2019-02-26 CC Agenda PacketPLEASE TURN OFF ALL CELL PHONES & PAGERS IN COUNCIL CHAMBERS.
MOUND CITY COUNCIL
REGULAR MEETING
1. Opening meeting
2. Pledge of Allegiance
3. Approve agenda, with any amendments
TUESDAY, FEBRUARY 26, 2019 - 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.
4. *Consent Agenda Page
*A. Approve payment of claims 361-414
B. Approve minutes: 01-22-19 Regular Meeting 415-419
02-12-19 Regular Meeting 420-425
*C. Approve resolution amending Resolution No. 19-02: Resolution 426
Appointing City Council Members as Representatives of the City
Council to Commissions and Committees for 2019
D. Approve Project -related pay request in the amount of $1731.15 to 427-428
Norlings for landscape restoration, 2017 Street Improvements
5. Comments and suggestions from citizens present on any item not on the agenda.
(Limit to 3 minutes per speaker.)
6. Ron Pauly, Westonka Historical Society, requesting discussion on Centennial
Building Lease Agreement
7. City Engineer Brian Simmons presenting report and findings from Engineering
Studies, 2018 Public Works Projects:
A. Action to approve a Resolution Receiving Revised Engineering Report, 429-442
Ordering Improvement, and Preparation of Plans for Sherwood Drive 442
Watermain Replacement Project City Project No. PW -19-01
PLEASE TURN OFF ALL CELL PHONES & PAGERS IN COUNCIL CHAMBERS.
B. Action to approve a Resolution Receiving Engineering Report, 443-457
Ordering Improvement, and Preparation of Plans for Commerce 457
Boulevard Watermain Improvements City Project PW 19-04
C. Action to approve a Resolution Receiving Engineering Report, 458-481
Ordering Improvement, and Preparation of Plans for 2019 Forcemain 481
Improvements City Project PW 19-05
8. Information/Miscellaneous
A. Comments/Reports from Council members
B. Reports: Fire Department —January 2019 482-483
C. Minutes:
D. Correspondence:
9. Adjourn
COUNCIL
February 26, 2019
Upcoming Events Schedule: Don't Forgets!
12 March — 6:55 PM - HRA Regular Meeting (as may be required)
12 March — 7:00 PM - City Council Regular Meeting
13 March — 6:00 PM — Night with Community Leaders, Westonka Performing Arts center
19 March — 6:00 — Joint Special Meeting of Planning Commission and Council (01-22-19 Item 4E)
25 — 29 March — Westonka Public Schools Spring Break
26 March — 6:55 PM - HRA Regular Meeting (as may be required)
26 March — 7:00 PM - City Council Regular Meeting
9 April — 6:55 PM - HRA Regular Meeting (as may be required)
9 April — 7:00 PM - City Council Regular Meeting
16 April — 6:30 PM— Special meeting Workshop Supervisors' Annual Reports and Long Term
Financial Plan Update (01-22-19Item4E)
23 April — 6:55 PM - HRA Regular Meeting (as may be required)
23 April — 7:00 PM - City Council Regular Meeting
14 May — 6:55 PM — HRA Regular Meeting (as may be required)
14 May — 7:00 PM — City Council Regular Meeting
28 May — 6:55 PM — HRA Regular Meeting (as may be required)
28 May — 7:00 PM — City Council Regular Meeting
I 1 June — 6:55 PM — HRA Regular Meeting (as may be required)
1 I June — 7:00 PM — City Council Regular Meeting
25 June — 6:55 PM — HRA Regular Meeting (as may be required)
25 June — 7:00 PM — City Council Regular Meeting
Lily Offices Closed
27 May 2019 — Memorial Day
City Official's Absences
Please notify the City Manager in advance of an absence.
Inquire in advance, please......
Council members are asked to call or email their questions in advance of a public meeting so that more
research may be done or additional information may be provided that will assist in your quality decision-
making.
City of Mound Claims 02-26-19
YEAR
E
DOLLAR
2018
1218-2ELANCC
6,738.49
2018
201CITY-P8
$
17,130.86
2018
1218KE -AP9
$
7,051.75
2018
2018CITY-AP10
$
69.23
2018
2018B -AP11
$
14,750.00
2019
JAN ELANCC
$
902.50
2019
JA 19 N I F RST
$
902.13
2019
JAN19HOISGT
31478.69
2019
BOLTMNK#1-19
$
14,370.49
2019
020519NEWS
$
1,046.61
-361 -
City I I 02-26-19
YEAR BATCH NAME DOLLAR
2019 021219PAYE 128,982.41
2019 021319CTYA $ 180,146.64
2019
021419CTY AN
$
21279.68
2019
021519HWS
$
124,669.14
2019
022019CTYAN
$
1,499.90
2019
022219CTYMAN
$
11790.32
2019
022819CITY
$
999,453.01
2019
022819HWS
29,071.36
TOTAL CLAIMS
MOM
CITY OF MOUND
Payments
Current Period: Closing 2018
02/12/19 2:35 PM
Page 1
, v s , , , „, ,>, ,:i , .,,, ,. ,u ,., , ..,' 1.. ,, C `... �i, t ,, .l'':J� ,. it ifi�, �,,.ia , s�,�..�`t , .,n� ,'. ,r�.:z,�,..... �i , .,«„ �,l ,u . .
xow
Batch Name 1218-2ELANCC User Dollar Amt $6,738.49
Payments Computer Dollar Amt $6,738.49
$0.00 In Balance
Refer 12 ELAN CREDIT CARD _
AP Payment E 101-43100-434 Conference & Training U OF MN CONT LEARNING- TECHNICAL
ASPECTS OF PUB WKS- SPRING
SEMESTER- L. PITSENBERGER
Invoice 12312018 12/21/2018
AP Payment E 602-49450-434 Conference & Training U OF MN CONT LEARNING- TECHNICAL
ASPECTS OF PUB WKS- SPRING
SEMESTER- M. RADDE
Invoice 12312018 12/21/2018
AP Payment E 101-43100-220 Repair/Maint Supply
Invoice 12312018 12/8/2018
AP Payment E 602-49450-220 Repair/Maint Supply
Invoice 12312018 12/10/2018
AP Payment E 101-43100-226 Sign Repair Materials
Invoice 12312018 12/14/2018
AP Payment E 602-49450-430 Miscellaneous
Invoice 12312018 12/19/2018
AP Payment E 601-49400-430 Miscellaneous
Invoice 12312018 12/19/2018
AP Payment E 101-43100-430 Miscellaneous
Invoice 12312018 12/19/2018
AP Payment E 101-45200-431 Meeting Expense
Invoice 12312018 12/19/2018
AP Payment E 609-49750-340 Advertising
Invoice 12312018 12/27/2018
AP Payment E 609-49750-200 Office Supplies
Invoice 12312018 12/12/2018
AP Payment E 101-45200-431 Meeting Expense
Invoice 12312018 12/18/2018
AP Payment E 101-45200-431 Meeting Expense
Invoice 12312018 12/19/2018
AP Payment E 101-45200-431 Meeting Expense
Invoice 12312018 12/19/2018
POWER SYSTEMS -EATON CONVERSION -
HYDRAULIC SPINNER MOTORS FOR PLOW
TRUCKS
Project 18-3
GALCO.COM INDUSTRIAL ELECTRONICS -
ALTERNATING RELAY -2 QTY- SEWER DEPT
TRAFFIC SAFETY STORE- 100 QTY ORANGE
28" TRAFFIC CONES
JUBILEE- CHIPS, CUPS, SODA- PUB WKS
HOLIDAY PARTY 12-19-18
JUBILEE- CHIPS, CUPS, SODA- PUB WKS
HOLIDAY PARTY 12-19-18
JUBILEE- CHIPS, CUPS, SODA- PUB WKS
HOLIDAY PARTY 12-19-18
JUBILEE- CHIPS, CUPS, SODA- PUB WKS
HOLIDAY PARTY 12-19-18
IN PRIME ADVERTISING- MONTHLY
WEBSITE HOSTING HWS
OFFICE DEPOT- DESK PAD- HWS
COSTCO WHSE- CHIPS- DAN GRADY
RETIREMENT PARTY 12-20-18 PER RES 16-
112
WALGREENS- SODA- DAN GRADY
RETIREMENT PARTY 12-20-18 PER RES 16-
112
WALGREENS- SODA- DAN GRADY
RETIREMENT PARTY 12-20-18 PER RES 16-
112
-363-
$650.00
$650.00
$1,025.84
$213.74
$2,231.65
$13.17
$13.17
$13.18
$13.17
$100.00
$6.44
$9.18
$10.74
$10.74
CITY OF MOUND
Payments
Current Period: Closing 2018
02/12/19 2:35 PM
Page 2
AP Payment E 101-45200-431 Meeting Expense LUNDS- TALL CUPS- DAN GRADY $5.38
RETIREMENT PARTY 12-20-18 PER RES 16-
112
Invoice 12312018 12/20/2018
AP Payment E 101-45200-431 Meeting Expense COSTCO WHSE- SANDWICH PLATTERS- $160.88
DAN GRADY RETIREMENT PARTY 12-20-18
PER RES 16-112
Invoice 12312018 12/20/2018
AP Payment E 101-45200-431 Meeting Expense OFFICE DEPOT- CERTIFICATE FRAME- DAN $18.27
GRADY RETIREMENT PARTY 12-20-18 PER
RES 16-112
Invoice 12312018 12/20/2018
Transaction Date
1/23/2019 Due 12/31/2018
Accounts Payable 20200 Total
$5,145.55
Refer
12 ELAN CREDIT CARD
_
AP Payment
E 222-42260-219 Safety supplies
AMAZON.COM- ROADSIDE FLASHING
$10.99
SAFETY FLARES -EMERGENCY LED
STROBE- FIRE DEPT
Invoice 123118-2
12/6/2018
AP Payment
E 222-42260-200 Office Supplies
AMAZON.COM- 48 PACK CERTIFICATE
$43.53
PAPERS, GOLD FOIL SEALS, KEY TAGS -
FIRE DEPT
Invoice 123118-2
12/13/2018
AP Payment
E 222-42260-200 Office Supplies
AMAZON.COM- LABELS, CERTIFICATE
$10.49
SEALS, GOLD PKG- FIRE DEPT
Invoice 123118-2 12/16/2018
AP Payment E 222-42260-210 Operating Supplies
Invoice 123118-2 12/27/2018
AP Payment E 101-42115-210 Operating Supplies
Invoice 123118-2 12/27/2018
AP Payment E 101-42115-210 Operating Supplies
Invoice 123118-2 12/28/2018
AP Payment E 222-42260-219 Safety supplies
Invoice 123118-2 12/30/2018
AP Payment E 222-42260-219 Safety supplies
Invoice 123118-2 12/30/2018
AP Payment E 222-42260-200 Office Supplies
Invoice 123118-2 12/30/2018
AP Payment E 222-42260-210 Operating Supplies
Invoice 123118-2 12/30/2018
AP Payment E 222-42260-210 Operating Supplies
Invoice 123118-2 12/31/2018
AP Payment E 222-42260-210 Operating Supplies
Invoice 123118-2 12/27/2018
COSTCO WHSE- TCL TV- FIRE DEPT $490.83
COSTCO WHSE- VIZIO TV- EMERGENCY $490.83
MGMT
EMSI- IMT GEAR- INCIDENT ORGANIZATION $65.06
CHART- ICS FORMS POSTER- EMERGENCY
MGMT
AMAZON.COM- 2 WATERPROOF CAR SEAT $80.97
COVERS, WATERPROOF DOG CAR SEAT
COVER- FIRE DEPT
AMAZON.COM- ACRYLIC GLOVE BOX $24.99
DISPENSER- FIRE DEPT
AMAZON.COM- USB 2.0 & 3.0 32 GB FLASH $20.98
DRIVES - FIRE DEPT
AMAZON.COM- FINGERTIP PULSE $18.95
OXIMETER BLOOD OXYGEN MONITOR
W/COVER- FIRE DEPT
AMAZON.COM- 1 SQUARE & 1 $118.46
RECTANGULAR DINING TABLE- FIRE DEPT
MY CABLE MART - 3 CABLES- 6', 8', 12'- FIRE $62.79
DEPT
-364-
CITY OF MOUND
Payments
02/12/19 2:35 PM
Page 3
Current Period: Closing 2018
AP Payment E 101-42115-210 Operating Supplies MY CABLE MART - 3 CABLES- 6', 8', 12'- $62.80
EMERGENCY MGMT
Invoice 123118-2 12/27/2018
AP Payment E 101-42115-210 Operating Supplies
Invoice 123118-2 12/28/2018
AP Payment E 222-42260-210 Operating Supplies
THE BLUE CELL- NIMS STORE- 24 X 36 $43.00
LAMINATED PLANNING WALL CHART -
EMERGENCY MGMT
AMAZON.COM- ACRYLIC GLOVE BOX $29.77
DISPENSER- FIRE DEPT
Invoice 123118-2 12/31/2018 —
Transaction Date 1/23/2019 Due 12/31/2018 Accounts Payable 20200 Total $1,574.44
Refer 12 ELAN CREDIT CARD _
AP Payment E 222-42260-401 Building Repairs TWIN CITY GARAGE DOOR CO. -2 GARAGE $18.50
DOOR HINGES- FIRE DEPT GARAGE
Invoice 515183 12/17/2018
Transaction Date 12/26/2018 Due 12/31/2018 Accounts Payable 20200 Total $18.50
Fund Summary
101 GENERAL FUND
222 AREA FIRE SERVICES
601 WATER FUND
602 SEWER FUND
609 MUNICIPAL LIQUOR FUND
20200 Accounts Payable
$4,810.72
$931.25
$13.17
$876.91
X106.44
$6,738.49
Pre -Written Checks $0.00
Checks to be Generated by the Computer $6,738.49
Total $6,738.49
-365-
CITY OF MOUND 02/13/19 4:26 PM
Page 1
Payments
Current Period: Closing 2018
Batch Name 2018CITY-AP8 User Dollar Amt $17,130.86
Payments Computer Dollar Amt $17,130.86
$0.00 in Balance
Refer
1 CARQUEST AUTO PARTS (FIRE)
_
AP Payment
E 222-42260-210 Operating Supplies
AIR CHUCK FOR FILLING TIRES- FIRE
$27.89
Invoice 390265
12/3/2018
Transaction Date
2/8/2019 Due 12/31/2018
Accounts Payable 20200 Total
$27.89
Refer.
3 LAKE MINNETONKA COMM. COMM
AP Payment
E 101-49840-300 Professional Srvs
4TH QTR 2018 PEG ACCESS FEE PER
$9,613.80
SUBSCRIBER
Invoice 021319
12/31/2018
_
Transaction Date
2/13/2019 Due 12/31/2018
Accounts Payable 20200 Total
$9,613.80
Refer
2 MACQUEEN EQUIPMENT INCORP
_
AP Payment
E 222-42260-409 Other Equipment Repair
PUMP REPAIR FIRE TRUCK -UNIT #24 1996
$2,498.84
PUMPER FREIGHTLINER
Invoice W00766
10/29/2018
AP Payment
E 222-42260-409 Other Equipment Repair
PUMP REPAIR FIRE TRUCK -UNIT #24 1996
$305.49
PUMPER FREIGHTLINER
Invoice W00833
10/29/2018
AP Payment
E 222-42260-409 Other Equipment Repair
PUMP REPAIR FIRE TRUCK -UNIT #24 1996
$4,684.84
PUMPER FREIGHTLINER
Invoice W00896
12/21/2018
Transaction Date
2/8/2019 Due 12/31/2018
Accounts Payable 20200 Total
$7,489.17
Fund Summary
20200 Accounts Payable
101 GENERAL
FUND
$9,613.80
222 AREA FIRE SERVICES
$7,517.06
$17,130.86
Pre -Written Checks $0.00
Checks to be Generated by the Computer $17,130.86
Total $17,130.86
-366-
CITY OF MOUND 02/15/19 8:18 AM
Page 1
Payments
Current Period: Closing 2018
Batch Name 1218KENG-AP9
Payment Computer Dollar Amt $7,051.75 Posted
Refer
12 KENNEDY AND GRAVEN _
AP Payment
E 101-41600-300 Professional Srvs
ADMINISTRATIVE LEGAL SVCS DEC 2018
$341.25
Invoice 146829
12/31/2018
AP Payment
E 101-41600-316 Legal P & I
PLANNING LEGAL SVCS DEC 2018
$15.00
Invoice 146829
12/31/2018
AP Payment
E 101-41600-300 Professional Srvs
PRIVATE SANITARY SEWER LINE REPAIR
$165.00
ORDER- 6370 BAYRIDGE RD LEGAL SVCS
DEC 2018
Invoice 146829
12/31/2018
AP Payment
E 101-41600-300 Professional Srvs
PRIVATE SANITARY SEWER LINE REPAIR
$255.00
ORDER- 6370 BAYRIDGE RD LEGAL SVCS
DEC 2018
Invoice 146829
12/31/2018
AP Payment
G 101-23411 6077 ASPEN RD ABATEME
6077 ASPEN RD ABATEMENT LEGAL SVCS
$167.50
DEC 2018
Invoice 146829
12/31/2018
AP Payment
G 101-23413 5862 BARTLETT BLVD HAZ
5862 BARTLETT BLVD HAZARDOUS
$240.00
PROPERTY- LEGAL SVCS DEC 2018
Invoice 146829
12/31/2018
AP Payment
G 101-23397 HARBOR DISTRICT TOWN
HARBOR DISTRICT TOWNHOMES
$5,853.00
DEVELOPMENT LEGAL SVCS DEC 2018
Invoice 146829
12/31/2018
AP Payment
E 101-42400-300 Professional Srvs
4837 BEDFORD RD HAZARDOUS BLDG
$15.00
ABATEMENT LEGAL SVCS DEC 2018
Invoice 146829
12/31/2018
_
Transaction Date
2/14/2019 Due 0
Accounts Payable 20200 Total
$7,051.75
Fund Summary
20200 Accounts Payable
101 GENERAL FUND
$7,051.75
Pre -Written Checks $0.00
Checks to be Generated by the Computer $7,051.75
Total $7,051.75
IBM
CITY OF MOUND 02/15/19 3:11 PM
Page 1
Payments
Current Period: Closing 2018
Batch Name 2018CITYAP10 User Dollar Amt $69.23
Payments Computer Dollar Amt $69.23
$0.00 In Balance
Refer 12 MOUND, CITY OF _
AP Payment E 609-49750-382 Water Utilities WATER SERVICE 12-3-18 THRU 1-3-19 HWS $69.23
Invoice 021519 1/20/2019
Transaction Date 2/15/2019 Due 12/31/2018 Accounts Payable 20200 Total $69.23
Fund Summary
20200 Accounts Payable
609 MUNICIPAL LIQUOR FUND $69.23
$69.23
Pre -Written Checks $0.00
Checks to be Generated by the Computer $69.23
Total $69.23
CITY OF MOUND 02/21/19 12:32 PM
Page 1
Payments
Current Period: Closing 2018
Batch Name 20186&M-AP11 User Dollar Amt $14,750.00
Payments Computer Dollar Amt $14,750.00
Refer
AP Payment
$0.00 In Balance
1 BOLTON AND MENK, INCORPORA -
E 601-49400-300 Professional Srvs WATER SUPLY PLAN UPDATE ENG SVCS
DEC 15 THRU DEC 31 2018
Invoice 0229258 1/31/2019
AP Payment E 101-43100-300 Professional Srvs
Invoice 0229253 1/31/2019
AP Payment E 601-49400-300 Professional Srvs
GIS UPDATES ENG SVC DEC 15 THRU DEC
31 2018
GIS UPDATES ENG SVC DEC 15 THRU DEC
31 2018
$192.00
$170.00
$170.00
Invoice 0229253 1/31/2019
AP Payment E 602-49450-300 Professional Srvs GIS UPDATES ENG SVC DEC 15 THRU DEC $170.00
31 2018
Invoice 0229253 1/31/2019 ---
Transaction Date 2/21/2019 Due 12/31/2018 Accounts Payable 20200 Total $702.00
Refer 2 BOLTON AND MENK, INCORPORA _
AP Payment E 401-43117-303 Engineering Fees 2017 LYNWOOD BLVD STREET IMPROV $505.00
PROD PW 17-01 ENG SVCS DEC 15 THRU
DEC 31 2018
Invoice 0229232 1/31/2019
AP Payment E 401-43137-303 Engineering Fees
Invoice 0229234 1/31/2019
AP Payment E 401-43147-303 Engineering Fees
Project PW1701
2017 WILSHIRE/MAYWOOD STREET $1,247.00
IMPROV PROJ PW 17-02 ENG SVCS DEC 15
THRU DEC 31 2018
Project PW1702
2017 TUXEDO BLVD PHASE III STREET $1,395.50
IMPROV PROD PW 17-03 ENG SVCS DEC 15
THRU DEC 31 2018
Invoice 0229233
1/31/2019
Project PW1703
Transaction Date
2/21/2019 Due 12/31/2018
Accounts Payable 20200 Total
$3,147.50
Refer
3 BOLTON AND MENK, INCORPORA
_
AP Payment
E 101-43100-300 Professional Srvs
GENERAL ENGINEERING SVCS DEC 15
$225.84
THRU DEC 31 2018
Invoice 0229251
1/31/2019
AP Payment
E 602-49450-300 Professional Srvs
GENERAL ENGINEERING SVCS DEC 15
$225.83
THRU DEC 31 2018
Invoice 0229251
1/31/2019
AP Payment
E 601-49400-300 Professional Srvs
GENERAL ENGINEERING SVCS DEC 15
$225.83
THRU DEC 31 2018
Invoice 0229251 1/31/2019
AP Payment E 401-43118-303 Engineering Fees
Invoice 0229243 1/31/2019
AP Payment E 602-49450-500 Capital Outlay FA
Invoice 0229239 1/31/2019
AP Payment E 602-49450-500 Capital Outlay FA
Invoice 0229241 1/31/2019
2018 WESTEDGE BLVD ST IMPROV PROD $3,333.50
PW 18-01 ENG SVCS DEC 15 THRU DEC 31
2018
Project PW1801
2018 LIFT STATION IMPROV PROJ PW 18-03 $1,904.00
ENG SVCS DEC 15 THRU DEC 31 2018
Project PW1803
2018 SANITARY SEWER CLEAN & TELEVISE $192.00
PROJ PW 18-04 ENG SVCS DEC 15 THRU
DEC 31 2018
Project PW1804
-369-
CITY OF MOUND 02/21/19 12:32 PM
Page 2
Payments
Current Period: Closing 2018
$14,750.00
Pre -Written Checks $0.00
Checks to be Generated by the Computer $14,750.00
Total $14,750.00
-370-
AP Payment E 427-43121-300 Professional Srvs
2018 CRACK & SEAL COAT IMPROV PROJ
$256.00
PW 18-07 ENG SVCS DEC 15 THRU DEC 31
2018
Invoice 0229237 1/31/2019
Project PW1807
Transaction Date 2/21/2019 Due 12/31/2018
Accounts Payable 20200 Total
$6,363.00
Refer 4 BOLTON AND MENK, /NCORPORA
_
AP Payment E 101-42400-300 Professional Srvs
2018 COMPREHENSIVE PLAN UPDATE ENG
$256.00
SVCS DEC 15 THRU DEC 312018
Invoice 0229236 1/31/2019
AP Payment E 475-46386-300 Professional Srvs
MOUND HARBOR RENAISSANCE
$1,472.00
REDEVELOPMENT PROD TIF 1-3 ENG SVCS
DEC 15 THRU DEC 31 2018
Invoice 0229255 1/31/2019
AP Payment E 475-46386-300 Professional Srvs
MOUND HARBOR RENAISSANCE
$1,723.50
REDEVELOPMENT PROJ- TIF 1-3 ALTA
SURVEY & SUPPORT SVCS DEC 15 THRU
DEC 31 2018
Invoice 0229255 1/31/2019
Transaction Date 2/21/2019 Due 12/31/2018
Accounts Payable 20200 Total
$3,451.50
Refer 5 BOLTON AND MENK, INCORPORA
_
AP Payment E 602-49450-500 Capital Outlay FA
2019 SANITARY SEWER FERNSIDE
$247.00
FORCEMAIN PROD - ENG SVCS DEC 15
THRU DEC 31 2018
Invoice 0229250 1/31/2019
AP Payment E 396-47000-700 Transfers
2019 PROJECTS CANCELLED- 2019
$773.00
STREET, UTILITY IMPROV PROJECTS ENG
SVCS DEC15 THRU DEC 31, 2018
Invoice 0229245 1/31/2019
AP Payment E 601-49400-500 Capital Outlay FA
2019 COMMERCE BLVD WATERMAIN
$66.00
IMPROV PROJ - ENG SVCS DEC 15 THRU
DEC 31 2018
Invoice 0229248 1/31/2019
_
Transaction Date 2/21/2019 Due 12/31/2018
Accounts Payable 20200 Total
$1,086.00
Fund Summary
20200 Accounts Payable
101 GENERAL FUND
$651.84
396 2002 -HRA Lease Revenue Bonds
$773.00
401 GENERAL CAPITAL PROJECTS
$6,481.00
427 SEAL COAT FUND
$256.00
475 TIF 1-3 Mound Harbor Renaissan
$3,195.50
601 WATER FUND
$653.83
602 SEWER FUND
$2,738.83
$14,750.00
Pre -Written Checks $0.00
Checks to be Generated by the Computer $14,750.00
Total $14,750.00
-370-
CITY OF MOUND
Payments
Current Period: January 2019
Batch Name JANELANCC User Dollar Amt $902.50
Payments Computer Dollar Amt $902.50
Refer 1 ELAN CREDIT CARD
Cash Payment E 101-43100-226 Sign Repair Materials
$0.00 In Balance
Ck# 080366E 1/23/2019
SIGNCAD SYSTEMS- ANNUAL MTCE SIGN
CAD/CAM SOFTWARE- 2-9-19 THRU 2 -8 -20 -
PUB WKS
02/08/19 3:30 PM
Page 1
$902.50
Invoice 12312018 11/26/2018
Transaction Date 2/8/2019 Wells Fargo 10100 Total $902.50
Fund Summary
101 GENERAL FUND
10100 Wells Fargo
$902.50
$902.50
Pre -Written Checks $902.50
Checks to be Generated by the Computer $0.00
Total $902.50
-371-
CITY OF MOUND 02/13/19 10:51 AM
Page 1
Payments
Current Period: February 2019
Batch Name JAN19UNIFRST User Dollar Amt $902.13
Payments Computer Dollar Amt $902.13
$0.00 In Balance
Refer 2 UNIFIRST CORPORATION _
Cash Payment E 101-45200-210 Operating Supplies MAT SVC & SHOP SUPPLIES- PARKS 1-02-19 $50.34
Invoice 0900458527 1/2/2019
Transaction Date 2/8/2019 Wells Fargo 10100 Total $50.34
Refer 1 UNIFIRST CORPORATION
Cash Payment E 609-49750-210 Operating Supplies
MATS & CLEANING SUPPLIES- HWS- 1-02-19
$65.60
Invoice 0900458529 1/2/2019
Wells Fargo 10100 Total
$178.86
Cash Payment E609-49750-210 Operating Supplies
MATS & CLEANING SUPPLIES- HWS- 1-09-19
$76.34
Invoice 0900459732 1/9/2019
UNIFORM SVC PUBLIC WORKS 1-2-19
$23.18
Cash Payment E 609-49750-210 Operating Supplies
MATS & CLEANING SUPPLIES- HWS- 1-16-19
$65.60
Invoice 0900460910 1/16/2019
UNIFORM SVC PUBLIC WORKS 1-2-19
$25.16
Transaction Date 2/8/2019
Wells Fargo 10100 Total
$207.54
Refer 3 UNIFIRST CORPORATION
_
$30.77
Cash Payment E 101-45200-218 Clothing and Uniforms
UNIFORM SVC PARKS 1-02-19
$49.99
Invoice 090458492 1/2/2019
Wells Fargo 10100 Total
$79.11
Cash Payment E 101-45200-218 Clothing and Uniforms
UNIFORM SVC PARKS 1-09-19
$49.99
Invoice 090459699 1/9/2019
MAT SVC & SHOP SUPPLIES- PUBLIC
$17.18
Cash Payment E 101-45200-218 Clothing and Uniforms
UNIFORM SVC PARKS 1-16-19
$25.00
Invoice 090460873 1/16/2019
Transaction Date 2/8/2019
Wells Fargo 10100 Total
$124.98
Refer 4 UNIFIRST CORPORATION
_
Cash Payment E 602-49450-210 Operating Supplies
MAT SVC & SHOP SUPPLIES- PUBLIC
$59.62
WORKS 1-9-19
Invoice 0900459731 1/9/2019
Cash Payment E 601-49400-210 Operating Supplies MAT SVC & SHOP SUPPLIES- PUBLIC $59.62
WORKS 1-9-19
Invoice 0900459731 1/9/2019
Cash Payment E 101-43100-210 Operating Supplies MAT SVC & SHOP SUPPLIES- PUBLIC $59.62
WORKS 1-9-19
Invoice 0900459731 1/9/2019
Transaction Date 2/8/2019
Wells Fargo 10100 Total
$178.86
Refer 7 UNIFIRST CORPORATION
_
Cash Payment E 602-49450-218 Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 1-2-19
$23.18
Invoice 0900458491 1/2/2019
Cash Payment E 601-49400-218 Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 1-2-19
$25.16
Invoice 0900458491 1/2/2019
Cash Payment E 101-43100-218 Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 1-2-19
$30.77
Invoice 0900458491 1/2/2019
Transaction Date 2/8/2019
Wells Fargo 10100 Total
$79.11
Refer 5 UNIFIRST CORPORATION
_
Cash Payment E602-49450-210 Operating Supplies
MAT SVC & SHOP SUPPLIES- PUBLIC
$17.18
WORKS 1-2-19
Invoice 0900458528 1/2/2019
-372-
CITY OF MOUND 02/13/19 10:51 AM
Page 2
Payments
Current Period: February 2019
Cash Payment E 601-49400-210 Operating Supplies MAT SVC & SHOP SUPPLIES- PUBLIC
WORKS 1-2-19
Invoice 0900458528 1/2/2019
$17.18
Cash Payment E 101-43100-210 Operating Supplies MAT SVC & SHOP SUPPLIES- PUBLIC $17.18
WORKS 1-2-19
Invoice 0900458528 1/2/2019 _
Transaction Date 2/8/2019 Wells Fargo 10100 Total $51.54
Refer6 UNIFIRST CORPORATION ry,.
Cash Payment E 602-49450-210 Operating Supplies MAT SVC & SHOP SUPPLIES- PUBLIC $17.18
WORKS 1-16-19
Invoice 0900460909 1/16/2019
Cash Payment E 601-49400-210 Operating Supplies MAT SVC & SHOP SUPPLIES- PUBLIC $17.18
WORKS 1-16-19
Invoice 0900460909 1/16/2019
Cash Payment E 101-43100-210 Operating Supplies MAT SVC & SHOP SUPPLIES- PUBLIC $17.18
WORKS 1-16-19
Invoice 0900460909 1/16/2019
$361.61
_
Transaction Date 2/8/2019
Wells Fargo 10100 Total
$51.54
Refer 8 UNIFIRST CORPORA TION__
_
Cash Payment E 602-49450-218 Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 1-09-19
$23.18
Invoice 0900459698 1/9/2019
Cash Payment E 601-49400-218 Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 1-09-19
$25.16
Invoice 0900459698 1/9/2019
Cash Payment E 101-43100-218 Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 1-09-19
$30.77
Invoice 0900459698 1/9/2019
---
Transaction Date 2/8/2019
Wells Fargo 10100 Total
$79.11
Refer 9 UNIFIRST CORPORATION
_
Cash Payment E 602-49450-218 Clothing and Uniforms
Invoice 0900460872 1/16/2019
Cash Payment E 601-49400-218 Clothing and Uniforms
Invoice 0900460872 1/16/2019
Cash Payment E 101-43100-218 Clothing and Uniforms
Invoice 0900460872 1/16/2019
UNIFORM SVC PUBLIC WORKS 1-16-19 $23.18
UNIFORM SVC PUBLIC WORKS 1-16-19 $25.16
UNIFORM SVC PUBLIC WORKS 1-16-19 $30.77
Transaction Date 2/8/2019 Wells Fargo 10100 Total $79.11
Fund Summary
10100 Wells Fargo
101 GENERAL FUND
$361.61
601 WATER FUND
$169.46
602 SEWER FUND
$163.52
609 MUNICIPAL LIQUOR FUND
$207.54
$902.13
Pre -Written Checks $0.00
Checks to be Generated by the Computer $902.13
Total $902.13
-373-
CITY OF MOUND
Payments
Current Period: February 2019
02/21/19 1:09 PM
Page 1
Pre -Written Checks $0.00
Checks to be Generated by the Computer $3,478.69
Total $3,478.69
-374-
Batch Name JAN19HOISGT User Dollar Amt $3,478.69
Payments Computer Dollar Amt $3,478.69
$0.00 In Balance
Refer 1 HOISINGTON KOEGLER GROUP, I _
Cash Payment E 475-46386-300 Professional Srvs MOUND HARBOR DISTRICT MISC PLANNING
$2,221.83
SVCS JANUARY 2019
Invoice 015-015-42 2/10/2019
Cash Payment G 101-233964869 BARTLETT BLVD PC 1 4869 BARTLETT BLVD PC CASE #18-19 MISC
$71.25
PLANNING SVCS JANUARY 2019
Invoice 015-015-42 2/10/2019
Cash Payment E 101-42400-300 Professional Srvs MISC PLANNING SVCS MISC PLANNING
$1,165.61
SVCS JAN 2019
Invoice 007-001-126 2/10/2019
Cash Payment G 101-23404 COMMERCE PLACE REDE COMMERCE PLACE REDEVELOPMENT
$20.00
CONCEPT REVIEW - PLANNING SVCS
JANUARY 2019
Invoice 015-015-42 2/10/2019
Transaction Date 2/14/2019 Wells Fargo 10100 Total
$3,478.69
Fund Summary
10100 Wells Fargo
101 GENERAL FUND $1,256.86
475 TIF 1-3 Mound Harbor Renaissan $2,221.83
$3,478.69
Pre -Written Checks $0.00
Checks to be Generated by the Computer $3,478.69
Total $3,478.69
-374-
CITY OF MOUND 02/21/19 1:00 PM
Page 1
Payments
Current Period: February 2019
Batch Name BOLTMNK#1-19 User Dollar Amt $14,370.49
Payments Computer Dollar Amt $14,370.49
...................__..... .
$0.00 In Balance
Refer 1 BOLTON AND MENK, INCORPORA _
Cash Payment E 675-49425-300 Professional Srvs SURFACE WATER MGMT ENG SVCS JAN 1 $58.00
THRU JAN 11 2019
Invoice 0229257 1/31/2019
Cash Payment E 675-49425-300 Professional Srvs WCA ADMINISTRATION STORMWATER $57.00
SVCS JAN 1 THRU JAN 11 2019
Invoice 0229259
1/31/2019
Transaction Date
2/21/2019
Wells Fargo 10100 Total
$115.00
Refer
2 BOLTON AND MENK, INCORPORA
Cash Payment
E 601-49400-300 Professional Srvs
WATER WELLHEAD PROTECTION PLAN
$256.00
ENGINEERING SVCS JAN 1 THRU JAN 11
2019
Invoice 0229260
1/31/2019
Cash Payment
E 101-43100-300 Professional Srvs
GIS UPDATES ENG SVC JAN 1 THRU JAN 11
$192.50
2019
Invoice 0229254
1/31/2019
Cash Payment
E 601-49400-300 Professional Srvs
GIS UPDATES ENG SVC JAN 1 THRU JAN 11
$192.50
2019
Invoice 0229254
1/31/2019
Cash Payment
E 602-49450-300 Professional Srvs
GIS UPDATES ENG SVC JAN 1 THRU JAN 11
$192.50
2019
Invoice 0229254
1/31/2019
Cash Payment
E 675-49425-300 Professional Srvs
GIS UPDATES ENG SVC JAN 1 THRU JAN 11
$192.50
2019
Invoice 0229254
1/31/2019
_
Transaction Date
2/21/2019
.... .:
Wells Fargo 10100 Total
$1,026.00
w. ,.., �,.,...,
Refer
..., „u ...... .:..... ....... ..
3 BOLTON AND MENK, INCORPORA
Cash Payment
E 602-49450-500 Capital Outlay FA
2017 LIFT STATION IMPROV PROJ PW 17-05
$708.00
ENG SVCS JAN 1 THRU JAN 11 2019
Invoice 0229235
1/31/2019
Project PW1705
Transaction Date
2/21/2019
Wells Fargo 10100 Total
$708.00
Refer
„;,, .. .......
4 BOLTON AND MENK, INCORPORA
Cash Payment
E 101-43100-300 Professional Srvs
GENERAL ENGINEERING SVCS JAN 1 THRU
$296.67
JAN 11 2019
Invoice 0229252
1/3112019
Cash Payment
E 602-49450-300 Professional Srvs
GENERAL ENGINEERING SVCS JAN 1 THRU
$296.66
JAN 11 2019
Invoice 0229252
1/31/2019
Cash Payment
E 601-49400-300 Professional Srvs
GENERAL ENGINEERING SVCS JAN 1 THRU
$296.66
JAN 11 2019
Invoice 0229252 1/31/2019
Cash Payment E 401-43118-303 Engineering Fees
Invoice 0229244 1/31/2019
Cash Payment E 602-49450-500 Capital Outlay FA
Invoice 0229240 1/31/2019
2018 WESTEDGE BLVD ST IMPROV PROJ $1,177.50
PW 18-01 ENG SVCS JAN 1 THRU JAN 11
2019
Project PW1801
2018 LIFT STATION IMPROV PROJ PW 18-03 $659.00
ENG SVCS JAN 1 THRU JAN 11 2019
Project PW1803
-375-
CITY OF MOUND 02/21/19 1:00 PM
Page 2
Payments
Current Period: February 2019
11 1_ i
Cash Payment E 602-49450-500 Capital Outlay FA 2018 SANITARY SEWER CLEAN & TELEVISE $640.00
PROJ PW 18-04 ENG SVCS JAN 1 THRU JAN
112019
Invoice 0229242 1/31/2019 Project PW1804
Cash Payment E 427-43121-300 Professional Srvs 2018 CRACK & SEAL COAT IMPROV PROD $512.00
PW 18-07 ENG SVCS JAN 1 THRU JAN 11
2019
Invoice 0229238
1/31/2019
Project PW1807
$489.17
Transaction Date
2/21/2019
Wells Fargo 10100 Total
$3,878.49
Refer
5 BOLTON AND MENK, INCORPORA
601 WATER FUND
$940.16
Cash Payment
E 675-49425-300 Professional Srvs
BMP STORMWATER POLLUTANT REMOVAL
$116.00
$14,370.49
ASSESSMENT ENG SVCS JAN 1 THRU JAN
11 2019
Invoice 0229247
1/31/2019
Cash Payment
E 475-46386-300 Professional Srvs
MOUND HARBOR RENAISSANCE
$1,457.00
REDEVELOPMENT PROD TIF 1-3 ENG SVCS
JAN 1 THRU JAN 11 2019
Invoice 0229256
1/31/2019
Cash Payment
E475-46386-300 Professional Srvs
MOUND HARBOR RENAISSANCE
$3,421.00
REDEVELOPMENT PROJ TIF 1-3 ALTA
SURVEY & SUPPORT SVCS JAN 1 THRU JAN
11 2019
Invoice 0229256
1/31/2019
_
Transaction Date
2/21/2019
Wells Fargo 10100 Total
$4,994.00
Refer
6BOLTON AND MENK, INCORPORA
_
Cash Payment
E 401-43000-300 Professional Srvs
2019 PROJECTS CANCELLED- 2019
$3,454.00
STREET, UTILITY IMPROV PROJECTS ENG
SVCS JAN 1 THRU JAN 11 2019
Invoice 0229246
1/31/2019
Cash Payment
E 601-49400-500 Capital Outlay FA
2019 COMMERCE BLVD WATERMAIN
$195.00
IMPROV PROJ - ENG SVCS JAN 1 THRU JAN
112019
Invoice 0229249 1/31/2019
Transaction Date 2/21/2019 Due 12/31/2018 Wells Fargo 10100 Total $3,649.00
Fund Summary
Pre -Written Checks $0.00
Checks to be Generated by the Computer $14,370.49
Total $14,370.49
-376-
10100 Wells Fargo
101 GENERAL FUND
$489.17
401 GENERAL CAPITAL PROJECTS
$4,631.50
427 SEAL COAT FUND
$512.00
475 TIF 1-3 Mound Harbor Renaissan
$4,878.00
601 WATER FUND
$940.16
602 SEWER FUND
$2,496.16
675 STORM WATER UTILITY FUND
$423.50
$14,370.49
Pre -Written Checks $0.00
Checks to be Generated by the Computer $14,370.49
Total $14,370.49
-376-
CITY OF MOUND 02/21/19 1:11 PM
Page 1
Payments
Current Period: February 2019
Batch Name 020519NEWS
Payment Computer Dollar Amt $1,046.61 Posted
Refer 1 POSTMASTER Ck# 058164 2/5/2019
Cash Payment E 101-41110-322 Postage POSTAGE CITY CONTACT NEWS $1,046.61
Invoice
Transaction Date 2/5/2019 Due 0 Wells Fargo 10100 Total $1,046.61
Fund Summary
10100 Wells Fargo
101 GENERAL FUND $1,046.61
$1,046.61
Pre -Written Checks $1,046.61
Checks to be Generated by the Computer $0.00
Total $1,046.61
-377-
CITY OF MOUND 02/13/19 11:41 AM
Page 1
Payments
Current Period: February 2019
Batch Name 021219PAYREQ User Dollar Amt $128,982.41
Payments Computer Dollar Amt $128,982.41
$0.00 In Balance
Refer 1 ALLIED BLACKTOP COMPANY
Cash Payment E 427-43121-300 Professional Srvs 2018 SEALCOAT PROJ - PAY REQ #1 & $128,982.41
FINAL PW 18-07- WORK DONE JUNE 1 THRU
NOV 15 2018
Invoice 021219 2/4/2019 Project PW1807
Transaction Date 2/13/2019 Wells Fargo 10100 Total $128,982.41
Fund Summary
10100 Wells Fargo
427 SEAL COAT FUND $128,982.41
$128,982.41
Pre -Written Checks $0.00
Checks to be Generated by the Computer $128,982.41
Total $128,982.41
-378-
CITY OF MOUND 02/14/19 9:32 AM
Page 1
Payments
Current Period: February 2019
Batch Name 021319CTYMAN User Dollar Amt $180,146.64
Payments Computer Dollar Amt $180,146.64
$0.00 In Balance
Refer 11 CARDIAC SCIENCE, INC
Cash Payment
E222-42260-210 Operating Supplies
2 BATTERY POWERHEART 3G AED UNITS
$636.80
Invoice 7344773
1/17/2019 PO 24942
Transaction Date
2/13/2019
...
Wells Fargo 10100 Total
$636.80
�,..,.. n,...
Refer
., ....
6 CATTON, MICHAEL
_
Cash Payment
E 222-42260-212 Motor Fuels
SEA FOAM MOTOR FUEL ADDITIVE FOR
$10.74
FIRE UNIT #37- REIMBURSE M. CATTON
Invoice 021319
1/22/2019
Transaction Date
2/8/2019
Wells Fargo 10100 Total
$10.74
Refer
7 DARLINGS SALES & SERVICE CO.
_
Cash Payment
E 222-42260-500 Capital Outlay FA
COMMERCIAL WASHER & MOUNTING BASE
$9,425.00
FOR FIREFIGHTER UNIFORMS- GRANT
ITEMS TO BE REIMBURSED
Invoice 84020
1/23/2019
Transaction Date
2/8/2019
Wells Fargo 10100 Total
$9,425.00
Refer
8 DEM -CON LANDFILL_
_
Cash Payment
E 101-43100-224 Street Maint Materials
LANDFILL DISPOSAL FEE- 085 C & D LINED
$76.70
TON- 1-15-19
Invoice 1369
1/31/2019
Transaction Date
2/8/2019
Wells Fargo 10100 Total
$76.70
Refer
17 FIRE CHIEF, MN STATE ASSOCIAT
_
Cash Payment
E 222-42260-434 Conference & Training
NATIONAL FIRE ACADEMY COURSE-
$200.00
DULUTH- B. BERENT
Invoice 200003583 1/31/2019
Cash Payment
E 222-42260-434 Conference & Training
NATIONAL FIRE ACADEMY COURSE-
$200.00
ALEXANDRIA- A. DRILLING
Invoice 200003438 1/9/2019
Transaction Date
2/13/2019
Wells Fargo 10100 Total
$400.00
Refer
5 FIVE TECHNOLOGY
_
Cash Payment
E 101-41920-440 Other Contractual Servic MONTHLY MANAGED SVC & NETWORK
$1,290.00
MTCE- FEBRUARY 2019
Invoice 10219-18
2/1/2019
Transaction Date
2/8/2019
Wells Fargo 10100 Total
$1,290.00
Refer
9 FRONTIER/CITIZENS COMMUNICA
_
Cash Payment
E 101-45200-321 Telephone, Cells, & Radi PHONE SVC -1-30-19- TO 2-28-19
$126.28
Invoice 021319
1/30/2019
Cash Payment
E 602-49450-321 Telephone, Cells, & Radi PHONE SVC -1-30-19- TO 2-28-19
$45.29
Invoice 021319
1/30/2019
Cash Payment
E 609-49750-321 Telephone, Cells, & Radi PHONE SVC -1-30-19- TO 2-28-19
$209.93
Invoice 021319
1/30/2019
Cash Payment
E 602-49450-321 Telephone, Cells, & Radi PHONE SVC -1-30-19- TO 2-28-19
$188.97
Invoice 021319
1/30/2019
Cash Payment
E 601-49400-321 Telephone, Cells, & Radi PHONE SVC -1-30-19- TO 2-28-19
$183.41
Invoice 021319 1/30/2019
-379-
CITY OF MOUND 02/14/19 9:32 AM
Page 2
Payments
Current Period: February 2019
Cash Payment
Invoice 011919
Cash Payment
Invoice 011919
Cash Payment
E 609-49750-255 Misc Merchandise For R
1/20/2019
E 609-49750-210 Operating Supplies
1/19/2019
E 222-42260-431 Meeting Expense
Invoice 013119 1/23/2019
BOTTLED WATER FOR RESALE- HWS $11.97
GARBAGE BAGS- HWS $8.99
WATER & SODA FOR FIRE COMMISSION $9.98
MTG 1-23-19
Cash Payment E 222-42260-210 Operating Supplies BOTTLED WATER- FIREMEN $23.94
Invoice 013119 1/19/2019
Cash Payment E 222-42260-434 Conference & Training SODA & COOKIES- FIREMEN TRAINING $54.39
Invoice 013119 1/14/2019
Transaction Date 2/8/2019 Wells Fargo 10100 Total $109.27
Refer 1 JUBILEE FOODS _
Cash Payment E 609-49750-255 Misc Merchandise For R BOTTLED WATER FOR RESALE- HWS $3.92
Invoice 011919
Cash Payment
E 101-43100-321 Telephone, Cells, & Radi PHONE SVC -1-30-19- TO 2-28-19
$183.41
Invoice 021319
1/30/2019
Refer
Cash Payment
E 101-41930-321 Telephone, Cells, & Radi PHONE SVC -1-30-19- TO 2-28-19
$444.21
Invoice 021319
1/30/2019
Cash Payment
E 222-42260-321 Telephone, Cells, & Radi PHONE SVC -1-30-19- TO 2-28-19
$148.08
Invoice 021319
1/30/2019
Cash Payment
Cash Payment
E 101-41910-321 Telephone, Cells, & Radi PHONE SVC -1-30-19- TO 2-28-19
$74.04
Invoice 021319
1/30/2019
Invoice 021319
Cash Payment
E 101-42110-321 Telephone, Cells, & Radi PHONE SVC -1-30-19- TO 2-28-19
$74.04
Invoice 021319
1/30/2019
_
Transaction Date
2/8/2019 Wells Fargo 10100 Total
$1,677.66
Refer
10 HENNEPIN COUNTY INFORMATIO _
Cash Payment
Cash Payment
E 602-49450-321 Telephone, Cells, & Radi PW RADIO LEASE & ADMINISTRATION FEE -
$152.11
19 TO 2-1-20
JANUARY 2019
Invoice 021319
Invoice 1000122788 2/4/2019 Project 19-3
Cash Payment
E 222-42260-321 Telephone, Cells, & Radi FIRE DEPT RADIO LEASE &
$1,534.00
ADMINISTRATION FEE - JANUARY 2019
Invoice 1000122723 2/4/2019
Transaction Date
2/8/2019 Wells Fargo 10100 Total
$1,686.11
Refer
2 JUBILEE FOODS _
Cash Payment
Invoice 011919
Cash Payment
Invoice 011919
Cash Payment
E 609-49750-255 Misc Merchandise For R
1/20/2019
E 609-49750-210 Operating Supplies
1/19/2019
E 222-42260-431 Meeting Expense
Invoice 013119 1/23/2019
BOTTLED WATER FOR RESALE- HWS $11.97
GARBAGE BAGS- HWS $8.99
WATER & SODA FOR FIRE COMMISSION $9.98
MTG 1-23-19
Cash Payment E 222-42260-210 Operating Supplies BOTTLED WATER- FIREMEN $23.94
Invoice 013119 1/19/2019
Cash Payment E 222-42260-434 Conference & Training SODA & COOKIES- FIREMEN TRAINING $54.39
Invoice 013119 1/14/2019
Transaction Date 2/8/2019 Wells Fargo 10100 Total $109.27
Refer 1 JUBILEE FOODS _
Cash Payment E 609-49750-255 Misc Merchandise For R BOTTLED WATER FOR RESALE- HWS $3.92
Invoice 011919
1/19/2019
Transaction Date
2/8/2019 Wells Fargo 10100 Total
$3.92
Refer
18 LEAGUE MN CITIES INSURANCE T _
Cash Payment
E 101-41110-151 Worker s Comp Insuranc 1ST INSTALLMENT WORKERS COMP INS 2-1-
$32.00
19 TO 2-1-20
Invoice 021319
2/4/2019
Cash Payment
E 101-41310-151 Worker s Comp Insuranc 1ST INSTALLMENT WORKERS COMP INS 2-1-
$181.26
19 TO 2-1-20
Invoice 021319
2/4/2019
Cash Payment
E 101-41500-151 Workers Comp Insuranc 1ST INSTALLMENT WORKERS COMP INS 2-1-
$725.04
19 TO 2-1-20
Invoice 021319
2/4/2019
Cash Payment
E 101-42115-151 Workers Comp Insuranc 1ST INSTALLMENT WORKERS COMP INS 2-1-
$90.63
19 TO 2-1-20
Invoice 021319
2/4/2019
CITY OF MOUND 02/14/19 9:32 AM
Page 3
Payments
Current Period: February 2019
Invoice 629430-6835 1/22/2019
NKM
Cash Payment
E 101-42400-151 Worker s Comp Insuranc 1ST INSTALLMENT WORKERS COMP INS 2-1-
$453.14
19 TO 2-1-20
Invoice 021319
2/4/2019
Cash Payment
E 101-43100-151 Worker s Comp Insuranc 1ST INSTALLMENT WORKERS COMP INS 2-1-
$6,250.32
19 TO 2-1-20
Invoice 021319
2/4/2019
E 101-45200-151 Workers Comp Insuranc 1ST INSTALLMENT WORKERS COMP INS 2-1-
$3,125.16
Cash Payment
19 TO 2-1-20
Invoice 021319
2/4/2019
E 222-42260-151 Worker s Comp Insuranc 1ST INSTALLMENT WORKERS COMP INS 2-1-
$9,250.47
Cash Payment
19 TO 2-1-20
Invoice 021319
2/4/2019
E 281-45210-151 Worker s Comp Insuranc 1ST INSTALLMENT WORKERS COMP INS 2-1-
$45.31
Cash Payment
19 TO 2-1-20
Invoice 021319
2/4/2019
Cash Payment
E 601-49400-151 Worker s Comp Insuranc 1ST INSTALLMENT WORKERS COMP INS 2-1-
$3,637.37
19 TO 2-1-20
Invoice 021319
2/4/2019
Cash Payment
E 602-49450-151 Worker s Comp Insuranc 1ST INSTALLMENT WORKERS COMP INS 2-1-
$3,125.16
19 TO 2-1-20
Invoice 021319
2/4/2019
Cash Payment
E 609-49750-151 Worker s Comp Insuranc 1ST INSTALLMENT WORKERS COMP INS 2-1-
$2,750.14
19 TO 2-1-20
Invoice 021319
2/4/2019
E 675-49425-151 Worker s Comp Insuranc 1ST INSTALLMENT WORKERS COMP INS 2-1-
$0.00
Cash Payment
19 TO 2-1-20
Invoice 021319
2/4/2019
—
Transaction Date
2/20/2018 Wells Fargo 10100 Total
$29,666.00
Refer
24 LOST LAKE HOMEOWNERS ASSO _
Cash Payment
E 285-46388-381 Electric Utilities REIMBURSE 2018 VILLA DOCKS
$891.43
ELECTRICITY
Invoice 021319
Transaction Date
2/13/2019 Wells Fargo 10100 Total
$891.43
Refer ..,�
19 MEDIACOM
Cash Payment
E 101-42110-321 Telephone, Cells, & Radi ORONO PD INTERNET SVC 2-16-19 THRU 3-
$96.90
15-19
Invoice 021319
2/6/2019
Transaction Date 2/13/2019 Wells Fargo 10100 Total
$96.90
Refer
12 METROPOLITAN COUNCIL WASTE
Cash Payment
E 602-49450-388 Waste Disposal-MCIS WASTEWATER SVCS MARCH 2019
$74,270.98
Invoice 0001091843
2/6/2019
Transaction Date 2/13/2019 Wells Fargo 10100 Total
$74,270.98
Refer
20 MINNESOTA HIGHWAY SAFETY A _
Cash Payment
E 222-42260-434 Conference & Training FIRE/DRIVER TRAINING- CLASS FEE- 1-19-
$260.00
19 - ST. CLOUD - C. PALM
Invoice 629430-6835 1/22/2019
Cash Payment
E 222-42260-434 Conference & Training FIRE/DRIVER TRAINING- CLASS FEE- 1-19-
$260.00
19 - ST. CLOUD - B. KNUTSON
Invoice 629430-6835 1/22/2019
NKM
CITY OF MOUND 02114/19 9:32 AM
Page 4
Payments
Current Period: February 2019
LT 1
Cash Payment E 222-42260-434 Conference & Training
Invoice 629430-6835 1/22/2019
Cash Payment E 222-42260-434 Conference & Training
Invoice 629430-6835 1/22/2019
Cash Payment E 222-42260-434 Conference & Training
Invoice 629430-6835 1/22/2019
Cash Payment E 222-42260-434 Conference & Training
FIRE/DRIVER TRAINING- CLASS FEE- 1-19- $260.00
19 - ST. CLOUD - D. GAWTRY
FIRE/DRIVER TRAINING- CLASS FEE- 1-19- $260.00
19 - ST. CLOUD - A. ERICKSON
FIRE/DRIVER TRAINING- CLASS FEE- 1-19 $260.00
19 - ST. CLOUD - R. CRAWFORD
FIRE/DRIVER TRAINING- CLASS FEE- 1-19- $260.00
19 - ST. CLOUD - M. CATTON
Invoice 629430-6835 1/22/2019
Cash Payment E 222-42260-434 Conference & Training FIRE/DRIVER TRAINING- CLASS FEE- 1-19- $260.00
19 - ST. CLOUD - J. BLACKSTONE
Invoice 629430-6835 1/22/2019 —_
Transaction Date 2/13/2019 Wells Fargo 10100 Total $1,820.00
Refer 13 MNSPECT _
Cash Payment
Invoice 7727
Cash Payment
E 101-42400-308 Building Inspection Fees JANUARY 2019 BUILDING INSPECTION FEES
2/5/2019
G 101-20800 Due to Other Governments JANUARY 2019 - ELECTRICAL STATE
SURCHARGE FEE CREDIT
Invoice 7727 2/5/2019
$15,803.55
-$8.00
Cash Payment R 101-42000-32220 Electrical Permit Fee JANUARY 2019- ELECTRICAL INSPECTION -$166.00
PERMIT FEE CREDITS
Invoice 7727 2/5/2019 _
Transaction Date 2/8/2019 Wells Fargo 10100 Total $15,629.55
Refer 14 REPUBLIC SERVICES _
Cash Payment E 670-49500-440 Other Contractual Servic JANUARY 2019 CITYWIDE RECYCLING SVC $14,494.95
Invoice 0894-004801986 1/25/2019
Transaction Date 2/8/2019 Wells Fargo 10100 Total $14,494.95
Refer 21 SAFE ASSURE CONSULTANTS, IN
Cash Payment
E 101-41310-434 Conference & Training
SAFETY TRAINING & CONSULTING 2019
$140.00
Invoice 1472
11/30/2018
Cash Payment
E 101-41500-434 Conference & Training
SAFETY TRAINING & CONSULTING 2019
$450.00
Invoice 1472
11/30/2018
Cash Payment
E 101-42400-434 Conference & Training
SAFETY TRAINING & CONSULTING 2019
$270.00
Invoice 1472
11/30/2018
Cash Payment
E 101-43100-434 Conference & Training
SAFETY TRAINING & CONSULTING 2019
$500.00
Invoice 1472
11/30/2018
Cash Payment
E 101-45200-434 Conference & Training
SAFETY TRAINING & CONSULTING 2019
$600.00
Invoice 1472
11/30/2018
Cash Payment
E 101-42115-434 Conference & Training
SAFETY TRAINING & CONSULTING 2019
$25.00
Invoice 1472
11/30/2018
Cash Payment
E 281-45210-434 Conference & Training
SAFETY TRAINING & CONSULTING 2019
$40.55
Invoice 1472
11/30/2018
Cash Payment
E 222-42260-434 Conference & Training
SAFETY TRAINING & CONSULTING 2019
$1,900.00
Invoice 1472
11/30/2018
Cash Payment
E 601-49400-434 Conference & Training
SAFETY TRAINING & CONSULTING 2019
$375.00
Invoice 1472 11/30/2018
-382-
oon*nSouamw
Page 5
����������
Payments
Current penvu: February 2019
gq
Cash Payment
E8O2-4945O-43*Conference &Training
SAFETY TRANING&CONSULTING 2019
$375�00
Invoice 1472
11m0/2018
Cash Payment
Eeno-497sn-4n4Conference uTraining
SAFETY TRAINING mCONSULTING 201e
$550,00
Invoice 1472
11m0/2018
Transaction Date
2113/2019
Wells Fargo 10100 Total
$5,225s5
Refer
22 SOUTHWEST TRAILS
---�—��-�-�----�-----�-�---�
G1o�-zuon1 Deposits/EscrowmTrs'oNRpwT#1
avvTRAILS ASSOC 2n1nSwOVvmOa|us
$16,137.99nvoopavmom
'
1-22-19
Invoice 021319
1/30/2019
Transaction Date
2/1312019
Wells Fargo 10100 Total
$1e.137.99
TALLEN, JON
.Refer23
- '-1�'1— -i
nBmeu�as��x|�oOxoeaTnoYsooY
$100.00~~~''~r''-''`
SNOW PLOW u -4-1o' *urnGLASGOW RD- J�
TxLLEw
Invoice 021319
2wo01e
Transaction Date
2/13m019
Wells Fargo 10100 Total
$100o0
Refer
3 TRUE VALUE HWS
`~~''-'m—n-
-- Operating
G���owwxrUe��o�ExNen.uovv�
$3218
CLEANER, 4pKoovvBULBS- HWS
Invoice 157909
1/18o019
Transaction Date
2mo019
Wells Fargo 10100 Tota|
$32.18
Refer
4 TRUE VALUE, MOUND (PW_PKS)
Payment —n'
E 2
o�uzc�e�wsR.nrP0c/oeCKSCnUa
$11.50--h
BRUSH- PARKING DECK
Invoice 157614
1m1201e
Cash Payment
e1U1�s2no�1o0p�aunD6vnpm�
oCnEvva.wuT8a0�To PARKS
$34,19
Invoice 157691
1/7/201e
Cash Payment
E 10 -4sunn-2zaBuilding Repair Supplies uPn1aw^PADLOCK- PARKS SHOP
$21.59
Invoice 157771
1/11s019
C��
Cash
E 1n1�ou0na1n0pemongnup�mo
8CnsvvS.wuT8eOLTa.oPewc|��P�nxS
$54.94
Invoice 157e27
1/1412019
Cash Payment
E 1O1-4000O-210Operating Supplies
SCREWS, NUTS BOLTS- PARKS
$24.73
mvwuo 157830
1/14/2019
Cash Payment
e1o1-4ncno-2mOperating Supplies
SCREWS, NUTS BOLTS- PARKS
u17.82
mvmor 157836
1/14/201e
Cash Payment
e1o1�suon�1nopomungSupphm
KEYS -PARKS
$12,10
Invoice 157862
1/1em019
Cash Payment
eeo14V4o�umope��ngSu�o�m
m7WASH
�m��w
Invoice 157870
1/1eo01e
Cash Payment
e0n�4e400�1oOpemnngSvpp�s
3nnevvS.NUTS BOLTS
���n�
Invoice 157854
1/15o019
Cash Payment
Eoo�4V4nu�1u0pe�nng8uppm�
BOWL
�m�mu
Invoice 157687
1/7/2019
Project 19-3
Cash Payment
e000-4o4so-u1UOperating Supplies
19wUTILITY LIGHT, 4'LeoSHOP FIXTURE-
$ozao
PvvSHOP
Invoice 157855
1/15o019
Project 19-3
Cash Payment
E60o'*o4sO'u1nOperating Supplies
SCREWS, NUTS BOLTS, T-HxmoLs
$53.86
SCREWDRIVER, 1*''FLUOR LIGHT FIXTURE,
4PxmwBULBS- PwSHOP
Invoice 157869
1/16x2019
Project 19-5
CITY OF MOUND 02/14/19 9:32 AM
Page 6
Payments
Current Period: February 2019
Cash Payment E281-45210-210 Operating Supplies SCREWS, NUTS BOLTS- DOCKS $34.19
Invoice 157704 1/8/2019
Cash Payment
E 281-45210-220 Repair/Maint Supply
1 X 4 X 8 CEDAR- DOCKS
$11.99
Invoice 157744
1/9/2019
Cash Payment
E 602-49450-210 Operating Supplies
LOTION SOAP- PW SHOP
$13.49
Invoice 158016
1/25/2019
Project 19-5
Cash Payment
E 602-49450-210 Operating Supplies
AJAX DETERGENT, CLEANING WIPES,
$17.52
SHOUT STAIN REMOVER- PW SHOP
Invoice 158005
1/24/2019
Project 19-5
Cash Payment
E 602-49450-210 Operating Supplies
54 PC DRIVER BIT SET, LOBBY BROOM &
$44.97
DUST PAN- PW SHOP
Invoice 158042
1/15/2019
Project 19-5
Cash Payment
E 602-49450-210 Operating Supplies
4' LET SHOP FIXTURE, CANVAS APRON,
$74.06
EXT CORD, 16" SOFT TOTE - PW SHOP
Invoice 158105
1/31/2019
Project 19-5
Cash Payment
E 602-49450-210 Operating Supplies
SPRAY INSULATION FOAM FOR LEAKING
$6.74
DOOR IN SEWER ROOM
Invoice 157997
1/24/2019
Cash Payment
E 602-49450-210 Operating Supplies
12 OZ WINDSHIELD DEICER
$3.14
Invoice 158093
1/30/2019
Cash Payment
E 602-49450-210 Operating Supplies
ECONOMY FLAME KIT, 12 PK BANDAGE
$78.81
ADHESIVE STRIPS, 4 PK CORD CLIP- PW
SHOP
Invoice 158114
1/31/2019
Project 19-5
Cash Payment
E 101-43100-210 Operating Supplies
COMBO PACK LOCKSET
$31.49
Invoice 157749
1/10/2019
—
Transaction Date
2/8/2019
Wells Fargo 10100 Total
$633.74
Refer
15 WASTE MANAGEMENT OF WI -MN
_
Cash Payment
E 101-41930-384 Refuse/Garbage Disposa
GARBAGE SVC FEB 2019- CITY HALL &
$93.70
FIRE DEPT
Invoice 7233599-1593-8
1/31/2019
Cash Payment
E 222-42260-384 Refuse/Garbage Disposa
GARBAGE SVC FEB 2019- CITY HALL &
$93.69
FIRE DEPT
Invoice 7233599-1593-8
1/31/2019
Cash Payment
E 101-45200-384 Refuse/Garbage Disposa
GARBAGE SVC FEB 2019- PARKS
$289.44
Invoice 7233600-1593-4
1/31/2019
Cash Payment
E 602-49450-384 Refuse/Garbage Disposa GARBAGE SVC FEB 2019- PUB WKS BLDG
$98.26
Invoice 7233601-1593-2
1/31/2019
Project 19-3
Transaction Date 2/8/2019
Wells Fargo 10100 Total
$575.09
Refer
25 WOODLAND STOVES & FIREPLAC
_
Cash Payment
R 101-42000-32235 Heating Permits
REFUND PRORATED BLDG PERMIT#2018-
$60.80
00940 4841 ISLANDVIEW DRIVE- WORK WAS
CANCELLED
Invoice 0218-00940 2/4/2019
Transaction Date 2/13/2019
Wells Fargo 10100 Total
$60.80
Refer
16XCEL ENERGY
_
Cash Payment E 101-43100-381 Electric Utilities
Invoice 624184572 1/28/2019
SHORELINE -COMMERCE STREET LIGHTS $59.90
12-26-18 THRU 1-27-19
CITY OF MOUND
Payments
02/14/19 9:32 AM
Page 7
Current Period: February 2019
k 1
Cash Payment E 602-49450-381 Electric Utilities ELECTRIC SVC 12-26-18 THRU 1-27-19 $92.29
CARLOW RD LIFT STATION
Invoice 624111906 1/28/2019
Cash Payment E 602-49450-381 Electric Utilities
Invoice 624214287 1/28/2019
Cash Payment E 101-43100-381 Electric Utilities
ELECTRIC SVC 12-26-18 THRU 1-27-19 1871
COMMERCE BLVD LIFT STATION
ELECTRIC SVC 1-03-19 THRU 2-02-19
MAYWOOD STREET LIGHTS
$153.88
$4,889.21
Invoice 624214287 1/28/2019
Transaction Date 2/8/2019 Wells Fargo 10100 Total $5,195.28
Fund Summary
Pre -Written Checks $0.00
Checks to be Generated by the Computer $180,146.64
Total $180,146.64
-385-
10100 Wells Fargo
101 GENERAL FUND
$52,665.58
222 AREA FIRE SERVICES
$25,307.09
281 COMMONS DOCKS FUND
$132.04
285 HRA/HARBOR DISTRICT
$902.93
601 WATER FUND
$4,204.32
602 SEWER FUND
$78,872.60
609 MUNICIPAL LIQUOR FUND
$3,567.13
670 RECYCLING FUND
$14,494.95
675 STORM WATER UTILITY FUND
$0.00
$180,146.64
Pre -Written Checks $0.00
Checks to be Generated by the Computer $180,146.64
Total $180,146.64
-385-
CITY OF MOUND 02/14/19 9:48 AM
Page 1
Payments
Current Period: February 2019
ON ... ,.
Batch Name 021419CTYMAN User Dollar Amt $2,279.68
Payments Computer Dollar Amt $2,279.68
$0.00 In Balance
Refer 1 WAYZATA, CITY OF _
Cash Payment E 403-43000-500 Capital Outlay FA 2019 FORD F-150 4 X 4 CREW CAB #119 $2,279.68
..164960 MOTOR VEHICLE SALES TAX,
REGISTRATION, TITLE -FILING FEES -
STREETS DEPT
Invoice 021419 2/14/2019
Transaction Date 2/14/2019 Wells Fargo 10100 Total $2,279.68
Fund Summary
10100 Wells Fargo
403 CAP REPLAC-VEHICLES & EQUIP $2,279.68
$2,279.68
Pre -Written Checks $0.00
Checks to be Generated by the Computer $2,279.68
Total $2,279.68
G lev
CITY OF MOUND 02/21/19 1:13 PM
Page 1
Payments
Current Period: February 2019
Transaction Date 2/15/2019 Due 0
Wells Fargo 10100
Total
$365.99
Refer 2 ARTISAN BEER COMPANY —
Ck# 058207 2/19/2019
Cash Payment E 609-49750-252 Beer For Resale
BEER
$120.00
Invoice 3322526 2/1/2019
Cash Payment E 609-49750-252 Beer For Resale
BEER
$424.40
Invoice 3324078 2/7/2019
Cash Payment E 609-49750-252 Beer For Resale
BEER
$365.20
Invoice 3325468 2/14/2019
----
Transaction Date 2/15/2019 Due 0
Wells Fargo 10100
Total
$909.60
Refer 3 BELLBOY CORPORATION
Ck# 058208 2/19/2019
Cash Payment E 609-49750-210 Operating Supplies
SUPPLIES, BAGS, DUM DUM POPS
$116.80
Invoice 0099030900 2/13/2019
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX
$170.00
Invoice 0099030900 2/13/2019
Cash Payment E 609-49750-255 Misc Merchandise For R
MDSE- WAITERS CORKSCREWS
$17.94
Invoice 0099030900 2/13/2019
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX
$50.65
Invoice 0099016100 2/8/2019
--
Transaction Date 2/15/2019 Due 0
Wells Fargo 10100
Total
$355.39
Refer 5 BELLBOY CORPORATION
Ck# 058208 2/19/2019
Cash Payment E 609-49750-253 Wine For Resale
LIQUOR
$3,724.03
Invoice 0068256100 2/6/2019
Cash Payment E 609-49750-265 Freight
FREIGHT
$52.70
Invoice 0068256100 2/6/2019
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
$4,270.50
Invoice 0068154600 2/1/2019
Cash Payment E 609-49750-265 Freight
FREIGHT
$43.40
Invoice 0068154600 2/1/2019
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
$376.26
Invoice 0068299100 2/8/2019
Cash Payment E 609-49750-265 Freight
FREIGHT
$5.74
Invoice 0068299100 2/8/2019
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR CREDIT
-$89.50
Invoice 0068066000 1/22/2019
Transaction Date 2/15/2019 Due 0
Wells Fargo 10100
Total
$8,383.13
Refer 4 BELLBOY CORPORATION
Ck# 058208 2/19/2019
Cash Payment E 609-49750-210 Operating Supplies
SUPPLIES- BAGS
$175.20
Invoice 0098999300 2/6/2019
-387-
CITY OF MOUND 02/21/19 1:13 PM
Page 2
Payments
Current Period: February 2019
Cash Payment E 609-49750-210 Operating Supplies
SUPPLIES- UPC SHELF STRIPS
$54.00
Invoice 0099001900 2/6/2019
Transaction Date 2/15/2019 Due 0
Wells Fargo 10100
Total
$229.20
Refer 5 BELLBOY CORPORATION
Ck# 058208 2/19/2019
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
$2,214.29
Invoice 0068347600 2/13/2019
Cash Payment E 609-49750-265 Freight
FREIGHT
$26.35
Invoice 0068347600 2/13/2019
Transaction Date 2/19/2019 Due 0
Wells Fargo 10100
Total
$2,240.64
Refer 6 BERNICKS BEVERAGES AND VEN
Ck# 058209 2/19/2019
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX
$10.40
Invoice 479303 2/6/2019
Cash Payment E 609-49750-252 Beer For Resale
BEER
$1,005.50
Invoice 479304 2/6/2019
Transaction Date 2/15/2019 Due 0
Wells Fargo 10100
Total
$1,015.90
Refer 7 BERNICKS BEVERAGES AND VEN
Ck# 058209 2/19/2019
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX
$20.00
Invoice 478137 1/30/2019
Cash Payment E 609-49750-252 Beer For Resale
BEER
$1,162.05
Invoice 478138 1/30/2019
_
Transaction Date 2/15/2019 Due 0
Wells Fargo 10100
Total
$1,182.05
Refer 8 BERNICKS BEVERAGESANDVEN
Ck# 058209 2/19/2019
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX
$94.35
Invoice 480769 2/13/2019
Cash Payment E 609-49750-252 Beer For Resale
BEER
$300.10
Invoice 480770 2/13/2019
Transaction Date 2/15/2019 Due 0
Wells Fargo 10100
Total
$394.45
... ..........,,....
Refer9 BREAKTHRU BEVERAGE MN BEE
Ck# 058210 2/19/2019
Cash Payment E 609-49750-252 Beer For Resale
BEER
$35.20
Invoice 1090962951 1/31/2019
Cash Payment E 609-49750-252 Beer For Resale
BEER
$5,355.60
Invoice 1090962870 1/31/2019
Cash Payment E 609-49750-252 Beer For Resale
BEER
$3,952.65
Invoice 1090964951 2/6/2019
Cash Payment E 609-49750-252 Beer For Resale
BEER
$4,429.48
Invoice 1090967468 2/13/2019
Transaction Date 2/15/2019 Due 0
—1-11-1,11,11,»,.,
Wells Fargo 10100
.,,,,,...
Total
$13,772.93
..1r,.„1.,, , ,.�.......... .... ........1
Refer 10 BREAKTHRU BEVERAGE MN WINE
Ck# 058211 2/19/2019
Cash Payment E 609-49750-253 Wine For Resale
WINE
$642.95
Invoice 1080925210 2/6/2019
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
$3,286.26
Invoice 1080925209 2/6/2019
Cash Payment E 609-49750-253 Wine For Resale
WINE
$539.43
Invoice 1080923383 2/13/2019
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
$862.15
Invoice 1080923382 2/13/2019
Transaction Date 2/15/2019 Due 0
Wells Fargo 10100
Total
$5,330.79
Mc Iis�
CITY OF MOUND 02/21/191:13 PM
Page 3
Payments
Current Period: February 2019
Invoice 1399718 2/5/2019
IK:M
Refer
11 BREAKTHRU BEVERAGE MN WINE Ck# 058211 2/19/2019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$1,512.00
Invoice 1080928212 2/13/2019
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$2,468.30
Invoice 1080928217 2/13/2019
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa MIX
$31.46
Invoice 1080928219 2/13/2019
Transaction Date
2/15/2019 Due 0
Wells Fargo 10100
Total
$4,011.76
Refer
12 CAPITOL BEVERAGE SALES L.P.
Ck# 058212 2/19/2019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$44.70
Invoice 2220679
2/5/2019
Cash Payment
E 609-49750-252 Beer For Resale
BEER CREDIT
$28.00
Invoice 2220677
2/5/2019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$8,347.50
Invoice 2220678
2/5/2019
Transaction Date
2/15/2019 Due 0
Wells Fargo 10100
Total
$8,364.20
Refer
13 CAPITOL BEVERAGE SALES, L.P.
Ck# 058212 2/19/2019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$1,867.25
Invoice 2223756
2/12/2019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$67.05
Invoice 2223755
2/12/2019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$1,472.60
Invoice 2218048
1/29/2019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$40.30
Invoice 2218049
1/29/2019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$88.00
Invoice 2219735
2/1/2019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$123.00
Invoice 2222622
2/8/2019
Transaction Date 2/15/2019 Due 0
Wells Fargo 10100
Total
$3,65820
Refer
49 CAPITOL BEVERAGE SALES, L.P.
Ck# 058212 2/19/2019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$195.70
Invoice 2224028
2/14/2019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$1,448.75
Invoice 2226428
2/19/2019
Transaction Date 2/15/2019 Due 0
Wells Fargo 10100
Total
$1,644.45
Refer
14 COCA COLA -GREAT LAKES DISTRI
Ck# 058213 2/19/2019
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa COCA COLA PRODUCTS- MIX
$361.16
Invoice 3609207618 2/11/2019
Transaction Date 2/15/2019 Due 0
"I'll ,
Wells Fargo 10100
n.111., -,...,, s., ,l
Total
$361.16
-1111111111-1
Refer15
., r.. , .. 1-1 ........1.
DAHLHEIMER BEVERAGE LLC
Ck# 058214 2/19/2019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$551.00
Invoice 1399778 2/12/2019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$52.00
Invoice 199670
2/5/2019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$2,159.20
Invoice 1399718 2/5/2019
IK:M
CITY OF MOUND 02/21/19 1:13 PM
Page 4
Payments
Current Period: February 2019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$654.40
Invoice 1403702
2/19/2019
Transaction Date
2/15/2019 Due 0
Wells Fargo 10100
Total
$3,416.60
Refer
17 GRAPE BEGINNINGS, INCORPORA
Ck# 058215 2/19/2019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$192.00
Invoice 53447
2/8/2019
Cash Payment
E 609-49750-265 Freight
FREIGHT
$2.25
Invoice 53447
2/8/2019
_
Transaction Date
2/15/2019 Due 0
Wells Fargo 10100
Total
$194.25
Refer
16 GRAPE BEGINNINGS, INCORPORA
Ck# 058215 2/19/2019
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$178.00
Invoice 52908
1/29/2019
Cash Payment
E 609-49750-265 Freight
FREIGHT
$2.25
Invoice 52908
1/29/2019
Transaction Date
2/15/2019 Due 0
Wells Fargo 10100
Total
$180.25
Refer
18 HOHENSTEINS, INCORPORATED
Ck# 058216 2/19/2019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$393.00
Invoice 119385
1/31/2019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$747.55
Invoice 120428
2/7/2019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$1,187.30
Invoice 121674
2/14/2019
Transaction Date
2/15/2019 Due 0
Wells Fargo 10100
Total
$2,327.85
Refer
19 INBOUND BREWCO
Ck# 058217 2/19/2019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$126.00
Invoice 3533
2/12/2019
Transaction Date
2/15/2019 Due 0
Wells Fargo 10100
Total
$126.00
Refer
21 JJ TAYLOR. DISTRIBUTING MINN
Ck# 058218 2/19/2019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$3,868.80
Invoice 2938521
2/6/2019
Cash Payment
E 609-49750-252 Beer For Resale
BEER CREDIT
-$86.45
Invoice 2938522
2/6/2019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$97.00
Invoice 2938551
2/9/2019
Transaction Date
2/15/2019 Due 0
Wells Fargo 10100
,,..,, .....
Total
$3,879.35
Refer
20 JJ TAYLOR. DISTRIBUTING MINN
Ck# 058218 2/19/2019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$3,775.30
Invoice 2938563
2/13/2019
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa MIX
$110.85
Invoice 2938564
2/13/2019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$37.50
Invoice 2938486
1/31/2019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$2,274.60
Invoice 2938485
1/31/2019
Transaction Date
2/15/2019 Due 0
Wells Fargo 10100
Total
$6,198.25
Refer
24 JOHNSON BROTHERS LIQUOR
Ck# 058219 2/19/2019
-390-
CITY OF MOUND 02/21/19 1:13 PM
Page 5
Payments
Current Period: February 2019
Invoice 2764 2/6/2019
Cash Payment
E 609-49750-253 Wine For Resale
WINE CREDIT
-$20.00
Invoice 522998
1/15/2019
Transaction Date
2/15/2019 Due 0
Wells Fargo 10100 Total
-$20.00
Refer
23 JOHNSON BROTHERS LIQUOR
Ck# 058219.2/19/2019
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa MIX
$90.00
Invoice 1209243
1/31/2019
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$5,457.29
Invoice 1209241
1/31/2019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$5,862.10
Invoice 1209242
1/31/2019
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$1,082.00
Invoice 1208311
1/29/2019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$407.52
Invoice 1208312
1/29/2019
---
_Transaction
Transaction Date
2/15/2019 Due 0
Wells Fargo 10100 Total
$12,898.91
Refer
22 JOHNSON BROTHERS LIQUOR
Ck# 058219 2/19/2019
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa MIX
$24.00
Invoice 1214690
2/6/2019
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$4,884.37
Invoice 1214688
2/6/2019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$4,305.15
Invoice 1214689
2/6/2019
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$3,774.77
Invoice 1219486
2/13/2019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$2,202.15
Invoice 1219487
2/13/2019
Transaction Date
2/15/2019 Due 0
Wells Fargo 10100 Total
$15,190.44
Refer
36 LOVEGREEN INDUSTRIAL SERVIC
Ck# 058220 2/19/2019
Cash Payment
E 609-49750-440 Other Contractual Servic REPLACE DRIVE CHAIN ON CONVEYOR
$413.36
BELT - HWS
Invoice 128331
1/23/2019
Transaction Date
2/19/2019 Due 0
Wells Fargo 10100 Total
$413.36
Refer25
MARLIN S TRUCKING DELIVERY
Ck# 058221 2/19/2019
Cash Payment
E 609-49750-265 Freight
DELIVERY SVC 1-17-19
Invoice 35125
1/17/2019
Cash Payment
E 609-49750-265 Freight
DELIVERY SVC 1-22-19
$36.25
Invoice 35133
1/22/2019
Cash Payment
E 609-49750-265 Freight
DELIVERY SVC 1-24-19
$319.00
Invoice 35150
1/24/2019
—
Transaction Date 2/15/2019 Due 0
Wells Fargo 10100 Total
$635.10
Refer26
MINNEHAHA BUILDING MICE, INC
Ck# 058222 2/19/2019
Other Contractual Servic
WASH WINDOWS INSIDE & OUT 1-07-19
$65.19
Cash Payment
E 609-49750-440
Invoice 180124493
1/27/2019
Transaction Date 2/15/2019 Due 0
.,
Wells Fargo 10100 Total
$65.19
Refer
27 MODIST BREWING CO. LLC
Ck# 058223 2/19/2019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$189.00
Invoice 2764 2/6/2019
CITY OF MOUND 02/21/19 1:13 PM
Page 6
Payments
Current Period: February 2019
Invoice 40575 2/11/2019
Transaction Date
Transaction Date
2/15/2019 Due 0
Wells Fargo 10100
Total
$189.00
Ck# 058228 2/19/2019
28 MOUND MARKETPLACE ASSOC
Ck# 058224 2/19/2019
E 609-49750-253 Wine For Resale
WINE
_Refer
Cash Payment
E 609-49750-412 Building Rentals
MARCH 2019 COMMON AREA MTCE &
$993.09
Cash Payment
E 609-49750-251 Liquor For Resale
INSURANCE HWS
$428.70
Invoice 2497051
Invoice 030119
3/1/2019
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa
Transaction Date
2/15/2019 Due 0
Wells Fargo 10100
Total
$993.09
Refer
30 PAINTER CREEK WINERY
Ck# 058225 2/19/2019
Wells Fargo 10100
Total $1,182.70
Cash Payment
_
E 609-49750-253 Wine For Resale
WINE
$270.00
Invoice 02092019 2/9/2019
LIQUOR
$156.00
Invoice 2504435
Transaction Date
2/15/2019 Due 0
Wells Fargo 10100
Total
$270.00
Refer
29 PARLEY LAKE WINERY
Ck# 058226 2/19/2019
2/13/2019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$56.00
$360.00
Invoice 17528
2/7/2019
_
2/15/2019 Due 0
Transaction Date
2/15/2019 Due 0
Wells Fargo 10100
Total
$360.00
Refer
31 PAUSTIS AND SONS WINE COMPA
Ck# 058227 2/19/2019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$868.00
Invoice 39328
1/28/2019
Cash Payment
E 609-49750-265 Freight
FREIGHT
$13.75
Invoice 39328
1/28/2019
Transaction Date
2/15/2019 Due 0
Wells Fargo 10100
Total
$881.75
Refer
32 PAUSTIS AND SONS WINE COMPA
Ck# 058227 2/19/2019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$615.00
Invoice 39893
2/4/2019
Cash Payment
E 609-49750-265 Freight
FREIGHT
$8.75
Invoice 39893
2/4/2019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$371.00
Invoice 40575
2/11/2019
Cash Payment
E 609-49750-265 Freight
FREIGHT
$5.25
Invoice 40575 2/11/2019
Transaction Date
2/15/2019 Due 0
... .. ..< ...,.
Wells Fargo 10100
,,... .a..,,. .
Total $1,000.00
Refer
.,., .,v .. .r ............
35 PHILLIPS WINE AND SPIRITS, INC
Ck# 058228 2/19/2019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$547.00
Invoice 2497052
1/31/2019
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$428.70
Invoice 2497051
1/31/2019
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa
MIX
$207.00
Invoice 2497053
1/31/2019
Transaction Date
2/15/2019 Due 0
Wells Fargo 10100
Total $1,182.70
Refer
34 PHILLIPS WINE AND SPIRITS, INC
Ck# 058228 2/1912019
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$156.00
Invoice 2504435
2/13/2019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$1,349.28
Invoice 2504436
2/13/2019
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa MIX
$56.00
Invoice 2504437
2/13/2019
Transaction Date
2/15/2019 Due 0
Wells Fargo 10100
Total $1,561.28
CITY OF MOUND 02/21/19 1:13 PM
Page 7
Payments
Current Period: February 2019
Refer 33 PHILLIPS WINE AND SPIRITS, INC Ck# 058228 2/19/2019
Cash Payment E 609-49750-253 Wine For Resale WINE $602.00
Invoice 2500888 2/6/2019
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$163.65
Invoice 2500887
2/6/2019
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa MIX
$28.00
Invoice 2500889
2/6/2019
Transaction Date
2/15/2019 Due 0
Wells Fargo 10100
Total
$793.65
Refer
37 PLUNKETT S, INCORPORATED
Ck# 058229 2/19/2019
E 609-49750-440 Other Contractual Servic CONTRACTED PEST CONTROL SVC
2-06-19
$52.02
Cash Payment
HWS
Invoice 16885587 2/6/2019
Transaction Date
2/15/2019 Due 0
Wells Fargo 10100
Total
$52.02
Refer
38 SCHRAM WINERY, LLC
Ck# 058230 2/19/2019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$132.00
Invoice 000290
2/8/2019
—
Transaction Date
2/19/2019 Due 0
Wells Fargo 10100
Total
$132.00
Refer
39 SHANKEN COMMUNICATIONS, INC
Ck# 058231 2/19/2019
Cash Payment
E 609-49750-255 Misc Merchandise For R
WINE SPECTATOR PUBLICATIONS 2-28-19
$15.00
EDITION
Invoice S0671032
1/29/2019
Transaction Date
2/15/2019 Due 0
Wells Fargo 10100
Total
$15.00
Refer
41 SOUTHERN WINE & SPIRITS OF M
Ck# 058232 2/19/2019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$140.00
Invoice 1780673
1/31/2019
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$2,087.78
Invoice 1780671
1/31/2019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$1,048.35
Invoice 1780672
1/31/2019
Transaction Date
2/15/2019 Due 0
Wells Fargo 10100
.
Total
$3,276.13
Refer
40 SOUTHERN WINE & SPIRITS OF M
Ck# 058232 2/19/2019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$1,928.00
Invoice 1785520
2/14/2019
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$2,324.23
Invoice 1785522
2/14/2019
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa
MIX
$48.00
Invoice 1785521
2/14/2019
Transaction Date 2/15/2019 Due 0
Wells Fargo 10100
Total
$4,300.23
Refer
42 SOUTHERN WINE & SPIRITS OF M
Ck# 058232 2/19/2019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$1,685.71
Invoice 1783093
2/7/2019
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$5,183.37
Invoice 1783092
2/7/2019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$104.00
Invoice 1783091
2/7/2019
--
Transaction Date 2/15/2019 Due 0
Wells Fargo 10100
.................
Total
$6,973.08
,,.-11-- .. ... .. ...
Refer
43 TOTAL REGISTER SYSTEMS, INC.
Ck# 058233 2/19/2019
-393-
CITY OF MOUND 02/21/191:13 PM
Page 8
Payments
Current Period: February 2019
Cash Payment
E 609-49750-210 Operating Supplies
V -SHELF LABELS- HWS
$104.12
Invoice 56796
2/1/2019
Transaction Date
2/15/2019 Due 0
Wells Fargo 10100
Total
$104.12
Refer�
44 VINOCOPIA, INCORPORATED
Ck# 058234.2/19/2019
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$448.00
Invoice 0225857
1/31/2019
Cash Payment
E 609-49750-265 Freight
FREIGHT
$12.50
Invoice 0225857
1/31/2019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$216.00
Invoice 0226331
2/7/2019
Cash Payment
E 609-49750-265 Freight
FREIGHT
$5.00
Invoice 0226331
2/7/2019
Transaction Date
2/15/2019 Due 0
Wells Fargo 10100
Total
$681.50
Refer
50 VINOCOPIA, INCORPORATED
Ck# 058234 2/19/2019
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$230.00
Invoice 0226792
2/14/2019
Cash Payment
E 609-49750-265 Freight
FREIGHT
$4.00
Invoice 0226792
2/14/2019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$104.00
Invoice 0226793
2/14/2019
Cash Payment
E 609-49750-265 Freight
FREIGHT
$2.00
Invoice 0226793
2/14/2019
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa MIX
$120.00
Invoice 0226794
2/14/2019
Cash Payment
E 609-49750-265 Freight
FREIGHT
$12.00
Invoice 0226794
2/14/2019
Transaction Date
2/15/2019 Due 0
..., ,,. . �. , ..., .
Wells Fargo 10100
Total
$472.00
ter . .. ..............:...
Refer
.... „ ...<....s „..
45 WINE COMPANY
Ck# 058235 2/19/2019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$544.00
Invoice 97130
2/7/2019
Cash Payment
E 609-49750-265 Freight
FREIGHT
$8.40
Invoice 97130
2/7/2019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$702.00
Invoice 96436
1/31/2019
Cash Payment
E 609-49750-265 Freight
FREIGHT
$13.20
Invoice 96436
1/31/2019
Cash Payment
E 609-49750-253 Wine For Resale
WINE CREDIT
-$54.00
Invoice 90887
11/30/2018
Cash Payment
E 609-49750-265 Freight
FREIGHT CREDIT
-$2.10
Invoice 90887
11/30/2018
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$514.00
Invoice 97732
2/14/2019
Cash Payment
E 609-49750-265 Freight
FREIGHT
$8.25
Invoice 97732
2/14/2019
Transaction Date 2/15/2019 Due 0
,,,... ,.
Wells Fargo 10100
�.,,., , �..
Total
$1,733.75
�.,=.w, .. u ,.....,...........
Refer
, ..� ,,... ...,„ �.
47 WINE MERCHANTS
Ck# 058236 2/19/2019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$576.00
Invoice 7220522 1/31/2019
-394-
CITY OF MOUND 02/21/19 1:13 PM
Page 9
Payments
Current Period: February 2019
Pre -Written Checks $124,669.14
Checks to be Generated by the Computer $0.00
Total $124,669.14
-395-
1
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$160.00
Invoice 7221427
2/6/2019
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa MIX
$68.00
Invoice 7221428
2/6/2019
—
Transaction Date
2/15/2019
Due 0 Wells Fargo 10100
Total $804.00
Refer
46 WINE MERCHANTS
Ck# 058236 2/19/2019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$461.20
Invoice 7222270
2/13/2019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$475.75
Invoice 7222270
2/13/2019
Transaction Date
2/15/2019
Due 0 Wells Fargo 10100
Total $936.95
Refer
48 Z WINES USA LLC
Ck# 058237.2/19/2019
Cash Payment
_
E 609-49750-253 Wine For Resale
WINE
$224.00
Invoice 22072
2/13/2019
Cash Payment
E 609-49750-265 Freight
FREIGHT
$7.50
Invoice 22072
2/13/2019
Transaction Date
2/15/2019
Due 0 Wells Fargo 10100
Total $231.50
Fund Summary
10100 Wells Fargo
609 MUNICIPAL
LIQUOR FUND
$124,669.14
$124,669.14
Pre -Written Checks $124,669.14
Checks to be Generated by the Computer $0.00
Total $124,669.14
-395-
CITY OF MOUND 02/21/19 10:47 AM
Page 1
Payments
Current Period: February 2019
Batch Name 022019CTYMAN User Dollar Amt $1,499.90
Payments Computer Dollar Amt $1,499.90
$0.00 In Balance
Refer 2 CARQUEST AUTO PARTS (FIRE) -
Cash Payment E 222-42260-409 Other Equipment Repair CUTTER -CRIMPER, INSULATED $22.37
DISCONNECT, COUPLER- PORTABLE RADIO
CHARGER INSTALL ON FIRE UNIT #45
Invoice 6974-341447 1/12/2019
Cash Payment E 222-42260-212 Motor Fuels DIESEL EXHAUST FLUID, TRUFUEL 50:1 $30.43
PREMIX- FIRE DEPT
Invoice 6974-342492 1/28/2019
Cash Payment E222-42260-210 Operating Supplies
CHECK #58175 390265 #338791 DUPL PYMT
-$27.89
Invoice 6974-341447 12/3/2018
Transaction Date 2/19/2019
Wells Fargo 10100 Total
$24.91
Refer 3 CARQUEST OF NAVARRE (PA49
_
Cash Payment E 101-45200-220 Repair/Maint Supply
BATTERY- PARKS STIGA
$89.77
Invoice 6974-340726 1/2/2019
Cash Payment E 602-49450-210 Operating Supplies
OIL FILTER, & SHOP SUPPLIES- PUB WKS
$43.91
Invoice 6974-340849 1/3/2019
Project 19-3
Cash Payment E 601-49400-220 Repair/Maint Supply
BATTERY- PARKS STIGA
$84.01
Invoice 6974-341313 1/10/2019
Cash Payment E 101-43100-210 Operating Supplies
HYD FLUID TRACTOR
$59.79
Invoice 6974-341329 1/10/2019
Cash Payment E 601-49400-210 Operating Supplies
OIL FILTERS- #512 WATER TRUCK
$8.40
Invoice 6974-341345 1/10/2019
Cash Payment E 601-49400-210 Operating Supplies
TURN SIGNAL SWITCH- #512 WATER TRUCK
$38.12
Invoice 6974-341770 1/17/2019
Cash Payment E 101-45200-220 Repair/Maint Supply
OIL FILTER- PARKS #415
$3.50
Invoice 6974-341770 1/17/2019
Cash Payment E 101-43100-220 RepairlMaint Supply
OIL & FUEL FILTERS #112
$47.71
Invoice 6974-342280 1/24/2019
Cash Payment E 601-49400-220 Repair/Maint Supply
OIL & FUEL FILTERS #112
$47.71
Invoice 6974-342280 1/24/2019
Cash Payment E 602-49450-220 Repair/Maint Supply
TRICO ICE WINTER
$25.44
Invoice 6974-342477 1/28/2019
Project 19-3
Cash Payment E 601-49400-220 Repair/Maint Supply
WIPER BLADES WATER TRUCK #512
$18.74
Invoice 6974-342477 1/28/2019
Cash Payment E 101-43100-220 Repair/Maint Supply
TRILLIANT PAR 36 LAMP- LIGHTS #112
$121.54
Invoice 6974-342481 1/28/2019
Cash Payment E 601-49400-220 Repair/Maint Supply
TRILLIANT PAR 36 LAMP- LIGHTS #112
$121.54
Invoice 6974-342481 1/28/2019
Cash Payment E 601-49400-220 Repair/Maint Supply
ANTI SAIL BRACKET
$14.72
Invoice 6974-342488 1/28/2019
Transaction Date 2/19/2019
....
Wells Fargo 10100 Total
, ., ..... ..., ..
$724.90
.a,. ,.....3 ....
Refer 1 NAPA AUTO PARTS - SPRING PAR
Cash Payment E 222-42260-409 Other Equipment Repair
SPARK PLUGS- POLARIS UNIT #37 FIRE
$3.28
DEPT
Invoice 073214 1/12/2019
-396-
CITY OF MOUND
Payments
Current Period: February 2019
02/21/19 10:47 AM
Page 2
10100 Wells Fargo
101 GENERAL FUND
$322.31
222 AREA FIRE SERVICES
Cash Payment
E 22242260-212 Motor Fuels
FUELOIL MIX- FOR FIRE DEPT POWER
$9.18
$806.98
TOOLS
Invoice 073211
1/12/2019
Cash Payment
E 602-49450-210 Operating Supplies
5W20 SYNTHETIC OIL- 1 DRUM & 36
$737.63
QUARTS SYNTHETIC 5W30 OIL- PUBLIC
WORKS SHOP
Invoice 075288
2/7/2019
Project 19-5
Transaction Date
2/19/2019
Wells Fargo 10100 Total
$750.09
Fund Summary
10100 Wells Fargo
101 GENERAL FUND
$322.31
222 AREA FIRE SERVICES
$37.37
601 WATER FUND
$333.24
602 SEWER FUND
$806.98
$1,499.90
Pre -Written Checks $0.00
Checks to be Generated by the Computer $1,499.90
Total $1,499.90
-397-
CITY OF MOUND 02/21/19 11:41 AM
Page 1
Payments
Current Period: February 2019
Batch Name 022219CTYMAN User Dollar Amt $1,790.32
Payments Computer Dollar Amt $1,790.32
$0.00 in Balance
Refer 58 BERENT, DAN _
Cash Payment E 222-42260-434 Conference & Training MEALS PER DIEM- FIRE TRAINING SCHOOL $105.00
FEB 15 - FEB 17 2019 MAHONMEN- REIMB D.
BERENT
Invoice 022219 2/20/2019
Cash Payment E 222-42260-434 Conference & Training GAS - EMERGENCY VEHICLE- FIRE $50.00
TRAINING SCHOOL FEB 15 - FEB 17 2019
MAHONMEN- REIMB D. BERENT
Invoice 022219
2/20/2019
Transaction Date
2/21/2019
Wells Fargo 10100 Total
$155.00
Refer
55 DRILLING, ANDREW
_
Cash Payment
E 222-42260-434 Conference & Training
MEALS PER DIEM- FIRE OFFICERS SCHOOL
$105.00
FEB 1 - FEB 3 2019 ALEXANDRIA- REIMB A.
DRILLING
Invoice 022219
2/20/2019
Cash Payment
E 222-42260-434 Conference & Training
MILEAGE EXPENSE- FIRE OFFICERS
$146.16
SCHOOL FEB 1 - FEB 3 2019 ALEXANDRIA-
REIMB A. DRILLING
Invoice 022219
2/20/2019
Transaction Date
2/21/2019
Wells Fargo 10100 Total
$251.16
Refer
56 JOLICOEUR, PAUL
_
Cash Payment
E 222-42260-434 Conference & Training
MEALS PER DIEM- FIRE OFFICERS SCHOOL
$105.00
FEB 1 - FEB 3 2019 ALEXANDRIA- REIMB P.
JOLICOEUR
Invoice 022219
2/20/2019
Cash Payment
E 222-42260-434 Conference & Training
MILEAGE EXPENSE- FIRE OFFICERS
$146.16
SCHOOL FEB 1 - FEB 3 2019 ALEXANDRIA-
REIMB P. JOLICOEUR
Invoice 022219
2/20/2019
Transaction Date
2/21/2019
Wells Fargo 10100 Total
$251.16
Refer iry5
53 MCFOA
Cash Payment
E 101-41500-433 Dues and Subscriptions
2018-2019 MUNICIPAL CLERKS & FINANCE
$45.00
OFFICERS MEMBERSHIP DUES- C.
PAUSCHE
Invoice 022819
2/15/2019
Transaction Date
2/20/2019
Wells Fargo 10100 Total
$45.00
Refer
54 MINNESOTA DEPT OF HEALTH
_
Cash Payment
E 101-43100-438 Licenses and Taxes
WATER SUPPLY SYSTEM OPERATOR
$23.00
RENEWAL CLASS D LICENSE- B. KRESS
Invoice 022019
2/20/2019
Transaction Date
2/21/2019
Wells Fargo 10100 Total
$23.00
Refer
59 MINNESOTA RURAL WATER ASSO
_
Cash Payment
E 601-49400-434 Conference & Training
REGISTRATION 35TH ANNUAL MRWA
$240.00
OPERATOR CONFERENCE MARCH 5-7 2019
ST. CLOUD - L. PITSENBERGER
Invoice 022019 2/20/2019
CITY OF MOUND 02/21/19 11:41 AM
Page 2
Payments
Current Period: February 2019
r
Cash Payment E 601-49400-434 Conference & Training REGISTRATION 35TH ANNUAL MRWA $240.00
OPERATOR CONFERENCE MARCH 5-7 2019
ST. CLOUD - R. HANSON
Invoice 022019 2/20/2019
Cash Payment E 601-49400-434 Conference & Training
Invoice 022019 2/20/2019
Cash Payment E 601-49400-434 Conference & Training
REGISTRATION 35TH ANNUAL MRWA $240.00
OPERATOR CONFERENCE MARCH 5-7 2019
ST. CLOUD - M. TESSEN
REGISTRATION 35TH ANNUAL MRWA $240.00
OPERATOR CONFERENCE MARCH 5-7 2019
ST. CLOUD - R. PRICH
Invoice 022019
2/20/2019
Transaction Date
2/21/2019
Wells Fargo 10100 Total $960.00
Refer
57 PALM, TANNER A.
_
Cash Payment
E 222-42260-434 Conference & Training
MEALS PER DIEM- FIRE OFFICERS SCHOOL $105.00
FEB 1 - FEB 3 2019 ALEXANDRIA- REIMB T.
PALM
Invoice 022219
2/20/2019
Transaction Date
2/21/2019
Wells Fargo 10100 Total $105.00
Fund Summary
10100 Wells Fargo
101 GENERAL FUND $68.00
222 AREA FIRE SERVICES $762.32
601 WATER FUND $960.00
$1,790.32
Pre -Written Checks $0.00
Checks to be Generated by the Computer $1,790.32
Total $1,790.32
-399-
CITY OF MOUND 02/21/1910:46 AM
Page 1
Payments
Current Period: February 2019
ii/
Batch Name 022819CITY User Dollar Amt $999,453.01
Payments Computer Dollar Amt $999,453.01
$0.00 In Balance
Refer
1 AMERICAN MESSAGING
E 601-49400-321 Telephone, Cells, & Radi ANNUAL PAGING MESSAGING SVC 02/01/19
$25.14
Cash Payment
TO 01/31/2020- PARKS & PUB WKS
Invoice D2062026TB 2/1/2019
E 602-49450-321 Telephone, Cells, & Radi ANNUAL PAGING MESSAGING SVC 02/01/19
$25.13
Cash Payment
TO 01/31/2020- PARKS & PUB WKS
Invoice D2062026TB 2/1/2019
E 101-43100-321 Telephone, Cells, & Radi ANNUAL PAGING MESSAGING SVC 02/01/19
$25.13
Cash Payment
TO 01/31/2020- PARKS & PUB WKS
Invoice D2062026TB 2/1/2019
E 101-45200-321 Telephone, Cells, & Radi ANNUAL PAGING MESSAGING SVC 02/01/19
$25.13
Cash Payment
TO 01/31/2020- PARKS & PUB WKS
Invoice D2062026TB 2/1/2019 ---
-
Transaction Date
2/21/2019 Wells Fargo 10100 Total
$ 11 100.53
Refer
2 ASPEN EQUIPMENT _
Cash Payment
E 101-43100-220 Repair/Maint Supply FENDER- REPAIR PLOW TRUCK
$198,43
Invoice 10200561
2/18/2019
-- ----_
Transaction Date
2/19/2019 Wells Fargo 10100 Total
$198.43
Refer
3 BENIEK PROPERTY SVCS INC.
Cash Payment
E 101-43100-440 Other Contractual Servic AREA #1 CBD JAN 2019 PLOWING
$711.00
Invoice 151718
2/1/2019
E 101-43100-440 Other Contractual Servic AREA #2 TRUE VALUE -RAMP -SIDEWALKS
$775.00
Cash Payment
JAN 2019 PLOWING& SHOVELING
Invoice 151718
2/1/2019
Cash Payment
E 101-43100-440 Other Contractual Servic AREA #3 COMMERCE BLVD JAN 2019
$3,295.00
PLOWING
Invoice 151718
2/1/2019
Transaction Date
2/20/2019 Wells Fargo 10100 Total
$4,781.00
Refer
5 BOYER TRUCKS-MPLS _
Cash Payment
E 403-43100-500 Capital Outlay FA PROCESSOR- TRUCK #119 STREETS DEPT
$538.23
Invoice 839439
1/30/2019
Transaction Date
2/20/2019 Wells Fargo 10100 Total
$538.23
Refer
4 CANON FINANCIAL SERVICES, INC _
Cash Payment
E 222-42260-202 Duplicating and copying FEBRUARY 2019- COPIER RENTAL- FIRE
$31.75
DEPT
Invoice 19771892 2/10/2019
Transaction Date
2/20/2019 Wells Fargo 10100 Total
, ...,..
$31.75
Refer�
y 6 CENTERPOINT ENERGY (MINNEG
Cash Payment
E 101-41930-383 Gas Utilities GAS SVC 12-20-18 TO 1-20-19- BILL #1 2019
$955,42
Invoice 022819
2/8/2019
Cash Payment
E 222-42260-383 Gas Utilities GAS SVC 12-20-18 TO 1-20-19- BILL #1 2019
$955.42
Invoice 022819
2/8/2019
Cash Payment
E 101-45200-383 Gas Utilities GAS SVC 12-20-18 TO 1-20-19- BILL #1 2019
$922.61
Invoice 022819
2/8/2019
Cash Payment
E 101-41910-383 Gas Utilities GAS SVC 12-20-18 TO 1-20-19- BILL #1 2019
$1,438.61
Invoice 022819
2/8/2019
ii/
CITY OF MOUND 02/21/1910:46 AM
Page 2
Payments
Current Period: February 2019
Invoice 402752 2/9/2019
Cash Payment E 101-43100-224 Street Maint Materials
Invoice 406087 2/13/2019
TREATED SALT HWY MIX- 56.56 TON $4,115.87
DELIVERED 2-13-19
Cash Payment E 281-45210-220 Repair/Maint Supply
Invoice 802185387 1/7/2019
5 GAL GRAIN STAIN SOLID LATEX- QTY 2- $320.88
DOCKS
Cash Payment
Cash Payment
E 602-49450-383 Gas Utilities
GAS SVC 12-20-18 TO 1-20-19- BILL #1 2019
$1,345.64
Invoice 022819
2/8/2019
Project 19-3
Invoice 802185408 1/8/2019
Cash Payment
E 609-49750-383 Gas Utilities
GAS SVC 12-20-18 TO 1-20-19- BILL #1 2019
$553.52
Invoice 022819
2/8/2019
Refer
10 DPC INDUSTRIES, INC.
Cash Payment
E 101-45200-383 Gas Utilities
GAS SVC 12-20-18 TO 1-20-19- BILL #1 2019
$258.13
150# CHLORINE CYLINDER RENTAL- QTY 12
$120.00
DEPOT BLDG
Invoice 022819
2/8/2019
2/19/2019
Wells Fargo 10100 Total
Transaction Date
2/20/2019
Wells Fargo 10100 Total
$6,429.35
Refer
7 CENTRAL MCGOWAN, INCORPOR
_
FIRE REPAIR- INSTALLED PARTS IN
Cash Payment
E602-49450-210 Operating Supplies
HIGH PRESSURE MEDIUM CYLINDER
$26.04
RENTALS- QTY 9
INSTALL NEW SLIDE TO CONNECT BUTTON
Invoice 00043150 1/31/2019
Project 19-3
Cash Payment
E 602-49450-210 Operating Supplies
HIGH PRESSURE ACETYLENE MEDIUM
$8.68
CYLINDER RENTALS- QTY 5
Invoice 00043150 1/31/2019
Project 19-3
Transaction Date
2/19/2019
Wells Fargo 10100 Total
$34.72
Refer
8 COMPASS MINERALS AMERICA
_
Cash Payment
E 101-43100-224 Street Maint Materials
TREATED SALT HWY MIX- 58.04 TON
$4,223.57
DELIVERED 2-8-19
Invoice 402752 2/9/2019
Cash Payment E 101-43100-224 Street Maint Materials
Invoice 406087 2/13/2019
TREATED SALT HWY MIX- 56.56 TON $4,115.87
DELIVERED 2-13-19
Cash Payment E 281-45210-220 Repair/Maint Supply
Invoice 802185387 1/7/2019
5 GAL GRAIN STAIN SOLID LATEX- QTY 2- $320.88
DOCKS
Cash Payment
E 281-45210-220 Repair/Maint Supply
5 GAL GRAIN STAIN SOLID LATEX- QTY 3-
$481.32
DOCKS
Invoice 802185408 1/8/2019
Transaction Date
2/20/2019
Wells Fargo 10100 Total
$802.20
Refer
10 DPC INDUSTRIES, INC.
_
Cash Payment
E 601-49400-227 Chemicals
150# CHLORINE CYLINDER RENTAL- QTY 12
$120.00
Invoice 82000003-19 1/31/2019
Transaction Date
2/19/2019
Wells Fargo 10100 Total
$120.00
Refer
45 EMERGENCY RESPONSE SOLUTI
_
Cash Payment
E 222-42260-219 Safety supplies
FIRE REPAIR- INSTALLED PARTS IN
$243.39
CYLINDER VALVE, TEST FOR LEAKS,
INSTALL NEW SLIDE TO CONNECT BUTTON
ON SCBA
Invoice 12441 1/25/2019
Cash Payment E 222-42260-219 Safety supplies INSTALLED CHEST STRAP, ENHANCED ICM $554.35
ON SCBA #20
Invoice 12508 2/8/2019
.M
CITY OF MOUND 02/21/1910:46 AM
Page 3
Payments
Current Period: February 2019
Invoice 93587938 1/29/2019
Cash Payment
E 101-45200-205 Computer Hardware/Soft SCADA SOFTWARE- ARC -GIS FOR
$175.00
$462.00
DESKTOP CONCURRENT USE- MTCE
PUBLICATIONS- 66 FIREMEN- MFD
Invoice 022819
SUPPORT 311/19 THRU 2/29/20
Invoice 93587938 1/29/2019
Transaction Date
2/20/2019
Cash Payment
E 601-49400-205 Computer Hardware/Soft SCADA SOFTWARE- ARC -GIS FOR
$175.00
12 GOPHER STATE ONE CALL
_
DESKTOP CONCURRENT USE- MTCE
Cash Payment
E 601-49400-395 Gopher One -Call
JAN 2019 LOCATES
SUPPORT 3/1/19 THRU 2/29/20
Invoice 9010599
Invoice 93587938 1/29/2019
Cash Payment
E 602-49450-205 Computer Hardware/Soft SCADA SOFTWARE- ARC -GIS FOR
$175.00
$20.25
Invoice 9010599
DESKTOP CONCURRENT USE- MTCE
Transaction Date
SUPPORT 3/1/19 THRU 2/29/20
Wells Fargo 10100 Total
Invoice 93587938 1/29/2019
Refer
48 GRAINGER
Transaction Date
2/20/2019
Wells Fargo 10100 Total
$700.00
Refer
46 FIRE CHIEF, MN STATE ASSOCIAT
Cash Payment
E 222-42260-434 Conference & Training
NATIONAL FIRE ACADEMY COURSE-
$285.00
DULUTH- T. PALM
Invoice 200003610
2/5/2019
Cash Payment
E 222-42260-433 Dues and Subscriptions
2019 MEMBERSHIP DUES MOUND FIRE
$57.00
DEPT MN STATE FIRE CHIEFS ASSN- G.
PALM,
Invoice 022819
2/20/2019
Cash Payment
E 222-42260-433 Dues and Subscriptions
2019 MEMBERSHIP DUES MOUND FIRE
$93.00
DEPT MN STATE FIRE CHIEFS ASSN- G.
PEDERSON
Invoice 022819 2/20/2019
Cash Payment E 222-42260-433 Dues and Subscriptions
Invoice 022819 2/20/2019
2019 MEMBERSHIP DUES MOUND FIRE $57.00
DEPT MN STATE FIRE CHIEFS ASSN- B.
FOSTER
Transaction Date 2/20/2019 Wells Fargo 10100 Total $492.00
Refer 47 FIRE DEPT ASSOC OF MINNESOT
Cash Payment
E 222-42260-433 Dues and Subscriptions
6 ISSUES 2019 MN FIREFIGHTER
$462.00
PUBLICATIONS- 66 FIREMEN- MFD
Invoice 022819
2/20/2019
Transaction Date
2/20/2019
Wells Fargo 10100 Total
$462.00
Refer
12 GOPHER STATE ONE CALL
_
Cash Payment
E 601-49400-395 Gopher One -Call
JAN 2019 LOCATES
$20.25
Invoice 9010599
1/31/2019
Cash Payment
E 602-49450-395 Gopher One -Call
JAN 2019 LOCATES
$20.25
Invoice 9010599
1/31/2019
Transaction Date
2/20/2019
Wells Fargo 10100 Total
$40.50
Refer
48 GRAINGER
_
Cash Payment E 222-42260-210 Operating Supplies
Invoice 1344200536 2/19/2019
BOLT ON CIRCUIT BREAKER POLE- $63.63
WASHER/EXTRACTOR INSTALL- FIRE DEPT
CITY OF MOUND 02/21/1910:46 AM
Page 4
Payments
Current Period: February 2019
Transaction Date 2/21/2019 Wells Fargo 10100 Total $63.63
Refer 49 GREAT AMERICAN BUSINESS PR
Cash Payment E 222-42260-219 Safety supplies PLASTIC SEAT COVERS FOR FIRE TRUCKS- $112.00
SAFETY -QTY 250
Invoice 42734685 1/28/2019
Transaction Date 2/21/2019 Wells Fargo 10100 Total $112.00
Refer 50 HANGAR, THE _
Cash Payment E 222-42260-210 Operating Supplies PLAIN LEATHER NAME TAGS- QTY 6 -FIRE $58.20
DEPT
Invoice 1000035104 2/12/2019
Transaction Date 2/21/2019 Wells Fargo 10100 Total $58.20
Refer 60 HART BROS TIRE COMPANY _
Cash Payment E 602-49450-404 Machinery/Equip Repairs JOHN DEERE LOADER TIRE REPAIR
Invoice 41946 2/15/2019 Project 19-5
$455.95
Transaction Date 2/21/2019 Wells Fargo 10100 Total $455.95
Refer 13 HECKSEL MACHINE SHOP, INC. _
Cash Payment
E 101-43100-404 Machinery/Equip Repairs 4 BRACKETS, 2 CHANNEL 4'X 5'- STREET
DEPT
Invoice 022819 2/4/2019
$110.00
Transaction Date 2/19/2019 Wells Fargo 10100 Total $110.00
Refer 14 HENNEPIN COUNTY PROPERTY T _
Cash Payment R 355-46384-31050 Tax Increments OVER SETTLEMENT -TIF DISTRICT 1-2- $31,164.00
REDUCTION IN VALUE- REFUND TO
TAXPAYER
Invoice
Cash Payment R 355-47000-31050 Tax Increments OVER SETTLEMENT -TIF DISTRICT 1-2- $3,879.22
REDUCTION IN VALUE- REFUND TO
TAXPAYER
Invoice --
Transaction Date 2/20/2019 Wells Fargo 10100 Total $35,043.22
Refer ...r 15 HENNEPIN COUNTY RECORDER _
Cash Payment G 101-23424 3020 HIGHLAND PC18-15 J ABSTRACT & TORRENS RECORDING -HENN
CTY-PC 18-15 3020 HIGHLAND
Invoice 1000122617 2/1/2019
$46.00
Transaction Date
2/21/2019
„ ...
Wells Fargo 10100 Total
, . .
$46.00
Refer
.......... .... ........ ...a..a,. ,,,o..,,..
16 HOME DEPOT CREDIT (FIRE)
_
Cash Payment
E 222-42260-210 Operating Supplies
18" LARGE MOUTH BAG W/ TOOL WALL-
$14.00
FIRE DEPT
Invoice 120805
2/2/2019
Cash Payment
E 222-42260-210 Operating Supplies
7 QTY 18" LARGE MOUTH BAGS W/ TOOL
$81.60
WALL- FIRE DEPT
Invoice 71020
2/2/2019
Cash Payment
E 222-42260-210 Operating Supplies
2 QTY 18" LARGE MOUTH BAG W/ TOOL
$28.00
WALL- FIRE DEPT
Invoice 586496 2/2/2019
CITY OF MOUND 02/21/19 10:46 AM
Page 5
Payments
Current Period: February 2019
Refer 19 HYDRO KLEAN
Cash Payment E 602-49450-404 Machinery/Equip Repairs CUES COUPLER & RECEPTACLE REPAIR $302.38
Invoice 61562
Cash Payment
E 222-42260-210 Operating Supplies
2 WIDE MOUTH SPRAYERS, ELBOWS,
$108.73
2/21/2019
Wells Fargo 10100 Total
P[IPING, DIVIDED STORAGE CASE, DECK
Refer
20 JESSEN PRESS INCORPORATED
_
SCRUB, CLEAN OUT SHOVEL, 2 LG CLIP
Cash Payment
E 101-41110-350 Printing
PRINT, MAIL -CITY CONTACT NEWS 8 PG
BOXES, 2 QTY 18" LARGE MOUTH BAG W/
FEB, MARCH, APRIL 2019 6,200 COPIES
TOOL WALL- FIRE DEPT
Invoice 681230
Invoice 9071060
2/3/2019
_
Transaction Date
Cash Payment
E 222-42260-210 Operating Supplies
12 GAL WET/DRY VAC, PVC PIPE, FURNACE
$136.19
21 JOHNSON CONTROLS - TYCO INC.
_
FILTERS- 2, PAPER TOWELS, FIRE DEPT
Cash Payment
Invoice 3014139
2/19/2019
$541.00
_
Transaction Date
2/21/2019
Wells Fargo 10100 Total
$368.52
Refer
17 HOME DEPOT/GECF (PAN)
_
2/20/2019
..� , ,
Cash Payment
E602-49450-210 Operating Supplies
6 FOOT FOLD IN HALF TABLE- PUBLIC
$47.98
_
WORKS SHOP
Invoice 1072625
2/1/2019
Project 19-5
Cash Payment
E 602-49450-210 Operating Supplies
48" STEEL T -STYLE HANDLESOIL PRO- 3
$57.00
QTY
Invoice 8621764
1/15/2019
Transaction Date
2/19/2019
Wells Fargo 10100 Total
$104.98
Refer 19 HYDRO KLEAN
Cash Payment E 602-49450-404 Machinery/Equip Repairs CUES COUPLER & RECEPTACLE REPAIR $302.38
Invoice 61562
1/31/2019
Transaction Date
2/21/2019
Wells Fargo 10100 Total
$302.38
Refer
20 JESSEN PRESS INCORPORATED
_
Cash Payment
E 101-41110-350 Printing
PRINT, MAIL -CITY CONTACT NEWS 8 PG
$1,565.00
FEB, MARCH, APRIL 2019 6,200 COPIES
Invoice 681230
2/7/2019
_
Transaction Date
2/20/2019
Wells Fargo 10100 Total
$1,565.00
Refer
21 JOHNSON CONTROLS - TYCO INC.
_
Cash Payment
E 609-49750-440 Other Contractual Servic
SVC CALL -5 YEAR INTERNAL INSPECTION-
$541.00
WET SPRINKLER- REPLACE GAUGES- HWS
Invoice 85561347 1/24/2019
Transaction Date
2/20/2019
..� , ,
Wells Fargo 10100 Total
$541.00
m, ,,,........ .u., ,
Refer
,...,... ,.... ........:.
22 KIRBY BUILT QUALITY PRODUCTS
_
Cash Payment E 101-45200-500 Capital Outlay FA
10 TRASH CONTAINERS W/DOME LID & $5,360.50
LINER- PARKS
Invoice KB00008837 2/5/2019
Transaction Date 2/21/2019 Wells Fargo 10100 Total $5,360.50
Refer 44 LEAGUE OF MINNESOTA CITIES _
Cash Payment E 675-49425-433 Dues and Subscriptions MN CITIES STORMWATER COALITION $639.00
MEMBERSHIP 2019
Invoice 287311 2/1/2019
Transaction Date 2/20/2019 Wells Fargo 10100 Total $639.00
Refer 52 LINDA S PHOTOGRAPHY
Refer 23 LOFFLER COMPANIES, INCORPOR
CITY OF MOUND 02/21/19 10:46 AM
Page 6
Payments
Current Period: February 2019
Cash Payment E 101-41930-202 Duplicating and copying COPY ROOM KONICA C652 -COLOR $336.58
OVERAGE - 1-14-19 THRU 2-13-19
Invoice 3032994 2/8/2019
Cash Payment E 101-41930-202 Duplicating and copying COPY ROOM KONICA C652 - B & W $159.90
OVERAGE - 1-14-19 THRU 2-13-19
Invoice 3032994 2/8/2019
Cash Payment
E 602-49450-202 Duplicating and copying
KONICA MINOLTA 8200 PW COPIER
$3.65
OVERAGE CHG 1-10-19 THRU 2-09-19
Invoice 3029362
2/4/2019
Project 19-3
—
Transaction Date
2/20/2019 Wells Fargo 10100 Total
$500.13
Refer
24 METCO
Cash Payment
E 222-42260-321 Telephone, Cells, & Radi
REMOVE RADIO FROM FIRE UNIT #26-
$231.60
INSTALL RADIO IN FIRE UNIT #45
Invoice 18-0104
1/26/2019
Transaction Date
2/21/2019 Wells Fargo 10100 Total
$231.60
Refer
25 MIDWEST SERVICES _
Cash Payment
E 602-49450-440 Other Contractual Servic
MECHANIC SVCS- JAN 2019 - TRUCK #317,
$637.50
#217, #106 STIGA, #315, GLEN ELYN
GENERATOR, BARTLETT/FERNSIDE
GENERATOR
Invoice 2118
2/4/2019
Project 19-5
Cash Payment
E 602-49450-440 Other Contractual Servic
MECHANIC SVCS- JAN 2019 - TRUCK #315,
$680.00
#512, JOHN DEER MOWER #197
Invoice 2118
2/4/2019
Project 19-5
Cash Payment
E 602-49450-440 Other Contractual Servic
MECHANIC SVCS- JAN 2019 - TRUCK #415,
$637.50
#512, #314, HOOK UP WI FI ROUTER IN
TOOL ROOM
Invoice 2118
2/4/2019
Project 19-5
Cash Payment
E 602-49450-440 Other Contractual Servic
MECHANIC SVCS- JAN 2019 - TRUCK #106,
$680.00
#112, #217, #218
Invoice 2118
2/4/2019
Project 19-5
Cash Payment
E 602-49450-440 Other Contractual Servic
MECHANIC SVCS- JAN 2019 - TRUCK #512,
$637.50
#112, #317, ADD POWER SVC ADDITIVE TO
PLOW TRUCKS & S250 BOBCAT
Invoice 2118
214/2019
Project 19-5
Transaction Date
2/20/2019
Wells Fargo 10100 Total
$3,272.50
Refer
26 MINNESOTA BATTERY LLC
_
Cash Payment
E 222-42260-409 Other Equipment Repair
FIRE ENGINE #24 BATTERIES -2 OF 4 & QC
$335.00
JUMP BOX 910
Invoice 21148
1/8/2019
Cash Payment
E 222-42260-409 Other Equipment Repair
FIRE ENGINE #24 BATTERIES- 2 OF 4
$210.00
Invoice 21154
1/9/2019
Transaction Date 2/21/2019
. . ......
Wells Fargo 10100 Total
..,, v. . ,.,
$545.00
, n�
Refer
, . a.,.,.., , ...0 ..., v,.,.. r ........:.......:
27 MINNESOTA LABOR INDUSTRY (2)
_
Cash Payment E 101-41910-430 Miscellaneous
CENTENNIAL BLDG 2019 ANNUAL $100.00
ELEVATOR OPERATING PERMIT- 5341
MAYWOOD RD
Invoice ALR00922341 1/30/2019
Transaction Date 2/20/2019 Wells Fargo 10100 Total $100.00
Refer 61 MINNESOTA VALLEY TESTING LA _
-405-
CITY OF MOUND 02/21/19 10:46 AM
Page 7
Payments
Current Period: February 2019
S'w
Cash Payment E 601-49400-470 Water Samples MONTHLY CHLORINE REPORT & COLIFORM $105.00
WATER TESTS -10
Invoice 961891 2/19/2019
Transaction Date 2/22/2019 Wells Fargo 10100 Total $105.00
Refer�28 MN DEPT OF LABOR & INDUSTRY
Cash Payment E 602-49450-438 Licenses and Taxes PUB WRKS 2018 PRESSURE VESSEL $5.00
LICENSE 156021
Invoice ABR02058621 1/30/2019
Cash Payment E 601-49400-438 Licenses and Taxes PUB WRKS 2018 PRESSURE VESSEL $5.00
LICENSE 156021
Invoice ABR02058621 1/30/2019
Cash Payment E 222-42260-438 Licenses and Taxes 2018 FIRE DEPT PRESSURE VESSEL $10.00
LICENSE 668358
Invoice ABR02052691 1/30/2019
Transaction Date 2/16/2019 Wells Fargo 10100 Total $20.00
Refer 29 MOUND FIRE RELIEF ASSOCIATIO _
Cash Payment E 222-42260-124 Fire Pens Contrib FEBRUARY 2019 - FIRE RELIEF PENSION $10,750.00
CONTRIBUTION
Invoice 022819 2/1/2019
Transaction Date 2/20/2019 Wells Fargo 10100 Total $10,750.00
pofo� 'An nFFir.F nFPOT
Cash Payment E 101-41500-200 Office Supplies
Invoice 273224702001 2/12/2019 PO 25043
Cash Payment E 101-41930-200 Office Supplies
Invoice 273224702001 2/12/2019 PO 25043
Cash Payment E 609-49750-200 Office Supplies
Invoice 270412805001 2/6/2019 PO 25103
VOID STAMP- FINANCE DEPT $6.29
11 X 17 COPY PAPER CITY HALL $45.42
THERMAL PAPER ROLLS, HIGHLIGHTERS- $9.98
HWS
Cash Payment E 101-41110-200 Office Supplies NAME PLATE- P. LARSON- CITY COUNCIL $12.49
Invoice 273224702001 2/12/2019 PO 25043
Transaction Date 2/20/2019 Wells Fargo 10100 Total $74.18
Refer 31 ORONO, CITY OF _
Cash Payment E 101-41600-450 Board of Prisoners HENNEP CTY JAIL CHARGES- PER DIEM $282.00
FEES JAN 2019
Invoice 20141266 2/512019
Cash Payment E 101-42110-440 Other Contractual Servic 1ST HALF 2019 CONTRACTED POLICE $894,115.00
SERVICE
Invoice 20141257 1/7/2019
Transaction Date 2/20/2019 Wells Fargo 10100 Total $894,397.00
Refer 32 SJF MATERIAL HANDLING INC
Cash Payment E 601-49400-223 Building Repair Supplies PALLET RACKING- PUBLIC WORKS SHOP $1,448.91
Invoice 163268 1/25/2019 PO 24865
Transaction Date 2/20/2019 Wells Fargo 10100 Total $1,448.91
Refer ., 33 SOUTHWEST NEWS MEDIA
Cash Payment E 101-41500-328 Employment Advertising HELP WANTED ADMIN ASSISTANT- $97.50
PUBLISHED 1/30119 LAKESHORE WEEKLY
NEWS
Invoice 1945709 5/18/2017
01•
CITY OF MOUND 02/21/1910:46 AM
Page 8
Payments
Current Period: February 2019
.m
Cash Payment
E 101-42400-328 Employment Advertising
HELP WANTED ADMIN ASSISTANT-
$97.50
PUBLISHED 1/30/19 LAKESHORE WEEKLY
NEWS
Invoice 2042049
1/30/2019
Transaction Date
2/20/2019 Wells Fargo 10100 Total
$195.00
Refer
34 SPEEDPRO IMAGING
Cash Payment
E 222-42260-219 Safety supplies
5 DEFLECTIVE HELMET DECALS: BERENT,
$62.50
MCCARVILLE, JOLICOEUR, WOYTCKE, PALM
Invoice 19-1042
1/31/2019
Transaction Date
2/20/2019 Wells Fargo 10100 Total
$62.50
Refer
35 SUBURBAN RATE AUTHORITY _
Cash Payment
E 101-41110-433 Dues and Subscriptions
2019 MEMBERSHIP ASSESSMENT
$886.00
$452/VOTE- CITY OF MOUND- 2 VOTES
Invoice 022819
2/13/2019
Transaction Date
2/20/2019
Wells Fargo 10100 Total
$886.00
Refer
36 SUN PATRIOT NEWSPAPER -CITY _
Cash Payment
E 101-41500-328 Employment Advertising
ADMIN ASSISTANT HELP WANTED AD 2-2-
$120.00
19 -LAKER & ONLINE
Invoice 669617
2/3/2019
Cash Payment
E 101-42400-328 Employment Advertising
ADMIN ASSISTANT HELP WANTED AD 2-2-
$120.00
19 -LAKER & ONLINE
Invoice 669617
2/3/2019
Cash Payment
E 602-49450-328 Employment Advertising
PUBLIC WORKS/PARKS -FT MTCE HELP
$494.00
WANTED AD 1-24-19-LAKER-SAILOR PUBS
Invoice 667503
1/27/2019
Project 19-5
Cash Payment
E 602-49450-328 Employment Advertising
PUBLIC WORKS/PARKS -FT MTCE HELP
$54.00
WANTED AD 2-2-19 -LAKER PUBS
Invoice 669616
2/3/2019
Project 19-5
Cash Payment
E 602-49450-328 Employment Advertising
PUBLIC WORKS/PARKS -FT MTCE HELP
$340.00
WANTED AD 1-31-19-LAKER-SAILOR PUBS
Invoice 668571
1/31/2019
Project 19-5
Cash Payment
E 601-49400-351 Legal Notices Publishing
LEGAL NTCE- WATER WELLHEAD
$46.26
PROTECTION PLAN PUBLISHED 2-9-19
Invoice 669999
2/9/2019
Transaction Date
3/22/2017
......,.:.,. ,
Wells Fargo 10100 Total
$1,174.26
„....,....,.,,, .,.,.3
Refer
.. ..............:.:.. ..
37 TONKA PLUMBING HEATING & CL
Cash Payment
E 601-49400-440 Other Contractual Servic
REPLACE 1/2” METER W/ 3/4" METER,
$388.00
REPLACE 2 3/4" ADAPTERS- 2191 CARDINAL
LN- 1-25-19
Invoice 10624
1/29/2019
Cash Payment
E 601-49400-440 Other Contractual Servic
REPLACE 1/2" METER W/ 3/4" METER & NEW
$388.00
ADAPTER- 3192 WESTEDGE BLVD- 1-29-19
Invoice 10659
2/7/2019
Cash Payment
E 601-49400-440 Other Contractual Servic
REPLACE EXISTING 2" METER W/ 1"
$402.00
METER, - 5770 VILLAGE TRAIL- 2-08-19
Invoice 10671
2/13/2019
Transaction Date
2/20/2019
Wells Fargo 10100 Total
$1,178.00
Refer
38 TRUE VALUE, NAVARRE
_
Cash Payment
E 281-45210-220 Repair/Maint Supply
5 LB 2X8 EXT SCREW- DOCKS
$4299
Invoice 315066
1/9/2019
.m
CITY OF MOUND 02/21/1910:46 AM
Page 9
Payments
Current Period: February 2019
Transaction Date 2120/2019 Wells Fargo 10100 Total $42.99
Refer 51 TWIN CITY GARAGE DOOR COMP
Cash Payment
E 222-42260-401 Building Repairs SVC FIRE DEPT GARAGE DOOR
$193.00
Invoice Z088765
1/29/2019
Transaction Date
2/21/2019 Wells Fargo 10100 Total
... . � .,..,.„.
$193.00
Refer ry� .,. y
39 UNITED FARMERS COOPERATIVE..,
_
Cash Payment
E 602-49450-220 Repair/Maint Supply 8 QTY 20 LB LP CYLINDERS
$127.92
Invoice 904346
2/1/2019 Project 19-5
Cash Payment
E 602-49450-218 Clothing and Uniforms CLOTHING- 2 PR PROTECT PANTS, 2 HEAVY
$569.45
DUTY JACKETS, 5 PAIRS GLOVES, 8
VENTED WOODCUTTER HELMETS W
EARMUFFS, VISORS, 3 PR ORANGE
SUSPENDERS
Invoice 904345
2/1/2019 Project 19-5
Transaction Date
2/19/2019 Wells Fargo 10100 Total
$697.37
Refer
40 USA BLUEBOOK _
Cash Payment
E 601-49400-210 Operating Supplies DEIONIZED WATER TYPE II 4 LITER, HACH
$80.80
FLUORIDE REAGENT- WATER DEPT
Invoice 798318
1/29/2019
Transaction Date
2/20/2019 Wells Fargo 10100 Total
$80.80
Refer
41 VERIZON WIRELESS
Cash Payment
E 101-43100-321 Telephone, Cells, & Radi CELL PHONE CHARGES 1-14-19 THRU 2-13-
$149.01
19
Invoice 9824162066 2/13/2019
Cash Payment
E 601-49400-321 Telephone, Cells, & Radi CELL PHONE CHARGES 1-14-19 THRU 2-13-
$117.50
19
Invoice 9824162066 2/13/2019
Cash Payment
E 602-49450-321 Telephone, Cells, & Radi CELL PHONE CHARGES 1-14-19 THRU 2-13-
$134.61
19
Invoice 9824162066 2/13/2019
Cash Payment
E 101-42400-321 Telephone, Cells, & Radi CELL PHONE CHARGES 1-14-19 THRU 2-13-
$38.72
19
Invoice 9824162066 2/13/2019
Cash Payment
E 101-45200-321 Telephone, Cells, & Radi CELL PHONE CHARGES 1-14-19 THRU 2-13-
$94.53
19
Invoice 9824162066 2/13/2019
Cash Payment
E 101-41310-321 Telephone, Cells, & Radi CELL PHONE CHARGES 1-14-19 THRU 2-13-
$55.51
19
Invoice 9824162066 2/13/2019
Cash Payment
E 222-42260-321 Telephone, Cells, & Radi CELL PHONE CHARGES 1-14-19 THRU 2-13-
$51.45
19
Invoice 9824162066 2/13/2019
Cash Payment
E 101-42115-321 Telephone, Cells, & Radi CELL PHONE CHARGES 1-14-19 THRU 2-13-
$15.76
19
Invoice 9824162066 2/13/2019
Cash Payment
G 101-22816 Personal Cell Phone PERSONAL INTL CELL PHONE CHARGES TO
$11.85
BE REIMBURSED- R. HANSON
Invoice 9824162066 2/13/2019
Cash Payment
G 101-22816 Personal Cell Phone PERSONAL INTL CELL PHONE CHARGES TO
$2.20
BE REIMBURSED- G. PEDERSON
Invoice 9824162066 2/13/2019
M!:
Payments
Current Period: February 2018
02/21/19 10:46 AM
Page 10
Invoice 9823914756 2/10/2019
Cash Payment E 101-43100-321 Telephone, Cells, & Radi STREETS LEAD WORKER TABLET- HOT
$35.01
SPOT 1-11-19 THRU 2-10-19
Invoice 9823914756 2/10/2019
Cash Payment E 101-43100-321 Telephone, Cells, & Radi STREETS LEAD WORKER TABLET-
$35.01
INTERNET SVC- 1-11-19 THRU 2-10-19
Invoice 9823914756 2/10/2019
Cash Payment E 602-49450-321 Telephone, Cells, & Radi PUBLIC WORKS SUPER- RAY HANSON -
$35.01
TABLET- INTERNET SVC- 1-11-19 THRU 2-10-
19
Invoice 9823914756 2/10/2019 Project 19-5
Cash Payment E 602-49450-321 Telephone, Cells, & Radi PUBLIC WORKS SUPER- RAY HANSON -
$35.01
TABLET- HOT SPOT SVC 1-11-19 THRU 2-10-
19
Invoice 9823914756 2/10/2019 Project 19-5
Cash Payment E 602-49450-321 Telephone, Cells, & Radi UTILITY LEAD WORKER TABLET- HOT
$17.50
SPOT- SVC 1-11-19 THRU 2-10-19
Invoice 9823914756 2/10/2019
Cash Payment E 601-49400-321 Telephone, Cells, & Radi UTILITY LEAD WORKER TABLET- HOT
$17.51
SPOT- SVC 1-11-19 THRU 2-10-19
Invoice 9823914756 2/10/2019
Cash Payment E 101-45200-321 Telephone, Cells, & Radi PARKS LEAD WORKER TABLET- INTERNET
$35.01
SVC 1-11-19 THRU 2-10-19
Invoice 9823914756 2/10/2019
Cash Payment E 101-43100-321 Telephone, Cells, & Radi NEW STREETS TABLET DATACARD
$35.01
INTERNET SVC 1-11-19 THRU 2-10-19
Invoice 9823914756 2/10/2019
Cash Payment E 601-49400-321 Telephone, Cells, & Radi UTILITY 7726- NEW TABLET- INTERNET SVC
$17.50
1-11-19 THRU 2-10-19
Invoice 9823914756 2/10/2019
Cash Payment E 602-49450-321 Telephone, Cells, & Radi UTILITY 7726- NEW TABLET- INTERNET SVC
$17.51
1-11-19 THRU 2-10-19
Invoice 9823914756 2/10/2019
Cash Payment E 222-42260-321 Telephone, Cells, & Radi DATACARD SVC FIRE LADDER TRUCK #44 1-
$35.01
11-19 THRU 2-10-19
Invoice 9823914756 2/10/2019
Cash Payment E 602-49450-321 Telephone, Cells, & Radi SEWER TRUCK #109 DATACARD SVC 1-11-
$35.01
19 THRU 2-10-19
Invoice 9823914756 2/10/2019
Cash Payment E 602-49450-321 Telephone, Cells, & Radi PUB WKS SUPV VEHC #113 R. HANSON
$35.01
DATACARD SVC 1-11-19 THRU 2-10-19
Invoice 9823914756 2/10/2019 Project 19-3
Cash Payment E 602-49450-321 Telephone, Cells, & Radi PUB WKS JET PACK LAPTOP AIRCARD SVC
$35.01
1-11-19 THRU 2-10-19
Invoice 9823914756 2/10/2019 Project 19-3
CITY OF MOUND
Payments
Current Period: February 2019
02/21/19 10:46 AM
Page 11
IBM
Cash Payment E 101-42400-321 Telephone, Cells, & Radi FIELD OFFICER DATACARD SVC 1-11-19
$17.51
THRU 2-10-19
Invoice 9823914756 2/10/2019
Cash Payment E 101-42115-321 Telephone, Cells, & Radi FIELD OFFICER DATACARD SVC 1-11-19
$17.50
THRU 2-10-19
Invoice 9823914756 2/10/2019
Cash Payment E 222-42260-321 Telephone, Cells, & Radi DATACARD SVC FIRE UNIT #42 DUTY
$35.01
OFFICER 1-11-19 THRU 2-10-19
Invoice 9823914756 2/10/2019
Cash Payment E 222-42260-321 Telephone, Cells, & Radi DATACARD SVC FIRE UNIT #39 FIRE CHIEF
$35.01
RESCUE UTILITY 1-11-19 THRU 2-10-19
Invoice 9823914756 2/10/2019
Cash Payment E 222-42260-321 Telephone, Cells, & Radi DATACARD SVC FIRE #43 RESCUE TRUCK
$35.01
SVC 1-11-19 THRU 2-10-19
Invoice 9823914756 2/10/2019
Cash Payment E 222-42260-321 Telephone, Cells, & Radi DATACARD SVC FIRE ENGINE #29 SVC 1-11-
$35.01
19 THRU 2-10-19
Invoice 9823914756 2/10/2019
Cash Payment E 601-49400-321 Telephone, Cells, & Radi WATER TRUCK #315 DATACARD SVC 1-11-
$35.01
19 THRU 2-10-19
Invoice 9823914756 2/10/2019
Cash Payment E 601-49400-321 Telephone, Cells, & Radi WATER TRUCK #512 R. PRICH DATACARD
$35.01
SVC 1-11-19 THRU 2-10-19
Invoice 9823914756 2/10/2019
Cash Payment E 602-49450-321 Telephone, Cells, & Radi UTILITY LEAD WORKER TABLET- INTERNET
$17.51
SVC 1-11-19 THRU 2-10-19
Invoice 9823914756 2/10/2019
Cash Payment E 601-49400-321 Telephone, Cells, & Radi UTILITY LEAD WORKER TABLET- INTERNET
$17.50
SVC 1-11-19 THRU 2-10-19
Invoice 9823914756 2/10/2019
Transaction Date 2/20/2019 Wells Fargo 10100 Total
$735.21
Refer 42 WIDMER CONSTRUCTION, LLC
Cash Payment E 601-49400-440 Other Contractual Servic REPAIR WATERMAIN @ 3208 CHARLES LN 1-
$7,848.75
31-19
Invoice 4583 2/12/2019
Cash Payment E 601-49400-440 Other Contractual Servic REPAIR WATERMAIN @ 5351 BAYWOOD
$4,882.50
SHORES DR 2-3-19
Invoice 4584 2/12/2019
Transaction Date 2/20/2019 Wells Fargo 10100 Total
$12,731.25
Refer 43 ZEP MANUFACTURING COMPANY _
Cash Payment E 602-49450-210 Operating Supplies ZEP 40 AEROSOL- 1 DOZEN- PUBLIC WORKS
$80.72
Invoice 9003984745 1/25/2019 Project 19-3
Transaction Date 2/20/2019 Wells Fargo 10100 Total
$80.72
IBM
CITY OF MOUND
Payments
Current Period: February 2019
Fund Summary
10100 Wells Fargo
101 GENERAL FUND
$921,903.56
222 AREA FIRE SERVICES
$15,430.20
281 COMMONS DOCKS FUND
$845.19
355 2003-C G.O. TIF 1-2
$35,043.22
403 CAP REPLAC-VEHICLES & EQUIP
$538.23
601 WATER FUND
$16,175.64
602 SEWER FUND
$7,773.47
609 MUNICIPAL LIQUOR FUND
$1,104.50
675 STORM WATER UTILITY FUND
$639.00
$999,453.01
Pre -Written Checks $0.00
Checks to be Generated by the Computer $999,453.01
Total $999,453.01
- 411 -
02/21/19 10:46 AM
Page 12
CITY OF MOUND 02/21/19 11:41 AM
Page 1
Payments
Current Period: February 2019
Batch Name 022819HWS User Dollar Amt $29,071.36
Payments Computer Dollar Amt $29,071.36
$0.00 In Balance
Refer 1 BELLBOY CORPORATION
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
$1,199.50
Invoice 0068430100 2/20/2019
Invoice 53931
2/19/2019
Cash Payment E 609-49750-265 Freight
FREIGHT
$15.50
Invoice 0068430100 2/20/2019
FREIGHT
$2.25
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
$1,478.11
Invoice 0068429800 2/20/2019
Cash Payment
E 609-49750-251 Liquor For Resale
Cash Payment E 609-49750-265 Freight
FREIGHT
$18.60
Invoice 0068429800 2/20/2019
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
$84.50
Invoice 0068430000 2/20/2019
Refer
JJ TAYLOR. DISTRIBUTING MINN
Cash Payment E 609-49750-265 Freight
FREIGHT
$1.55
Invoice 0068430000 2/20/2019
BEER
_.
Transaction Date 2/21/2019
Wells Fargo 10100
Total $2,797.76
Refer 2 BREAKTHRU BEVERAGE MN WINE
_
E 609-49750-252 Beer For Resale
Cash Payment E 609-49750-253 Wine For Resale
WINE
$849.43
Invoice 1080931423 2/20/2019
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
$3,370.96
Invoice 1080931422 2/20/2019
Refer
6 JOHNSON BROTHERS LIQUOR
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX
$30.00
Invoice 1080931464 2/20/2019
Transaction Date 2/21/2019
Wells Fargo 10100
Total $4,250.39
Refer 3 CLEAR RIVER BEVERAGE CO
Cash Payment E 609-49750-252 Beer For Resale BEER
Invoice 130-3072 2/14/2019
$349.00
Transaction Date 2/21/2019 Wells Fargo 10100 Total $349.00
Refer 4 GRAPE BEGINNINGS, INCORPORA
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$126.00
Invoice 53931
2/19/2019
Cash Payment
E 609-49750-265 Freight
FREIGHT
$2.25
Invoice 53931
2/19/2019
Cash Payment
E 609-49750-251 Liquor For Resale
WINE
$70.50
Invoice 53931
2/19/2019
Transaction Date
2/21/2019
Wells Fargo 10100
Total $198.75
Refer
JJ TAYLOR. DISTRIBUTING MINN
_
Cash Payment
--5
E 609-49750-252 Beer For Resale
BEER
$1,408.90
Invoice 2950008
2/20/2019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$50.90
Invoice 2950009
2/20/2019
Transaction Date
2/21/2019
Wells Fargo 10100
Total $1,459.80
Refer
6 JOHNSON BROTHERS LIQUOR
_
Cash Payment
Invoice 1224673
E 609-49750-254 Soft Drinks/Mix For Resa MIX
2/20/2019
mom
$35.00
CITY OF MOUND 02/21/19 11:41 AM
Page 2
Payments
Current Period: February 2019
-413-
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$4,376.95
Invoice 1224671
2/20/2019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$1,946.80
Invoice 1224672
2/20/2019
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$111.42
Invoice 1224674
2/20/2019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$1,065.20
Invoice 1224675
2/20/2019
Transaction Date
2/21/2019
Wells Fargo 10100
Total
$7,535.37
Refer
7 LUPULIN BREWING COMPANY
_
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$72.00
Invoice 18889
2/14/2019
Transaction Date
2/21/2019
Wells Fargo 10100
Total
$72.00
Refer
8 MARLINS TRUCKING DELIVERY
_
Cash Payment
E 609-49750-265 Freight
DELIVERY SVC 2-01-19
$285.65
Invoice 35164
2/1/2019
Cash Payment
E 609-49750-265 Freight
DELIVERY SVC 2-07-19
$375.55
Invoice 35183
2/7/2019
Cash Payment
E 609-49750-265 Freight
DELIVERY SVC 2-14-19
$258.10
Invoice 35200
2/14/2019
Transaction Date
2/21/2019
Wells Fargo 10100
Total
$919.30
Refer
9 PAUSTIS AND SONS WINE COMPA
_
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$1,101.75
Invoice 41334
2/18/2019
Cash Payment
E 609-49750-265 Freight
FREIGHT
$15.00
Invoice 41334
2/18/2019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$66.50
Invoice 41447
2/19/2019
Cash Payment
E 609-49750-265 Freight
FREIGHT
$2.25
Invoice 41447
2/19/2019
---
Transaction Date
2/21/2019
......... .......
Wells Fargo 10100
..
Total
$1,185.50
Refer
10 PHILLIPS WINE AND SPIRITS, INC
_
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$266.50
Invoice 2508241
2/20/2019
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$4,374.25
Invoice 2508239
2/20/2019
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa MIX
$202.50
Invoice 2508241
2/20/2019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$1,127.82
Invoice 2508240
2/20/2019
Transaction Date
2/21/2019
Wells Fargo 10100
Total
$5,971.07
Refer11
SHAMROCK GROUP, INC.
_
Cash Payment
E 609-49750-255 Misc Merchandise For R ICE
$131.18
Invoice 2338661
2/20/2019
Transaction Date
2/21/2019
Wells Fargo 10100
Total
$131.18
Refer
12 SOUTHERN WINE & SPIRITS OF M
_
-413-
CITY OF MOUND
Payments
Current Period: February 2019
02/21/19 11:41 AM
Page 3
, ..., u .: ..... ........... ........1`.�.,,.,.s... �su.., �,.. . ,. ,..
Cash Payment E 609-49750-253 Wine For Resale WINE $1,020.00
Invoice 1788083 2/21/2019
Cash Payment E 609-49750-251 Liquor For Resale LIQUOR $2,219.66
Invoice 1788082 2/21/2019
Pre -Written Checks $0.00
Checks to be Generated by the Computer $29,071.36
Total $29,071.36
-414-
MOUND CITY COUNCIL MINUTES
January 22, 2019
The City Council of the City of Mound, Hennepin County, Minnesota, met in regular session on
Tuesday, January 22, 2019 at 7:00 p.m. in the council chambers of the Centennial Building.
Members present: Mayor Ray Salazar, Council Member Jeff Bergquist, Sherrie Pugh and Phil
Velsor.
Members absent: None
Others present: City Manager Eric Hoversten, Director of Finance & Administrative Services
Catherine Pausche, City Engineer Brian Simmons, Scott Gates, Kim Blievernicht, Andrew Heal,
Jake Mazurek, Paula Larson, Mark Thostenson, Cindy Penner, Chad Penner, Kristi Doshan,
Jeff Anderson, Sharon Thaler, Bruce Sohn (10), Karla Frigard, Lance Frigard, David
Montgomery, Russ Nettle, Gina Nettle, Eric Vail, Jake Saystrom, Kristin Hewitt, Greg Flom,
Barton Haly, Mark Jorland, Michele Hanson and Allissa Lively.
Consent agenda: All items listed under the Consent Agenda are considered to be routine in
nature by the Council. There will be no separate discussion on these items unless a
Councilmember or citizen so requests, in which event it will be removed from the Consent
Agenda and considered in normal sequence.
1. Open meeting
Mayor Salazar called the meeting to order at 7:00 p.m.
2. Pledqe of Allegiance
3. Approve agenda, with any amendments
Hoversten added pages 184.1 & 184.2 and added 78.1 Paula Larson as the 7th City Council
candidate.
MOTION made by Bergquist, seconded by Velsor, to approve the agenda. All voted in favor.
Motion carried.
4. Consent agenda
MOTION made by Velsor, seconded by Bergquist, to approve the consent agenda. Upon roll
call vote, all voted in favor. Motion carried.
A. Approve payment of claims $323,465.09
B. Approve minutes: 01-08-19 Regular Meeting
C. Pay Request 6 & Final in the amount of $31,538.77 to Widmer Construction for 2017 Lift
Station and Forcemain Improvements PW 17-05
D. Pay Request 2 & Final in the amount of $5,368.79 to Schneider Excavating and Grading
for 2016 Storm Sewer Improvements Project PW 16-09.
E. Approve the following special meetings in 2019:
-415-
Mound City Council Minutes — January 22, 2019
1. Tues, March 19, 2019 6:00 pm Concurrent Special Meeting Workshop with City
Council and Planning Commission
2. Tues, April 16, 2019 6:30 pm Special Meeting Workshop Supervisor's Annual
Reports to City Council and Long Term Financial Plan
3. Tues, October 15, 2019 6:30 pm - Special Meeting Workshop- 2020 Budget and
Long Term Financial Plan
5. Comments and suggestions from citizens present on any item not on the agenda.
None
6. Public Hearing
Brian Simmons, City Engineer, presenting the feasibility report for the 2019 Street, Utility, and
Retaining Wall Improvement Projects and requested action on resolutions ordering
improvements and preparations of plans. Simmons summarized the costs related to each of the
project areas and what the proposed assessment would be.
Mayor Salazar opened the Sherwood Drive Public Hearing at 7:12 PM
Chad Penner, 5510 Sherwood Drive, asked to clarify If it was dust watermain, not sewer to be
replaced, and Simmons clarified yes. Penner said he is against resurfacing. Kristie Doshan,
5501 Sherwood Drive, stated she is opposed to resurfacing. Bart Howling 5513 Sherwood
Drive, stated he and his wife are opposed to the resurfacing. Michelle Hanson, 5598 Sherwood
Drive, said she and her husband Carl are opposed to the resurfacing and asked Simmons to
clarify where the retaining wall will be. Hanson asked if the sewer will need to be done at a later
date and Simmons said that can be done with trenching and not resurfacing. Lance & Karla
Frigard, 5580 Sherwood Drive, said they are opposed to resurfacing the road.
Phil Velsor asked if the watermain can be repaired without surfacing. Simmons said there
would be a hole by each residence which would be patchwork. Simmons said, in his opinion,
the pavement is in need of replacement. Salazar asked is the road going to be a mess if the
road is not replaced. Simmons said the road is nearing the end of its lifecycle, will be
deteriorating rapidly and there have been multiple watermain repairs. Hoversten said there is
an issue with the variation in sizes of the watermain in the area (4-6-8 inches) as well as the
need to eliminate the aged cast iron. Simmons said the minimum municipal size is 8 inch.
Karla Frigard said she was only familiar with two watermain breaks and the patching was done
very well. Frigard said she does not see the need to completely replace the road.
Eric Vail, 4848 Island View Drive, asked if it would be an option to just do the watermain and
evaluate the road later. Simmons said that means the City would replace the pavement above
the watermain twice which is why it is proposed to replace the pavement only once after the
repair is done. Mark Jorland, 5549 Sherwood Drive, said he has lived there for 30 years and
the road was redone approximately 20 years ago and the patches look fine so he agrees with
his neighbors that replacement is not needed at this time. Jake Sandstrom, 5525 Sherwood
Drive, asked to clarify that he is hearing options and he is wondering the costs associated with
each of those options.
Simmons noted that the $98,832 was the cost of the street replacement. Sandstrom asked how
the assessment billing works. Simmons said the assessed hearing will take place in the fall of
2020. Residents can pay in full by November 15th of that year and the balance is spread over
15 years at 5% on the property taxes. Sandstrom asked about the process for the watermain
replacement and Simmons said it is replaced at the curbstop near the road. Sandstrom asked
about the retaining wall and Simmons said it has to do with the watermain repairs. Sandstrom
Mound City Council Minutes — January 22, 2019
asked about what happens if the road reconstruction was deferred. Simmons said it could be
stopped, but it the City could opt to go through this process again to replace the pavement.
Salazar asked Sandstrom if he was for or against this replacement and Sandstrom stated that
he abstains. Keith Puck, 5562 Sherwood Drive, said that since the last time the road was
renovated the stormwater pools in his driveway (up to 3.5 — 4 feet wide and 40 feet long) until it
evaporates. Puck asked if that was addressed in the study and Simmons said that it was.
Bergquist asked what is the estimated remaining life of the existing road. Simmons said he did
not know.
Mark Jorland, 5549 Sherwood Drive, said he is sure it was less than 20 years. Hoversten said
that per Hennepin County website, the subdivision /majority of houses went in the early 1970's.
Bergquist asked the crowd is the opposition because of the money or just because it is seen as
not needed and the audience said both.
Chad Penner, 5510 Sherwood, said the road is good and the cracks are expanding because
they were never filled in. Hoversten noted the two written objections and Mayor Salazar noted
that makes 11 of the 12 neighbors objecting to the project.
Mayor Salazar closed the public hearing at 7:42 pm.
Simmons noted that this is similar to Kildare which was petitioned out of a previous project.
Simmons noted that the Council plans to move away from 429 projects in the future and that
should be a consideration. Bergquist said with the level of opposition, he feels it needs another
look. Velsor agreed. Pugh said she drove the street and although she feels it could be
replaced, she agrees with her colleagues to listen to the will of the residents. Bergquist
suggested tabling the motion and discussion ensued. Hoversten suggested rejecting the motion
and redirecting staff to bring back a watermain replacement project only.
MOTION made by Pugh, seconded by Bergquist, to have the staff prepare a new resolution that
is only a watermain replacement project and patching of the street. All voted in favor. Motion
carried.
A. RESOLUTION NO. 19 -XX: RESOLUTION ORDERING IMPROVEMENTS AND
PREPARATION OF PLANS FOR 2019 STREET AND UTILITY IMPROVEMENT
PROJECT - SHERWOOD DRIVE, CITY PROJECT NO. PW -19-01
Mayor Salazar opened the Kildare Road Public Hearing at 7:50 PM
Gina & Russ Nettle, 4658 Kildare Road, said their portion of the road was built in 2006 and was
excluded from the a previous road project and the only deterioration was where they parked the
fire truck during road construction and the cul-de-sac was never fully completed. Nettle does not
think those repairs should be part of the assessment. Simmons said he can't speak to the
utilities installed by the builder, but he confirmed the fire apparatus was parked in that area.
Simmons noted the assessment is based on a 28 -foot wide street only and he thought
neighbors asked for this project. Russ Nettle said over the years they were told the puddle
would be taken care of as part of the pavement management plan. Russ Nettle asked if it is an
option to have the driveways replaced and Simmons said they can put them in touch with the
contractors to have that done privately.
Allison Levily, 4642 Kildare, asked about the 40 -year life since the oldest home is 1999. Levily
said she has been there 2 years and she thinks the only issue is where the fire truck was
placed. Velsor said the 40 -year plan is based on regular maintenance and he does not think
�f�
Mound City Council Minutes — January 22, 2019
that occurred in the past but it is part of the future plans. Levily said the traffic is so limited and
it is in good condition. Jeff Anderson, 4654 Kildare, said he came to the last meeting and it was
stated that the road was built to standards and this is not like Tuxedo so he does not support the
project. Anderson also read an email from a neighbor to the Council which said he agrees that
if it ain't broke, don't fix it.
Velsor asked why it was rejected years ago and Gina Nettle said the neighbors asked for it to be
excluded since everything was new. Simmons stated the project is a reclaim and pave project.
Salazar said 4 neighbors are in opposition and asked if they are OK with the patch of the swale
were the fire truck was located. Nettle said he is fine with that.
Mayor Salazar closed the public hearing at 8:06 pm.
Bergquist asked to clarify that this is just a reclaim. Hoversten and Simmons confirmed.
Simmons said in terms of the street improvement program, the goal is to fix the things that are
hanging out there so that everything is brought to 100% so the maintenance program can be
applied across the board. Velsor asked about the City's participation and whether the City will
need to pay more in the future. Simmons confirmed. Pugh said she believes in the program
across the board and does not believe it is the best choice to opt out but that it is our job to
listen to the residents. Bergquist said it is a tough one. Christine Hewitt, 4849 Island View
Drive, said their portion was concrete and was replaced a few years ago and there are issues
already. Hewitt asked who is to say these projects will be better.
Velsor said it is a tough decision and he would like to get to the point where we are not
discussing street projects and this was already deferred once. Velsor said his assessment was
in the $4,000 range. Salazar said he lives on Island View Drive and it was expensive and
messy but that he is happy with it. Salazar said 4 of the 7.5 residents are against. Salazar said
he agrees with the other Council members that this would allow the City to take ownership and
have a thorough accounting of what has been done, but given the opposition, he is not in favor
of doing the road at this time.
MOTION made by Bergquist, seconded by Pugh, to reject the following resolution. All voted in
favor. Motion carried.
B. RESOLUTION NO. 19 -XX: RESOLUTION ORDERING IMPROVEMENTS AND
PREPARATIONS OF PLANS FOR 2019 STREET AND UTILITY
IMPROVEMENT PROJECT - KILDARE ROAD, CITY PROJECT NO. PW -19-02
Mayor Salazar opened the Windsor Road Public Hearing at 8:21 PM
Paul Wood, 5060 Windsor Road, said the neighborhood was built around 1997 and it seems in
good shape and does not seem to need to be replaced. Derek Flom, 5080 Windsor Road, said
he opposes the road replacement and that it only needs a few patches.
Mayor Salazar closed the public hearing at 8:22 pm.
Velsor said he felt this was in the best shape of the three roads and noted that it was much
more clear his road needed to be done at the time.
Pugh said she drove the road and it appeared in good condition but she couldn't see what the
drainage issues were. Velsor asked how the work will be contracted and Hoversten said the
utility work will be bundled for economies of scale. Bergquist said the last time he was on the
IBM
Mound City Council Minutes — January 22, 2019
road it seemed good so he is against it. Salazar repeated he wished we had a complete
inventory when the City takes ownership, but he isn't in favor of it.
MOTION made by Velsor, seconded by Bergquist, to reject the following resolution. All voted in
favor. Motion carried.
C. RESOLUTION NO. 19 -XX: RESOLUTION ORDERING IMPROVEMENTS AND
PREPARATION OF PLANS FOR 2019 STREET AND UTILITY IMPROVEMENT
PROJECT - WINDSOR ROAD, CITY PROJECT NO. PW -19-03
7. Interviews for vacant City Council seat to fill remainder of term expiring December 31,
2020
City Manager Hoversten described the interview process: candidates will be brought in one at a time to
take questions for up to 20 minutes each, each submitted a written application that has been provided to
each of the Council Members and that members will take turns asking questions of their choosing, which
do not have to be the exact same questions of each candidate. City Manager will give a two -minute
warning when the twenty minutes are up. At the end, a tally sheet will be used to vote for three people
each, with #3 being the favorite choice, 42 second favorite, and 91 third favorite. City Manager will tally
and announce and then the next step will be decided upon.
The candidates were interviewed from the podium in the following order:
A.
Applicant Kim Blievernicht
B.
Applicant Andrew Heal
B.1.
(added) Applicant Paula Larson
C.
Applicant Jake Mazurek
D.
Applicant David Montgomery
E.
Applicant Mark Thostenson
F.
Applicant Eric Vail
A silent ballot was used to determine the top 3 finalists. There was a tie, so a second ballot was
taken to determine the top 3, which were: Blievernicht, Heal, and Larson. All agreed to
continue the vote instead of holding a special meeting on January 29th. Upon the final vote,
Mayor Salazar announced Paula Larson was the top vote getter and will be appointed to fill the
vacant council seat.
8. Information/Miscellaneous
A. Comments/reports from Council members/City Manager:
B. Reports: Fire Dept. - December 2018
C. Minutes: Planning Commission - December 4, 2018
Parks & Open Space Commission - December 13, 2018
D. Correspondence: Notice of Potential Quorum -Feb 25 Volunteer Recognition Event
9. Adjourn
MOTION made by Bergquist, seconded by Pugh, to adjourn at 11:01 p.m. All voted in favor.
Motion carried.
Attest: Catherine Pausche, Clerk
•
Mayor Raymond J. Salazar
MOUND CITY COUNCIL MINUTES
February 12, 2019
The City Council of the City of Mound, Hennepin County, Minnesota, met in regular session on
Tuesday, February 12, 2019 at 7:00 p.m. in the Council Chambers of the Centennial Building.
Members present: Mayor Ray Salazar, Council Member Jeff Bergquist, Sherrie Pugh, Phil
Velsor and Paula Larson
Members absent: None
Others present: City Manager Eric Hoversten, Director of Finance & Admin Services Catherine
Pausche, Community Development Director Sarah Smith, Skip Johnson, Holly Thumann, Dan
Meuwissen, Shelly DeWitt, Mary Ann Hascall, Christopher Matt Amack, Julie Amack, Karl
Skeie, Bark Skeie, Tom Christianson, Nancy Christianson, Mary McCauley and Joe Ravens.
Consent agenda: All items listed under the Consent Agenda are considered to be routine in
nature by the Council. There will be no separate discussion on these items unless a
Councilmember or citizen so requests, in which event it will be removed from the Consent
Agenda and considered in normal sequence.
1. Open meeting
Mayor Salazar called the meeting to order at 7:00 p.m.
2. Pledge of Allegiance
3. Approve agenda, with any amendments
Hoversten offered two amendments for additional pages.
MOTION made by Bergquist, seconded by Pugh, to approve the agenda as amended. All voted
in favor. Motion carried.
4. Oath of Office Paula Larson
5. Consent agenda
MOTION made by Velsor, seconded by Bergquist, to approve the consent agenda. Upon roll
call vote, all voted in favor. Motion carried.
A. Approve payment of claims $235,187.14
B. RESOLUTION NO. 19-12: RESOLUTION EXPRESSING SUPPORT FOR CBDG
FUNDING OF SENIOR COMMUNITY SERVICES
C. Approve 1-4 Day Temporary Liquor Licenses for Our Lady of the Lake Catholic School
Keg & Cork Fundraiser 03-02-19
D. Approve pay request #1 (and final) in the amount of $128,982.41 to Allied Construction
for the 2018 Seal Coat project, PW 18-07
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Mound City Council Minutes — February 12, 2019
E. Approve Appointment of Andrew Heal to Planning Commission for Term Expiring on
December 31, 2020
F. RESOLUTION NO. 19-13: RESOLUTION APPROVING THE RESOTRATION AGREEMENT
RELATING TO HAZARDOUS CONDITIONS AT 5862 BARTLETT BOULEVARD IN THE CITY
G. RESOLUTION NO. 19-14: RESOLUTION APPROVING VARIANCE FOR PROPERTY AT 4869
BARTLETT BOULEVARD
6. Comments and suggestions from citizens present on any item not on the agenda.
None
7. Holly Thumann and Skip Johnson, Island Park Village Hall Preservation Society, providing
information on efforts to date and project status
Skip Johnson, 3018 Island View Drive and Holly Thumann, 5907 Hawthorne Road addressed
the Council. Skip Johnson said a lot of progress has been made and it is time to determine next
steps. Johnson suggested the Council form a committee to work with the group. Johnson said
the application for historical registry was well received and they have basically been assured
approval. Bergquist asked if the reason to apply was for grant funding. Johnson said yes and
that it is especially qualified because the building and the use will not change. Johnson said the
roof has been patched to prevent further deterioration. Johnson said in the past the City made it
clear they were not going to fund this but he said if it does not get saved, there would be a cost
to demolish it and he asked for the Council to consider at least investing that amount. Pugh
complemented the group on their success on the application and that she has some ideas for
funding sources.
Johnson noted the Westonka Historical Society's recent talk on Island Park indicated the Village
Hall is one of the few remaining historical buildings left. Johnson said about 100 people showed
up for the talk, 80% of whom used to live on the island and about 50% who still do. Johnson
asked what conveyance might look like. Hoversten said solutions need to be developed for the
parking issues. Thumann asked why there is a different standard for parking than when it was
originally built. Thumann said they have done a lot of outreach to ensure the neighbors
understand and are on board. Hoversten said he believes there is a solution to parking issues,
but the exercise should be done as well as the other land use issues. Hoversten said the other
piece would be the financial pro -forma to show it can be viable in the long-term but he stated
clearly he thinks this is a good project. Thumann said the group surveyed potential users and
lots of interest was shown, most of which were not large scale. Thumann said the fire capacity
is 105 but that would be the exception. Thumann said the building is in really good shape
based on feedback from inspectors and architects.
Johnson asked if parking issues could cause the project to be rejected and what information is
required in the pro -forma. Hoversten said the group should be proactive in thinking about the
uses and potential issues as well as the ability to improve and sustain the building in the long
term. Johnson said there are no guarantees in 10-20-30 years the building won't end up back in
the hands of the Council. Hoversten said it becomes a problem when it has to be maintained
which is why the structure of the partnership is important to consider. Hoversten said the
Council should see the cost estimates of the improvements and revenue sources to sustain the
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Mound City Council Minutes — February 12, 2019
building. Hoversten shared the to-do list provided previously. Thumann asked if the
expectations/steps have changed. Pugh asked what action was previously taken by the Council
and Hoversten highlighted the points made in a resolution approved in May 2018 but that no
funding was offered. Hoversten recommended not accepting the historical designation without
understanding the long-term costs associated with maintaining those standards. Salazar said
the pro -forma needs to demonstrate the long-term sustainability. Johnson said the ownership
will be a non-profit so property taxes will not apply and acknowledged that the costs associated
with historical designation vs. just fixing up the building are quite different. Hoversten agreed
and said the historical registry requirements could be in conflict with current electric, fire, and
ADA standards. Hoversten cautioned you can get a free $1 only to spend $10 more and some
assumptions will need to be made and the architect/planner will be integral in understanding the
true cost.
Johnson said the building does not need to be reconstructed, it just needs mitigation of mold
and asbestos. Johnson said they can't really seek donations because he is not clear the group
has the support of the Council and he needs a list of go or no-go points. Hoversten said he
can't speak to the Council of what variances will be granted nor should they be predisposed to
the decision without ample analysis. Hoversten said #5 parking and land -use is the next step
and then suggested the group will need to weigh historical vs. preserving the character that
might be easier to comply with new codes. Velsor suggested it should be easy to find out what
standards take precedence based on his professional experience. Thumann said she was told
it would not be an issue. Johnson said they have lots of estimates, including electrical and roof.
Johnson said he has done something similar with the WRA ball fields and Minnetrista did not
want to participate either but they gave them leeway. Sarah Smith said generally parking has to
be met on the property and generally off-street is not considered. Smith said the determination
of whether it is a permitted or conditional use will take place, and that a public building is
evaluated as a commercial property and the building official will be involved.
Bergquist said he knows it can be frustrating and said they are doing a great job. Johnson said
he understands the hesitation by the City as the Jaycees redid the hall in the 1960's and if fell
into disrepair and the Jaycees did not take over the running of the building.
Johnson offered to return more frequently to give the Council updates.
8. Planning Commission Recommendation:
Review and Consideration of Planning Case No. 18-18 (Variance)
Address: 6371 Bay Ridge Road
Applicants: Matt and Julie Amack
Requested Action: Approve Resolution Approving Variance for Property at 6371 Bay
Ridge Road
Sarah Smith explained the variance being requested is for approval for the eaves to
extend/encroach more than two feet into the setback as allowed by City Code Sec. 129-197.
The condition was not discovered until after construction was completed. The property is Zoned
R-1 single family residential. Smith said the original plan -set showed four foot eaves, but it did
not show them relative to the setback and the survey showed the building footprint only. Smith
said there were some scaling errors as well so the issue was not detected during plan review so
now we are faced with correcting the issue or permitting it through a variance. The building
official scaled the eaves at 3 feet 10 inches and there is an additional 22 inches beyond the
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Mound City Council Minutes — February 12, 2019
allowed two -foot allowance. Smith showed a series of elevations and noted the addition and
garage were angled also adding to the complexity of the situation. Smith said the applicants
have been in contact with the builder and architect and that cutting back the eves is not an
option based on the engineering of the tresses and noted there is a full gutter which is viewed
as favorable. Smith summarized comments received at the Planning Commission and noted
that all interested parties have been invited to this meeting. Smith said the Planning
Commission recommended approval consistent with the Staff recommendations subject to
conditions and findings of fact. Smith noted a revised resolution was provided at the start of the
meeting and noted the changes reflect the city's review of the variance. Smith read the
changes aloud.
Bergquist asked if the encroachment is on one or both sides. Smith said just the east side but
noted all eaves on upper floor are four feet.
Matt and Julie Amack thanked the staff and council and asked the council to accept the
Planning Commission's recommendation. Amack noted they invested in professional designs
and that there have been very thorough inspections before, during and after the project, noting
MNSpect signed off on each phase including the framing. Amack added that one year later they
were notified there was an issue and MNSpect, staff and Xcel energy all said they could live
with the condition since it does not impede, encroach or interfere with anyone's access. Amack
said larger eaves have a positive impact on water control and that he takes water issues very
seriously as water flow is an issue in the area. Amack showed pictures of the property before
and after to demonstrate the water flow issues and the beneficial impact of the eaves and
regrading on water control. Amack said the Planning Commission concurred that reducing the
eaves would compound water issues on the neighbor's property.
Bergquist asked how long the addition has been finished and asked if they put heat tape on the
downspouts to keep them open. Amack said no but thanked Bergquist for the suggestion.
Salazar noted the prairie style design calls for the larger overhangs which controls heat in the
summer and controls the water run-off and agree that they are actually helping the neighbor's
situation. Velsor asked why they did not bury the overhead power. Hoversten said likely
because Xcel would have to pay for it.
Tom and Nancy Christianson, 6365 Bay Ridge Road, said they have lived there since 1995 and
abut the addition. Nancy Christianson said they overlook the addition and they passed out their
speaking notes. Christianson said their driveway was damaged by one of the contractors who
brought in tons of asphalt and listed their reasons they do not agree that this variance should be
granted. Velsor asked who does the foundation survey and Smith said the surveyor and it was
inspected prior to back -fill. The Christianson's said they called and made numerous visits to
City Hall to question what was going on, including early in the process and questioned why the
Council has not been made aware until now. Christiansons said driveway contractors are
concerned that the grade at the property line by their driveway was lowered by approximately 2
feet which raises concerns the water will flow under their driveway and cause
deterioration/cracking/washout. Salazar suggested maybe drain the could be an effective
mitigation and the Christiansons raised concern about it being their cost. The Christiansons
said they have considered adding a curb to help direct the water to the drainage easement.
They said an Xcel inspector told them she would have stopped construction if she has seen the
encroachment earlier. Christiansons asked again how this happened and why the proper plans
did not have to be submitted to raise this issue. Velsor said as a builder, he understands their
frustration, but he agrees that the roof can't practically be changed. Velsor said the plans
showed the 4 -foot overhang, but the level of encroachment of the easement was missed in the
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Mound City Council Minutes — February 12, 2019
review. Salazar said he felt the applicants demonstrated that they care about controlling the
water for both their property and the Christianson's property. Salazar said the option is to
strictly enforce the code or recognize the efforts the Amacks went to try to do this responsibly.
Christiansons thanked the Council for being able to say their peace.
Mary McCauley, 6370 Bay Ridge Road, asked if there are products that could be added to
ensure the water flows as intended and the easements are protected and Bergquist said yes.
McCauley asked if the Amacks could be required to add gutter guards or the heating element
Bergquist mentioned as another condition to the variance. Salazar said he was uncertain about
requiring it, but would hope as good neighbors they would consider it. Velsor noted condition #2
requires them to ensure run-off does not adversely affect the neighboring properties.
Bergquist said part of the compromise was adding the gutters and there are many properties in
Mound without gutters where run off is a huge issue. Matt Amack said they are concerned and
want to be a good neighbor. Amack said there is no overlap with the easement and the eave.
Amack showed the relation of the neighbor's property to the concrete slab foundation and that
there is a 10 -foot setback. Amack said they do have gutter guards on both levels and they do
clean them.
Dave Anderson, Attorney from Kennedy and Graven, said he thought it was good that the
Council heard from all concerned parties, but he wanted to emphasize that the standard for
variance approval is practical difficulties and not if someone is being a good neighbor or not.
MOTION by Bergquist, seconded by Velsor, to approve the following resolution. All voted in
favor. Motion carried.
RESOLUTION NO. 19-15: RESOLUTION APPROVING VARIANCE FOR PROPERTY AT
6371 BAY RIDGE ROAD
Changed Tape 9:02 Reopened 9:06
9. _City Engineer Brian Simmons requesting public meeting and discussion regarding
Wellhead Protection Plan update
Simmons said Mound is a public water source provider and is required to create a wellhead
protection plan. Simmons said some amendments to the plan were made in June of 2018 and a
public meeting is required to adopt the changes. Simmons said the graphic in the packet
showed the sensitive areas and noted those areas are predominately within municipal
boundaries. Simmons said a few additional amendments will be forthcoming in 2019 to
complete the process.
10. Mayor Ray Salazar requesting action on a Conflict of Interest Policy
Mayor Salazar said he requested a policy be drafted to specifically Identify what constitutes a
conflict of interest in relation to serving as a City official. Hoversten noted this is also a part of
the FIN -003 Procurement Policy.
MOTION by Pugh, seconded by Larson, to approve the Conflict of Interest Policy. All voted in
favor. Motion carried.
11. Information/Miscellaneous
A. Comments/reports from Council members/City Manager:
Hoversten highlighted the following dates:
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Mound City Council Minutes — February 12, 2019
Feb 18 City Hall offices closed
Feb 25 Volunteer Appreciation Event
March 19 Joint City Council/Planning Commission Workshop
April 16 Department Heads Annual Reports
Bergquist asked for an update on the Depot and tennis court improvements. Hoversten said the
Council authorized some interior improvements and the bids came under the budget and
improvements should begin in late February/early March. Hoversten said tennis court
improvements will be bid part of the utility improvement project. Salazar said the night with
community leaders is tentatively rescheduled for March 30th. Pugh asked how we let residents
know about the services available from the Hennepin County HRR as outlined in the
miscellaneous correspondence part of the packet. Pausche said she will investigate and report
back.
B. Reports: Liquor Store - December 2018, January 2019
C. Minutes: Docks & Commons Commission — Nov 15, 2018
Planning Commission —Jan 15, 2019
D. Correspondence: Hennepin County HRA — Proposed 2019 Activities
12. Adiourn
MOTION made by Bergquist, seconded by Pugh, to adjourn at 9:18 p.m. All voted in favor.
Motion carried.
Attest: Catherine Pausche, Clerk
Mayor Raymond J. Salazar
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CITY OF MOUND
RESOLUTION NO. 19 -
RESOLUTION AMDNEDING RESOLUTION NO. 19-02: RESOLUTION APPOINTING
CITY COUNCIL MEMBERS AS REPRESENTATIVES OF THE CITY COUNCIL TO
COMMISSIONS AND COMMITTEES FOR 2019
BE IT RESOLVED that the City Council of the City of Mound, Minnesota, does hereby
amend Resolution No. 19-02 and appoints the following Council Members as Council
Representatives to the following City Advisory Commissions and Committees for the
year 2019:
Parks and Open Space Commission -- Jeff Bergquist
Docks and Commons Commission — Paula Larson
Planning Commission — Sherrie Pugh
Fire District Committee — Ray Salazar & Jeff Bergquist
Budget and Finance Committee -- Ray Salazar & Jeff Bergquist
Personnel Committee — Ray Salazar & Phil Velsor
Development Committee -- Ray Salazar & Phil Velsor
Orono Police Commission -- Ray Salazar & Jeff Bergquist
Suburban Rate Authority -- Ray Salazar & Jeff Bergquist
Approved by the City Council this 26th day of February, 2019.
Attest: Catherine Pausche, Clerk
W".
Mayor Raymond J. Salazar
M
Real People. Rea( Solutions.
February 21, 2019
Mr. Eric Hoversten, City Manager
City of Mound
2415 Wilshire Boulevard
Mound, MN 55364
2638 Shadow Lane
Suite 200
Chaska, MN 55318-1172
Ph:(952)448-8838
Fax: (952) 448-8805
Bolton-Menk.com
RE: Project related pay requests — 2017 Street & Utility Improvement Project — PW -17-01,
17-02. and 17-03
Dear Mr. Hoversten:
Please find enclosed the following project related pay requests which have been reviewed and
are in accordance with approved proposals for the 2017 Street hnprovement project.
I recommend payment of these requests.
1. Norling's Lake Minnetonka Landscapes, Inc.
Installing Landscaping @ 2193 Fairview Blvd
2017 Street Reconstruction Project — Fairview Blvd., PW -17-01,
$1,731.15 - see attached invoice
Sincerely,
Bolton & Menk, Inc.
Brian D. Simmons, P.E.
City Engineer
Bolton & Menk is an equal
MORLINGvS
Lake Minnetonka Landscapes, Inc.
P. O. Box 361, Spring Park, MN 55384
Phone: 952-471-0255 FAX: 952471-1181
BILL TO
Bolton & Menk
ATTN: Pat Schroepfer
2638 Shadow Lane
Chaska, MN 55318
QUANTITY I DESCRIPTION
Landscape Services - Taxable
RE: 2193 FAIRVIEW LANE, MOUND
10/02/18 LANDSCAPE SERVICES - Cost as quoted
Refer to proposal #07172018SCH
Sales Tax and Stadium Tax and Transit Tax
1.5% finance charge on balances over 30 days.
Please write Job Number on check.
,•
EDATE INVOICE #
11/9/2018 34489
TERMS JOB #
NET 30
8971
RATE
AMOUNT
1,610.001 1,610.00T
7.525%1 121.15
Total $1,731.15
Real People. Real Solutions.
February 21, 2019
Honorable Mayor and Members of the City Council
City of Mound
2415 Wilshire Boulevard
Mound, MN 55364
RE: Engineering Report
Sherwood Drive Watermain Replacement Project
City Project No. PW -19-01
Dear Mayor and Members of the Council:
2638 Shadow Lane
Suite 200
Chaska, MN 55318-1172
Ph: (952) 448-8838
Fax: (952) 448-8805
Bolton-Menk.com
The 2019-2023 Capital Improvement Plan (CIP) included the reconstruction of the cul-de-sacs at
the ends of Windsor, Sherwood, and Kildare, as well as the replacement of the again watermain
along Sherwood Drive. We had previously presented the proposed improvements as they existed
in the Capitol Improvement plan, and as a result of the public hearings on January 22, 2019, we
were directed to remove the assessment and associated pavement reconstruction from the
project.
Due to the critical nature of the aging watermain, we were asked to present an alternative project
that would solve the watermain issue without involving assessments for the neighborhood.
BACKGROUND
The City of Mound's existing water distribution system includes many pipes that are made from
cast iron materials and date back to the original installation of the system in the 1960's. Some of
these pipes have reached the end of their usable life and are prone to breakage and rupture.
Further evidence of the poor condition of this pipe was demonstrated with recent construction
projects working near this main. There also still exists within Mound's system several 4 -inch
diameter mains, which do not meet the current municipal standard for city water mains, and we
are prioritizing replacing these mains with upsized ones to prevent future issues.
We had previously deferred reconstructing or rehabilitating the watermain within Sherwood
Drive until such a time as the pavement was scheduled for reconstruction, as the CIP is
deliberately structured as such.
H:\MOUN\017117633\2_Preliminary\C_Reports\2019-02-21 Letter Report to Council Sherwood WMN.docx
Bolton & Menk is an equal opportunity employer.
2
PROPOSED PROJECT
The improvements are proposed from the intersection of Commerce Boulevard at Sherwood
Lane and terminating at the connection to the newer ductile iron watermain at the end of
Sherwood Drive. The proposed project will replace the existing 4 -inch watermain, valving,
hydrants and reconnect water services. The proposed project is also planned to be constructed
using trenchless methods, so as to leave a much of the existing pavement in place.
ESTIMATED COSTS
The proposed project is feasible from a technical standpoint. In addition, the project is necessary
to provide drinking water as free as possible from maintenance, interruptions in service and
provide adequate fire flows. The proposed improvements represent cost effective means for
doing so. The following cost summary indicates the anticipated costs.
Pipe Burst: Estimated Cost Summary:
SUBTOTAL CONSTRUCTION COST $184,568
10% CONTINGENCIES $18,467
TOTAL CONSTRUCTION COST $203,025
25% INDIRECT COSTS $50,756
TOTAL PROJECT COSTS $253,781
Itemized cost estimates are also attached.
The allowance for indirect project costs includes, but is not limited to, engineering, surveying,
geotechnical, administrative, fiscal and legal costs. Easement acquisition costs, if required, are
not included. Funding for the proposed watermain improvements will be from the utility bond
sale, with repayment through the Water Fund.
If approved, the proposed project schedule is to open bids and award the project in April.
Construction is anticipated to commence in June with substantial completion in October.
H:\MOUN\Cl7ll-633\2-Preliminary\C-Reports\2019-02-21-Letter Report to Council Sherwood WMN.doc.*:
Botton & Menk is an equal opportunity emptoyen
RECOMMENDATION:
We request that the Council accept this Engineering Report and approve the attached
Resolution authorizing the preparation of plans and specifications for the Sherwood Drive
Watermain Replacement Project.
Sincerely,
Bolton & Menk, Inc.
Brian D. Simmons, P.E.
City Engineer
H:\MOUN\C17ll7633\2_Preliminary\C-Reports\2019-02-21_Letter Report to Council Sherwood WMN.docx
Bolton & Menk is an equal opportunity employer.
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CITY OF MOUND
RESOLUTION NO. 19 --
RESOLUTION RECEIVING REVISED ENGINEERING REPORT,
ORDERING IMPROVEMENT AND PREPARATION OF PLANS FOR
SHERWOOD DRIVE WATERMAIN REPLACEMENT PROJECT
CITY PROJECT NO. PW -19-01
WHEREAS, pursuant to a Resolution 18-122 adopted by the Council on November 13, 2018, a report
has been prepared by Bolton & Menk, Inc. with reference to the proposed improvement of: Sherwood
Drive from Commerce Boulevard to its termini, hereafter known as the 2019 Street and Utility
Improvement Project — Sherwood Drive, and this report was received by the City Council on the 11tH
day of December 2018, and
WHEREAS, ten days' mailed notice and two weeks' published notice of the hearing was given, and the
hearing was held thereon on the 22nd day of January 2019, at which all persons desiring to be heard
were given an opportunity to be heard thereon ; and
WHEREAS, following the public improvement hearing, the Council directed staff to revise the Feasibility
Study to an engineering report, and remove the Statute 429 Components from the project, and adjust
the scope of the project to be a watermain replacement project, rather than a Street & Utility Project;
and
WHEREAS, on the 26th of February, pursuant to Council direction, the engineering report was
presented, detailing the revised costs and scope of the proposed project, hereafter known as the
Sherwood Drive Watermain Replacement Project; and
NOW, THEREFORE BE IT RESOLVED by the City Council of the City of Mound,
1. The Sherwood Drive Watermain Replacement Project is found to be necessary, cost-effective,
and feasible as detailed in the Engineering Report.
2. To receive this engineering report, to order preparation of plans and specifications, and to order
advertisement for bids for the Sherwood Drive Watermain Replacement Project.
Adopted by the City Council this 26th day of February 2019.
Attest: Catherine Pausche, City Clerk
Mayor Ray Salazar
1
-442-
Ilk
Real People. Real Solutions.
February 21, 2019
Honorable Mayor and Members of the City Council
City of Mound
2415 Wilshire Boulevard
Mound, MN 55364
RE: Engineering Report
Commerce Boulevard Watermain Improvements
City Project No. PW -19-04
Dear Mayor and Members of the Council:
2638 Shadow Lane
Suite 200
Chaska, MN 55318-1172
Ph: (952) 448-8838
Fax: (952) 448-8805
Bolton-Menk.com
The 2019-2023 Capital Improvement Plan (CIP) includes the replacement of aging watermain that
is prone to breakage and rupture along Commerce Boulevard from Sherwood Drive to Three
Points Boulevard. This work is scheduled to be done prior to Hennepin County making roadway
improvements, scheduled for the 2020 construction season or soon after.
By Council Resolution adopted at the September 25, 2018 meeting, an engineering Feasibility
Report was ordered to determine in a preliminary manner, the feasibility of reconstructing the
Commerce Boulevard watermain and accompanying surface restoration.
BACKGROUND
The City of Mound's existing water distribution system includes many pipes that are made from
cast iron materials and date back to the original installation of the system in the 1960's. Some of
these pipes have reached the end of their usable life and are prone to breakage and rupture.
Further evidence of the poor condition of this pipe was demonstrated with recent construction
projects working near this main. In one instance the main broke three times after a new
connection was made for the Harrison Bay Senior Living Development.
Hennepin County staff have indicated that Commerce Boulevard (designated as County Road 110
from Bartlett Boulevard to the north City limits) is scheduled to be milled and overlaid within the
next few years. Once Hennepin County performs this pavement rehabilitation, there will be a
moratorium period on any voluntary construction projects to replace underlying utilities, with
the exception of emergency repairs. Based on the large number of breaks that have occurred on
this section and input from City Staff, we have proceeded with planning projects so that the cast
H:\MOUN\C17117634\2_Preliminary\C-Reports\2019-02-21_Letter Report to Council Commerce WM.docs
Bolton & Menk is an equal opportunity en
iron watermain under Commerce Boulevard is complete by the time Hennepin County
rehabilitates the roadway.
PROPOSED PROJECT
The improvements are proposed from the intersection of Commerce Boulevard at Sherwood
Lane and terminating at the intersection of Three Points Boulevard. The proposed project will
replace the existing 10" watermain, valving, hydrants and reconnect water services.
The following options will be bid as alternates to achieve the most cost effective replacement:
• Option 1: pipe burst the existing watermain. This method requires digging at each water
service, but this method could still be cheaper due to the high cost of lining.
• Option 2: line the existing watermain using cured in place pipe. This method eliminates
the need to dig at each water service, while only resulting in slightly reduced pipe
capacity.
Another trenchless option that could be considered is directional drilling, but this has been ruled
out because it typically requires installing the main deeper than is typical with industry standards
to avoid damaging existing infrastructure still in use. The lining and pipe bursting options utilize
the existing pipe alignment and profile, which has far less risk of conflicts with other
infrastructure.
ESTIMATED COSTS
The proposed project is feasible from a technical standpoint. In addition, the project is necessary
to provide drinking water as free as possible from maintenance, interruptions in service and
provide adequate fire flows. The proposed improvements represent cost effective means for
doing so. The following cost summaries indicate the range of anticipated costs for each option.
Option 1— Pipe Burst: Estimated Cost Summary:
SUBTOTAL CONSTRUCTION COST
$369,129
10% CONTINGENCIES
$36,912
TOTAL CONSTRUCTION COST
$406,042
25% INDIRECT COSTS
$101,511
TOTAL PROJECT COSTS
$507,553
Option 2 — Lining: Estimated Cost Summary:
SUBTOTAL CONSTRUCTION COST
$386,981
10% CONTINGENCIES
$38,698
TOTAL CONSTRUCTION COST
$425,679
25% INDIRECT COSTS
$106,420
TOTAL PROJECT COSTS
$532,099
N:\MOUN\C17117634\:_Preliminary\C_Reports\2019-02-21 Letter Report to Council_Commerce WM.docx
Bolton & Menk is an equal opportunity en
Itemized cost estimates are also attached.
The allowance for indirect project costs includes, but is not limited to, engineering, surveying,
geotechnical, administrative, fiscal and legal costs. Easement acquisition costs, if required, are
not included. Funding for the proposed watermain improvements will be from the utility bond
sale, with repayment through the Water Fund.
If approved, the proposed project schedule is to open bids and award the project in April.
Construction is anticipated to commence in June with substantial completion in October.
CONCLUSION
Because the two methods have similar amounts of aboveground disturbance, and are close in
price to one another, we propose bidding the proposed project with BOTH METHODS as
alternatives and allow the market to guide us in deciding which method is more financially
responsible.
We request that the Council accept this Engineering Report and approve the attached
Resolution authorizing the preparation of plans and specifications for the Commerce Boulevard
Watermain Improvements Project.
Sincerely,
Bolton & Menk, Inc.
Brian D. Simmons, P.E.
City Engineer
H;\MOUN\017117634\2_Preliminary\C_Reports\2014-02-21 Letter Report to Council -Commerce WKdoc
Bolton & Menk is an
PRELIMINARY PROJECT COST ESTIMATE
COMMERCE WATERMAIN IMPROVEMENTS
CITY OF MOUND
BMI PROJECT NO. C17.117634
COMMERCE WATERMAIN (PIPE BURST)
Ur I Iviv i
1
REMOVE WATERMAIN PIPE
LIN FT
80
$11.00
$880.00
2
TEMPORARY TRENCH RESTORATION
SQYD
498
$8.00
$3,986.67
3
TEMPORARY WATER SERVICE
EACH
13
$1,000.00
$13,000.00
4
101, PIPE BURST WATERMAIN
LIN FT
1524
$93.00
$141,732.00
5
6" WATERMAIN DIP - CL 52
LIN FT
80
$70.00
$5,600.00
6
6" GATE VALVE AND BOX
EACH
4
$2,260.00
$9,040.00
7
10" CUT -IN GATE VALVE AND BOX
EACH
2
$4,500.00
$9,000.00
8
1" CURB STOP & BOX
EACH
1
$526.00
$526.00
9
1" CORPORATION STOP
EACH
13
$567.00
$7,371.00
10
1" TYPE K COPPER PIPE
LIN FT
40
$28.00
$1,120.00
11
1HYDRANT
EACH
3
$5,800.00
$17,400.00
CONNECT TO EXISTING WATERMAIN
EACH
5
$6,730.00
$33,650.00
CONNECT TO EXISTING WATER SERVICE
EACH
1
$1,403.00
$1,403.00
WATER SERVICE LID COVER
EACH
1
$219.00
$219.00
WATERMAIN FITTINGS
POUNDS
500
$7.00
$3,500.00
F20
4" INSULATION
SQYD
10
$50.00
$500.00
B618 CURB & GUTTER
LIN FT
75
$45.00
$3,375.00
4" CONCRETE WALK
SQ FT
450
$10.00
$4,500.00
STREET RESTORATION PATCHWORK (COUNTY)
SQYD
498
$104.00
$51,826.67
TRAFFIC CONTROL
LS
1
$40,000.00
$40,000.00
21
STREET MARKINGS
LS
1
$2,500.00
$2,500.00
MOBILIZATION (5%)
LS
1
$18,000.00
r`— awn n7
JUL5 1 U I HL k-UP13 1 RLA- I IU Iy. .1J—,-
10% CONTINGENCIES: $36,912.93
SUBTOTAL CONSTRUCTION WITH CONTINGENCY: $406,042.27
25% INDIRECT COSTS: $101,510.57
TOTAL WATERMAIN (PIPE BURST) PROJECT COSTS: $507,552.83
-446-
PRELIMINARY PROJECT COST ESTIMATE
COMMERCE WATERMAIN IMPROVEMENTS
CITY OF MOUND
BMI PROJECT NO. C17.117634
COMMERCE WATERMAIN (LINING)
yr i iviv �
•
1
REMOVE WATERMAIN PIPE
LIN FT
-YD
80
$11.00
$880.00
2
TEMPORARYTRENCH RESTORATION
---SQ
177
$8.00
$1,418.67
3
TEMPORARY WATER SERVICE
EACH
13
$1,000.00
$13,000.00
4
10" WATERMAIN CLEANING
LIN FT
1524
$20.00
$30,480.00
10" WATERMAIN LINING
LIN FT
1524
$130.00
$198,120.00
6
6" WATERMAIN DIP - CL 52
LIN FT
80
$70.00
$5,600.00
7
P95
6" GATE VALVE AND BOX
EACH
3
$2,260.00
$6,780.00
8
1" CURB STOP & BOX
EACH
1
$526.00
$526.00
1" CORPORATION STOP
EACH
1
$567.00
$567.00
10
1" TYPE K COPPER PIPE
LIN FT
40
$28.00
$1,120.00
11
HYDRANT
EACH
3
$5,800.00
$17,400.00
12
CONNECT TO EXISTING WATERMAIN
EACH
5
$6,730.00
$33,650.00
13
CONNECT TO EXISTING WATER SERVICE
EACH
1
$1,403.00
$1,403.00
14
IWATER SERVICE LID COVER
EACH
1
$219.00
$219.00
15
WATERMAIN FITTINGS
POUNDS
500
$7.00
$3,500.00
16
4" INSULATION
SQYD
10
$50.00
$500.00
17
8618 CURB & GUTTER
LIN FT
75
$45.00
$3,375.00
18
4" CONCRETE WALK
SQ FT
450
$10.00
$4,500.00
19
STREET RESTORATION PATCHWORK (COUNTY)
SQYD
177
$104.00
$18,442.67
20
TRAFFIC CONTROL
LS
1
$25,000.00
$25,000.00
21
STREET MARKINGS
LS
1
$2,500.00
$2,500.00
MOBILIZATION (5%)
LS 1
r�nl.
$18,000.00
C�4G �4'i 22
JVDI V 1,AL l.V 1YJ 11\V\.I .+"�'•-"'
10% CONTINGENCIES: $38,698.13
SUBTOTAL CONSTRUCTION WITH CONTINGENCY: $425,679.47
25% INDIRECT COSTS: $106,419.87
TOTAL WATERMAIN (LINING) PROJECT COSTS: $532,099.33
-447-
COMMERCE BLVD WATERMAIN IMPROVEMENTS Figure #1: WATERMAINBOLTON
CITY OF MOUND, MINNESOTA FEBRUARY 2019
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CITY OF MOUND
RESOLUTION NO. 19%_
RESOLUTION RECEIVING ENGINEERING REPORT,
ORDERING IMPROVEMENT AND PREPARATION OF PLANS FOR
COMMERCE WATERMAIN IMPROVEMENTS
CITY PROJECT NO. PW -19-04
WHEREAS, pursuant to a direction from Staff, a report has been prepared by Bolton & Menk, Inc. with
reference to the proposed improvement of: Commerce Watermain Improvements from Three Points
Boulevard to Sherwood Drive, and this report was received by the City Council on the 26th day of
February 2019; and
WHEREAS, on the 26th of February, pursuant to Council direction, the engineering report was
presented, detailing the costs and scope of the proposed project; and
NOW, THEREFORE BE IT RESOLVED by the City Council of the City of Mound,
1. The Commerce Watermain Improvements Project is found to be necessary, cost-effective, and
feasible as detailed in the Engineering Report.
2. To receive this engineering report, to order preparation of plans and specifications, and to order
advertisement for bids for the Commerce Watermain Improvements Project.
Adopted by the City Council this 26th day of February 2019.
Attest: Catherine Pausche, City Clerk
Mayor Ray Salazar
1
- 457 -
Real People. Real Solutions.
February 21, 2019
Honorable Mayor and Members of the City Council
City of Mound
2415 Wilshire Boulevard
Mound, MN 55364
RE: Engineering Report
2019 Forcemain Improvements
City Project No. PW -19-05
Dear Mayor and Members of the Council:
2638 Shadow Lane
Suite 200
Chaska, MN 55318-1172
Ph: (952) 448-8838
Fax: (952) 448-8805
Bolton-Menk.com
By Council Resolution adopted at the October 23, 2018 meeting to prepare a report on the
estimated cost and feasibility of disconnecting and rerouting the forcemains that connect to the
shared forcemain on Shoreline Drive, owned by the Met Council, this report has been prepared.
The 2019-2023 Capital Improvement Plan (CIP) was revised to include the reconstruction of
forcemains instead of the reconstruction of one sanitary sewer lift station.
BACKGROUND
The City of Mound has three lift station service areas on the East side of town that connect to a
MCES owned forcemain that also conveys flows from the City of Spring Park. Both the City and
MCES forcemains are aging and subject to failure. When any of the forcemains fail, Mound
personnel must work with Spring Park and MCES staff to control the situation.
A recent break made the issues more apparent and have prompted the study to replace or
reroute the City of Mound forcemains ahead of the schedule to replace one lift station. The lift
station replacements began in 2007 and a total of 21 of 30 lift stations have been replaced or
upgraded. The remaining lift stations are lower risk than the proposed forcemain repair and
therefore, can be delayed.
PROPOSED PROJECT
The attached Figure No. 1 indicates several proposed options on forcemain replacement.
1. Option 1 consists of rerouting the forcemain on Fernside Lane to travel along Woodridge
Lane and discharge on Chateau Lane, while also rerouting Lift Station D4 forcemain to
Mound gravity
H:\MOUN\Cl7ll7635\2-Preliminary\C_Reports\2019-02-21_Letter Report to Council_Forcemain.docx
Bolton & Menk is an equat opportuni
2
2. Option 2 consists of rerouting the forcemain on Fernside Lane to travel along Shoreline
Drive parallel to the MCES forcemain and discharge at the MCES discharge manhole at
Chateau Lane, while also rerouting LS D4 forcemain to Mound gravity
3. Option 3 consists of replacing the forcemain on Fernside Lane in kind and reconnecting
to the MCES forcemain with no change to LS D4 forcemain.
Supplementary details of the options include:
• Option 1 completely disconnects the City of Mound from the MCES forcemain, and all
flow will discharge directly to MCES gravity sewer, hydraulically separating the forcemains
and cutting out the need for coordination between three different agencies when an
emergency arises.
• Option 2 provides the same results as Option 1, but for higher cost because of more
infrastructure and working in the county road. The only positive is Option 2 has a lower
discharge point, which would allow higher pump output.
• Both Option 1 and 2 will require the pumps at Lift Station D4 be replaced with smaller
pumps due to a lower discharge elevation. The pumps at E2 will be able to handle the
higher discharge point by eliminating the need to pump against MCES flows.
• Option 3 is the cheapest solution, but does not hydraulically separate the forcemains or
solve coordination issues between the three agencies.
ESTIMATED COSTS
The proposed project is feasible from a technical standpoint. In addition, the project is necessary
to provide drinking water as free as possible from maintenance, interruptions in service and
provide adequate fire flows. The proposed improvements represent cost effective means for
doing so. The following cost summaries indicate the range of anticipated costs for each option.
Itemized cost estimates are also attached.
The allowance for indirect project costs includes, but is not limited to, engineering, surveying,
geotechnical, administrative, fiscal and legal costs. Easement acquisition costs, if required, are
not included. Funding for the proposed forcemain improvements will be from the utility bond
sale, with repayment through the Sewer Fund.
Ii:\MOUN\C17ll7635\2 Preliminary\C_Reports\2019-02-21_Letter Report to Council Forcemain.docx
Bolton & Menk is an equal opportuni'l.
Estimated
Estimated
Total
Construction
Estimated
City_
Estimated:
Improvement
Cost w
Indirect
Purchased
Project
Contingency
o
Costs (25/1
Equipment
Cost
Cost
Option 1: Reroute Fernside FM
to Woodridge
$184,235
$46,059
$15,000
$245,294
Options 2: Reroute Fernside
FM to Parallel on Shoreline
$270,527
$67,632
$15,000
$353,159
Option 3: Replace Fernside FM
Only
$121,912
$30,478
$0
$152,390
Itemized cost estimates are also attached.
The allowance for indirect project costs includes, but is not limited to, engineering, surveying,
geotechnical, administrative, fiscal and legal costs. Easement acquisition costs, if required, are
not included. Funding for the proposed forcemain improvements will be from the utility bond
sale, with repayment through the Sewer Fund.
Ii:\MOUN\C17ll7635\2 Preliminary\C_Reports\2019-02-21_Letter Report to Council Forcemain.docx
Bolton & Menk is an equal opportuni'l.
3
RECOMMENDATIONS
After reviewing all of the available options and outcomes, it is our recommendation that the
Council authorize Option 1 to disconnect all Mound forcemains from the MCES forcemain.
If approved, the proposed project schedule is to open bids and award the project in April.
Construction is anticipated to commence in June with substantial completion in October.
We request that the Council accept this Engineering Report and approve the attached
Resolution authorizing the preparation of plans and specifications for the 2019 Forcemain
Improvements Project.
Sincerely,
Bolton & Menk, Inc.
A .1
Brian D. Simmons, P.E.
City Engineer
H:\MOUN\C17117635\2_Preliminary\C_Reports\2019-02-21_Letter Report to Council Forcemain.docx
Bolton & Menk is an equal opportuni
PRELIMINARY PROJECT COST ESTIMATE
2019 FORCEMAIN IMPROVEMENTS
CITY OF MOUND
BMI PROJECT NO. C17.117635
OPTION 1
u��mm�Cc
ncnvv I L rums,.+.. .limilill
1 6" FORCEMAIN (DIRECTIONAL DRILL)
LF
1056
$60.00
$63,360.00
2
CONNECTTO EXISTING FORCEMAIN
EACH
1
$5,240.00
$5,240.00
3
CONNECT TO EXISTING MH
EACH
1
$5,560.00
$5,560.00
4
ABANDON FORCEMAIN
LF
638
$12.50
$7,975.00
5
ABANDOM FORCEMAIN MH
EACH
1
$2,400.00
$2,400.00
6
COUNTY ROAD PATCH
SY
12
$104.00
$1,248.00
7
STREET RESTORATION PATCHWORK (CITY)
SY
267
$71.00
$18,933.33
8
TRAFFIC CONTROL (CITY STREETS) + ABANDON FM
LS
1
$5,000.00
$5,000.00
9
FORCEMAIN FITTINGS
LBS
200
$10.001
$2,000.00
MOBILIZATION (5%)
1
$5,585.82
.�� — — � r
JVV V I/'161.V 1VJ1
-
10% CONTINGENCIES
$11,730.22
SUBTOTAL CONSTRUCTION COSTS PLUS CONTINGENCIES
$129,032.37
25% INDIRECT COSTS
$32,258.09
TOTAL PROJECT COSTS
$161,290.46
DCOni ITV I ICT CTATinN nA FnRCFMAIN
JUb IU IALt-LNJ1MUk-1IVIV l,VJiJ .�JV,1VY.1/
10% CONTINGENCIES $5,018.42
SUBTOTAL CONSTRUCTION COSTS PLUS CONTINGENCIES $55,202.58
25% INDIRECT COSTS $13,800.65
EQUIPMENT COSTS $15,000.00
TOTAL PROJECT COSTS $84,003.23
TOTAL SANITARY SEWER PROJECT COSTS OPTION 1 $245,293.69
-461 -
PRELIMINARY PROJECT COST ESTIMATE
2019 FORCEMAIN IMPROVEMENTS
CITY OF MOUND
BMI PROJECT NO. C17.117635
OPTION 2
SEPARATE FERNSIDE FORCEMAIN FROM MCES ON SHORELINE
FORCEMAIN (DIRECTIONAL DRILL)
LF
1514
$60.00
•6° $90,840.00
713
CONNECT TO EXISTING FORCEMAIN
EACH
1
$5,240.00
$5,240.00
$5,560.00
CONNECT TO EXISTING SAN MH
EACH
1
$5,560.00
$5,560.00
4
FORCEMAIN VALVE MANHOLE
EACH
1
$15,000.00
$15,000.00
5
jAIR RELEASE MANHOLE
EACH
1
$12,000.00
$12,000.00
6
ABANDON FORCEMAIN
LF
638
$1250
$7,975.00
7
ABANDON MANHOLE
EACH
1
$2,400.00
$2,400.00
8
STREET RESTORATION PATCHWORK (COUNTY)
SY 1
120
$104.00
$12,480.00
9
STREET RESTORATION PATCHWORK (CITY)
SY
267
$71.00
$18,933.33
10
TRAFFIC CONTROL (COUNTY ROAD)
LS
1
$15,000.00
$15,000.00
11
IFORCEMAIN FITTINGS
LBS
100
$10.00
$1,000.00
MOBILIZATION (5%)
$9,321.42
SUB I U I AL GUNS I RUC I ION C.OS I S
10% CONTINGENCIES
SUBTOTAL CONSTRUCTION COSTS PLUS CONTINGENCIES
25% INDIRECT COSTS
TOTAL PROJECT COSTS
DCDni ITC 1 ICT QTATI(1N nA MRCTMAIN
aly�,l47.l�
$19,574.98
$215,324.73
$53,831.18
$269,155.91
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1
FORCEMAIN IN CASING
LF
80
$200.00
$16,000.00
2
CONNECT TO EXISTING SAN MH
EACH
1
$5,560.00
$5,560.00
3
CONNECT TO EXISTING FM
EACH
1
$5,240.00
$5,240.00
4
JABANDON FORCEMAIN
LF 1
60
$12.50
$750.00
5
ISTREET RESTORATION PATCHWORK (COUNTY)
SY
89
$104.00
$9,244.44
6
TRAFFIC CONTROL (COUNTY ROAD)
LS
1
$10,000.00
$10,000.00
7
FORCEMAIN FITTINGS
LBS
100
$10.00
$1,000.00
MOBILIZATION (5%)
$2,389'72
hr wnA 4�
SUB U I AL CONS I RUC I ION COS I S
10% CONTINGENCIES
SUBTOTAL CONSTRUCTION COSTS PLUS CONTINGENCIES
25% INDIRECT COSTS
EQUIPMENT COSTS
TOTAL PROJECT COSTS
TOTAL SANITARY SEWER PROJECT COSTS OPTION 2
-462-
JJU,lb4.1!
$5,018.42
$55,202.58
$13,800.65
$15,000.00
$84,003.23
$353,159.14
PRELIMINARY PROJECT COST ESTIMATE
2019 FORCEMAIN IMPROVEMENTS
CITY OF MOUND
BMI PROJECT NO. C17.117635
OPTION 3
tern rftAAAi ncm Af CAA CPIT
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•
1 4" FORCEMAIN (DIRECTIONAL DRILL)
LF
638
$40.00
$25,520.00
2
CONNECT TO EXISTING FORCEMAIN
EACH
2
$5,240.00
$10,480.00
3
FORCEMAIN VALVE MANHOLE
EACH
1
$15,000.00
$15,000.00
4
AIR RELEASE MANHOLE
EACH
1
$12,000.00
$12,000.00
5
ABANDON FORCEMAIN
LF
638
$12.50
$7,975.00
6
ABANDON MANHOLE
EACH
1
$2,400.00
$2,400.00
7
STREET RESTORATION PATCHWORK (COUNTY)
SY
40
$104.00
$4,160.00
8
STREET RESTORATION PATCHWORK (CITY)
SY
267
$73.00
$19,466.67
9
TRAFFIC CONTROL (COUNTY ROAD)
LS
1
$8,000.00
$8,000.00
10
FORCEMAIN FITTINGS
LBS
55
$10.00
$550.00
MOBILIZATION (5%)
$5,277.58
t A olm Ir
SUb I U I AL l.U143 1 RUQ 1 IUiy i -UJ I J
10% CONTINGENCIES
SUBTOTAL CONSTRUCTION COSTS PLUS CONTINGENCIES
25% INDIRECT COSTS
TOTAL SANITARY SEWER PROJECT COSTS OPTION 3
-463-
$11,082.93
$121,912.18
$30,478.04
$152,390.22
CITY OF MOUND MINNESOTA
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CITY OF MOUND
RESOLUTION NO. 19 -
RESOLUTION RECEIVING ENGINEERING REPORT,
ORDERING IMPROVEMENT AND PREPARATION OF PLANS FOR
2019 FORCEMAIN IMPROVEMENTS
CITY PROJECT NO. PW -19-05
WHEREAS, resolution No. 18-106, ordering the preparation of report on lift station improvement project
for 2019 was adopted by the City Council the 25' day of September 2018; and
WHEREAS, the Capital Improvement Plan (CIP), 2019-2023, has reprioritized the forcemain
improvement to occur in 2019 and shift all lift station replacements back one year due to staff
recommendation; and
WHEREAS, on the 26th of February, pursuant to Council direction, the engineering report was
presented, detailing the costs and scope of the proposed project; and
NOW, THEREFORE BE IT RESOLVED by the City Council of the City of Mound,
1. The 2019 Forcemain Improvements Project is found to be necessary, cost-effective, and
feasible as detailed in the Engineering Report.
2. To receive this engineering report, to order preparation of plans and specifications, and to order
advertisement for bids for the 2019 Forcemain Improvements Project.
Adopted by the City Council this 26th day of February 2019.
Mayor Ray Salazar
Attest: Catherine Pausche, City Clerk
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Date: February 20, 2019
To: Mayor and City Council
From: Catherine Pausche, Director of Finance & Admin Services
Subject: Westonka Historical Society Lease of Centennial Building
The Westonka Historical Society (WHS) lease agreement expires on April 30, 2019 unless
extended by both parties. The WHS has occupied space in the Centennial Building since April,
2013, just after City Hall was relocated to the Public Safety Building. Because the area is zoned
residential, the city can only lease to quasi -governmental and non-profit entities, which restricts
our pool of available lessees. The current occupants pay a portion of the operating costs of the
building. The WHS has requested to occupy the remaining space on Level 5 (735 SF) at no
additional charge. The impact of this change is as follows:
The goal of setting the lease amounts has been to recover a reasonable amount of costs to operate
and maintain the building. The City of Mound also provides many other services not reflected in
the operating budget including grounds upkeep, snow removal and capital costs for building
improvements. The WHS makes appeals to the other cities it serves, but I believe Spring Park is
the only city making contributions. Minnesota State Statue 471.93 authorizes cities to
appropriate money for the purpose of collecting, preserving, storing, housing, printing,
publishing, distributing and exhibiting data and material pertaining to the history of the city.
The last lease addendum increased the monthly lease amount by I% per year for three years.
Using the current lease rates WHS is paying, the 735 SF would cost an additional
$567/month or $6,804/year (current lease agreement is attached). The council is asked to
provide guidance on whether the council would approve the use of the additional 735
SF at no charge and/or what the inflation factor should be for the lease amounts for
another 3-5 years.
02-26-19 CC Agenda Item #6 Additional Pages 428.1 - 428.5
Current
Pfoposed
Finished
Storage Total7Rent019
Finished
Storage Total
Rent 201 1LMCD
1.233
604
317
1 233
604
19,317
'NS
1.594
441
.536
2,329
441
19.636
'eCAB
273 ,
-
5 3.600
273
-
3.600
Assessors
437
-
437
-
Total Rented S
3.537
1.045 4.582
4,272
1.045 5.317
SF
6.188
2,389 8,577
6,1'88
2,389 "0.57
�Total
ented
57%
44% 53°l0
fiJ�J
44°a fit°f°
2019 operating Budget
72,100
72.100
2019 Rent )
42,453
42 453
% Cost. Recovery
591°
591%
The goal of setting the lease amounts has been to recover a reasonable amount of costs to operate
and maintain the building. The City of Mound also provides many other services not reflected in
the operating budget including grounds upkeep, snow removal and capital costs for building
improvements. The WHS makes appeals to the other cities it serves, but I believe Spring Park is
the only city making contributions. Minnesota State Statue 471.93 authorizes cities to
appropriate money for the purpose of collecting, preserving, storing, housing, printing,
publishing, distributing and exhibiting data and material pertaining to the history of the city.
The last lease addendum increased the monthly lease amount by I% per year for three years.
Using the current lease rates WHS is paying, the 735 SF would cost an additional
$567/month or $6,804/year (current lease agreement is attached). The council is asked to
provide guidance on whether the council would approve the use of the additional 735
SF at no charge and/or what the inflation factor should be for the lease amounts for
another 3-5 years.
02-26-19 CC Agenda Item #6 Additional Pages 428.1 - 428.5
EXHIBIT A. Centennial Building Leased Space
Level 1 Floor Plan - Lower Level/Garage
Description
Dimensions in Square Ft.
Area
Rent Rate
$6 / sq foot
2A Storage
13.5 x 6
81
LMCD
Break Room
20 x 15.5
310
Cit /CAM
2B Director
15.5 x 13.417
208
LMCD
73
Janitor
Cinder Block Storage
Areas
12 x 11
12 x 7.33
13.33 x 31.67
25 x 12.75
132
88
422
319
Available
WHS
CITY
CITY
Gara e
28.75 x 21
604
MCD + 10% + 2.50/c
Bathroom
8 x 11
88
Cit /CAM
Utility
11.5 x 9.75
n/a
Cit /CAM
2G Open Clerical Area
20.33 x 15.5
315
LMCD
Total
2,036
$ 4,712
Level 2 - LMCD
Description
Dimensions in Square Ft.
Area
Rent Rate
$10/ sq foot
+10% CAM+2.5%
2A Storage
13.5 x 6
81
LMCD
2B Director
15.5 x 13.417
208
LMCD
2C Conference
15.5 x 13.417
208
LMCD
2D Office
11 x 13.33
147
LMCD
2E Office
12.167 x 13.33
162
LMCD
Records Room (no windo
11.5 x 9.75
112
LMCD
2G Open Clerical Area
20.33 x 15.5
315
LMCD
Total
1,233
$ 14,179
02-26-19 CC Agenda Item #6 Additional Pages 428.1 - 428.5
Level 3 - Main Floor
Description
Dimensions in Square Ft.
Area
Op Exp Contrib
$10/ sq foot
3E/3F ASSESSORS
15.33 x 13.5 + 17.33 x 13.25
437
ASSESSOR
3B EntryNVaiting Area
13.583 x 7.66
104
CITY/CAM
3D WeCAB
20,5 x 13.33
273
We CAB $300/mo
3A Mail Area
13.5 x 8
108
CITY/CAM
3C VACANT
13 x 13.5
176
CITY
--7
VHSha�s asked for these three rooms at no charge
5E Breakroom—
Conference Room
18.25 x 13.75
251
CITY
Council Chambers
29.83 x 42.83
1278
CITY
Total
$ 3,600
Level 4-VVestonka Historical Society
Description
Dimensions in Square Ft.
Area
Rent Rate
4A
12.417 x 12.75
158
WHS
5A Tonka Toys
13.33 x 11.5
153
WHS
4C
12,417 x 12.75
158
WHS
5C Vacant
17,833 x 13.583
242
Available
5D Vacant 4
20.33 x 13.417
273
Available
--7
VHSha�s asked for these three rooms at no charge
5E Breakroom—
Level 5 -VUeetonka Historical Sooiety&acant
Description
Dimensions in Square Ft.
Area
Rent Rate
$10/ sq foot
Current Work Out Room
19 x 18,58
353
WHS @ $6/ft
5A Tonka Toys
13.33 x 11.5
153
WHS
5B Tonka Toys
20,33 x 13.33
271
WHS
5C Vacant
17,833 x 13.583
242
Available
5D Vacant 4
20.33 x 13.417
273
Available
--7
VHSha�s asked for these three rooms at no charge
5E Breakroom—
11 x20
220
Available @ $6
02-26-19 CC Agenda Item #6Additional Pages 428.1-42G.5
vt 0 1111 � I
SECOND AMENDMENT TO LEASE AGREEMENT
This Second Amendment to Lease Agreement ("Second Amendment") is made this 26 day of
3ff-zJ , 2016 by and between the Westonka Historical Society, a Minnesota non-profit corporation
(hereinafter "Lessee"), and the City of Mound, a Minnesota municipal corporation (hereinafter
"Lessor").
WITNESSETH:
A. Lessee and Lessor entered into that certain lease dated April 23, 2013 relating to certain portions of
the Centennial Building located at 5341 Maywood Road, Mound, MN 55364 (the "Lease").
B. The Lease was amended on April 19, 2014 to extend the term to April 30, 2019 and to give Lessee
right of first refusal to lease approximately 1,170 square feet of additional space in the Centennial
Building ("Level 4").
C. Lessor's contact info has changed and as such desires to amend the certain provisions of the Lease.
D. Lessee now desires to vacate certain spaces that are leased in exchange for leasing space on Level
4. A breakdown of space leased before and after this amendment is shown on Exhibit A.
NOW, THEREFORE, in consideration of the foregoing, the pal -ties agree as follow:
1. Term of Lease mid Share of Expenses Payable: This Second Amendment shall terminate on
April 30, 2019 unless extended by the mutual consent of the parties. The monthly share of
expenses payment represents Lessee's reasonable contribution to the sharing operating costs of the
Centennial Building with an annual increase of I% starting in 2014, rounded up to the nearest
dollar. If the Lease, as amended by this Second Amendment, is terminated at any time, the monthly
share of expenses payment shall be prorated. Lessee shall remit its monthly share of expenses
payment on the first day of each month in the amount set forth on the following schedule:
02-26-19 CC Agenda Item #6 Additional Pages 428.1 - 428.5
Lease Year
Monthly Share of
Exoenses
Annual Share of
Ex eases
Rate
SF @
for Leased Premises
as shown on Exhibit A
for reference only)__-
$6+ / $10+
Year 1:
May
1,
2013 - April 30, 2014
$
1,215.87-
$
14,590,44U0/1U0
8661940
Year 2:
May
1,
2014 - April 30, 2015
$
1,228.00
$
14,736-00
6.06 / 10.10
866 / 940
Year 3:
May
1,
2015 -.April 30, 2016 -
$
1,240.00
$
14 $50.00
6.12/1020
866/940
Year 4:
May
1,
2016 - April 30, 2017 -
$
1,596.00
$
1-19,152.00-
6.18 / 10.30
441 / 1,594
Year 5:
May
1,
2017 - April 30, 2018
1,612.00
$
19,344,0
6.24 / 10.41
441 /1,594
Year 6:
May 1, 2018 Torii _j(,jp
$
1,628.00 -L
—L§-,31
_19,53§-P�0
�/10.�51441
�/1,594
02-26-19 CC Agenda Item #6 Additional Pages 428.1 - 428.5
2. Notices: Except as otherwise expressly provided in the Lease or this Second Amendment, any notice,
demand, or other communication under the Lease, as amended by the Second Amendment, any related
document by either party to the other shall be sufficiently given or delivered if it is dispatched by
United States Mail or delivered personally to the following addresses: or any other address that the
parties may, from time to time, designate in Writing:
If to the Lessor:
Eric Hoversten
City Manager
City of Mound
2415 Wilshire Boulevard
Mound, MN 55364
If to the Lessee:
Westonka Historical Society
P.O. Box 84
Mound, MN 55304
Attention: President
3. Full Forth and Effect: Except as provided in this Second Amendment, the Lease remains unchanged
and in full force and effect.
IN WITNESS WHEREOF, the Lessor and the Lessee have caused this Second Amendment to
the Lease Agreement to be executed in duplicate in the form and manner sufficient to bind them at la,,,,,
as of the day and year first above written.
Dated: ;� b, J iW , 2016. CITY OF MOUND
Its Mayor
Its City Manager
Dated: 2-(, 2016. WESTONKA HISTORICAL SOCIETY
By:
T'
Its
By:
Its N), Vce, 1
02-26-19 CC Agenda Item #6 Additional Pages 428.1 - 428.5