Wells Fargo 10100 Total
Refer
12 ELAN CREDIT CARD
Ck# 080061 E 12/26/2017
Cash Payment
E 222-42260-433 Dues and Subscriptions
MN FIRE SVC CERTIFICATION BOARD -
RECERTIFICATION- B. CRAWFORD RETURN
TO SVC
Invoice 122617-2 11/30/2017
Cash Payment E 222-42260-434 Conference & Training PIER HOUSE 60- CLEARWATER FL -
LODGING & PARKING FEE- 3 NIGHTS- VOL
CHIEF & OFFICER SYMPOSIUM- NOV 8
THRU 11- G. PEDERSON
Invoice 122617-2 11/11/2017
Cash Payment E 222-42260-434 Conference & Training PIER HOUSE 60- CLEARWATER FL -
LODGING & PARKING FEE- 3 NIGHTS- VOL
CHIEF & OFFICER SYMPOSIUM- NOV 8
THRU 11- G. PALM
Invoice 122617-2 11/11/2017
Cash Payment E 222-42260-434 Conference & Training PIER HOUSE 60- CLEARWATER FL -
LODGING & PARKING FEE- 3 NIGHTS- VOL
CHIEF & OFFICER SYMPOSIUM- NOV 8
THRU 11- M. JAKUBIK
Invoice 122617-2 11/11/2017
Transaction Date 12/27/2017 Due 0 Wells Fargo 10100 Total
lut
01 /04/18 11:38 AM
Page 1
$57.50
$330.00
$100.00
$32.25
$49.45
$569.20
$25.00
$560.04
$511.89
$511.89
$1,608.82
MINIM ZU9111 I, I
Current Period: December 2017
Fund Summary
10100 Wells Fargo
609 MUNICIPAL LIQUOR FUND $181.70
601 WATER FUND $330.00
475 TIF 1-3 Mound Harbor Renaissan $57.50
222 AREA FIRE SERVICES $1,608.82
$2,178.02
Pre -Written Checks $2,178.02
Checks to be Generated by the Computer $0.00
Total $2,178.02
20
01 /04/18 11:39 AM
Page 2
CITY OF MOUND
Payments
Current Period: December um7
Batch Name 1217UBREFUND
Payment Computer Dollar Amt $2,533.65 Posted
004/1811w1AN
—
Page
Refer
18(RNETTITLE- fDmA
Ck# 055316 12/28/2017
Cash Payment
ROO1-494V0-3O20oMiscellaneous Revenu
31V6PRIEST LN- R.ANDERSON- UTILITY
$158.60
REFUND- BURNETTITLE ED|NA
Invoice 122817
12/27/2017
Transaction Date
12/28/2017 Due
Wells Fargo 10100 Total
$158.68
Refer
4 CONCIERGE TITLE, 8VCANDOuE
Ck# 055317 12/28/2017
Cash Payment
ROO1'4S*OO'3O2noMiscellaneous Rovonu
s936H|LLCRESTRD- J.PULLEY- UTILITY
$150.42
REFUND- CONCIERGE TITLE ANDOVER
Invoice 122817
12/27/2017
Transaction Date
12/28/2017 Due
Wells Fargo 10100 Tmu|
$150A2
Refer
9 GE
Cash Payment
ROD1-494OO-362OUMiscellaneous Rovonu
o828BAnTLETTBLVD- D.DOGGET'UTILITY
$1146
REFUND
Invoice 122817
12/27/2017
Transaction Date
12/28/2017 Due
Wells Fargo 10100 Total
$13.46
Refer
7 DOOLITTLE, JAMIE
Ck# 055319 12/28/2017
Cash Payment
RO014S4on-3O20OMiscellaneous Revenu1s3r
EAGLE LN- J.DOOLITTLE- UTILITY
$34231
REFUND
Invoice 122817
12/27/2017
Transaction Date
12/28/2017 Due
Wells Fargo 10100 Total
$342.31
Rafe,
2EDKVAREALTY TITLE
Ck# 055320 12/28/2017
Cash Payment
R001-4S40O-3O2O0Miscellaneous Revonu48D7ED8EVxATER
DR- HENDR|X-UTILITY
$520.27
REFUND- ED|NAREALTY TITLE
Invoice 122817
12/27/2017
Cash Payment
R601-494O0'S82OOMiscellaneous Rovonu
1r81JONES LN- 4.00TTRsLL-UTILITY
$11.05
REFUND- ED|NAREALTY TITLE
Invoice 122817
12/27/2017
Transaction Date
12/202017 Due
Wells Fargo 10100 Total
$531.32
Refer
8GLOBAL CLOSING -EASAN
Ck# 055321 12128/2017
Cash Payment
R8O1-^84OO'3O2OOMiscellaneous Revnnu
u116GRANDV|EVVCT- T.LABUZ-UTILITY
$149.82
REFUND- GLOBAL CLOSING EAGAw
Invoice 122817
12/27/2017
Transaction Date
121202017 Due
Wells Fargo 10100 Total
$14e�02
Refer
OPETERSON, STEVEN
Ck# 055322 12/28/2017
Cash Payment
n0O1-4S4OO-3020OMiscellaneous Re"enu
O381OTTER RD- G,PETERSON/ G.Y0GT'
$423.95
UTILITY REFUND
Invoice 122817
12/27/2017
Transaction Date
12/28/2017 Due
Wells Fargo 10100 Total
$423.95
Refer
OPREMIER TITLE INSURANCE AGE
Ck#055323 12/28/2017
Cash Payment
n6D1-v94oO'302OUMiscellaneous Revenu473OHAmOVER
RD- LG|LBERTS0N-
$27284
UTILITY REFUND- PREMIER TITLE
INSURANCE AGENCY
Invoice 122817
12/27/2017
Transaction Date
12/28/2017 Due
Wells Fargo 10100 Total
$27294
Refer
5 RN0 MI7ZI
Ck# 055324 12/28/201
CITY OF MOUND 01/04/18 11:41 AM
Page 2
Payments
Current Period: December 2017
Cash Payment R 601-49400-36200 Miscellaneous Revenu 5485 LOST LAKE LN- VANTHORNOUT- $489.97
UTILITY REFUND
Invoice 122817 12/27/2017
Transaction Date 12/28/2017 Due 0 Wells Fargo 10100 Total $489.97
Fund Summary
10100 Wells Fargo
601 WATER FUND $2,533.65
$2,533.65
Pre -Written Checks $2,533.65
Checks to be Generated by the Computer $0.00
Total $2,533.65
I,
CITY OF MOUND _ 01/04/18 11:42 AM
Page 1
Payments
Current Period: December 2017
Batch Name 122117CTYMAN
Payment Computer Dollar Amt $62,918.71 Posted
Refer 2A -I OUTDOOR POWER, INC.
Ck# 055234 12/21/2017
Cash Payment E 101-45200-404 Machinery/Equip Repairs REPLACE DRIVE BELT & TEST- LEAF VAC-
$192.99
PARKS
Invoice 412701 11/28/2017
Transaction Date 12/20/2017 Due 0
Wells Fargo 10100 Total
$192.99
Refer 3 ASPEN EQUIPMENT
Ck# 055235 12/21/2017
Cash Payment E 602-49450-404 Machinery/Equip Repairs LIGHTS- MINI REFLEX CLEAR AMBER,
$738.25
DIRECTIONAL LED SURFACE MOUNT -
SEWER TRUCK #217
Invoice 10183270 12/1/2017
Cash Payment E 101-45200-220 Repair/Maint Supply
#416 PARKS PLOW RECEIVER KITS- DRIVER
$294.66
& PASSENGER SIDES
Invoice 10183504 12/7/2017
Transaction Date 12/20/2017 Due 0
Wells Fargo 10100 Total
$1,032.91
Refer 4 BERRY COFFEE COMPANY
Ck# 055236 12/21/2017
Cash Payment E 222-42260-430 Miscellaneous
RENTAL & MTCE- COFFEE MACHINE FIRE
$72.00
DEPT
Invoice 515452 12/1/2017
Transaction Date 12/20/2017 Due 0
Wells Fargo 10100 Total
$72.00
Refer 5 BOYER TRUCKS
Ck# 055237 12/21/2017
Cash Payment E 101-43100-220 Repair/Maint Supply
HANDLE FOR STREET SWEEPER
$43.64
Invoice 1178469 9/19/2017
Transaction Date 12/20/2017 Due 0
Wells Fargo 10100 Total
$43.64
Refer 6 CANON FINANCIAL SERVICES, INC
Ck# 055238 12/21/2017
Cash Payment E 222-42260-202 Duplicating and copying
DECEMBER 2017- COPIER RENTAL- FIRE
$31.75
DEPT
Invoice 18097356 12/13/2017
Transaction Date 12/20/2017 Due 0
Wells Fargo 10100 Total
$31.75
Refer 1 CARQUEST OF NAVARRE (P/W)
Ck# 055239 12/21/2017
Cash Payment E 101-43100-322 Postage
UPS CHARGES FOR BELTS- CAT ROLLER
$8.93
Invoice 6974-308004 11/7/2017
Cash Payment E 602-49450-220 Repair/Maint Supply
SHOP TEST LIGHT BULB
$3.90
Invoice 6974-308218 11/9/2017
Project 17-3
Cash Payment E 602-49450-220 Repair/Maint Supply
FLEETRUNNER MICRO V- #209
$48.50
Invoice 6974-308688 11/16/2017
Cash Payment E 602-49450-210 Operating Supplies
BULK TRAILER CABLE #217 SEWER TRUCK
$73.50
F 450
Invoice 6974-309524 11/30/2017
Cash Payment E 602-49450-210 Operating Supplies
BATTERY CORE RETURN SEWER TRUCK
-$10.00
Invoice 6974-309337 11/28/2017
Cash Payment E 601-49400-220 Repair/Maint Supply
50 ' OF HYDRA HOSE- #512 WESTERN
$255.12
PLOW TRUCK WATER DEPT
Invoice 6974-309263 11/27/2017
Cash Payment E602-49450-210 Operating Supplies
BATTERY & CHARGER SEWER DEPT
$69.68
Invoice 6974-309280 11/27/2017
23
CITY OF MOUND 01/04/18 11:42 AM
Page 2
Payments
Current Period: December 2017
Cash Payment E 101-45200-210 Operating Supplies FUEL & LUBE FOR #210 BALDOR - FORD $7.91
F550 PARKS
Invoice 6974-309260 11/27/2017
Transaction Date 12/20/2017 Due 0 Wells Fargo 10100 Total $457.54
Refer 7 CENTERPOINT ENERGY (MINNEG Ck# 055240 12/21/2017
Cash Payment
E 101-41930-383 Gas Utilities
GAS SVC 10-19-17 TO 11-19-17
$377.45
Invoice 122117
12/8/2017
Cash Payment
E 222-42260-383 Gas Utilities
GAS SVC 10-19-17 TO 11-19-17
$377.45
Invoice 122117
12/8/2017
Cash Payment
E 101-45200-383 Gas Utilities
GAS SVC 10-19-17 TO 11-19-17
$394.48
Invoice 122117
12/8/2017
Cash Payment
E 101-41910-383 Gas Utilities
GAS SVC 10-19-17 TO 11-19-17
$876.19
Invoice 122117
12/8/2017
Cash Payment
E 602-49450-383 Gas Utilities
GAS SVC 10-19-17 TO 11-19-17
$549.27
Invoice 122117
12/8/2017
Project 17-3
Cash Payment
E 609-49750-383 Gas Utilities
GAS SVC 10-19-17 TO 11-19-17
$237.36
Invoice 122117
12/8/2017
Cash Payment
E 101-45200-383 Gas Utilities
GAS SVC 10-19-17 TO 11-19-17 DEPOT BLDG
$188.65
Invoice 122117 12/8/2017
Transaction Date
Refer
Cash Payment
Invoice 16348
12/20/2017 Due 0 Wells Fargo 10100 Total $3,000.85
8 CITY HEIGHTS, INCORPORATED Ck# 055241 12/21/2017
E 285-46388-440 Other Contractual Servic STRAIGHT WASH ALL PARKING DECK
ELEVATOR GLASS- OUTSIDE & STAIRWELL
GLASS INSIDE & OUT
8/3/2017
$671.00
Transaction Date 12/21/2017 Due 0 Wells Fargo 10100 Total $671.00
Refer 9 COMPASS MINERALS AMERICA Ck# 055242 12/21/2017
Cash Payment E 101-43100-224 Street Maint Materials TREATED SALT HWY MIX- 23.41 TON $2,053.53
DELIVERED 12/05/17
Invoice 131878 12/5/2017
Cash Payment E 101-43100-224 Street Maint Materials
Invoice 140097 12/15/2017
TREATED SALT HWY MIX- 47.49 TON $4,165.82
DELIVERED 12/06/17
Transaction Date 12/20/2017 Due 0 Wells Fargo 10100 Total $6,219.35
Refer 10 EMERGENCY RESPONSE SOLUTI Ck# 055243 12121/2017
Cash Payment E 222-42260-219 Safety supplies 9 VOLT BATTERY- ICM FIRE DEPT $69.41
Invoice 9946 12/13/2017
Cash Payment E 222-42260-219 Safety supplies
Invoice 9942 12/7/2017
Transaction Date 12/21/2017
12 STRAPS- SPEED -ON HARNESS, $388.54
CYLINDER GAUGE GUARD- FIRE DEPT
Due 0 Wells Fargo 10100 Total $457.95
Refer 11 FIRE EQUIPMENT SPECIALTIES, I Ck# 055244 12/21/2017
Cash Payment E 222-42260-219 Safety supplies 3 CAIRNS TRADITIONAL FIRE HELMET W/ $800.77
EYESHIELDS- FIRE DEPT
Invoice 9883 12/7/2017 PO 24761
Transaction Date 12/21/2017 Due 0 Wells Fargo 10100
Refer 12 FIRE SAFETY USA, INCORPORATE Ck# 055245 12/21/2017
Cash Payment E 222-42260-210 Operating Supplies 8 KRYPTONITE 5" X 100' FIRE HOSE
Invoice 104473 10/25/2017 PO 24758
24
Total $800.77
Payments
01/04/18 11:42 AM
Page 3
Invoice 007-001-113 12/9/2017
Cash Payment E 101-42400-300 Professional Srvs
Invoice 007-001-112 11/11/2017
Cash Payment E 101-42400-300 Professional Srvs
Invoice 017-034-1 11/11/2017
Cash Payment E 101-42400-300 Professional Srvs
MISC PLANNING SVCS OCT 2017
MOUND DOWNTOWN CONCEPTS- COMP
PLAN 2040 PLANNING SVCS OCT 2017
MOUND COMPREHENSIVE PLAN 2040
PLANNING SVCS OCT 2017
Invoice 017-003-9 11/11/2017
Cash Payment G 101-233814873 SHORELINE PC 17-23 4873 SHORELINE DR MAJOR SUBDV MISC
PLANNING SVCS OCT 2017
Invoice 015-015-31 11/11/2017
Transaction Date 12/21/2017 Due 0 Wells Fargo 10100
25
$497.47
$3,716.25
$2,472.27
$111.25
Total $7,010.99
Current Period: December 2017
Cash Payment
E 222-42260-210 Operating Supplies
1 KRYPTONITE 5" X 25' FIRE HOSE
$440.00
Invoice 104473
10/25/2017 PO 24758
Cash Payment
E 222-42260-210 Operating Supplies
1 REDHEAD 4" ADAPTER
$145.00
Invoice 104473
10/25/2017 PO 24758
Cash Payment
E 222-42260-210 Operating Supplies
1 REDHEAD 4" ELBOW
$170.00
Invoice 104473
10/25/2017 PO 24758
Cash Payment
E 222-42260-210 Operating Supplies
2 REDHEAD 4.5" ADAPTER- LONG HANDLE
$316.00
Invoice 104473
10/25/2017 PO 24758
Cash Payment
E 222-42260-210 Operating Supplies
1 REDHEAD 6" ADAPTER- LONG HANDLE
$190.00
Invoice 104473
10/25/2017 PO 24758
Cash Payment
E 222-42260-409 Other Equipment Repair ENG #29 SVC- REAR 6" INTAKE- DRAIN
$89.25
PUMP, CLEAN VALVE, GREASE, SEAL
Invoice 105434
10/31/2017
Transaction Date 12/21/2017 Due 0
Wells Fargo 10100 Total
$8,030.25
Refer
21 FIRE SERVICE CERT OF MINNESO
Ck# 055246 12/21/2017
Cash Payment
E 222-42260-434 Conference & Training
FIRE APPARATUS OPERATOR
$140.00
CERTIFICATION EXAM 9-23-17 D. GAWTRY
Invoice 5147
9/28/2017
Transaction Date
12/20/2017 Due 0
Wells Fargo 10100 Total
$140.00
Refer
13 GRADY, DANIEL
Ck# 055247 12/21/2017
Cash Payment
E 101-45200-218 Clothing and Uniforms
2017 BOOT ALLOWANCE REIMBURSEMENT-
$175.00
D. GRADY
Invoice 122117
12/18/2017
Transaction Date
12/21/2017 Due 0
Wells Fargo 10100 Total
$175.00
Refer
14 HEALTH PARTNERS CLINICS
Ck# 055248 12/21/2017
Cash Payment
E 101-43100-305 Medical Services
DOT EXAM & PRE-EMPLOYMENT PHYSICAL
$166.00
EXAM- L. PITSENBERGER
Invoice 900035090 12/9/2017
Transaction Date
12/21/2017 Due 0
Wells Fargo 10100 Total
$166.00
Refer
16 HENNEPIN COUNTY RECORDER
Ck# 055249 12/21/2017
Cash Payment
G 101-23369 PC16-43-16-44 3185 PRIES
ABSTRACT & TORRENS RECORDING -HENN
$66.00
CTY-PC 16-43 & 16-44 3185 PRIEST LN
Invoice 122117
11/30/2017
Transaction Date
12/21/2017 Due 0
Wells Fargo 10100 Total
$66.00
Refer
15 HOISWGTON KOEGLER GROUP, I
Ck# 055250 12/21/2017
Cash Payment
E 101-42400-300 Professional Srvs
MISC PLANNING SVCS NOV 2017
$213.75
Invoice 007-001-113 12/9/2017
Cash Payment E 101-42400-300 Professional Srvs
Invoice 007-001-112 11/11/2017
Cash Payment E 101-42400-300 Professional Srvs
Invoice 017-034-1 11/11/2017
Cash Payment E 101-42400-300 Professional Srvs
MISC PLANNING SVCS OCT 2017
MOUND DOWNTOWN CONCEPTS- COMP
PLAN 2040 PLANNING SVCS OCT 2017
MOUND COMPREHENSIVE PLAN 2040
PLANNING SVCS OCT 2017
Invoice 017-003-9 11/11/2017
Cash Payment G 101-233814873 SHORELINE PC 17-23 4873 SHORELINE DR MAJOR SUBDV MISC
PLANNING SVCS OCT 2017
Invoice 015-015-31 11/11/2017
Transaction Date 12/21/2017 Due 0 Wells Fargo 10100
25
$497.47
$3,716.25
$2,472.27
$111.25
Total $7,010.99
Payments
01/04/18 11:42 AM
Page 4
Current Period: December 2017
Refer 17 LOFFLER COMPANIES, INCORPOR Ck# 055251 12/21/2017
Gash Payment E 101-41930-202 Duplicating and copying COPY ROOM KONICA C652 -COLOR $248.28
OVERAGE - 11-14-17 THRU 12-13-17
Invoice 2682585 12/4/2017
Cash Payment E 101-41930-202 Duplicating and copying COPY ROOM KONICA C652 -B&W
OVERAGE - 11-14-17 THRU 12-13-17
Invoice 2682585 12/4/2017
Transaction Date 12/21/2017 Due 0 Wells Fargo 10100 Total
Refer 18 MADDEN GALANTER HANSON, LL Ck# 055252 12/21/2017
Cash Payment E 101-49999-300 Professional Srvs LABOR RELATIONS SERVICES - NOV 2017
Invoice 122117 12/15/2017
$150.94
$399.22
$450.00
Transaction Date
6/20/2017 Due 0
Wells Fargo 10100 Total
$450.00
Refer
19 MARTIN-MCALLISTER
Ck# 055253 12/21/2017
Cash Payment
E 222-42260-300 Professional Srvs
PUBLIC SAFETY ASSESSMENT -J.
$500.00
BLACKSTONE- NEW FIREFIGHTER
Invoice 11359
11/30/2017
Transaction Date
12/21/2017 Due 0
Wells Fargo 10100 Total
$500.00
Refer
20 MEDIACOM
Ck# 055254 12/21/2017
Cash Payment
E 101-42110-321 Telephone, Cells, & Radi ORONO PD INTERNET SVC 412-16-17 THRU
$95.90
1-15-18 (#12)
Invoice 122117
12/6/2017
Transaction Date
12/20/2017 Due 0
Wells Fargo 10100 Total
$95.90
Refer
22 MN CLEAN SERVICES, INC.
Ck# 055255 12/21/2017
Cash Payment
E 101-41930-460 Janitorial Services
JANITORIAL SVC- DECEMBER 2017-- CITY
$474.80
HALL
Invoice 0118PP0l
12/30/2017
Cash Payment
E 222-42260-460 Janitorial Services
JANITORIAL SVC- DECEMBER 2017-- FIRE
$245.20
DEPT
Invoice 0118PP0l
12/30/2017
Cash Payment
E 101-41910-460 Janitorial Services
JANITORIAL SVC- DECEMBER 2017--
$426.93
CENTENNIAL BLDG
Invoice 0118PP0l
12/30/2017
Cash Payment
E 602-49450-460 Janitorial Services
JANITORIAL SVC- DECEMBER 2017--
$163.47
PUBLIC WORKS BLDG
Invoice 0118PP0l
12/30/2017
Project 17-3
Transaction Date
12/21/2017 Due 0
Wells Fargo 10100 Total
$1,310.40
Refer
25 OFFICE DEPOT (FIRE)
Ck# 055257 12/21/2017
Cash Payment
E 222-42260-200 Office Supplies
2 EXPANDING 12 MONTH POCKET FILES,
$85.77
SHEET PROTECTORS, AA ALKALINE
BATTERIES- FIRE DEPT
Invoice 985438056001 12/1/2017 PO 24765
Transaction Date
12/20/2017 Due 0
Wells Fargo 10100 Total
$85.77
Refer
24 OFFICE DEPOT
Ck# 055256 12/21/2017
Cash Payment
E 101-41930-200 Office Supplies
MANILLA FILE FOLDERS, POST ITS, COPY
$121.50
PAPER -CITY HALL
Invoice 985484600001 12/1/2017 PO 24828
Cash Payment
E 281-45210-200 Office Supplies
BLUE CARDSTOCK- DOCKS
$10.20
Invoice 985484600001 12/1/2017 PO 24828
K0
Payments
01/04/18 11:42 AM
Page 5
Invoice 1794
Transaction Date
Refer
Cash Payment
11/27/2017
12/21/2017 Due 0 Wells Fargo 10100
31 SUN PATRIOT NEWSPAPER -CITY Ck# 055264 12/21/2017
E 101-45200-351 Legal Notices Publishing LEGAL NTCE - PARKS COMMISSION
VACANCY- 12-02-17
Invoice 554046 12/3/2017
27
Total $350.00
Current Period: December 2017
Cash Payment
E 609-49750-200 Office Supplies
PRINTER CARTRIDGES -TONER COLORED &
$387.05
BLACK
Invoice 987628543001 12/8/2017 PO 23493
Project 17-3
Transaction Date 12/20/2017 Due 0
Wells Fargo 10100 Total
$518.75
Refer
27 PRESS PERFECT
Ck# 055258 12/21/2017
Cash Payment
E 222-42260-200 Office Supplies
CHIEF COMPLAINT FORMS 2 PARAT
$220.15
CARBONLESS- QTY 1,0000 FIRE DEPT
Invoice 23223
12/4/2017
Transaction Date
12/20/2017 Due 0
Wells Fargo 10100 Total
$220.15
Refer
26 PRISTINE LIGHTING
Ck# 055259 12/21/2017
Cash Payment
E 101-43100-440 Other Contractual Servic INSTALLATION OF LED LIGHTING ON CITY
$2,845.00
BLVD TREES & ANNUAL TREE LIGHTING
TREE
Invoice 000014
11/18/2017
Cash Payment
E 101-43100-440 Other Contractual Servic CHRISTMAS LIGHTS- COMMERCIAL GRADE
$4,590.00
PREMIUM LEDS QTY -340
Invoice 000014
11/18/2017
Transaction Date
12/20/2017 Due 0
Wells Fargo 10100 Total
$7,435.00
Refer
28 RADDE, MATTHEW C.
Ck# 055260 12/21/2017
Cash Payment
E 602-49450-218 Clothing and Uniforms
2017 BOOT ALLOWANCE
$175.00
REIMBURSEMENTO M. RADDE
Invoice 122117
12/18/2017
Transaction Date
12/20/2017 Due 0
Wells Fargo 10100 Total
$175.00
Refer
29 ROBERTS, COLLETTE
Ck# 055261 12/21/2017
Cash Payment
E 101-41500-218 Clothing and Uniforms
2017 MOUNDWEAR REIMBURSEMENT- C.
$54.00
ROBERTS
Invoice 122117
12/19/2017
Cash Payment
E 101-41500-434 Conference & Training
MILEAGE REIMBURSEMENT- MN DEPT OF
$29.96
REVENUE SEMINAR BLMGT 12-12-17 -
PAUSCHE, IVERSON, ROBERTS-REIMB C.
ROBERTS
Invoice 122117
12/19/2017
Transaction Date
12/20/2017 Due 0
Wells Fargo 10100 Total
$83.96
Refer
30 SCHINDLER ELEVATOR CORPORA
Ck# 055262 12/21/2017
Cash Payment
E 285-46388-440 Other Contractual Servic SVC CALL ELEVATOR #1 -PARKING DECK -
$714.84
RESET THERMAL ERROR & THERMOSTAT
IN MACHINE ROOM
Invoice 7152634291
12/5/2017
Transaction Date
12/21/2017 Due 0
Wells Fargo 10100 Total
$714.84
Refer
23 SCOTT NELSON COACHING INC.
Ck# 055263 12/21/2017
Cash Payment
E 222-42260-434 Conference & Training
LEADERSHIP ACADEMY TRAINING 11-20-17
$350.00
& WORKBOOKS - STANDARD FOR FIRE
OFFICER PROFESSIONAL QUALIFICATIONS
Invoice 1794
Transaction Date
Refer
Cash Payment
11/27/2017
12/21/2017 Due 0 Wells Fargo 10100
31 SUN PATRIOT NEWSPAPER -CITY Ck# 055264 12/21/2017
E 101-45200-351 Legal Notices Publishing LEGAL NTCE - PARKS COMMISSION
VACANCY- 12-02-17
Invoice 554046 12/3/2017
27
Total $350.00
CITY OF MOUND 01/04/18 11:42 AM
Page 6
Payments
Current Period: December 2017
Cash Payment E 281-45210-351 Legal Notices Publishing LEGAL NTCE - DOCKS COMMISSION $60.00
VACANCY- 12-02-17
Invoice 554046 12/3/2017
Transaction Date 12/21/2017 Due 0 Wells Fargo 10100 Total $120.00
Refer 32 WATER CONSERVATION SVCS IN Ck# 055265 12/21/2017
Cash Payment E 601-49400-440 Other Contractual Servic LEAK LOCATE @ 2902 HAZELWOOD LN 11- $442.45
Invoice 8021 11/27/2017
Transaction Date 12/20/2017
Refer 34 XCEL ENERGY
Cash Payment E 101-43100-381 Electric Utilities
Invoice 571690899 12/4/2017
Transaction Date 12/21/2017
Refer 33 XCEL ENERGY
Cash Payment E 101-45200-381 Electric Utilities
Invoice 573034397 12/13/2017
Cash Payment E 101-45200-381 Electric Utilities
08-17
Due 0 Wells Fargo 10100 Total $442.45
Ck# 055266 12/21/2017
ELECTRIC SVC 11-03-17 THRU 12-02-17 CITY
OWNED STREET LIGHTS
Due 0 Wells Fargo 10100 Total
Ck# 055266 12/21/2017
ELECTRIC SVC - 10-25-17 TO 11-25-17
ELECTRIC SVC - 10-25-17 TO 11 -25 -17 -
DEPOT BLDG
$4,739.14
$4,739.14
$178.22
$55.24
Invoice 573034397 12/13/2017
Cash Payment E 602-49450-381 Electric Utilities
ELECTRIC SVC - 10-25-17 TO 11-25-17
$3,004.9E
Invoice 573034397 12/13/2017
Cash Payment E 101-43100-381 Electric Utilities
ELECTRIC SVC - 10-25-17 TO 11-25-17
$2,018.48
Invoice 573034397 12/13/2017
Cash Payment E 601-49400-381 Electric Utilities
ELECTRIC SVC - 10-25-17 TO 11-25-17
$3,477.06
Invoice 573034397 12/13/2017
Cash Payment E 609-49750-381 Electric Utilities
ELECTRIC SVC - 10-25-17 TO 11-25-17
$1,415.06
Invoice 573034397 12/13/2017
Cash Payment E 101-41930-381 Electric Utilities
ELECTRIC SVC - 10-25-17 TO 11-25-17
$1,647.13
Invoice 573034397 12/13/2017
Cash Payment E 222-42260-381 Electric Utilities
ELECTRIC SVC - 10-25-17 TO 11-25-17
$1,647.13
Invoice 573034397 12/13/2017
Cash Payment E 101-41910-381 Electric Utilities
ELECTRIC SVC - 10-25-17 TO 11-25-17
$739.07
Invoice 573034397 12/13/2017
Cash Payment E 285-46388-381 Electric Utilities
ELECTRIC SVC - 10-25-17 TO 11-25-17
$2,416.13
Invoice 573034397 12/13/2017
Cash Payment E 101-42115-381 Electric Utilities
ELECTRIC SVC - 10-25-17 TO 11-25-17
$44.47
Invoice 573034397 12/13/2017
Transaction Date 12/2012017 Due 0
Wells Fargo 10100 Total
$16,642.94
Refer 35 ZACKS, INCORPORATED
Ck# 055267 12/21/2017
Cash Payment E 222-42260-210 Operating Supplies
WAXED CAR TRUCK WASH SOAP- 5 PAILS-
$66.20
FIRE DEPT
Invoice 32417 11/29/2017
Transaction Date 12/21/2017 Due 0
Wells Fargo 10100 Total
$66.20
071
Payments
Current Period: December m:7
Fund Summary
1000 Wells Fargo
OU9MUNICIPAL LIQUOR FUND
$2.039.47
OOuSEWER FUND
n4.810.52
001 WATER FUND
$4.174.63
285 MOUND HRA
$3.801,97
2O1COMMONS DOCKS FUND
$70.20
222AREA FIRE SERVICES
a13.024.02
101 GENERAL FUND
$34.991.30
Pre -Written Checks s02.918J1
Checks mbeGenerated by the Computer $0.00
Total $62,918.71
29
0104/1811:45Aw
Page 7
CITY OF MOUND 01/04/18 11:44 AM
Page 1
Payments
Current Period: December 2017
Batch Name 122717CTYMAN
Payment Computer Dollar Amt $7,065.46 Posted
Refer
1 CENTERPOINT ENERGY (MINNEG
Ck# 055271 12/27/2017
Cash Payment
E 602-49450-383 Gas Utilities
2649 EMERALD DR. LS E3 GENERATOR
$33.00
NATL GAS SVC 11-20-17 THRU 12-20-17
Invoice 122817
12/20/2017
Cash Payment
E 602-49450-383 Gas Utilities
4791 NORTHERN RD LS D1 GENERATOR
$33.00
NATL GAS SVC 11-20-17 THRU 12-20-17
Invoice 122817
12/20/2017
Cash Payment
E 602-49450-383 Gas Utilities
3303 WATERBURY RD LS GAS SVC 11-20-17
$28.36
THRU 12-20-17
Invoice 122817
12/20/2017
Cash Payment
E 602-49450-383 Gas Utilities
2990 HIGHLAND BLVD LS B1 GENERATOR
$0.00
NATL GAS SVC 11-20-17 THRU 12-20-17
Invoice 122817
12/20/2017
Cash Payment
E 602-49450-383 Gas Utilities
4948 BARTLETT LS E2 GENERATOR NATL
$33.00
GAS SVC 11-20-17 THRU 12-20-17
Invoice 122817
12/20/2017
Cash Payment
E 602-49450-383 Gas Utilities
4728 CARLOW RD LS GENERATOR NATL
$27.03
GAS SVC 11-20-17 THRU 12-20-17
Invoice 122817
12/20/2017
Cash Payment
E 602-49450-383 Gas Utilities
5808 GRANDVIEW BLVD LS GENERATOR
$0.00
NATL GAS SVC 11-20-17 THRU 12-20-17
Invoice 122817
12/20/2017
Cash Payment
E 602-49450-383 Gas Utilities
4922 THREE PTS BLVD LS GENERATOR
$32.34
NATL GAS SVC 11-20-17 THRU 12-20-17
Invoice 122817
12/20/2017
Cash Payment
E 602-49450-383 Gas Utilities
1758 SUMACH LANE LS GENERATOR NATL
$26.38
GAS SVC 11-20-17 THRU 12-20-17
Invoice 122817
12120/2017
Cash Payment
E 602-49450-383 Gas Utilities
5077 WINDSOR RD LS GENERATOR NATL
$31.21
GAS SVC 11-20-17 THRU 12-20-17
Invoice 122817
12/20/2017
Cash Payment
E 602-49450-383 Gas Utilities
5260 LYNWOOD BLVD LS GENERATOR
$26.21
NATL GAS SVC 11-20-17 THRU 12-20-17
Invoice 122817
12/20/2017
Transaction Date
12/28/2017 Due 0
Wells Fargo 10100 Total
$270.53
Refer
3 HENNEPIN COUNTY ELECTIONS
Ck# 055272 12/27/2017
Cash Payment
E 101-41410-404 Machinery/Equip Repairs DS200 - 5 MACHINES GENERAL ELECTION
$936.00
Invoice 121117
12/5/2017
Cash Payment
E 101-41410-404 Machinery/Equip Repairs AUTO MARK 6 MACHINES- GENERAL
$960.00
ELECTION
Invoice 121117
1215/2017
Cash Payment
E 101-41410-322 Postage
ELECTION- 2017 COURIER TOTAL-
$545.00
POSTAGE ELECTION GUIDES, ENVELOPES
Invoice 121117
12/5/2017
Transaction Date
12/28/2017 Due 0
Wells Fargo 10100 Total
$2,441.00
Refer
2 HENNEPIN COUNTY SHERIFF -DIE
Ck# 055273 12/27/2017
Cash Payment
E 101-45200-440 Other Contractual Servic
SENTENCE TO SERVE CREW 7-1-17 THRU
$1,070.40
10-31-17
Invoice 1000102001 12/12/2017
30
CITY OF MOUND 01/04/18 11:44 AM
Page 2
Payments
Current Period: December 2017
Transaction Date 12/21/2017 Due 0
Wells Fargo 10100 Total
$1,070.40
Refer
4 HOME DEPOT/GECF (P/VV)
Ck# 055274 12/27/2017
Cash Payment
E 101-45200-210 Operating Supplies
ROPE CLAMPS FOR BEACH BOUYS
$3.99
Invoice 7011030
11/22/2017
Cash Payment
E 101-45200-210 Operating Supplies
PARKS- 20V MAX LI ION DRILL
$159.00
Invoice 11987
11/29/2017
Cash Payment
E 281-45210-223 Building Repair Supplies BOARDS FOR DOCKS STAIRWAYS
$135.20
Invoice 11987
11/29/2017
Transaction Date 12/27/2017 Due 0
Wells Fargo 10100 Total
$298.19
Refer
5 MINNESOTA VALLEY TESTING LA
Ck# 055275 12/27/2017
Cash Payment
E 601-49400-470 Water Samples
MONTHLY CHLORINE REPORT & COLIFORM
$90.00
WATER TESTS -10
Invoice 897834
12/19/2017
Transaction Date 5/3/2017 Due 0
Wells Fargo 10100 Total
$90.00
Refer
6 MYERS, TONY
Ck# 055276 12/27/2017
Cash Payment
E 222-42260-434 Conference & Training
REIMB LODGING- OMNI HOTEL- NASHVILLE
$604.30
TN- FIRE HOUSE EXPO CONFERENCE OCT
19 THRU 23- T. MYERS
Invoice 122817
12/26/2017
Cash Payment
E 222-42260-434 Conference & Training
REIMB AIRFARE TO NASHVILLE TN- FIRE
$350.00
HOUSE EXPO CONFERENCE OCT 19 THRU
23- T. MYERS
Invoice 122817
12/26/2017
Cash Payment
E 222-42260-434 Conference & Training
REIMB MEALS PER DIEM- NASHVILLE TN-
$177.00
FIRE HOUSE EXPO CONFERENCE OCT 19
THRU 23- T. MYERS
Invoice 122817
12/26/2017
Cash Payment
E 222-42260-434 Conference & Training
REIMB MILEAGE- TRANSPORT TO AIRPORT-
$35.31
NASHVILLE TN- FIRE HOUSE EXPO
CONFERENCE OCT 19 THRU 23- T. MYERS
Invoice 122817
12/26/2017
Transaction Date
12/27/2017 Due 0
Wells Fargo 10100 Total
$1,166.61
Refer
11 PAUSCHE, CATHERINE
Ck# 055277 12/27/2017
Cash Payment
E 101-41500-331 Use of personal auto
REIMBURSE MILEAGE TO NFP SEMINAR- SE
$27.28
MPLS 5-9-17
Invoice 122817
12/21/2017
Cash Payment
E 101-41500-434 Conference & Training
REIMBURSE LUNCH- C AROBERTS, N.
$56.99
IVERSON & C. PAUSCHE- MN BUS TAX
EDUCATION-- BLMGT 12-14-17
Invoice 122817
12/21/2017
Cash Payment
E 101-41500-218 Clothing and Uniforms
REIMB 2017 MOUNDWEAR CLOTHING
$75.00
ALLOWANCE- C. PAUSCHE
Invoice 122817
12/21/2017
Transaction Date
12/27/2017 Due 0
Wells Fargo 10100 Total
$159.27
Refer
7 STUFF -IT MOVING & STORAGE
Ck# 055278 12/27/2017
Cash Payment
G 101-23411 6077 ASPEN RD ABATEME
20' CONTAINER RENTAL 12-19-17 THRU 1-19-
$189.00
18 @ 6077 ASPEN RD - ABATEMENT
Invoice 203531
12/21/2017
Transaction Date
12/27/2017 Due 0
Wells Fargo 10100 Total
$189.00
Refer
8 SUN PATRIOT NEWSPAPER -CITY
Ck# 055279 12/27/2017
31
Payments
Current Period: December 2017
Cash Payment E 281-45210-351 Legal Notices Publishing
01/04/18 11:44 AM
Page 3
LEGAL NTCE- ORDINANCE 07-2017- $26.99
AMENDS CHAPTER 78 OF CITY CODE
RELATING TO WATERWAYS TO SIMPLIFY
REDUNDANCY RE: DOCK & MULTIPLE SLIP
LANGUAGE, CLARIFY & ADD DEFINITIONS,
CHANGE LICENSE PRIORITIES FOR VILLAS
ON LOST LAKE DOCKS, & CLARIDY DNR
REGISTRATION REQUIREMENTS
Invoice 559279 12/23/2017
Cash Payment E 101-41110-351 Legal Notices Publishing LEGAL NTCE- ORDINANCE 06-2017- $19.28
AMENDS CHAPTER 14 OF CITY CODE
RELATING TO ANIMALS TO ALIGN W/ STATE
STATUTE
Invoice 559278 12/23/2017
Transaction Date 12/27/2017 Due 0 Wells Fargo 10100 Total
$46.27
Refer 10 VERIZON WIRELESS Ck# 055280 12/27/2017
Cash Payment E 222-42260-321 Telephone, Cells, & Radi DATACARD SVC FIRE LADDER TRUCK #44
$35.01
11-11-17 TO 12-10-17
Invoice 9797829053 12/10/2017
Cash Payment E 602-49450-321 Telephone, Cells, & Radi SEWER TRUCK #109 DATACARD SVC 11-11-
$35.01
17 TO 12-10-17
Invoice 9797829053 12/10/2017
Cash Payment E 602-49450-321 Telephone, Cells, & Radi PUB WKS SUPV VEHC #113 R. HANSON
$35.01
DATACARD SVC 11-11-17 TO 12-10-17
Invoice 9797829053 12/10/2017 Project 17-3
Cash Payment E 602-49450-321 Telephone, Cells, & Radi PUB WKS JET PACK LAPTOP AIRCARD SVC
$35.01
11-11-17 TO 12-10-17
Invoice 9797829053 12/10/2017 Project 17-3
Cash Payment E 101-42400-321 Telephone, Cells, & Radi FIELD OFFICER DATACARD SVC 11-11-17
$17.51
TO 12-10-17
Invoice 9797829053 12/10/2017
Cash Payment E 101-42115-321 Telephone, Cells, & Radi FIELD OFFICER DATACARD SVC 11-11-17
$17.50
TO 12-10-17
Invoice 9797829053 12/10/2017
Cash Payment E 222-42260-321 Telephone, Cells, & Radi DATACARD SVC FIRE UNIT #42 DUTY
$35.01
OFFICER 11-11-17 TO 12-10-17
Invoice 9797829053 12/10/2017
Cash Payment E 222-42260-321 Telephone, Cells, & Radi DATACARD SVC FIRE UNIT #39 FIRE CHIEF
$35.01
RESCUE UTILITY SVC 11-11-17 TO 12-10-17
Invoice 9797829053 12/10/2017
Cash Payment E 222-42260-321 Telephone, Cells, & Radi DATACARD SVC FIRE #43 RESCUE TRUCK
$35.01
11-11-17 TO 12-10-17
Invoice 9797829053 12/10/2017
Cash Payment E 222-42260-321 Telephone, Cells, & Radi DATACARD SVC FIRE ENGINE #29 11-11-17
$35.01
TO 12-10-17
Invoice 9797829053 12/10/2017
Cash Payment E 601-49400-321 Telephone, Cells, & Radi WATER TRUCK#315 DATACARD SVC 11 -11 -
$35.01
17 TO 12-10-17
Invoice 9797829053 12/10/2017
Cash Payment E 601-49400-321 Telephone, Cells, & Radi WATER TRUCK #512 R. PRICH DATACARD
$35.01
SVC 11-11-17 TO 12-10-17
Invoice 9797829053 12/10/2017
Cash Payment E 602-49450-321 Telephone, Cells, & Radi UTILITY LEAD WORKER TABLET- INTERNET
$17.51
SVC 11-11-17 TO 12-10-17
Invoice 9797829053 12/10/2017
32
Payments
01104/1811w4AN
Page 4
Current Period: December umr
Cash Payment EOU1494UO-321Telephone, Cells, &Radi UTILITY LEAD WORKER TABLET- INTERNET
*17.50
SVC 11-1i-17TO12-1O-17
Invoice 9797829053 12U8/2017
Cash Payment E1O14o2Oo-321Telephone, Cells, &RadiPARKS LEAD WORKER TABLET- HOT
$35.01
SPOT- 11'11'17T012-10-17
Invoice 9797829053 12/102017
Cash Payment E 101'43100'321 Telephone, Cells, & Rodi STREETS LEADVVORKERTABLET-HOT
$35.01
SPOT 11-11-1rT012-10'17
Invoice 9797829053 12/102017
Cash Payment E1O14310O-Dz1Telephone, Cells, &Rad| STREETS LEAD WORKER TABLET-
$35.01
|NTERNETGVC- 11'11-17TO12'1O'/7
Invoice 9797829053 12/102017
Cash Payment EOO24S*sn-321Telephone, Cells, &nadiPUBLIC WORKS SUPER- RAY HANSON
$35.01
TABLET- INTERNET SVC- 11-11'1rTO12'1O-
17
Invoice 9797829053 12110/2017 Project 17-5
Cash Payment E8O2-4S4nO-321Telephone, Cells, &RadiPUBLIC WORKS SUPER- RAY H*NGON'
$35.01
TABLET HOT SPOT 11'11-17TO1u'1V-17
|mmkm 9797829053 12/18/2017 Project 17-5
Cash Payment EOUc'4S45O-321Telephone, Cells, &Rodi UTILITY LEAD WORKER TABLET- HOT
$17.50
SPOT 11'11'17T012-10'17
Invoice 9797829053 12n0/2017
Cash Payment EOV1'4S4UO'3u1 Telephone, Cells, &Radi UTILITY LEAD WORKER TABLET- HOT
$17.51
SPOT- 11-11-17TO 12'10'17
Invoice 9797829053 12x102017
Cash Payment E 101-45200-321 Telephone, Cells, & Radi PARKS LEAD WORKER TABLET- INTERNET
$35�01
SVC 11'11-17TO 12'1O'17
Invoice 9797829053 12/10/2017
Cash Payment EOO1-484O0'S21 Telephone, Cells, &Radi UTILITY DIVISION TAoLET'DATACARD
$1750
INTERNET SVC 11'11-17TO12-10-17
Invoice 9797829053 12/10/2017
Cash Payment E8V2-4845O'821Telephone, Cells, &Rodi UTILITY DIVISION TABLET'DATACARD
$17.51
INTERNET SVC 11'11-1rTO12-1O'1r
Invoice 9797829053 12/102017
Transaction Date 12o7o017 Due Wells Fargo 10100 Total
$70820
Refer 9vsRIZO0WIRELESS Ck# 055280 12/27/2017
Cash Payment E1O1-431OO'321Telephone, Cells, &Radi CELL PHONE CHARGES 11-14-17THRU12'
$110.33
13-2017
Invoice 9798058082 12/13/2017
Cash Payment EO01'4S4OU'J21Telephone, Cells, &Rodi CELL PHONE CHARGES 11'14-17THRU12-
$11893
13-2U17
Invoice 9798058082 12/13/2017
Cash Payment E0O2-4g4SO'3a1Telephone, Cells, 8Rodi CELL PHONE CHARGES 11-14-17THRU12-
*3475
13-2O1r
Invoice 9798058082 12/13/2017
Cash Payment E101-424OV'3z1 Telephone, Cells, &Rodi CELL PHONE CHARGES 11-14-17THRU1z'
$38.49
13'2017
Invoice 9798058082 12/13/2017
Cash Payment E1O1452OO-321Telephone, Cells, &Radi CELL PHONE CHARGES 1144-17THRU12'
$94.14
13-2O17
Invoice 9798058082 1233/2017
Cash Payment E1O1-41S10-321 Telephone, Cells, QRaUi CELL PHONE CHARGES 11-14-1rTHRU12-
$55.88
13-2O1r
Invoice 9798058082 12/13/2017
33
CITY OF MOUNI
Payments
004n811:44AN
Page 5
Current Period: December um7
Cash Payment E222422OO-321Telephone, Cells, &Radi CELL PHONE CHARGES 11'14-17THRU12' $101.*8
13-2O17
Invoice 9798058082 12113/2017
Cash Payment E1O1'42115-331Telephone, Cells, &Radi CELL PHONE CHARGES 11-14-17THRU12- $15�68
13-201r
Invoice 9798058082 12/13/2017
Transaction Date 12/27/2017 Due Wells Fargo 10100 Total *031ee
Fund Summary
10100 Wells Fargo
G02SEWER FUND
$59Z85
8O1WATER FUND
$329.46
2B1COMMONS DOCKS FUND
s162A9
uo2AREA FIRE SERVICES
$1.443.34
1O1GENERAL FUND
$*.537.02
$7.Os5.*u
Pre -Written Checks $7.00546
Checks mbeGenerated by the Computer $0.00
Tota 1 $7,065.46
34
• el
Payments
Current Period: December 2017
Batch Name 122817CTYMAN
Payment Computer Dollar Amt $36,038.33 Posted
Refer 2 ANDERSEN, EARL F., INCORPORA Ck# 055325 12/28/2017
01/04/18 11:46 AM
Page 1
Cash Payment
E 101-43100-226 Sign Repair Materials
SIGN POST STABILIZERS- QTY 20
$207.05
Invoice 0116451
12/19/2017
Transaction Date
12/28/2017 Due 0
Wells Fargo 10100 Total
$207.05
Refer
3 ASPEN EQUIPMENT
Ck# 055326 12/28/2017
Cash Payment
E 101-43100-220 Repair/Maint Supply
7.5' CUTTING EDGE KIT, URETHANE EDGE
$2,765.00
ASSEMBLY KIT- STREETS DEPT
Invoice 10184047 12/18/2017
Transaction Date
12/28/2017 Due 0
Wells Fargo 10100 Total
$2,765.00
Refer
4 AUTOMATIC SYSTEMS COMPANY
Ck# 055327 12/28/2017
Cash Payment
E 601-49400-220 Repair/Maint Supply
PHASE VOLTAGE MONITORS- 4 UNITS-
$259.67
UTILITIES DIVISION
Invoice 32267S
12/15/2017
Cash Payment
E 602-49450-220 Repair/Maint Supply
PHASE VOLTAGE MONITORS- 4 UNITS-
$259.66
UTILITIES DIVISION
Invoice 32267S
12/15/2017
Transaction Date
12/28/2017 Due 0
Wells Fargo 10100 Total
$519.33
Refer
5 HD SUPPLY WATERWORKS, LTD
Ck# 055328 12/28/2017
Cash Payment
E 601-49400-210 Operating Supplies
WATER METERS & SUPPLIES- 27 QTY 510M
$3,258.84
S/POINT M2 WIRED DP HR & LD W/ HOURLY
READ & LEAK DETECT
Invoice 1250618
12/18/2017
Cash Payment
E601-49400-210 Operating Supplies
WATER METERS & SUPPLIES- 20 1" METER
$3,788.96
COUPLING, IPERL SMART MODE METERS,
CURB BOXES- 10 QTY, COUPLING, COPPER
TUBING, 3/4" BALL CURB FLRXFL NO LEAD -
10 QTY
Invoice 1233015
12/14/2017
Cash Payment
E 601-49400-210 Operating Supplies
WATER METERS & SUPPLIES- 3/4" BALL
$1,045.27
CURB FLRXFL NO LEAD- 14 QTY
Invoice 1233023
12/14/2017
Transaction Date
12/28/2017 Due 0
Wells Fargo 10100 Total
$8,093.07
Refer
6 HECKSEL MACHINE SHOP, INC.
Ck# 055329 12/28/2017
Gash Payment
E 101-43100-220 Repair/Maint Supply
2" X 2" X 1/4" X 8' TUBE- TRUCK #109-
$54.00
STREETS
Invoice 103137
12/18/2017
Cash Payment
E 602-49450-404 Machinery/Equip Repairs SEWER TRUCK #217 REPAIR- WELD 6"
$248.90
ALUMINUM PIPE X5' W/ CAP, 1/2"
STAINLESS STEEL THREADED ROD- SHOP
SVC FORMED U BOLTS
Invoice 103119
Transaction Date
Refer
Cash Payment
12/11/2017
12/28/2017 Due 0 Wells Fargo 10100 Total
7 LANO EQUIPMENT, INCORPORAT Ck# 055330 12/28/2017
E 101-45200-404 Machinery/Equip Repairs SVC Z -MASTER MOWER ENGINE- SMOKING -
REPLACE FILTERS, CHANGE OIL, GREASE,
COMPRESSION IS LOW
Invoice 03-525407 12/18/2017
35
$302.90
$426.49
36
CITY OF MOUND
01/04/1811:46AM
Page 2
Payments
Current Period: December 2017
Cash Payment
E 101-45200-220 Repair/Maint Supply
PARKS T-190 SKID WIPER ARM & BLADE
$40.73
Invoice 03-524987 12/15/2017
Transaction Date
12/28/2017 Due 0
Wells Fargo 10100 Total
$467.22
Refer
1 METROPOLITAN COUNCIL SAC CH
Ck# 055331 12/28/2017
Cash Payment
G 602-21825 SAC Deposits
SAC CHARGES 4th QTR 2017
$9,380.30
Invoice 122817
12/28/2017
Transaction Date
12/28/2017 Due 0
Wells Fargo 10100 Total
$9,380.30
Refer
8 MINNESOTA BUSINESS ENTERPRI
Ck# 055332 12/28/2017
Cash Payment
E 101-43100-224 Street Maint Materials
DUMP FEE 12-4-17 24 CUBIC YARDS-
$84.00
WATERMAIN BREAK DIRT
Invoice 41724
12/11/2017
Transaction Date
12/28/2017 Due 0
Wells Fargo 10100 Total
$84.00
Refer
9 MTI DISTRIBUTING, INC.
Ck# 055333 12/28/2017
Cash Payment
E 101-45200-404 Machinery/Equip Repairs SERVICE PARKS GROUND MASTER
$1,225.00
MOWER- FILTERS, OIL, BLADES,
ANTIFREEZE
Invoice 1147554
12/13/2017
Transaction Date
12/28/2017 Due 0
Wells Fargo 10100 Total
$1,225.00
Refer
10 RAYS SERVICES
Ck# 055334 12/28/2017
Cash Payment
E 101-45200-533 Tree Removal
REMOVE & CLEAN UP BROKEN WILLOW
$385.00
BRANCE- WALNUT RD
Invoice 122817
12/4/2017
Cash Payment
E 101-45200-533 Tree Removal
REMOVE ROTTEN LIMB & LARGE
$2,250.00
BASSWOOD IN WOODS OVER FENCE &
SWING SET- CLEAN UP & HAUL AWAY
Invoice 122817
12/4/2017
Transaction Date
12/28/2017 Due 0
Wells Fargo 10100 Total
$2,635.00
Refer
11 SCHINDLER ELEVATOR CORPORA
Ck# 055335 12/28/2017
Cash Payment
E 285-46388-440 Other Contractual Servic SVC CALL ON ELEVATOR #1- PARKING
$447.41
DECK 12-4-17- HATCH DOOR SEPARATED
FROM CAR DOORS- VANDALISM
Invoice 7152636109
12/12/2017
Transaction Date
12/28/2017 Due 0
Wells Fargo 10100 Total
$447.41
Refer
12 TAYLOR ELECTRIC COMPANY
Ck# 055336 12/28/2017
Cash Payment
E 602-49450-500 Capital Outlay FA
B3 SINCLAIR LIFT STATION- DISCONNECT
$4,566.00
OLD DIESEL GENERATOR, WIRE & START
UP NEW NATURAL GAS GENERATOR
Invoice 1166
12/17/2017
Transaction Date
12/28/2017 Due 0
Wells Fargo 10100 Total
$4,566.00
Refer
13 ULINE
Ck# 055337 12/28/2017
Cash Payment
E 101-41910-210 Operating Supplies
GOJO ANTIBACTERIAL FOAM SOAP-
$327.06
CENTENNIAL BLDG
Invoice 93178021
12/13/2017
Cash Payment
E 101-41930-210 Operating Supplies
TOILET TISSUE- CITY HALL
$192.03
Invoice 93178021
12/13/2017
Cash Payment
E 222-42260-210 Operating Supplies
TOILET TISSUE- FIRE DEPT
$192.03
Invoice 93178021
12/13/2017
Cash Payment
E 101-41930-210 Operating Supplies
TOILET TISSUE- PUBLIC WORKS
$118.03
Invoice 93178021
12/13/2017
36
CITY OF MOUND 01/04/18 11:46 AM
Page 3
Payments
Current Period: December 2017
Cash Payment E 101-41930-210 Operating Supplies
TOILET TISSUE- PARKS BLDG
$81.03
Invoice 93178021 12/13/2017
Transaction Date 12/28/2017 Due 0
Wells Fargo 10100
Total
$910.18
Refer 14 UNITED FARMERS COOPERATIVE
Ck# 055338 12/28/2017
Cash Payment E 101-45200-210 Operating Supplies
PRE -EMERGENT CHEMICAL- GENERIC
$56.25
PREEN WEED KILLER- PARKS
Invoice 23027 11/16/2017
Transaction Date 12/28/2017 Due 0
Wells Fargo 10100
Total
$56.25
Refer 15 WACONIA FORD MERCURY
Ck# 055339 12/28/2017
Cash Payment E 602-49450-220 Repair/Maint Supply
KIT J- STOCK PUB WKS
$11.06
Invoice 89953 12/6/2017
Project 17-3
Cash Payment E 602-49450-220 Repair/Maint Supply
KIT J- STOCK PUB WKS
$11.06
Invoice 89966 12/7/2017
Project 17-3
Transaction Date 12/28/2017 Due 0
Wells Fargo 10100
Total
$22.12
Refer 16 WIDMER CONSTRUCTION, LLC
Ck# 055340 12/28/2017
Cash Payment E 601-49400-440 Other Contractual Servic
REPAIR WATERMAIN @ 4740 RICHMOND
12-
$4,357.50
01-17
Invoice 4376 12/13/2017
Transaction Date 12/28/2017 Due 0
Wells Fargo 10100
Total
$4,357.50
Fund Summary
10100 Wells Fargo
602 SEWER FUND
$14,476.98
601 WATER FUND
$12,710.24
285 MOUND HRA
$447.41
222 AREA FIRE SERVICES
$192.03
101 GENERAL FUND
$8,211.67
$36,038.33
Pre -Written Checks $36,038.33
Checks to be Generated by the Computer $0.00
Total $36,038.33
431
CITY OF MOUND
Payments
Current Period: December 2017
Batch Name 122817HWS
Payment Computer Dollar Amt $79,931.94 Posted
Refer 1 ARCTIC GLACIER PREMIUM ICE Ck# 055281 12/28/2017
Cash Payment E 609-49750-255 Misc Merchandise For R ICE
Invoice 1929735004 12/16/2017
Transaction Date 12/26/2017 Due 0 Wells Fargo 10100
Refer 2 ARTISAN BEER COMPANY Ck# 055282 12/28/2017
Cash Payment E 609-49750-252 Beer For Resale BEER
Invoice 3228729
12/14/2017
Cash Payment
E 609-49750-252 Beer For Resale
Invoice 3227248
12/7/2017
Cash Payment
E 609-49750-252 Beer For Resale
Invoice 3230415
12/21/2017
Transaction Date
12/26/2017
Refer
3 BELLBOY CORPORATION
BEER
01/04/18 11:47 AM
Page 1
$49.05
Total $49.05
$435.15
$403.50
$226.25
Due 0 Wells Fargo 10100 Total
Ck# 055283 12/28/2017
Cash Payment E 609-49750-210 Operating Supplies SUPPLIES, BAGS, DUM DUM POPS, SHELF
Gash Payment E 609-49750-210 Operating Supplies SUPPLIES- BAGS
Invoice 96957500 12/22/2017
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX
Invoice 96957500 12/22/2017
Cash Payment E 609-49750-251 Liquor For Resale LIQUOR
Invoice 62196900 12/22/2017
Cash Payment E 609-49750-265 Freight FREIGHT
Invoice 96957500 12/22/2017
38
$1,064.90
$282.90
$57.88
$340.78
$384.00
$5.10
$35.76
$0.64
$2,126.20
$112.00
$2,370.60
$5,034.30
$30.50
$130.00
$1,349.97
$20.15
STRIPS
Invoice 96914900 12/15/2017
Cash Payment E 609-49750-255 Misc Merchandise For R
MDSE- WAITER'S CORKSCREW, TWIST TIE
BOWS, JELLO SHOT CUPS & LIDS
Invoice 96914900 12/15/2017
Transaction Date 12/26/2017 Due 0
Wells Fargo 10100 Total
Refer 4 BELLBOY CORPORATION
Ck# 055283 12/28/2017
Cash Payment E 609-49750-253 Wine For Resale
WINE
Invoice 61981800 12/8/2017
Cash Payment E 609-49750-265 Freight
FREIGHT
Invoice 61981800 12/8/2017
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 62082200 12/15/2017
Cash Payment E 609-49750-265 Freight
FREIGHT
Invoice 62082200 12/15/2017
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 61992000 12/11/2017
Cash Payment E 609-49750-253 Wine For Resale
WINE
Invoice 61992100 12/11/2017
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 61981800 12/18/2017
Transaction Date 12/26/2017 Due 0
Wells Fargo 10100 Total
Refer 43 BELLBOY CORPORATION
Ck# 055283 12/28/2017
Gash Payment E 609-49750-210 Operating Supplies SUPPLIES- BAGS
Invoice 96957500 12/22/2017
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX
Invoice 96957500 12/22/2017
Cash Payment E 609-49750-251 Liquor For Resale LIQUOR
Invoice 62196900 12/22/2017
Cash Payment E 609-49750-265 Freight FREIGHT
Invoice 96957500 12/22/2017
38
$1,064.90
$282.90
$57.88
$340.78
$384.00
$5.10
$35.76
$0.64
$2,126.20
$112.00
$2,370.60
$5,034.30
$30.50
$130.00
$1,349.97
$20.15
CITY OF MOUND 01/04/1811:47 AM
Page 2
Payments
Current Period: December 2017
Transaction Date 12/27/2017 Due 0 Wells Fargo 10100 Total $1,530.62
Refer 5 BERNICKS BEVERAGES AND VEN Ck# 055284 12/28/2017
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa MIX
$177.55
Invoice 399141
12/20/2017
MIX
Invoice 1080736171 12/21/2017
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$280.80
Invoice 399142
12/20/2017
LIQUOR
Invoice 1080729152 12/7/2017
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$330.22
Invoice 397758
12/13/2017
Wells Fargo 10100
Refer 9 BREAKTHRU BEVERAGE MN WINE
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$130.20
Invoice 400242
12/27/2017
Transaction Date
12/26/2017 Due 0
Wells Fargo 10100 Total
$918.77
Refer
6 BLUE SKY MEDIA
Ck# 055285 12/28/2017
Cash Payment
E 609-49750-340 Advertising
1/4 PAGE AD JAN 2018 BALANCE MN ISSUE
$180.00
Invoice 17257
12/14/2017
Transaction Date
12/26/2017 Due 0
Wells Fargo 10100 Total
$180.00
Refer
7 BREAKTHRU BEVERAGE MN BEE
Ck# 055286 12/28/2017
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$2,360.83
Invoice 1090797299 12/13/2017
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$35.20
Invoice 1090797300 12/13/2017
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$3,985.60
Invoice 1090800431 12/20/2017
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$35.20
Invoice 1090797299 12/13/2017
Transaction Date
12/26/2017 Due 0
Wells Fargo 10100 Total
$6,416.83
Refer
8 BREAKTHRU BEVERAGE MN WINE
Ck# 055287 12/28/2017
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$696.87
Invoice 1080735416 12/20/2017
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 1080736170 12/21/2017
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa
MIX
Invoice 1080736171 12/21/2017
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 1080728798 12/6/2017
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 1080729152 12/7/2017
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR CREDIT
Invoice R08034839 12/13/2017
Transaction Date 12/26/2017 Due 0
Wells Fargo 10100
Refer 9 BREAKTHRU BEVERAGE MN WINE
Ck# 055287 12/28/2017
Cash Payment E 609-49750-251 Liquor For Resale LIQUOR
Invoice 1080732690 12/14/2017
Cash Payment E 609-49750-253 Wine For Resale WINE
Invoice 1080732000 12/14/2017
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX
Invoice 1080732691 12/14/2017
Transaction Date 12/26/2017 Due 0 Wells Fargo 10100
39
$1,761.42
$93.25
$552.88
$1,922.06
-$32.00
Total $4,994.48
$2,880.54
$1,589.46
$35.12
Total $4,505.12
o1m4no11w7mm
����������� �
Page
Payments
Current Period: December 20n7
Refer
10 CAPITOL BEVERAGE SALES, L.P.
Ck# 055288 12/28/2017
Cash Payment
E009-49750-252 Beer For Resale
BEER
$71.00
Invoice 2040519
12n2/2017
Cash Payment
E609-49750-252Beer For Resale
BEER
$2755.30
Invoice 2040517
12n2/2017
Cash Payment
E0O94ST5O-2n2Beer For Resale
BEER
$1,90005
Invoice 2043706
12/20/2017
Cash Payment
EOO9-4V750-255MisoMerchandise For R MDSE -uO17BEER STEINS
$15I00
Invoice 2035794
1180/2017
Transaction Date
12/20/2017 Due
Wells Fargo 10100
Total
$4.990.95
Refer
44 CAPITOL BEVERAGE SALES, L.P.
Ck# 055288 12/28/2017
Cash Payment
EVO9-wSn50-252Beer For Resale
BEER
$270�00
Invoice 2044925
12/21/2017
Cash Payment
E809'49roO-2o2Beer For Resale
BEER CREDIT
-*9800
Invoice 355-351
12/20/2017
Transaction Date
13/27/2017 Due
Wells Fargo 10100
TmW|
$171.00
Refer
11CLEAR RIVER BEVERAGE CO.
Cash Payment
E8O8-*S7so'us2Beer For Resale
BEER
$450.00
Invoice 67-3203
12/14/2017
Transaction Date
12/26/2017 Due
Wells Fargo 10100
Total
$450.00
Refer
12COCA COLA BOTTLING -MIDWEST
Ck# 055290 12/28/2017
Cash Payment
sVOS'4o7oU-x54Soft Drinks/Mix For Roea
COCACOLAPRVDUCTG-M|X
$399e4
Invoice 3595206500 12/11/2017
Transaction Date
12/202017 Due
Wells Fargo 10100
Total
$399e4
Refer
13DAHlHBMERBEVERAGE LLC
Ck# 055291 12/28/2017
Cash Payment
E8Vg-4g75U-2o2Beer For Resale
BEER
$89&00
Invoice 184206
1/28/2015
Transaction Date
12/26/2017 Due
Wells Fargo 10100
Tmu|
$8e800
Refer
14Bv0BREWING COMPANY
Ck# 055292 12128/2017
Cash Payment
EOOS'4975U'2*2Beer For Resale
BEER
$65.00
Invoice 8363
12/202017
�
Transaction Date
12/20/2017 Due
Wells Fargo 10100
Total
znson
Refer
15 GRAPE BEGINNINGS, INCORPDRA
Ck# 055293 12/28/2017
Cash Payment
E8OS487SO'253Wine For Resale
WINE
$349a8
Invoice 00031789 12/7/2017
Cash Payment
E8OS487e0'28oFreight
FREIGHT
$4.50
Invoice 00031789 12/7/2017
Transaction Date
12/26/2017 Due
Wells Fargo 10100
Total
$354.48
Refer
16 GROWLER MAGAZINE
Ck# 055294 12128/2017
Cash Payment
E809-4S75O-34nAdvertising
1/10PAGE AD'HVVG' DEC 2017ISSUE
$342.00
Invoice 296-R
12/1/2017
Transaction Date
12/26/2017 Due
Wells Fargo 10100
Total
$34280
Refer
4eHAMMBRH£ARTBREWING COMP
Ck# 055295 12/28/2017
Cash Payment
EVOS4975V'252Beer For Resale
BEER
$234.00
Invoice 786
12/20/2017
Transaction Date
12/27/2017 Due
Wells Fargo 10100
Total
$23400
40
CITY OF MOUND 01/04/18 11:47 AM
Page 4
Payments
Current Period: December 2017
Refer 17 HOHENSTEINS, INCORPORATED Ck# 055296 12/28/2017
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$396.00
Invoice 934311
12/7/2017
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$1,168.00
Invoice 937064
12/21/2017
Transaction Date 12/26/2017 Due 0
Wells Fargo 10100
Total
$1,564.00
Refer
18 JJ TAYLOR. DISTRIBUTING MINN
Ck# 055297 12/28/2017
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$73.80
Invoice 2771114
12/13/2017
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa MIX
$38.80
Invoice 2771114
12/13/2017
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$2,873.85
Invoice 2771113
12/13/2017
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$51.10
Invoice 2771146
12/20/2017
Cash Payment
E 609-49750-252 Beer For Resale
MIX
$38.80
Invoice 2771146
12/20/2017
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$4,887.10
Invoice 2771123
12/20/2017
Transaction Date
12/26/2017 Due 0
Wells Fargo 10100
Total
$7,963.45
Refer
19 JOHNSON BROTHERS LIQUOR
Ck# 055298 12/28/2017
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$4,143.33
Invoice 5892559
12/13/2017
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$2,494.35
Invoice 5892560
12/13/2017
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$1,536.32
Invoice 5898485
12/20/2017
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$4,361.64
Invoice 5898486
12/20/2017
Transaction Date
12/26/2017 Due 0
Wells Fargo 10100
Total
$12,535.64
Refer
20 LUPULIN BREWING COMPANY
Ck# 055299 12/28/2017
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$246.00
Invoice 10100
12/15/2017
Transaction Date
12/26/2017 Due 0
Wells Fargo 10100
Total
$246.00
Refer
21 MARGRON SKOGLUND WINE IMP
Ck# 055300 12/28/2017
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$144.00
Invoice 20022071
12/8/2017
Cash Payment
E 609-49750-265 Freight
FREIGHT
$5.00
Invoice 20022071
12/8/2017
Transaction Date
12/26/2017 Due 0
Wells Fargo 10100
Total
$149.00
Refer
22 MARGRON SKOGLUND WINE IMP
Ck# 055300 12/28/2017
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$112.00
Invoice 20022114
12/20/2017
Cash Payment
E 609-49750-265 Freight
FREIGHT
$5.00
Invoice 20022114
12/20/2017
Transaction Date
12/26/2017 Due 0
Wells Fargo 10100
Total
$117.00
Refer
23 MARLIN S TRUCKING DELIVERY
Ck# 055301 12/28/2017
41
mm4nan�rmw
��U����� MOUND
Page
Payments
Current Period: December um7
Cash Payment
E 609-49750-265 Freight
DELIVERY SVC 12-0417
$18.05
Invoice 33676
12w/2017
Cash Payment
EOU9-4975U-205Freight
DELIVERY SVC 12-0r17
$21115
Invoice 33691
12/7/2017
Cash Payment
EOO94Br5O-2O5Freight
DELIVERY SVC 12-11-17
$27.55
Invoice 33696
12/11/2017
Cash Payment
E0VS497sU-2O5Freight
DELIVERY SVC 12'14'17
$350.80
Invoice 33712
12/14/2017
Transaction Date
12/26/2017 Due
Wells Fargo 10100
Total
$604.65
Refer
24 MILK & HONEY, LLC
Ck# 055302 12/28/2017
Cash Payment
sOO9-49750-25oBeer For Resale
BEER
*1e8.00
Invoice 2/90
12/712017
Transaction Date
12/26/2017 Due
Wells Fargo 10100
Total
$190.00
Refer
25MIN0EHAHABUILDING MTCEINC
Ck# 055303 12/28/2017
Cash Payment
sOO8-48ro0-44OOther Contractual Sem|o WASH WINDOWS )NS|DE&OUT 11'13-17
$85.19
Invoice 928081636 12/3/2017
Transaction Date
12/2612017 Due
Wells Fargo 10100
Total
*65.1e
Refer
2bPARLEY LAKE WINERY
Ck# 055304 12/28/2017
Cash Payment
EVOS-48r5u-2o3Wine For Resale
WINE
$279.00
Invoice 17266
12/14/2017
Transaction Date
12/26/2017 Due
Wells Fargo 10100
Total
$279.00
Refer
27 27RAUST0AND SONS WINE COMPA
Ck# 055305 12/28/2017
Cash Payment
EOO9487oO-253Wine For Resale
Vwws
$18900
Invoice 8613517
12/7/2817
Cash Payment
E80S487nO-20OFreight
FREIGHT
$5.25
Invoice 8613517
12/7/2017
Cash Payment
E8U9-4S75O-2n3Wine For Resale
WINE
$440.00
Invoice 8613936
12/11/2017
Cash Payment
E8O8-4975O-2O5Freight
FREIGHT
$7.00
Invoice 8613936
12/11/2017
Transaction Date
12o0/2017 Due
Wells Fargo 10100
Total
$04125
Refer
28PAUST0AND SONS WINE COMPA
Ck#055305 12/28/2017
Cash Payment
E0U8-4S75Oao3Wine For Resale
WINE
$661.47
Invoice 8614774
12/18/2017
Cash Payment
E0O8-*V75O'2O5Freight
FREIGHT
$8,75
Invoice 801477*
12/102017
Transaction Date
12/26/2017 Due
Wells Fargo 10100
Total
$670.22
Refer
29 PHILLIPS WINE AND SPIRITS,
Cash Payment
EOO94975V'253Wine For Resale
WINE
$1.48310
Invoice 2277947
12v1312017
Cash Payment
EOOS4975V'z51 Liquor For Resale
LIQUOR
$579.55
Invoice 2277946
12/13/2017
Cash Payment
EOU94S75O'2S5MiocMerchandise For R
N1ERCH'GINGER BEER GLASSES
$118�25
Invoice 2277948
12/13/2017
Cash Payment
EOO9-4S/sO'254Soft Drinks/Mix For Renu MIX CREDIT
-$192.00
Invoice 281963
12/11/2017
Transaction Date
12/28/2017 Due
Wells Fargo 10100
Total
$1.e08.90
42
Payments
01 /04118 11:47 AM
Page 6
Current Period: December 2017
Refer 30 PHILLIPS WINE AND SPIRITS, INC Ck# 055306 12/28/2017
Cash Payment E 609-49750-251 Liquor For Resale LIQUOR $836.37
Invoice 2281943 12/20/2017
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 2281944
12/20/2017
WINE SPECTATOR PUBLICATIONS 12-31-17
Transaction Date
12/26/2017 Due 0
Wells Fargo 10100 Total
Refer
31 RED BULL DISTRIBUTION CO. INC
Ck# 055307 12/28/2017
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa MIX
Invoice K-35433372
12/18/2017
Wells Fargo 10100 Total
Transaction Date
12/26/2017 Due 0
Wells Fargo 10100 Total
Refer
32 SHANKEN COMMUNICATIONS, INC
Ck# 055308 12/28/2017
Cash Payment
E 609-49750-255 Misc Merchandise For R
WINE SPECTATOR PUBLICATIONS 12-15-17
Refer
36 ST. CLOUD REFRIGERATION, INC
EDITION i
$703.50
$1,539.87
$206.00
$206.00
$15.00
Invoice S0609348 11/14/2017
E 609-49750-253 Wine For Resale
WINE
Cash Payment
E 609-49750-255 Misc Merchandise For R
WINE SPECTATOR PUBLICATIONS 12-31-17
$15.00
E 609-49750-251 Liquor For Resale
LIQUOR
EDITION
12/21/2017
Invoice S0611723 11/28/2017
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa MIX
Transaction Date
12/26/2017 Due 0
Wells Fargo 10100 Total
$30.00
Refer
33 SIMPLE GRACE PROMOTIONS, IN
Ck# 055309 12/28/2017
12/21/2017
Cash Payment
E 609-49750-218 Clothing and Uniforms
EMBROIDERED NAVY POLO SHIRTS -QTY 8 -
$189.15
Refer
36 ST. CLOUD REFRIGERATION, INC
HWS STAFF
Cash Payment
Invoice 1446
12/13/2017
Transaction Date
12/27/2017 Due 0
Wells Fargo 10100 Total
$189.15
Refer
35 SOUTHERN WINE & SPIRITS OF M
Ck# 055310 12/28/2017
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$2,150.12
Invoice 1625620
12/14/2017
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$3,871.35
Invoice 1625619
12/14/2017
Transaction Date
12/26/2017 Due 0
Wells Fargo 10100 Total
$6,021.47
Refer
34 SOUTHERN WINE & SPIRITS OF M
Ck# 055310 12/28/2017
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 1628715
12/21/2017
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 1628714
12/21/2017
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa MIX
Invoice 1628716
12/21/2017
Cash Payment
E 609-49750-253 Wine For Resale
WINECREDIT
Invoice 0037020
12/21/2017
Transaction Date
12/26/2017 Due 0
Wells Fargo 10100 Total
Refer
36 ST. CLOUD REFRIGERATION, INC
Ck# 055311 12/28/2017
Cash Payment
E 609-49750-400 Repairs & Maintenance
HVAC MTCE- REPLACE CRACKED
CONDENSER FAN BLADE/MOTOR & 2
GLASS COOLER DOOR GASKETSCOOLERS-
HWS
$1,752.00
$2,460.40
$134.89
-$42.00
$4,305.29
$905.93
Invoice W25082 11/30/2017
Transaction Date 12/26/2017 Due 0 Wells Fargo 10100 Total $905.93
Refer 37 VIDEO PROTECTION SERVICES, I Ck# 055312 12/28/2017
43
44
C!TY OF MOUND
01/04/18 11:47 AM
Page 7
Payments
Current Period: December 2017
Cash Payment
E 609-49750-400 Repairs & Maintenance
SVC CALL- SECURITY CAMERA, ALARM
$89.00
SYSTEM & AUDIO SYSTEM- HWS
Invoice 6478
12/6/2017
Transaction Date 12/27/2017 Due 0
Wells Fargo 10100
Total
$89.00
Refer
39 VINOCOPIA, INCORPORATED
Ck# 055313 12/28/2017
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$405.50
Invoice 0196306
12/14/2017
Cash Payment
E 609-49750-265 Freight
FREIGHT
$4.00
Invoice 0196306
12/14/2017
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$672.00
Invoice 0196305
12/14/2017
Cash Payment
E 609-49750-265 Freight
FREIGHT
$14.00
Invoice 0196305
12/14/2017
Transaction Date
12/26/2017 Due 0
Wells Fargo 10100
Total
$1,095.50
Refer
38 VINOCOPIA, INCORPORATED
Ck# 055313 12/28/2017
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$189.87
Invoice 0196939
12/21/2017
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$243.04
Invoice 0196940
12/21/2017
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa MIX
$117.60
Invoice 0196938
12/21/2017
Transaction Date
12/26/2017 Due 0
Wells Fargo 10100
Total
$550.51
Refer
40 WINE COMPANY
Ck# 055314 12/28/2017
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$640.00
Invoice 56729
12/7/2017
Cash Payment
E 609-49750-265 Freight
FREIGHT
$18.15
Invoice 56729
12/7/2017
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$800.00
Invoice 58316
12/21/2017
Cash Payment
E 609-49750-265 Freight
FREIGHT
$8.25
Invoice 58316
12/21/2017
Transaction Date
12/26/2017 Due 0
Wells Fargo 10100
Total
$1,466.40
Refer
41 WINE COMPANY
Ck# 055314 12/28/2017
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$328.00
Invoice 57457
12/14/2017
Cash Payment
E 609-49750-265 Freight
FREIGHT
$6.30
Invoice 57457
12/14/2017
Transaction Date
12/26/2017 Due 0
Wells Fargo 10100
Total
$334.30
Refer
42 WINE MERCHANTS
Ck# 055315 12/28/2017
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$1,586.00
Invoice 7162717
12/13/2017
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$1,786.00
Invoice 7163952
12/20/2017
Transaction Date
12/26/2017 Due 0
Wells Fargo 10100
Total
$3,372.00
44
CITY OF MOUND 01104/18 11:47 AM
Page 8
Payments
Current Period: December 2017
Fund Summary
10100 Wells Fargo
609 MUNICIPAL LIQUOR FUND $79,931.94
$79,931.94
Pre -Written Checks $79,931.94
Checks to be Generated by the Computer $0.00
Total $79,931.94
45
CITTOF • CM
Payments
Current Period: Closing 2017
Batch Name 2017CITY-AP1 User Dollar Amt $1,725.17
Payments Computer Dollar Amt $1,725.17
$0.00 In Balance
01/04/18 11:26 AM
Page 1
Refer
1 AMERICAN MESSAGING
AP Payment
E 602-49450-321 Telephone, Cells, & Radi REPLACEMENT PAGER- PUBLIC WORKS
Invoice D2062026SA 12/15/2017
Project 17-3
Transaction Date 1/4/2018 Due 12/31/2017
Accounts Payable 20200 Total
Refer
2 BRIGGS AND MORGAN PROFESS/
AP Payment
E 222-42260-620 Fiscal Agent s Fees
G.O. EQUIPMENT CERTIFICATES- SERIES
2009C- PROF SVCS
Invoice 609991
12/21/2017
Transaction Date
1/4/2018 Due 12/31/2017
Accounts Payable 20200 Total
Refer
3 EMERGENCY RESPONSE SOLUTI
AP Payment
E 222-42260-219 Safety supplies
SLIDE BUTTON ASSEMBLY, FIREHAWK
GREY, O -RINGS- FIRE DEPT
Invoice 10024
12/21/2017
AP Payment
E 222-42260-219 Safety supplies
2 NIGHTFIGHTER RECEIVERS FOR SCBAS-
FIRE DEPT
Invoice 9973
12/15/2017
Transaction Date
1/4/2018 Due 12/31/2017
Accounts Payable 20200 Total
Refer
4 FIRE EQUIPMENT SPECIALTIES, I
AP Payment
E 222-42260-219 Safety supplies
CAIRNS 1044 CUSTON TRADITIONAL
FIREFIGHTER HELMET- RED
Invoice 9910
12/26/2017
Transaction Date
1/4/2018 Due 12/31/2017
Accounts Payable 20200 Total
Refer
5 GOPHER STATE ONE CALL
_
AP Payment
E 601-49400-395 Gopher One -Call
DEC 2017 LOCATES
Invoice 7120593
12/31/2017
AP Payment
E 602-49450-395 Gopher One -Call
DEC 2017 LOCATES
Invoice 7120593
12/31/2017
Transaction Date
1/4/2018 Due 12/31/2017
Accounts Payable 20200 Total
Refer
6 GRADY, DANIEL
_
AP Payment
E 101-45200-305 Medical Services
EYEWEAR -EXAM REIMS- D. GRADY
Invoice 010918
12/28/2017
Transaction Date
1/4/2018 Due 12/31/2017
Accounts Payable 20200 Total
Refer
7 KRESS, BRENT
_
AP Payment
E 101-43100-305 Medical Services
EYEWEAR -EXAM REIMS- B. KRESS
Invoice 010918
12/26/2017
AP Payment
E 101-43100-305 Medical Services
SAFETY GLASSES REIMB- B. KRESS
Invoice 010918
12/26/2017
Transaction Date
1/4/2018 Due 12/31/2017
Accounts Payable 20200 Total
Refer
9 MARINE COVERS AND INTERIORS
AP Payment
E 101-43100-404 Machinery/Equip Repairs REMOVE & REINSTALL DRIVERS SEAT -
REPLACE FOAM IN SEAT BOTTOM STREETS
DEPT TRUCK
Invoice 7836 12/15/2017
Transaction Date 1/4/2018 Due 12/31/2017 Accounts Payable 20200
46
Total
$12.60
$12.60
$500.00
$500.00
$93.58
$107.14
$200.72
$269.00
$269.00
$23.63
$23.62
$47.25
$50.00
$50.00
$50.00
$219.79
$269.79
$200.00
$200.00
CITY OF MOUND
Payments
Current Period: Closing 2017
01 /04/18 11:26 AM
Page 2
Refer
8 NAPA AUTO PARTS - SPRING PAR
_
20200 Accounts Payable
AP Payment
E 222-42260-409 Other Equipment Repair
1OW30 QT OIL & WEATHERSTRIP FIRE UNIT
$24.13
601 WATER FUND
$23.63
#22
$125.40
Invoice 0577-041171
12/23/2017
Transaction Date
1/4/2018 Due 12/31/2017
Accounts Payable 20200 Total
$24.13
Refer
10 SIMPLEX GRINNELL
AP Payment
E 602-49450-440 Other Contractual Servic
SVC CALL -PUB WKS -EMERGENCY LIGHT &
$89.18
EXIT LIGHT INSPECTIONS
Invoice 84387299
Transaction Date
Refer
12/26/2017
1/4/2018 Due 12/31/2017 Accounts Payable 20200
11 SPEEDPRO IMAGING
AP Payment E 222-42260-219 Safety supplies
Invoice 17-1567 12/21/2017
Project 18-3
Total $89.18
5 REFLECTIVE FIRE HELMET DECALS
Transaction Date 1/4/2018 Due 12/31/2017 Accounts Payable 20200
Fund Summary
20200 Accounts Payable
101 GENERAL FUND
$519.79
222 AREA FIRE SERVICES
$1,056.35
601 WATER FUND
$23.63
602 SEWER FUND
$125.40
$1,725.17
Pre -Written Checks $0.00
Checks to be Generated by the Computer $1,725.17
Total $1,725.17
47
$62.50
Total $62.50
CITY 4F MOUNL
Payments
Current Period: January 2018
01 /04/18 11:48 AM
Page 1
Batch Name
010918CITY User Dollar Amt $8,474.17
Payments Computer Dollar Amt $8,474.17
$0.00 In Balance
Refer
1 AMERICAN WATERWORKS ASSO
Cash Payment
E 601-49400-433 Dues and Subscriptions
MEMBERSHIP DUES 2-1-18 THRU 1-31-19 R.
$315.00
HANSON- AWWA & MN SECTION AWWA
Invoice 7001442270 1/4/2018
Transaction Date
1/4/2018
Wells Fargo 10100 Total
$315.00
Refer
2 EMBEDDED SYSTEMS, INC.
Cash Payment
E 101-42115-329 Sirens/Phone Linesl
6 MONTH SIREN MTCE SVCS JAN 1 2018
$830.25
THRU JUNE 30 2018
Invoice 343611
12/26/2017
Transaction Date
1/4/2018
Wells Fargo 10100 Total
$830.25
Refer
3 ENVIRONMENTAL SYSTEMS RESE
Cash Payment
E 101-43100-205 Computer Hardware/Soft SCADA SOFTWARE- ARC -GIS FOR
$175.00
DESKTOP CONCURRENT USE- MTCE
SUPPORT 3/1/18 THRU 2/28/19
Invoice 93382325 11/30/2017
Cash Payment
E 101-45200-205 Computer Hardware/Soft SCADA SOFTWARE- ARC -GIS FOR
$175.00
DESKTOP CONCURRENT USE- MTCE
SUPPORT 3/1/18 THRU 2/28/19
Invoice 93382325 11/30/2017
Cash Payment
E 601-49400-205 Computer Hardware/Soft SCADA SOFTWARE- ARC -GIS FOR
$175.00
DESKTOP CONCURRENT USE- MTCE
SUPPORT 3/1/18 THRU 2/28/19
Invoice 93382325 11/30/2017
Cash Payment
E 602-49450-205 Computer Hardware/Soft SCADA SOFTWARE- ARC -GIS FOR
$175.00
DESKTOP CONCURRENT USE- MTCE
SUPPORT 3/1/18 THRU 2/28/19
Invoice 93382325 11/30/2017
Transaction Date
1/4/2018
Wells Fargo 10100 Total
$700.00
Refer
4 FIVE TECHNOLOGY
Cash Payment
E 101-41920-440 Other Contractual Servic
MONTHLY MANAGED SVC & NETWORK
$1,290.00
MTCE- JANUARY 2018
Invoice 10118-22
1/1/2018
Transaction Date
1/4/2018
Wells Fargo 10100 Total
$1,290.00
Refer
5 LEAGUE OF MINNESOTA CITIES
_
Cash Payment
E 101-41310-434 Conference & Training
2018 LEADERSHIP CONF FOR
$225.00
EXPERIENCED OFFICIALS- E. HOVERSTEN
JAN 26 2018- BROOKLYN CTR
Invoice 266021
12/1/2007
Transaction Date
1/4/2018
Wells Fargo 10100 Total
$225.00
Refer
7 MINNESOTA ELEVATOR, INCORP
Cash Payment
E 101-41910-440 Other Contractual Servic
JAN 2017- MONTHLY SVCE- CENTENNIAL
$113.30
BLDG ELEVATOR
Invoice 733421
1/2/2018
Transaction Date
1/4/2018
Wells Fargo 10100 Total
$113.30
Refer
8 MINNESOTA RURAL WATER ASSO
_
48
CITY OF MOUND 01/04/18 11:48 AM
Page 2
Payments
Current Period: January 2018
Cash Payment
E 601-49400-433 Dues and Subscriptions
2018 CITY ASSOCIATE MEMBERSHIP-
$250.00
MONITORING 1-1-18 THRU 12-31-18 - HWS
Invoice 79839864 12/1/2017
MINNESOTA RURAL WATER ASSOC- FEB
Cash Payment E 602-49450-440 Other Contractual Servic FIRE/BURGLAR ALARM DETECTION- $375.00
MONITORING 1-1-18 THRU 12-31-18 - PUB
2018 THRU FEB 2019
WKS BLDG
Invoice 010918
12/26/2017
Transaction Date 12/21/2017
Wells Fargo 10100 Total $1,295.00
Transaction Date
1/4/2018
Wells Fargo 10100 Total
$250.00
Refer
9 MOUND MARKETPLACE ASSOC
601 WATER FUND
$740.00
Cash Payment
E 609-49750-412 Building Rentals
JANUARY 2018 COMMON AREA MTCE &
$1,315.32
$8,474.17
INSURANCE HWS
Invoice 010918
1/1/2018
Transaction Date
1/4/2018
Wells Fargo 10100 Total
$1,315.32
Refer
10 MUZAK - MINNEAPOLIS
Cash Payment
E 609-49750-440 Other Contractual Servic
MUSIC SERVICE JAN & FEB 2018- HWS
$267.30
Invoice 53684967 1/1/2018
Transaction Date
1/4/2018
Wells Fargo 10100 Total
$267.30
Refer
6 NEOPOST-MAIL FINANCE
Cash Payment
E 101-41930-440 Other Contractual Servic
POSTAGE METER MACHINE LEASE & MTCE
$1,623.00
1-3-18 THRU 1-2-19
Invoice N6879608 12/2/2017
Transaction Date
1/4/2018
Wells Fargo 10100 Total
$1,623.00
Refer
11 OUR LADY OF THE LAKE CHURCH
Cash Payment
E 609-49750-340 Advertising
2018 HWS ADVERTISING OLL- WEEKLY
$250.00
BULLETIN- 12 MONTHS
Invoice 010918
12/19/2017
Transaction Date
1/4/2018
Wells Fargo 10100 Total
$250.00
Refer
12 SIMPLEX GRINNELL
Cash Payment
E 101-41910-440 Other Contractual Servic
FIRE/BURGLAR ALARM DETECTION-
$375.00
MONITORING 1-1-18 THRU 12-31-18
CENTENNIAL BLDG
Invoice 79838552 12/1/2017
Cash Payment E 609-49750-440 Other Contractual Servic FIRE/BURGLAR ALARM DETECTION- $545.00
MONITORING 1-1-18 THRU 12-31-18 - HWS
Invoice 79839864 12/1/2017
Cash Payment E 602-49450-440 Other Contractual Servic FIRE/BURGLAR ALARM DETECTION- $375.00
MONITORING 1-1-18 THRU 12-31-18 - PUB
WKS BLDG
Invoice 79839040 12/1/2017
Project 18-3
Transaction Date 12/21/2017
Wells Fargo 10100 Total $1,295.00
Fund Summary
10100 Wells Fargo
101 GENERAL FUND
$4,806.55
601 WATER FUND
$740.00
602 SEWER FUND
$550.00
609 MUNICIPAL LIQUOR FUND
$2,377.62
$8,474.17
Pre -Written Checks $0.00
Checks to be Generated by the Computer $8,474.17
Total $8,474.17
49
l•Ii
NM 0 10 Mffim
1:4 0 "UreTwxr-U,
�MTMA" 9 10, Its Ji r-'VL91 ZA Il•' 1
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 Kelli Gillispie as Acting Mayor for 2018.
Adopted by the City Council this 9th day of January, 2018.
Attest: Catherine Pausche, Clerk
50
Mayor Mark Wegscheid
0 W •
• Ito I I L01 0 10 Mn:
RESOLUTION APPOINTING CITY COUNCIL MEMBERS
AS REPRESENTATIVES OF THE CITY COUNCIL TO
COMMISSIONS AND COMMITTEES FOR 2018
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 2018:
Parks and Open Space Commission -- Jeff Bergquist
Docks and Commons Commission -- Kelli Gillispie
Planning Commission -- Jennifer Peterson
Fire District Committee -- Ray Salazar
Budget and Finance Committee -- Kelli Gillispie & Mark Wegscheid
Personnel Committee -- Jennifer Peterson & Mark Wegscheid
Public Works Facility Committee -- Ray Salazar & Mark Wegscheid
Orono Police Commission -- Ray Salazar & Mark Wegscheid
Suburban Rate Authority -- Ray Salazar & Jennifer Peterson
Met Council Task Force -- Ray Salazar & Kelli Gillispie
Approved by the City Council this 9t" day of January, 2018.
Attest: Catherine Pausche, Clerk
51
Mayor Mark Wegscheid
1 0 ij 0 1
**01W Is I 1 0 10 Mis I.
MEL9MO
0. . I' I
1A. -NI ki 1:82A11*91 0 14FT&F—AIN I 10 Leff" 11 WA ivi VA 0 FACU3.14;1*1 "IW,4#
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 2018, 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 9th day of January, 2018.
Attest: Catherine Pausche, Clerk
52
Mayor Mark Wegscheid
CITY OF MOUND
RESOLUTION NO. 18-_
A
[4 1 AA LTfAj Zj "i I j At,' I & Al Z k gLIjIl :1 ;L
I if 44 11 b1-1 Pj
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 2018.
Adopted by the City Council this gth day of January, 2018.
Attest: Catherine Pausche, Clerk
53
Mayor Mark Wegscheid
•• :
R11 I M•
11•�R
H-AI&I
RAI
• :• l
WHEREAS, Minnesota State Statute 412.111 states the City Council may require any
officer or employee to furnish a 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 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 coverage to
meet the needs and requirements of Minnesota cities as part of the overall general
liability insurance coverage purchased by the City;
NOW, THEREFORE, BE IT RESOLVED that the City Council of the City of Mound,
Minnesota does hereby authorize bond coverage per Minnesota State Statute 412.111
in the amount set by the League of Minnesota Cities Insurance Trust as part of the
overall general liability insurance coverage purchased by the City as shown in
Attachment A and made a part herein.
Adopted by the City Council this 9t" day of January, 2018.
Mayor Mark Wegscheid
Attest: Catherine Pausche, Clerk
January 9, 2018 Consent Agenda Item 4F
Replacement Pages 54 - 54.2
-54-
Attachment A Page I of 2
City of Mound andMound Volunteer Fire Department
Coverage Highlights/Summary of Terms & Conditions
RecommendedCarrier
Coverage:
Performance and Employee Dishonesty Bond
Carrier:
League of Minnesota Cities Insurance Trust
Form #:
specimen upon request
Form Type:
Z Discovery
Effective:
February 1, 2016-17
Terrorism Risk Insurance will apply unless coverage is rejected .TRIA premium can be removed with acceptance of an absolute Terrorism exclusion.
Statement of Defense Costs:
® Does Not Apply
❑ Applicable
❑ Within Policy Limit (expenses erode policy limit)
❑ In addition to Policy Limit, and if so:
❑ Limited
❑ Unlimited
Significant Terms and Conditions:
Additional summary detail presented within the proposal.
• Coverage Territory — Domestic
• Supplemental limited reimbursement for Auditing and Accounting Costs
Significant Exclusions include, but not limited to:
• Governmental Action
• Inability to realize income
• Inventory Shortages
• Legal Expenses
• Nuclear
• War
• Joint Powers Entity, Port Authority, EDA, HRA, or similar, unless specifically named
Significant Endorsements include, but not limited to:
• None
Premium Terms:
• Minimum Premium: No Minimum Premiums Apply
• Annual, Quarterly or Semi -Annual: Terms Available
I1
wuw tonros " rte.await.HmMlmtlwaWHPMAWeetNw�Wrobrol��5'+,14YeouRrF'MHM�mrom:ro'fk: m+rcvawvw.'
Q.X\Cities W b4oundU016-Mity of Mound Proposal for 16-17.docx 15 15
— 54.1 —
Attachment A Page 2 of 2
City of Mound end Mound Volunteer Fire Department
Conditions of the Quote, Coverages, or Binding:
• Completed Tort Waiver Form required for all renewals
Claims Handling Instructions:
• Report claims immediately to LMCIT
Email: claims@lmc.org
Imc.org
Phone: 651.215.4165 or 800-925-1122
Fax: 651.281.1297
Mail: LMCIT Claims, 145 University Avenue, West St. Paul, NIN 55103-2044
x, t }
HwamufM¢94m,� wYNaan nrRmNM�%i'roriu� prxm' _ mxmWMt �vnrvluwMmwapglitimttArMMM�'xV4�Mww4MrinNAv�
()�}('�t'ifiec hINlMound12�1&.17.fin of Mound Pmnosat for lfi-i 7.dnrx M
— 54.2 — 16
CITY OF MOUND
RESOLUTION NO. 18 -
RESOLUTION DESIGNATING THE OFFICIAL
DEPOSITORIES FOR 2018
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 2018:
Wells Fargo Bank
Wells Fargo Securities, LLC. DANA Investment Advisors
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,
2018, or until written notice of its revision or modification has been received by said institution.
Adopted by the City Council this 9th day of January, 2018.
Mayor Mark Wegscheid
Attest: Catherine Pausche, Clerk
January 9, 2018 Agenda Item 4G
Replacement Page
- 55 -
•MEMSMs[:
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 2018.
Adopted by the City Council this 9t" day of January, 2018.
Attest: Catherine Pausche, Clerk
56
Mayor Mark Wegscheid
2415 Wilshire Boulevard
Mound, MN. 55364
(952) 472-0605
Memorandum
To: Honorable Mayor and Members of the Mound City Council
From: Field Officer Stewart B. Simon
Date: January 4, 2018
Re: Consent Agenda Item #4.1: Request for Commercial Kennel License for the City
of Mound Emergency Management Division, Waiving the Fee.
I hereby request the Mound City Council grant a Commercial Kennel License for the calendar
year 2018, to the City of Mound Emergency Management Division. This license will allow the
City to shelter dogs and cats, impounded by the Orono Police Department and/or the City of
Mound in the police precinct kennel facility, located at 2415 Wilshire Boulevard.
I also request that the $150/year licensing fee be waived.
cc: Eric Hoversten, City Manager/Public Works Director
Fire Chief Greg Pederson, Mound Fire Department
Police Chief Corey Farniok, Orono Police Department
57
11 Mei . . . NNUORIN��
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 9t" day of January, 2018.
Attest: Catherine Pausche, Clerk
58
Mayor Mark Wegscheid
This year
we will:
0
Serve 1,400
individuals,
children and
families
c 1'
Deliver 0,000
hot meals to
seniors
Distribute
1,200 coats,
hats and
mittens
Provide 325
individuals in
crisis with
emergency
assistance
1
WeCAN
lr� 'tr
ll-�,—,, Western Communities Action Network, Inc.
December 18, 2017
Dear Mayor and City Council,
On behalf of Western Communities Action Network (WeCAN), I am asking
your city to support our application for Community Development Block
Grant (CDBG) Consolidated Pool fund for 2018 with a resolution and/or a
letter of recommendation.
WeCAN serves individuals and families in need in western Hennepin
County. We are a community nonprofit organization whose mission is to
provide support services to empower and equip individuals and families
to reach stability and self-sufficiency. Our vision is that families and
individuals will thrive in a vibrant community with full access to resources
and support services.
WeCAN provides our community with much needed resources for our
low-income and struggling clients. Our Meals on Wheels service provides
fresh, nutritious meals delivered directly to the homes of seniors and
individuals with disabilities. The WeCAN Mobile Market delivers groceries
to those in need, who may not be able to access a traditional food shelf.
It also features program that provides food bags to children during school
breaks. Our family support programs include personal hygiene items and
cleaning supplies given out once per month to stretch budgets, a birthday
shelf with gifts and party supplies to celebrate a child's birthday, pet food
assistance, school supplies and backpacks, an annual coat drive in the
winter and a holiday gift program. We also offer space for clients to meet
Hennepin County outreach workers, WIC, CAP -HC and Adult Basic
Education classes (GED and ELL). Your support for our application is vital
to our organization receiving the funds to support these much needed
and well utilized services.
The deadline for your resolution and/or a letter of recommendation is
February 1, 2018. 1 have included sample documents for you to use.
Please feel free to call or email me with any questions, or to arrange a
presentation for the council or staff. I look forward to our continued
partnership as we make our community a better place for all.
59
MiItil i i :
WHEREAS, the City of Mound has supported services for its residents given by
WeCAN as a community-based human service organization dedicated to helping low-
income people achieve greater self-sufficiency and family stability; and
WHEREAS, these services include emergency assistance for housing stability, job
seeking support, Meals on Wheels, family support services, public assistance intake
services, and other resources.
NOW, THEREFORE, BE IT RESOLVED that the City Council of the City of Mound
recommends to the Consolidated Pool Selection Committee that Community
Development Block Grant (CDBG) funding of Westonka Community Action Network
(WeCAN) be continued.
Adopted by the City Council this 9th day of January, 2018.
Attest: Catherine Pausche, Clerk
M
Mayor Mark Wegscheid
CITY OF MOUND
RESOLUTION NO. 18 -
RESOLUTION AMENDING RESOLUTION NO. 17-168 APPROVING FEE
SCHEDULE FOR 2018
WHEREAS, on December 12, 2017 the City Council approved Resolution 17-168 approving the
Fee Schedule for 2018 (Resolution); and
WHEREAS, the Resolution did not include a change to the hourly rate for Fire/Emergency
Services that are reimbursable; and
WHEREAS, instances exist in mutual aid agreements and other agreements where the Fire
Department can bill for fire/emergency services;
NOW THEREFORE, BE IT RESOLVED by the City Council of the City of Mound, Minnesota,
hereby adopts a resolution amending City Resolution No. 17-168 Approving a Fee Schedule for
2018 with the following language:
FIRE/EMERGENCY SERVICES:
Hourly billing rate for reimbursable fire services $36.09 32.00/hour
Adopted by the City Council this 9th day of January, 2018.
Catherine Pausche, Clerk
a
Mayor Mark Wegscheid
N LE P1 COUNTY
MINNESOTA
To: Mound City Clerk/City Administrator
From: Kim Jensen, Senior Appraiser
Date: November 28, 2017
Re: 2018 Open Book Meeting
Wednesday, May 2, 2018
Date
Time
Minnesota Statute 274.01, Subdivision 1, requires that the County Assessor set the date and time for
your local board of appeal and equalization meeting. Your city has opted for an Open Book meeting in
place of a Local Board of Appeal and Equalization meeting. We are proposing the date and time
referenced above based upon last year's meeting date.
Please confirm the date and time above, or if you wish to change the date, call us with an alternative
by January 26. In addition to the date, please complete the form (please print) with the name of the
Mayor and Council Members. This will allow for Notices of Valuation and Classification to be prepared
timely. If you have any questions, please call me at (612) 348-6106 or send me an e-mail at
kimberly.jensen@hennepin.us.
Please return the confirmation to Kim Jensen, A-2103 Government Center, Minneapolis, MN, 55487,
or email to AO.Admin@hennepin.us.
5
SINWRT,730
City:
MOUND
Mayor:
Mark Wegscheid
Date:
May 2, 2018
Council:
Kelli Gillispie
Time:
5:00 pm - 7:00 pm
Council:
Ray Salazar
Centennial Bldg Council
Jeff Bergquist
Place:
Chambers
Council:
5341 Maywood Road
Council:
Jennifer Peterson
Mound, MN
Council:
NIR
City Clerk/City Administrator Signature:
62
Minnesota Department of Public Safety DEC 0 8 2017 In,
Alcohol and Gambling Enforcement Division
445 Minnesota Street, Suite 222, St. Paul, MN 55101 i1
1 16
651-201-7500 Fax 651-297-5259 TTY 651-282-6555
Alcohol & Gambling Enforcement APPLICATION AND PERMIT FOR A 1 DAY
I TO 4 DAY TEMPORARY ON -SALE LIQUOR LICENSE
Name of organization Date organized Tax exempt number
in as ��7ScI F—Address city State Zip Code
1 1;11550 e6al,"f,±01kI Mt)(144 CL _77 FN 11s, 7
Name of person making application Business phone Home phone
I L
Date(s) of event Type of organization
tv 0J [ lub C Charitable C Religious [] Other non-profit
Organization officer's name
140o Ve-
I
Organization officer's name
C, /7 1 Ores
City State Zip Code
........ . ..... .... .. J L 5-,'5-: 5 /
lou- w -6 I
city State Zip Code
Organization officer's name city State Zip Code
1 —7 1 1 [MN
Organization officer's name City State Zip Code
MN
,ocation where permit will be used. If an outdoor area, describe.
opv4r 96 Qec
C, h -,),I F -C e (L
If the applicant will contract for intoxicating liquor service give the name and address of the liquor license providing the service.
/yo
If the applicant will carry liquor liability insurance please provide the carrier's name and amount of coverage.
APPROVAL
APPLICATION MUST BE APPROVED BY CITY OR COUNTY BEFORE SUBMITTING TO ALCOHOL AND GAMBLING ENFORCEMENT
LA OLA N D
City or County approving the license Date Approved
p OD
Fee Amount Permit Date
I?- - (� - 1-7
Date Fee Paid City or County E-mail Address
City or County Phone Number
Signature City Clerk or County Official Approved Director Alcohol and Gambling Enforcement
_ERKS NOTICE: Submit this form to Alcohol and Gambling Enforcement Division 30 days prior to event.
CITY OF MOUND — CITY MANAGER
2415 Wilshire Blvd
Mound, MN 55364
TO: City Council
FROM: Eric Hoversten, City Manager and Director of Public Works
DATE: January 4, 2018
SUBJECT: MNDoT Agency Agreement for Federal Aid
REQUEST: Council approve a Resolution approving assignment of MNDoT
Commissioner of Transportation as City Agent for receipt of Federal High Way
Administration aid and approving Mayor and City Manager execute said agreement on
behalf of the City
CITY STAFF REVIEW
The City may from time to time become eligible for Federal High Way Administration
(FHWA) aid or grant funding for the purpose of transportation improvements. This may
come in form of direct funding or pass-through aid under Federal funding of State aid
programs such as Municipal State Aid. The city previously assigned agency to MNDoT
for this purpose under a 2003 agreement (# 99906) which is to be superseded by this
proposed document (# 1029979) as attached to the accompanying resolution. There is no
specific project associated or applied with under this agreement and it will prevail until
terminated by either agency or superseded in the future.
Execution of the agreement is necessary to qualify for future aid funding that includes
any Federal funding component.
FIWKGTRRWi. �
The City Council for the City of Mound approve the Resolution appointing Agency and
approving execution of the Agency Agreement.
1
64
CITY OF MOUND
RESOLUTION NO. 18 -
RESOLUTION APPROVING MNDOT AGENCY AGREEMENT FOR FEDERAL HIGHWAY
ADMINISTRATION AID FUNDING
WHEREAS, the City of Mound may from time to time be eligible for or receive Federal High
Way Administration (FHWA) funding in grant or aid form; and
WHEREAS, those funds may either be direct or passed through via State of Minnesota Aid
funding programs such as Municipal State Aid; and
WHEREAS, those dollars may augment funding for critical, eligible transportation
improvements in the City; and
WHEREAS, assignment of the Commissioner of Transportation as an Agent to act on behalf of
the City is required to receive Federal funding; and
WHEREAS, The Agency Agreement requires signature by the mayor and City Manager;
NOW, THEREFORE, BE IT RESOLVED:
That pursuant to Minnesota Sta. Sec. 161.36, the Commissioner of Transportation be
appointed as Agent of the City of Mound to accept as its agent, federal aid funds which may be
made available for eligible transportation related projects.
BE IT FURTHER RESOLVED:
The Mayor and City Manager are hereby authorized and directed for and on behalf of the City
of Mound to execute and enter into an agreement with the Commissioner of Transportation
prescribing the terms and conditions of said federal aid participation as set forth and contained
in the "Minnesota Department of Transportation Agency Agreement No. 1029979", a copy of
which said agreement was before the City Council and which is made a part hereof by
reference.
Adopted by the City Council this 9th day of January, 2018.
Attest: Catherine Pausche, City Clerk
Mayor Mark Wegscheid
1
65
December 1, 2017
Eric Hoversten
2415 Wilshire Boulevard
Mound, MN, 55364
SUBJECT: Agency Delegated Contracting Process Agreement
Agency Agreement No. 1029979
Dear Mr. Hoversten:
Minnesota Department of Transportation
State Aid for local Transportation
395 John Ireland Boulevard, MS 500
Saint Paul, MN 55155
Attached are two copies of the agency agreement between the City of Mound and MnDOT, which allows for MnDOT to
act as the City's agent in accepting federal aid. This agreement is intended to cover all federally funded projects that the
City is awarded funds for until revisions are needed to the agreement. it supersedes the agreement executed in or about
2003, which is referenced in this agreement.
While I do not anticipate that the requirements in Section 18.4 will apply to you, the language required by federal law
and must be included in all federally funded project agreements as of October 1, 2010. Please review the agreement
and if approved, have all two copies signed. A resolution similar to the attached example, must be passed. The certified
resolution should then be placed as the last page in each of the two copies of the agreement. Please verify that the
person/title authorized to sign as stated in the resolution, corresponds to the signature (person/title) on the signature
page. Please return all two copies of the agreement to me for MnDOT signatures. A fully executed copy will be returned
to you.
if you have any questions or need any revisions, please feel free to contact me at 651.366,3822.
Si erely,
I_y ette Roshell, PE
Project Development Engineer
Enclosures
Cc: Dan Erickson — DSAE File
An Equal Opportunity Employer
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MnDOT Contract No. 1029979
STATE OF MINNESOTA
AGENCY AGREEMENT
for
FEDERAL PARTICIPATION IN CONSTRUCTION
This agreement is entered into by and between the City of Mound ("Local Government") and the State of Minnesota
acting through its Commissioner of Transportation ("MnDOT").
RECITALS
1. Pursuant to Minnesota Statutes Section 161.35, the Local Government desires MnDOT to act as the Local
Government's agent in accepting federal funds on the Local Government's behalf for the construction,
improvement, or enhancement of transportation financed either in whole or in part by Federal Highway
Administration ("FHWA") federal funds, hereinafter referred to as the "Project(s)"; and
2. This agreement is intended to cover all federal aid projects initiated by the Local Government and therefore has
no specific State Project number associated with it, and
2.1. The Catalog of Federal Domestic Assistance number or CFDA number is 20.205, and
2.2. This agreement supersedes agreement number old (99906)
2.3. This project is for construction not research and development.
2.4. MnDOT requires that the terms and conditions of this agency beset forth in an agreement.
AGREEMENT TERMS
1. Term of Agreement
1.1. Effective Date. This agreement will be effective on the date the MnDOT obtains all required signatures
under Minn. Stat. §16C.05, Subd. 2. Upon the effective date, this agreement will supersede agreement
99906.
Local Government's Duties
2.1. Designation. The Local Government designates MnDOT to act as its agent in accepting federal funds in its
behalf made available for the Project(s). Details on the required processes and procedures are available on
the State Aid Website
2.2. Staffing.
2.2.1. The Local Government will furnish and assign a publicly employed licensed engineer, ("Project
Engineer"), to be in responsible charge of the Project(s) and to supervise and direct the work to be
performed under any construction contract let for the Project(s). In the alternative where the Local
Government elects to use a private consultant for construction engineering services, the Local
Government will provide a qualified, full-time public employee of the Local Government, to be in
responsible charge of the Project(s). The services of the Local Government to be performed hereunder
may not be assigned, sublet, or transferred unless the Local Government is notified in writing by
MnDOT that such action is permitted under 23 CFR 1.33 and 23 CFR 635.105 and state law. This
written consent will in no way relieve the Local Government from its primary responsibility for
performance of the work.
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MnDOTContract No. l029979
2,2,2. During the progress of the work on the Project(s), the Local Government authorizes its Project
Engineer to request in writing specific engineering and/or technical services from MnDOT, pursuant to
Minnesota Statutes Section 161.39. Such services may be covered byother technical service
agreements, If MnDOT furnishes the services requested, and if MnDOT requests reimbursement, then
the Local Government will promptly pay MnDOT to reimburse the state trunk highway fund for the full
cost and expense offurnishing such services. The costs and expenses will include the current K4nDOT
labor additives and overhead rates, subject to adjustment based on actual direct costs that have been
verified by audit. Provision of such se/vices will not be deemed to make MnDOTa principal orco-
principal with respect tothe P .
2.3. Pre -letting. The Local Government will prepare construction contracts in accordance with Minnesota law
and applicable Federal laws and regulations.
2.3,1, The Local Government will solicit bids after obtaining written notification from MnDOT that the FHWA
has authorized the Project(s). Any Project(s) advertised prior to authorization without permission will
not baeligible for federal reimbursement.
2.3.2. The Local Government will prepare the Proposal for Highway Construction for the construction
contract, which will include all of the federal -aid provisions supplied by MnDOT.
2.3.3.The Local Government will prepare and publish the bid solicitation for the P/ 'ect(s)asrequinedbv
state and federal laws. The Local Government will include in the solicitation the required language for
federal -aid construction contracts as supplied by KXnDOT.The solicitation will state where the
proposals, plans, and specifications are available forthe inspection of prospective bidders, and where
the Local Government will receive the sealed bids.
2.3.4. The Local Government may not include other work in the construction contract for the authorized
Project(s) without obtaining prior notification from MnDOT that such work is allowed by FHWA.
Failure to obtain such notification may result in the loss of some or all of the federal funds for the
Project(s). All work included in a federal contract is subject to the same federal requirements as the
federal project.
2.3.5. The Local Government will prepare and sell the plan and proposal packages and prepare and
distribute any addenda, if needed.
2.3.6.The Local Government will receive and open bids.
2.3.7. After the bids are opened, the Local Government will consider the bids and will award the bid to the
lowest responsible bidder, orreject all bids, |fthe construction contract contains agoal for
Disadvantaged Business Enterprises, The Local Government will not award the bid until it has received
certification of the Disadvantaged Business Enterprise participation from the MnDOT Office of Civil
Rights.
2.3.8. The Local Government entity must disclose in writing any potential conflict of interest to the Federal
awarding agency or pass through entity in accordance with applicable Federal awarding agency policy.
2.4. Contract Administration.
2.4.1. The Local Government will prepare and execute a construction contract with the lowest responsible
bidder, hereinafter referred to as the "Contractor," in accordance with the special provisions and the
latest edition of MnDOT's Standard Specifications for Construction and all amendments thereto. All
contracts between the Local Government and third parties ursubcontractors must contain all
applicable provisions of this Agreement, including the applicable federal contract clauses, which are
identified in Appendix 11 of 2 CFR 200, Uniform Administrative Requirements, Cost Principles and Audit
Requirements for Federal Awards, and as provided in Section 18 of this agreement.
MnDOT Contract No. 1029979
2.4.2, The Project(s) will be constructed in accordance with pians, special provisions, and standard
specifications of each Project. The standard specifications will be the latest edition of MnDOT
Standard Specifications for Highway Construction, and all amendments thereto. The plans, special
provisions, and standard specifications will be on file at the Local Government Engineer's Office, The
plans, special provisions, and specifications are incorporated into this agreement by reference as
though fully set forth herein.
2.4.3. The Local Government will furnish the personnel, services, supplies, and equipment necessary to
properly supervise, inspect, and document the work for the Project(s). The services of the Local
Government to be performed hereunder may not be assigned, sublet, or transferred unless the Local
Government is notified in writing by MnDOT that such action is permitted under 23 CFR 1.33 and 23
CFR 635.105 and state law. This written consent will in no way relieve the Local Government from its
primary responsibility for performance of the work.
2.4.4. The Local Government will document quantities in accordance with the guidelines set forth in the
Construction Section of the Electronic State Aid Manual that were in effect at the time the work was
performed.
2.4.5. The Local Government will test materials in accordance with the Schedule of Materials Control in
effect at the time each Project was let. The Local Government will notify MnDOT when work is in
progress on the Project(s) that requires observation by the Independent Assurance Inspector as
required by the Independent Assurance Schedule.
2.4.6. The Local Government may make changes in the plans or the character of the work, as may be
necessary to complete the Project(s), and may enter into Change Order(s) with the Contractor. The
Local Government will not be reimbursed for any costs of any work performed under a change order
unless MnDOT has notified the Local Government that the subject work is eligible for federal funds
and sufficient federal funds are available.
2.4.7. The Local Government will request approval from MnDOT for all costs in excess of the amount of
federal funds previously approved for the Project(s) prior to incurring such costs. Failure to obtain
such approval may result in such costs being disallowed for reimbursement.
2.4.8. The Local Government will prepare reports, keep records, and perform work so as to meet federal
requirements and to enable MnDOT to collect the federal aid sought by the Local Government.
Required reports are listed in the MnDOT State Aid Manual, Delegated Contract Process Checklist,
available from MnDOT's authorized representative. The Local Government will retain all records and:
reports and allow MnDOT or the FHWA access to such records and reports for six years.
2.4.9. Upon completion of the Project(s), the Project Engineer will determine whether the work will be
accepted.
2.5. Limitations.
2.5.1. The Local Government will comply with all applicable Federal, State, and local laws, ordinances, and
regulations.
2.5.2. Nondiscrimination. It is the policy of the Federal Highway Administration and the State of Minnesota
that no person in the United States will, on the grounds of race, color, or national origin, be excluded
from participation in, be denied the benefits of, or be subjected to discrimination under any program
or activity receiving Federal financial assistance (42 U.S.C. 2000d). Through expansion of the mandate
for nondiscrimination in Title VI and through parallel legislation, the proscribed bases of discrimination
include race, color, sex, national origin, age, and disability. In addition, the Title Vi program has been
extended to cover all programs, activities and services of an entity receiving Federal financial
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MnDOT Contract No. 1029979
assistance, whether such programs and activities are Federally assisted or not. Even in the absence of
prior discriminatory practice or usage, a recipient in administering a program or activity to which this
part applies, is expected to take affirmative action to assure that no person is excluded from
participation in, or is denied the benefits of, the program or activity on the grounds of race, color,
national origin, sex, age, or disability. it is the responsibility of the Local Government to carry out the
above req.uirements.
2,5.3. Utilities. The Local Government will treat all public, private or cooperatively owned utility facilities
which directly or indirectly serve the public and which occupy highway rights of way in conformance
with 23 CFR 645 "Utilities" which is incorporated herein by reference.
2.6. Maintenance. The Local Government assumes full responsibility for the operation and maintenance of any
facility constructed or improved under this Agreement.
3. MnDOT's Duties
3.1. Acceptance. MnDOT accepts designation as Agent of the Local Government for the receipt and disbursement
of federal funds and will act in accordance herewith.
3.2. Project Activities.
3.2.1. MnDOT will make the necessary requests to the FHWA for authorization to use federal funds for the
Project(s), and for reimbursement of eligible costs pursuant to the terms of this agreement.
3.2.2. MnDOT will provide to the Local Government copies of the required Federal -aid clauses to be included
in the bid solicitation and will provide the required Federal -aid provisions to be included in the Proposal
for Highway Construction.
3.2.3. MnDOTwill reviewand certify the DBE participation and notify the Local Government when certification
is complete. If certification of DBE participation (or good faith efforts to achieve such participation)
cannot be obtained, then Local Government must decide whether to proceed with awarding the
contract. Failure to obtain such certification will result in the project becoming ineligible for federal
assistance, and the Local Government must make up any shortfall.
3.2.4. MnDOT will provide the required labor postings.
3.3. Authority. MnDOT may withhold federal funds, where MnDOT or the FHWA determines that the Project(s)
was not completed in compliance with federal requirements.
3.4. Inspection. MnDOT, the FHWA, or duly authorized representatives of the state and federal government will
have the right to audit, evaluate and monitor the work performed under this agreement. The Local
Government will make available all books, records, and documents pertaining to the work hereunder, for a
minimum of six years following the closing of the construction contract.
4. Time
4.1. The Local Government must comply with all the time requirements described in this agreement. In the
performance of this agreement, time is of the essence
4.2. The period of performance is defined as beginning on the date of federal authorization and ending on the
date defined in the federal financial system or federal agreement ("end date"). No work completed after
the end date will be eligible for federal funding. Local Government must submit all contract close out
paperwork to MnDOT, twenty four months prior to the end date.
S. Payment
5.1, Cost. The entire cost of the Project(s) is to be paid from federal funds made available by the FHWA and by
other funds provided by the Local Government. The Local Government will pay any part of the cost or
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expense of the Project(s) that is not paid by federal funds. MnDOT will receive the federal funds to be paid
by the FNWA for the Project(s), pursuant to Minnesota Statutes § 161.36, Subdivision 2. MnDCOT will
reimburse the Local Government, from said federal funds made available to each Project, for each partial
payment request, subject to the availability and limits of those funds.
5.2. indirect Cost Rate Proposal/Cost Allocation Man. If the Local Government seeks reimbursement for indirect
costs and has submitted to MnDOT an indirect cost rate proposal or a cost allocation plan, the rate proposed
will be used on a provisional basis. At any time during the period of performance or the final audit of a
project, MnDOT may audit and adjust the indirect cost rate according to the cost principles in 2 CFR Part
200. MnDOT may adjust associated reimbursements accordingly.
5.3. Reimbursement. The Local Government will prepare partial estimates in accordance with the terms of the
construction contract for the Project(s). The Project Engineer will certify each partial estimate. Following
certification of the partial estimate, the Local Government will make partial payments to the Contractor in
accordance with the terms of the construction contract for the Project(s).
5.3.1. Fallowing certification of the partial estimate, the Local Government may request reimbursement for
costs eligible for federal funds. The Local Government's request will be made to MnDOT and will
include a copy of the certified partial estimate.
5.3.2. Upon completion of the Project(s), the Local Government will prepare a final estimate in accordance
with the terms of the construction contract for the Project(s). The Project Engineer will certify the
final estimate. Following certification of the final estimate, the Local Government will make the final
payment to the Contractor in accordance with the terms of the construction contract for the
Project(s).
5.3.3. Following certification of the final estimate, the Local Government may request reimbursement for
costs eligible for federal funds. The Local Government's request will be made to MnDOT and will
include a copy of the certified final estimate along with the required records.
5.3.4. Upon completion of the Project(s), MnDOT will perform a final inspection and verify the federal and
state eligibility of all the payment requests. If the Project is found to have been completed in
accordance with the plans and specifications, MnDOT will promptly release any remaining federal
funds due the Local Government for the Project(s). If MnDOT finds that the Local Government has
been overpaid, the Local Government must promptly return any excess funds
5.3.5. In the event MnDOT does not obtain funding from the Minnesota Legislature or other funding source,
or funding cannot be continued at a sufficient level to allow for the processing of the federal aid
reimbursement requests, the Local Government may continue the work with local funds only, until
such time as MnDOT is able to process the federal aid reimbursement requests.
5.4. Matching Funds. Any cost sharing or matching funds required of the Local Government in this agreement
must comply with 2 CFR 200.306.
5.5. Federal Funds. Payments under this Agreement will be made from federal funds. The Local Government is
responsible for compliance with all federal requirements imposed on these funds and accepts full financial
responsibility for any requirements including, but not limited to, 2 CFR Part 200 imposed by the Local
Government's failure to comply with federal requirements. If, for any reason, the federal government fails
to pay part of the cost or expense incurred by the Local Government, or in the event the total amount of
federal funds is not available, the Local Government will be responsible for any and all costs or expenses
incurred under this Agreement. The Local Government further agrees to pay any and all lawful claims arising
out of or incidental to the performance of the work covered by this Agreement in the event the federal
government does not pay the same.
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5.6. Closeout. The Local Government must liquidate all obligations incurred under this Agreement for each
project and submit all financial, performance, and other reports as required by the terms of this Agreement
and the Federal award, twenty four months prior to the end date of the period of performance for each
project. MnDOT will determine, at its sole discretion, whether a closeout audit is required prior to final
payment approval. If a closeout audit is required, final payment will be held until the audit has been
completed. Monitoring of any capital assets acquired with funds will continue following project closeout.
Conditions of Payment. All services provided by Local Government under this agreement must be performed to
MnDOT's satisfaction, as determined at the sole discretion of MnDOT's Authorized Representative and in
accordance with all applicable federal, state, and local laws, ordinances, rules, and regulations. The Local
Government will not receive payment for work found by MnDOT to be unsatisfactory or performed in violation of
federal, state, or focal law.
7. Authorized Representatives
7.1. MnDOT's Authorized Representative is:
Name: Mitchell Rasmussen, or his successor.
Title: State Aid Engineer
Phone: 651-366-4831
Email: Mitch. rasmussen@state.mn.us
MnDOT's Authorized Representative has the responsibility to monitor Local Government's performance and
the authority to accept the services provided under this agreement. If the services are satisfactory,
MnDOT's Authorized Representative will certify acceptance on each invoice submitted for payment.
7.2. The Local Government's Authorized Representative is:
Name: Eric Noversten or his/her successor.
Title: Mound City Manager
Phone: 952-472-0609
Email: erichoversten@cityofmound.com
If the Local Government's Authorized Representative changes at anytime during this agreement, the Local
Government will immediately notify MnDOT.
8. Assignment Amendments, Waiver, and Agreement Complete
8.1. Assignment. The Local Government may neither assign nor transfer any rights or obligations under this
agreement without the prior written consent of MnDOT and a fully executed Assignment Agreement,
executed and approved by the same parties who executed and approved this agreement, or their successors
in office.
8.2. Amendments. Any amendments to this agreement must be in writing and will not be effective until it has
been executed and approved by the same parties who executed and approved the original agreement, or
their successors in office.
8.3. Waiver. If MnDOT fails to enforce any provision of this agreement, that failure does not waive the provision
or MnDOT's right to subsequently enforce it.
8.4. Agreement Complete. This agreement contains all negotiations and agreements between MnDOT and the
Local Government. No other understanding regarding this agreement, whether written or oral, may be used
to bind either party.
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8.5. Severability. If any provision of this Agreement or the application thereof is found invalid or unenforceable
to any extent, the remainder of the Agreement, including all material provisions and the application of such
provisions, will not be affected and will be enforceable to the greatest extent permitted by the law.
9. Liability and Claims
9.1. Tort Liability. Each party is responsible for its own acts and omissions and the results thereof to the extent
authorized by law and will not be responsible for the acts and omissions of any others and the results
thereof. The Minnesota Tort Claims Act, Minnesota Statutes Section 3.736, governs MnDOT liability.
9.2. Claims. The Local Government acknowledges that MnDOT is acting only as the Local Government's agent
for acceptance and disbursement of federal funds, and not as a principal or co -principal with respect to the
Project. The Local Government will pay any and all lawful claims arising out of or incidental to the Project
including, without limitation, claims related to contractor selection (including the solicitation, evaluation,
and acceptance or rejection of bids or proposals), acts or omissions in performing the Project work, and any
ultra vires acts. The Local Government will indemnify, defend (to the extent permitted by the Minnesota
Attorney General), and hold MnDOT harmless from any claims or costs arising out of or incidental to the
Project(s), including reasonable attorney fees incurred by MnDOT. The Local Government's indemnification
obligation extends to any actions related to the certification of DBE participation, even if such actions are
recommended by MnDOT.
10, Audits
10.1. Under Minn. Stat. § 16C.05, Subd.5, the Local Government's books, records, documents, and accounting
procedures and practices of the Local Government, or other party relevant to this agreement or transaction,
are subject to examination by MnDOT and/or the State Auditor or Legislative Auditor, as appropriate, for a
minimum of six years from the end of this agreement, receipt and approval of all final reports, or the
required period of time to satisfy all state and program retention requirements, whichever is later. The
Local Government will take timely and appropriate action on all deficiencies identified by an audit.
10.2. All requests for reimbursement are subject to audit, at MnDOT's discretion. The cost principles outlined in 2
CFR 200.400-.475 will be used to determine whether costs are eligible for reimbursement under this
agreement.
10.3. If Local Government expends $750,000 or more in Federal Funds during the Local Government's fiscal year,
the Local Government must have a single audit or program specific audit conducted in accordance with 2
CFR Part 200.
11, Government Data Practices. The Local Government and MnDOT must comply with the Minnesota Government
Data Practices Act, Minn. Stat, -Ch. 131 as it applies to all data provided by MnDOT under this agreement, and as it
applies to all data created, collected, received, stored, used, maintained, or disseminated by the Local
Government under this agreement. The civil remedies of Minn. Stat. §13.08 apply to the release of the data
referred to in this clause by either the Local Government or MnDOT.
12. Workers Compensation. The Local Government certifies that it is in compliance with Minn. Stat. §176.181, Subd.
2, pertaining to workers' compensation insurance coverage. The Local Government's employees and agents will
not be considered MnDOT employees. Any claims that may arise underthe Minnesota Workers' Compensation
Act on behalf of these employees and any claims made by any third party as a consequence of any act or omission
on the part of these employees are in no way MnDOT's obligation or responsibility.
13. Governing Law, Jurisdiction, and Venue. Minnesota law, without regard to its choice -of -law provisions, governs
this agreement. Venue for all legal proceedings out of this agreement, or its breach, must be in the appropriate
state or federal court with competent jurisdiction in Ramsey County, Minnesota,
14. Termination; Suspension
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MnDOT Contract No. 1029979
14.1. Termination by MnDOT. MnDOT may terminate this agreement with or without cause, upon 30 days
written notice to the Local Government. Upon termination, the Local Government will be entitled to
payment, determined on a pro rata basis, for services satisfactorily performed.
14.2. Termination for Cause. MnDOT may immediately terminate this agreement if MnDOT finds that there has
been a failure to comply with the provisions of this agreement, that reasonable progress has not been made,
that fraudulent or wasteful activity has occurred, that the Local Government has been convicted of a
criminal offense relating to a state agreement, or that the purposes for which the funds were granted have
not been or will not be fulfilled. MnDOT may take action to protect the interests of MnDOT of Minnesota,
including the refusal to disburse additional funds and requiring the return of all or part of the funds already
disbursed.
14.3. Termination for Insufficient Funding. MnDOT may immediately terminate this agreement if:
14.3.1. It does not obtain funding from the Minnesota Legislature; or
14.3.2. If funding cannot be continued at a level sufficient to allow forthe payment of the services covered
here. Termination must be by written or fax notice to the Local Government. MnDOT is not
obligated to pay for any services that are provided after notice and effective date of termination.
However, the Local Government will be entitled to payment, determined on a pro rata basis, for
services satisfactorily performed to the extent that funds are available. MnDOT will not be assessed
any penalty if the agreement is terminated because of the decision of the Minnesota Legislature, or
other funding source, not to appropriate funds. MnDOT will provide the Local Government notice of
the lack of funding within a reasonable time of MnDOT's receiving that notice.
14.4. Suspension. MnDOT may immediately suspend this agreement in the event of a total or partial government
shutdown due to the failure to have an approved budget by the legal deadline. Work performed by the
Local Government during a period of suspension will be deemed unauthorized and undertaken at risk of
non-payment.
15. Data Disclosure. Under Minn. Stat. § 270C.65, Subd. 3, and other applicable law, the Local Government consents
to disclosure of its social security number, federal employer tax identification number, and/or Minnesota tax
identification number, already provided to MnDOT, to federal and state tax agencies and state personnel involved
in the payment of state obligations. These identification numbers may be used in the enforcement of federal and
state tax laws which could result in action requiring the Local Government to file state tax returns and pay
delinquent state tax liabilities, if any.
16. Fund Use Prohibited. The Local Government will not utilize any funds received pursuant to this Agreement to
compensate, either directly or indirectly, any contractor, corporation, partnership, or business, however
organized, which is disqualified or debarred from entering into or receiving a State contract. This restriction
applies regardless of whether the disqualified or debarred party acts in the capacity of a general contractor, a
subcontractor, or as an equipment or material supplier. This restriction does not prevent the Local Government
from utilizing these funds to pay any party who might be disqualified or debarred after the Local Government's
contract award on this Project.
17. Discrimination Prohibited by Minnesota Statutes §181.59. The Local Government will comply with the provisions
of Minnesota Statutes §181.59 which requires that every contract for or on behalf of the State of Minnesota, or
any county, city, town, township, school, school district or any other district in the state, for materials, supplies or
construction will contain provisions by which Contractor agrees: 1) That, in the hiring of common or skilled labor
for the performance of any work under any contract, or any subcontract, no Contractor, material supplier or
vendor, will, by reason of race, creed or color, discriminate against the person or persons who are citizens of the
United States or resident aliens who are qualified and available to perform the work to which the employment
relates; 2) That no Contractor, material supplier, or vendor, will, in any manner, discriminate against, or
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MnDOT Contract No. 1029979
intimidate, or prevent the employment of any person or persons identified in clause 1 of this section, or on being
hired, prevent or conspire to prevent, the person or persons from the performance of work under any contract on
account of race, creed or color; 3) That a violation of this section is a misdemeanor; and 4) That this contract may
be canceled or terminated by the state of Minnesota, or any county, city, town, township, school, school district or
any other person authorized to contracts for employment, and all money due, or to become due under the
contract, may be forfeited for a second or any subsequent violation of the terms or conditions of this Agreement.
18. Appendix 112 CFR Part 200 Federal Contract Clauses. The Local Government agrees to comply with the following
federal requirements as identified in 2 CFR 200, Uniform Administrative Requirements, Cost Principles and Audit
Requirements for Federal Awards, and agrees to pass through these requirements to its subcontractors and third
party contractors, as applicable. In addition, the Local Government shall have the same meaning as "Contractor' in
the federal requirements listed below.
18.1. Remedies. Contracts for more than the simplified acquisition threshold currently set at $150,000, which is
the inflation adjusted amount determined by the Civilian Agency Acquisition Council and Defense
Acquisition Regulations Council (Councils) as authorized by 41 U.S.C. 1908, must address administrative,
contractual, or legal remedies in instances where contractors violate or breach contract terms, and provide
for such sanctions and penalties as appropriate.
18.2. Termination. All contracts in excess of $10,000 must address termination for cause and for convenience by
the non -Federal entity including the manner by which it will be effected and the basis for settlement,
18.3. Equal Employment Opportunity. Except as otherwise provided under 41 CFR Part 60, all contracts that meet
the definition of "federally assisted construction contract" in 41 CFR Part 60-1.3 must include the equal
opportunity clause provided under 41 CFR 60-1.4(b), in accordance with Executive Order 11246, "Equal
Employment Opportunity" (30 FR 12319, 12935, 3 CFR Part, 1964-1965 Comp., p. 339), as amended by
Executive Order 11375, "Amending Executive Order 11246 Relating to Equal Employment Opportunity," and
implementing regulations at 41 CFR part 60, "Office of Federal Contract Compliance Programs, Equal
Employment Opportunity, Department of Labor."
18.4. Davis -Bacon Act, as amended, (40 U,S.C. 3141-3148) When required by Federal program legislation, all
prime construction contracts in excess of $2,000 awarded by non -Federal entities must include a provision
for compliance with the Davis -Bacon Act (40 U.S.C. 3141-3144, and 3146-3148) as supplemented by
Department of Labor regulations (29 CFR 5, "Labor Standards Provisions Applicable to Contracts Covering
Federally Financed and Assisted Construction"). In accordance with the statute, contractors must be
required to pay wages to laborers and mechanics at a rate not less than the prevailing wages specified in a
wage determination made by the Secretary of Labor. In addition, contractors must be required to pay wages
not less than once a week. The non -Federal entity must place a copy of the current prevailing wage
determination issued by the Department of Labor in each solicitation. The decision to award a contract or
subcontract must be conditioned upon the acceptance of the wage determination. The non -Federal entity
must report all suspected or reported violations to the Federal awarding agency, The contracts must also
include a provision for compliance with the Copeland "Anti -Kickback" Act (40 U.S.C. 3145), as supplemented
by Department of Labor regulations (29 CFR 3, "Contractors and Subcontractors on Public Building or Public
Work Financed in Whole or in Part by Loans or Grants from the United States"). The Act provides that each
contractor or subrecipient must be prohibited from inducing, by any means, any person employed in the
construction, completion, or repair of public work, to give up any part of the compensation to which he or
she is otherwise entitled. The non -Federal entity must report all suspected or reported violations to the
Federal awarding agency.
18,5. Contract Work Hours and Safety Standards Act. (40 U.S.C. 3701-3708) Contract Work Hours and Safety
Standards Act (40 U.S.C. 3701-3708). Where applicable, all contracts awarded by the non -Federal entity in
excess of $100,000 that involve the employment of mechanics or laborers must include a provision for
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MnDOT Contract No. 1029979
compliance with 40 U.S.C. 3702 and 3704, as supplemented by Department of Labor regulations (29 CFR
Part 5). Under 40 U.S.C. 3702 of the Act, each contractor must be required to compute the wages of every
mechanic and laborer on the basis of a standard work week of 40 hours. Work in excess of the standard
work week is permissible provided that the worker is compensated at a rate of not less than one and a half
times the basic rate of pay for all hours worked in excess of 40 hours in the work week. The requirements of
40 U.S.C. 3704 are applicable to construction work and provide that no laborer or mechanic must be
required to work in surroundings or under working conditions which are unsanitary, hazardous or
dangerous. These requirements do not apply to the purchases of supplies or materials or articles ordinarily
available on the open market, or contracts for transportation or transmission of intelligence.
18.6. Rights to inventions Made Under a Contract or Agreement. if the Federal award meets the definition of
"funding agreement" under 37 CFR §401.2 (a) and the recipient or subrecipient wishes to enter into a
contract with a small business firm or nonprofit organization regarding the substitution of parties,
assignment or performance of experimental, developmental, or research work under that "funding
agreement," the recipient or subrecipient must comply with the requirements of 37 CFR Part 401, "Rights to
Inventions Made by Nonprofit Organizations and Small Business Firms Under Government Grants, Contracts
and Cooperative Agreements," and any implementing regulations issued by the awarding agency.
18.7. Clean Air Act (42 U.S.C. 7401-7671q.) and the Federal Water Pollution Control Act (33 U.S.C. 1251-1387),
as amended. Contracts and subgrants of amounts in excess of $150,000 must contain a provision that
requires the non -Federal award to agree to comply with all applicable standards, orders or regulations
issued under the Clean Air Act (42 U.S.C. 7401-7671q) and the Federal Water Pollution Control Act as
amended (33 U.S.C. 1251-1387). Violations must be reported to the Federal awarding agency and the
Regional Office of the Environmental Protection Agency (EPA).
18.8. Debarment and Suspension. (Executive Orders 12549 and 12689) A contract award (see 2 CFR 180.220)
must not be made to parties listed on the government wide exclusions in the System for Award
Management (SAM), in accordance with the OMB guidelines at 2 CFR 180 that implement Executive Orders
12549 (3 CFR part 1986 Comp., p. 189) and 12689 (3 CFR part 1989 Comp., p, 235), "Debarment and
Suspension." SAM Exclusions contains the names of parties debarred, suspended, or otherwise excluded by
agencies, as well as parties declared ineligible under statutory or regulatory authority other than Executive
Order 12549.
18.9. Byrd Anti -Lobbying Amendment. (31 U.S.C. 1352) Contractors that apply or bid for an award exceeding
$100,000 must file the required certification. Each tier certifies to the tier above that it will not and has not
used Federal appropriated funds to pay any person or organization for influencing or attempting to
influence an officer or employee of any agency, a member of Congress, officer or employee of Congress, or
an employee of a member of Congress in connection with obtaining any Federal contract, grant or any other
award covered by 31 U.S.C. 1352. Each tier must also disclose any lobbying with non -Federal funds that
takes place in connection with obtaining any Federal award. Such disclosures are forwarded from tier to tier
up to the non -Federal award.
18.10. Procurement of Recovered Materials. See 2 CFR 200.322 Procurement of Recovered Mater€als,
18.11. Drug -Free Workplace. In accordance with 2 C.F.R. § 32.400, the Local Government will comply with the
Drug -Free Workplace requirements under subpart B of 49 C.F.R. Part 32,
18.12. Nondiscrimination, The Local Government hereby agrees that, as a condition of receiving any Federal
financial assistance under this agreement, it will comply with Title VI of the Civil Rights Act of 1964 (78 Stat.
252, 42 U.S.C. § 2000d), related nondiscrimination statutes (i.e., 23 U.S.C. § 324, Section 504 of the
Rehabilitation Act of 1973 as amended, and the Age Discrimination Act of 1975), and applicable regulatory
requirements to the end that no person in the United States shall, on the grounds of race, color, national
origin, sex, handicap, or age be excluded from participation in, be denied the benefits of, or otherwise be
10
76
MnDOT Contract No. 1029979
subjected to discrimination under any program or activity for which the Local Government receives Federal
financial assistance. The specific requirements of the Department of Transportation Civil Rights assurances
(required by 49 C.F.R. §§ 21.7 and 27.9) are incorporated in the agreement.
18.13, Federal Funding Accountability and Transparency Act (FFATA),
18.13.1. This Agreement requires the Local Government to provide supplies and/or services that are funded
in whole or in part by federal funds that are subject to FFATA. The Local Government is responsible
for ensuring that all applicable requirements, including but not limited to those set forth herein, of
FFATA are met and that the Local Government provides information to the MnDOT as required.
a. Reporting of Total Compensation of the Local Government's Executives.
b. The Local Government shall report the names and total compensation of each of its five most
highly compensated executives for the Local Government's preceding completed fiscal year, if
in the local Government's preceding fiscal year it received:
80 percent or more of the Local Government's annual gross revenues from Federal
procurement contracts and Federal financial assistance subject to the Transparency Act,
as defined at 2 CFR 170.320 (and subawards); and
$25,000,000 or more in annual gross revenues from Federal procurement contracts (and
subcontracts), and Federal financial assistance subject to the Transparency Act (and
subawards); and
iii. The public does not have access to information about the compensation of the
executives through periodic reports filed under section 13(a) or 15(d) of the Securities
Exchange Act of 1934 (15 U.S.C. 78m(a), 78o(d)) or section 6104 of the Internal Revenue
Code of 1986. (To determine if the public has access to the compensation information,
see the U.S. Security and Exchange Commission total compensation filings at
http://www.sec.goy/answersLexecomp.htm.).
Executive means officers, managing partners, or any other employees in management
positions.
C. Total compensation means the cash and noncash dollar value earned by the executive during
the Local Government's preceding fiscal year and includes the following (for more information
see 17 CFR 229.402(c)(2)):
Salary and bonus.
ii. Awards of stock, stock options, and stock appreciation rights. Use the dollar amount
recognized for financial statement reporting purposes with respect to the fiscal year in
accordance with the Statement of Financial Accounting Standards No. 123 (Revised
2004) (FAS 123R), Shared Based Payments.
iii. Earnings for services under non -equity incentive plans. This does not include group life,
health, hospitalization or medical reimbursement plans that do not discriminate in favor
of executives, and are available generally to all salaried employees.
iv. Change in pension value. This is the change in present value of defined benefit and
actuarial pension plans.
V, Above -market earnings on deferred compensation which is not tax qualified.
11
77
MnDOT Contract No. 1029979
18.13.2. Other compensation, if the aggregate value of all such other compensation (e.g. severance,
termination payments, value of life insurance paid on behalf of the employee, perquisites or
property) for the executive exceeds $10,000.
38.13.3. The Local Government must report executive total compensation described above to the MnDOT
by the end of the month during which this agreement is awarded.
18.13.4. The Local Government will obtain a Data Universal Numbering System (DUNS) number and
maintain its DUNS number for the term of this agreement. This number shall be provided to
MnDOT on the plan review checklist submitted with the plans for each project. More information
about obtaining a DUNS Number can be found at: htto://fedvov.dnb.com/webform/
18J3.5. The Local Government's failure to comply with the above requirements is a material breach of this
agreement for which the MnDOT may terminate this agreement for cause. The MnDOT will: not be
obligated to pay any outstanding invoice received from the Local Government unless and until the
Local Government is in full compliance with the above requirements.
[THE REMAINDER OF THIS PAGE HAS INTENTIONALLY BEEN LEFT BLANK.]
12
78
MnD[TContract No. 1029979
City ofMound DEPARTMENT OFTRANSPORTATION
Local Government certifies that the appropriate
persun(s)have executed the contract onbehalf Vfthe
Local Government a»required byapplicable articles,
bylaws, resolutions or ordinances
Utz
Tide
Date:
Updated December 1, 2017 13
79
Title:
Date:
COMMISSIONER 0FADMINISTRATION
Hs
Date:
Executive Summary
TO: Honorable Mayor and City Council
FROM: Sarah Smith, Community Development Director
Rita Trapp and Laura Chamberlain, Consultant Planners
DATE: January 4, 2018
SUBJECT: Major Subdivision -Final Plat for Eva and Abbie Addition
Summary
On September 26, 2017, the City Council approved the major subdivision — preliminary plat, submitted
by Louis Colson of Colson Custom Homes, for the redevelopment of 4873 Shoreline Drive into a five -lot
single family residential development. A major subdivision -final plat for the project has been submitted
by the applicant. A review of the major subdivision -final plat finds that the final plat is consistent with
the previously approved preliminary plat and that the conditions identified for the preliminary plat have
been satisfied.
Discussion/Additional Information
• The applicant closed on the purchase of the subject property on December 29, 2017.
• The MCES SAC determination is being requested for the subject property.
• As provided by city Code Section 121.121, a park dedication fee of $6,600 shall be paid for the
major subdivision. The park dedication fee is determined based on 10% of the estimated land
value of $66,000 per Hennepin County tax information at the time of the final plat application.
• As the property has frontage on improved public roads and municipal utilities are available,
Staff's determination is that a development agreement is not needed for this project.
• The plat opinion prepared for the property referenced easements for public drainage and utility
purposes. Due to the dedication of additional right of way from the north edge of the property,
the applicant may wish to consider amending or revising the easements to reflect the new
northern property boundary. Council advised that this activity would need to be done a
separate process in the form of a vacation action and would the responsibility of the applicant.
The existing easements do not affect building setback areas on the new plat.
Timeline for Consideration
Minnesota statutes requires action on final plat applications within 60 days. The final plat application
was submitted on November 27, 2017 and the City's deadline for action is January 26, 2018.
80
Notification
Neighboring property owners, per information from the Hennepin County Property Information
website, were notified by letter on January 3, 2018 that the final plat was being included on the
Consent Agenda for the Tuesday, January 9, 2018 City Council meeting for consideration/action.
Recommendation
A draft resolution has been prepared to approve the final plat. Staff recommends Council approval.
F-1
•' 9'ILl] 1 [01 Z FAI- • • • X11
WHEREAS, the applicant, Louis Colson of Colson Custom Homes, has
submitted a major subdivision — final plat application to plat the proposed Eva
and Abbie Addition as described in Exhibit A; and
WHEREAS, the subject site is generally located at Shoreline Drive (County Road
15) and Norwood Lane in the City of Mound at the address of 4873 Shoreline
Drive; and
WHEREAS, the major subdivision — final plat is consistent with the major
subdivision — preliminary plat, which was approved by the City Council by
Resolution 17-143 on September 26, 2017; and
WHEREAS, variances for the Eva and Abbie Addition were approved by the City
Council by Resolution No. 17-144 on September 26, 2017; and
WHEREAS, the City of Mound adopted a comprehensive plan amendment
(Resolution No. 17-145) on November 14, 2017 to reguide the site from medium
density residential to low density residential; and
WHEREAS, Staff reviewed the application and recommended approval of the
major subdivision — final plat with conditions; and
WHEREAS, the City Council reviewed the major subdivision — final plat request
at its January 9, 2018 meeting and determined that the proposed plat is
consistent with the plans and policies of the City; and
WHEREAS, in granting approval of the major subdivision -final plat, the City
Council hereby makes the following findings of fact:
and
1. The proposed final plat is consistent with applicable development plans
and policies of the City of Mound.
2. The proposed final plat is in all respects consistent with the preliminary
plat.
3. The proposed development will not negatively impact the public health,
safety or welfare of the community.
82
WHEREAS, the City Council's action approving the major subdivision -final plat
was made within the 60 day timeline in state statute.
NOW, THEREFORE, BE IT RESOLVED, by the City Council of the City of
Mound, that the major subdivision -final plat requested by the applicant is hereby
approved with the following conditions:
The final plat drawing labeled as Exhibit A is hereby incorporated
into this Resolution and all improvements shall be as shown on the
plans or as modified under the approval of the City.
2. Applicant shall meet all conditions included in the official resolutions
approving the major subdivision -preliminary plat and the variances
approved by the City Council on September 26, 2017.
3. Applicant shall pay all costs associated with the final plat
application. The submittal of additional escrow may
be required prior to the release of documents for recording.
4. Applicant shall be responsible for procurement of any and/or all
public agency permits including the submittal of all required
information prior to building permit issuance.
5. The applicant shall record the resolutions, the final plat, and all
other required documents with Hennepin County. The applicant is
advised that the resolutions, the final plat and all other required
documents will not be released for recording until all conditions
have been met. Release of the resolutions and documents
for recording shall be deemed conclusive proof that all conditions
have been met.
67. The applicant shall secure from MCES the SAC charge for the
project. Based on current policy, it is anticipated that this project
has 5 units with 1 credit given for the existing residence. Therefore,
4 SAC charges for the new lots being created shall be collected at
the time of building permit issuance. If the SAC determination is
different, the required charges shall be amended to reflect the
determination. The amount due shall be the current rate in place at
the time of building permit issuance. The 2018 MCES Sewer
Availability Charge is $2,485.00 per unit.
Replacement Page 83
73. The applicant shall be responsible for trunk area sewer charges
and trunk area water charges for the project. Currently, the per unit
cost for each is $2,000. Trunk area water sewer charges and trunk
area water charges for the project are based on the MCES SAC
determination. Based on current policy, it is anticipated that this
project has 5 units with 1 credit given for the existing residence.
Therefore, 4 sewer trunk area charges and 4 water trunk area
charges for the new lots being created shall be paid prior to the
release of the resolution. If the SAC determination is different, the
required trunk area sewer charges and trunk area water charges
shall be amended to reflect the determination.
. The applicant shall be responsible for sewer and water connection
fees for the project. Currently, the per unit cost for each of the new
lots is $240 for the sewer connection fee and $240 for the water
connection fee. These fees shall be paid at the time of building
permit issuance and shall the amount included in the
City's adopted fee schedule at the time of building permit issuance
(if different than the 2018 rates of $240 for sewer and water
connection fees.)
24-9. A park dedication fee of $6,600 is required for the major
subdivision and shall be paid prior to the release of the final plat for
recording.
104. Applicant shall be responsible for procurement of any and/or all
® public agency permits including the submittal of all required
information prior to building permit issuance or
commencement of any site alteration activities.
113. No future approval of any development plans and/or building
permits is included as part of this action.
124. No building permits will be issued until evidence of recording of the
resolution(s) at Hennepin County is provided.
13-5. No grading or alteration is permitted or authorized in any wetland or
floodplain unless a permit has been issued by the MCWD.
Replacement Page 84
143. Evidence from the MCWD in the form of a permit or waiver for
current rules must be provided before release of any future building
permit for commencement of site alteration activities.
154. Per code, all new structures must meet or exceed the Regulatory
Flood Protection Elevation or be three feet above the ordinary high
water mark of a wetland, as applicable.
165. If the subdivision requires the construction of municipal utility
improvements (i.e., services, etc.), these activities must be
constructed and installed prior to the release of the resolution or
applicant shall be responsible for the submittal of a
contractor's estimate, which shall be subject to review and
acceptance by the Public Works Director, and the
submittal of a cash escrow or alternate form of financial security
accepted by the City Manager -Director of Public Works, in the
amount of 125 percent of the contractor's estimate.
17&. Any curb, gutter and streets which are disturbed because of
construction, including, but not limited to, installation of the water
service, sewer service and small utilities, shall be the
responsibility of the permit holder. Applicant is advised that
separate permitting for work on public property including streets or
ROW may be required
187. Storage of construction materials shall meet the applicable
requirements of the City Code. Any work in public ROW requires
permission and coordination with the Public Works Department.
198. The lots approved with the major subdivision shall be considered to
be non -lot of record parcels.
204-9. Removal of the shed, driveway and all other encroachments
on the property prior to the release of the resolution for recording to
ensure the property, post -subdivision, conforms to the regulations
of the City Code. As an alternative, the applicant
may submit a contractor's estimate detailing all required activities
required to remove or correct encroachments for review and
acceptance by the City Manager - Director of Public Works and
submittal of cash escrow, or alternate form of financial security
accepted by the City Manager -Director of Public Works, in the
amount of 125% of the contractor's estimate.
210. Additional comments and/or conditions from the City Council, Staff,
consultants, and public agencies -
Replacement Page 85
Adopted by the City Council this 9t" day of January, 2018.
Mark Wegscheid, Mayor
Attest: Catherine Pausche, Clerk
Exhibit A
(insert legal descriptions)
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2415 Wilshire Boulevard
Mound, MN 55364
(952) 472-0604
To: Honorable Mayor and City Council
From: Sarah Smith, Community Development Director
Date: January 2, 2018
Re: Easement over PID No. 25-117-24-21-0026
Overview
PID No. 25-117-24-21-0026 is a tax forfeit lot that abuts the property at 3206 Warner Road
on the west side. The property at 3206 Warner Road is for sale and Staff was recently
notified that an issue has been raised about the existing driveway for the 3206 Warner Road
property as it is located on the tax forfeit parcel along with other private improvements.
Based on review of historical information on file with the City of Mound, this parcel, which is
made up of the westerly 20 feet of Lot 9, Block 12, Whipple, was to be retained for road
widening purposes and the easterly 20 feet of Lot 9, Block 12, Whipple, which is now part of
the 3206 Warner Road property, was to be released for public sale.
While the westerly 20 feet of Lot 9, Block 12, Whipple was to be retained by the City for road
purposes, Hennepin County and City Staff have not located deed in favor of the City of
Mound for the parcel. Therefore, the City of Mound is not the owner of the PID No. 25-117-
24-21-0026.
With regard to the present status of the tax forfeit lot, Hennepin County and City Staff have
determined that the westerly 20 feet of Lot 9, Block 12, Whipple, can be sold through an
Adjacent Owner (AO) sale on the condition that an easement, in favor of the City of Mound
for road / utility purposes, is executed and recorded prior to future sale of the property.
Per information from Hennepin County, City approval to offer the parcel for AO sale is not
required. Once the road easement agreement is executed and of record at Hennepin
County, Hennepin County will proceed with the AO sale.
Requested Action
A draft resolution has been prepared to approve the easement, in favor of the City of
Mound, over PID No. 25-117-24-21-0026. A copy of the agreement, which was prepared
by the City Attorney, has been included an attachment. Staff recommends approval.
89
MKOWAGM
4*01 W11 I LeiLeM UP
RESOLUTION APPR•
OVER PID NO. PID No. 25-117-24-21-0026 FOR ROAD AND UTILITY PURPOSES ON
PARCEL ADJACENT TO 3206 WARNER ROAD
WHEREAS, PID No. 25-117-24-21-0026 (hereinafter "subject lot") is a Hennepin County tax
forfeit lot; and
WHEREAS, there is a driveway that provides access to the abutting property at 3206 Warner
Road along with other private improvements on the subject lot; and
WHEREAS, there are public road and utility improvements constructed on the subject parcel;
and
WHEREAS, the subject parcel is made up of the westerly 20 feet of Lot 9, Block 12, Whipple,
and was previously retained for road widening purposes. The easterly 20 feet of Lot 9, Block
12, Whipple, was previously released for public sale and is now part of the 3206 Warner Road
property; and
WHEREAS, while the westerly 20 feet of Lot 9, Block 12, Whipple was retained by the City of
Mound for road purposes, Hennepin County and City Staff have not located deed in favor of the
City of Mound for the parcel. Therefore, the City of Mound is not the owner of the PID No. 25-
117-24-21-0026; and
WHEREAS, Hennepin County and City Staff have determined that the westerly 20 feet of Lot
9, Block 12, Whipple, can be released through an Adjacent Owner (AO) sale on the condition
that an easement in favor of the City of Mound for road / utility purposes is executed and
recorded prior to future sale of the property; and
WHEREAS, the City Attorney has prepared an Easement over the subject parcel, in favor of the
City of Mound, for road and utility purposes, which has been included as Exhibit A; and
NOW THEREFORE, BE IT RESOLVED that the City Council of the City of Mound, Minnesota,
does hereby approve the Easement
nAanageF to exam to the Easeme in substantially the same form as Exhibit A. The City
Attorney is a authorized to make any required revisions and/or changes to the Easement that
are in keeping with the intent of this Resolution.
Adopted by the City Council this 9th day of January, 2018.
Attest: Catherine Pausche, Clerk
Mayor Mark Wegscheid
EXHIBIT A
Agreement
91
EASEMENT
THIS INSTRUMENT is made by the Hennepin County Auditor, as manager of tax forfeited
lands, with the approval of the Hennepin County Board of Commissioners, and on behalf of the
State of Minnesota, Grantor, in favor of the City of Mound, a Minnesota municipal corporation,
Grantee.
Recitals
A. The State of Minnesota is the fee owner, in trust for the local taxing districts, of the real
property in Hennepin County, Minnesota, which is legally described on the attached
Exhibit A (the "Property").
B. The Hennepin County Board of Commissioners has approved this grant of an easement over
the Property.
C. The Hennepin County Auditor has the authority to convey this easement pursuant to
Minnesota Statutes, section 282.04, subdivision 4.
Terms of Easement
1. Grant of Easement. Grantor grants and conveys to the Grantee a permanent non-exclusive
easement for right-of-way and utilities purposes over, under, and across that portion of the
Property described in Exhibit B (the "Easement Area").
2. Scope of Easement. The permanent right-of-way and utilities easement being granted
includes the right of the Grantee, its contractors, agents, and employees to enter the Easement
Area at all reasonable times for the purpose of locating, constructing, reconstructing, operating,
maintaining, inspecting, altering and repairing within the describe Easement Area a public
roadway, storm sewer, sanitary sewer and water facilities and sidewalk, or other public facilities
or improvements of any type that are not inconsistent with a public right-of-way use.
The easement granted herein also includes the right to cut, trim, or remove from the
easement areas trees, shrubs, or other vegetation that, in the Grantee's judgment, unreasonably
New page 91.1
interfere with the easement or facilities of the Grantee, its successors or assigns, and to utilize the
easement area for snow storage.
3. Cancellation. This easement may be cancelled by the County Board pursuant to the
provisions of Minnesota Statutes, section 282.04, subdivision 4.
4. BindingEffect. The terms and conditions of this instrument shall run with the land and
be binding on the Grantor, its successors, and assigns.
State Deed Tax due on this instrument: None.
Dated
By:
Mark Chapin, Hennepin County Auditor
State of Minnesota, County of Hennepin
The foregoing was acknowledged before me this day of ,
2018, by Mark Chapin [or by
deputy for], Hennepin
County Auditor, as manager of tax forfeited lands, with the approval of the Hennepin County
Board of Commissioners, and on behalf of the State of Minnesota.
NOTARIAL STAMP OR SEAL (OR OTHER TITLE OR RANK)
THIS INSTRUMENT DRAFTED BY:
Kennedy & Graven, Chartered
470 US Bank Plaza
200 South Sixth Street
Minneapolis, MN 55402
Signature of notarial officer
Commission Expires
2
New Page 91.2
EXHIBIT A
Legal Description of the Property
The West Half of Lot 9 and that part of adjoining vacated Hanover Road lying South of the
center line thereof and between the extensions across it of the West line of said Lot 9 and the East
line of the West Half of said Lot 9, Block 12, "Whipple", Hennepin County, Minnesota.
(Torrens Property, Certificate No. 1456806)
A-1
New Page 91.3
EXHIBIT B
Legal Description of the Easement Area
West of a line drawn from the southwest corner of Lot 9, Block 12, "Whipple", Hennepin
County, Minnesota to a point 15 feet west of the northwest corner of the West Half of Lot 9, 12,
"Whipple" Hennepin County, Minnesota including the adjoining vacated portion of Hanover
Road
B-1
New Page 91.4
MNSPECTINC.
235 First Street West • Waconia, MN 55387-1302
To: Honorable Mayor and Council
CC: Sarah Smith and Eric Hoversten
From: Scott Qualle
Date: January 4, 2018
Re: Technology Implementation Progress
Thank you for the opportunity to provide this update regarding our technology implementation
progress. As I've been told, no technology upgrade occurs without challenges, and although that
appears to be true in this situation as well, I feel that we are nearing the end of that struggle.
As you know, we have undertaken two significant technology changes: the website and CityForce
permitting software. Although at the start we could not have anticipated that the implementation
timelines for the two projects would be nearing completion simultaneously, that has turned out to
be the case; so our staff has been working on multiple fronts to get both projects accomplished.
Regarding online web -based electrical permit application submittal, I have reviewed the final version
of the logic/decision tree for permit submittal, and believe that it will do all that we discussed. We
are doing final testing on data flow and double-checking calculations at this time, and would expect
electrical permit application submittal to be publicly available for the website sometime before the
end of January.
With regard to the CityForce implementation, we had a conference call with the developers on
Wednesday, January 3rd, and we are in the final phases of comprehensive testing of the system.
We believe that all development is completed and that the configuration verification activity should
be all that remains. Our agreement with CityForce is that if all configuration issues have been
resolved by them prior to the 26th, we will go live on February 1. I don't expect that everything will
be perfect on that day, but the system will be capturing activity, and we will work out minor details
as we use the software.
To our understanding, the remaining items in my previous memo regarding the public portal are still
underway and the timeline is hopefully on track. I will know more as we get closer to those dates.
92
Date
Weather
Cust 17
Cust 16
Variance
2017
2018
Difference +/-
/-12/1/2U17ovrcnt40s
12/l/2017
ovrcst 40s
494
510
-16
12373.25
16479.23
-4105.98
12/2/2017ovrcot40s
523
429
94
12631.4
10796.96
1834.44
13/3/2017nvrcst40s
226
554
-328
4522.33
13344.58
-8822.25
12/4/I0l7
damp 57
239
239
4896.51
4896.51
12/5/2017ddy15
280
283
-]
4604.4
5671.08
-966.68
1Z/6/20l7|t
snow 15
261
IDD
-27
5272.38
6051.59
-779.21
12/7/2O17pt
sun 36
496
254
242
17084.31
5374.96
11709.35
12/8/Z017pt
sun 30
453
300
153
10613.4
6815.06
3798.34
12/9/2017ovrcs115
466
544
-78
12007.65
14027.14
-3019.49
12/l0/2017
sun mid 30o
236
588
'352
5280.9
16650.86
-11369.96
1%/11/2017pt
sun 3U
241
241
4509.57
4509.57
12/12/2017
pt sun 34
268
279
-11
5944.09
5090.8
853.29
12/1]/2O17pt
sun 3Us
283
200
3
5776.13
6434.57
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12/14/2017ovrrst20s
292
301
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6507.79
6174.98
332.81
12/15/2017ovrcot20a
509
338
171
14144.84
9868.04
5076.8
12/16/2017
ovrcst 20s
496
784
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12606.66
20850.23
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12/17/2017ovrcst20s
233
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12/18/2017uvrrst|o38s
256
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12/19/2817ovrcst|o38s
345
283
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6513.27
1805.11
12/20/2017ddy28
320
358
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12/21/2017ddy25
354
377
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10451.47
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648
401
247
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21557.39
8699.12
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741
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282
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346
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283
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December 15, 2017
Dear City Administrator:
505 Nicollet Mall
P.O. Box 59038
Minneapolis, MN 55459-0038
We are writing to inform you that Administrative Law Judge Jeffery Oxley is holding four
public hearings on CenterPoint Energy's rate increase proposal. For more information
on the public hearings, please see the enclosed copy of our Notice of Public Hearings
for CenterPoint Energy Minnesota Customers.
Additional information about our Rate Case is available at our website at:
CenterPointEnergy.com/RateCase.
Sincerely,
CenterPoint Energy
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SARAH LINDAHL - PFIEFFER
JUDICIAL DISTRICT ADMINISTRATOR
SARAH. LIN DAH L -PFI EFFEROCOURTS.STATE.MN. US
PHONE: (612) 348-7757
December 11, 2017
Dear Justice Partner:
STATE OF MINNESOTA
FOURTH JUDICIAL DISTRICT
SERVING HENTNEPIN COUNTY`
C-1251 COURTS TOWER
.300 SOUTH SIXTH STREET
MINNEAPOLIS, MINNESOTA 55467
Hennepin County District Court has been planning and reviewing options for a southern suburban
courthouse location for several years, anticipating the replacement of the current Southdale courthouse.
As you may know, the proposed solution for a courthouse annex to the Bloomington Civic Plaza was
recently cancelled by Hennepin County. During this same time frame, Hennepin County set into motion
a plan to purchase and relocate some County functions to the Thrivent Financial building in downtown
Minneapolis. As a result of these changes, at the County's request, we have been reviewing various
options to relocate the Southdale court calendars.
Relocating a busy courthouse's work has proven to be a challenging proposition. We have been
reviewing many options to come up with the most desirable and practical solution. I can tell you the
process has been challenging to come up with a solution that takes into account calendar volume, space
limitations at existing facilities, parking, public transportation availability, geography and other
stakeholder priorities, and the many other factors at play here.
I understand you may be worried about how this impacts your court calendar operation. We do not
minimize the impact this change will have on court customers, your city, and our justice partners. The
Court is vetting the plans and details now, but has come up with reassignments of municipalities that
seems the most workable. This plan is far from ready and the details are really important to make this
successful. We appreciate your patience as we plan and forecast courthouse functions throughout
Hennepin County, given the facility changes noted above.
The reassignments, noted on the attachment, require calendar assignment changes at all three
courthouses: the Government Center, Ridgedale, and Brookdale. A timeline of these changes over the
next year is in the works. This information may create more questions than answers, but we felt it
important to inform you of the plans being developed. We would be happy to sit down with you to
discuss the proposed changes and will certainly keep you apprised of all developments that affect your
jurisdictions. As you know, the Court is responsible for calendar decisions while the County is
responsible for the real property associated with court operations — both new courthouses and capital
improvements. We are working collaboratively with the County to make wise decisions for the long-
term benefit of Hennepin County residents.
Sincerely,
Sarah Lindahl-Pfieffer
Fourth Judicial District Administrator, Serving Hennepin County
M
Downtown
Existing (2) Proposed (5)
Minneapolis IMinneapolis
Fort SnellingI Fort Snelling
Bloomington
MAC
Richfield
IExisting (5) jProposed (0)
IRD Opt #1 1 Cease Operations
Edina
MAC
Richfield
St. Louis Park
8rookdale
Ridgedale
Existing (26)
Proposed (25)
Deephaven
IDeephaven
Eden Prairie
Eden Prairie
Excelsior
Edina
Golden Valley
Excelsior
Greenwood
Greenwood
Hopkins
Hopkins
Independence
Independence
LMCD
LMCD
Long Lake
Long Lake
Loretto
Loretto
Maple Grove
Maple Plain
Maple Plain
Medicine Lake
Medicine Lake
Imedina
Medina
Minnetonka
Minnetonka
Minnetonka Beach
Minnetonka Beach Minnetrista
Minnetrista
Mound
Mound
Orono
Orono
Shorewood
Plymouth
Spring Park
Shorewood
St. Bonafacius
Spring Park
St. Louis Park
St. Bonafacius
Tonka Bay
Tonka Bay
Wayzata
Wayzata
Woodland
Woodland
IExisting (5) jProposed (0)
IRD Opt #1 1 Cease Operations
Edina
MAC
Richfield
St. Louis Park
8rookdale
Existing (14)
Proposed (17)
Brooklyn Center
Brooklyn Center
Brooklyn Park
Brooklyn Park
Champlin
Champlin
Corcoran
Corcoran
Crystal
Crystal
Dayton
Dayton
Greenfield
Golden Valley
Hanover
Greenfield
New Hope
Hanover
Osseo
Maple Grove
Robbinsdale
New Hope
Rockford
Osseo
Rogers
Plymouth
St. Anthony
Robbinsdale
Rockford
Rogers
St, Anthony
97