2018-07-10 CC Agenda PacketPLEASE TURN OFF ALL CELL PHONES & PAGERS IN COUNCIL CHAMBERS.
CITY OF MOUND MISSION STATEMENT: The City of Mound, through teamwork and cooperation, provides at a reasonable cost,
quality services that respond to the needs of all citizens, fostering a safe, attractive and flourishing community.
AGENDA
MOUND CITY COUNCIL
REGULAR MEETING
1. Opening meeting
2. Pledge of Allegiance
3. Approve agenda, with any amendments
TUESDAY, JULY 10, 2018 - 7:00 PM
MOUND CITY COUNCIL CHAMBERS
*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.
Page
4. *Consent Agenda
*A. Approve payment of claims 1238-1258
*B. Approve Resolution Approving Public Gathering Permit for use of Surfside 1259-1263
Park and Beach as Weigh -In Station for MN B.A.S.S. Nation Fishing 1262
Tournament being held on Sunday, August 26, 2018
*C Approve Resolution Approving Musical Concert Permit for Private Event 1264-1267
at 4416 Denbigh Road on Saturday, August 4, 2018 1265
*D. Approve Shock Hazard and Arc Flash Protection Policy, ADM -XXX 1268-1269
*E. Approve resolution approving plans and specifications and ordering 1270
advertisement for bids for the 2018 manhole inspection, jetting & 1271
televising project - Island Park Area
*F. Approve Pay Request #11 to Park Construction in the amount of $420,580.41 1272-1273
for the 2017 Street, Utility and Retaining Wall Improvement Projects;
PW -17 01-04
*G. Approve Resolution appointing election judges as recommended for the 1274
Primary and general election August 14, 2018 and November 6, 2018
5. Comments and suggestions from citizens present on any item not on the agenda.
(Limit to 3 minutes per speaker.)
TO: Mayor Mark Wegscheid
Mound City Councilors
City Manager Eric Hoversten
FROM: Gregory S. Pederson, Fire Chief
Andrew Drilling, MVFD Relief Association President
RE: Pension Plan Benefit and Bylaw Changes
Mound Volunteer Fire Department Relief Association
2415 Wilshire Boulevard
Mound, MN 55364
Main: 952.472.3555
Fax: 952.472.3775
www.moundfire.com
December 6, 2018
On November 14, 2018 the Mound Fire Commission Board approved proposed changes to the
Mound Volunteer Fire Department Relief Association Pension Plan Bylaws and Benefits. The
changes to the bylaws, plan and benefits were voted on and approved by the relief association
membership in October 2018. We believe the requested pension plan changes are warranted
and easily justified.
We are requesting action and your final approval of proposed pension plan and benefit
changes. Attached is supporting documentation for the proposed changes.
The changes to the bylaws and pension benefits would become effective on January 1, 2019.
The last changes to the pension plan and bylaws were effective 6 years ago in January, 2013.
Respectfully,
Cay°egoty S. Pederson
Mound Fire Chief
MVFD Relief Association Board Member
Attachments
-2539-
A� 'Xqq w e4�S
Andrew M. Drilling
President MVFD Relief Association
U I [.
Mound Volunteer Fire Department Relief Association
December • i
"Proposed" Pension Plan and Bylaw Changes
A detailed summary of the "proposed" bylaw changes and pension plan benefit changes to
become effective January 1, 2019:
1. Increase the pension benefit by 5% for active, vested deferred, and retired members:
The MVFD Relief Board requests we increase the pension benefit by 5% for both the
monthly and lump sum beneficiaries.
2. Restore the monthly payout option to all firefighters hired prior to January 2012:
A A total of only 15 individuals would be impacted by the change. The bylaws would need
a language change to provide the optional monthly benefit to the 15 firefighters.
Essentially, we would be restoring the monthly benefit option to the 15 firefighters that
were promised the benefit when hired, and lost the benefit in 2012.
3. Increasing the service cap from 25 to 30 years for active members only:
➢ Change the pension plan to pay benefits for up to 30 years of service benefits for both
monthly and lump sum beneficiaries.
GSP
-2540-
Existing and Proposed Changes to the
EXISTING
Existing Pension Plan Benefits
Effective January 1, 2013
Years of
Accrued
Benefit
*Monthly
Service
Benefit
Amount
Payout
Less then 10 years of Service - No Benefits
10
60%
$30.25
$181.50
11
64%
$30.25
$212.96
12
68%
$30.25
$246.84
13
72%
$30.25
$283.14
14
76%
$30.25
$321.86
15
80%
$30.25
$363.00
16
84%
$30.25
$406.56
17
88%
$30.25
$452-54
18
92%
$30.25
$500.94
19
96%
$30.25
$551.76
20
100%
$30.25
$605.00
21
100%
$30.25
$635.25
22
100%
$30.25
$665.50
23
100%
$30.25
$695.75
24
100%
$30.25
$726.00
25
100%
$30.25
$756,25
PROPOSED
Proposed Pension Plan Benefits
Effective January 1, 2019
Years of
Accrued
Benefit
*Monthly
Service
Benefit
Amount
Payout
Less then 10
years of Service
- No Benefits
10
60%
$31.75
$190.50
11
64%
$31.75
$223.52
12
68%
$31.75
$259.08
13
72%
$31.75
$297.18
14
76%
$31.75
$337.82
15
80%
$31.75
$381.00
16
84%
$31.75
$426.72
17
88%
$31.75
$474.98
18
92%
$31.75
$525.78
19
96%
$31.75
$579.12
20
100%
$31.75
$635.00
21
100%
$3135
$666.75
22
100%
$31.75
$698.50
23
100%
$31.75
$730.25
24
100%
$31.75
$762.00
25
100%
$31.75
$793.75
26
100%
$31.75
$825.50
27
100%
$31.75
$857.25
28
100%
$31.75
$889.00
29
100%
$31.75
$920.75
30
100%
$31.75
$952.50
*(Monthly Payout = Years of Service x Accrued Benefit x Benefit Amount)
NOTE: NO Benefits are paid until a vested retiree reaches the age 50 years
Page 1 of 2
J:\admin\Admin, Policies Procedures Guidelines\MFD Relief By2-'5v4TL" Proposed Changes\2019 Benefit Calculation Format Page
Existing and Proposed Changes to the
Mound Volunteer Fire Department Relief Association Benefits
EXISTING
Existing Pension Plan Benefits
Effective January 1, 2013
Years of
Accrued
Benefit
*Lump Sum
Service
Benefit
Amount
Payout
Less then 10 years of Service - No Benefits
10
60%
$5,585.00
$33,510.00
11
64%
$5,585.00
$39,318.40
12
68%
$5,585.00
$45,573.60
13
72%
$5,585.00
$52,275.60
14
76%
$5,585.00
$59,424.40
15
80%
$5,585.00
$67,020.00
16
84%
$5,585.00
$75,062.40
17
88%
$5,585.00
$83,551.60
18
92%
$5,585.00
$92,487.60
19
96%
$5,585.00
$101,870.40
20
100%
$5,585.00
$111,700.00
21
100%
$5,585.00
$117,285.00
22
100%
$5,585.00
$122,870.00
23
100%
$5,585.00
$128,455.00
24
100%
$5,585.00
$134,040.00
25
100%
$5,585,00
$139,625.00
Proposed Pension Plan Benefits
Effective January 1, 2019
Years of
Accrued
Benefit
*Lump Sum
Service
Benefit
Amount
Payout
Less then 10
years of Service - No Benefits
$5,862.00
10
60%
$5,862.00
$35,172.00
11
64%
$5,862.00
$41,268.48
12
68%
$5,862.00
$47,833.92
13
72%
$5,862.00
$54,868.32
14
76%
$5,862.00
$62,371.68
15
80%
$5,862.00
$70,344.00
16
84%
$5,862.00
$78,785.28
17
88%
$5,862.00
$87,695.52
18
92%
$5,862.00
$97,074.72
19
96%
$5,862.00
$106,922.88
20
100%
$5,862.00
$117,240.00
21
100%
$5,862.00
$123,102.00
22
100%
$5,862.00
$128,964.00
23
100%
$5,862.00
$134,826.00
24
100%
$5,862.00
$140,688.00
25
100%
$5,862.00
$146,550.001
26
100%
$5,862.00
$152,412.
27
100%
$5,862.00
$158,274ai
28
100%
$5,862.00
$164,136.1
29
100%
$5,862.00
$169,998.1
30
100%
$5,862.00
$175,860.1
*(Lump Sum Payout = Years of Service x Accrued Benefit x Benefit Amount)
NOTE: NO Benefits are paid until a vested retiree reaches the age 50 years
Page 2 of 2
J:\admin\Admin, Policies Procedures GuldellneS\MFD Relief By�-2q.19 Proposed Changes\2019 Benefit Calculation Format Page
MOUND FIREMEN'S RELIEF ASSOCIATION
December 31, 2017 Actuarial Valuation
B. Actuarial accrued liability (AAL)
1. Active members
$ 1,108,752
$ 1,164,190
$ 1,135,628
$ 1,156,203
A. Plan Provisions
616,686
647,520
616,686
616,686
Benefit increase percentage:
3,649,766
5%
n/a
n/a
Monthly benefit for, active members:
$30.25
$31.76
$30.25
$30.25
Lump Sum benefit for active members:
$5,585
$5,864
$5,585
$5,585
Benefit effective January 1:
2018
2018
2018
2018
Maximum years of service for benefit accrual
25
25
25
30
Requirements to elect an annuity
10 yrs svc
10 yrs svc
DOH
10 yrs svc
C. Special fund assets
as of
as of
"Before
as of
D. Unfunded actuarial accrued
1/1/2012
1/1/2012
1/1/2012
1/1/2012
B. Actuarial accrued liability (AAL)
1. Active members
$ 1,108,752
$ 1,164,190
$ 1,135,628
$ 1,156,203
2. Vested terminated members
616,686
647,520
616,686
616,686
3. Retired members
3,649,766
3,832,254
3,649,766
3,649,766
4. Spouses receiving benefits
293,021
307,672
293,021
293,021
5. Disabled members receiving
0
0
0
0
benefits
1,931
28,696
6,489
8,270
6. Total actuarial accrued liability
5,668,225
5,951,636
5,695,101
5,715,676
7. Change from current benefit rate
283,411
26,876
47,451
C. Special fund assets
5,556,413
5,556,413
5,556,413
5,556,413
D. Unfunded actuarial accrued
111,812
395,223
138,688
159,263
liability (A.6. - B.)
E. Credit for surplus
0
0
0
0
F. Amortization payment
1. Amortization period
15
18
15
16
2. Payment
10,259
32,200
12,725
13,995
G. Normal cost
96,484
101,308
98,576
99,087
H. Annual contribution payable:
2018 20119
2018, 2019
2018, 2019
2018, 2019
1. Preliminary contribution (E.+F.+G.)
106,743
133,508
111,301
113,082
2. Admin expense (prior year x 1.035)
8,197
8,197
8,197
8,197
3. Annual contribution (1.+2.)
114,940
141,705
119,498
121,279
4. Estimated State Aid113
009
(113,009)
11( 3,009)
(113,009)
5. Estimated City contribution (3.+4.)
1,931
28,696
6,489
8,270
6. Estimated change in City contribution
26,765
4,558
6,339
I. Funded ratio 98% 93% 98% 97%
Other than the potential benefit changes shown above in part A., all results in this exhibit are based on the census
data, assets, assumptions, methods, and plan provisions disclosed in the 12/31/2017 actuarial valuation report.
These include an assumption that 50% of future retirees eligible for an annuity option will elect a lump sum payment
option.
l/D/C/R: 3/emk/s1b/bkh 5/22/2019
-2543-
December 31, 2017
Actuarial Valuation of Statutory Funding Requirements
May 18, 2018
T'rf45oufHFa-fHSTkEET MIN NEAPOL15,MN' 55402-10101
61 Z.'.a96 5960 tprflNs,,e:888,596,5� 60 f:612596,5999 WWWNAN, IwAARo�,N, CUM
-2544-
MOUND FIREMEN'S RELIEF ASSOCIATION
December 31, 2017 Actuarial Valuation
"table of Contents
Page
Introduction and summary
Introduction and Actuarial Certification . . .. . . . . . . . . . . . . . . . . . . . . . . . . . . 1
Valuation of the Current Plan . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3
Funding basis results
Reconciliation of Plan Assets . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 4
Changes in the Unfunded Actuarial Accrued Liability . . . . . . . . . . . . . . . . . . . . . . . . 5
Determination of Amortization Period . . . . . . . . . . . . . . . . . . . . . . . . . . . b
Average Available Financing . , . . . . . . . . . . . . . . . . . . . . . . . . . . 7
Valuation data
Summary of Changes in Membership . . . . . . . . . . . . . . . . . . . . . . . . . . . . 8
Summary of Participant Data . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 9
Supplementary information
Summary of Plan Provisions . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 10
Summary of Actuarial Methods . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 11
Summary of Actuarial Assumptions . . . . . . . . . . I . . . . . . . 12
Selection of Economic Assumptions . . . . . ._ . . . . . . . . . . 14
Selection of Non -Economic Assumptions . . . . . . . . . . . . . . . . . 15
-2545-
MOUND FIREMEN'S RELIEF ASSOCIATION
December 31, 2017 Actuarial Vatuation
Introduction and Actuarial Certification
Purposes of the valuation
This report presents the results of the December 31, 2017 statutory funding valuation for the Mound Firemen's Relief
Association. Its sole purpose is to determine the annual municipal obligation to the plan and should not be used for
any other purpose. Computations for other purposes, such as plan accounting, may differ significantly from the
results shown in this report.
This report may not be used for any other purpose, and Van lwaarden Associates is not responsible for the
consequences of any unauthorized use. Its content may not be modified, incorporated into or used in other material,
or otherwise provided, in whole or in part, to any other person or entity, without our permission.
Sources of data
The Relief Association supplied the December 31, 2017 data for all active, terminated, and retired members, and
asset data for the special fund. We have relied on that data in preparing this report.
Changes from the previous valuation
The prior actuarial valuation of the plan was prepared as of December 31, 2015. Changes to the plan provisions and
actuarial assumptions reflected in this valuation are described at the end of each of those sections in this report.
These changes include:
• Mortality, termination, and disability rates were changed to those used in the most recent Minnesota PERA
Police Et Fire Plan actuarial valuation.
Summary of valuation results
The actuarial accrued liability used for determining the minimum required contribution decreased from $5,852,457
as of December 31, 2015 to $5,668,225 as of December 31, 2017. This was primarily due to lump sum benefit
payments. Special Fund assets increased from $4,842,300 as of December 31, 2015 to $5,556,413 as of December 31,
2017 due to greater -than -expected asset returns. As a result, the plan's funded status increased from 82.74% to
98.03%.
The annual statutory contribution based on the results of this report before any offset for State Aid is $114,940,
down from $205,884 determined by the 2015 valuation.
The State Aid amount is not yet known, but if the amount stays at the level paid in 2017 ($113,009), the remaining
municipal obligation would be $1,931 annually for fiscal years ending 2018 and 2019.
-2546-
MOUND FIREMEN'S RELIEF ASSOCIATION
December 31, 2017 Actuarial Valuation
introduction and Actuarial Certification (continued)
Actuarial certification
To the best of our knowledge, this report is complete and accurate and all Relief Association liabilities were
determined in accordance with generally accepted actuarial principles and practices. Upon receipt of the report, the
Relief Association should notify us if you disagree with any information contained in the report or if you are aware of
any information that would affect the results that has not been communicated to us. The report wilt be deemed final
and acceptable to the City and the Relief Association unless you notify us otherwise.
Chapter 356.216 of Minnesota Statues requires that an actuarial valuation of the fund be conducted periodically. The
State Auditor has determined that a valuation must be conducted at least every two years. An actuarial valuation is
a calculation to determine the normal cost and accrued liability of the fund and includes a determination of the
payment necessary to amortize the unfunded liability over the stated period.
The actuarial assumptions and methods are the responsibility of the plan sponsor with the exception of the discount
rate which is set by statute and is only appropriate to comply with statutory funding. We have reviewed the other
assumptions and believe that they are reasonable estimates of future plan experience, both individually and in the
aggregate.
We are available to answer questions on the material contained in this report or to provide explanations or further
details on the results. The undersigned credentialed actuary is a consulting actuary for Van Iwaarden Associates and
meets the Qualifications Standards of the American Academy of Actuaries to render the actuarial opinion contained
herein. In addition, the undersigned actuary meets the requirements of an "approved actuary" under Minnesota
statutes, Section 356.215, Subdivision 1, Paragraph (c). We are not aware of any direct or material indirect financial
interest or relationship that could create a conflict of interest or impair the objectivity of our work.
Respectfully submitted,
, ek4
Sandra L. Bruns, EA, FSA
Consulting Actuary
May 18, 2018
L/D/C/R: 4/st/sb/ek
v.06/08/2017
-2547-
MOUND FIREMEN'S RELIEF ASSOCIATION
3
December 31, 2017 Actuarial Valuation
2015
2017
A. Actuarial accrued liability (AAL)
1. Active members
$
1,383,812
$
1,108,752
2. Vested terminated members
650,663
616,686
3. Retired members
3,460,715
3,649,766
4. Spouses receiving benefits
357,267
293,021
5. Disabled members receiving benefits
0
0
6. Total actuarial accrued liability
$
5,852,457
$
5,668,225
B. Special fund assets
$
4,842,300
$
5,556,413
C. Unfunded actuarial accrued liability
$
1,010,157
$
111,812
D. Credit for surplus
$
0
$
0
E. Amortization payment
1. Amortization period
13
15
2. Payment
$
102,416
$
10,259
F. Normal cost
$
95,949
$
96,484
G. Annual contribution payable:
2016, 2017
2018, 2019
1. Preliminary contribution (D. + E. + F.)
$
198,365
$
106,743
2. Administrative expense (previous year x 1.035)
7,519
8,197
3. Annual contribution (1. + 2.)
$
205,884
$
114,940
4. Estimated State Aid
(107,578)
(113,009)
1,931
5. Estimated municipal contribution (3. + 4., not less than zero)
$
98,306
$
H. Funded Status
82.74%
98.03%
•
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Amendments Adopted 3/4/2013 -
Article II, Section 6:
Article I1, Section 7:
Article II, Section 8:
Amendments Adopted 10/23/2012
Article II, Section 1:
Article II, Section 4:
Article 11, Section S:
Article VIII, Section 1:
Article VIII, Section 3:
Article VIII, Section 4:
1111! 1
!colem le
Definition of Year Of Active Service
Break In Service
Return to Service
Exhibits A, B, C, D (Flowcharts)
Membership
Right and Privileges Forfeited
Membership after Retirement
Monthly and Lump Sum Pension
Survivor Benefit
Pension Service Credit Determination
♦. In g W4,
Proposed Adoptions with proposed change date of January 1, 2019
Article VIII, Section 1 Monthly and Lump Sum Pension
Article VIII Section 3 Survivor Benefit
Article VIII Section 4 Pension Service Credit Determination
jAadmin\admin, policies procedures guidelines\mfd relief by-laws\2019 proposed changes\10-1-2018 mfd relief assn by-laws
draft.docx
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Section 1: POWERS OF THE BOARD The Board of Directors shall have exclusive control and
management of all funds received by the Treasurer and shall constitute the governing body of
said association with full power and authority to carry out the objectives and purposes of the
association as set forth in articles of incorporation and the by-laws of the association and the laws
of the State of Minnesota.
Section 2: APPLICATION FOR RELIEF all applications for relief benefits shall be made in
writing.
Section 3: APPROVAL OF CLAIMS the Board of Directors, upon being satisfied of the merit
of any claim for benefits, shall endorse its approval thereon and the same shall forthwith be paid
by the association.
ARTICLE VIII
Section l: MONTHLY and LUMP SUM PENSION
a. A monthly pension benefit for the remainder of the member's natural life. The monthly
pension benefit for each individual member will be based on the vesting schedule and current
financial benefit level per exhibit A (at the time pension benefits begin). If the monthly
service pension amount is increased, service pension for retired members will also be
increased by the same amount.
b. A single lump sum pension benefit for the individual member which will be based on the
vesting schedule and current financial benefit level per Exhibit A (at the time pension benefit
is to be paid).
Applies to all active members:
If a member of the association has actively served in the Mound Volunteer Fire Department for
ten (10) years or more, and has NOT reached the age of fifty (50) years, the member may retire
from the Mound Volunteer Fire Department and be placed on the deferred pension roll. During
the time a member is on the deferred pension roll he/she shall be relieved of the obligation of
payment of dues.
All vested members upon retirement (current retirees included) choosing or receiving the monthly
pension benefit shall be paid monthly for the remainder of the member's natural life a service
pension which will be based on the vesting schedule and most current financial benefit level per
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survivor benefit for children will be paid until the age of eighteen (18) years or the child or
children marry whichever is sooner.
If there are no surviving children, a lump sum survivor benefit payment equal to five (5) times the
annual accrued monthly benefit (currently $30.25) times the member's years of service shall be
paid immediately to the appropriate beneficiary(s) with each beneficiary receiving an equal pro
rata share of the total lump sum benefit. The benefit will be determined without regard to the
member's vested status.
For Deferred (retired but not receiving pension) Members:
In the event of the death of a deferred member, the surviving spouse shall have an option to be
paid a survivor benefit equal to one of the following options:
a). a monthly benefit payment (for the remainder of the surviving spouses natural life) based upon
and equal to 75% of the members accrued monthly pension benefit times the member's years of
service. The benefit amount will be calculated and based upon the current financial benefit Ievel,
the prorated vesting schedule, and per Exhibit A.
b). a single lump sum payment based upon and equal to 75% of the current lump sum financial
benefit times the number of years of service. The benefit will be calculated and based upon the
current financial benefit level, the prorated vesting schedule, and per I,,xliibit A.
If there is no surviving spouse, the child or children will receive a monthly benefit payment based
upon a calculation of 75% of the monthly accrued benefit times the member's years of service.
The benefit amount will be calculated and based upon the current financial benefit level, the
prorated vesting schedule, and per Exhibit A. The survivor benefit for children will be paid until
the age of eighteen (18) years or the child or children marry whichever is sooner.
If there are no surviving children, a lump sum survivor benefit payment equal to five (5) times the
annual accrued monthly benefit (currently $30.25) times the member's years of service shall be
paid immediately to the appropriate beneficiary(s) with each beneficiary receiving an equal pro
rata share of the total lump sum benefit. The benefit will be calculated and based upon the current
financial benefit level, and not subject to the prorated vesting schedule as per Exhibit A.
A designated beneficiary may be a trust created under Chapter 501B since the lump sum survivor
benefit will be distributed as a one-time lump sum payment. If a trust was created and is payable
to the surviving children and there is no surviving spouse, the survivor benefit may be paid to the
trust.
VESTING SCHEDULE Members will be partially vested beginning at 10 years of service and
become fully vested at 20 years of service and a maximum ,accrual bgnellt �# 3Cl vers ofservice
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Effective 1/1/2013, the vesting schedule will be as follows for members receiving the lump sum
benefit described in Article XIII, Section 1:
Completed Years of
Service
a1(}
Percentage of Accrued
Service Pension
60%
13_.._
64%
68
_ _ _ %
�_. 14 ..
76%
_.r.�
15
80%
17
88% �
18
92%
19
96%
201.00%
..�..
21
._..m_22
23 w...
--_ loo°i°
100%
-_.� 100%
24
25
100%
100%
e I iont
Section 5: PENALTY FOR FRAUD Any member who shall be found imposing upon this
association by feigning sickness or injury for the purpose of defrauding the same, shall be
expelled. Any member failing to account for any money belonging to this association, which
may come into the member's hands, shall be expelled.
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-2553-
10 Lois U. -
WHEREAS, Van lwaarden Associates provided actuarial cost estimates for the impact
in changes in actuarial assumptions and benefit levels of proposed changes to the
Mound Fire Department Relief Association Pension Plan; and
WHEREAS, the proposed changes were approved by the required majority of the
Mound Fire Department Relief Association members at the Annual General Meeting
held in October, 2018;
WHEREAS, the last increase in benefit levels was in 2013; and
WHEREAS, the proposed increase in benefit levels will not materially impact the
Pension Plan's funding levels;
NOW THEREFORE, BE IT RESOLVED that the City Council of the City of Mound,
Minnesota, hereby approves the changes to the Mound Fire Department Relief
Association Pension Plan as summarized in Exhibit A, and made a part herein.
Adopted by the City Council this 11th day of December, 2018.
Attest: Catherine Pausche, Clerk
- 2554 -
Mayor Mark Wegschied
Mound Volunteer Fire Department Relief Association
December • 2018
"Proposed" Pension Plan and Bylaw Changes
A detailed summary of the "proposed" bylaw changes and pension plan benefit changes to
become effective January 1, 2019:
1. Increase the pension benefit by 5% for active, vested deferred, and retired members:
➢ The MVFD Relief Board requests we increase the pension benefit by 5% for both the
monthly and lump sum beneficiaries.
2. Restore the monthly payout option to all firefighters hired prior to January 2012:
A total of only 15 individuals would be impacted by the change. The bylaws would need
a language change to provide the optional monthly benefit to the 15 firefighters.
Essentially, we would be restoring the monthly benefit option to the 15 firefighters that
were promised the benefit when hired, and lost the benefit in 2012.
3. Increasing the service cap from 25 to 30 years for active members only:
A Change the pension plan to pay benefits for up to 30 years of service benefits for both
monthly and lump sum beneficiaries.
GSP
-2555-
WHEREAS, the City of Mound has participated in the hazard mitigation planning
process as established under the Disaster Mitigation Act of 2000, and
WHEREAS, the Act establishes a framework for the development of a multi -
jurisdictional County Hazard Mitigation Plan; and
WHEREAS, the Act as part of the planning process requires public involvement
and local coordination among neighboring local units of government and businesses;
and
WHEREAS, the Hennepin County Plan includes a risk assessment including past
hazards, hazards that threaten the County, an estimate of structures at risk, a general
description of land uses and development trends; and
WHEREAS, the Hennepin County Plan includes a mitigation strategy including
goals and objectives and an action plan identifying specific mitigation projects and costs;
and
WHEREAS, the Hennepin County Plan includes a maintenance or
implementation process including plan updates, integration of the plan into other
planning documents and how Hennepin County will maintain public participation and
coordination; and
WHEREAS, the Plan has been shared with the Minnesota Division of Homeland
Security and Emergency Management and the Federal Emergency Management
Agency for review and comment; and
WHEREAS, the Hennepin County All -Hazard Mitigation Plan will make the
county and participating jurisdictions eligible to receive FEMA hazard mitigation
assistance grants; and
WHEREAS, this is a multi jurisdictional Plan and cities that participated in the
planning process may choose to also adopt the County Plan.
NOW THEREFORE BE IT RESOLVED that the City of Mound supports the
hazard mitigation planning effort and agrees to adopt the Hennepin County All -Hazard
Mitigation Plan.
Adopted by the City Council this 11`h day of December, 2018
Mayor Mark Wegscheid
Attest: Catherine Pausche, Clerk
MAY 10 2018
Ms. Jennifer Nelson
Homeland Security and Emergency Management
.Minnesota Department of Public Safety
444 Cedar Street, Suite 223
Saint Paul, MN 55101
Dear Ms. Nelson:
Thank you for submitting the Hennepin County All Hazards Mitigation Plan update for our review.
The plan was reviewed based on the local plan criteria contained in 44 CFR Part 201, as authorized
by the Disaster Mitigation Act of 2000. Hennepin County met the required criteria for a multi -
jurisdictional local hazard mitigation plan. l r eal a) royal of this Wan is conting2rit i1o
We look forward to receiving the adoption documentation and completing the approval process for
Hennepin County.
If you or the community representatives have any questions, please contact Christine Meissner at
(312) 408-4460 or at
Sincerely,
J
, 4166'— �
GV- Melissa A. Janssen
Chief, Risk Analysis Branch
Mitigation Division
Attachments: Local Plan Review Sheets
-2557-
Nyww.fema,gov
U.S. Department of Homeland Security
Region V
536 S. Clark St., 6th Floor
Chicago, IL 60605-1509
A
Thank you for submitting the Hennepin County All Hazards Mitigation Plan update for our review.
The plan was reviewed based on the local plan criteria contained in 44 CFR Part 201, as authorized
by the Disaster Mitigation Act of 2000. Hennepin County met the required criteria for a multi -
jurisdictional local hazard mitigation plan. l r eal a) royal of this Wan is conting2rit i1o
We look forward to receiving the adoption documentation and completing the approval process for
Hennepin County.
If you or the community representatives have any questions, please contact Christine Meissner at
(312) 408-4460 or at
Sincerely,
J
, 4166'— �
GV- Melissa A. Janssen
Chief, Risk Analysis Branch
Mitigation Division
Attachments: Local Plan Review Sheets
-2557-
Nyww.fema,gov
HENNEPIN COUNTY O| |hJ7-Y
MINNESOTA
Hennepin CoUOfu' Board of Commissioners
2018
The following resolution was moved by Commissioner Mike Opat and seconded by Commissioner Debbie Goettel:
WHEREAS, Hennepin County has participated inthe hazard mitigation planning process smestablished under the federal
Disaster Mitigation Act of 2000; and
WHEREAS, the Act establishes oframework for the development ofeCounty Hazard Mitigation Plan; and
WHEREAS, the Act as requires public involvement and local coordination among neighboring local units of government
and businesses inthe assessment and planning process; and
WHEREAS, the Hennepin County Plan includes a risk assessment including county disaster history,oninventory of
hazards that threaten the County, an estimate of infrastructure at risk, a general description of population, land use and
development irenda|and
WHEREAS, the Hennepin County Plan includes amitigation strategy including goals and objectives and anaction plan
identifying specific mitigation projects and costs that will reduce disaster impacts; and
WHEREAS, the Hennepin County Plan includes a maintenanceorimp|et| process including plan updates,
integration ofthe plan into other planning documents and how Hennepin ' County will maintain public participation and
coordination; and
WHEREAS, the Plan has been shared with the Minnesota Division of Homeland Security and Emergency Management
and the Federal Emergency Management Agency for review and comment; and
WHEREAS, this Hennepin County All -Hazard Md ismulti-jurisdictional in scope and that cities that
participated in the planning process may choose to adopt the County Plan and be included in eligibility to apply for
federal mitigation grants,
BE IT RESOLVED, that the Hennepin County Board of Commissioners adopts the 2018 Hennepin County All -Hazard
Mitigation Plan.
The question was on the adoption of the resolution and there were 7 YEAS and 0 NAYS, as follows:
County of Hennepin
Board of County Commissioners
YEAS NAYS ABSTAIN ABSENT
0iheOpat
Linda Higgins
Marion Greene
Peter McLaughlin
OebbieGoette|
Jan Callison
Jeff Johnson
Y
MANAGEMENT 2018 Hennepin County All -Jurisdiction Hazard Mitigation Plan
Volume 1- Background and County Profile
HENNEPIN COUNTY EMERGENCY MANAGEMENT
1600 Prairie Drive, Medina, Minnesota 55304
February 1, 2018
On behalf of Hennepin County Emergency Management (HCEM), we are pleased to present the
2018 Hennepin County Multi -Jurisdictional Hazard Mitigation Plan.
The purpose of this plan is to identify the Counties major hazards, assess the vulnerability, and
to reduce risk using a variety of data and best practice measures to implement mitigation
projects. The plan identifies goals and recommended actions and initiatives for each jurisdiction
within this county to reduce and/prevent injury and damage from hazardous events. The intent
of the Plan is to provide unified guidance for ensuring coordination of recovery -related hazard
mitigation efforts following a major emergency/disaster, and to implement an on-going
comprehensive county hazard mitigation strategy intended to reduce the impact of loss of life
and property due to effects of natural hazards.
Through continued collaboration with each jurisdiction by providing staff expertise, support,
training and education opportunities, Hennepin County Emergency Management will continue
to increase its resiliency to the effects of natural hazards.
3
-2559-
HEMERGENCY
MANAGEMENT 2018 Hennepin County All -Jurisdiction Hazard Mitigation Plan
Volume 1- Background and County Profile
SCTiQN PN PURPOSE, AUTHO
RITYANDADOPTION
LA
2.1. AUTHORITY
This updated plan complies with all requirements set forth by HSEM and the Robert T. Stafford Disaster
Relief and Emergency Assistance Act, Section 104 of the Disaster Mitigation of 2000. In addition, it
complies with all of FEMA's Final Rule 44 CFR Part 201, which outlines criteria for approval of mitigation
plans.
2.2. SCOPE
This plan identifies natural hazards that pose a threat to the county, including incorporated and
unincorporated areas, and provides a plan of action for mitigating these hazards. The Plan evaluates and
ranks the major natural and human caused hazards affecting Hennepin County as determined by
frequency of event, economic impact, deaths and injuries. The Plan assesses hazard risk, reviews current
state and local hazard mitigation capabilities, develops mitigation strategies and identifies partner
agency and other interagency working group's actions to address mitigation needs. The Plan, as agreed
upon by all participating jurisdictions, assists in collaborating local mitigation plans or projects.
Mitigation recommendations are based on input from various federal, state, and local agencies and
research in using best practices. The Plan identifies existing resources and may be used as a tool to assist
communities to succeed in their mitigation efforts. This is accomplished by establishing countywide
mitigation strategies, providing technical resources through state, county and local agency staff
expertise and support, providing financial assistance through various programs, training and education
and other agency initiatives.
2.3. PURPOSE
FEMA defines Hazard Mitigation as any sustained action taken to reduce or eliminate long-term risk to
people and property from natural hazards such as flooding, storms, high winds, wildfires, earthquakes,
etc. Mitigation efforts undertaken by communities will help to minimize damages to buildings and
infrastructure, such as water supplies, sewers, and utility transmission lines, as well as natural, cultural
and historic resources.
The objective of the HMP is to rationalize the process of determining appropriate mitigation actions in
protecting citizens, critical facilities, infrastructure, private property and the surrounding environment
from natural and manmade hazards. This objective can be achieved by identifying potential hazards in
the county and establishing procedures that will mitigate the effects of the hazards. This plan provides a
framework for planning against hazards in the county. The plan can be used as a foundation for local
mitigation plans and partnerships in the county.
2.4. ADOPTION
In 2010, the incorporated cities and Hennepin County formed an agreement which established the
unification in the development of writing the plan. The Hennepin County Board of Commissioners and
City Councils from each participating municipality were required to adopt the plan prior to its submittal
to HSEM and FEMA for final approval.
11
EMERGENCY
MANAGEMENT2018 Hennepin County All -Jurisdiction Hazard Mitigation Plan
Volume 1- Background and County Profile
The Plan is intended to serve many purposes, including:
« Enhance Public Awareness and Understanding — to help residents of the County better
understand the natural and manmade hazards that threaten public health, safety, and welfare;
economic vitality; and the operational capability of important institutions;
« Create a Decision Tool for Management —to provide information that managers and leaders of
local government, business and industry, community associations, and other key institutions and
organizations need to take action to address vulnerabilities to future disasters;
• Promote compliance with State and Federal Program Requirements- to ensure the Hennepin
County and its incorporated cities can take full advantage of state and federal grant programs,
policies, and regulations that encourage or mandate that local governments develop
comprehensive hazard mitigation plans.
« Enhance Local Policies for Hazard Mitigation Capability- to provide the policy basis for mitigation
actions that should be promulgated by participating jurisdictions to create a more disaster
resistant future;
Provide Inter -Jurisdictional Coordination of Mitigation -Related Programming- to ensure that
proposals for mitigation initiatives are reviewed and coordinated among the participating
jurisdictions within the county; and
« Achieve Regulatory Compliance- To qualify for certain forms of federal aid for pre and post
disaster funding, local jurisdictions must comply with the federal DMA 2000 and its
implementing regulations (44CFR Section 201.6). DMA 2000 intends for hazard mitigation plans
to remain relevant and current. Therefore, it requires that state hazard mitigation plans are
updated every three years and local plans, including Hennepin County's every five years. This
means that the NMP for Hennepin County uses a "five-year planning horizon". It is designed to
carry the County through a five year term, after which its objectives, goals, and assumptions will
be reviewed with revisions being submitted to the County Board for adoption and approval.
12
EMERGENCY
MANAGEMENT 2018 Hennepin County All -Jurisdiction Hazard Mitigation Plan
Volume 1- Background and County Profile
3.1. Why Prepare This Plan — The Big Picture
Hazard mitigation is defined as a way to reduce or alleviate the loss of life, personal injury, and property
damage that can result from a disaster through long and short-term strategies. It involves strategies
such as planning, policy changes, programs, projects, and other activities that can mitigate the impacts
of hazards. The responsibility for hazard mitigation lies with many, including private property owners;
business and industry; and local, state, and federal government.
Potential types of hazard mitigation measures include the following:
• Structural hazard control or protection projects
• Retrofitting of facilities
• Acquisition and relocation of structures
• Development of mitigation standards, regulations, policies, and programs
• Public awareness and education programs
• Development or improvement of warning systems
The benefits of hazard mitigation include the following:
• Saving lives, protecting the health of the public, and reducing injuries
• Preventing or reducing property damage
• Reducing economic losses
• Minimizing social dislocation and stress
• Reducing agricultural losses
• Maintaining critical facilities in functioning order
• Protecting infrastructure from damage
• Protecting mental health
• Reducing legal liability of government and public officials
The Disaster Mitigation Act (DMA) of 2000 (Public Law 106-390) required state and local governments to
develop hazard mitigation plans as a condition for federal disaster grant assistance. Prior to 2000,
Federal disaster funding focused on disaster relief and recovery with limited funding for hazard
mitigation planning. The DMA increased the emphasis on planning for disasters before they occur.
The DMA encourages state and local authorities to work together on pre -disaster planning, and it
promote sustainability for disaster resistance. "Sustainable hazard mitigation" includes the sound
management of natural resources and the recognition that hazards and mitigation must be understood
in the largest possible social and economic context. The enhanced planning network called for by the
DMA helps local government's articulate accurate needs for mitigation, resulting in faster allocation of
funding and more cost-effective risk reduction projects.
3.2. Hennepin County's Response to the DMA
In 2005, Hennepin County Emergency Management (HCEM) and municipalities agreed to work together
to establish a framework for hazard mitigation planning that would meet the local mitigation planning
requirements of Title 44 of the Code of Federal Regulations(CFR 44). The result was a HMP that
14
-2562-
EMERGENCY
MANAGEMENT 2018 Hennepin County Ail -Jurisdiction Hazard Mitigation Plan
Volume 1- Background and County Profile
included Hennepin County Departments, municipalities and special jurisdictions. The plan provided
local governments with the tools to complete individual mitigation actions, as well as completing a
vulnerability assessment to meet their needs, while pooling resources and eliminating redundant
planning activities.
3.3. Purpose for Planning
HCEM and its planning partners have a long-standing tradition of proactive planning and program
implementation that is enhanced by the development of a hazard mitigation plan. Elements and
strategies in this plan were selected because they met a program requirement and because they best
meet the needs of the planning partners and their citizens. This hazard mitigation plan identifies
resources, information, and strategies for reducing risk from natural hazards, it will help guide and
coordinate mitigation activities throughout Hennepin County. The plan was developed to meet the
following objectives:
• Meet or exceed requirements of the DMA.
• Enable all planning partners to continue using federal grant funding to reduce risk through
mitigation.
• Meet the needs of each planning partner as well as state and federal requirements.
• Create a risk assessment that focuses on Hennepin County hazards of concern.
• Create a single planning document that integrates all planning partners into a framework that
supports partnerships within the County, and puts all partners on the same planning cycle for
future updates.
• Create an approach for local governments in the County no included in the previous plan to gain
DMA compliance.
• Meet the planning requirements of FEMA's Community Rating System (CRS), allowing planning
partners that participate in the CRS program to maintain or enhance their CRS classifications.
• Coordinate existing plans and programs so that high-priority initiatives and projects to mitigate
possible disaster impacts are funded and implemented.
3.4. Who Will Benefit from this Pian
All citizens and businesses of Hennepin County are the ultimate beneficiaries of this HMP. The plan
reduces risk for those who live in, work in, and visit the County. It provides a viable planning framework
for all foreseeable natural hazards that may impact the County. Participation in development of the plan
by key stakeholders in the County helped ensure that outcomes will be mutually beneficial. The
resources and background information in the plan are applicable countywide, and the plan's goals and
recommendations can lay groundwork for the development and implementation of local mitigation
activities and partnerships.
3.5. Plan Update —The Planning Process
Hennepin County Emergency Management was the lead agency in preparing the HMP for the county
and jurisdictions within. The plan revision process lasted approximately two years and ten months
beginning in February 2015. Forty-two municipalities, one university, five school districts, three special
districts and three cities that share adjacent counties were considered in this plan. County Departments
15
-2563-
EMERGENCY
MANAGEMENT Hennepin County Multi -Jurisdictional Hazard Mitigation Plan
Volume 2- Hazard Inventory
MOUND HAZARD•
TABLE 10.111 CITY OF MOUND
Sector
CFI 2
Building
Est. Replacement
Exposed
Abbreviation
Type
Cost
Population
WATR
All 30 City Lift Stations ($350K ea.)
N/A
10,500,000
N/A
WATR
All MCES Lift Stations
N/A
450,000/Ea.
N/A
GOVT
Mound Public Works Garage
Ch
5,000,000
10
CFAC
Mound Parks Garage
C1
1,500,000
5
WYSCH
Shirley Hills Elementary School
URML(?)
4,000,000
520
mSCH
Grandview Middle School~ Fl mTMry
URML(?)
_ 5,500,000._
610
-2564-
CITY
2564-
EMERGENCY
MANAGEMENT
Hennepin County Multi -Jurisdictional Hazard Mitigation Plan
Volume 2- Hazard Inventory
RES
Indian Knoll Manor Apartments
C1L
2,500,000
75
RES
ma.w..
Westonka Estate Apartmentsµ
CIL
2,500,000
60
CFAC
Walgreens Pharmacy
C21L
1,750,000
45
CFAC
Sojourn Suite
W1
500,000
15
AG—RI
Jubilee Foods
PC21-
2,500,000
M 35
-2565-
Emergency Management Director Gregory Pederson
and Administrative Assistant Vicki Weber
SEPTEMBER 22, 2015
-2566-
CITY OF MOUND
RESOLUTION NO. 15-107
A RESOLUTION TO APPROVE THE CITY OF MOUND
MITIGATION PLAN - 2015 AND THE CITY OF MOUND UPDATE TO SUPPORT THE
OVERALL HENNEPIN COUNTY MITIGATION PLAN
WHEREAS, the State of Minnesota Department of Public Safety Division of Homeland
Security and Hennepin County Emergency Management administers an All Hazard
Mitigation Grant Program (HMGP) that provides funding with the aim to reduce or
eliminate risk to property and loss of life from future natural disasters; and
WHEREAS, in order to be eligible for funding in the event there is a Presidential Disaster
Declaration, the local government must be covered under an approved Hazard
Mitigation Plan; and
WHEREAS, the City of Mound maintains and periodically updates a local mitigation plan
as well as participates in the Hennepin County multi jurisdictional mitigation plan; and
WHEREAS, City Staff has worked with emergency management personnel from
neighboring Lake Minnetonka cities and Hennepin County to plan for utilization of
resources from the County, State and FEMA to develop and support local and county
wide mitigation plans; and
WHEREAS, City Staff has created a new comprehensive City of Mound Mitigation Plan
2015 to update and support the overall Hennepin County Mitigation Plan, and believe it
meets all of the requirements, goals and objectives as recommended by the agencies
listed above;
NOW, THEREFORE, BE IT RESOLVED, by the City Council of the City of Mound that
the City of Mound Mitigation Plan 2015 and the update to the overall Hennepin County
Mitigation Plan, as summarized in Exhibit A and made a part here -in, are hereby
approved.
Adopted by the City Council this 22nd day of September, 2015.
Attest: Catherine Pausche, Clerk
-2567-
Mayor Mark Wegscheid
x.,,, ., } :� rt tr .iti<Yt tt U l�
+� Q /�+ ( �/g Ag "t t1i4. -�4iZ
CI' 1"�f'tF�MCiUND t,.,t„ ty
ti
„
Hennepin County- Mound F
Mound derived its name from the Indian mounds once found within the present day
They were not built by the Dakota Indians, but made by prehistoric Indians . Mound Is also
birthplace of the Tonka truck which is named after Lake Minnetonka, the 'TonkaToys' t
headquarters was orlginally located in Motmd, until business Picked up and they needed a more
Zilebie IoeaCon for supp!les to be delivered to Considering Mound is half veato,, it vres very
hard to navigate
17
Latitude/Longitudc:
44.9345775,-91650618
Area:
4.95 sq. miles
Arca � Land only:
2.86 sq. milas{58%)
Area • Water only:
2.10 sq miles (42%)
Population:
9,052
Housing Units:
4,$79
School District
277 W estonka
Vulnerability
M1fonttatIDNPP 26 Mttas j
8 Id¢tx 2 !
Corporate f Erriptoyer
Comm
Place shopping Center_
shore) ine Plaaa shopng Ct to
.91
Capability
Fire Department
Law Enforcement Orono
Police Chaplains Group
Public Works
FCC Reglstered Amat ur Radio Licenses 43
Language
- Engli34 • spsnl51,
MOUND' MITIGATION PLAN POC: GREG PEDERSON
A. Mound Objectives and Actions
Goal Minimize loss of life, injury, and damage
to property, the economy, and the environment
1 from natural and man-made hazards
_ OBJECTIVES
ACTIONS
1A: Develop and Implement a basic "Hazard
1A1: Require Proper utility locates are completed per city
Assessment- Risk Reduction Plan" in an effort to
ordinance and state laws
circumvent loss of life, injuries or disasters.
1A2: Designate and/or create storm shelters within the
community, and communicate to public
16: Maintain or replace warning sirens on a
181: Replace two (2) outdoor warning sirens that were
regular basis or as necessary to insure siren
installed in 1987: due to age, system failures, and normal
functionality and effectiveness
system life expectancy.
_
182: Ensure all outdoor warning sirens have a back-up
power source (i.e.: battery or solar power back-up
system).
163: Continue to monitor outdoor warning siren testmwm
_ .
results to identify any required maintenance needs.
1C: Ensure that all of the essential city first
1C1: Distribute ERG guidebooks when the updatedM
responders have the current version of the
version is received from Hennepin County and ensure
Emergency Response Guidebooks (ERG)
responders are well trained on use of ERG.
GoalIncrease education, outreach and awareness
5B:Ensure all first responders radio equipment is 5131 Continue tnreplace obsolete ornon-supported
ARMER compatible. I handheld and console radios for all first responders as
required.
OBJECTIVES ACTIONS
2A: A. Maintain the city of Mound Weather Ready
2AI: Continue to promote Weather Ready ideals of
Nation Ambassador program and increase the
awareness outreach, and preparation,
public's knowledge and awareness with regard to
2A2: Continue to promote the use of NOAA Weather
Severe Weather Risks.
Radios in all govern me nt-owned facilities, childcare
centers, and in facilities with vulnerable populations.
2A3: Continue to take steps toward achieving Storm Ready
Community Certification
213: Maintain the i y of ound operation of a 2131: Continue to promote enrollment in the city of Mound
mass -notification system mass -notification system.
2132: Continue to utilize newsletters, social media, and
other outreach program methods to inform the public
about life safety risks and pre-emptive actions related to
weather emergencies
2133: Expand the use of the existing city mass notification
system to include all -hazards and Weather Ready
Pi�iect natural resources
OBJECTIVES ACTIONS
3A: Assurance continued compliance and 3A1: Community to adopt and enforce a floodplain
participation in the National Flood Insurance management ordinance to reduce future flood risks.
Program 3A2: Continue to participate in the National Flood
Insurance Program.
G�al Identify areas of greatest impact from hazards
OBJECTIVES ACTIONS
community for potential hazards and 4A1: Promote community wide (citizen) participation in
identification of greatest risk threat and hazard identification and risk assessment
4A2: Promote the use of the Calculated Priority Risk Index
formula to prioritize identified threats and hazards,
a[ FEnheance hazard miti gation coordination and communication with federal, state and local
g 80
OBJECTIVES ACTIONS
5A: Promote the use of the WebEOC for
SAI: Conduct WebEOC training sessions for key staff.
5A2: Continue to review and update our equipment
communication tool within Hennepin County,
for relay of information to local, state and
capabilities in the WebEOC database, as required.
federal agencies
5B:Ensure all first responders radio equipment is 5131 Continue tnreplace obsolete ornon-supported
ARMER compatible. I handheld and console radios for all first responders as
required.
6 _27 -0 --
OBJECTIVES
6A: Provide for compliant development to ensure
that new orremodeled commercial and residential
structures are designed and built tothe current
state codes; Le. building code, electrical code, and
fire code.
ACTIONS
6AI: Continue to adopt and enforce the applicable codes,
|.e. Minnesota State Codes and International Property
Maintenance Code,
'64i: Enforce zoning, floodplain, permitting, building, and
fire code compliance nnd | t
6A3: Continue to utilize building official in the issuance of
required permits andi i
6A4: Review and update city building a�d zonind��ess
Build and support local capacity and commitment to become less�_ul�_erable to hazards
Estimated
OBJECTIVES ACTIONS
7A: Advocate for the jurisdictional infrastructure
7A1: Bury power lines whenever possible and as practical
improvements that eliminate or reduces life
to reduce the potential for life safety hazards.
7A2: Improve roads, road elevation levels, and retaining
safety threats caused by severe weather or other
natural disaster type hazards.
walls to assure roadway access for emergency response
vehicles and.others that are providing basic core services
7B: Develop and maintain a Sanitary Sewer Lift
7BI: Renew and properly size pump and force main
Station Renewal Plan
components to ensure better coordination of system
5
7132: Install or maintain permanent on- site back-up power
system to prevent back flow and back-up of black water
7C: Develop and Implement a storm, surface
during high flow and storm events.
7C1: Develop critical infrastructure protection plans,
water, and flood response plan
asset prioritizing, and a response procedure to ensure
early detection and effective response to storm,
outage, and flood events to minimize inundation, risk
and property damage.
7D: Continue to maintain a Debris Management
7D1: Develop City of Mound overlay plan to supplement
Plan
the Lakes Area EOP and Resource Manuals.
7E: Preplan and Prepare for both man-made and
7E1: Develop and Maintain a prearranged incident
natural disasters within the Community.
Resource List of suppliers and contractors that can quickly
respond to assist in time of need or crisis._—,
B. Mound R0tirationActions
Mitigation Action Name (30)
Estimated
Rank
Timeline
cost
IAI: Require proper utility locates are completed per city ordinance and
I
state laws.
1A2: Designate and/or create storm shelters within community, and
5
communicate to public.
1131: Replace two (2) outdoor warning sirens installed in 1987, due to age
3
-2570-
and system life expectancy.
182: Ensure all outdoor warning sirens have a back-up power source (i.e.:
4
battery or solar power back-up system).
183: Continue to review daily outdoor warning siren test results to identify
2
any required maintenance needs.
1C1: Distribute ERG guidebooks when updated version is received from
_
6
Hennepin County and ensure are well trained on the use of ERG..
2A1: Continue to promote Weather Ready ideals of awareness, outreach,
4
and preparation. _ ___
2A2: Continue to promote the use of NOAA Weather Radio in all
6
government- owned facilities, childcare centers, and for vulnerable
populations.
2A3: Take steps toward achieving Storm Ready_ Community Certification,
5
281: Continue to promote enrollment in the City of Mound mass-
1
notification system, __
_
282: Continue to utilize newsletters, social media, and other outreach
2
program methods to inform the public about life safety risks and pre-
emptive actions related to weather emergencies.
2133: Expand the use of the city's mass -notification system to include all-
3
hazards and Weather Ready information.
3A1: Community to adopt, update, and enforce a floodplain management
1
ordinance to reduce future flood risks
Continue t
3A2: Con o participate in the National Flood Insurance Program
2
4A1: Promote community wide (citizen) participation in threat and hazard
2
identification and risk assessment processes,
4A2: Promote the use of Calculated Priority Risk Index tool to prioritize
1
identified threats and hazards.
SAL Conduct WebEOC training- sessions for key staff. - �
�-
2
5A2: Continue to review and update equipment capabilities in
3
WebEOC, as required.
581: Continue to replace obsolete or non -supported handheld radios for all
1
first responders as required._
_
i �6A1: Continue to adopt and enforce applicable codes: Le.� �
3
Minnesota State Codes and International Property Maintenance
ode
Code,.—,--
_ _6A2: Enforce zoning, floodplain, permitting, building, and fire code
6A2:
1
compliance on all development.
-._M.
_m
6A3: Continue to utilize building official in the issuance of required
2
permits and inspections. _
6A4: Review and update citybuilding and zoning codes as required,
_ 4
7A1: Bury power lines whenever possible and as practical to reduce the _
7
potential for life safety hazards.
7A2: Improve roads, road elevation levels, and retaining walls to assure
3
roadway access for emergency response vehicles and others that are
basic core services.
_providing
7131: Renew and properly size pump and force main components to ensure
6
better coordination of system demand.
-2571-
782: Install or maintain permanent on-site back-up power system to 4
prevent back flow and back-up of black water during high flow and storm
events.
7C1: Develop critical infrastructure protection plans, asset prioritizing, and 5
a response procedure to ensure early detection and effective response to
storm, outage, and flood events to minimize inundation, risk and property
damage._ _ _
71)1: Develop City of Mound overlay plan to supplement the Lakes Area EOP 2
and Resource Manuals. _
7E1: Develop and Maintain a prearranged Incident Resource List of 1
suppliers and contractors that can quickly respond to assist in time of need
.. or crisis.
C. Mound Mitigation Strategies
_Priority
' . Goal
Objective
Action
Description
Project
Responsible
Timeline
Cost
Agency
1
1
1A
1A1
Utility locates are completed
1
2
2B
2131
Mass -notification system.
1
3
3A
3A1
Floodplain management
1N
4
4A�
4A2
Use Priority Risk Index tool
1
5
5B
5 B 1
Replace handheld radios
1
6
6A
6A2
Compliance development
1
7
7E
7E1
Develop resource list
2
� 1
1B
1133
Siren Maintenance
2
2
2B2132
�
� ��..NFIP
Public Informed
d�w 2
3.,,.__.
.. 3A_.._,�._
3A2
2
4
4A
4A1
Community Involvement
2
5
5A
5A1
W_ebEOC Training
2
6
6A
6A3
Permits and Inspections
2
7_
7D
7D1
Regional Planning/EOP
3
11B
1_131
Replace 2 sirens
3
�2_.
¢2B
2133
Mass Notification
3
5
5A
5A2
WebEOC capability review
3
6
6A
6A1
Adopt /enforce codes
3
7-
7A
7A2
Road improvement
4
1
1B
1132
Siren back up power_
-�
4
2
2A1
Weather ready community
4
6
_2A_
6A
6A4
Review zoning codes��
4
7
-_._...1
7B
7132
Back flow power system
as
..n.n.�
1A
1A2
1A
Storm Shelter
52A
_.a ._._
_
2A3
Storm Ready certification
5
7�.._
7C
7C1
..��_
CIKupdate
ate R
R
6
m-
1
1C
�.__..
1C1
_
Distro ERG Guide
6
2
2A
2A2
NOAA Radios
6
7
7B
7131
Proper size pump
7
7
7A
7A1
Bury power lines
-
-2572-
D. Mound Mitigation Action Progress Rapnrt
Mitigation Strategies 2010
Progress Report Period
From Date: 2010
To Date: 7/312015
Project Title/Action
# I - Ensure building code compliance' inspections are conducted on new
construction projects
Responsible Agency
City of Mound — Community Development
Contact Name
Sarah Smith, Community Development Director
Contact Phone/Email
952-472-0604/sarahsmith@cltyofmound.com
Project Status
X Project Completed
Summary of Project
City's Building Official ensures compliance with current building codes."
Funded through City Permit and Inspection Fees.
Name of Reviewer
City of Mound Mitigation Committee
'M�Wgafion Strategfes 2016
From Date: 2010
To Date: 2017
Progress Report Period
#3 — Participate in the National Flood Insurance Program
Responsible Agency
Project Title/Action
#2 - Encourage city/county participation in FEMA's Community Rating
Chris Fischer, Deputy Chief
System Program
Responsible Agency
Mound Police (Contract services from Orono Police Dept.)
Contact Name
Chris Fischer, Deputy Chief
r,Contact —Phone/Email --
95-2-249-4722/cfischer@ci.orono.mn.us
Project Status
o Project Completed
• Project Canceled
• Project on Schedule
• Anticipated completion date:
X Project is delayed
Explain: Anticipated project to begin in 2016
Summary of Project
No significant progress. Responsible Agency should be changed from Mound
Police to City of Mound Community Development,
Name of Reviewer
City of Mound Mitigation Committee
Mitigation Strategies 2010
Progress Report Period
From Date: 2010
ate: 7/31/2015
--Project Title/Action ~
#3 — Participate in the National Flood Insurance Program
Responsible Agency
Mound Police (Contract services from Orono Police Dept,)
Contact Name
Chris Fischer, Deputy Chief
Contact Phone/Email
952-249-4722/cfischer@ci.orono.mn.us
Project Status
X Project Completed
Summary of Project
mm
Continued participation and is an objective on the 2015 Mitigation Plan.
Responsible agency should be changed from Mound Police to City of Mound
Community Development.
Name of Reviewer
City of Mound Mitigation Committee
310 1 From Date: 2010 1 To Date: 2015
- 2573 -
Project Title/Action
#4 — Identify and —improve streets that are repeatedly flooded and washed
away with improvements that include modifying and raising roads/streets,
providing improved drainage and storm water removal, and creating
buffers.
Responsible Agency
City of Mound Public Works
Contact Name
-Contact
Eric Hoversten, Public Works Director
Phone/Email__
472-0636/erichoversten@cityofmound.com
Project Status
X Project Completed
Summary of Project
Significant progress on inspection, maintenance, repair, and renewal of capital
infrastructure used to manage and control storm water run-off.
iiam�ef Reviewer
City of Mound Mitigation Committee
Mitigation Strategies 2016__
From Date: 2010
To Date: 2015'_
Progress Report Period
Project Title/Action
#5 — Municipalities should adopt or update floodplain ordinances as needed
Responsible Agency
CityofMound Community Development
Contact Name
Sarah Smith, Director of Community Development
--Contact Phone/Email
952-472-0604/sarahsmith@cityofmound.com
Project Status
X Project Completed
Summary of Project
Enforced per City of Mound Ordinances and ordinances are updated as
Summary of Project
--necessary.
Name of Reviewer
City of Mound Mitigation Committee
Mitigation Strategies 2016 -----From
Date: 2010
To Date: 2015
Progress Report Period
Project Title/Action
#6 — Educate the public on practices and programs that assist in diminishing
Responsible Agency
the effects of flooding
Responsible Agency
Mound Police (Contract services from Orono Police Dept.)
Contact Name
Chris Fischer, Deputy Chief
Contact Phone/Email
952-249-4722 / cfischer@ci.orono.mn.us
Project Status
X Project Completed
Summary of Project
Education and information provided to the public through media releases and
mass communication system. Responsible Agency should be changed from
Name of Reviewer
Mound Police to City of Mound Emergency Management
Name of Reviewer
City of Mound Mitigation Committee
Mitigation Strategies 2010
From Date: 2010
To Date: 2015
Progress Report Period
Project Title/Action
#7 — Develop a resource list of available sandbag distributors
Responsible Agency
City of Mound Public Works
-Contact Name_Eric
Hoversten, Public Works Director
Contact Phone/Email
952-472-0636/erichoversten@cityofmound.COM
Project Status
X Project Completed
Summary of Project
Included in the Lakes Area Emergency Management Resource Manual as part
of the Emergency Operations Plan. Sandbag resources utilizing Hennepin
County and City of Mound.
Name of Reviewer
City of Mound Mitigation Committee
- 2574 -
Mitigation Strategies 2010
Progress Report Period
From Date: 2010
To Date: 2015
M,
Project Title/Action
#8 – Work with city, state, and federal agencies and private industries to
share information on types and locations of hazardous material that have
the potential to affect the county and region
Responsible Agency
Mound Fire Department
Contact Name
Greg Pederson, Fire Chief
Contact Phone/Email952-472-3533/gpederson@moundfire.com
Agency
Project Status _
X Project Completed
Summary of Project _
Hazardous Materials identified as part of the Tier II reporting system and
information as available from fire department pre -plans.
Name of Reviewer
City of Mound Mitigation Committee
Mitigation Strategies 2010
From Date: 2010
To Date: 2015
Progress Report Period
#11 – Continue to partner with local/regional hospitals and clinics in
developing plans and roles in infectious disease response, including
quarantine
Responsible Agency
Project Title/Action
#9 – Continue to use city and county GIS to map and update locations of
Chris Fischer, Deputy Chief
fixed facilities using hazardous materials/waste storage and associated
Agency
transportation routes in a timely manner
Responsible Agency
Mound Police (Contract services from Orono Police Dept.)
Contact Name
Chris Fischer, Deputy Chief
_
Contact Phone/Email
952-249-4722/cfischer@ci.orono.mn.us
ro ect Status � .�
P j
X Project Completed
Summary of Project
_
Would defer to county to utilize Hennepin County Resources.
Name of Reviewer
City of Mound Mitigation Committee
Mitigation Strategies 2010
From Date: 2010
To Date: 2015
Progress Report Period
#11 – Continue to partner with local/regional hospitals and clinics in
developing plans and roles in infectious disease response, including
quarantine
Responsible Agency
Project Title/Action
#10– Ensure that all essential first responder agencies have the latest
Chris Fischer, Deputy Chief
edition of the Eme!gency EmergencyResponse Guidebook
Agency
Mound Fire Department
_Responsible
Contact Name
Greg Pederson, Fire Chief
Contact Phone/Email
952-472-3533/gpederson@moundfire.com
Project Status
X Project Completed
Summary of Project
2012 Emergency Response Guidebook received and distributed to all
_
Emergency Agencies (Fire and Police).
Name of Reviewer
City of Mound Mitigation Committee
Mitigation Strategies 2010
Progress Report Period
From Date: 2010
T o Date: 2015
Project Title/Action
#11 – Continue to partner with local/regional hospitals and clinics in
developing plans and roles in infectious disease response, including
quarantine
Responsible Agency
Mound Police (Contract services from Orono Police Dept.)
Contact Name
Chris Fischer, Deputy Chief
ContactpPhone/Email—
952-249-4722/cfischer@ci.orono.mn.us
Project Status
X Project Completed
-2575-
MT^
Summary of Project
New detailed procedures and protocols developed and implemented through
To Date: 2015
a cooperative effort including Metro Area EMS Medical Directors, Hospitals,
#14 — Encouraging new power lines to be buried to reduce power outages
Fire Chiefs, Police Chiefs and County Emergency Management, Responsible
Project Title/Action
Agency should be changed from Mound Police to City of Mound Emergency
Sarah Smith, Community Development Director
Management.
Name of Reviewer
City of Mound Mitigation Committee
Mitigation Strategies 2010
From Date: 2010
To Date: 2015
Progress Report Period
#14 — Encouraging new power lines to be buried to reduce power outages
Responsible Agency
Project Title/Action
#12 — Maintain links to other sources of reliable information about
Sarah Smith, Community Development Director
infectious diseases and prevention
Responsible AgencyMound
Police (Contract services from Orono Police Dept.)
Contact Name
Chris Fischer
Contact Phone/Email
952-249-4722 / cfischer@ci.orono,mn.us
Project Status
X Project Completed
Summary of Project
New detailed procedures and protocols developed and implemented through
a cooperative effort including Metro Area EMS Medical Directors, Hospitals,
Fire Chiefs, Police Chiefs and County Emergency Management. Responsible
Agency should be changed from Mound Police to City of Mound Emergency
communication system. Responsible Agency should be changed from
—,----,-----,Management.
Name of Reviewer
City of Mound Mitigation Committee
Mitigation Strategies 2010
From Date: 2010
To Date: 2015
Progress Report Period
#14 — Encouraging new power lines to be buried to reduce power outages
Responsible Agency
Project Title/Action
#13 — Continue to work with Public Affairs to disseminate information about
Sarah Smith, Community Development Director
infectious diseases and prevention
Responsible Agency
Mound Police (Contract services from Orono Police Dept.)
Contact Name
Chris Fischer, Deputy Chief
Contact Phone/Email
952-249-4722/cfischer@ci.orono.mn.us
Project Status
X Project Completed
Summary of Project
New detailed procedures and protocols developed and implemented through
a cooperative effort including Metro Area EMS Medical Directors, Hospitals,
Fire Chiefs, Police Chiefs and County Emergency Management. Education and
information provided to the public through media releases and mass
communication system. Responsible Agency should be changed from
Name of Reviewer
Mound Police to City of Mound Emergency Management.
City of Mound Mitigation Committee
Mitigation Strategi�e——2010'
Progress Report Period
From Date: 2010To
Date: 2015
I
Project Title/Action
#14 — Encouraging new power lines to be buried to reduce power outages
Responsible Agency
City of Mound Community Development
Contact Name
Sarah Smith, Community Development Director
Contact Phone/Email
952-472-0604/sarahsmith@cityofmound.com
Project Status
Summary of Project
X Project Completed
No progress made due to ownership and control of power line management
by Xcel Energy. Responsible Agency should be changed from Mound Police to
- 2576 -
I City of Mound Community Development.–,-,
Name of Reviewer '—"'--FCity of —Mound Mitigation Committee
Mitigation Strategies 2020
From Date: 2010
To Date: 2015
Progress Report Period
#17 – Create severe weather awareness campaigns for citizens
Responsible Agency
-Chris
Project Title/Action
#15 – Promoting enhanced building techniques to reduce structural damage
Fischer, Deputy Chief
due to high wind damage
Responsible Agency
Mound Police (Contract services from Orono Police Dept.)
Contact Name
Chris Fischer, Deputy Chief
Contact Phone/Email
952-249-4722/cfischer@ci.orono.mn.us
Project Status
X Project Completed
Summary of Project
City's building official ensures compliance with current building codes.
Summary of Project
Funded thru city permit and inspection fees
This project was combined with Mound project #1
Responsible agency should be changed from Mound Police to City of Mound
Community Development
[-Name of Reviewer
City of Mound Mitigation Committee
Mitigation Strategies 2010
From Date: 20102015
To Date: 2015
Progress Report Period'r�
#17 – Create severe weather awareness campaigns for citizens
Responsible Agency
-Chris
Project Title/Action
#16 – Improve citizens' understanding of available communications from the
Fischer, Deputy Chief
National Weather service for notification of severe weather watches and
952-249-4722/cfischer@ci.orono.mn.us
warnings such as NOAA Weather Radios
Responsible Agency
Mound Police (Contract services from Orono Police Dept.)
Contact Name
Chris Fischer, Deputy Chief
Contact Phone/Ern
952-249-4722/cfischer@ci.orono.mn.us
Project Status
X Project Completed
Summary of Project
Recognized Weather Ready Nation Ambassador on staff that provides
ongoing public information and education through city newsletters, social
media and mass communications system. Responsible Agency should be
changed from Mound Police to City of Mound Emergency Management.___
Name of Reviewer
City of Mound Mitigation Committee
Mitigation Strategies 2010TH
Progress Report Period
From Date: 2010
I
To Date: 2015
Project Title/Action
#17 – Create severe weather awareness campaigns for citizens
Responsible Agency
-Chris
Mound Police (Contract services from Orono Police Dept.)
Contact Name
Fischer, Deputy Chief
Contact Phone/Email
952-249-4722/cfischer@ci.orono.mn.us
Project Status
X Project Completed
Summary of Project
Recognized –Weather Ready Nation Ambassador on staff that provides ongoing
public information and education through city newsletters, social media and
mass communications system. Responsible Agency should be changed from
-JMound Police to City of Mound Emergency Management.
ia�i;e of Reviewer
City of Mound Mitigation Committee
Mitigation Strategies 2010 From Date: 2010 To Date: 2015
- 2577 -
Progress Report Period
Project Title/Action
#18 — Promote the use of the NOAA Weather Radio for early warning and
post event information in government-owned facilities, child care centers,
and for vulnerable populations
Responsible Agency
Mound Police (Contract services from Orono Police Dept.)
Contact Name _
is Fischer, Deputy Chief
Contact Phone/Email
952-249-4722/cfischer@ci.orono.mn.us
Project Status
X Project Completed
Summary of Project
Weather radios currently installed in all City of Mound owned buildings.
Responsible Agency should be changed from Mound Police to City of Mound
Emergency Management.
Name of Reviewer
City of Mound Mitigation Committee
-2578-
b� ")
rAIJ
C; ns(]uPlb
2415 WILSHIRE BOULEVARD - MOUND, MN 55364-1668 . PH: 952-472-0600 . FAX: 952-472-0620 . WWW.CITYOFMOUND.COM
December XX, 2018
Dear Dock Program Participant:
The Docks and Commons Commission (DCC) has been working on multiple issues that relate to
the Dock Program, and the Commission, along with the City Council, wants to ensure there is an
opportunity for public input on certain proposed changes to the Dock Program that may
adversely affect some participants.
The goal of the proposed changes is to provide clarification as to the number of watercraft, dock
structure and appurtenances in order to manage congestion and ensure compliance with our
license from the Lake Minnetonka Conservation District (LMCD).
The proposed changes will be discussed at the next DCC meeting scheduled for January 17, 2019
at 7:00 p.m. in the City Council Chambers located in the Centennial Building at 2453 Maywood
Road. Community input on proposed changes is encouraged. The changes under
consideration include:
Proposed Change No. l: Guarantee a minimum of 2 boats for abutters, 1 boat for non -
abutters and slip holders. City Code Chapter 78 Waterways is currently silent on the number
of watercraft allowed at each dock site, although each resident can only qualify for one site
license. The LMCD grants a multiple dock license to the City of Mound Dock Program for a
maximum of 590 Boat Storage Units (BSUs), which is based on the amount of City owned
shoreline. The LMCD does not weigh in on how the BSUs are allocated among the dock and
slip sights.
With the evolution of water recreation, the City desires to create language to accomplish the
following:
1) Established a minimum guaranteed number of BSUs based on type of site
2) Establish a means of allocating the remainder of the BSUs above the minimums
3) Establish requirements for a shared site
4) Define what constitutes a Boat Storage Unit based on LMCD guidelines
Abutting Sites 167 x 2 BSUs guaranteed = 334
Multiple Slip Sites 100 x 1 max = 100
Non -abutting dock sites 144 x 1BSU guaranteed = 144
Total 578
Lightweight watercraft (e.g., canoes, kayaks, floats) will not be counted as a BSU so long as
their storage when not in use is on private property and not on the dock structure or commons.
-2579-
Current Language:
Sec.78-102. Licenses.
(d) License Priorities. The Dock Administration shall assign all locations to the applicants
upon compliance with this ordinance and subject to reasonable conditions. The following priorities
govern the issuance of all dock and multiple slip licenses except the Lost Lake slips:
(1) First Priority: An abutting resident has first priority for a City designated
location within his or her lot lines extended to the shoreline on Lake
Minnetonka.
(2) Second Priority: Non -abutting primary site holder applicant or qualified
secondary site holder.
(3) Third Priority: Wait list applicants. As determined by the lottery and resulting
waitlist.
(4) Fourth Priority: Residents living in a home that has dockable, private lake
frontage on Lake Minnetonka shall have the last priority each year for a dock
on public lands and last priority to become a Secondary Site Holder.
Proposed Language (Option 1):
Sec.78-102. Licenses.
(d) License Priorities. The Dock Administration shall assign all locations to the applicants
upon compliance with this ordinance and subject to reasonable conditions. The following priorities
govern the issuance of all dock and multiple slip licenses except the Lost Lake slips:
(1) First Priority: An abutting resident has first priority for a City designated
location within his or her lot lines extended to the shoreline on Lake
Minnetonka, %%J111 LID 10 t%$#>__TISI._s.:tiar,,wtce i.
(2) Second Priority: Non -abutting primary site holder applicant or qualified
secondary site holder, i th one BST 1 gii trantecd
(3) Third Priority: Wait list applicants. As determined by the lottery and resulting
waitlist.
(4) Fourth Priority: Residents living in a home that has dockable, private lake
frontage on Lake Minnetonka shall have the last priority each year for a dock
on public lands and last priority to become a Secondary Site Holder.
kJ) (.\e.NN).....,jr'Xc ss BSI _ that ar stip Ivajlab?c...cv:ll he assigned as 6611ows
%ho 17 ltl o) cr these li inii llwl`..L,, U1_..t1"1c.., 2018 bX1ath) ,se,,`(�.�1... bay,+. d- on
sharu(j on serliorily
(> i l o V)uttiiw ixf � 1131 1btl�tln°' li6 � ii,t t � hitsed oil 4t,111Jt lta NOLO S crk t".rMac k -i ole
.. _ _ ..� .e . .. _ , „M... _ _ _...,.
the._ono season.
7
1) � 11 a 6r; rvc olne 176 nt scry h,i sis to \huttin�l an,I �°� ori �ihuflii dtc4I`P',x, c.,s,.(with a €Valli€!t1*OII
4tl t)li 3czil6tl{ n 31 BST l per licensee) with no pfiolltN or rMits a rrvhn" over to the
Other issues under review/discussion:
In 2019, Dock Administration will be making suggestions on how to regulate dock structures,
including winter storage and maintenance. Because dock sites vary in the need to remove
structures each winter and the traversibilty and depth of commons, the Council has instructed
Dock Administration to make recommendations that are site/area specific.
The introduction of aquatic invasive species is driving the demand for boat and jet-ski lifts. Dock
structures have also increased in size as the popularity of U shaped docks and use of dock
canopies/boat covers has increased. The LMCD Dock Use Area regulations forrp ivate
shoreline include 10' side setbacks for docks with 0 — 50 feet of linear frontage (5' for dock sites
in existence before 1970), and 20' side set -backs if a dock canopy is used. For the Mound Dock
Program, the LMCD only enforces the side set -backs where the commons meet private shoreline
and not within the commons themselves.
The City Code is mostly silent about what is allowed, leaving many issues to the judgement of
Dock Administration, Dock Administration will also be recommending whether to codify
suggested changes or just issue formalized policies. Areas/topics under review include (once
again, subject to the type of commons and corresponding impact):
• Whether to require all lifts to be stored on private property over the winter, not commons
for both abutter and non -abutters in order to maintain traversibility and site lines — may
require a service to transport and concerns have been expressed about cost and
availability. Should floating lifts be treated differently since they don't take up the same
amount of space? What about limiting the amount of storage area on commons?
• Whether to restrict use of dock canopies and only allow lift canopies (see exhibit A) for
non -abutters (and possibly abutters?)
• Whether to put limits on dock configurations for non -abutters — example: non -abutters
have straight docks unless dock site located at a street end - should some kind of side set-
back be enforced within the commons?
• Lifts currently not allowed at multiple slips because no where to store and concerns about
enforcing getting them out in time for slip removal in fall — solutions may arise from the
requirement to store lifts on private property for dock sites as well.
• Revisit permitted activities on the commons — more important to state what is not allowed
as enforcement is a challenge? For example, no furniture, campfires, congregations of _
or more people.
• Whether any grandfathering or phased enforcement should apply
The City Council passed a resolution placing a moratorium to prevent any changes to the number
of watercraft and dock structure/appurtenances as permitted with the 2018 license for each site in
order to allow time to explore these issues and not create more exceptions than currently exist.
Other Updates
1) There are no changes to the Dock fees for 2019.
2) A pilot program for a canoe/kayak storage rental rack in Carlson Park is being launched
in 2019 and will be offered to people on the wait list first.
The DCC typically meets four times a year (January, March, September and November), but can
meet more often if necessary. Meetings are held on the third Thursday of the month at 7:00 pm
in the Council Chambers that are located in the Centennial Building at 5341 Maywood Road.
All meetings are open to the public and participation is encouraged.
Dock cover/boat house vs. Lift Canopy
Docks and Commons Commissioners' Contact Info
(A = Abutter NA = Nonabutter)
Linda Muller (A) term expires 2020 muller26.2@gmail.com
Heidi Peterson (NA) term expires 2021 heidihograves@yahoo.com
Jim Funk (NA) term expires 2020 jim.funk@emerson.com
Susan Gardner (A) term expires 2019 gardsue66@gmail.com
Derrick Hentz (NA), Chair term expires 2019 derrick.hentz@donaldson.com
i
2415 WILSHIRE BOULEVARD • MOUND, MN 55364-1668 . PH: 952-472-0600 ° FAX: 952-472-0620 e WWW.CITYOFMOUND.COM
MEMORANDUM
Date: December 6, 2018
To: Mayor and City Council Members
From: Catherine Pausche, Director of Finance & Administrative Services
Subject: Dock Map Addendum changes
On an annual basis, the Council is to approve any changes to the Official Dock Map
Addendum. On February 7, 2018 the Lake Minnetonka Conservation District approved
the City Multiple Slip Application for the Lost Lake Harbor Slips. The City converted
ten of the 24 transient Mound Harbor Slips to overnight use. The ten slips are now
reflected in the Dock Map Addendum on page 12, reference numbers 414 through 423:
It should be noted that the Lost Lake multiple slip complexes are licensed separately with
the LMCD and do not factor in to the regular program license of 590 BSUs.
Non -abutting dock site Brighton-WIP-05470 on Brighton Commons was not renewed in
2018. The site will remain on the Dock Map Addendum though will not be rented as
access to the site is difficult and any improvements will need to be built into the long-
term capital plan. This site is located at reference number 364 on page 10:
-2583-
Non-abutting
2583 -
Lastly, the City would like to add a new category of canoe/kayak storage as other cities
like Tonka Bay, Minneapolis and Wayzata have done and based on feedback from
residents and the Parks and Open Spaces Commission. Staff suggests a pilot program
with one storage rack for 8 units placed at Carlson Park which has the proper shoreline in
place for launching canoes and kayaks. Dock Administration can promote and offer the
sites to applicants on the wait list, to Mound residents not on the wait list (both for $50 a
season) and to non-residents for $75 a season if there are still openings. Dock
Administration will assess usage in 2019 and determine if there is a need for additional
storage sites at other City controlled property such as at Centerview Park.
Staff has researched storage racks and recommends purchase of the following 8 -craft,
aluminum, Dock Doctors Rack based on ease of maintenance, quality of materials,
security features while allowing for the storage of eight watercraft. The current capital
budget can absorb this expense.
Dock Doctors Canoe Kayak Rack
Commercial Kayak Storage Rack
Heavy duty. 8-o aft kayak storage rack. Concrete inouVIt
Please choose y.— option
$2150
Powdered coated shipping early November 2018
Structurally designed for Commercial, Municipal, Club or University
nvlronmenta, our heavy duty 8 -craft storage racks are manufactured with
marine grade aluminum frames and are available in standard aluminum or black
powder coated finish- Custom colon available. Also available in a
s ruse?.
oue to the slsa and weight of this Itmm, a shipping,rurrharge of
$l a0 will be addett.
r
NOTEr Iforderfng.8 or marc racks, please contact no to order. we
The Docks & Commons Commission recommend approval of the above changes to the
Dock Map Addendum at their November 15th meeting. Staff recommends the City
Council approve the changes as well.
Y
CITY' OF MOUND
2415 WILSHIRE BOULEVARD - MOUND, MN 55364-1668 - PH: 952-472-0600 - FAX: 952-472-0620 - WWW.CITYOFMOUND.COM
Date: December 6, 2018
To: Mayor and City Council Members
From: Catherine Pausche, Director of Finance & Administrative Services
Subject: Proposed Dock Fund Restriction on Use of Revenues/Reserves
Starting in 2019, accounting for the Lost Lake Slip revenues will move from Fund 281
(Docks) to Fund 285, which will be renamed Harbor/Transit District/HRA Fund. The
Lost Lake slips are technically not part of the Common Docks Program although they are
managed in conjunction with it. Separating the funds from the regular dock program
better demonstrates these revenues will be used to maintain the entire Harbor District,
including but not limited to, the Lost Lake Slips, Greenway, pier, ultimate redredge,
annual weed treatments, etc. These amenities will require the City to build substantial
reserves and isolating these reserves in Fund 285 will prevent confusion as to their
purpose and provide better clarity as to whether the regular dock program is breaking
even/supported by the current fee structure.
At the October 16th Special Meeting/Budget Workshop, some discussion took place on
whether Dock Program funds could be used for other purposes. In response, Council
Member Salazar sent the following email:
From: Ray Salazar
Sent: Friday, November 9, 2018 10:29 AM
To: Eric Hoversten; Mark Wegscheid
Subject: Docks fees, funds and appropriation.
Eric;
Please prepare a resolution ASAP for approval for preferably council meeting 11-13-18
or 12-11-18. ONLY. Specifically declaring that any and all "Docks Fees and /or Funds"
regardless of amount and l or deposited balance shall be used EXCLUSIVELY for the
Mound Docks program and /or directly related to the Dock program and that none of
these fees and or funds may be commingled for other purposes.
Any questions please call me. Thank you.
Ray Salazar Mound City Councilman.
In response to the above request, Staff has drafted the attached resolution for discussion
and possible action by the Mound City Council at the December 11th final meeting of the
year. Please let us know if you need any further information.
-2585-
Fund Balance Policy
Original Adoption: 12/13/2011
Reviewed/Updated: TBD
Reference No. FIN -002
The City understands it has a responsibility to maintain prudent financial operations to ensure stable
city operations for the benefit of city residents and businesses. Fund balance reserves are an
important component in ensuring the overall financial health of a community, by giving the City
cushion to meet contingency or cash-flow timing needs. The Office of the State Auditor
recommends that at year-end, local governments maintain an unrestricted fund balance in their
general fund and special revenue funds of approximately 35 to 50% of fund operating revenues, or
no less than five months of operating expenditures. While the bond rating agencies do not have
recommended fund balance levels, the agencies look favorably on larger fund balances, which
protect against contingencies and cash flow needs.
In addition, this policy integrates and further defines the City of Mound's governmental fund
balance classifications to be in compliance with Governmental Accounting Standards Board
Statement 54: Fund Balance Reporting and Governmental Fund Type Definitions.
■ It is the City's general guideline to maintain an unassigned General Fund balance, also
referred to as the "minimum fund balance", of not less than 20% of budgeted operating
expenditures; however, this need could fluctuate with each year's budget objectives
■ Annual proposed budgets shall include this benchmark policy. Council shall review the
amounts in fund balance in conjunction with the annual budget approval, and make
adjustments as necessary to meet expected cash-flow needs.
■ In the event the unassigned General Fund balance will be calculated to be less than the
minimum requirement at the completion of any fiscal year, the City shall plan to adjust
budget resources in the subsequent fiscal years to bring the fund balance into compliance
with this policy.
■ The adopted budget resolution indicates the amount that can be expended by each fund and
is supported by detailed budget estimates for individual expenditure accounts, also referred
to as "line items." Variances to budget in these line item expenses may occur as long as the
fund remains at or above budgeted levels. If a fund is not expected to meet or exceed its
budget, a budget revision at the fund level must be authorized by the City Council at the
request of the City Manager. The Council, under Minnesota Statutes 412.731, can modify
or amend the budget resolution if funds are available and a 4/5 vote is obtained.
■ The City Council may consider appropriating (for authorized purposes) year-end fund
balance in excess of the minimum fund balance or increasing the minimum fund balance.
An example of preferred use of fund balance over and above the minimum fund balance
10/6/2011
-2586-
would be for one-time expenditures, such as capital expenditures, which do not result in
recurring operating costs.
■ Appropriation from the minimum fund balance shall require the approval of the City
Council and shall be used only for non-recurring expenditures, unforeseen emergencies or
immediate capital needs that cannot be accommodated through current year savings.
Replenishment recommendations will accompany the decision to utilize fund balance.
■ At the discretion of the City Council, fund balance may be committed for specific purposes
by resolution designating the specific use of fund balance and the amount. Fund balance
commitment resolutions must be completed before December 31 st to be effective for that
fiscal year and remain in effect until the commitment is changed or eliminated by Council
resolution.
■ The City Council authorizes the City Manager to assign fund balance for reporting purposes
only, that reflects the City's intended use of those funds. This does not change the authority
to actually spend resources, but to assign resources for presentation purposes only.
■ When both restricted and unrestricted resources are available for use, it is the City's policy
to first use restricted resources, and then use unrestricted resources as they are needed.
When committed, assigned or unassigned resources are available for use, it is the City's
policy to use resources in the following order; 1. Committed 2. Assigned and 3. Unassigned.
III. DEFINITIONS
Governmental Fund Balance classifications are defined as follows:
Fund Balance — the difference between assets and liabilities reported in a governmental
fund.
Nonspendable fund balance — amounts that are not in a spendable form or are required to
be maintained intact. Examples include prepaid items, inventory, land held for resale, and
long-term receivables that are not otherwise restricted, committed, assigned, or offset by
deferred revenue.
Restricted fund balance — amounts subject to externally enforceable legal restrictions.
Examples include fund balance related to unspent bond proceeds, tax increments, debt
service fund balances, and park dedication fees.
Unrestricted fund balance — the total of committed fund balance, assigned fund balance
and unassigned fund balance.
Committed fund balance — amounts that are constrained by City Council resolution for a
specific purpose.
Assigned fund balance — amounts a government intends to use for a specific purpose;
intent can be expressed by the government body or by an official or body to which the
governing body delegates the authority. This would include any remaining positive fund
balance in all funds other than the general fund. Examples include all special revenue fund
10/6/2011
balances that are not restricted or committed, due to the specialized intent of the revenue
source.
Unassigned fund balance — residual amounts that are available for any purpose in the
general fund. Unassigned fund balance will occur only in the General Fund or in other
funds when there is a negative fund balance that can't be eliminated by reducing restricted,
committed or assigned fund balances.
10/6/2011
-2588-
MQUEAMMM
WHEREAS, the City of Mound adopted Policy FIN -002 GASB 54 Fund Balance Policy
on December 13, 2011; and
WHEREAS, Policy FIN -002 states that at the discretion of the City Council, fund
balance may be committed for specific purposes by resolution designating the specific
use of fund balance and the amount. Fund balance commitment resolutions must be
completed before December 31 st to be effective for that fiscal year and remain in effect
until the commitment is changed or eliminated by Council resolution; and
WHEREAS, the City of Mound has authorized a transfer of Dock Fund
revenues/reserves related to the Lost Lake Slips in Fund 281 to support the TIF District
1-3 Series 2009D bond issue and related refinancing; and
WHEREAS, the City of Mound has authorized accounting for future Lost Lake Slip
related activity in Fund 285 Harbor/Transit District as this district is not part of the Docks
& Commons program; and
WHEREAS, the City of Mound desires to clarify that all revenues and reserves related
to the Docks & Commons Program shall be restricted for the use of said program only
and not for other City activities such as Parks and Open Spaces;
NOW THEREFORE, BE IT RESOLVED by the City Council of the City of Mound,
Minnesota, as follows:
1. Lost Lake Slip related revenue and expenses and any reserves that result shall
be accounted for in Fund 285 Harbor/Transit District effective January 1, 2019.
2. Docks and Commons Program revenue, expenses, and any reserves in Fund
281 are hereby committed exclusively for the Mound Docks and Commons
program and at no time shall these funds be used for other purposes.
Adopted by the City Council this 11th day of December, 2018.
Attest: Catherine Pausche, Clerk
-2589-
Mayor Mark Wegscheid
CITY OF MOUND
RESOLUTION NO. 18 -
RESOLUTION TO AMEND THE 2018 FINAL OVERALL BUDGET
WHEREAS, the final overall budget for the year 2018 was approved on December 12, 2017; and
WHEREAS, Minnesota Statute 412.731 allows the Council to amend the budget resolution if there are funds available and a 4/5
vote is obtained; and
WHEREAS, the Council approved establishment of capital reserve funds on June 26, 2018; and
NOW, THEREFORE BE IT RESOLVED, that the City Council of the City of Mound, Minnesota, that the following amendments to the approved
2018 final overall budget be made as presented below with the corresponding account details as presented in Exhibit A and made a part herein:
APPROVED APPROVED APPROVED AMENDED AMENDED AMENDED
CHG IN NET CNG IN NET
GENERAL FUND REVENUE SENSE ASSETS REVENUE EXPENSE ASSETS
General Fund (101) 5,353,538 5,624,597 -271,059 5,011,885 5,282,944 -271,059
GOVERNMENTAL CAPITAL RESERVE FUNDS
Capital Reserve Fund - Vehicles & Equip (403) 0
Capital Reserve Fund - City Buildings (405) 0
TOTAL CAPITAL RESERVE FUNDS 0
TOTAL NET 5,353,538
Adopted by the City Council this 11th day of December, 2018
Attest: Catherine Pausche, Clerk
0 0 50,000 50,000 0
0 0 291,653 291,653 0
0 0 341,653 341,653 0
5,624,597 -271,059 5,353,538 5,624,597 -271,059
-2590-
Mayor Mark Wegscheid
Active!R 101-45000-36240 Refunds and Reimbursements
Active R 101-45200-30101 Sales of General Fixed Assets
Active' R 101-47000-"30310 Proceeds -Gen Obligation Band
Active; R 101--48000-31010 Current Ad Valorem Taxes
Activei R 101-4.8000-31015 x Ad Valorem Taxes for Capital
Active. R 101-48000-31020 Delinquent Ad Valorem Taxes
Actives R 101-48000-31040 1 FiscalDisparities
Active R 101-X18000-'31900 Penalties and Interest DelTax
Active 'E 101-4141U-bUU
capital Uutlay i -A
Active E 101-419107500
Capital Outlay FA
Active E 101-41920-500
`Capital COutlay FA
Active' E 101-41930-500
Capital Outlay FA
Active E 101-42110-50G
Capital Outlay FA
Active' E 101-42115-5G0
Capital Outlay FA
Active E 1G1-42433-500
Capital Outlay FA
Active E 101-43103-500
Capital Outlay, FA:
Active E 101-45+303-500
Capital Outlay FA
Active E 101-45200-500
Capital Outlay FA
3ITY OF RAauND
CAPITAL EXPENDITURES
$0.00
$0.00
MOO
�'14s000.00
$0.00 !
$0.00
2,851 CtG11
$713;943, fi 2 ;!,041E
111
.658:00
$0,00 $341
00 ' $47
1 11
1,153-00 ' $1
154.68 ! $2V
`11 1
.1 111 11 " ; 1 • 1
$ 341,653
?018 BUDGET
2018
APPROVED
DEPARTMENT
ITEM DESCRIPTION
AMOUNT
Emergency Preparedness
Siren 4�1 Replacement (Public Works Garage Area) Relocation Project — existing siren installed in 1987 '
21,153
21,153
Streets
Ford F-550 cab & chassis - replaces #605
93,000
Ford F-550 cab & chassis - replaces #309 _ _
93 000
Digital Salting Controls (2 C $4,000 - had requested 3) _ _
8.000
Pin Bit Hammer attachment for Bobcat _
8 500
Sonetics Wireless Radio - 5 user system
8;000
210,500
Centennial Building
Roof replacement for area i & 3
50.000
50,OGO
Parks
Kubota 2650 Tractor with attachments
60;000
Sorbo Park $30,000 play structure - will use Park Dedication Fees fund balance
60.000
TOTAL FOR GENERAL FUND 341 653
-2591 -
5:4 • 1
! • • :
RESOLUTION APPROVINGOF
FOR THE PURPOSE OF DEFRAYING THE COST
OF OPERATION PURSUANT TO THE PROVISIONS OF MSA 469 OF THE
HOUSING AND REDEVELOPMENT AUTHORITY OF, AND FOR, THE
CITY OF • D FOR THE A
WHEREAS, the City Council of the City of Mound is the governing body of the City of
Mound; and
WHEREAS, the City Council has received a resolution from the Housing and
Redevelopment Authority of, and for, the City of Mound entitled "Resolution Authorizing
The Levy of a Special Benefit Levy Pursuant to Minnesota Statutes Section 469.033,
Subdivision 6 and Approval of a Budget for Fiscal Year 2019"; and
WHEREAS, the City Council, pursuant to the provisions of MSA 469, must by resolution
consent to the proposed tax levy of the Housing and Redevelopment Authority of the
City of Mound.
NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of Mound,
Minnesota, that a special tax be levied upon real and personal property within the City
of Mound in the amount of $227,735.
BE IT FURTHER RESOLVED that the said levy, of $227,735, is approved by this
Council to be used for the operation of the Mound Housing and Redevelopment
Authority pursuant to the provisions of MSA 469 and shall be certified as a tax levy to
the County Auditor of Hennepin County on or before December 28, 2018.
Adopted by the City Council this 11th day of December, 2018.
Attest: Catherine Pausche, Clerk
Mayor Mark Wegscheid
-2592-
CITY OF MOUND
RESOLUTION NO. 18 -
RESOLUTION APPROVING THE 2019 FINAL GENERAL FUND
BUDGET IN THE AMOUNT OF $5,397,068
SETTINGTHE FINAL LEVYAT $5,818,797
AND APPROVING THE FINAL OVERALL BUDGET FOR 2019.
BE IT RESOLVED, that the City Council of the City of Mound, Minnesota, does hereby adopt the
following final 2019 General Fund Budget appropriation, including capital:
l• IF -11 Rue] 4 hil I =1 ZT-11 M all k'l I
5,397,068
BE IT FURTHER RESOLVED, that the City Council of the City of Mound, Minnesota, does hereby
direct the County Auditor to levy the following final taxes for collection in 2019:
SPECIAL LEVIES
Fire Relief
74,601
G.O.
Improvement 2009A
215,600
G.O.
Refunding Bonds 2011A
333,279
G.O.
Improvement 2011 B
191,158
G.O.
Improvement 2012A
50,000
G.O.
Refunding Bonds 2012B (PS Building)
349,000
G.O.
Improvement 2013A
100,000
G.O.
Improvement 2014A
40,175
G.O.
Refunding Bonds 20146
75,000
G.O.
Improvement 2015A
272,000
G.O.
Improvement 2016A
118,370
G.O.
Refunding Bonds 2016B
50,000
Total Special Levies
1,869,183
FINAL REVENUE
LEVY
3,949,614
Final
Certified Levy
5,818,797
- 2593 -
BE IT FURTHER RESOLVED, that the City Council of the City of Mound, Minnesota, does hereby
adopt the final overall budget for 2019 as follows:
As per above 5,397,068
Capital Replacement Reserve Funds 630,000
Area Fire Service Fund 1,326,495
Dock Fund 163,983
HRA Transit District Maintenance Fund 79.040
TOTAL SPECIAL REVENUE FUNDS 1,569,518
Recycling Fund 200,983
Liquor Fund 809,922
Water Fund 1,997,857
Sewer Fund 2,440,112
Storm Water Utility Fund 394.800
TOTAL ENTERPRISE FUNDS 5,843,674
SUMMARY
General Fund 5,397,068
Capital Projects Funds 630,000
Special Revenue Funds 1,569,518
Enterprise Funds 5,843,674
TOTAL ALL FUNDS 13,440,260
Adopted by the City Council this 11th day of December, 2018.
Attest: Catherine Pausche, Clerk
Mayor Mark Wegscheid
-2594-
CITY OF MOUND
RESOLUTION NO. 18 -
RESOLUTION ADOPTING FEE SCHEDULE FOR 2019
NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of Mound, Minnesota:
Fees shall be hereby established. In the event of a conflict between this schedule and the City Code the
fee schedule shall prevail. An application or code provision may require payment of fees for consultation
with experts, professionals, or other qualified persons or for other matters which may result in the
imposition of a fee greater than listed in this fee schedule.
ADMINISTRATIVE FEES & CHARGES
Comprehensive Plan
$30.00
Copies - Black & White
$0.25/page
Copies - Color
$0.75/page
Envelopes
$0.25 each
Faxes
$0.25/page
DVD/CD with electronic info
$5.00 each
38-23 Duplicate license/permit
$10.00 each
Board and Commissions Minutes (not Council)
$0.25/page
Notary (set by State)
$1.00 each
Returned Check
$30.00/check
Zoning Ordinance
$20.00
74-129 Late fee for invoices not paid within 30 days
1 % per month
(for billable services provided by City)
AMUSEMENT & COMMERCIAL RECREATION
Amusements: (Set by State) Expire April 30
10-37 Mechanical Amusement Machines $15.00/location+
$15.00/machine
Arcades: Expire Dec. 3111
10-37 Arcade Permit (fee per machine) $15.00/location +
$15.00/machine
Carnivals, Shows, Entertainment:
10-73 Circus, carnival, or show
Indoor show $100.00/day
Outdoor show $100.00/day
Tent shows $100.00/day
10-73 Musical concert (only if no public gathering permit) $50.00/event
Parades:
38-1 Parade NIC
BUSINESS AND MISCELLANEOUS
Alcoholic Beverages: Expire June 30th
6-112 3.2 beer license investigation fee $500.00/investigation
3.2 beer off -sale $150.00/yr.
-2595-
3.2 beer on -sale $500.00/yr.
3.2 beer on -sale temporary (non-profit) $25.00/day
(for profit) $50.00/day
6-21 Set-ups (+State charges $150 for $300.00/yr.
Consumption & Display Permit)
Temporary (one -day) set-ups $25.00/day
6-49 Liquor Lic. Investigation fee per investor (in state) $500.00/applicant
(out state) Actual (up to $1,000)
6-48 Liquor on -sale $5,000.00/yr.
Liquor on-sale/cabaret $5,000.00/yr.
Temporary On -Sale Liquor (1-4 Day) $50.00/event
6-48 Wine on -sale $500.00/yr.
Investigation fee $500.00/investigation
6-48 Brew Pub on -sale intoxicating liquor license
$500/year
Brew Pub on -sale 3.2 percent malt liquor license
$500/year
Brewer off -sale intoxicating liquor license
$150/year
Brewer temporary on -sale intoxicating liquor license
$50/event
Brewer taproom liquor license
$500/year
Brewer taproom off -sale liquor license
$150/year
Micro -Distillery cocktail room liquor license
$500/year
Micro -Distillery off -sale liquor license
$150/year
Investigation fee for any combination of above licenses
$500/investigation
6-48 Club license (regulated by State)
Membership 200 or less:
$300.00/yr.
Membership 201-500:
$500.00/yr.
Membership 501-1,000:
$650.00/yr.
Membership 1,001-2,000:
$800.00/yr.
Membership 2,001-4,000:
$1,000.00/yr.
Membership 4,001-6,000:
$2,000.00/yr.
Membership more than 6,000:
$3,000.00/yr.
6-48 Sunday liquor $200.00/yr.
6-53 Civil Penalty for violation to comply
First violation $500.00
Second violation $750.00
Third violation $1,000.00 plus public hearing
before City Council to consider suspension and/or revocation of license
6-117 Civil Penalty for violation to comply
First violation $500.00
Second violation $750.00
Third violation $1,000.00 plus public hearing
before City Council to consider suspension and/or revocation of license
Charitable Gambling:
Investigation fee (set by State)
-2596-
$200.00
Cigarettes: Regulated by the County.
Fireworks:
38-253 License to Sell Consumer Fireworks $100.00/yr.
Fireworks Display/Pyrotechnics Special Effects Permit $ 50.00/event
Additional inspection if needed +$50.00
Garbage Collection:
54-48 Permit Fee $500.00/yr.
Secondhand Goods Dealer
Background check/investigation fee $100.00 first year
Dealer License $100.00/yr.
Peddlers & Solicitors:
38-152 Transient merchants, Peddler, Hawker
One day $30.00
One week $50.00
One month $75.00
One year $200.00
CEMETERY FEES
18-22 Adult grave — resident (or prior resident with proof) $600.00
Adult grave — non-resident
$1,100.00
Half Grave - Babies & Urns — resident
$300.00
Half Grave - Babies & Urns — non-resident
$550.00
Locate
Actual cost
(min $35.00)
Maintenance Agreement (June -Oct)
$15.00/mo.
Ash burial placed on top of casket (limit 1 urn)
$50.00
78-38 Commercial Boat (fee per boat) $30.00/yr.
78-56 Commercial Dock Renewal $500.00/yr.
Slips $30.00 ea/yr.
Boats stored on land $10.00 ea/yr.
78-76 Charter Boat License Fee $1,000.00/yr or $100.00/occurrence
Investigation Fee $100.00
78-101 Non-refundable processing fee for wait list
-2597-
Application
$20.00/yr
78-101
Processing fee for full dock refunds
$50.00
78-101
Late dock license application fee on or after
March 1St (abutters only)
$50.00/mo.
78-101
Late dock license application fee for applications received
between March 1 It and March 31 It (non -abutters only)
$100
78-101
Dock fee that includes primary watercraft (1 boat)
$325.00/yr
78-101
Each secondary watercraft
$100.00/yr.
78-101
Sailboat mooring
$325.00/yr
78-101
Appurtenances on public lands benefitting specific
license holders - special assessment for a portion of the
cost as determined by the City Council
78-103
Shared dock application — filed on or after
March 1 It
$25.00
-2597-
78-102 Temporary Visiting Dockage Permit - up to
78-101
21 days
$50.00
78-103
Shared dock (Secondary Site Holder Fee)
$175.00/yr
4th
LMCD charge (based on boat length)
Set by LMCD
78-101
LMCD charge (no boat) Minimum as set by LMCD
78-104
Penalty fee for undeclared boat at dock (license holder)
$100.00
78-104
Penalty for undeclared boat at a slip (license holder)
$100.00
78-104
Penalty for illegally mooring boat to dock or slip
Multiple Slip Refundable Key Deposit
$50.00
(non -licensee)
$100.00
78-101
Multiple Slip Fee
$375.00/yr
78-101
Multiple Slip LMCD Fee
$15.00
78-101
Small watercraft slip fee
$100.00/yr
78-101
Canoe/Kayak storage fee - Resident
$50.00/yr
78-101
Canoe/Kayak storage fee - Non -Resident
$75.00/yr
78-101
Lost Lake Slips Multiple (Villas on Lost Lake Residents)
$1,148.00/yr
78-101
Lost Lake Slips Multiple (to Mound residents who are not
$50.00
4th
Lost Lake residents)
$1,950.00/yr.
78-101
Lost Lake Slips Multiple (to Non -Mound residents)
$2,050.00/yr
78-101
Lost Lake Slips Multiple (After August 1St of the year)
$1,000/yr
78-101
Lost Lake Slips LMCD
$18.75
78-101
Multiple Slip Refundable Key Deposit
$50.00
78-101
Processing fee for full slip refund
$50.00
78-101
Processing fee for voluntary suspension of license
$50.00
78-101
Penalty for boat at slip after October 15th deadline
$100.00
FIRE/EMERGENCY SERVICES:
Fire report (MFD Report) $10.00
Hourly billing rate for reimbursable fire services $32.00/hour
Apparatus hourly/daily rates for reimbursable fire services - Per Attachment A
Fire Related Permit Fees:
Tent. Canopies. Membrane Structure (Retail/Special Event) $25.00
Temporary Heating and/or LP Usage $25.00
Bon Fire for Special Event $25.00
Open Flame or Candles in Assembly Area $25.00
Temporary Assembly or Occupancy $25.00
26-56 False Alarm (per calendar year) Fire and Burglary Separate
1 St
$0.00
2nd
$0.00
3rd
$50.00
4th
$150.00
5th -10th
$250.00
ea. over 10
$500.00
PARKS & RECREATION:
Depot rental - residents $125.00/day
Depot rental - non-residents $250.00/day
Depot rental - local non -profits $25.00/day
Damage deposit $350.00 plus $50.00 cash
Cancellation fee (Depot) $50.00
City Hall/Centennial Building room rentals $75.00/day
PUBLIC GATHERING:
50-20 Category I Locations: Surfside Park, Greenway, Centerview and Parking Deck -
$300 per day with $500 damage deposit and proof of insurance.
Public Gathering Permit Fee $300/day
Damage Deposit $500/day
Category 11 Locations: Other parks (neighborhoods,
$50 per day with $200 damage deposit.
Public Gathering Permit Fee
Damage Deposit
TAX FORFEIT AND/OR CITY -OWNED PROPERTY
Fee for staff review of request for
release of tax forfeit and/or city -owned land
Escrow Deposit for above
POLICE SERVICES
Animals:
14-38 Dangerous Dog Annual Registration
and Other Related Qualified Costs
14-44 Commercial Kennel:
Late application: on or after May 10 +
veterans parks) -
$50/day
$200/day
$500.00
Actual Cost
$150.00/yr.
$1.00
14-1 Redemption of impounded animal (See City of Orono Impound/Release Fees)
SPECIAL CONTRACTOR LICENSES
Heating, AC, Ventilation:
Contractor registration:
Tree Surgeon: Expires April 11t
38-207 Tree surgeon (removal & treatment)
Street Excavation:
61-23 Street excavation: Unpaved street
Asphalt
Concrete
$0.00
$200.00/yr.
$100.00+$500.00 deposit
$100.00+$500.00 deposit
$100.00+$500.00 deposit
UTILITIES -
Late Fee Penalty — For all bills not paid on or before the due date specified on the bill, a 10% late fee will
be added for the current amount due.
Water:
74-46 Service Contract Violation $35-00/upon t -o
74-77 Water Meter (with MXU)
5/8 x 3/4 $275.00/meter
3/4 $300.00/meter
Sewer:
105-100 Master plumber registration $0.00
74-241 Connection to sewer, but not water $161.41 $166.25
Treatment rates:
Residential:
.11
1
$340.00/meter
For (2) 5/8" meters
$392.00 for two
For (2) %" meters
$495.00 for two
For (2) 1" meters
$560.00 for two
1 - 1 '/Z
$525.001meter
2
$650.00/meter
2 Hpt
$700.00/meter
3 Hpt
$950.00/meter
4 Hpt
$1,500.00/meter
2 tru/flo
$1,610.00/meter
3 tru/flo
$2,225.00/meter
4 tru/flo
$3,000.00/meter
MXU only
$135.00 ea.
Sprinkler Meters (without MXU)
5/8 x 3/4
$125.00
1),
$275.00
74-128
Water Meter Test
$50.00/test
74-127
Water gallonage rates
Service Charge
$18.91/mo/acct.
User Fee Residential (Quarterly)
Tier 1 1-5,000 gallons
$4.92/1000g
Tier 2 5,001-25,000 gallons
$5.66/1000g
Tier 3 25,001+ gallons
$6.50/1000g
User Fee Commercial (Monthly)
Tier 1 1-2,000 gallons
$4.92/1000g
Tier 2 2,001-15,000 gallons
$5.66/1000g
Tier 3 15,001+ gallons
$6.50/1000g
New Account Charge
$50.00
Estimated Final Bill for Change in Renters
$50.00
On/Off at curb box (during normal
$35.00
business hrs.)
On/Off at curb box (after normal
Actual Cost
business hrs.)
Repair Fee
Actual Cost
Reconnection Fee
$35.00
Sprinkler System
2 inch
$3.00/mo
4 inch
$4.00/mo
6 inch
$6.00/mo
8 inch
$15.00/mo
10 inch
$25.00/mo
12 inch
$33.00/mo
74-127
Water Trunk Area Charge (WTAC)
$2,000.00/unit
Water Service Connection Fee
$240.00/unit
74-44
Water Turn -on
$35.00/event
74-45
Plumber Violation
$100.00/viol.
Sewer:
105-100 Master plumber registration $0.00
74-241 Connection to sewer, but not water $161.41 $166.25
Treatment rates:
Residential:
.11
10,000 gals or less
$105.78 $108.87 min/qtr
Over 10,000 gals/1,000 gals.
$6-58 $6.75
Minimum quarterly charge
$105.7-0 $108.87
Note: The above minimum applies to each single family dwelling or
apartment which is in accordance with existing sewer department policy.
Commercial, Industrial & Multi -unit Dwellings:
3,000 gals or less
$35.24 $36.29 min/mo.
Over 3,000 gals/1,000 gals.
$6-58 $6.75
Minimum monthly charge/unit
$35.24 $36.29
Single Family Dwelling - The sewer rate shall be based on the actual water used. Water used but not
placed into the sanitary sewer may be deducted providing it is metered.
Two -Family Usage and Multiple Dwelling Usage — It is computed on the same basis as a single dwelling,
except that the total quarterly charges on all such properties shall not be less than the number of units
multiplied by the $35.24-116.29/month minimum charge per unit. Water used but not placed into the
sanitary sewer may be deducted providing it is metered.
Dwellings Connected to Sewer but not Connected to Municipal Water— Shall pay a quarterly rate of
$164.44 $166.25. If such users wish to pay sewer rates based on gallons of water used, they can
purchase a water meter from the City and have their own plumber install the meter on their well.
74-241 Sewer Availability charge(SAC) $2,485.00/unit
(passes through to Metro Council Environmental Services Agency)
Sewer Trunk Area Charge (STAC) $2,000.00/unit
Sewer Service Connection Fee $240.00/unit
Storm Sewer:
Single -Family or Two-family Residential $3.00/lot/qtr.
Cemeteries $4.07/acre/mo.
Parks and Railroads $12.41/acre/mo.
Public and Private Schools/Institutional Use $20.72/acre/mo.
Multi -family Residential Uses $49.77/acre/mo.
Commercial/IndustrialNVarehouse Use $83.45/acre/mo.
Churches $20.72/acre/mo.
Recycling Household Charge:
Fee per household per month $4.00/mo.
Street Lighting - Franchise
Fee per account per month - Commercial/Industrial/Multi-Fam $1.50/mo.
Single -Family or Two-family Residential $0.50/mo.
Miscellaneous Fees:
A miscellaneous fee shall be paid by the applicant for land use application expenses which the City
incurs in regard to the review and processing of that application, and which exceeds the application fee.
Such expenses may include, but are not limited to, direct City payroll and overhead costs, fees paid to
consultants or professionals acting as an agent of the City, the cost of printing, mailing and supplies.
Such miscellaneous fees shall come due immediately upon notification by the City. The City shall
provide, upon request of the applicant, a breakdown of the various expenses incurred by the City. The
City may withhold any final action on a land use application and/or rescind prior actions until all
miscellaneous fees are paid in full. The City may request additional deposits if deemed necessary.
Attachment A contains hourly and daily rates for Fire Department Apparatus and Equipment and is made
a part herein.
Adopted by the City Council this 11th day of December, 2018.
Attest: Catherine Pausche, Clerk
- 2602 -
Mayor Mark Wegscheid
130 I a$ed V auamuaugqV
-2603-
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Date Weather
Cust18
Cuat17
Variance
2018
20I7
Difference +/
--
10/1/2018overcaot55
278
237
41
4938.2
4910.84
27.35
1O/2/2018ptsun 5Oy
274
260
14
5259.05
5159.69
99.36
10/3/28I8overcaat50s
278
316
'38
4933.54
6823.51
'1890.97
1O/4/%Ol8ovrostrain
376
315
61
8836.57
5846.75
3089.82
10/5/2018ovrcsthi40s
527
362
165
13413.18
8056.95
5356.23
10/6/2OIQptsun hi4Oa
506
523
-17
12446.63
12852.82
-407.19
10/7/2018ovrcs150a
289
496
-207
5922.06
12660.06
-6738
IO/8/202Orain hi50s
240
264
-24
5118.73
6656.5
-537.77
10/9/2018 rain 40s
308
315
'7
6668.06
6330.3I
337.75
10/10/2018 rain lo 40s
291
309
-28
5811.73
7139.05
-1327.32
20/11/7018 rain |o4Ma
360
268
92
11361.88
5087.03
6274.8
10/12/2018ovrcst35
536
357
179
14264,65
822O.77
6043.88
18/13/2018 rain 40s
492
602
-110
11851.28
16448.73
-4587.45
10/14/20I8ovrcst|o40s
280
529
'249
6824.41
13818.15
-7003.74
1O/15/2OlQptsun 4O
285
289
-4
5594.86
5285.79
309.07
1O/1G/ZOl8sun 4Ou
299
286
13
6004.29
5517.41
486.00
20/17/2028 ptsun 48s
326
342
-16
7574.6
7731.54
-156.94
~
10/18/2018 ptsun hi4Os
340
338
2
7802.78
7584.29
218.49
10/19/2018 sun hi5Os
532
367
165
12714.4
8631.32
4083.08
1O/Z0/20l8sun wind 4O
497
545
'48
12543.41
14873.68
-2330.27
1D/21/2OI8sun GO
247
491
-244
4844.75
14211.27
-9366.52
10/22/2018 sun wind SO
284
267
17
5001.42
5795.24
306.18
1U/23/2OIOsun 4Uo
311
237
74
719212
4761.73
2430.39
10/24/2018 ptsun 4Os
290
303
-I3
590I.82
6708.05
-806.23
20/25/2018 pt sun hi 40s
349
308
41
6874.48
6455.69
418.79
1O/26/2OlOrain 4Os
530
290
240
13113.63
6999.53
6114.1
10/27/2018uvrost40s
501
509
-8
12085.54
12796.42
-710.87
�
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1O/2O/2O28ptsun'5Oo
' '
293
464
-171
6023.06
11953.75
-5930.69
10/29/2018ptsun SOs
275
255
20
4634.46
5I87.07
`552.61
10/30/2818 ptsun 50s
296
259
37
6013.09
5693.1
319.99
lO/3l/2O18sun 5O
426
429
-3
10559.O9
10610.06
-50,97
TOTALS
11116
11232
-16
253216J
259105
-5888.28
�� FfUc Oi<
Date Weather
Cust18
Cust 17
Variance
2018
2017
Ddfference-/-
11/1/2018ovrcot40o
293
381
12
6124.09
5570.15
553.94
I2/2/2U1Optsun 4Os
552
292
250
23457.44
6417.95
7039.43
11/3/3018uvrcst40s
497
574
-77
12254.46
14885.57
-2631.11
21/4/2018ovrcet50
247
480
-233
5065.01
12177.46
-7112.45
11/5/2O1Optsun 50
248
243
5
4803.93
5498.82
-694.89
I1/6/2018ov/cstrain 5D
315
252
63
6367.2
4578.42
1780J8
1l/7/2O18|1snow 3Us
294
812
-18
5772.81
5989.71
-216.9
I1/8/2018snow/rain
321
300
21
7004.86
5695.57
1309.29
11/9/2018anowfrain
485
305
IOO
12154.17
6889.99
5264.18
11/10/2018|tsnow hi20s
453
486
-33
11794.31
11080.14
714.17
2I/11/2018ovrcst30
255
445
-190
5803.79
11401.17
'5597.38
1I/12/2018 sun h! teens
247
249
-Z
5233.89
5395.82
'I6I.93
11/15/2018 sun hi teens
289
270
19
6057.58
5068.49
999.09
21/14/2U1Dsun 4D
290
320
-30
5987.2
6536.24
-548.04
11/I5/2018 sun mid 40s
324
282
42
7027.3I
6004.6
1022.71
22/16/2018ovrcsthi20s
513
334
173
14067.72
6388.06
7679.66
21/17/2018ovrcsthi20s
493
554
-61
12509'83
1494G.1
-2436.27
11/I8/2018 sun hi 20s
271
486
'215
6273.04
13082.66
-6809.62
11/19/2018ovrcGt20
257
245
12
5873.85
4957.54
916.31
11/20/2018ovrcSt20s
422
268
154
11840.51
6383.69
5456.82
11/21/2018ovrcst40s
754
385
369
25076-49
8603.54
15472.95
11/22/2018 closed
852
-852
28682.72
'38682.72
11/23/2O18ptsun 2Us
488
488
13861.23
13861.23
1I/24/2018ovroot 20
421
5OO
-79
10676.51
11830.45
-1159.94
11/25/20IOptsun 2O
289
434
-145
5980.27
8795.42
'3815.15
1l/l6/2O18ptsun 20
224
236
-12
3875.91
456115
-687.24
11/37/2O18sun 18
237
223
14
4380.85
3917.02
463.83
1l/2O/2Ol8ovrcstsnow
280
222
59
4821.68
4299.78
521.9
11/29/2O18damp hiZOs
264
269
-S
5496.53
5389.02
106.51
11/30/2018ovrcst30
483
304
179
11256.56
5397.75
4858.8
O
TOTALS
10506
10402
204
250908
243427
7481.OZ
Via Certified Mail
November 30, 2018
Dear Mound Community Official:
Theresa Sunde
Senior Manager, Government Relations
The purpose of this letter is to inform you that, on or about January 1, 2019, Mediacom will be
implementing the following rate adjustments:'
Product:
Old Rate:
New Rate:
Net Change:
Local Broadcast Station
Surcharge2
$12.40
$14.73
$2.00
Regional Sports
Surcharge
$4.68
$4.88
$0.20
Family TV
$78.49
$80.49
$2.00
Prime TV
$94.49
$96.49
$2.00
The decision to make price adjustments is always a difficult one. We are very reluctant to raise video
prices because, when we do, we lose subscribers. However, cable and satellite companies are
constantly being pressured by the programmers we buy from to pay more for the channels we carry.
The fees we pay to retransmit local broadcast stations like ABC, CBS, FOX and NBC are by far our
fastest growing programming cost component. All told, the fees charged by broadcasters, according
to SNL Kagan, grew from $800 million to $10 billion annually or 1150% between 2009 and 2018.
The problems with sports programming is equally as alarming. One look at the skyrocketing rights fees
announced with recent deals and it is easy to see that the marketplace for live televised sports is out
of control. Broadcast networks and national and regional sports networks are shelling out billions of
dollars for the rights to the NFL, NBA, MLB, NHL, the Olympic Games, World Cup and NCAA football
and basketball. Unrestrained spending has become the hallmark of the sports programming business,
and the American consumer, whether a sports fan or not, is left to pay the price.
in an effort to bring more transparency to the unjustified fee increases being taken by the owners of
broadcast and sports television channels, Medlacom previously introduced a Local Broadcast Station
Surcharge and a Regional Sports Surcharge. By identifying the cumulative fee increases being taken by
these channel owners, we hope to draw the attention of consumers and their elected representatives
to this rapidly escalating problem.
° Depending on the terms of each customer's promotional package, these rate changes may not impact a customer until their current
promotional package expires.
z Mediacom bills monthly in advance. As a result, the increases for both the Local Broadcast Surcharge and Regional Sports Surcharge are
based on our best estimate of the cost increases our company will incur forbroadeast and regional sports programming. Mediacom will "true
up" customer bills in a subsequent month if it turns out that our estimate was too high or too low.
1642
-2610-
Despite the challenges we face, Mediacom has continued to aggressively invest in the communities we
serve. As part of a 3 -year, $1 billion capital investment plan that began in 2016, virtually all of the 3
million homes and businesses across Mediacom's 22 state footprint now have access to 1 Gig
broadband speeds.
In addition, Mediacom has broadly launched a low-cost internet service for low-income customers
featuring 10 Mbps download speeds for $9.95 per month. The service, called Connect2Compete, is
offered in partnership with EveryoneOn and is available to families with students participating in the
National School Lunch Program. Additional information is available at www.mediacomc2c.com,
Mediacom appreciates the opportunity to continue to serve your community's telecommunications
needs, if you have any questions, please contact me directly at 507-837-4878 or
tsunde2mediacomcc.com.
Sincerely,
Theresa Sunde
-2611 -
0% rl
Website: www.mmcd.org
METROPOLITAN MOSQUITO CONTROL DISTRICT
Metro Counties Government Center Phone: 651-645-9149
2099 University Avenue West FAX: 651-645-3246
Saint Paul, MN 55104-3431 TTY use Minnesota Relay Service
November, 2018
Mound City Manager
Mr. Eric Hoversten
5341 Maywood Road
Mound, MN 55364
Dear Mr. Hoversten,
Enclosed is a summary of work done by the Metropolitan Mosquito Control District (MMCD) in the city of
Mound area during the 2018 mosquito control season.
2018 was characterized by heavy snow in April, following by a quick warm-up and a very wet Spring.
Overall, the 2018 season was very similar to 2017. District Staff inspected almost 25,000 breeding sites
for mosquito larvae and applied 189,499 acres worth of treatments which is very similar to the 192,000
acres treated in 2017.
As of the end of October, 2018, the Minnesota Department of Health (MDH) had reported 52 human
WNV illnesses in residents of the state. Fifteen of the individuals reside in the District; eight in
Hennepin County, three in Ramsey County, two in Anoka County, and two in Dakota County. Reports
of 22 WNV positive blood donors have been received by MDH including 11 from residents of the
District. No cases of La Crosse encephalitis were reported in residents of the state. MMCD employees
continued to monitor and control populations of mosquitoes capable of transmitting disease right up until we
received our first frost this fall. MMCD staff also continued to monitor the distribution of ticks capable of
transmitting disease, and worked with the .Minnesota Department of Health to provide information designed
to reduce the risk of tick transmitted diseases.
MMCD employees controlled immature black flies in small steams and large rivers throughout the
metropolitan area. At the end of May and again in early* July we experienced localized high populations of
black fly (biting gnat) adults associated with the Minnesota River flow being so high that larval treatments
could not be made safely. Black fly adult abundance decreased after treatments resumed in mid --July. To
date this year, 65 black fly larvicide treatments have been made to the rivers and streams in the District,
similar to the 63 treatments completed in 2017.
If you have any questions, or would like to meet to discuss our agency's activities within Mound, please
contact me.
Step A: Manweiler, Executive Director
Pho e: (651) 643-8365
Email: mmcd_sam@mmcd.org
-2612-
Metropolitan Mosquito Control
2018 Activity Summary — Mound
Service Summart
Larval Sites Inspected = 320
Larval Mosquito Treatments = 285.73 acres
Adult Mosquito Inspections = 50
Adult Mosquito Treatments = 11.6 acres
Customer Calls = 2
Catch Basins Treatments = 287
Disease Prevention Property Inspections = 512
Tires Removed = 2
-2613-
MoundPlanning Commissioner Sought- • f • q
JAN .' 2019
The City of Mound is accepting applications for the Planning Commission for term(s) beginning January 1,
2019. The Planning Commission acts as a recommending body to the Mound City Council, meets the first
Tuesday of each month at 7:00 p.m. and periodically on the 3rd Tuesday as needed. The commission
considers all matters pertaining to planning and zoning, including Mound redevelopment land use
considerations. Call Sarah at 952-472-0604 for more info. See the city website under `Government" or
email jillnorlander@cityofmound.com for an application. Submittal deadline 12:00 noon on Tuesday,
January 29th. Interviews will be held as part of the February 5, 2019 Planning Commission meeting at
7:00 pm. Appointments will be made by the City Council at the February 12th council meeting. Prior
candidates and participants are encouraged to apply. Candidates for the Planning Commission must be a
resident of Mound.
With the election of Ray Salazar as Mayor, it is anticipated that there will be a vacancy on the City Council
once he takes the Oath of Office for Mayor on January 8, 2019. Therefore, the City is seeking applications
from residents interested in being appointed to the City Council to complete Mr. Salazar's council member
term which expires 12/31/2020. The City of Mound is a Statutory Class B City, having a City Council/City
Manager form of government. An elected City Council sets the policy and overall direction for
Mound. Then, city employees, under the direction of the City Manager, carry out council decisions and
provide day-to-day city services.
The City Council meets the 2nd and 4th Tuesday of every month at 7:00 p.m. in regular session. Special
meetings are called as needed and council members serve on one or more of the advisory commissions or
council subcommittees. The City of Mound is accepting applications for appointment to the City Council
through 12 noon on Tuesday, January 15th, with interviews to be held at the January 22nd regular
council meeting with a possible second round of interviews at a special meeting tentatively set for
Tuesday, January 29th. See cityofmound.com or call 952-472-0607 for an application.
-2614-
PLEASE TURN OFF ALL CELL PHONES & PAGERS IN COUNCIL CHAMBERS.
6. Visit by Tim Litfin, Tour De Tonka
Information/Miscellaneous
A. Comments/reports from Councilmembers
B. Reports:
C. Minutes:
D. Correspondence: MN Department of Health 50 Year Award 1275-1276
8. Adjourn
This is a preliminary agenda and subject to change. The Council will set o 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.
COUNCIL BRIEFING
July 10, 2018
Upcoming Events Schedule: Don't Forget!!
20 - 21 July - Spirit of the Lakes
24 July - 6:55 PM - HRA Regular Meeting (as may be required)
24 July - 7:00 PM - City Council Regular Meeting
4 August - Tour -d -Tonka
7August - National Night Out
11 August - Dog Days
14 August - Primary Election, regular meetings are rescheduled to Wednesday 15 August
15 August - 6:55 PM - HRARESECHEDULED Regular Meeting (as may be required)
15 August - 7:00 PM - RESCHEDULED City Council Regular Meeting
23 August - 3 September - State Fair
28 August - 6:55 PM - HRA Regular Meeting (as may be required)
28 August - 7:00 PM - City Council Regular Meeting
4 September - Westonka Schools Resume Classes
8 September - Running of the Bays
11 September - 6:55 PM - HRA Regular Meeting (as may be required)
11 September - 7:00 PM - City Council Regular Meeting
25 September - 6:55 PM - HRA Regular Meeting (as may be required)
25 September - 7:00 PM - City Council Regular Meeting
9 October - 6:55 PM - HRA Regular Meeting (as may be required)
9 October - 7:00 PM - City Council Regular Meeting
23 October - 6:55 PM - HRA Regular Meeting (as may be required)
23 October - 7:00 PM - City Council Regular Meeting
City Offices Closed
3 September 2018 - Labor 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.
Inauire 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
07-10-18
YEAR
BATCH NAME
DOLLAR AMOUNT
2018
0618UBREFUND
$
11149.69
2018
062818CTYMAN
$
21295.93
2018
073018CTYMAN
$
82.99
2018
071018CITY
$
76,522.02
2018
071018CTY2
$
21373.11
2018
071018HWS
$
85,532.87
TOTAL CLAIMS 11 $ 167,956.61
-1238-
Batch Name 0618UBREFUND
Payment
CITY OF MOUND
Payments
Current Period: June 2018
Computer Dollar Amt $1,149.69 Posted
Refer 1 AUTHORITY TITLE INC. Ck# 056560 6/28/2018
Cash Payment R 601-49400-36200 Miscellaneous Revenu 1720 RESTHAVEN LN- UTILITY REFUND-
AUATHORITY TITLE, INC.- T. FORYSTEK
Invoice 062818 6252018
Transaction Date 6272018 Due 0 Wells Fargo 10100
Total
Refer 2 EDGEWATER TITLE GROUP Ck# 056561 6/28/2018
Cash Payment R 601-49400-36200 Miscellaneous Revenu 1609 BLUEBIRD LN- UTILITY REFUND-
EDGEWATER TITLE GROUP- R. CHARGO
Invoice 062818 6252018
Transaction Date 6272018 Due 0 Wells Fargo 10100 Total
Refer 3 MODERN TITLE Ck# 056562 6/28/2018
Cash Payment R 601-49400-36200 Miscellaneous Revenu 2861 ESSEX LN- UTILITY REFUND- MODERN
TITLE- D/C UTTECHT
Invoice 062818 6252018
Transaction Date 6272018 Due 0 Wells Fargo 10100 Total
Refer 4 RAIMIS CONSTRUCTION LLC Ck# 056563 6/28/2018
Cash Payment R 601-49400-36200 Miscellaneous Revenu 5217 PHELPS RD- UTILITY REFUND- RAIMIS
CONSTRUCTION LLC -
Invoice 062818 6252018
Transaction Date 6272018 Due 0 Wells Fargo 10100 Total
Refer
5 TRAUT COMPANIES, INC.
Ck# 080201 E 6282018
Cash Payment
E 601-49400-440 Other Contractual Servic
change code to 500 -WELL #3 PUMP
REPLACEMENT- INSTALL 5-31-18
Invoice 306512-2
5/312018
Cash Payment
E 601-49400-500 Capital Outlay FA
change code to 500 -WELL #3 PUMP
REPLACEMENT- INSTALL 5-31-18
Invoice 306512-2
5/312018
Cash Payment
E 601-49400-440 Other Contractual Servic
change code to 500 WELL #3 REHAB 5-31-18
Invoice 306513-2
5/312018
Cash Payment
E 601-49400-500 Capital Outlay FA
change code to 500 -WELL #3 PUMP
REPLACEMENT- INSTALL 5-31-18
Invoice 306512-2
5/312018
Transaction Date
6282018 Due 0
Wells Fargo 10100 Total
Fund Summary
10100
Wells Fargo
601 WATER
FUND
$1,149.69
$1,149.69
Pre -Written Checks $1,149.69
Checks to be Generated by the Computer $0.00
Total $1,149.69
-1239-
06/28/18 10:44 AM
Page 1
$200.00
$200.00
$140.76
$140.76
$465.58
$465.58
$343.35
$343.35
-$41,329.00
$41,329.00
-$37,560.00
$37,560.00
$0.00
CITY OF MOUND 06/28/1810: 42 AM
Page 1
Payments
Current Period: June 2018
Batch Name 062818CTYMAN
Payment Computer Dollar Amt $2,295.93 Posted
Refer
2 GRAINGER
Ck# 056552 6/28/2018
Cash Payment
Cash Payment
E 222-42260-409 Other Equipment Repair
LED WHITE EMERGENCY STROBE HEAD
$123.21
REPAIR
Invoice 565865
LIGHT- FIRE UNIT #39
Invoice 9820678754 6/182018 PO 24794
E 101-45200-220 Repair/Maint Supply
TORO Z -MASTER MOWER V -BELT
Transaction Date
6272018 Due 0
Wells Fargo 10100 Total
$123.21
Refer
3 JOHNSON BROTHERS LIQUOR
Ck# 056553 6/28/2018
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$645.00
Invoice 1029684
6/122018
Wells Fargo 10100
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR CREDIT
-$150.00
Invoice 684055
6/122018
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR CREDIT
-$175.50
Invoice 684620
6/142018
Cash Payment
E 609-49750-253 Wine For Resale
WINE CREDIT
-$54.00
Invoice 684621
6/142018
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR CREDIT
-$40.00
Invoice 684622
6/142018
Cash Payment
E 609-49750-253 Wine For Resale
WINE CREDIT
-$9.00
Invoice 684806
6/152018
Transaction Date
6272018 Due 0
Wells Fargo 10100 Total
$216.50
Refer
4 KELLY, KEVIN
Ck# 056554 6/28/2018
Cash Payment
E 281-45210-331 Use of personal auto
REIMS MILEAGE- DOCK PROGRAM
$25.83
INSPECTIONS - K. KELLY- 5-30-18 THRU 6-
20-18
Invoice 062818
6252018
Transaction Date
6272018 Due 0
Wells Fargo 10100 Total
$25.83
Refer
5 LAND EQUIPMENT, INCORPORAT
Ck# 056555 6/28/2018
Cash Payment
E 101-45200-404 Machinery/Equip Repairs
TORO TIMECUTTER MOWER V -BELT
REPAIR
Invoice 565865
6/62018
Cash Payment
E 101-45200-220 Repair/Maint Supply
TORO Z -MASTER MOWER V -BELT
Invoice 565878
6/62018
Cash Payment
E 101-45200-220 Repair/Maint Supply
BPA FLUID OIL 2.5 GAL, HOSE CRIMP
HYDRAULIC HOSE, FITTING- PARKS
Invoice 568124
6/152018
Transaction Date
6272018 Due 0
Wells Fargo 10100
$263.79
$161.79
$177.89
Total $603.47
Refer 8 LLOYDS CONSTRUCTION SERVIC Ck# 056556 6/28/2018
Cash Payment R 101-42000-34310 Container on Right of REFUND DUMPSTER IN ROW FEE- PERMIT
#2018-00407- CANCELLED
Invoice 062818 6262018
Transaction Date 6272018 Due 0 Wells Fargo 10100 Total
Refer 1 MOUND FIRE RELIEF GEN FUND Ck# 056557 6/28/2018
Cash Payment R 609-49750-37815 Other Merchandise -O FISH FRY 2018 TICKET SALES @ HWS - 63
QTY
Invoice 062818 6/122018
Transaction Date 6272018 Due 0 Wells Fargo 10100 Total
-1240-
$50.00
$50.00
$630.00
$630.00
CITY OF MOUND 06/28/1810: 42 AM
Page 2
Payments
Current Period: June 2018
Refer 7 NAPA AUTO PARTS - SPRING PAR
Cash Payment E 101-45200-220 Repair/Maint Supply
Invoice 0577-056029 6222018
Transaction Date 6272018 Due 0
Ck# 056558 6/28/2018
Z -TURN MOWER BLADERUNNER BELT-
PARKS
Wells Fargo 10100 Total
$56.22
$56.22
Refer 6 VERIZON WIRELESS
Ck# 056559 6/28/2018
Cash Payment E 101-43100-321 Telephone, Cells, & Radi
CELL PHONE CHARGES 5-14-18 THRU 6-13-
$148.31
18
Invoice 9809048388 6/132018
Cash Payment E 601-49400-321 Telephone, Cells, & Radi
CELL PHONE CHARGES 5-14-18 THRU 6-13-
$116.94
18
Invoice 9809048388 6/132018
Cash Payment E 602-49450-321 Telephone, Cells, & Radi
CELL PHONE CHARGES 5-14-18 THRU 6-13-
$119.52
18
Invoice 9809048388 6/132018
Cash Payment E 101-42400-321 Telephone, Cells, & Radi
CELL PHONE CHARGES 5-14-18 THRU 6-13-
$38.49
18
Invoice 9809048388 6/132018
Cash Payment E 101-45200-321 Telephone, Cells, & Radi
CELL PHONE CHARGES 5-14-18 THRU 6-13-
$94.14
18
Invoice 9809048388 6/132018
Cash Payment E 101-41310-321 Telephone, Cells, & Radi
CELL PHONE CHARGES 5-14-18 THRU 6-13-
$56.39
18
Invoice 9809048388 6/132018
Cash Payment E 222-42260-321 Telephone, Cells, & Radi
CELL PHONE CHARGES 5-14-18 THRU 6-13-
$67.02
18
Invoice 9809048388 6/132018
Cash Payment E 101-42115-321 Telephone, Cells, & Radi
CELL PHONE CHARGES 5-14-18 THRU 6-13-
$15.69
18
Invoice 9809048388 6/132018
Cash Payment G 101-22801 Deposits/Escrow
CELL PHONE CHARGES- GP FIRE DEPT-
-$65.80
GLOBAL 400 OVERBILL
Invoice 9809048388 6/132018
Transaction Date 6282018 Due 0
Wells Fargo 10100 Total
$590.70
Fund Summary
10100
Wells Fargo
609 MUNICIPAL LIQUOR FUND
$846.50
602 SEWER FUND
$119.52
601 WATER FUND
$116.94
281 COMMONS DOCKS FUND
$25.83
222 AREA FIRE SERVICES
$190.23
101 GENERAL FUND
$996.91
$2,295.93
Pre -Written Checks $2,295.93
Checks to be Generated by the Computer $0.00
Total $2,295.93
-1241-
CITY OF MOUND 07/03/18 4:25 PM
Page 1
Payments
Current Period: July 2018
Batch Name 070318CTYMAN
Payment Computer Dollar Amt $82.99 Posted
Refer 1 HIRSHFIELDS PAINTS Ck# 056566 7/32018
Cash Payment E 285-46388-210 Operating Supplies GRAFITTI REMOVER- PARKING DECK
BATHROOMS
Invoice 32090496 7/32018
Transaction Date 7/32018 Due 0 Wells Fargo 10100
Fund Summary
10100 Wells Fargo
285 MOUND HRA $82.99
Pre -Written Checks $82.99
Checks to be Generated by the Computer $0.00
Total $82.99
$82.99
-1242-
$82.99
Total $82.99
CITY OF MOUND 07/03/18 4:18 PM
Page 1
Payments
Current Period: July 2018
Batch Name
071018CITY User Dollar Amt $76,522.02
Transaction Date 7/32018 Wells Fargo 10100
Total $7.50
Payments Computer Dollar
Amt $76,522.02
Cash Payment E 101-43100-404 Machinery/Equip Repairs REPAIR DUMP BOX HANDLE
$234.74
Invoice 10191516 6212018
$0.00 In Balance
Transaction Date 6292018 Wells Fargo 10100
Refer
2 AMERICAN MESSAGING _
E 601-49400-224 Street Maint Materials
WATER MAIN BREAK STREET FILL- 5
Cash Payment
E 101-45200-321 Telephone, Cells, & Radi
MONTHLY PAGING MESSAGING SERVICE
$1.87
722018
FROM 02/01/18 TO 01/31/2019- PARKS & PUB
E 101-43100-224 Street Maint Materials
BLACKTOP, CEMENT, DIRT DUMPED 6-29-
WKS
18 - 2 LOADS @ $125 EA
Invoice D2062026SG 7/12018
722018
Cash Payment
E 101-43100-321 Telephone, Cells, & Radi
MONTHLY PAGING MESSAGING SERVICE
$1.87
6-26-18 - 4 LOADS @ $168 EA
FROM 02/01/18 TO 01/31/2019- PARKS & PUB
722018
Transaction Date
WKS
Wells Fargo 10100 Total
Invoice D2062026SG 7/12018
Cash Payment
E 601-49400-321 Telephone, Cells, & Radi
MONTHLY PAGING MESSAGING SERVICE
$1.88
FROM 02/01/18 TO 01/31/2019- PARKS & PUB
WKS
Invoice D2062026SG 7/12018
Cash Payment
E 602-49450-321 Telephone, Cells, & Radi
MONTHLY PAGING MESSAGING SERVICE
$1.88
FROM 02/01/18 TO 01/31/2019- PARKS & PUB
WKS
Invoice D2062026SG 7/12018
37 ASPEN MILLS
Transaction Date 7/32018 Wells Fargo 10100
Total $7.50
Refer 1 ASPEN EQUIPMENT _
6202018
Cash Payment E 101-43100-404 Machinery/Equip Repairs REPAIR DUMP BOX HANDLE
$234.74
Invoice 10191516 6212018
Invoice 071018
Transaction Date 6292018 Wells Fargo 10100
Total $234.74
Refer
37 ASPEN MILLS
Cash Payment
E 222-42260-210 Operating Supplies
Invoice 218615
6202018
Transaction Date
7/32018
NAVY PANT2 PR, NAVY POLO, WHITE POLO,
SOFT SHELL JACKET-, KHAKI PANT,
EMBROIDER NAME, SEW ON PATCHES- G
PEDERSON
$272.76
Wells Fargo 10100 Total $272.76
Refer
3 BENDICKSON, WES
_
Cash Payment
E 101-43100-224 Street Maint Materials
STREET SWEEPINGS DUMPED 5-7-18 THRU
6-29-18 - 15 LOADS @ $80 EA
Invoice 071018
722018
Cash Payment
E 601-49400-224 Street Maint Materials
WATER MAIN BREAK STREET FILL- 5
LOADS- 6-15 & 6-29
Invoice 071018
722018
Cash Payment
E 101-43100-224 Street Maint Materials
BLACKTOP, CEMENT, DIRT DUMPED 6-29-
18 - 2 LOADS @ $125 EA
Invoice 071018
722018
Cash Payment
E 101-43100-224 Street Maint Materials
DIRT 12 YD LOADS DUMPED 5-22-18 THRU
6-26-18 - 4 LOADS @ $168 EA
Invoice 071018
722018
Transaction Date
7/32018
Wells Fargo 10100 Total
Refer 36 BENIEK PROPERTY SVCS INC.
Cash Payment E 101-49999-300 Professional Srvs
Invoice 150658 6/302018
FORCED MOWING & TRIMMING @ 5400
LYNWOOD BLVD 6-15-18
-1243-
$1,200.00
$300.00
$250.00
$672.00
$2,422.00
$65.00
CITY OF MOUND
Payments
Current Period: July 2018
Cash Payment E 101-49999-300 Professional Srvs FORCED MOWING & TRIMMING @ 2631
COMMERCE BLVD 6-15-18
Invoice 150658 6/302018
Transaction Date 7/32018 Wells Fargo 10100
Total
Refer
4 BIFFS, INC PORTABLE RESTROO
_
Cash Payment
E 101-45200-410 Rentals (GENERAL)
PHILBROOK PARK BIFFS RENTAL & SVC 5-
Cash Payment
E 602-49450-383 Gas Utilities
23-18 THRU 6-19-18
Invoice W681898
6202018
E 602-49450-383 Gas Utilities
Cash Payment
E 101-45200-410 Rentals (GENERAL)
CENTERVIEW BEACH BIFFS RENTAL & SVC
E 602-49450-383 Gas Utilities
Invoice 071018
5- 23-18 THRU 6-19-18
Invoice W681895
6202018
Invoice 071018
Cash Payment
E 101-45200-410 Rentals (GENERAL)
MOUND BAY PARK BIFFS RENTAL & SVC 5-
Invoice 071018
6222018
23-18 THRU 6-19-18
Invoice W681896
6202018
6222018
Cash Payment
E 101-45200-410 Rentals (GENERAL)
SKATEPARK BIFFS RENTAL & SVC 5- 23-18
6222018
Cash Payment
THRU 6-19-18
Invoice W681897
6202018
Cash Payment
Transaction Date
6292018
Wells Fargo 10100 Total
Refer
5 CENTERPOINT ENERGY
Cash Payment
E 602-49450-383 Gas Utilities
Invoice 071018
6222018
Cash Payment
E 602-49450-383 Gas Utilities
Invoice 071018
6222018
Cash Payment
E 602-49450-383 Gas Utilities
Invoice 071018
6222018
Cash Payment
E 602-49450-383 Gas Utilities
Invoice 071018
6222018
Cash Payment
E 602-49450-383 Gas Utilities
Invoice 071018
6222018
Cash Payment
E 602-49450-383 Gas Utilities
Invoice 071018
6222018
Cash Payment
E 602-49450-383 Gas Utilities
Invoice 071018
6222018
Cash Payment
E 602-49450-383 Gas Utilities
Invoice 071018
6222018
Cash Payment
E 602-49450-383 Gas Utilities
Invoice 071018
6222018
Cash Payment
E 602-49450-383 Gas Utilities
Invoice 071018
6222018
Cash Payment
E 602-49450-383 Gas Utilities
Invoice 071018
6222018
07/03/18 4:18 PM
Page 2
$290.00
$355.00
$89.00
$379.00
$533.00
$253.00
$1.254.00
2649 EMERALD DR. LS E3 GENERATOR $14.32
NATL GAS SVC 4-18-18 THRU 6-18-18
4791 NORTHERN RD LS D1 GENERATOR $23.79
NATL GAS SVC 4-18-18 THRU 6-18-18
3303 WATERBURY RD LS GAS SVC 4-18-18 $16.59
THRU 6-18-18
2990 HIGHLAND BLVD LS B1 GENERATOR $15.67
NATL GAS SVC 4-18-18 THRU 6-18-18
4948 BARTLETT LS E2 GENERATOR NATL $14.20
GAS SVC 4-18-18 THRU 6-18-18
4728 CARLOW RD LS GENERATOR NATL $17.20
GAS SVC 4-18-18 THRU 6-18-18
5808 GRANDVIEW BLVD LS GENERATOR $17.82
NATL GAS SVC 4-18-18 THRU 6-18-18
4922 THREE PTS BLVD LS GENERATOR $16.90
NATL GAS SVC 4-18-18 THRU 6-18-18
1758 SUMACH LANE LS GENERATOR NATL $21.50
GAS SVC 4-18-18 THRU 6-18-18
5077 WINDSOR RD LS GENERATOR NATL $18.36
GAS SVC 4-18-18 THRU 6-18-18
3172 SINCLAIR RD LS GENERATOR NATL $11.06
GAS SVC 4-18-18 THRU 6-18-18
-1244-
Cash Payment E 602-49450-383 Gas Utilities
Invoice 071018 6222018
Transaction Date 6252018
CITY OF MOUND
Payments
Current Period: July 2018
5260 LYNWOOD BLVD. LS GENERATOR
NATL GAS SVC 4-18-18 THRU 6-18-18
Wells Fargo 10100 Total
Refer 6 CENTRAL HYDRAULICS, INCORPO _
Cash Payment E 101-45200-220 Repair/Maint Supply STRAIGHT THREAD ELBOW 90 DEGREE -
Invoice 0053783 6/142018
Transaction Date 6252018 Wells Fargo 10100 Total
07/03/18 4:18 PM
Page 3
$18.89
$206.30
$29.90
$29.90
Refer
7 CITIES DIGITAL SOLUTIONS
_
Cash Payment
E 101-41920-440 Other Contractual Servic
LASERFICHE ANNUAL MTCE, SUPPORT &
$1,633.00
UPDATES 9-23-18 THRU 9-23-19
Invoice 43249
6252018
Transaction Date
6252018
Wells Fargo 10100 Total
$1,633.00
Refer
38 FIRE ENGINEERING PUBLICATION
_
Cash Payment
E 222-42260-433 Dues and Subscriptions
FIRE ENGINEERING MAGAZINE
$79.00
SUBSCRIPTION 3 YEAR RENEWAL 36
ISSUES
Invoice 071018
7/32018
Transaction Date
7/32018
Wells Fargo 10100 Total
$79.00
Refer
39 FIRE SAFETY EDUCATION
_
Cash Payment
E 222-42260-217 Fire Prevention Supplies
1000 QTY CHILDRENS FIRE HATS- RED,
$1,290.00
BLACK & PINK, MFD FOIL BADGE STICKERS,
LOLLIPOPS
Invoice S056535
6262018
Transaction Date
7/32018
Wells Fargo 10100 Total
$1,290.00
Refer
40 FIVE TECHNOLOGY
_
Cash Payment
E 101-41920-440 Other Contractual Servic
MONTHLY MANAGED SVC & NETWORK
$1,290.00
MTCE- JULY 2018
Invoice 10718-19
7/12018
Transaction Date
7/32018
Wells Fargo 10100 Total
$1,290.00
Refer
8 FLEETPRIDE TRUCK & TRAILER P
_
Cash Payment
E 602-49450-220 Repair/Maint Supply
ENGINE HEATERS- 2 QTY- FOR LIFT
$260.52
STATION GENERATORS
Invoice 94527273
5242018
Transaction Date
6292018
Wells Fargo 10100 Total
$260.52
Refer
41 FRONTIER/CITIZENS COMMUNICA
_
Cash Payment
E 222-42260-321 Telephone, Cells, & Radi
NETWORK ETHERNET SVC 6-22-18 THRU 7-
$150.00
21-18
Invoice 071018
6222018
Cash Payment
E 101-41920-321 Telephone, Cells, & Radi
NETWORK ETHERNET SVC 6-22-18 THRU 7-
$175.00
21-18
Invoice 071018
6222018
Transaction Date
7/32018
Wells Fargo 10100 Total
$325.00
Refer
9 HD SUPPLY WATERWORKS, LTD
_
Cash Payment
E 601-49400-210 Operating Supplies
WATER METER SUPPLIES- ADAPTER
$35.00
Invoice J075994
6222018
Cash Payment
E 601-49400-210 Operating Supplies
WATER HYDRANT METERS- 3" OMNI,
$1,695.00
ADAPTER, GATE VALVE
Invoice J076324
6262018
-1245-
CITY OF MOUND 07/03/18 4:18 PM
Page 4
Payments
Current Period: July 2018
Transaction Date
6292018
Wells Fargo 10100 Total
$1,730.00
Refer
10 HERO OFFICE SYSTEMS, INCORP
_
Cash Payment
E 101-41500-210 Operating Supplies
OFFICE CHAIR - FINANCE DEPT
$296.25
Invoice 304684
6202018
Transaction Date
6292018
Wells Fargo 10100 Total
$296.25
Refer
42 JEFFERSON FIRE AND SAFETY, IN
_
Cash Payment
E 222-42260-219 Safety supplies
FIRE DRESS UNIFORMS- 6 SETS- PANTS,
$2,190.29
TAILS- J. BLACKSTONE
Invoice 249288
6262018
Cash Payment
E 222-42260-219 Safety supplies
FIRE DRESS UNIFORMS- 6 SETS- PANTS,
$2,190.29
TAILS- D. GAWTRY
Invoice 249288
6262018
Cash Payment
E 222-42260-219 Safety supplies
FIRE DRESS UNIFORMS- 6 SETS- PANTS,
$2,190.29
TAILS- A. ERICKSON
Invoice 249288
6262018
Cash Payment
E 222-42260-219 Safety supplies
FIRE DRESS UNIFORMS- 6 SETS- PANTS,
$2,190.29
TAILS- B. KNUTSON
Invoice 249288
6262018
Cash Payment
E 222-42260-219 Safety supplies
FIRE DRESS UNIFORMS- 6 SETS- PANTS,
$2,190.29
TAILS- R. DEVEREAUX
Invoice 249288
6262018
Cash Payment
E 222-42260-219 Safety supplies
FIRE DRESS UNIFORMS- 6 SETS- PANTS,
$2,190.29
TAILS- M. LINDER
Invoice 249288
6262018
Transaction Date
7/32018
Wells Fargo 10100 Total
$13,141.74
Refer
11 KENNEDYAND GRAVEN
_
Cash Payment
E 475-46386-300 Professional Srvs
TITLE WORK & MOUND HARBOR RFQ &
$613.99
PURCHASE AGREEMENT
Invoice 143415
6252018
Transaction Date
6292018
Wells Fargo 10100 Total
$613.99
Refer
12 LAKE MANAGEMENT, INC.
_
Cash Payment
E 101-45200-400 Repairs & Maintenance
2018 AQUATIC WEED MGMT PROGRAM
$4,042.80
TREATMENTS- 6 BEACHES & DNR PERMIT
FEE
Invoice 37251
1252018
Cash Payment
E 101-45200-438 Licenses and Taxes
2018 AQUATIC WEED CONTROL DNR
$210.00
PERMIT FEE
Invoice 37251
1252018
Transaction Date
7/22018
Wells Fargo 10100 Total
$4,252.80
Refer
13 LAKE MINNETONKA CONSERVATI
_
Cash Payment
E 101-41110-433 Dues and Subscriptions
3RD QTR 2018 _MCD LEVY PAYMENT
$5,412.00
Invoice 071018
6262018
Transaction Date
7/22018
Wells Fargo 10100 Total
$5,412.00
Refer
14 LAKE RESTORATION, INC.
Cash Payment
E 675-49425-440 Other Contractual Servic
PARKING DECK POND -TOTAL CARE ULTRA
$170.00
PROGRAM OPTION- WEEK CONTROL -
APPLICATION #2
Invoice 178852
6212018
-1246-
CITY OF MOUND
Payments
Current Period: July 2018
Cash Payment E 675-49425-440 Other Contractual Servic PARKING DECK POND -TOTAL CARE ULTRA
PROGRAM OPTION- WEEK CONTROL- ALUM
TREATMENT
Invoice 178852 6212018
Transaction Date 7/22018 Wells Fargo 10100 Total
Refer 15 LUBE -TECH & PARTNERS, LLC
Cash Payment E 602-49450-220 Repair/Maint Supply
Invoice 1187332 6282018
Transaction Date 7/32018
USED BULK OIL PICK UP- PUB WKS SHOP 6-
27-18
Project 18-3
Wells Fargo 10100 Total
Refer 16 MACQUEEN EQUIPMENT INCORP _
Cash Payment E 602-49450-220 Repair/Maint Supply POLE 2 BTN CONN, 4 PRONG CLAW
Invoice P13425 6/142018
Cash Payment E 602-49450-220 Repair/Maint Supply PIRANHA SEGMENT E1 B
Invoice P13422 6/142018
Transaction Date 7/32018 Wells Fargo 10100
Total
Refer
17 MIDWEST SERVICES _
Cash Payment
E 602-49450-440 Other Contractual Servic
MECHANIC SVCS- MAY 2018- WATERSIDE
JUNE 2018- MONTHLY SVCE- CENTENNIAL
$113.30
GENERATOR, #304 TYMCO, #313, #515, #512
Invoice 1811
6/112018
Project 18-5
Cash Payment
E 602-49450-440 Other Contractual Servic
MECHANIC SVCS- MAY 2018- #304 TYMCO,
Transaction Date
#313,#515,#315,#109
Invoice 1811
6/112018
Project 18-5
Cash Payment
E 602-49450-440 Other Contractual Servic
MECHANIC SVCS- MAY 2018- # 109, #209,
Cash Payment
E 601-49400-470 Water Samples
#214 VAC TRUCK, EMERALD LIFT STATION,
$95.00
JACK HAMMER SVC
Invoice 1811
6/112018
Project 18-5
Cash Payment
E 602-49450-440 Other Contractual Servic
MECHANIC SVCS- MAY 2018- #107 JD
Transaction Date
7/32018
LOADER, #117 HOT BOX, #204 CHIPPER
Invoice 1811
6/112018
Project 18-5
Cash Payment
E 602-49450-440 Other Contractual Servic
MECHANIC SVCS- MAY 2018-0 SHOP LAWN
E 401-43118-300 Professional Srvs
CONCRETE PLANT INSPECTION MAY 29
MOWER, WELL #3 GENERATOR, #415, #1504
Invoice 1811
6/112018
Project 18-5
Transaction Date
7/32018
Wells Fargo 10100 Total
07/03/18 4:18 PM
Page 5
$200.00
$370.00
$100.00
$100.00
$409.64
$236.48
$646.12
$680.00
$637.50
$680.00
$637.50
$637.50
$3.272.50
Refer
20 MINNESOTA ELEVATOR, INCORP
Cash Payment
E 101-41910-440 Other Contractual Servic
JUNE 2018- MONTHLY SVCE- CENTENNIAL
$113.30
BLDG ELEVATOR
Invoice 755157
6292018
Transaction Date
7/32018
Wells Fargo 10100 Total
$113.30
Refer
21 MINNESOTA VALLEY TESTING LA
_
Cash Payment
E 601-49400-470 Water Samples
MONTHLY CHLORINE REPORT & COLIFORM
$95.00
WATER TESTS -10
Invoice 924818
6262018
Transaction Date
7/32018
Wells Fargo 10100 Total
$95.00
Refer
18 MN DEPT TRANSPORTATION
_
Cash Payment
E 401-43118-300 Professional Srvs
CONCRETE PLANT INSPECTION MAY 29
$359.78
2018 - 2018 STREET PROJ PW 18-01
Invoice P00009272
6202018
Project PW1801
Transaction Date
7/32018
Wells Fargo 10100 Total
$359.78
-1247-
CITY OF MOUND
Payments
Current Period: July 2018
Refer 19 MOUND FIRE RELIEF ASSOCIATIO _
Cash Payment E 222-42260-124 Fire Pens Contrib JULY 2018 - FIRE RELIEF PENSION
CONTRIBUTION
Invoice 071018 7/12018
Transaction Date 7/32018 Wells Fargo 10100
Refer 35 MULCH STORE, THE
Cash Payment E 101-45200-232 Landscape Material
Invoice 104003571 6/12018
Cash Payment E 101-45200-232 Landscape Material
Invoice 104004046 6!72018
Cash Payment E 101-45200-232 Landscape Material
Invoice 104004404 6/122018
Cash Payment E 101-45200-232 Landscape Material
Invoice 104004444 6/122018
Cash Payment E 101-45200-232 Landscape Material
Invoice 104004476 6/122018
Cash Payment E 101-45200-232 Landscape Material
Invoice 104005801 6262018
Cash Payment E 101-45200-232 Landscape Material
Invoice 104005842 6272018
Cash Payment E 101-45200-232 Landscape Material
Invoice 104005878 6272018
Cash Payment E 101-45200-232 Landscape Material
Invoice 104005898 6272018
Cash Payment E 101-45200-232 Landscape Material
Invoice 104005899 6272018
Cash Payment E 101-45200-232 Landscape Material
Invoice 104005908 6272018
Cash Payment E 101-45200-232 Landscape Material
Invoice 104005913 6272018
Cash Payment E 101-45200-232 Landscape Material
Invoice 104005927 6272018
Cash Payment E 101-45200-232 Landscape Material
Invoice 104005936 6282018
Cash Payment E 101-45200-232 Landscape Material
Invoice 104005944 6282018
Cash Payment E 101-45200-232 Landscape Material
Invoice 104006031 6282018
Cash Payment E 101-45200-232 Landscape Material
Invoice 104003983 6/62018
Transaction Date 7/32018
WOODSHIPS- PARKS DEPT
WOODSHIPS- PARKS DEPT
WOODSHIPS- PARKS DEPT
WOODSHIPS- PARKS DEPT
WOODSHIPS- PARKS DEPT
BRUSH -PARKS DEPT
WOODSHIPS- PARKS DEPT
LOGS- PARKS DEPT
SOIL/SOD- PARKS DEPT
SOIL/SOD- PARKS DEPT
SOIL/SOD- PARKS DEPT
SOIL/SOD- PARKS DEPT
SOIL/SOD- PARKS DEPT
SOIL/SOD- PARKS DEPT
SOIL/SOD- PARKS DEPT
SOIL/SOD- PARKS DEPT
ORGANIC TOPSOIL- PARKS DEPT
Wells Fargo 10100
Refer
43 MWHS BOYS HOCKEY BOOSTERS
_
Cash Payment
E 222-42260-210 Operating Supplies
60 BAGS SOFTENER SALT PELLETS
PUBLIC SAFETY BLDG
Invoice 071018
7/32018
Cash Payment
E 101-41930-210 Operating Supplies
60 BAGS SOFTENER SALT PELLETS
PUBLIC SAFETY BLDG
Invoice 071018
7/32018
Transaction Date
7/32018
Wells Farqo 10100
-1248-
07/03/18 4:18 PM
Page 6
$10,750.00
Total $10,750.00
$20.00
$17.50
$25.00
$25.00
$25.00
$10.00
$25.00
$12.00
$30.00
$20.00
$30.00
$30.00
$30.00
$40.00
$98.00
$40.00
$204.00
Total $681.50
$202.50
$202.50
Total $405.00
Refer 22 OFFICE DEPOT
Cash Payment E 101-41930-200 Office Supplies
Invoice 153975789001 6202018 PO 24894
Cash Payment E 609-49750-200 Office Supplies
Invoice 155087124001 6222018 PO 23498
Cash Payment E 101-41410-200 Office Supplies
Invoice 153975789001 6202018 PO 24894
Transaction Date 7/32018
CITY OF MOUND
Payments
Current Period: July 2018
COLORED & WHITE COPY PAPER, 8 1/2 X
11 WRITING PADS, 6 X 9 STENO PADS- CITY
HALL
INK -TONER CARTRIDGES- QTY 4- HWS
PRINTER
DYMO LABELS- ELECTIONS
Wells Fargo 10100 Total
Refer 23 ORONO, CITY OF _
Cash Payment E 101-41600-450 Board of Prisoners HENNEP CTY JAIL CHARGES- PER DIEM
FEES MAY 2018
Invoice 20141136 6/192018
07/03/18 4:18 PM
Page 7
$95.24
$378.73
$14.71
$488.68
$528.00
Transaction Date 7/32018 Wells Fargo 10100 Total $528.00
Refer 24 PAUSCHE, CATHERINE _
Cash Payment E 101-41500-331 Use of personal auto REIMS MILEAGE- OFFICE PRODUCTS $26.16
SHOWROOM - MAPLE GROVE - PICK OUT
OFFICE CHAIRS- C. PAUSCHE- 6-19-18
Invoice 071018 6282018
Transaction Date 7/52016 Wells Fargo 10100 Total
Refer 25 R.C. ELECTRIC, INCORPORATED _
Cash Payment E 101-45200-400 Repairs & Maintenance LABOR TO REPLACE DEPOT BLDG 6 GLOBE
LIGHTS W/ OWNERS NEW LED FIXTURES 6-
1-18
Invoice 6184 6/112018
Transaction Date 7/32018 Wells Fargo 10100 Total
Refer 26 REPUBLIC SERVICES _
Cash Payment E 670-49500-440 Other Contractual Servic JUNE 2018 CITYWIDE RECYCLING SVC
Invoice 0894-004661107 6252018
Cash Payment E 602-49450-384 Refuse/Garbage Dispose RECYCLING SVC CHARGED ON GARBAGE
BILL- CREDITED 10 MONTHS- 2017, JAN &
FEB 2018
Invoice 004635294 5252018
Transaction Date 7/72018 Wells Fargo 10100 Total
Refer
44 ROBERT B. HILL COMPANY
_
Cash Payment
E 222-42260-402 Building Maintenance
CHECK WATER SOFTENERS PUBLIC
SAFETY BLDG- ALTERNATING UNITS- BOTH
ARE CYCLING FINE
Invoice 358851
6282018
Cash Payment
E 101-41930-400 Repairs & Maintenance
CHECK WATER SOFTENERS PUBLIC
SAFETY BLDG- ALTERNATING UNITS- BOTH
ARE CYCLING FINE
Invoice 358851
6282018
Transaction Date
7/32018
Wells Fargo 10100 Total
Refer 27 SCHINDLER ELEVATOR CORPORA _
Cash Payment E 285-46388-440 Other Contractual Servic PARKING DECK ELEVATOR SVC CALL -6-4-
18- ELEVATOR STUCK- BENT HATCH DOOR
GIBS ON 4TH FLOOR
Invoice 7152737734 6/192018
-1249-
$26.16
$356.25
$356.25
$14,494.95
-$1,888.94
$12,606.01
$49.75
$49.75
$99.50
$508.31
CITY OF MOUND 07/03/18 4:18 PM
Page 8
Payments
Current Period: July 2018
Transaction Date
7/32018
Wells Fargo 10100 Total
$508.31
Refer
28 SPORTACULAR, INC.
_
$598.00
Cash Payment
E 101-45200-218 Clothing and Uniforms
ADD CITY OF MOUND SCREENPRINT LOGO
$47.00
Refer
31 WASTE MANAGEMENT OF WI -MN
TO PARKS & PUBLIC WORKS HI VIS T-
Cash Payment
E 101-41930-384 Refuse/Garbage Dispose GE SERVICE JULY 2018- CITY HALL & FIRE
$84.50
SHIRTS & SAFETY VESTS
DEPT
Invoice 071018
722018
6282018
Cash Payment
E 101-43100-218 Clothing and Uniforms
ADD CITY OF MOUND SCREENPRINT LOGO
$47.00
DEPT
TO PARKS & PUBLIC WORKS HI VIS T-
6282018
Invoice 10138
6252018
SHIRTS & SAFETY VESTS
Invoice 071018
722018
Wells Fargo 10100 Total
$922.00
Cash Payment
E 601-49400-218 Clothing and Uniforms
ADD CITY OF MOUND SCREENPRINT LOGO
$47.00
TO PARKS & PUBLIC WORKS HI VIS T-
SHIRTS & SAFETY VESTS
Invoice 071018
722018
Cash Payment
E 602-49450-218 Clothing and Uniforms
ADD CITY OF MOUND SCREENPRINT LOGO
$47.00
TO PARKS & PUBLIC WORKS HI VIS T-
SHIRTS & SAFETY VESTS
Invoice 071018
722018
Transaction Date
7/32018
Wells Fargo 10100 Total
$188.00
Refer
29 SUN NEWSPAPERS -HWS ACCT.
_
Cash Payment
E 101-43100-328 Employment Advertising
PUBLIC WORKS- STREETS MTCE WORKER-
$506.60
HELP WANTED AD 6-28 THRU 6-30-18
PUBLICATIONS
Invoice 612656
6/302018
Cash Payment
E 609-49750-328 Employment Advertising
SALES CLERK HELP WANTED AD HWS 6-23-
$211.00
18
Invoice 611430
6242018
Cash Payment
E 609-49750-328 Employment Advertising
SALES CLERK HELP WANTED AD HWS 6-30-
$111.00
18
Invoice 612651
6/302018
Transaction Date
7/32018
Wells Fargo 10100 Total
$828.60
Refer
30 TONKA PLUMBING HEATING & CL
_
Cash Payment
Cash Payment
E 601-49400-440 Other Contractual Servic
REPIPE 1" WATER MAIN FOR 3/4"
$598.00
Transaction Date
DEDUCTION METER, INSTALL
$147.00
Refer
31 WASTE MANAGEMENT OF WI -MN
CORRECTIONS- 1898 SHOREWOOD LN 6-11-
Cash Payment
E 101-41930-384 Refuse/Garbage Dispose GE SERVICE JULY 2018- CITY HALL & FIRE
$84.50
18
DEPT
Invoice 10138
6252018
6282018
Cash Payment
E 601-49400-440 Other Contractual Servic
REPLACE 1/2" METER W/ 3/4" METER,
$324.00
DEPT
REPIPE-4925 EDGEWATER DRIVE- 6-14-18
6282018
Invoice 10138
6252018
Transaction Date
7/32018
Wells Fargo 10100 Total
$922.00
Refer
45 UNITED FARMERS COOPERATIVE _
Cash Payment
E 101-45200-220 Repair/Maint Supply WEED WHIP HEADS- PARKS
$147.00
Invoice K85028
6/192018
Transaction Date
7/32018 Wells Fargo 10100 Total
$147.00
Refer
31 WASTE MANAGEMENT OF WI -MN
Cash Payment
E 101-41930-384 Refuse/Garbage Dispose GE SERVICE JULY 2018- CITY HALL & FIRE
$84.50
DEPT
Invoice 7151409-1593-8
6282018
Cash Payment
E 222-42260-384 Refuse/Garbage Dispose GE SERVICE JULY 2018- CITY HALL & FIRE
$84.50
DEPT
Invoice 7151409-1593-8
6282018
-1250-
CITY OF MOUND 07/03/18 4:18 PM
Page 9
Payments
Current Period: July 2018
Cash Payment E 101-45200-384 Refuse/Garbage Dispose GE SERVICE JULY 2018- PARKS DEPT
Invoice 7151410-1593-6 6282018
Cash Payment E 602-49450-384 Refuse/Garbage Dispose GE SERVICE JULY 2018- PUBLIC WORKS
Invoice 7151411-1593-4 6282018 Project 18-3
Transaction Date 2202018 Wells Fargo 10100 Total
$569.09
$87.81
$825.90
Refer
32 WATER CONSERVATION SERVICE
_
$20,581.21
Cash Payment
E 601-49400-440 Other Contractual Servic
LEAK LOCATE @ 4452 LAMBERTON 6-13-18
$341.20
Invoice 8645
6202018
475 TIF 1-3 Mound Harbor Renaissan
$613.99
Transaction Date
7/32018
Wells Fargo 10100 Total
$341.20
Refer
33 WIDMER CONSTRUCTION, LLC
_
$14,494.95
Cash Payment
E 601-49400-440 Other Contractual Servic
REPAIR WATERMAIN @ 4452 LAMBERTON 6-
$4,342.50
14-18
Invoice 4475
6272018
Cash Payment
E 601-49400-440 Other Contractual Servic
REPAIR 2 CURB STOPS @ 2977 OAKLWN 6-
$2,280.00
1-18
Invoice 4476
6272018
Transaction Date
7/32018
Wells Fargo 10100 Total
$6,622.50
Refer 34 XCEL ENERGY
Cash Payment E 101-43100-381 Electric Utilities
Invoice 597419919 6272018
Cash Payment E 602-49450-381 Electric Utilities
Invoice 597419919 6272018
Cash Payment E 101-43100-381 Electric Utilities
Invoice 597392782 6262018
Transaction Date 7/32018
SHORELINE -COMMERCE STREET LIGHTS 5- $39.07
24-18 THRU 6-25-18
LECTRIC SVC 5-27-18 THRU 6-25-18 $80.03
CARLOW RD LIFT STATION
1871 COMMERCE BLVD STREET LIGHTS 5- $15.11
25 -18 TO 6-25-18
Wells Fargo 10100 Total $134.21
Fund Summary
10100 Wells Fargo
101 GENERAL FUND
$20,581.21
222 AREA FIRE SERVICES
$26,020.25
285 MOUND HRA
$508.31
401 GENERAL CAPITAL PROJECTS
$359.78
475 TIF 1-3 Mound Harbor Renaissan
$613.99
601 WATER FUND
$10,059.58
602 SEWER FUND
$2,813.22
609 MUNICIPAL LIQUOR FUND
$700.73
670 RECYCLING FUND
$14,494.95
675 STORM WATER UTILITY FUND
$370.00
$76,522.02
Pre -Written Checks $0.00
Checks to be Generated by the Computer $76,522.02
Total $76,522.02
-1251-
CITY OF MOUND
Payments
Current Period: July 2018
Batch Name 071018CTY2 User Dollar Amt $2,373.11
Payments Computer Dollar Amt $2,373.11
$0.00 In Balance
Refer 55 DIAMOND VOGEL PAINTS _
Cash Payment E 101-43100-226 Sign Repair Materials WHITE & YELLOW, FED ACT TRAFFIC
MARKING PAINT
Invoice 802181096 5/302018
Transaction Date 7/32018 Wells Fargo 10100
Refer 57 GOPHER STATE ONE CALL, INC _
Cash Payment E 601-49400-395 Gopher One -Call JUNE 2018 LOCATES
Invoice 8060594 6/302018
Cash Payment E 602-49450-395 Gopher One -Call JUNE 2018 LOCATES
Invoice 8060594 6/302018
Transaction Date 7/32018 Wells Fargo 10100
Refer
56 HOLT, JASON
_
Cash Payment
E 602-49450-220 Repair/Maint Supply
REIMBURSE FOR- NEW MAILBOX,
MOUNTING BRACKETS, POST & VINYL
NUMBERS- J. HOLT 6100 BEACHWOOD-
DAMAGED BY PUBLIC WORKS
Invoice 071018
7/32018
Transaction Date
7/32018
Wells Fargo 10100
07/03/18 4:18 PM
Page 1
$1,269.90
Total $1,269.90
$153.90
$153.90
Total $307.80
$61.56
Total
Refer 59 SIMPLEX GRINNELL _
Cash Payment E 602-49450-440 Other Contractual Servic SVC CALL PUB WRKS BLDG- INSTALL NEW
TRANSFORMER
Invoice 84946170 6282018 Project 18-3
Transaction Date 7/32018 Wells Fargo 10100 Total
Refer 58 STEPP MFG _
Cash Payment E 101-43100-404 Machinery/Equip Repairs MTCE-STREET DEPT HOT BOX- FUEL LINE
FAILURE, TANK NOT WORKING, MAIN
HOPPER PUMP SEAL LEAKING- REPLACED
FUEL PUMP, CLEAN TIP & FLUSH HOSE
Invoice 54110 6272018
Transaction Date 7/32018 Wells Fargo 10100 Total
Fund Summary
101 GENERAL FUND
601 WATER FUND
602 SEWER FUND
10100 Wells Fargo
$1,812.65
$153.90
$406.56
$2,373.11
Pre -Written Checks $0.00
Checks to be Generated by the Computer $2,373.11
Total $2,373.11
-1252-
$61.56
$191.10
$191.10
$542.75
$542.75
CITY OF MOUND
Payments
Current Period: July 2018
Batch Name 071018HWS User Dollar Amt $85,532.87
Payments Computer Dollar Amt $85,532.87
$0.00 In Balance
Refer 1 AM CRAFT SPIRITS, INC. _
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX
Invoice 8627 6212018
Transaction Date 7/32018 Wells Fargo 10100
Total
Refer 2 ARTISAN BEER COMPANY _
Cash Payment E 609-49750-252 Beer For Resale BEER
Invoice 3273458 6282018
Cash Payment E 609-49750-252 Beer For Resale BEER
Invoice 3271673 6212018
Transaction Date 7/32018 Wells Fargo 10100 Total
Refer
3 BALD MAN BREWING COMPANY _
Cash Payment
E 609-49750-252 Beer For Resale BEER
Invoice e-2393
6282018
Transaction Date
7/32018 Wells Fargo 10100
Refer
4 BELLBOY CORPORATION _
Cash Payment
E 609-49750-210 Operating Supplies
SUPPLIES, BAGS
Invoice 97811700
6222018
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa
MIX
Invoice 97811700
6222018
Cash Payment
E 609-49750-255 Misc Merchandise For R
MDSE- PLASTIC FLASKS
Invoice 97811700
6222018
Transaction Date
7/32018
Wells Fargo 10100
Refer 5 BELLBOY CORPORATION
Cash Payment E 609-49750-253 Wine For Resale
Invoice 64864800 6292018
Cash Payment E 609-49750-265 Freight
Invoice 64864800 6292018
Cash Payment E 609-49750-251 Liquor For Resale
Invoice 64864800 6292018
Cash Payment E 609-49750-251 Liquor For Resale
Invoice 64754300 6222018
Cash Payment E 609-49750-265 Freight
Invoice 64754300 6222018
Transaction Date 7/32018
WINE
FREIGHT
LIQUOR
LIQUOR
FREIGHT
Wells Fargo 10100
Refer 6 BELLBOY CORPORATION _
Cash Payment E 609-49750-210 Operating Supplies SUPPLIES, BAGS, C -FOLD TOWELS
Invoice 97853300 6292018
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX
Invoice 97853800 6292018
Cash Payment E 609-49750-255 Misc Merchandise For R MDSE- WING CORKSCREW- METAL,
PLASTIC BEER CUPS
Invoice 97853800 6292018
Transaction Date 7/32018 Wells Fargo 10100
Refer 8 BENT BREWSTILLERY _
-1253-
Total
Total
Total
Total
07/03/18 4:19 PM
Page 1
$70.20
$70.20
$1,285.45
$177.00
$1,462.45
$444.00
$444.00
$133.25
$81.65
$13.50
$228.40
$128.00
$60.45
$4,772.35
$992.50
$15.50
$5,968.80
$218.30
$58.15
$70.40
$346.85
CITY OF MOUND
Payments
Current Period: July 2018
Cash Payment E 609-49750-252 Beer For Resale BEER
Invoice 005303 6262018
Transaction Date 7/32018 Wells Fargo 10100
Refer
7 BERNICKS BEVERAGES AND VEN _
Cash Payment E 609-49750-252 Beer For Resale
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa
MIX
Invoice 434693
6272018
Invoice 1090875649 6272018
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 434694
6272018
Cash Payment E 609-49750-252 Beer For Resale
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 4168
6222018
Invoice RPA42605 6272018
Transaction Date
7/32018
Wells Fargo 10100
Refer 9 BREAKTHRU BEVERAGE MN BEE
_
Cash Payment E 609-49750-252 Beer For Resale
BEER
Invoice 1090875650 6272018
BEER
Cash Payment E 609-49750-252 Beer For Resale
BEER
Invoice 1090875649 6272018
Cash Payment
Cash Payment E 609-49750-252 Beer For Resale
BEER
Invoice 1090875762 6272018
6262018
Cash Payment E 609-49750-252 Beer For Resale
BEER
Invoice 1090875761 6272018
BEER
Cash Payment E 609-49750-252 Beer For Resale
BEER
Invoice RPA42605 6272018
Cash Payment
Transaction Date 7/32018
Wells Fargo 10100
Refer 10 BREAKTHRU BEVERAGE MN WINE _
11 CAPITOL BEVERAGE SALES, L.P.
Cash Payment E 609-49750-253 Wine For Resale
WINE
Invoice 1080820477 6272018
BEER
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa
MIX
Invoice 1080820478 6272018
Cash Payment
Cash Payment E 609-49750-253 Wine For Resale
MIX
Invoice 1080820476 6272018
6262018
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 1080820476 6272018
BEER
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 1080822021 6282018
Cash Payment
Transaction Date 7/32018
Wells Fargo 10100
Refer
11 CAPITOL BEVERAGE SALES, L.P.
_
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 2124941
6262018
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 2124942
6262018
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 2125655
6282018
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 2123529
6222018
Transaction Date
7/32018
Wells Fargo 10100
Refer 12 CLEAR RIVER BEVERAGE CO. _
Cash Payment E 609-49750-252 Beer For Resale BEER
Invoice 191-0106 6212018
-1254-
Total
Total
Total
Total
Total
07/03/18 4:19 PM
Page 2
$133.20
$133.20
$42.00
$1,664.20
$88.80
$1,795.00
$85.00
$10,625.90
$231.00
$206.10
-$36.77
$11,111.23
$903.83
$62.92
$55.95
$7,030.53
$180.00
$8,233.23
$9,401.00
$192.89
$725.00
$1,125.00
$11,443.89
$806.00
CITY OF MOUND
07/03/18 4:19 PM
Page 3
Payments
Current Period: July 2018
Transaction Date
7/32018
Wells Fargo
10100 Total
$806.00
Refer
13 COCA COLA BOTTLING -MIDWEST
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa COCA COLA PRODUCTS-
MIX
$501.20
Invoice 3595207618 6252018
Transaction Date
7/32018
Wells Fargo
10100 Total
$501.20
Refer
14 DAHLHEIMER BEVERAGE LLC
_
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$3,068.90
Invoice 180821
6262018
Transaction Date
7/32018
Wells Fargo
10100 Total
$3,068.90
Refer
15 GROWLER MAGAZINE
_
Cash Payment
E 609-49750-340 Advertising
1/16 PAGE AD -HWS- JUNE 2018 ISSUE
$342.00
Invoice 820-R
6/12017
Transaction Date
7/32018
Wells Fargo
10100 Total
$342.00
Refer
16 HOHENSTEINS, INCORPORATED
_
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$1,917.20
Invoice 972386
6282018
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$769.50
Invoice 970965
6212018
Transaction Date
7/32018
Wells Fargo
10100 Total
$2,686.70
Refer
17 INBOUND BREWCO
_
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$512.00
Invoice 2193
6282018
Transaction Date
7/32018
Wells Fargo
10100 Total
$512.00
Refer
18 JJ TAYLOR. DISTRIBUTING MINN
_
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$11.47
Invoice 2856053
6272018
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$196.80
Invoice 2856039
6222018
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$4,530.80
Invoice 2856052
6272018
Transaction Date
7/32018
Wells Fargo
10100 Total
$4,739.07
Refer
19 JOHNSON BROTHERS LIQUOR
_
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa MIX
$36.00
Invoice 1042337
6272018
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$6,711.92
Invoice 1042334
6272018
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$4,319.00
Invoice 1042335
6272018
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$52.99
Invoice 1042336
6272018
Transaction Date
7/32018
Wells Fargo
10100 Total
$11,119.91
Refer
20 LUPULIN BREWING COMPANY
_
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$499.50
Invoice 13190
6262018
Transaction Date
7/32018
Wells Fargo
10100 Total
$499.50
Refer
21 MODIST BREWING CO. LLC
_
-1255-
Cash Payment E 609-49750-252 Beer For Resale
Invoice 6715 6272018
Transaction Date 7/32018
CITY OF MOUND 07/03/18 4:19 PM
Page 4
Payments
Current Period: July 2018
BEER $357.75
Wells Fargo 10100 Total
Refer 22 MUZAK - MINNEAPOLIS
Cash Payment E 609-49750-440 Other Contractual Servic 3RD QTR 2018- JULY 1ST THRU SEPT 30TH
MUSIC SERVICE- HWS
Invoice 54038556 7/12018
Transaction Date 7/32018 Wells Fargo 10100 Total
$357.75
$420.51
$420.51
Refer
23 PAUSTIS AND SONS WINE COMPA
_
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$971.75
Invoice 15341
6252018
Cash Payment
E 609-49750-265 Freight
FREIGHT
$13.75
Invoice 15341
6252018
Cash Payment
E 609-49750-253 Wine For Resale
WINE CREDIT
-$88.25
Invoice 10551
5/92018
Cash Payment
E 609-49750-253 Wine For Resale
WINE CREDIT
-$104.25
Invoice 14984
6202018
Transaction Date
7/32018
Wells Fargo
10100 Total
$793.00
Refer
24 PHILLIPS WINE AND SPIRITS, INC
_
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$1,280.70
Invoice 2380157
6272018
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$1,489.35
Invoice 2380158
6272018
Transaction Date
7/32018
Wells Fargo
10100 Total
$2,770.05
Refer
25 SHAMROCK GROUP, INC.
_
Cash Payment
E 609-49750-255 Misc Merchandise For R
ICE
$274.68
Invoice 2253695
6232018
Cash Payment
E 609-49750-265 Freight
FREIGHT
$2.00
Invoice 2253695
6232018
Cash Payment
E 609-49750-255 Misc Merchandise For R
ICE
$305.68
Invoice 2254250
6282018
Cash Payment
E 609-49750-265 Freight
FREIGHT
$2.00
Invoice 2254250
6282018
Cash Payment
E 609-49750-255 Misc Merchandise For R
ICE
$265.76
Invoice 2254319
6/302018
Cash Payment
E 609-49750-265 Freight
FREIGHT
$2.00
Invoice 2254319
6/302018
Transaction Date
7/32018
Wells Fargo
10100 Total
$852.12
Refer
26 SOUTHERN WINE & SPIRITS OF M
_
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$1,866.00
Invoice 1700169
6282018
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$7,973.96
Invoice 1700170
6282018
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa
MIX
$34.89
Invoice 1700171
6282018
Transaction Date
7/32018
Wells Fargo
10100 Total
$9,874.85
Refer 27 VINOCOPIA, INCORPORATED
-1256-
CITY OF MOUND
Payments
Current Period: July 2018
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 0210027
6282018
LIQUOR
Cash Payment
E 609-49750-265 Freight
FREIGHT
Invoice 0210027
6282018
FREIGHT
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 0210028
6282018
WINE
Cash Payment
E 609-49750-265 Freight
FREIGHT
Invoice 0210028
6282018
FREIGHT
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa
MIX
Invoice 0210026
6282018
MIX
Cash Payment
E 609-49750-265 Freight
FREIGHT
Invoice 0210026
6282018
FREIGHT
Transaction Date
7/32018
Wells Fargo
Refer
28 VINOCOPIA, INCORPORATED _
_
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 0209457
6212018
Cash Payment
E 609-49750-265 Freight
FREIGHT
Invoice 0209457
6212018
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 0209456
6212018
Cash Payment
E 609-49750-265 Freight
FREIGHT
Invoice 0209456
6212018
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa
MIX
Invoice 0209458
6212018
Cash Payment
E 609-49750-265 Freight
FREIGHT
Invoice 0209458
6212018
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 0209405
6212018
Cash Payment
E 609-49750-265 Freight
FREIGHT
Invoice 0209405
6212018
Transaction Date
7/32018
Wells Fargo
Refer
29 WINE COMPANY
_
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 75092
6212018
Cash Payment
E 609-49750-265 Freight
FREIGHT
Invoice 75092
6212018
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 75765
6282018
Cash Payment
E 609-49750-265 Freight
FREIGHT
Invoice 75765
6282018
Transaction Date
7/32018
Wells Fargo
Refer 30 WINE MERCHANTS _
Cash Payment E 609-49750-253 Wine For Resale WINE
Invoice 7189417 6272018
Transaction Date 7/32018 Wells Fargo
-1257-
10100
10100
10100
10100
Total
Total
07/03/18 4:19 PM
Page 5
$227.75
$3.00
$236.00
$3.00
$120.00
$14.00
$603.75
$647.01
$6.00
$592.00
$12.00
$120.00
$2.00
$520.00
$12.00
$1,911.01
$456.00
$8.40
$772.00
$9.90
Total $1,246.30
$1,191.00
Total $1,191.00
CITY OF MOUND 07/03/18 4:19 PM
Page 6
Payments
Current Period: July 2018
Fund Summary
10100 Wells Fargo
609 MUNICIPAL LIQUOR FUND $85,532.87
$85,532.87
Pre -Written Checks $0.00
Checks to be Generated by the Computer $85,532.87
Total $85,532.87
-1258-
2415 Wilshire Boulevard
Mound, MN 55364
(952) 472-0604
MEMORANDUM
To: Honorable Mayor and City Council
From: Sarah Smith, Community Development Director
Date: July 5, 2018
Re: July 10, 2018 City Council Consent Agenda Item -- MN B.A.S.S. Nation Fishing
Tournament/Special Event
Summary. A Public Gathering Permit application was submitted by Bill Neumann, on behalf of MN
B.A.S.S. Nation, for use of Surfside Park and Beach, as a weigh-in station, on Sunday, August 26,
2018 from 12: 00 p.m. to 4:30 p.m. (excluding set-up and tear down) for a fishing tournament being
held on Lake Minnetonka.
Details.
This group organized and sponsored the 2018 Minnetonka Classic Fishing Contest held in June
that used Surfside Park and Beach as a weigh-in station. Staff recommends that a space in the
parking lot, to be determined by the City, be made available to accommodate the trailer for
the special event in the event the lawn area in the vicinity of the portable restroom is not
available. Applicant is requested to work with Public Works Superintendent Ray Hanson
regarding the final staging plan for the event.
• Approximately 60-70 participants are expected for the event in addition to spectators.
Staff has notified Orono Police Chief Farniok, Public Works Supterindent Hanson and Fire
Chief Pederson about the upcoming event. Additionally, the Lake Minnetonka Conservation
District, the Hennepin County Transportation Department and the Hennepin County Sheriff's
Water Patrol were also notified about the fishing tournament.
Recommendation. Staff recommends approval of the requested permit, subject to the following
conditions:
1. Applicant shall be responsible for procurement of all required local and public
agency permits that are needed to hold the event. Applicant shall provide copies of
all said permits to the City prior to the issuance and release of the Public Gathering
Permit.
-1259-
2. Applicant shall work with the Orono Police Department, the Fire Department, and
and the Public Works Department regarding any logistics for the upcoming event
including, but not limited to, equipment and personnel needs, site set-up and
staging, traffic/pedestrian control and circulation, etc. Applicant is responsible for
payment of fees for public safety or public services that may apply.
3. If needed, permission is granted to allow the parking of one trailer in the parking lot
with specific location to be determined in cooperation with the Public Works
Department. The applicant shall be responsible for contacting the Public Works
Department the week before the event to discuss final staging.
4. Amplified music, speakers and PA/sound systems are to be directed in the direction
best suited to minimize impact upon neighbors.
5. Placement of any and/or all temporary signs shall be subject to regulations contained
in City Code Chapter 119 and may include issuance of a permit and payment of the
required fee. Applicant shall work with the Community Development
Department to determine if a temporary sign permit is required.
6. No signage can be placed upon private property unless permission from the private
property owner and/or other interested party has been provided to the applicant who
shall be responsible for obtaining same.
7. Signage placement is subject to review and approval by the City of Mound. No signage
shall be placed in a location so as to affect vehicular and pedestrian traffic. The City of
Mound reserves the right to modify sign placement in the field.
8. Signage placed outside of the City's approval of the temporary permit shall be subject
to removal by the City.
9. The submittal of a Certificate of Insurance, naming the City of Mound as an additional
insured , is required and shall be provided prior to the release and issuance of the
Public Gathering Permit. Required insurance and coverage shall be in accordance
with the City's established policies. Applicant to work with Finance Director Catherine
Pausche regarding the form and required amounts for the Certificate of Insurance.
10. Applicant is advised that no special parking approvals in the park / launch area or on
local streets are granted as part of the Council's approval of the Public Gathering
Permit, with the exception of the trailer as described in Condition No. 3.
11. Applicant is advised that there are vehicle and trailer parking regulations on
Bartlett Boulevard/ County Road 125.
• Page 2
-1260-
12. If different from the application, contact information, including name and cell phone
number, for the person(s) who will be on site the day of the event shall be
provided prior to the release of the Public Gathering Permit.
13. Payment of the Category I application fee and damage deposit.
• Page 3
-1261-
CITY OF MOUND
RESOLUTION NO. 18 -
RESOLUTION APPROVING PUBLIC GATHERING PERMIT FOR USE OF SURFSIDE
PARK AND BEACH AS WEIGH-IN STATION FOR MN B.A.S.S. NATION FISHING
TOURNAMENT BEING HELD ON SUNDAY, AUGUST 26, 2018
WHEREAS, on December 12, 2017, the City Council of the City of Mound adopted
Resolution 17-168 to establish its fee schedule for 2018 ("Fee Schedule"); and
WHEREAS, the Fee Schedule set a Public Gathering Permit Category I Location
Fee at $300 per day and the Damage Deposit at $500 per day; and
WHEREAS, on June 22, 2018, Bill Neumann, on behalf of MN B.A.S.S Nation,
submitted a Public Gathering Permit application requesting use of Surfside Park and
Beach as a weigh-in station for a fishing tournament on Lake Minnetonka being held
on August 26, 2018 from 12:00 p.m. to 4:30 p.m. (excluding set-up and tear down); and
WHEREAS, City Staff has reviewed said application and has recommended
reasonable conditions to protect the public's investment in its public parks and common
areas as set forth in a staff memo to the City Council dated July 5, 2018 ("Conditions").
NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of Mound
as follows:
1. The recitals set forth above are incorporated into this Resolution.
2. The Public Gathering Permit is approved with Conditions.
Adopted by the City Council this 10th day of July, 2018.
Attest: Catherine Pausche, Clerk
Mayor Mark Wegscheid
-1262-
CITYOF MOUND
2415 WILSHIRE BLVD.
MOUND, MINNESOTA 55364
PUBLIC GATHERING PERMIT
Use of a public park, streets or rights of bay by any group consisting of 15 or more individuals.
Use is not to interfere with traffic and general use of the public lands or to be beyond the ability of
the police in maintaining order,
NO LIQUOR OR BEER MAY BE USED IN ANY OF THE CITY PARKS OR BUILDINGS.
Group is to remove all litter and trash and provide a deposit to insure cleaning up of the public lands.
Category I Locations (Surfside Park, Greenway, Centerview and Parking Deck)
PERMIT FEE: $300/DAY _30,�; DAMAGE DEPOSIT: $500/DAY"
Category II Locations: Other parks (neighborhoods, veterans parks)
PERMIT FEE: $50/DAY DAMAGE DEPOSIT: $200/DAY*
A certificate of insurance naming the City of Mound as Certificate Holder/Additional Insured
is required with respect to the City's ownership of the public lands. The permit holder roust
waive their right to subrogation in favor of the certificate holder.
Date(s) of Use
AreatobeUsed -30-PS�crc }� j Sin�iG �cCeSs tt3 Y� d !n
Time Frame 12.x-5 tieGr a
Intended Use ,C'c5 �^S
Expected Attendance b4 Za
Organization _ M • (}. J. S, /V u{l c c�
Representative's Name
Address 20S S-62,�P2
Telephone No. Daytime: Work:
E -Mail: �<�Q.U�.c a,4nrli3t1s5iJi'fiCl.C=
17epattmental Approval "
City Clerk I*olict Deni
— Public Worksl7e t. 77
-1263-
2415 Wilshire Boulevard
Mound, MN 55364
(952) 472-0604
MEMORANDUM
To: Honorable Mayor and City Council
From: Sarah Smith
Date: July 5, 2018
Re: July 10, 2018 City Council Meeting Consent Agenda Item -- Musical Concert Permit for
Private Event at 4416 Denbigh Road
Summary. Dan Hernandez, owner of the property at 4416 Denbigh Road, submitted an application
and is requesting approval of a Musical Concert Permit for a private party to celebrate a wedding
anniversary to be held on Saturday, August 4, 2018 to allow a live band to perform from 6:00 p.m. to
10:00 p.m. Details regarding the event are provided in the applicant narrative that is included as an
attachment to the memorandum. The applicant has notified neighboring property owners about the
August 4th event and also received permission from T. Cody Turnquist for use of the vacant property at
4451 Wilshire Boulevard forvehicle parking.
Notification. Notification about the upcoming event was provided to involved staff and departments
including the Mound Fire Department and the Orono Police Department; also interested public
agencies.
Fee. The 2018 fee for a Musical Concert Permit is $50 per day.
Recommendation. Staff recommends approval of the Musical Concert Permit for the August 4th
special event at 4416 Denbigh Road, subject to the following conditions:
1. Applicant shall be responsible for procurement of all required public
agency permits that are needed to hold the event.
2. Amplified music, speakers and PA/sound systems are to be directed in the
direction best suited to minimize impact upon neighbors.
3. Any signage for the event shall be in accordance with City Code Chapter 119 including
the need for any required permits.
4. Payment of $50.00 Musical Concert Permit Fee
-1264-
CITY OF MOUND
RESOLUTION NO. 18 -
RESOLUTION APPROVING MUSICAL CONCERT PERMIT FOR PRIVATE EVENT ON
SATURDAY, AUGUST 4, 2018 AT 4416 DENBIGH ROAD
WHEREAS, on December 12, 2017, the City Council of the City of Mound adopted
Resolution 17-168 to establish its Fee Schedule for 2018 ("Fee Schedule"); and
WHEREAS, the Fee Schedule set the Musical Concert Fee at $50 per day
unless a Public Gathering Permit Fee is being paid; and
WHEREAS, Dan Hernandez, on June 25, 2018, submitted a Musical Concert
Permit application requesting approval to allow a band from 6:00 p.m. to 10:00 p.m. for a
private event being held on Saturday, August 4, 2018; and
WHEREAS, the City Manager and City Staff have reviewed said application and
have recommended reasonable conditions, which are as set forth in a Staff
Memorandum to the City Council dated July 5, 2018; ("Conditions").
NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of Mound
as follows:
1. The recitals set forth above are incorporated into this Resolution.
2. The Musical Concert Permit is approved with Conditions.
Adopted by the City Council this 10th day of July, 2018.
Attest: Catherine Pausche, Clerk
-1265-
Mayor Mark Wegscheid
-1266-
_ $�O�dvent (only if no Public Gathering Permit Issued)
Datc(s) of Musical Concert
LICENSE #
CITY OF MOUND
2415 WILSHIRE BLVD.
MOUND, MINNESOTA 5.5364
MUSICAL CONCERT PERMIT APPLICATION
(Including, but not limited to, live music, music provided by a disc jockey, and/or any type of amplified
music)
EVEXT: Hernandez 35th Anniversary
LOCATION OF MUSICAL CONCERT:Private Property: 4416 Denbigh Road
TYPE OF MUSICICAL CONCERT: Live Band
TIME PERIOD OF MUSICAL CONCERT Start approx. 6pm. End by 10pm
(1101 IRS PERMITTED: Mon - Sun: 7:00 am - 10:00 pm)
REQUESTED EX'TEN'SION OF HOURS: n/a
(Council approval must be received to conduct a musical concert after 10:00 pm)
APPLICANT: Dan Hernandez CONTACT: Dan Hernandez
ADDRESS: 4416 Denbigh Road ADDRESS:
L -MAIL drnando@mchsi.com
HOME PHONE #: 952.261.2203 WORK PHONE #:
Date Applicant's Signature
A certificate of insurance naming the City of Mound as Certificate Holder/Additional Insured
is required with respect to the City's ownership of the public lands, if applicable.
Department Review
Approved Denied
Police Dept:
Adan.
Fire Dept.
-1266-
* The event is to celebrate our 35th Anniversary and is a private event on
private property. We are expecting less than 100 attendees, somewhere between 50
75 attendees.
* I've already notified my Denbigh Road neighbors (all of whom are invited to
attend)
* The neighbors to the immediate left and right of our house have agreed to let
attendees use restrooms in their houses (if necessary)
* We will have live music. It's actually my former band. Music will start around
6pm and end by 10pm. We've done this many times as a band. I'm quite familiar
with typical city noise ordinance rules! ;o)
* Parking: Cody.Turnquist owns the land behind the Island Park Skelly. I've
contacted Cody and have his permission to allow vehicle parking all day Saturday
August 04. I do have people lined up as 'Parking Attendants'. At most we
anticipate maybe 20 cars? (Probably not all at the same time either as people
will come and go). Our house is less than a minute walk from the Skelly
* No fireworks. No selling of liquor. No public safety obstructions. Just your
basic gathering.
-1267-
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: June 26, 2018
SUBJECT: ADM -XXX Arch Flash Safety Policy Adoption
LOCATION: NA
REQUEST: Council approve ADM -XXX, Shock Hazard and Arch Flash Protection
Policy.
CITY STAFF REVIEW
This policy is intended to clarify expectations for City employees on the use of specific
procedures and Personal Protective Equipment (PPE) when working on equipment that
may pose an arch flash or electric shock hazard. In general, the policy prohibits
maintenance or repair of energized equipment without management approval of an event -
specific risk management plan for that work. The Policy also requires use of
appropriately rated tools/equipment and donning of Category 2 PPE for any
troubleshooting activities behind the control -panel of water or sewer pump station motor
control cabinets.
The proposed policy as presented has been coordinated through Public Works, Fire, the
Bargaining Unit, local industry experts, or sewerage equipment vendors, and our Safety
Consultants.
RECOMMENDATION
The City Council for the City of Mound approve ADM -XXX Shock Hazard and Arch
Flash Protection Policy.
1
-1268-
CITY OF MOUND
2415 WILSHIRE BOULEVARD • MOUND, MN 55364-1668 • PH: 952-472-0600 • FAX: 952-472-0620 • WWW.CITYOFMOUND.COM
Shock Hazard and Arc Flash Protection Policy
1. The purpose of this policy is to prevent injury due to Shock Hazard or Arc Flash.
2. All lift station control cabinet work is to be done per NFPA 70E (Standard for Electrical
Safety in the Workplace).
3. All switch gear and transformers will be labeled to warn of Shock Hazard and Arc Flash
and indicate the need for appropriate PPE.
4. Whenever possible, equipment must be de -energized to eliminate the risk of Shock
Hazard or Arc Flash.
• If there is a special circumstance where live electrical work is required, a
specific safe work procedure for that work must be developed, approved by
Management, and implemented before starting any work.
The following minimum guidelines will apply to any live work:
a) All live work will be restricted to troubleshooting and testing; and be performed only
using appropriately rated test equipment.
b) Face shield is not mandatory when working on control panel, PLC cabinet or control
circuits where the voltage is 120v or less. However shock hazard may still exist, so
appropriate gloves, eye protection and insulated tools are still required.
c) 50 Volts to 600 Volts (Hazard/Risk Category 2 Protection required).
i. Appropriately rated PPE will be worn:
• Fire Retardant coveralls with a minimum arc rating of 8 cal/cm2
• Arc rated face shield, or arc flash suit hood
• Arc rated jacket, parka, or rainwear (when required)
• Voltage rated rubber gloves with leather protectors
• Hard hat, eye protection, hearing protection and leather work boots.
ii. The control cabinet must be de -energized prior to insertion or removal of any
electrical components rated over 50 volts. If this cannot be done, Hazard/Risk
Category 4 protection must be worn.
Shock Hazard and Arc Flash Protection Policy Acknowledaement
I have received a written copy of The City of Mound shock hazard and arc flash policy. I fully understand the terms
of this policy and agree to abide by them. Print your name, sign and date, and return this form to your supervisor.
Employee Print Name:
Employee Signature: Date: -1269-
Q& MLNK
Real People. Real Solutions.
June 21, 2018
Honorable Mayor and Members of the City Council
City of Mound
2415 Wilshire Boulevard
Mound, MN 55364
RE: 2018 Manhole Inspection Jetting & Televising
City Project No. PW -18-04
Final Plans and Specifications
Dear Mayor and City Council Members:
2638 Shadow Lane
Suite 200
Chaska, MN 55318-1172
Ph: 19521448-8838
Fax: 19521448-8805
Bolton-Menk.com
The 2018 manhole inspection jetting and televising project plans and specifications have been
completed. We are requesting approval of these plans in order to move ahead with bidding and
award of the project.
Included in the plans is NASSCO inspection of all Mound owned Sanitary Sewer manholes,
jetting, and televising of sanitary sewer pipes in the Island Park area of the city.
Attached is a resolution approving final plans and specifications for the 2018 Manhole
Inspection Jetting & Televising Project and authorizing advertisement for bids to be received on
July 17, 2018. We anticipate requesting award of bid at the following Council meeting on July
24, 2018.
Sincerely,
Bolton & Menk, Inc.
Brian D Simmons, P.E.
City Engineer
H'. \m00N\Cl7l l6313\1 CocresVC To others\2013-06-21 Lh to Council, plan Approval rev.povv
Bolton & Menk is an
CITY OF MOUND
RESOLUTION NO. 18 -
RESOLUTION APPROVING PLANS AND SPECIFICATIONS AND ORDERING
ADVERTISEMENT FOR BIDS FOR THE 2018 MANHOLE INSPECTION, JETTING, &
TELEVISING PROJECT — ISLAND PARK AREA
WHEREAS, pursuant to annual maintenance of the sanitary sewer system, the Island Park Area
of the city is planned for Manhole Inspection, Pipe Jetting, and Televising, City Project No. PW -
18 -04; and
WHEREAS, the City Engineer has prepared plans and specifications for the following proposed
improvement project: 2018 Manhole Inspection, Jetting, & Televising Projects — Island Park
Area, and has presented such plans and specifications to the Council for approval;
NOW, THEREFORE BE IT RESOLVED by the City Council of Mound, Minnesota:
1. Such plans and specifications, a copy of which is attached hereto and made a part hereof,
are hereby approved.
The City Clerk shall prepare and cause to be inserted in the official paper an advertisement
for bids upon the making of such improvements under such approved plans and
specifications. The advertisement shall be published in the official city newspaper, shall
specify the work to be done, shall state that bids will be received by the City Clerk, at which
time they will be publicly opened at City Hall, 2415 Wilshire Boulevard, by the City Engineer,
tabulated and considered by the City Council, in the council chambers. Any bidder whose
responsibility is questioned during consideration of the bid will be given an opportunity to
address the council on the issue of responsibility. No bids will be considered unless sealed
and filed with the Clerk.
Adopted by the City Council this 26`h day of June, 2018.
ATTEST:
Catherine Pausche, City Clerk
-1271-
Mark Wegscheid, Mayor
QBOLTON
& MENK
Real People. Real Solutions.
July 5, 2018
Mr. Eric Hoversten, City Manager
City of Mound
2415 Wilshire Boulevard
Mound, MN 55364
2638 Shadow Lane
Suite 200
Chaska, MN 55318-1172
Ph: 19521448-8838
Fax: 19521448-8805
Bolton-Menk.com
RE: 2017 Street, Utility and Retaining Wall Improvements — Lynwood Blvd/Fairview Ln,
Wilshire Blvd/Maywood Rd/Hiddenvale Ln, Tuxedo Blvd Phase III
City Project Nos. PW -17-01, PW -17-02, PW -17-03, PW -17-04
Pay Request No. 11
Dear Mr. Hoversten:
Please find enclosed Pay Request No. 11 from Park Construction Company for work completed
on the 2017 Street, Utility and Retaining Wall Improvement Project from May 31, 2018 through
June 29. 2018.
We have reviewed the contractor's request, verified quantities and recommend payment in the
amount of $420,580.41 to Park Construction Company.
Sincerely,
Bolton & Menk, Inc.
Brian D. Simmons, P.E.
City Engineer
Bolton & Menk is an
DATE: 7/3/2018
CONTRACTOR'S PAY REQUEST NO. 11 CONTRACTOR Park Construction Co
2017 STREET, UTILITY & RETAINING WALL IMPROVEMENTS OWNER City of Mound
CITY PROJECT NO. 17-01, 17-02, 17-03, 17-04 ENGINEER Bolton & Menk
BMI PROJECT NO. C17.112393, C17.112394, 017.112395
FOR WORK COMPLETED FROM 5/31/2018 THROUGF 6/29/2018
TOTALAMOUNT BID............................................................................................................................................... $ 3,247,178.52
APPROVED CHANGE ORDERS + EXTRA WORK..................................................................................... $ 73,269.44
CURRENT CONTRACT AMOUNT........................................................................................................... $ 3,320,447.96
TOTAL, COMPLETED WORK TO DATE.................................................................................................................... $ 2,973,672.92
TOTAL, STORED MATERIALS TO DATE................................................................................................................ $
DEDUCTION FOR STORED MATERIALS USED IN WORK COMPLETED............................................................... $
TOTAL, COMPLETED WORK & STORED MATERIALS........................................................................................... $ 2,973,672.92
RETAINED PERCENTAC ( 2.0% )................................................................................................. $ 59,473.46
TOTAL AMOUNT OF OTHER DEDUCTIONS......................................................................................................... $
NET AMOUNT DUE TO CONTRACTOR TO DATE.................................................................................................... $ 2,914,199.46
TOTAL AMOUNT PAID ON PREVIOUS ESTIMATES................................................................................................ $ 2,493,619.05
PAY CONTRACTOR AS ESTIMATE NO. 11............................................................................................................ $ 420,580.41
Certificate for Payment
I hereby certify that, to the best of my knowledge and belief, all items quantities and prices
of work and material shown on this Estimate are correct and that all work has been
performed in full accordance with the terms and conditions of the Contract for this project
between the Owner and the undersigned Contractor, and as amended by any
authorized changes, and that the foregoing is a true and correct statement of the amount
for the Final Estimate, that the provisions of M. S. 290.92 have been complied with and that
all claims against me by reason of the Contract have been paid or satisfactorily secured.
Contractor: Park Construction Company
1481 81 st Ave. NE
M n eapolis, N 55432
By 1 / lU // cL✓/ �/
Name L11 Tye
Dateg�3jaU«
CHECKED AND APPROVED AS TO QUANTITIES AND AMOUNT:
BOLTON & MENK, INC., ENGINEERS, 2638 SHADOW LN, SUITE 200, CHASKA MN 55318
/ r
By r l CITY ENGINEER
Brian D. Sim ons
Date 7/3/2018
APPROVED FOR PAYMENT:
Owner: CITY OF MOUND
By
Name Title Date
-1273-
CITY OF MOUND
RESOLUTION NO. 18 -
RESOLUTION APPOINTING ELECTION JUDGES AS RECOMMENDED
FOR THE PRIMARY AND GENERAL ELECTION
AUGUST 14, 2018 AND NOVEMBER 6, 2018
BE IT HEREBY RESOLVED, that the City Council of the City of Mound, Minnesota, does
hereby approve the following list of election judges for the August 14, 2018 Primary Election and
the November 6, 2018 General Election:
Douglas Anderson
Dawn Audette
Steve Audette
Bobbie Batinich
David Brickley
Alleene Butterfield
Rebecca Campbell
Janet Christophersen
Sharon Dascher
Stacy Doepner-Hove
Marie Everson
Ron Hendley
Hank Heystek
Kevin Johanson
B J Johnson
Patricia Kohls
Rebecca Kress
Karen Libke
Mary McCauley
Christina McGregor
Mary McKenzie
Scott McKenzie
Larry Melsness
Peter Meyer
Kathi Murphy
Scott Murphy
Jacqueline Robbins
Collette Roberts
Doris Ann Rockwell
Jim Reuper
Vern Schwalbe
Nancy Skramstad
Joleen Stadsklev
Nancy Starr
Stephen Swenson
Debra Vertnik
Robert Libke Gretchen Weiss -Smith
LuAnn Sing -Lynch Kristie Williams
BE IT FURTHER RESOLVED to allow the City Clerk to make additions and/or deletions to this
list as need dictates, with required training given to any utilized judges.
Adopted by the City Council this 10`h day of July, 2018.
Attest: Catherine Pausche, Clerk
-1274-
Mayor Mark Wegscheid
DEPARTMENT
OF HEALTH
Protecting, Maintaining and Improving the Health of All Minnesotans
June 15, 2018
City Clerk
Mound City Hall
2415 Wilshire Boulevard
Mound, MN 55364
Dear City Clerk,
The Minnesota Department of Health Oral Health Program and Minnesota Department of Health Drinking
Water Protection Section are pleased to present you with the American Dental Association (ADA), Association
of State and Territorial Dental Directors (ASTDD), and Centers for Disease Control and Prevention (CDC) 2017
Community Water Fluoridation "50 Year Award". This award is given jointly to recognize public water -
systems that have consistently adjusted the fluoride concentration in drinking water for the past 50 years.
Because of your efforts and continued support from generations of dental professionals and other health care
providers, health care and public health organizations, community leaders, water professionals, and untold
others, the prevention of tooth decay through community water fluoridation is recognized by the CDC as one
of 10 great achievements in public health of the 201h century.
Water systems and their customers value the ability to demonstrate attainment of quality service. Awards can
be a good tool for promoting water fluoridation and we hope that this award will provide you with an
opportunity to highlight the excellent work being done by your system. Congratulations on this outstanding
performance and thank you for providing safe, dependable drinking water for your community. If you have
any questions about the award, please contact either David Rindal at (651) 201-4660 and
(david.rindaI@state.mn.us) or Prasida Khanal at (651) 201-3538 and (prasida.khanalPstate.mn.us).
Sincerely,
T� cl/P��
Prasida Khanal, MPH, BDS Randy Ellingboe, PE Carmelo Cinqueonce, MBA
Director I Oral Health Program Manager) Drinking Water Protection Executive Director
MN Department of Health MN Department of Health MN Dental Association
651.201.3538 651.201.4647 651.767.8400
An equal opportunity employer.
-1275-
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