2019-10-22 CC Agenda PacketPLEASE TURN OFF ALL CELL PHONES & PAGERS IN COUNCIL CHAMBERS.
CITY OF MOUND MISSION STATEMENT: The City of Mound, through teamwork and cooperation, provides at a reasonable cost,
quality services that respond to the needs of all citizens, fostering a safe, attractive and flourishing community.
AGENDA
MOUND CITY COUNCIL
REGULAR MEETING
1. Opening meeting
2. Pledge of Allegiance
3. Approve agenda, with any amendments
TUESDAY, OCT 22, 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.
9
5.
R1
*Consent Agenda
*A. Approve payment of claims
Page
1953-1989
*B. Approve minutes: 10-15-19 Special Meeting Workshop 1990-1993
*C. Approve Pay Request No. 12 and Final to Park Construction in the amount 1994-2021
of $40,869.48 for the 2017 Street, Utility, and Retaining Wall Improvement
Project; PW -17-01,02,03,04
*D. Approve Pay Request No. 1 to Thul Specialty Contracting in the amount of 2022-2024
$72,337.75 for the 2019 Manhole Rehabilitation Project; PW -19-09
*E. Approve Resolution approving Public Lands Permit for Decorative Rock 2025-2039
/Entrance Monument on City Park at Intersection of Arbor Lane and 2027
Edgewater Drive
Comments and suggestions from citizens present on any item not on the agenda.
(Limit to 3 minutes per speaker.)
City Engineer Brian Simmons requesting discussion and action to approve an 2040-2051
engineering study for a 2020 lift station improvements at Avalon Park (Sta. J-1) 2051
Discussion and action to approve changes to be implemented to the 2017/2018 2052-2055
Labor Agreement Between City of Mound and Minnesota Teamsters' Public
and Law Enforcement Employees Union, Local No. 320 for
January 1, 2019 through December 31, 2020
westonka Public Schools
59ozSunnyfield Road E
Minnetrista, MN 55364
www.westo n ka.kl2.m n. us
(952) 491-8000
ECRWSS
POSTAL CUSTOMER
Non -Profit Org.
U.S. Postage
PAID
Permit #32324
Twin Cities, MN
• Find your polling location or print an early voting application on the Minnesota Secretary of State website:
www.sos.state.mn.us
• Eligible voters must be i8 years of age or older on or before Nov. 5, 2019, and must reside in the school
district. Avoter must be registered to vote to be eligible to vote in this election.An unregistered individual
may register to vote at the polling place on Election Day (Nov. 5)
In-person absentee/early voting will be held at the Westonka Educational Service Center, 5goi Sun nyfieId
Road E, Minnetrista, weekdays through Nov. 4 during regular business hours, 8 a.m. t04:30 p.m. Residents may
also vote absentee by mail.
During the last week of absentee voting, Oct. 29 -Nov. 4, absentee voters will be able to vote by "direct ballot,"
meaning that they will be able to feed their ballot into a ballot counterjust as is done on Election Day. Check
the district website for extended voting hours during the last week of absentee voting.
• Also on the ballot, there are four candidates to fill four regular, four-year terms on the Westonka School
Board. Find candidate profiles at www.westonka.kl2.mn.us/referendum
• Voting questions?Visitwww,westonka.kl2.mn.us/referendum or contact Caro) Shukle in the
Superintendent's Office at shuklecgwestonka.ki2.M7.Os or (952) 491-8007.
secure long-term 5operating funldinevy gum
Securing our future
The new levy will provide io years of stable funds needed for growth and continuous improvement. State funding has not
kept up with inflation over the last decade, and unfunded federal and state mandates divert funds from other needed
programming. Westonka makes annual budget reductions to help close this funding gap, however, even with reductions
and enrollment growth, the past two years the district has dipped into its fund reserve to protect class sizes, programs and
student supports.
Using an "emergency fund" to balance the budget
is not sustainable. Furthermore, the enrollment
growth the district has relied on for revenue in
recentyears is projected to level off in 2023• Without
a long-term funding solution, significant reductions
impacting student learning will be required.
Responsible tiered approach
If approved on Nov. 5, the single, io-year levy will
be implemented in two steps and will adjust for
inflation, providing long-term revenue and lessening
the tax impact for residents. Instead of asking for a
larger increase up front, this levy accesses funds
only as they are needed by the district.
If the levy passes, the current levy authority will
increase to $1,446 per pupil for taxes payable 2020
(generating approx. si million in additional revenue)
and to $1,926 for taxes payable 2024 (generating an
additional si million).
stay competitive
Weston ka has the lowest
school property taxes in
Hennepin County
Even with the passage of a bond referendum in
2o16 to build an activity center and performing
arts center on the high school campus, Westonka
Public Schools continues to have the lowest
total school property taxes in Hennepin County.
Westonka has not asked for an increase to its
operating levy in more than ioyears, with the last
increase coming in 2007.
If the new levy is approved in 2o19, Westonka will
still have the lowest school taxes in the county.
Westonka School District No 277
Total School Property Taxes, Payable 2019, on a Home with an Estimated Market Value of $377,000
Sonic,. Ehler.
Ltore tax information available on the Referendum page on the district website.
Westonka Schools Recognized for Excellence
LNH
Westonka is ranked 12th out of 452 Minnesota districts by
School Digger, and all four Westonka schools earned five stars
(highest possible rating)
�+c�+T
BL$IJ
+
HIGH SCHOOLS
Westonka is listed as the No. 16 "Best School District' in Minnesota
by Niche.com, and all four schools have an "A" rating
I)i gr
NATIONAL
2019
U.S. Ne��yy��orld Report ranks Mound Westonka High School as
the 1zt��Bi�S 7High School' in Minnesota
A message from Westonka Superintendent Kevin Borg
Dear Westonka Residents,
We are grateful for local support of Westonka Public Schools, which has
brought positive growth, recognition and success to our students and
community.
On Nov. 5, 2o1g, Westonka residents will be asked to vote on a single ballot
question to revoke the three voter -approved operating levies currently in
place and replace them with a single, to -year levy with a tiered payment
structure. School districts regularly rely on voter -approved operating
funds to help close the gap created by state and federal funding shortages.
Operating levies provide funds for day-to-day operating expenses,
including teacher salaries, transportation, utilities, classroom supplies,
mental health services, and other supports to student learning.
The new levy will provide 10 years of stable funding and will allow Westonka to stay competitive with
the neighboring school districts to which we are regularly compared. We believe strong educational
performance is imperative to retain demand, especially In a state with open enrollment. Westonka
carefully balances costs with a curriculum that challenges each and every student.
As residents know, school taxes within the Westonka School District are the lowest in Hennepin County.
That is forecast to remain the same even with the passage of this levy. This is a notable fact, especially
when compared to the quality of education being delivered to our students. Overall, Westonka students
rank second in the state in math and seventh in the state in reading on 2019 state assessments.
Having top -in-state academics and the lowest taxes in the county doesn't just happen. It takes a
commitment to student success and to being responsible stewards of taxpayer dollars. The Westonka
School Board only brings requests to the community when they feel something is truly needed by the
school district. Westonka's last referendum for an operating levy increase was in 2007.
We work hard eachyearto balance the budgetand make fiscallywise decisions. Despite recent enrollment
growth, for the past two years the district has dipped into its fund reserve to protect class sizes, programs
and student supports. We have reached the point where we either need to Increase funding or make
significant reductions, starting with a projected $750,000 in cuts for the 2020-2021 school year.
Please read on to familiarize yourself with the Nov. 5 referendum, and visit the district website to learn
more. As always, please feel free to contact me directly with any questions, comments or concerns.
Sincerely,
Kevin Borg, Superintendent
(952) 491-8001
borgk@westonka.kl2.mn.us
Learn more: www.westonka.kiz.mn.us/referendum
Prepared and paid for by Westonka Public Schools. This publication is not circy182067ehal f of any candidate or ballot question.
Catherine Pausche
From: Theresa Sunde <tsunde@mediacomcc.com>
Sent: Tuesday, October 15, 2019 445 PM
To: Catherine Panache
Cc: Jodelle Spies
Subject Mediacom Office in Mound
Hi Catherine,
Mediacom will be closing the office located at 2381 Wilshire Blvd, Mound, Minnesota to the public on November
15th. A drop box for payments will remain on site. There is another Mediacom office located at 1670 Lake Drive West,
Chanhassen, Minnesota. Customers will be notified by bill message and there will a sign on the door.
Please note the building is owned by Mediacom and technical staff will remain at the Mound location.
Please let me know if you have any questions or concerns.
Thanks,
Theresa Sunde
Senior Manager, Government Relations
507-837-4878
15042"a Street SEI PO Bos 110
Waseca, MN 56093
*�m
Wits
f ® r
Above email Is for intended recipient Only and may be confidential and Protected by atiomey/client privilege If you are notthe Intended
eciipient, please advise the sender immediately
Unauthorized use or distribution Is prohibited and may be umaystul.
1
2066-
Mound POSC Meeting Minutes January 10, 2019
Smith asked about rates at the Depot. Hoversten suggested that the Commission explore
them in the fall prior to adoption of the fee Schedule for 2020 in Dec by the Council.
9. Adjourn: Motion by Cordie, second by Smith , Motion carried 5-0 The meeting adjourned at
8:50
-2065-
Mound POSC Meeting Minutes January 10, 2019
Hoversten highlighted some of the ongoing inventory improvement actions such as dog -
waste bag dispensers and architectural waste bins. He also discussed the option for creation
of a training/agility off -leash area at Weiland Park.
Smith asked about any outstanding items in the Depot, specifically the heating/air handling
unit. Hoversten indicated that there were outstanding tasks not completed in the
redecoration such as the furnace and window blinds as well as possible appliance upgrades.
This would need to be monitored and addressed in the coming budget years.
Smith asked if there was any indication of increased Depot usage. Hoversten offered that it
was difficult to tell at this early stage.
Mills asked about added the Crescent Park shoreline work to the needs list. Hoversten
offered that we need to identify possible solutions as well as rationalize the return on
investment for this type of effort understanding the limited public usage and request to keep
usage low by proponents.
Cordie asked how much budget would be available. Mills repeated the need to pay for
improvements at eh Swenson tennis courts. Hoversten re -offered the funding strategy for
that improvement is a 2020 bill -to -pay in reimbursing the fund balance used for the
immediate expense. Hoversten explained the overarching strategic budget guidance and the
need to stay within that guidance as best as possible while still reconciling the Swenson
improvement.
Cordie asked about the "pop -out' repairs needed at the skate park. Hoversten offered that
this refers to the more isolated defects in the near-term, but also a need to monitor the
overall condition of the facility to ensure that it remains safe and serviceable. Stehlik asked if
there was any affiliation with a local board -shop in terms of sponsoring activities at the park.
Hoversten indicated that several entities had reached out, but none had formalized any
partnerships. A relationship like this would be beneficial to help prevent some of the
undesirable activities emerging at the facility.
Bergquist asked if the parking lot at the Surfside launch was a County asset, or City.
Hoversten clarified that the City is responsible for the parking lot surface at that location.
Hoversten explain the potential to spread several of the projects across several of the city
improvement fund options that have recently been created.
B. Reports
Bergquist offered comments from the Council and highlighted the success of the Fish Fry as
an event in our community and thanked all the personnel from the Department and Auxiliary
that put that event together.
Cordie asked a question about City contact with Mound Marketplace property managers.
Hoversten shared that the City engagement with the owner regarded repairing the old water
feature wall prior to the Garden Guild volunteer work to plant the area.
-2064-
Mound POSC Meeting Minutes January 10, 2019
Bergquist asked about general financial structure in terms of City funds match or proportion
of total contributed... Lewin offered that this varied but and depends on project scope
outside of the play elements. Millington offered several examples of the cost -share breakout
of other partnership projects that have been completed.
The Commission offered a discussion about the limited parking at Surfside and the need to
scale any improvements there understanding those limitations and not "overbuild" the
facility for its surrounding support. Hoversten offered that this could be balanced
appropriately with the sizing of play elements within any proposed project.
The Commission generally leaned toward a smaller introductory scope that addressed a
single facility and at the conclusion of much discussion on the concept and construct of an
arrangement, it was determined that Staff should move forward with exploring a partnership
to provide assessable and inclusive play, parking, and walkway enhancements at Surfside
Pa rk.
Hoversten described a going forward process that would culminate with proposals for a park
plan and partnership proposal being presented to Council for preliminary approvals. Mills
reinforced the benefits of a Surfside project.
Smith acknowledged the significant efforts of Christine Charlson in getting the conversation
to this point and doing some initial grant -getting to enable improvements. Cordie asked
about the general demographics of the community who might be impacted by these type of
accessibility and inclusive improvements. Millington offered that between 10% and 20%
have some special need, but more detail could be obtained through the School system.
The Commission had further discussion regarding parking limitation at the park
Hoversten asked for direction from the Commission. Instruct staff to work with Paul's Pals to
develop a partnership to examine a Surfside project
MOTION: Motion to explore a working relationship with Paul's Pals to evaluate an inclusive
nature -play facility and Surfside Park and present options for Avon and Highland Park and/or
other parks within the City by Bergquist, seconded by Mills. Motion carried 5-0.
7. 2020 Budget Discussion
Hoversten introduced and recapped packet materials previously presented in support of park
visit work in April/May. Packet includes progress made on previous initiatives to
demonstrate progress in an overall improvement program. Staff recommended priorities
were provided for 2020 budget consideration.
Hoversten talked about the financial structure for the Swenson Park tennis court repairs that
is a forthcoming bill -to -pay and has a significant impact on overall budget capacity for 2020.
-2063-
Mound POSC Meeting Minutes January 10, 2019
dock resources are used to address shoreline armoring based on protecting the dock
resources. Those resources are not available for non -dock shorelines.
Cordie asked if using bio -roll type erosion control materials would work. Hoversten
responded that they would break up quickly and float away.
Stehlik offered that he understood the potential issue and offered more details on softer,
buffer -based solutions. Cordie asked the roll of the Watershed and Conservation Districts.
Hoversten offered that the Watershed had dollars in past years for use in restoring
shorelines, but had suspended that program. The Conservation district does not address any
upland issues (above high water mark).
Mills re -acknowledged importance of understanding the conditions and cause in order to
determine what options may exist to address the problem. Hoversten offered to monitor the
area and work with the Conservation District to consider a no -wake or no -passage buoy at
this location to minimize wave action to the extent possible.
6. Ms Christine Charlson and representatives from Paul's Pals providing discussion on potential
Public -Private partnership to create inclusive, nature -play facility at Surfside Park and other
improvements to parks in Mound.
Ms Charlson brought back recommended improvements to include as additional amenities to
add at Highland park that can be purchased with the $4,000 Healthy Communities
Collaborative grant obtain on behalf of the Commission for inclusive play enhancement. The
prosed amenities include an accessible swing bucket and a set of musical chimes to be
installed in the existing play -box area.
Hoversten asked for clarification on how the dollars are expected to be spent, either
acceptance of a donation of dollars with City purchase of equipment or donation of
completed work by the donating private organization. Charson will get clarification from the
Colaborative.
Ms Charlson and Hoversten introduced Jennifer Lewin of Paul's Pals to discuss their
capabilities and resources to assist in development of park improvements under public-
private partnership for Mound. Ms Lewin gave an overview of their organization, its mission,
and how they typically structure their relationships. Hoversten explained that a private
organization partner is critical in getting access to a number of the larger grant -sources for
playground work because the most prominent players specifically exclude municipalities
from eligibility. Acting as a fiscal agent, Paul's Pals could obtain these dollars on behalf of a
project.
Ms Lewin and Millington offered a multi -facility concept that would replace the full playset at
Highland, relocate that existing newer playset to Avon to resolve the current conditions at
that location and a separate full effort at Surfside. Bergquist offered that the original idea
and sequencing for improvements would start with Avon due to existing conditions and the
need to address it regardless of any outside partnerships or relationships. Lewin and
Millington expressed concern that Avon might be too small and too low of usage for the
project to stand on its own from a desired objectives perspective.
-2062-
PARKS AND OPEN SPACE COMMISSION MEETING MINUTES
June 13, 2019
The Mound Parks and Open Spaces Commission met on Thursday, June 13, 2019, at 7:00 p.m. in the
Council chambers of the Centennial Building.
Present: Chair Travis Mills, Commissioners Linda Cordie, Mark Stehlik, Jody Smith and
Council Representative Jeff Bergquist
Absent: None
Others Present: City Manager and Director of Public Works Eric Hoversten, and Parks Lead
Gavin Ball
Public Present: Christine Charlson, Jennifer Lewin, Dana Millington, Brooks Chandler, Betsy
Copp
1. Call to Order
The meeting was called to order at 7:00 p.m.
2. Roll Call: Mills, Cordie, Smnith, Stehlik, Bergquist
3. Approval of Agenda
Motion by Cordie, Second by Smith, Motion Carried 5-0
4. Approve Parks and Open Spaces Commission Minutes
March 14, 2019: Motion by Bergquist, Second by Stehlik, Motion carried 5-0
May 9, 2019: Smith corrected grading for Belmont Park from 5 out of 10 to actual grade 4
out of 5. Hoversten acknowledged correction already in the minutes as recorded. Motion by
Cordie, Second by Smith, Motion carried 5-0
S. Comments and Suggestions from Citizens Present
Brooks Chandler, Hillside Lane and Betsy Copp, Sparrow Road raised concern regarding the
erosion at the end of the point off Crescent Park due to wave action and high water
conditions. The area is used as a walk-in launch for paddle watercraft and swimming.
Chandler suggested rip -rap solutions to the erosion.
Hoversten provided feedback on the scope and cost of riprap installation at this location and
the need to balance desire for improvement against desire to keep the space less prominent
and preserve its lower usage by the community. Hoversten invited Stehlik to comment on
possible less intense solutions.
Stehlik provided information on softer shoreline protection techniques with plantings, etc to
prevent erosion.
Smith offered that boulders were present at the location. Hoversten emphasized that the
under -blanket is the key to rip -rap performance. He also offered that rip -rap would
significantly change the look and performance of the space. He also offered the changing
recreational uses of the lake — particularly large -wake activities are causing shoreline changes
across the lake, not just this location. When impacting revenue -generating dock locations,
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4. Article 25 Uniforms and Licenses
25.2 Collared shirts provided similarly to jeans service above, or; 4. 7
solid -color logo T-shirts and 4 solid -color logo light -weight sweat
shirt/pull-overs per year as selected in coordination between the
Employer and the Unit, to be laundered, mended, and maintained
solely by the employee. High -visibility T-shirts may be substituted
for solid color logo -T's for the year at the employee's election. A
bargaining unit representative will select and propose garments to
management for approval prior to purchase in accordance with
normal Citv purchasing policies.
25.5 Two (2) high -visibility, heavy -weight fleece hooded logo zip -ups,
one (1) winter jacket (high -visibility logo parka), and one (1) pair
cold -weather bib -overalls (ma be ehafged a* `x a F)4q:R_ F,, 11
Supply) will be provided at initial employment and replaced on an
as -needed basis through employment as neeessafy to &wtwe
hygiene, and appfepfiate appeafffiee. Employees are
required to maintain these items to ensure serviceability and
appropriate appearance. A bargaining unit representative will
select and propose the specific cold -weather garments to be
Purchased by the City for management approval prior to purchase
in accordance with City purchasing policies.
25.8: Size appropriate rain jackets and pants will be provided by the City
and replaced on an as -needed basis in accordance with City
purchasing policies.
5. Article 29 Wages
29.1 A 2.50% wage increase effective January 1, 2917 2019 and a
� 504 3.0% wage increase effective January 1, 2019 2020.
Maintenance Person ' 11 1' 047k41' 019 1/1/2019 1/1/2020
Start 23.45 24.15
After 12 Months 25-39 25.93 26.71
After 24 Months 27.30 27.99
Lead Maintenance Person I" ' 4 O1:7 1 111' 019
Start 29.34 29.03
After 12 Months 29-09 4
END OF CHANGES
2
-2055-
28.68
1/1/2019
29.76
30.87
29.54
1/1/2020
30.65
31.80
CITY OF MOUND FINAL OFFER
Implementation effective October 25, 2019
Retroactive back to January 1, 2019 through December 31, 2020
Mound and Teamsters 320
Housekeeping: Change his/her to them, he/she to they, and him/her to
them throughout contract document.
2. Article 6, Section 6.7 Choice of Remedy: Removal of reference to "or
Fair Employment' in listing of alternate procedures.
3. Article 19 Insurance
19.1 The Employer agrees to contribute to hospitalization/major
medical insurance for each full-time employee from the first of the
month following thirty (30) days of continuous employment. The
Employer agrees to contribute up to $773 $800.00 per month
effective 3aaua January 1, 2019 and $759 $850.00 per
month effectiveApo! ',2Q18 January 1, 2020 toward the cost of
single coverage from the first of the month following thirty (30)
days of continuous employment for each full-time employee who
elects single coverage under this agreement and up to $039-99
$1,150.00 per month effective jaaxai January 1, 2019 and
$1,199 $1,200.00 per month effective ApFil 1,2018 January 1,
2020 toward the cost of dependent coverage from the first of the
month following thirty (30) days of continuous employment for
each full-time employee who elects dependent coverage under this
agreement. Any additional costs for such coverage shall be paid
by the employee through payroll deduction. Employee must be
enrolled in one of the Employer's group health insurance plans in
order to be eligible to receive Employer's contribution to health
insurance. Employees who opt -out of the health insurance plan
will receive a payment in lieu of $219-39 225 per month effective
3aaua January 1, 2019 and $173 275 per month
effective ApFil 1,20 SJanuary 1, 2020. Any excess of Employer
contribution to health insurance and the cost of the premium may
be used to fund the employee's Health Savings Account (HSA) to
the maximum allowed by the IRS, or towards the purchase of a
voluntary supplemental insurance plan offered by the Employer.
-2054-
RECOMMENDATION:
Council approve and accept the attached Final Offer for implementation.
Eric P. Hoversten
City Manager and Director of Public Works
City of Mound, MN
2
-2053-
n
MEMORANDUM
Date: October 17, 2019
To: Mayor and Council, City of Mound
From: Eric Hoversten, City Manager/Public Works Director
Subject: Summary of Final Offer for Implementation on October 25, 2019
City Staff met with the Teamsters 320 Public Works bargaining unit negotiating
committee in a second mediation session on October 9, 2019. During that
mediation session, the City re -offered its previous August 9, 2019 Final Offer.
Because negotiations were at impasse, the City notified the Union on October 9,
2019 that the Union was required to notify the City of its ratification of the Final
Offer on or before October 15, 2019 or the Final Offer would be implemented
effective October 25, 2019, retroactive to January 1, 2019.
The deadline for the Union to notify the City of the ratification of the Final Offer
expired on October 15, 2019 and the City will therefore proceed with
implementation of the Final Offer.
Staff presents the attached summary of the August 9, 2019 Final Offer for adoption
and implementation by the Council. This Final Offer includes the Tentative
Agreements regarding contract language changes on housekeeping matters, choice
of remedy and uniforms previously agreed to during negotiations. Action to adopt
and implement the summary of the Final Offer by Council will result in the
implementation of those changes to the 2017-2018 contract retroactive back to
January 1, 2019 through December 31, 2020.
These actions and outcomes are consistent with the City's written notice to the
Union following the October 9, 2019 mediation.
1
-2052-
CITY OF MOUND
RESOLUTION NO. 19 -
RESOLUTION ORDERING PREPARATION OF REPORT ON
LIFT STATION IMPROVEMENT PROJECT FOR 2020
WHEREAS, a lift station reconstruction program was started in 2007 to address the
replacement of the thirty (30) city -owned and operated sanitary sewer lift stations; and
WHEREAS, this program has continued from 2008 to present; and
WHEREAS, the Capital Improvement Plan for 2020 includes the replacement of Lift Station J-1
(Avalon Park 3000 Island View Drive);
NOW, THEREFORE BE IT RESOLVED by the City Council of the City of Mound, Minnesota,
that the Lift Station Improvement Project for 2020, be referred to Bolton & Menk, Inc. for study
and that they are instructed to report to the Council as to whether the proposed improvement is
necessary, cost effective, and feasible.
Adopted by the City Council this 22"' day of October 2019
ATTEST:
Catherine Pausche, City Clerk
-2051 -
Raymond J. Salazar, Mayor
BOLTON
& MENK
Real People. Real Solutions.
Project Introduction & Engineering Study
J-1 Avalon Park
October 22, 2019
Proposed Project Schedule — J
October 22, 2019 Council authorizes Engineering Study
December 10, 2019 Council receives Engineering Study and orders
Project Plans and Specifications
January 2020 Bids are opened
February 2020 City Council Awards Contract
March 2020 Construction Begins
August 2018 Substantial Completion of Project
- -2049-
WWI View Dr
Island View Dr
(51
Background
• We are asking for permission to start work on the 2020 lift station
project now
• In the past the requests to begin Lift station projects have been
presented in the budget year for that project
• As the major road reconstruction efforts wind down
we now have the ability to:
• Prioritize smaller construction projects that have historically extended
later into the year
• Bid/Award earlier in the season
• Provides optimal schedule control
• Allows us to get survey done as part of preliminary engineering and
before the snow flies
2046-
Background
Control Panel
Electrical and SCADA
Access to Undergroun
Structure
Underground Structure
(contains upgraded
storage and pumps)
• Generator
—Modern Lift Stations
I
Background — Lift Stations &The CIP
• Mound owns and operates 30 Sanitary Sewer Lift Stations
• Lift Stations are an integral part of the sanitary sewer system
• 21 Have been reconstructed to date
• Capital Improvement Projects plan includes one (1) per year for the
next 9 years
• Because the CIP is a living and iterative document, we can choose to
shift our efforts
each
year to the
worst conditions at
the time
• We did this in
2019
by opting to
reconstruct Fernside
Forcemain in favor
of reconstruction J-1
2043-
BOLTON
& MENK
Real People. Real Solutions.
Project Introduction & Engineering Study
J-1 Avalon Park
October 22, 2019
4-
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QBOLTON
& MENK
Real People. Real Solutions.
October 16, 2019
Mr. Eric Hoversten, City Manager
City of Mound
2415 Wilshire Boulevard
Mound, MN 55364
RE: 2020 Lift Station Project
City Project No. PW -20-05
Engineering Report Request
Dear Mr. Hoversten:
2638 Shadow Lane
Suite 200
Chaska, MN 55318-1172
Ph: 19521448-8838
Fax: 19521448-8805
Bolton-Menk.com
In 2007 the City completed the Inflow/Infiltration Reduction and Lift Station Reconstruction
Plan. An analysis was completed of the 30 city -owned and operated lift stations. In 2008, two
lift stations were replaced; three were replaced in 2009; four were replaced with the 2010
project; one was replaced in each of the subsequent years from 2011 through 2018. In 2019 we
opted to shift the replacement of the programmed lift station in favor of a forcemain project that
was deemed to be higher risk. That project has since been delayed to 2020 for construction.
The current Capital Improvement Plan (CIP) for year 2020 includes the replacement of Lift
Station J-1, located at 3000 Island View Drive, in Avalon Park.
We are requesting the Council's authorization to prepare an Engineering Report for the 2020 Lift
Station Project. Preparation of an Engineering Report will allow us to better estimate the costs,
begin preliminary design, and return to the council with more information when we request
permission to advertise for bids for the project.
Please consider the attached Resolution requesting authorization for Bolton & Menk, Inc. to
prepare an Engineering Report for the replacement of Lift Station J-1.
I will be present at the 22 October Council Meeting to present the attached brief on the proposed
lift station project and to answer any questions you may have.
Sincerely,
Bolton & Menk, Inc.
Brian D Simmons, P.E.
City Engineer
Bolton & Menk is
-2039-
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Sketch & Proposed Specifications of Boulder Placem��to
Plan: To install moderately large boulder at confluence of Edgewater Drive li c /9 rbor
Lane, Mound, MN 55364.
Boulder: Natural native igneous stone, smooth surface, in keeping with local
environment.
Excavation: Minimal, done by hand to provide level, stable base. Approximate depth
14" maximum on high end.
2Er-a3;av1 cLs✓1�ro1 loarrteY'.
Base: Heavy duty landscape fabric�to approximate dimensions of boulder and
surrounding gravel base which will be approximately 10' x 10' to provide proper
drainage and weed control. 3 r O °-cRA a se .
Perimeter to Retain Gravel: Heavy duty plastic (black) installed flush with surface.
Proposed Message, Font & Symbol: "Harrison Bay Point" in 3-1/2" letters,
aerial font — plus image of anchor similarly engraved.
Cost to City: Zero.
Cost to Residents: Approximately $3000.00 max.
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MDLIC
Name Email
PROPERTY
Dock Site #--&4N---Shoreline Type
ah Su ,crki�vl Lz Sc�Y�t✓��V,
CONTRACTOR
Name Email
',,jRgu6"r Ioa,i Lai D 6c-no(✓t
Address ! k4 Z 1 W /+ 7 41 z+3
Phone (H) -- (W)/;,) 2, .56Y 1179 (M)
A FEE OF $200.00 APPLIES IF VALUATION OF PROJECT EXCEEDS $1,000.00 AND NO
PUBLIC BENEFIT IS DERIVED. a[ t D ��(� r �C-) S e
PROPOSED COST OF PROJECT (INCLUDING LABOR & MATERIALS) $ t,n j obi- Les.
I
DESCRIBE REQUEST & PURPOSE iZ t DE_ NRS l G NIJOR (ADDD
s i~ Y !tetN l M"-Pko V I� p2�(` l a f�/U�,
Applicant's Sign
Public Lands Permit Application
Page 2 of 2
Revised 3/20/2018
- 2032 -
1, Zo ic'
(c:a
4 AF?PLICATION DEADLINES
To give staff ample time to review your request, please submit your application by 12:00 noon on
the due date listed below. Your request will then be reviewed by the Parks and Open Space
Commission and City Council on the subsequent dates.
2019 Meeting Dates and Application Deadlines
Application Parks & Open Space Comm City Council
Deadline 2 n Thursday at 7:00 pm 41" Tuesday at 7:00 pm
Jan 2
Feb 14
Feb 26
Feb 1
Mar 14
Mar 26
Mar 1
Apr 11
Apr 23
Apr 1
May t3
May 28
May 1
Jun 13
Jun 25
Jun 3
Jul 11
Ju123
Jul 1
Aug 8
Aug 27
Aug 1
Sep 12
Sep 24
Sop 3
Oct 10
Oct 22
Oct 1
Nov 7
Nov 26
Nov 1
Dec 12
Dec 10
Dec 2
Jan 9 (2020)
Jan 28 (2020)
Jan 2 (2020)
Feb 13 (2020)
Feb 25 (2020)
2018 Application Fee (value of project over $1000) = $200
Fee only applies if there is no public benefit.
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L Ct s �Z c l / � > Cti pp� S E?. vi c� G 2 � � h V2 'EL IBJ L✓a L-1 �
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Public Lands Permit Information
Page 2 of 2
-2031 -
Revised 1/4/2019
2415 Wilshire Boulevard, Mound, MN 55364
Phone 952-472-0600 Fax 952-472-0620
PUBLIC LANDS PERMIT
IN -FORMATION
Construction of any kind on any public way, park or commons, or the alteration of the natural
contour on any public land is unlawful unless a special public land permit is issued. This includes
any alterations to land, trees, stairways, retaining walls, fences, temporary structures, stone or
concrete work, or other types of construction including structural repairs on any boathouse.
SUBMITTAL REQUIREMENTS
1. Accurately completed application form, ;Including nahi&, address and day phone of both
applicant and owner.
2. CURRENT CERTIFICATE OF SURVEY: 2 copies drawn to -scale and one copy 8-1/2" x 11"
(may be reduced). Survey must include all of the items listed on the City of Mound
Survey Requirements (attached). In addition, please show all existing and proposed
encroachments.�.i- Ct-Li" 6 ! C 4� L e- C L' 'a LA i L v C
((eA-i�"E" VLka•1 Itt�E k�r:•L_tWC--'r7
V,3. Scaled drawings and specifications of proposed improvement IS
V-4. Proposed cost of project Se.e- :A!� �•
5. Photographs of the existing structure or affected area i n41 L4AeA
6. Statement of purpose for proposed change 5Ge2 0 2 (l���o a �. a fn�5 10erw��'t
7. Erosion Control Plan. 15e.e jaa 1 lttaijoN • \2'F�a`�id Jl
•' 63ase'•
If any of the above materials are not submitted by the deadline date, the application may be
deemed incomplete and it will not be placed on the agenda for that month.
ABOUT THE MEETINGS
The Parks and Open Space Commission meet on the second Thursday of each month at 7:00 o.m.
You will be mailed a copy of the staff report and an agenda on the Monday just prior to your
scheduled hearing. Abutting property owners will also be notified of your application.
THE APPLICANT OR A DULY -AUTHORIZED AGENT MUST BE PRESENT AT THE
COMMISSION AND CITY COUNCIL MEETINGS TO ANSWER QUESTIONS.
The Parks and Open Space Commission is an advisory body to the City Council, The City Council
makes all final decisions.
Public Lands Permit Information
Page 1 of 2
C .115)2
111I2030 - 1 /� -"
Revised 3/20/2018 eJK� rV1 � � 15)2 0(9 py AT 160r L'V . I ��"5r��•1'l `-5
t�
PUBLIC LANDS
APPLICATION
2415 Wilshire Boulevard, Mound, MN 55364
Phone 952-472-0600 Fax 952-472-0620 Date Received
EP 0 3 2019
Parks and Open Space Commission Date City Council Date
DISTRIBUTION Building Official Parks Director
DNR MCWD
Public Works Other
Check One
CONSTRUCTION ON PUBLIC LAND PERMIT — new construction. NOTE:
NO PERMIT SHALL BE ISSUED FOR CONSTRUCTION OF BOAT HOUSES OR
OTHER BUILDINGS ON PUBLIC LAND - City Code Section 62-11(a) & (b).
❑ PUBLIC LAND MAINTENANCE PERMIT — to allow repairs to an existing
structure -City Code Section 62-11(c).
❑ CONTINUATION OF STRUCTURE — to allow an existing encroachment to
remain in an "as is" condition - City Code Section 62-11(g).
❑ LAND ALTERATION — change in shoreline, drainage, slope, trees,
vegetation, fill, etc. - City Code Section 62-11(d).
The structure or work you are requesting is an activity on publicly owned lands. Structures like boat houses, patios,
sheds, etc. are all NONCONFORMING USES. It is the intent of the City to bring all these uses into conformance, which
means that those structures will at some time in the future have to be removed from the public lands. All permits are
granted for a limited time and are non -transferable. Stairway construction must meet the State Building Code when the
permit is for new construction, or a new permit is applied for due to a change in dock site holder.
rt
Please tvne or nrint leaibiv
APPLICANT
NameC1�rhlC'ii
Emailj�
��i ervA e.( r{'1
Address c' l`'�' �,
��i��1-�
Wi a
5hOrI&V C e -I I qf
Phone (H)✓ L /!o 'a) (W) 1012 2 4 q d l$ $ (M)
ABUTTING
Address 2Ll
ly>-�Oir' 6 AIVJ\j
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PROPERTY
LEGAL
Lot �k+ N'Ar
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PID #
Zoning: R1 RIA R2 R3 B1 B2 63 (Circle one)
:K Maw owners. 5hawA aftd Carria 1<Iie6emflein-,Ir-.5v<Aed
Public Lands Permit Application Pry vL-ti 56ivA Jcar 6DtAt4Ae r p lace vin 2 vtl 8I301z 0 lq .
Pagel of 2
-2029-
Revised
2029 -
Revised 3/20/2018
4. Applicant or designee shall be responsible for application and receipt of any and/or all
permitting, surveying, and calling for utility locates that may be needed for the project
and is directed to work with the Public Works Superintendent regarding the project's
schedule and construction.
5. The decorative rock/entrance monument and landscaping are private improvements on
public land. Exclusive use of the public land on the basis of the private improvement is
not granted in the City's approval of the Public Lands Permit.
6. The City of Mound is not responsible for installation, maintenance or replacement of the
decorative rock/entrance rock and landscaping/plantings in the event of vandalism or
damage/decay.
7. A parking/staging plan for equipment and materials shall be submitted to the City of
Mound for review and approval by the applicant or designee, unless waived by the
Public Works Superintendent.
8. Drainage and surface water run-off shall not be directed towards neighboring properties.
It is the responsibility of the applicant or designee to appropriately address drainage and
surface water during the duration of the project and following its completion. Approval
of the Public Lands Permit for the project does not relieve the applicant or designee of
their primary responsibility for these requirements, or the obligation to make any site
corrections in the course of completing the proposed project should the initial designs fail
to perform as anticipated. Applicant or designee must submit any proposed changes to
the approved project scope to the City Manager -Director of Public Works and receive
approval prior to undertaking any modifications.
9. Construction hours for the project shall be as provided in Mound City Code Sec. 46-141.
Adopted by the City Council this 22nd day of October, 2019.
Attest: Catherine Pausche, City Clerk
Mayor Raymond J. Salazar
-2028-
CITY OF MOUND
RESOLUTION NO. 19 -
RESOLUTION TO APPROVE A PUBLIC LANDS PERMIT FOR DECORATIVE
ROCK/ENTRANCE MONUMENT ON CITY PARK AT INTERSECTION OF
ARBOR LANE AND EDGEWATER DRIVE
WHEREAS, the applicant, Jack Evans, owner of the property at 2025 Arbor Lane, submitted a
Public Lands Permit application requesting approval to install a decorative rock/entrance
monument with lettering and landscaping on the City -owned park lot located at the intersection
of Arbor Lane and Edgewater Drive; and
WHEREAS, City Code Section 62-11, requires City Council approval by a majority vote for
construction of any kind on any public way, park or commons, or the alteration of the natural
contour of any public way, park or commons; and
WHEREAS, details regarding the request are contained in the Public Lands Permit Report
dated October 16, 2019 which included Staff's recommendation for approval, subject to
conditions; and
WHEREAS, the City Council reviewed the Public Lands Permit application at its October 22,
2019 meeting; and
WHEREAS, in granting approval of the Public Lands Permit application, the City Council hereby
makes the following findings of fact:
1. The City is able to maintain its public roads and utilities.
2. The proposed project will enhance the City -owned park lot and is being undertaken as a
neighborhood beautification project.
NOW, THEREFORE, BE IT RESOLVED that the City Council of the City of Mound does hereby
incorporate and restate the recitals set forth above and approve the Public Lands Permit
application from Jack Evans, 2025 Arbor Lane, with the following conditions:
Prior to commencing site or land alteration activities for the project, the applicant or
designee shall submit the final plan for the project to the City Manager -Director of Public
Works for review and approval.
2. The City is not responsible for the lettering or information on the decorative
boulder/entrance rock including spelling errors or content.
3. All costs for the project are the responsibility of the applicant.
-2027-
• The Public Lands Permit does not require Planning Commission, Docks
and Commons Commission or Parks and Open Space Commission review
prior to action by the City Council. The City Council, at its option, may
remand the application to a Commission(s) if it feels its review will be
beneficial prior to taking action.
• Final plans for the project will be subject to review and approval by the
City Manager -Director of Public Works before commencement of any site
alteration or construction activities.
ROUTING
The application materials were forwarded to involved Staff and public agencies for
review and comment. The MCWD has commented that the project scope does not
appear to trigger MCWD permitting.
SITE INSPECTION
Council Members are encouraged to view the project area prior to the October 22nd
meeting.
NOTIFICATION
Mailed notice was provided on October 3' to neighboring property owners that the
application was being included on the October 22nd City Council consent agenda for
consideration/action. As of this writing, Staff was contacted by one neighborhood
resident who expressed support for the project. Information on the submitted
application stated that the applicant contacted and received support for the project
from the property owners at 2057 Arbor Lane.
RECOMMENDATION
Staff recommends City Council approval of the Public Lands Permit. A draft resolution
based on Staff's recommendations to include conditions and findings of fact has been
prepared for Council consideration.
2
-2026-
n
any 114 WAN 011 a l a ITiI Is -a 1 atl J1
To:
Honorable Mayor and City Council
From:
Sarah Smith, Comm. Development Director
Date:
October 16, 2019
Re:
Public lands Permit Application from lack Evans — Installation of
Decorative Boulder/ Entrance Monument and Landscaping on City
Park Lot
SUMMARY
A Public Lands Permit application was submitted by lack Evans, 2025 Arbor Lane,
requesting approval to install a decorative boulder/entrance monument and
landscaping/plantings within a dedicated park lot owned by the City of Mound located
atthe intersection of Arbor Lane and Edgewater Drive.
Sec. 62-11 of the City Code regulates use of public lands in the City of Mound and states
that construction of any kind on any public way, park or commons, orthe alteration of
the natural contour of any public way, park, or commons, is unlawful unless a special
construction on public land permit is issued.
DISCUSSION
Public lands Permit approval is being requested by the applicant, who is
a resident in the neighborhood, to install a decorative boulder and
landscaping/planting as a beautification project. The decorative rock will
also serve as an entrance to the neighborhood. The proposed lettering on
the boulder rock is Harrison Bay Point (or similar). The graphic also
includes an anchor symbol which is being removed from the proposal.
Applicant is responsible for final lettering and content to be included on
the decorative boulder.
• Public lands Permits are not subject to the 60dayland use decision
requirements in M.S. 15.99.
1
2025-
DATE- 10/14/2019
CONTRACTOR'S PAY REQUEST NO.
MANHOLE REHABILITATION PROJECT
CITY PROJECT NOS. PW -19-09
BMI PROJECT NO. C17.119151
FOR WORK COMPLETED FROM
9/3/2019 THROUGH 10/10/2019
CONTRACTOR Ti - UL 1 1E(_"1ALT
OWNER City CJI, IVound
ENGINEER Bolto- & lAerik
TOTALAMOUNT BID ................................................................................................................................................. $
APPROVEDCHANGE ORDERS ................................................ I ..................... .......................................
CURRENTCONTRACT AMOUNT ........................ ............. ............................. ............................... ";0
TOTAL, COMPLETED WORK TO DATE ........................................................................................................................
TOTAL, STORED MATERIALS TO DATE .......................................................................... ... I ...................................... ..... . . $
DE:DUCTION FOR STORED MATERIALS USED IN WORK COMPLETED .............................................................
TOTAL, COMPLETED WORK & STORED MATERIALS ................................................................................................ 41 5. 0
REFFAIMEDPERCENTAGE 5% ................................................................................................................ . ......
TOTALAMOUNT OF OTHER DEDUCTIONS ............................................................................................................. .
NET AMOUNT DUE TO CONTRACTOR TO DATE .......................................................................................................... 7. 75
TOTAL AMOUNT PAID ON PREVIOUS ESTIMATES .................................................................................................... ..... $
PAYCONTRACTOR AS ESTIMATE NO. 1 .............................................................................................................. ...... . .....
Certificate for Payment
I hereby certify that, to the best of my knowledge and belief, all items quantities and prices
of work and material shown on this Estimate are correct and that all work has been
performed in full accordance with the terms and conditions of the Contract for this project
between the Owner and the undersigned Contractor, and as amended by any
authorized changes, and that the foregoing is a true and correct statement of the
contract amount for the period covered by this Estimate.
Contractor- Thul Specialty_,CQracting
PO Box 322
Elk River, MN 55 30
By
Name Title
Date
CHECKED AND APPROVED AS TO QUANTITIES AND AMOUNT -
BOLTON & MENK, INC., ENGINEERS, 2638 SHADOW LN, SUITE 200, CHASKA MN 55318
By PROJECT ENGINEER
Brian D. Simmons
Date 2019-10-14
APPROVED FOR PAYMENT:
Owner- CITY OF MOUND
By
Name Title Date
- 2024 -
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2023-
Q& MENK
Real People. Real Solutions.
October 14th, 2019
Mr. Eric Hoversten - City Manager and Public Works Director
City of Mound
2415 Wilshire Boulevard
Mound, MN 55364
RE: 2019 Manhole Rehabilitation Project
City Project No.PW-19-09— BMI No. C17.119151
Dear Mr. Hoversten:
2638 Shadow Lane
Suite 200
Chaska, MN 55318-1172
Ph: (952) 448-8838
Fax: (952) 448-8805
Bolton-Menk.com
Please find enclosed Pay Request No. 1 from Thul Specialty Contracting for work completed on
the 2019 Manhole Rehabilitation Project from September 3rd, 2019 through October 10th, 2019.
We have reviewed the contractor's request, verified quantities and recommend payment in the
amount of $72,337.75 to Thul Specialty Contracting.
Sincerely,
Bolton & Menk, Inc.
Brian D. Simmons, P.E.
City Engineer
H:\MOUN\C17119151\1_Corres\C_To Others\2019-10-14 Ltr of Recdn, Pay Reqt l.docx
Bolton & Menk is an equal opportunity employer.
a
CONSTRUCTION COMPANY
CONDITIONAL RELEASE AND WAIVER UPON FINAL PAYMENT
PARTIES: Park construction Company AND
Sir Lines-A-Lot
PROJECT DESCRIPTION/LOCATION: 2017 Mound Street, Utility Imp Project (City of Mound)
PARK PROJECT NO, 17312
Upon receipt by the undersigned of checks from Park Construction Company in the sum of 54:01
payable to Subcontractor/Seller and when the checks have been properly endorsed and have been paid by
the bank upon which they are drawn, this document shall become effective to release pro tanto any
construction lien, mechanic's lien, stop notice or bond right the undersigned has on the project to the
following extent, This release covers a progress payment for labor, services, equipment, or material furnished
to, Park Construction Company through December only and does not cover any retention or items furnished
after said date, Before a recipient of this document relies on it, said party should verify evidence of payment
to the undersigned,
To the extent released under the foregoing paragraph, Subcontractor/Seller hereby certifies and warrants
that all charges for labor, materials, supplies, equipment, lands, licenses, and other expenses for which
Subcontractor/Seller, Contractor/Buyer, Contractor's/Buyer's Surety, or Owner might be sued or for which a
lien might be filed, or a bond claim made have been fully satisfied and paid, and Subcontractor/Seller agrees
to defend and save harmless Contractor/Buyer, Contractor's Buyer's Surety, and Owner from and against all
sults, actions, claims, liens, or demands of laborers, me8chanics material suppliers or others filed or brought
against Contractor's/Buyer's Surety, or Owner or the buildings, structures, additions, or improvements
constructed under the prime contract for the Projects or arising out of material supplied by
Subcontractor/Seller or the performance of the subcontractor/purchase order work,
IN WITNESS WHEREOF, Subcontractor/Seller has executed this Conditional Release and Waiver Upon Progress
Payment and final discharge as of this 20th` day of December 2018
ube ntr ct /Seller)
By:
IIAAA',-
STATE OF Title
I V'��f ® )
) ss.
Countyof, �iVlfv1,►v )
Subscribed and sworn to me this'd day of 2018,
IHCO TERESA JOYCE JOHNSON
Notary Public Notary Public r
Stato of Minnesota
My commission Expires My commission Expires . Zp'
January 31, 2019
-2021 -
12/26/2018 https://www.mndor.state.mn,us/tp/eservices/_/Retrieve/0/c-/QUusz7!TotNViWoPSCr6PQ_?FILE= Print2&PARAMS_=26804157234,..
MN
D E PA R T M E N T
I OF REVENUE
Contractor Affidavit Submitted
Thank you, your Contractor Affidavit has been approved.
Confirmation Summary
Confirmation Number:
Submitted Date and Time:
Legal Name:
Federal Employer ID:
User Who Submitted:
Type of Request Submitted:
Affidavit Summary
Affidavit Number:
Minnesota ID:
Project Owner:
Project Number:
Project Begin Date:
Project End Date:
Project Location:
Project Amount:
Subcontractors:
0466-236-864
26 -Dec -2018 9:18:18 AM
SIR LINES -A -LOT INC
46-5427787
linesalot
Contractor Affidavit
1153114112
3509324
CITY OF MOUND
SAP 145-103-004
23 -Sep -2017
28 -Jun -2018
CITY OF MOUND
$10,890.32
No Subcontractors
Important Messages
A copy of this page must be provided to the contractor or government agency that hired you.
Contact Us
If you need further assistance, contact our Withholding Tax Division at 651-282-9999, (toll-free) 800-657-3594, or (email)
with hold ing.tax@state.mn.us. Business hours are 8:00 a.m. - 4:30 p.m. Monday - Friday.
Please t rjntL p�Aqe for your records using the print or save functionality built into your browser.
- 2020 -
https://www.mndor.state.mn.usltpleservices/_/Retrieve/0/c-IQUusz7iTotNViWoPSCr6PQ_?FILE_=Print2&PARAMS_ 2680415723426362542 1/1
r •«.
k..Y°" "%
CONSTRUCTION COMPANY
CONDITIONAL RELEASE AND WAIVER UPON FINAL PAYMENT
PARTIES: Park Construction Company AND
Reiner Contractine Inc
PROJECT DESCRIPTION/LOCATION: 2017 Mound Street Utility (City of Mound)
PARK PROJECT NO. 17312
Upon receipt by the undersigned of checks from Park Construction Company in the sum of S 195.52
payable to Subcontractor/Seller and when the checks have been properly endorsed and have been paid by
the bank upon which they are drawn, this document shall become effective to release pro tanto any
construction lien, mechanic's lien, stop notice or bond right the undersigned has on the project to the
following extent. This release covers a progress payment for labor, services, equipment, or material furnished
to Park Construction Company through November only and does not cover any retention or items furnished
after said date. Before a recipient of this document relies on It, said party should verify evidence of payment
to the undersigned.
To the extent released under the foregoing paragraph, Subcontractor/Seller hereby certifies and warrants
that all charges for labor, materials, supplies, equipment, lands, licenses, and other expenses for which
Subcontractor/Seller, Contractor/Buyer, Contractor's/Buyer's Surety, or Owner might be sued or for which a
lien might be filed, or a bond claim made have been fully satisfied and paid, and Subcontractor/Seller agrees
to defend and save harmless Contractor/Buyer, Contractor's Buyer's Surety, and Owner from and against all
suits, actions, claims, liens, or demands of laborers, me8chanics material suppliers or others filed or brought
against Contractor's/Buyer's Surety, or Owner or the buildings, structures, additions, or improvements
constructed under the prime contract for the Projects or arising out of material supplied by
Subcontractor/Seller or the performance of the subcontractor/purchase order work.
IN WITNESS WHEREOF, Subcontractor/Seller has executed this Conditional Release and Waiver Upon Progress
Payment and final discharge as of this 27` day of _November , 2018
(Subcontractor/Seller)
By: .Qv,a.,r—w
Title:
STATE OF
)ss.
County ofg,.r.. )
s;
Subscribed and sworn tome this _LL__ day of .5A�-_1,2G1
PUBLICLANCE GROBE
NOTARY
MINNESOTA
4
A111- A111,
Notary Public for
My commission Expires 1 20 0o
-2019-
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CONSTRUCTION COMPANY
CONDITIONAL RELEASE AND WAIVER UPON FINAL PAYMENT
PARTIES: Park Construction Company AND
Northland Excavating
PROJECT DESCRIPTION/LOCATION: 2017 Mound Street Utility (City of Mound)
PARK PROJECT NO. 17312
Upon receipt by the undersigned of checks from Park Construction Company in the sum of $5,161.62
payable to Subcontractor/Seller and when the checks have been properly endorsed and have been paid by
the bank upon which they are drawn, this document shall become effective to release pro tanto any
construction lien, mechanic's lien, stop notice or bond right the undersigned has on the project to the
following extent. This release covers a progress payment for labor, services, equipment, or material furnished
to Park Construction Company through November only and does not cover any retention or items furnished
after said date. Before a recipient of this document relies on it, said party should verify evidence of payment
to the undersigned.
To the extent released under the foregoing paragraph, Subcontractor/Seller hereby certifies and warrants
that all charges for labor, materials, supplies, equipment, lands, licenses, and other expenses for which
Subcontractor/Seller, Contractor/Buyer, Contractor's/Buyer's Surety, or Owner might be sued or for which a
lien might be filed, or a bond claim made have been fully satisfied and paid, and Subcontractor/Seller agrees
to defend and save harmless Contractor/Buyer, Contractor's Buyer's Surety, and Owner from and against all
suits, actions, claims, liens, or demands of laborers, me8chanics material suppliers or others filed or brought
against Contractor's/Buyer's Surety, or Owner or the buildings, structures, additions, or improvements
constructed under the prime contract for the Projects or arising out of material supplied by
Subcontractor/Seller or the performance of the subcontractor/purchase order work.
IN WITNESS WHEREOF, Subcontractor/Seller has executed this Conditional Release and Waiver Upon Progress
Payment and final discharge as of this _27_ day of _November_, 2018 +—
(S o ractor/Seller
By:
Title:
STATE OF
County of
Subscribed and sworn to me this day of 2017•
Notary Public for
My commission Expires 20_-
-2017-
Page 1 of 1
Contractor Affidavit Completed
Thank you, your Contractor Affidavit has been approved.
Confirmation Summary
Project Owner:
Confirmation Number:
1-856-742-848
Submitted Date and Time:
30 -Nov -2018 9:06:10 AM
Legal Name:
ISAAC D SPRINGER
Social Security Number:
***---4137
Type of Request Submitted:
Contractor Affidavit
Affidavit Summary
Affidavit Number:
664133632
Project Owner:
CITY OF MOUND
Project Number:
1
Project Begin Date:
05 -Jun -2017
Project End Date:
30 -Nov -2018
Project Location:
MOUND
Project Amount:
$103,232.25
Subcontractors:
No Subcontractors
Important Messages
A copy of this page must be provided to the contractor or government agency that hired you.
Contact Us
If you need further assistance, contact our Withholding Tax Division at 651-282-9999, (toll-free) 800-657-3594, or (email)
withholding.tax@state.mn.us. Business hours are 8:00 a.m. - 4:30 p.m. Monday - Friday.
Please print Ibis nage for your records using the print or save functionality built into your browser.
-2016-
https://www.rnndor. state. mn.us/tp/contractoraffidavit/,/Retrieve/0/c-/cFas PTzJg3Mg6i... 11/30/2018
CONDITIONAL RELEASE ANIS WAIVER UPON FINAL PAYMENT
PARTIES:rk Constructt�n +company ANt�
Neaton BroLhers Erosion LLC
PROJECT DESCRIPTION/LOCATION: 701.7 Mound Street Utility (City of Mound)
PARI< PROJECT N0, 1.7312
Upon receipt by the undersigned of checks from Park Construction Company in the sum of317.63
payable to Subcontractor/Seller and when the checks have been properly endorsed and have been paid by
the bank upon which they are drawn, this docunent shall become effective to release pro tanto any
construction lien, mechanic's lien, stop notice or bond right the undersigned has on the project to the
following extent. This release covers a progress payment for labor, services, equipment, or material furnished
to Park Construction Company, through November only and does not cover any retention or items furnished
after said date. Before a recipient of this document relies on it, said party should verify evidence of payment
to the undersigned.
To the extent released under the foregoing paragraph, Subcontractor/Seller hereby certifies and warrants
that all charges for labor, materials, supplies, equipment, lands, licenses, and other expenses for which
Subcontractor/Seller, Contractor/Buyer, Contractor's/Buyer's Surety, or Owner might be sued or for which a
lien might be filed, or a bond claim made have been fully satisfied and paid, and Subcontractor/Seller agrees
to defend and save harmless Contractor/Buyer, Contractor's Buyer's Surety, and Owner from and against all
suits, actions, claims, liens, or demands of laborers, me8chanics material suppliers or others filed or brought
against Contractor's/Buyer's Surety, or Owner or the buildings, structures, additions, or improvements
constructed under the prime contract for the Projects or arising out of material supplied by
Subcontractor/Seller or the performance of the subcontractor/purchase order work.
IN WITNESS WHEREOF, Subcontractor/Seller has executed this Conditional Release and Waiver Upon Progress
Payment and final discharge as of this _27_ day of _November 2018
(Sul co tractor/Seller)
Bye,-,
Title
STATE OF )
ss.
County of
Subscribed and sworn to me this_1,_L--,clay of
IBECCALYNNB CHER
NOTARY PUBLIC Notary Public for
MINNESOTA My Mycommission Expires 20Li.
-2015-
PA i11""I"
Thank you, your Contractor Affidavit has been approved.
Confirmation Summary
Confirmation Number:
0-083-830-208
Submitted Date and lime:
20 -Dec -2018 1:30:62 PM
Legal Name:
NEATON BROTHERS EROSION LLC
Federal Employer ID:
41-1976698
User Who Submitted:
NeatonBro
Type of Request Submitted;
Contractor Affidavit
=3239J
Affidavit Number:
Minnesota ID:
Project Owner:
Project Number:
Project Begin Date:
Project End Date:
Project Location:
Project Amount:
Subcontractors:
1589764096
4990862
CITY OF MOUND
2017 MOUND STREET LIT
01 -Dec -2017
30 -Dec -2017
MOUND
$6,352.50
No Subcontractors
Important Messages
A copy of this page must bo provided to the contractor or government agency that hired you,
Contact Us
If you need further assistance, contact Our Withholding Tax Division at 651-282-9999, (toll-free) 800-657-3594, or (emall)
withholding.tax@state,mn.us. Business hours are 8:00 a.m. - 4:30 p.m. Monday - Friday,
Please h , �,� : for your records using the print or save functionality built Into your browser.
- 2014 -
'7
} tr
CONDITIONAL RELEASE AND WAIVER UPON FINAL PAYMENT
PARTIES: Park Construction Company AND
Kusske Construction
PROJECT DESCRIPTION/LOCATION: 2017 Mound Street Utility Imp Project (City of Mound)
PARK PROJECT NO. 17312
Upon receipt by the undersigned of checks from Park Construction Company in the sum of $42,542.46
payable to Subcontractor/Seller and when the checks have been properly endorsed and have been paid by
the bank upon which they are drawn, this document shall become effective to release pro tanto any
construction lien, mechanic's lien, stop notice or bond right the undersigned has on the project to the
following extent. This release covers a progress payment for labor, services, equipment, or material furnished
to Park Construction Company through December only and does not cover any retention or items furnished
after said date. Before a recipient of this document relies on it, said party should verify evidence of payment
to the undersigned.
To the extent released under the foregoing paragraph, Subcontractor/Seller hereby certifies and warrants
that all charges for labor, materials, supplies, equipment, lands, licenses, and other expenses for which
Subcontractor/Seller, Contractor/Buyer, Contractor's/Buyer's Surety, or Owner might be sued or for which a
lien might be filed, or a bond claim made have been fully satisfied and paid, and Subcontractor/Seller agrees
to defend and save harmless Contractor/Buyer, Contractor's Buyer's Surety, and Owner from and against all
suits, actions, claims, liens, or demands of laborers, me8chanics material suppliers or others filed or brought
against Contractor's/Buyer's Surety, or Owner or the buildings, structures, additions, or improvements
constructed under the prime contract for the Projects or arising out of material supplied by
Subcontractor/Seller or the performance of the subcontractor/purchase order work,
IN WITNESS WHEREOF, Subcontractor/Seller has executed this Conditional Release and Waiver Upon Progress
Payment and final discharge as of this _20th_ day of December_ , 2018
t4y S S & C 1`2,\ Ccwe�,�
er
By: (=9�z
Title: PMS
STATE OF (1'n )
) ss.
County of o-w-0-er )
Subscribed and sworn to me this 2 8 day of,- �b'Cl—,2018.
s,aet�,vaea..rr.e�saaFsoebeaa..ema.�a®
�~ CAROLYN R WETZEL
t Notary Public—Minnesota
.. My Commission Expires Jen. 31, 2019
00b /4�b eHOb Y�4a1fi• /ecMMlo:9a
Notary Public or '� 0
My commission Expires, ;�( 20 -Q
-2013-
-*iDEPARTMENT
OF REVENUE
Contractor Affidavit Submitted
Thank you, your Contractor Affidavit has been approved.
Confirmation Summary
Confirmation Number:
Submitted Date and Time:
Legal Name:
Federal Employer ID:
User Who Submitted:
Type of Request Submitted:
Affidavit Summary
Affidavit Number:
Minnesota ID:
Project Owner:
Project Number:
Project Begin Date:
Project End Date:
Project Location:
Project Amount:
Subcontractors:
1-104-956-864
28 -Dec -2018 7:07:00 AM
KUSSKE CONSTRUCTION CO LLC
41-0988665
JasonKusske
Contractor Affidavit
13606912
6177718
CITY OF MOUND
17312
01 -Jun -2017
17 -Dec -2018
CITY OF MOUND
$812,893.20
No Subcontractors
Important Messages
A copy of this page must be provided to the contractor or government agency that hired you.
Contact Us
If you need further assistance, contact our Withholding Tax Division at 651-282-9999, (toll-free) 800-657-3594, or (email)
wilhholding.lax@state.mn.us. Business hours are 8:00 a.m. - 4:30 p.m, Monday - Friday.
Please print this nage for your records using the print or save functionality built Into your browser.
-2012-
a OIls-f Ruc-(JON C VAP AM
CCrL4rATIONAr RMASE AND AIVR PON F-INAt PAYMENT
park aatarfa._ , �.
Fiu �r r�stru�ti,rara q?
SCTFtIPTION/LOCATION: 2017 mrounri 'truiat Moil (City of Mound)
1 rtra.irc"r DEpAWR ll1-t i N(Y t rl t_2
r� ur7dr�r�>iCra�rf r�l c;Irerl+s frc�rr7 PPAIM! u�rnr°+in ihr� ��urr7 rat ��17r.!��C
upon rer opt by the r, aerl endorsed and have been paid by
P to suhcontraraor/Seller and when the checks have been pat V � tot tffia ny
is aon which they are drawn, this dratrurnent ,hall be:corne effective to
rebase pia tants arty
the bank 1 otice ur bund right the rararf r r o d Iaar cin this uaofI f
on .tructi��r lir�ra, r -or r hank � Her', ,,vine uquipment, or c1ldte r iUal harru�,Srerf
r rovers=�sa pr ess
payrnent for (,rlar�r,
�rt
WI
fniiuwing extent. 1 his rr le a ;'-
y I
to Pant �:r�r��tructlurr_,ornny
thr out?h November ,anly and dot -,'lot C t�rL id yr r tyre vrdrr.rrc«'roilta'ayrrrre�7t
attar said data. Fero(( a lecipient of this docurricni aelicSon,, S I �
to the underfsigned.
q `�t.rLaeoratrartcar/'eller hereby rertifir s and wrarrant7
To the ext; nt rr�W aced under the fore ;oirat, p�are�uitarrrnnt, land Irrse n rxti, :and other expense,, 4rrr Which
that all charges for lahror, ctorrBuy su-ataircs, equipment,
r att,ar�tcar/ �r.�llr'�r, C~nntr:artrar/duyr_°r, �Caratrarstrai''�/rays alj Sir�dya"raor d iaFCd,�aru1 `�iuYhr r�atrAar�t�r%�,wllrrwar�r iar
'soh or
Ircn might he tiled, or a honri � I�airrr raaade have hr: � ra pally aeis � I ty, alricr�carrotia o filed and ag amSt all
ms C 1r%mail ul / I4rlaorrtro)rrrnr �rhani rrsyrrarat srari 'Upl or brought
,
r�.+ d�ar��rd orad ave h,ar nrl .arra
Suits, action`, Claltaa'�, liens, or l r 71 t1E ni n .�,
5 '$tructure's, additions, C If -0 C r'
ain;t Cont.r<aciur /oyer' Surety, or r7wuer or thF hrrilrflir , r.7rat raf material supplied by
age
constructed under tile �lrrPricric crfcircon r.r cri t ct or suhe, P reartc �/l=r+!r 1� � ��'� order +port.
'�,uk�ar_rantr,rciear°/ ,eN�_r ar E
MVa amrss VWIAEREOL, rrlacontrd(tor%`',e ller has executed ute d this, ionditicarrai I�eie,asr' and Waiver ilpon {'rrai rcn'
payment and final deer ir,'art?e ,as of thi> _�7_ day
of l+love°n7h r_
AMR
Tide, _.I�:�r � t_ L
QJATI t"�W As/ ' i' ; V�
Countyof, , w. )
pub crihed and sworn to are this day d,ay of
notary PUhlir. fear .
mit � _w_ ,�
a 7(� ;
NANCY R APd �f� NAV ����iinrai ,.iurr
� � .� P�nT�:awr*uir.•r�rr�ra�7�
- 2011 -
I DEPARTMENT
M" 5
OF REVENUE
Contractor Affidavit Submitted
Thank you, your Contractor Affidavit has been approved.
Confirmation Summary
Confirmation Number:
Submitted Date and Time:
Legal Name:
Federal Employer ID:
User Who Submitted:
Type of Request Submitted:
Affidavit Summary
Affidavit Number:
Minnesota ID:
Project Owner:
Project Number:
Project Begin Date:
Project End Date:
Project Location:
Project Amount:
Subcontractors:
1444-206-016
10 -Dec -2018 7:06:05 AM
HUSKY CONSTRUCTION
81-5485445
aprilboogren
Contractor Affidavit
675340288
5047998
CITY OF MOUND
2017 MOUND STREET UTILITY
05 -Jun -2017
12 -Jul -2017
MOUND MN
$7,230.00
No Subcontractors
Important Messages
A copy of this page must be provided to the contractor or government agency that hired you.
Contact Us
If you need further assistance, contact our Withholding Tax Division at 651-282-9999, (toll-free) 800-657-3594, or (email)
withhold ing.tax@state.mn.us. Business hours are 8:00 a.m. - 4:30 p.m. Monday - Friday.
Please rxr, i this gg qe: for your records using the print or save functionality built into your browser.
-2010-
CONDITIONAL RELEASE AND WAIVER UPON FINAL PAYMENT
PARTIES: Park Construction Company AND
Groundscape Inc
PROJECT DESCRIPTION/LOCATION: 2017 Mound Street Utility (City of Mound)
PARK PROJECT NO. 17312
Upon receipt by the undersigned of checks from Park Construction Company in the sum of 1096.07'` %
m
payable to Subcontractor/Seller and when the checks have been properly endorsed and have been p d by
the bank upon which they are drawn, this document shall become effective to release pro tanto any
construction lien, mechanic's lien, stop notice or bond right the undersigned has on the project to the
following extent. This release covers a progress payment for labor, services, equipment, or material furnished
to Park Construction Company through November only and does not cover any retention or items furnished
after said date. Before a recipient of this document relies on it, said party should verify evidence of payment
to the undersigned.
To the extent released under the foregoing paragraph, Subcontractor/Seller hereby certifies and warrants
that all charges for labor, materials, supplies, equipment, lands, licenses, and other expenses for which
Subcontractor/Seller, Contractor/Buyer, Contractor's/Buyer's Surety, or Owner might be sued or for which a
lien might be filed, or a bond claim made have been fully satisfied and paid, and Subcontractor/Seller agrees
to defend and save harmless Contractor/Buyer, Contractor's Buyer's Surety, and Owner from and against all
suits, actions, claims, liens, or demands of laborers, me8chanics material suppliers or others filed or brought
against Contractor's/Buyer's Surety, or Owner or the buildings, structures, additions, or improvements
constructed under the prime contract for the Projects or arising out of material supplied by
Subcontractor/Seller or the performance of the subcontractor/purchase order work.
IN WITNESS WHEREOF, Subcontractor/Seller has executed this Conditional Release and Waiver Upon Progress
Payment and final discharge as of this _27_ day of _November_, 2018
STATE OF
) ss.
County of
(Subcontractor/Seller)
By:--
�y
Title:"���
Subscribed and sworn to me this day of .2017.
Notary Public for
My commission Expires 20_.
-2009-
12/12/2018 https://www.mndor.state.mn,us/lp/eservices/_/Retrieve/0/c-/vbEJKTO_TZ4y6WL_W_ZW5w—?FILE_=Print2&PARAMS_=181274660...
� � r
Contractor Affidavit Submitted
Thank you, your Contractor Affidavit has been approved.
Confirmation Summary
Confirmation Number:
Submitted Date and Time:
Legal Name:
Federal Employer ID:
User Who Submitted:
Type of Request Submitted:
Affidavit Summary
Affidavit Number:
Minnesota ID:
Project Owner:
Project Number:
Project Begin Date:
Project End Date:
Project Location:
Project Amount:
Subcontractors:
2-113-787-328
12 -Dec -2018 10:00:55 AM
GROUNDSCAPE ENTERPRISES LLC
46-1888734
rob6900
Contractor Affidavit
1383161856
3364293
CITY OF MOUND
17312
01 -May -2017
31 -Oct -2018
MOUND STREET UTILITY 2017
$25,000.00
No Subcontractors
Important Messages
A copy of this page must be provided to the contractor or government agency that hired you.
Contact Us
If you need further assistance, contact our Withholding Tax Division at 651-282-9999, (toll-free) 800-657-3594, or (email)
withhold Ing.tax@state.mn.us. Business hours are 8:00 a.m. - 4:30 p.m. Monday - Friday.
Please print this page for your records using the print or save functionality built into your browser.
- 200$ -
https://www,mndor.state.mn.us/tp/eservices/_/Retrieve/0/c-/vbEJKTO_TZ4y6W L_W_ZW 5w_?FI LE—=Print2&PARAMS—=1812746606653424539 1/1
UNCONDITIONAL RELEASE AND WAIVER OF LIEN RIGHTS
Dated: 06/26/19
The undersigned hereby acknowledges receipt of the sum of $13,995.00 from Park Construction
Company.
1. ❑ as partial payment for labor, skills and material furnished through (date).
2. ❑ as payment for all labor, skills and material furnished through (date) (except
the sum of $ retainage or holdback).
3. ® as full and final payment for all labor, skills and material furnished.
To the following described real property: (legal description, street address or project name)
2017 MOUND STREET UTILITY (CITY OF MOUND) PARK PROJECT NO. 17312
and for value received the undersigned hereby releases and waives any and all claims, stop payment
notice, payment bond rights and liens, including mechanic's liens against said real property for labor, skills
or material furnished to said real property (only for the amount paid if Box 1 is checked, and except for
retainage shown if Box 2 is checked). The undersigned affirms that all material furnished by the
undersigned has been paid for, and all subcontractors engaged by the undersigned have been paid in full
for labor, skills and materials furnished through 06/26/19.
This lien waiver is not valid until payment of the above -referenced sum has been received and cleared all
banks.
NOTE: If this instrument is executed
by a corporation, it must be signed by
an officer, and if executed by a
partnership, it must be signed by a
partner.
Subcontractor: ERIC N BUILDERS
4L,�7
By:
Its:r "" Melissa Joy Ahim
Notary Public
Minnesota
lv`Subscribed and sworn to me this= 1 day ofJAJ�Jv,20 " ^" ' 0" s January 31,2024
>, Y p' ,
LEV
M commission Ex ire.20'
14nue E o Telephone 763.786.9800
Minneapolis, MN 55432
Established In 1916
An Equal Opportunity Employer
- 2007 -
Fax 763.786.2952
Estimating Fax 763.717.6237
Melissa Ahim
From: MN Revenue e -Services <eservices.mdor@state.mn.us>
Sent: Thursday, June 27, 2019 2:08 PM
To: Melissa Ahim
Subject: Your Recent Contractor Affidavit Request
This email is an automated notification and is unable to receive replies.
Contractor Affidavit Completed
Thank you, your Contractor Affidavit has been approved.
Confirmation Summary
Confirmation Number:
Submitted Date and Time:
Legal Name:
Federal Employer ID:
User Who Submitted:
Type of Request Submitted:
Affidavit Summary
Affidavit Number:
Minnesota ID:
Project Owner:
Project Number:
Project Begin Date:
Project End Date:
Project Location:
Project Amount:
Subcontractors:
Important Messages
0-469-696-448
27 -Jun -2019 2:08:07 PM
ERICKSON BUILDERS & CO INC
41-1797308
mjahim
Contractor Affidavit
224518144
1843652
CITY OF MOUND
2017 STREET IMPR
19 -Jun -2017
04 -Jun -2019
2017 MOUND STREET,UTILITY & RETAINING WALL IMPROVE
$229,190.61
No Subcontractors
A copy of this page must be provided to the contractor or government agency that hired you.
Contact Us
If you need further assistance, contact our Withholding Tax Division at 651-282-9999, (toll-free) 800-657-3594, or (email)
withholdina.tax state,mmus. Business hours are 8:00 a.m. - 4:30 p.m. Monday - Friday.
How to View and Print this Request
You can see copies of your requests by going into your History.
This message and any attachments are solely for the intended recipient and may contain nonpublic / private data. if you are not the
Intended recipient, any disclosure, copying, use, or distribution of the information included in this message and any attachments is
prohibited. If you have received this communication in error, please notify us and immediately and permanently delete this message
and any attachments. Thank you.
-2006-
CONSTRUCTION COMPANY
CONDITIONAL RELEASE AND WAIVER UPON FINAL PAYMENT
PARTIES: Dark Construction Comnany AND
Creative Curb LLC
PROJECT DESCRIPTION/LOCATION: 2017 Mound Street Utility (City of Mound)
PARK PROJECT NO. 17312
Upon receipt by the undersigned of checks from Park Construction Compgny in the sum of`4� ,158.88
payable to Subcontractor/Seller and when the checks have been properly endorsed and have been paid by
the bank upon which they are drawn, this document shall become effective to release pro tanto any
construction lien, mechanic's lien, stop notice or bond right the undersigned has on the project to the
following extent. This release covers a progress payment for labor, services, equipment, or material furnished
to Park Construction Company through November only and does not cover any retention or items furnished
after said date. Before a recipient of this document relies on it, said party should verify evidence of payment
to the undersigned.
To the extent released under the foregoing paragraph, Subcontractor/Seller hereby certifies and warrants
that all charges for labor, materials, supplies, equipment, lands, licenses, and other expenses for which
Subcontractor/Seller, Contractor/Buyer, Contractor's/Buyer's Surety, or Owner might be sued or for which a
lien might be filed, yr a bond --!aim made Kava haen filly, satkfied and n��� a_ n� ciihrnntractt?r/cPller agrees
to defend and save harmless Contractor/Buyer, Contractor's Buyer's Surety, and Owner from and against all
suits, actions, claims, liens, or demands of laborers, me8chanics material suppliers or others filed or brought
against Contractor's/Buyer's Surety, or Owner or the buildings, structures, additions, or improvements
constructed under the prime contract for the Projects or arising out of material supplied by
Subcontractor/Seller or the performance of the subcontractor/purchase order work.
IN WITNESS WHEREOF, Subcontractor/Seller has executed this Conditional Release and Waiver Upon Progress
Payment and final discharge as of this _27_ day of _November_, 2018
zzc-
(S �bcontract Seller)
By: -
(�
STATE OF _�„a� i61�'._ Title:
ss.
County offf+'"_ _
Subscribed and sworn tome this , Tday of 2011:
JOLEEN M SCHOENECKER - -
'' NotaryPublh NO,ryPublicfor
Minn
My commission Expires 20 t.
P� 312023 _..
-2005-
Page 1 of 1
W%%% DEPARTMENT
OF REVENUE
Thank you, your Contractor Affidavit has been approved.
Confirmation Summary
Confirmation Number:
Submitted Date and Time:
Legal Name:
Federal Employer ID:
User Who Submitted:
Type of Request Submitted:
Affidavit Summary
Affidavit Number:
Minnesota ID:
Project Owner:
Project Number
Project Begin Date:
Project End Date:
Project Location:
Project Amount:
Subcontractors:
1498-965-440
29 -Nov -2018 2:19:26 PM
CREATIVE CURB LLC
41-1912020
Connie Hesse
Contractor Affidavit
998301696
3623244
CITY OF MOUND
SAP 145-103-004
23 -Oct -2017
14 -Nov -2017
2017 MOUND STREET UTITLITY
$83,177.30
No Subcontractors
Important Messages
A copy of this page must be provided to the contractor or government agency that hired you.
Contact Us
If you need further assistance, contact our Withholding Tax Division at 651-282-9999, (toll-free) 800-657-3594, or (email)
withholding.tax@state.mn.us. Business hours are 8:00 a.m. - 4:30 p.m. Monday - Friday.
Please ;zT c t, f m,; c for your records using the print or save functionality built into your browser.
https://www.mndor.state.mn.us/tp/eservices/_/R.etric�ve/0/c-/UrNVBIYzK5AZ gXkYKG... 11/29/2018
CONDITIONAL RELEASE AND WAIVER UPON FINAL PAYMENT
PARTIES: Pdrk Construction Company AND
ALI
State Traffic Control, Inc
PROJECT DESCRIPTION/LOCATION: 2017 Mound Street Utility Imp Project (City of Mound)
PARK PROJECT_ fyQ 173.2
Upon receipt by the undersigned of checks from Park Construction Company in the sum of $3,125.3
payable to Subcontractor/Seller and when the checks have been properly endorsed and have been paid by
the bank upon which they are drawn, this document shall become effective to release pro tanto any
Wstruction lien, mechanic's lien, stop notice or bond right the undersigned has on the project to the
following extent. This release covers a progress payment for labor, services, equipment, or material furnished
to Park Construction Cornoanv through Decen1bgLonly and does not cover any retention or items furnished
after said date. Before a recipient of this document relies on it, said party should verify evidence of payment
to the undersigned.
To the extent released under the foregoing paragraph, Subcontractor/Seller hereby certifies and warrants
that all charges for labor, materials, supplies, equipment, lands, licenses, and other expenses for which
Subcontractor/Seller, Contractor/Buyer, Contractor's/Buyer's Surety, or Owner might be sued or for which a
lien might be flied, or a bond claim made have been fully satisfied and paid, and Subcontractor/Seller agrees
to defend and save harmless Contractor/Buyer, Contractor's Buyer's Surety, and Owner from and against all
suits, actions, claims, liens, or demands of laborers, me8chanics material suppliers or others flied or brought
OA41nst Contractor's/Buyer's Surety, or Owner or the buildings, structures, additions, or improvements
constructed under the prime contract for the Projects or arising out of material supplied by
Subcontractor/Seller or the performance of the subcontractor/purchase order work.
IN WITNESS WHEREOF, Subcontractor/Seller has executed this Conditional.Release and Waiver Upon Progress
Payment and final discharge as of this ,20th_ day of December 2018
ff 11 Vl Z- e.
�(S bcontractor/Seller
Title: 6L
f'a'fE OF tA.� )
) ss.
County of j' � ki r(V-) 1
Subscribed and sworn to me this ( )day of fil
1
Notary Public for �14
_��.
My commission Expires 20_-)
SARA BOIRGEN
Notary Public
State of Minnesota
My Commission Expires
•� January 31, 2022
-2003-
11/29/2018 htips://vAvw.nindor.state.mn.uslipleservices/_/Retrieve/O/c-/p7_MB!o9Zb7dRkPOOlLeUg_?FILE=Print2&PARAMS_=495991394396,,,
>> fgkr4v
q
r <
Contractor Affidavit SLIbrTwitt0d
Thank you, your Contractor Affidavit has been approved.
Confirmation Summary
Confirmation Number:
0-077-784-512
Submitted Date and Time:
29 -Nov -2018 5:07:11 PM
Legal Name:
ALLSTATES PAVEMENT RECYCLING & STABILIZATION INC,
Federal Employer ID:
47-3023160
User Who Submitted:
APRSINC
Type of Request Submitted:
Contractor Affidavit
Affidavit Summary
Affidavit Number:
Minnesota ID:
Project Owner.
Project Number:
Project Begin Date:
Project End Date:
Project Location:
Project Amount:
Subcontractors:
2085117952
3908651
CITY OF MOUND
6128-17
19 -May -2017
25 -Aug -2017
2017 STREET & UTILITY IMPROVEMENT
$41,259.79
No Subcontractors
Important Messages
A copy of this page must be provided to the contractor or government agency that hired you.
Contact Us
If you need further assistance, contact our Withholding Tax Division at 651-282-9999, (toll-free) 800.657-3594, or (email)
with holding,tax@state.mn.us. Business hours are 8:00 a.m. - 4:30 p.m. Monday - Friday,
Please rint this pagg for your records using the print or save functionality built into your browser,
- 2002 -
htips:/Avww.mndor,state.mn.us/lp/eservices/_/Retrieve/0%/p7_MBlo9Zb7dRkPOOiLeUg_,?FILE—=Print2&PARAMS= 4959913943962977059 1/1
CONDITIONAL RELEASE AND WAIVER UPON FINAL PAYMENT
PARTIES: Park Construction Company AND
Allstates Pavement Recycling
PROJECT DESCRIPTION/LOCATION: 2017 Mound Street Utility (City of Mound)
PARK PROJECT NO. 17312
Upon receipt by the undersigned of checks from Park Construction Company in the sure of $2,063.00
payable to Subcontractor/Seller and when the checks have been properly endorsed and have been paid by
the bank upon which they are drawn, this document shall becorne effective to release pro tanto any
construction lien, mechanic's lien, stop notice or bond right the undersigned has on the project to the
following extent. This release covers a progress payment for labor, services, equipment, or material furnished
to Park Construction Company through November only and does not cover any retention or Items furnished
after said date. Before a recipient of this document relies on it, said party should verify evidence of payment
to the undersigned,
To the extent released under the foregoing paragraph, Subcontractor/Seller hereby certifies and warrants
that all charges for labor, materials, supplies, equipment, lands, licenses, and other expenses for which
Subcontractor/Seller, Contractor/Buyer, Contractor's/Buyer's Surety, or Owner might be sued or for which a
lien might be filed, or a bond claim made have been fully satisfied and paid, and Subcontractor/Seller agrees
to defend and save harmless Contractor/Buyer, Contractor's Buyer's Surety, and Owner from and against all
suits, actions, claims, liens, or demands of laborers, rne8chanics material suppliers or others filed or brought
against Contractor's/Buyer's Surety, or Owner or the buildings, structures, additions, or improvements
constructed under the prime contract for the Projects or arising out of material supplied by
Subcontractor/Seller or the performance of the subcontractor/purchase order work.
IN WITNESS WHEREOF, Subcontractor/Seller has executed this Conditional Release and Waiver Upon Progress
Payment and final discharge as of this _27_ day of _November_, 2018 -
(Subcontractor/Seller)
By: -r
Title: G'C..��'
STATE OFW\w%Wy-- )
) ss.
County of (1A )
Subscribed and sworn to me this 1day of ��, 2018.
KELL,I MARIE MITCHELL Notary Public for
NOTARY PUBLIC• MINNESOTA My commission Expires , )A,h ��_ _,, 20�.
i MY COMMISSION EXPIRES 01/31/2021
-2001 -
u
Contractor Affidavit Submitted
Thank you, your Contractor Affidavit has been approved.
Confirmation Summary
Confirmation Number:
Submitted Date and Time:
Legal Name:
Federal Employer ID:
User Who Submitted:
Type of Request Submitted:
Affidavit Summary
Affidavit Number:
Minnesota ID:
Project Owner:
Project Number:
Project Begin Date:
Project End Date:
Project Location:
Project Amount:
Subcontractors:
1-728-095-680
20 -Dec -2018 9:59:58 PM
ALL STATE TRAFFIC CONTROL, INC.
47-5418502
ASTCMN 16
Contractor Affidavit
1210900480
4300984
CITY OF MOUND
NO NUMBER
09 -May -2017
29 -Jun -2018
MOUND
$30,789,74
No Subcontractors
Important Messages
A copy of this page must be provided to the contractor or government agency that hired you.
Contact Us
If you need further assistance, contact our Withholding Tax Division at 651-282-9999, (toll-free) 800-657-3594, or (email)
withhold! ng.tax@state.mn.us. Business hours are 8:00 a.m. - 4:30 p.m. Monday - Friday.
Please pd9t this pAge for your records using the print or save functionality built into your browser.
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-1996-
DATE: 6/28/2019
CONTRACTOR'S PAY REQUEST NO. 12 & FINAL CONTRACTOR
Park Construction Co
2017 STREET, UTILITY & RETAINING WALL IMPROVEMENTS OWNER
City of Mound
CITY PROJECT NO, 17-01, 17-02, 17-03, 17-04 ENGINEER
Bolton & Menk
BMI PROJECT NO. C17.112393, 017.112394, C17.112395
FOR WORK COMPLETED FROM 6/30/2018 THROUGI- 6/28/2019
TOTALAMOUNT BID..............................................................................................................--.............................
$ 3,247,178.52
APPROVED CHANGE ORDERS + EXTRA WORK.....................................................................................
$ 79,661.56
CURRENT CONTRACT AMOUNT...........................................................................................................
$ 3,326,840.08
TOTAL, COMPLETED WORK TO DATE....................................................................................................................
$ 2,955,068.94
TOTAL, STORED MATERIALS TO DATE................................................................................................................
$
DEDUCTION FOR STORED MATERIALS USED IN WORK COMPLETED...............................................................
$
TOTAL, COMPLETED WORK & STORED MATERIALS...........................................................................................
$ 2,955,068.94
RETAINEDPERCENTAC ( 0.0% ).................................................................................................
$
TOTAL AMOUNT OF OTHER DEDUCTIONS.........................................................................................................
$
NET AMOUNT DUE TO CONTRACTOR TO DATE....................................................................................................
$ 2,955,068.94
TOTAL AMOUNT PAID ON PREVIOUS ESTIMATES................................................................................................
$ 2,914,199.46
PAY CONTRACTOR AS ESTIMATE NO. 12 & FINAL..............................................................................................
$ 40,869.48
Certificate for Payment
I hereby certify that, to the best of my knowledge and belief, all items quantities and prices
of work and material shown on this Estimate are correct and that all work has been
performed in full accordance with the terms and conditions of the Contract for this project
between the Owner and the undersigned Contractor, and as amended by any
authorized changes, and that the foregoing is a true and correct statement of the amount
for the Final Estimate, that the provisions of M. S. 290.92 have been complied with and that
all claims against me by reason of the Contract have been paid or satisfactorily secured.
Contractor: Park -Co" nstmeflan Company
14 1 81 st �l�ve,� t�
innZa bfi&, Mfdd�854 .. �
q
a s
By
Name _. w Title
Date ? -�
CHECKED AND APPROVED AS TO QUANTITIES AND AMOUNT:
BOLTON & MENK, INC., ENGINEERS, 2638 SHADOW LN, SUITE 200, CHASKA MN 55318
By �� CITY ENGINEER
Brian D. Simmons
Date 10-14-2019
APPROVED FOR PAYMENT:
Owner: CITY OF MOUND
By
Name Title Date
-1995-
QBOLTON
& MENK
Real People. Real Solutions.
October 16, 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: 19521448-8838
Fax: 19521448-8805
Bolton-Menk.com
RE: 2017 Street, Utility and Retaining Wall Improvements — Lynwood Blvd/Fairview Ln,
Wilshire Blvd/Maywood Rd/Hiddenvale Ln, Tuxedo Blvd Phase III
City Project Nos. PW -17-01, PW -17-02, PW -17-03, PW -17-04
Pay Request No. 12 & Final
Dear Mr. Hoversten:
Please find enclosed Pay Request No. 12 & Final from Park Construction Company for work
completed on the 2017 Street, Utility and Retaining Wall Improvement Project through June 28,
2019.
At this time all punchlist items have been completed. We have received and reviewed the
Contractor's close out documents including IC134 Labor compliance, Lien Releases and Surety
Releases, and are satisfied that the Contractor has met their requirements to make final payment
on the project.
We have reviewed the contractor's request, verified quantities and recommend payment in the
amount of $40,869.48 to Park Construction Company.
Sincerely,
Bolton & Menk, Inc.
Brian D. Simmons, P.E.
City Engineer
Bolton & Menk is an
Mound City Council Minutes—October 15, 2019 Workshop
change before the final proposed budget is presented at the December 10th meeting. No
additional feedback was given.
Discussion ensued on the Westedge street project assessment and it was agreed that Larson,
Salazar, Hoversten and Simmons would meet to discuss the project financing as it was
complicated by cooperative agreements for individual easements. Hoversten said they can
show how the city and residents benefited by doing a joint project and why the Met Council
should/could not be required to pay for it all as they had options to do trenchless technology.
Larson asked that the 'difference' in costs noted by the hearing attendees be explained as well.
6. Adjourn
MOTION by Larson, seconded by Pugh, to adjourn at 9:40 p.m. All voted in favor. Motion
carried.
Attest: Catherine Pausche, Clerk
Mayor Raymond J. Salazar
-1993-
Mound City Council Minutes—October 15, 2019 Workshop
not reflected as well as additional capital needs will continue to be identified as there are
multiple 'placeholders' in the current CIP, so she recommends the 5% scenario to be realistic.
Bergquist asked if most cities assess for street projects. Simmons said they used to, but there
have been more court challenges. Simmons said because Mound has been consistent with the
application of their assessment policy and capped assessments at $6,600, a court challenge is
less of an issue. Simmons said they actually have to monitor that they are reaching the
minimum assessment amount with some projects. Hoversten said more cities are moving to a
Minnetonka model that includes franchise fees and increased property taxes to create reserve
funds for street projects. Simmons noted Mound has now an established level of service with all
the reconstructed streets that will be maintained with a combination of seal coating every 5 — 7
years and mill and overlay every 20 years that should result in a 35 to 40 -year life before the
need for another total reconstruct. Simmons said the regular maintenance prevents water
intrusions and other hazards that cause rapid deterioration. Pausche noted the plan has some
street projects starting in 2024 of streets on Three Points that were not totally reconstructed and
those would probably need to be pushed out at 3.5%. Pausche also noted the plan is subject to
change and the utility funds may be able to manage increases later in the decade but for now,
the levy seems better able to absorb increases while maintaining a tax rate in the 40's.
Pugh said she supports the 5% levy increase scenario because Mound is ahead of the game
compared to what she sees happening in other cities and in the nation as a whole and she feels
we should keep on top of maintenance. Bergquist questioned the $200K for Surfside Parking
lot and questioned why the DNR won't contribute. Discussion ensued about the cost of the
Swenson Park tennis courts, the cooperative agreement with Chapman Place and unfunded
mandates, like with street signs. Velsor asked if there will be tire stops at Swenson and
Hoversten said yes but that the acrylic surface on the court won't happen until next year due to
weather.
Salazar asked for an informal poll and Velsor said he is OK with 5%, Larson 3.5% because she
feels there are some areas of the budget that need conservation, Pugh 5%, Bergquist 5% and
the Mayor said he would have to think more about it. Discussion ensued about the need to
increase the levy in order to contain utility rate increases. Larson said future councils will decide
the levy increases and Pausche said it is not binding but it is important to forecast needs and
offer a plan to maintain transparency, particularly when we are allowing the utility funds to go
negative. Hoversten noted many of the 2019 projects were delayed to allow time to repackage
them so there is a spike in capital expense in 2020, for which a memo was included.
Discussion ensued on the Westedge street project assessment and it was agreed that Larson,
Salazar, Hoversten and Simmons would meet to discuss the project financing as it was
complicated by cooperative agreements for individual easements. Hoversten said they can
show how the city and residents benefited by doing a joint project and why the Met Council
should/could not be required to pay for it all.
5. Council direction to Staff on how to proceed with preparing the final budget,
including the levy and utility rates, for consideration at the December 10th final meeting
of the year
Pausche said the workshop is just an opportunity to give any additional feedback on the 2020
preliminary proposed budget that was presented on September 10th. Hoversten noted the
proposed levy increase was 3% and the sewer increase was 3% and that is not expected to
-1992-
Mound City Council Minutes—October 15, 2019 Workshop
available from many partners, including Department of Health, Pollution Control Agency and the
Met Council. Hoversten touched upon sewer deduct meters and requirements for new homes
and major rehabs to install one, but said because the first 1 OK gallons are included in the base
fee, it is an option but not always justifiable for people who don't use a lot of outside water. Staff
was directed to maintain the current approach to high reads/bills.
C. Self -Insurance for property in the open, trail bathrooms
Pausche said the League of Minnesota Cities Insurance Trust provides stellar value and
customer service, but that there are still opportunities to cut costs if the city is willing to assume
some risk, specifically for property in the open (PIO) that is unlikely to be damaged all at once,
or at all, and that premium savings can fund reserves for the ultimate replacement that is
inevitable when the equipment reaches the end of its useful life. In addition, Pausche noted that
the trail bathroom building is considered historical even though the city has said it would not be
replaced in its current form. Pausche said most claims are for graffiti or vandalism with repairs
within the $1000 deductible and that liability coverage for injury is separate and still in place if
PIO is ended. Staff was directed to remove the items listed form the property schedule with the
2020 renewal.
D. Fee Schedule
Pausche said the fee schedule is a standard agenda topic for the fall workshop and this year
Staff suggests reviewing Depot rental fees and dock fees. Hoversten said the Parks & Open
Spaces Commission (POSC) has discussed Depot rental fees and will do so again at the
November meeting. Staff's recommendation is to increase fees for non-residents/non-local non-
profits and local non -profits, and also to create another tier for residents to encourage more use
during weekdays all with the objective to free up availability in high demand times for Mound
residents.
Discussion ensued with the Council fine on raising fees for non-residents to $500 and local non-
profits to $100. Staff was directed to have more discussion with POSC on how resident rental
fees should be handled, including whether two tiers are necessary and/or in-season/off-season
rates. It was agreed that two rentals in the same day was not realistic based on time and
human resources.
Hoversten said the City needs to move to more active management instead of having a first
come first serve approach to the allocation of Boat Storage Units (BSUs) in the dock program.
Bergquist suggested the 17 shared docks be grandfathered and once the share is gone, that it
not be renewed in order to manage demand for BSUs and congestion. Bergquist also
suggested the visitor's permit should be 10 days for $50 with up to two permits per season.
Larson said multiple slips should cover the cost of the in/out service in addition to the standard
cost for a BSU. Hoversten said more discussion around the allocation of BSUs and incremental
costs for additional BSUs is needed and this topic will be brought back for further discussion at
a regular meeting.
4. Lona -Term Financial Plan (LTFP)/Capital Improvement Plan (CIP)
Pausche provided background on the format of the LTFP as presented in the packet and said
two scenarios showing a 3.5% levy increase (with a net deficit of $7.7M) and a 5.0% levy
increase (with a net deficit of $2.7M) in years 2021 — 2029 were presented to show the net
impact on the bottom line and ability to cover the utility fund deficits and create reserves to
offset the need for special assessments in future street projects. Hoversten emphasized
consistency is important to avoid rapid swings in the levy increase. Pausche noted inflation is
-1991 -
MOUND CITY COUNCIL MINUTES
OCTOBER 15, 2019
The City Council of the City of Mound, Hennepin County, Minnesota, met in special session on
Tuesday, October 15, 2019, at 6:30 p.m. in the council chambers of the Centennial Building.
Members present: Mayor Ray Salazar; Council Members Phil Velsor, Paula Larson, Sherrie
Pugh, Jeff Bergquist
Members absent: None
Others present: City Manager/Public Works Director Eric Hoversten, Director of Finance and
Administration Catherine Pausche, City Engineer Brian Simmons, Elizabeth Hustad
1. Open meeting
Mayor Salazar called the meeting to order at 6:30 p.m.
2. Approve the agenda
Motion by Bergquist, seconded by Pugh to approve the agenda. All voted in favor. Motion
carried.
3. Discussion Items
A. Ordinance Changes
a. Council Stipends
Pausche summarized the statutory requirements for implementing an elected official pay
increase including an ordinance change and effective date after the next election. Staff was
directed to complete the posting requirements in time for the November 12 meeting for action.
b. Electric and Gas Franchise Fee
Pausche gave background on the self-imposed sunset clause that is meant to ensure council's
revisit the electric and gas franchise fees from time to time. Pausche requested the sunset
expiration be extended to 2025 as capital needs and pressure on tax and utility rates remain.
Discussion ensued with Bergquist noting the revenue amount the fees raise, Salazar asking
what other cities charge and Larson asking what the current fee is. Hoversten noted the gas
and electric utilities do not have to pass on the fees via their customer billing, but they do, and
that many cities charge a lot more as part of a funding strategy for street improvements as these
fees correspond to use of the City's right of way and the need to work around the infrastructure
during projects as well as assistance during weather events. Pausche noted the fee is currently
$2.75/meter/month for both gas and electric. Staff was directed to complete the posting
requirements in time for the November 12 meeting for council action.
B. Utility Billing Relief for Extraordinary Events
Pausche walked through the information provided in the packet, including highlights from 2016
council discussions, the reasons for the level of base (fixed) and variable rates, education
efforts, procedures for handling high reads and examples of how the city responds to high bills
when customers seek relief.
Pugh confirmed the city does not bill quarterly due to cost but said more could be done to
educate residents on how to pay monthly in advance as there is a lot of consternation about the
amount of Mound utility bills. Pugh suggested University of MN Extension Dept. produces
materials on conservation efforts and City Engineer Brian Simmons said resources are also
-1990-
Cash Payment E 609-49750-265 Freight
Invoice 0242792 10/102019
Transaction Date 10/16/2019
Refer 330 WINE COMPANY
CITY OF MOUND
Payments
Current Period: October 2019
FREIGHT
Wells Fargo
Cash Payment E 609-49750-253 Wine For Resale
Invoice 121299 10/32019
Cash Payment E 609-49750-265 Freight
Invoice 121299 10/32019
Cash Payment E 609-49750-253 Wine For Resale
Invoice 122223 10/102019
Cash Payment E 609-49750-265 Freight
Invoice 122223 10/102019
Cash Payment E 609-49750-251 Liquor For Resale
Invoice 122224 10/102019
Cash Payment E 609-49750-265 Freight
Invoice 122224 10/102019
Transaction Date 10/16/2019
Refer 331 WINE MERCHANTS
Cash Payment E 609-49750-253 Wine For Resale
Invoice 7255457 10/92019
Cash Payment E 609-49750-253 Wine For Resale
Invoice 7254408 1022019
Cash Payment E 609-49750-253 Wine For Resale
Invoice 7254407 1022019
Cash Payment E 609-49750-253 Wine For Resale
Invoice 7256561 10/162019
Transaction Date 10/16/2019
WINE
FREIGHT
WINE
FREIGHT
LIQUOR
FREIGHT
Wells Fargo
WINE
WINE
WINE
WINE
Wells Fargo
Fund Summary
10100 Wells Fargo
609 MUNICIPAL LIQUOR FUND $102,998.14
$102,998.14
Pre -Written Checks $0.00
Checks to be Generated by the Computer $102,998.14
Total $102,998.14
�
10100
10100
10100
Total
Total
Total
10/17/19 11:45 AM
Page 7
$2.50
$442.00
$632.00
$11.55
$440.00
$8.25
$176.00
$1.65
$1,269.45
$2,634.00
$23.00
$1,325.00
$80.00
$4,062.00
Transaction Date 10/16/2019
CITY OF MOUND
Payments
Current Period: October 2019
Wells Fargo 10100 Total
Refer
395 SOUTHERN WINE & SPIRITS OF M
_
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 1878766
10/172019
GASKET @ HWS
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 1878765
10/172019
Wells Fargo 10100
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR CREDIT- MAKERS MARK BOURBON
Invoice 9189434
10/142019
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR CREDIT- WINDSOR CANADIAN
Invoice 9189428 10/142019
Transaction Date 10/16/2019 Wells Fargo 10100 Total
Refer
325 SOUTHERN WINE & SPIRITS OF M _
_
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 1873425
10/32019
GASKET @ HWS
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 1873428
10/32019
Wells Fargo 10100
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa
MIX
Invoice 1873427
10/32019
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 1873426
10/32019
Transaction Date
10/16/2019
Wells Fargo 10100
Refer
327 ST. CLOUD REFRIGERATION, INC
_
Cash Payment
E609-49750-400 Repairs & Maintenance
COOLER MTCE- REPLACED ONE DOOR
Invoice 0242010
10/32019
GASKET @ HWS
Invoice W48302
10/92019
FREIGHT
Transaction Date
10/16/2019
Wells Fargo 10100
Refer
328 VINOCOPIA, INCORPORATED _
Cash Payment
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 0242010
10/32019
Invoice 0242793
Cash Payment
E 609-49750-265 Freight
FREIGHT
Invoice 0242010
10/32019
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa
MIX
Invoice 0242009
10/32019
Cash Payment
E 609-49750-265 Freight
FREIGHT
Invoice 0242009
10/32019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 0242008
10/32019
Cash Payment
E 609-49750-265 Freight
FREIGHT
Invoice 0242008
10/32019
Transaction Date
10/16/2019
Wells Fargo
Refer
329 VINOCOPIA, INCORPORATED _
Cash Payment
E 609-49750-251 Liquor For Resale LIQUOR
Invoice 0242793
10/102019
Cash Payment
E 609-49750-265 Freight FREIGHT
Invoice 0242793
10/102019
Cash Payment
E 609-49750-251 Liquor For Resale LIQUOR
Invoice 0242792
10/102019
•::
10/17/19 11:45 AM
Page 6
$11,985.88
$1,185.00
$1,273.58
-$144.00
-$54.00
$2,260.58
$1,666.00
$4,967.35
$38.87
$504.00
Total $7,176.22
$420.42
Total $420.42
10100 Total
$515.05
$7.50
$120.00
$12.00
$44.00
$2.50
$701.05
$297.00
$7.50
$135.00
CITY OF MOUND 10/17/1911: 45 AM
Page 5
Payments
Current Period: October 2019
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$4,374.50
Invoice 2632873
10/32019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$1,282.00
Invoice 2631823
1022019
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa
MIX CREDIT
-$94.00
Invoice 344493
9262019
Transaction Date
10/16/2019
Wells Fargo
10100 Total
$5,562.50
Refer
322 PHILLIPS WINE AND SPIRITS, INC _
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$95.00
Invoice 2635724
10/92019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$1,322.00
Invoice 2635725
10/92019
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa
MIX
$45.00
Invoice 2635726
10/92019
Transaction Date
10/16/2019
Wells Fargo
10100 Total
$1,462.00
Refer
395 PHILLIPS WINE AND SPIRITS, INC _
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$304.95
Invoice 2639734
10/162019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$1,203.00
Invoice 2639735
10/162019
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa
MIX
$117.00
Invoice 2639736
10/162019
Transaction Date
10/16/2019
Wells Fargo
10100 Total
$1,624.95
Refer
321 ROUND LAKE VINEYARDS & WINE _
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$175.50
Invoice 2051
10/82019
Transaction Date
10/16/2019
Wells Fargo
10100 Total
$175.50
Refer
324 SHANKEN COMMUNICATIONS, INC _
Cash Payment
E 609-49750-255 Misc Merchandise For R
WINE SPECTATOR PUBLICATIONS 10-15-19
$15.00
EDITION
Invoice S0692705 9/102019
Cash Payment
E 609-49750-255 Misc Merchandise For R
WINE SPECTATOR PUBLICATIONS 10-31-19
$15.00
EDITION
Invoice S0693603 9242019
Transaction Date
10/16/2019
Wells Fargo
10100 Total
$30.00
Refer
326 SOUTHERN WINE & SPIRITS OF M _
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$10,148.00
Invoice 1876058
10/102019
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$1,239.99
Invoice 1876057
10/102019
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa
MIX
$165.89
Invoice 1876056
10/102019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$72.00
Invoice 5048599
10/42019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$352.00
Invoice 5048046
9/302019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$8.00
Invoice 9178727-2
6272019
-1987-
CITY OF MOUND
Payments
Current Period: October 2019
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX
Invoice 1399967 1022019
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 1399966
1022019
BEER
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 1399968
1022019
BEER
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 1399964
1022019
Wells Fargo 10100
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 1399965
1022019
$749.33
Transaction Date
10/16/2019
Wells Fargo 10100
Refer
317 LUPULIN BREWING COMPANY
_
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 24417
10/102019
SVC
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 24177
10/32019
FREIGHT
Transaction Date
10/16/2019
Wells Fargo 10100
Refer
394 MARLIN S TRUCKING DELIVERY
_
E 609-49750-252 Beer For Resale BEER
Invoice 8653
Cash Payment
E 609-49750-265 Freight
DELIVERY
SVC
10-03-19
Invoice 35690
10/32019
Cash Payment
E 609-49750-265 Freight
FREIGHT
Cash Payment
E 609-49750-265 Freight
DELIVERY
SVC
10-04-19
Invoice 35695
10/42019
WINE
$749.33
Invoice 67085
Cash Payment
E 609-49750-265 Freight
DELIVERY
SVC
10-10-19
Invoice 35710
10/102019
Invoice 67085
10/142019
Cash Payment
E 609-49750-265 Freight
DELIVERY
SVC
10-11-19
Invoice 35718
10/112019
Transaction Date
10/17/2019
Wells Fargo
10100
Refer
318 MODIST BREWING CO. LLC _
Cash Payment
E 609-49750-252 Beer For Resale BEER
Invoice 8653
10/92019
Transaction Date 10/16/2019 Wells Fargo 10100
Total
Total
10/17/19 11:45 AM
Page 4
$37.00
$1,112.00
$185.15
$7,368.75
$12,013.78
$20.716.68
$298.00
$270.00
$568.00
$526.35
$104.40
$337.85
$39.15
Total $1,007.75
$395.25
Total
Refer 319 MOUND MARKETPLACE ASSOC _
Cash Payment E 609-49750-412 Building Rentals NOVEMBER 2019 COMMON AREA MTCE &
INSURANCE HWS
Invoice 110119 11/12019
Transaction Date 10/16/2019 Wells Fargo 10100 Total $993.09
$395.25
$993.09
Refer
320 PAUSTIS AND SONS WINE COMPA
_
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$351.00
Invoice 66294
10!72019
Cash Payment
E 609-49750-265 Freight
FREIGHT
$7.00
Invoice 66294
10!72019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$749.33
Invoice 67085
10/142019
Cash Payment
E 609-49750-265 Freight
FREIGHT
$10.00
Invoice 67085
10/142019
Transaction Date 10/16/2019
Wells Fargo 10100
Total $1,117.33
Refer
323 PHILLIPS WINE AND SPIRITS, INC
_
•:•
CITY OF MOUND
Payments
Current Period: October 2019
10/17/19 11:45 AM
Page 3
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$522.45
Invoice 168413
10/102019
Transaction Date
10/16/2019
Wells Fargo
10100 Total
$1,536.45
Refer
312 INBOUND BREWCO
_
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$288.00
Invoice 5455
10/142019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
-$160.45
Invoice 5455
10/142019
Transaction Date
10/16/2019
Wells Fargo
10100 Total
$127.55
Refer
314 JACK PINE BREWERY
_
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$176.40
Invoice 3168
10/42019
Transaction Date
10/16/2019
Wells Fargo
10100 Total
$176.40
Refer
313 JJ TAYLOR. DISTRIBUTING MINN
_
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$3,353.85
Invoice 3017164
10/32019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$79.45
Invoice 3017163
10/32019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$3,489.89
Invoice 3028601
10/102019
Transaction Date
10/16/2019
Wells Fargo
10100 Total
$6,923.19
Refer
316 JOHNSON BROTHERS LIQUOR
_
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa MIX
$65.00
Invoice 1405414
10/92019
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$5,682.28
Invoice 1405412
10/92019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$5,784.25
Invoice 1405413
10/92019
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$416.70
Invoice 1402862
10!72019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$1,269.60
Invoice 1402863
10!72019
Cash Payment
E 609-49750-253 Wine For Resale
WINE CREDIT
-$56.16
Invoice 571303
10/82019
Transaction Date
10/16/2019
Wells Fargo
10100 Total
$13,161.67
Refer
393 JOHNSON BROTHERS LIQUOR
_
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$2,146.79
Invoice 1410787
10/162019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$80.00
Invoice 1410790
10/162019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$515.00
Invoice 1410789
10/162019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$2,778.80
Invoice 1410788
10/162019
Transaction Date
10/16/2019
Wells Fargo
10100 Total
$5,520.59
Refer 315 JOHNSON BROTHERS LIQUOR
-1985-
CITY OF MOUND
Payments
Current Period: October 2019
Cash Payment E 609-49750-210 Operating Supplies SUPPLIES, BAGS
Invoice 0100245300 10/42019
Cash Payment E 609-49750-255 Misc Merchandise For R MDSE- JELLO SHOT CUPS
Invoice 0100245300 10/42019
Transaction Date 10/16/2019 Wells Fargo 10100
Total
Refer 392 BELLBOY CORPORATION
_
Cash Payment E 609-49750-265 Freight
FREIGHT
Invoice 0081099000 10/162019
BEER
Cash Payment E 609-49750-253 Wine For Resale
WINE
Invoice 0081099000 10/162019
Cash Payment
Cash Payment E 609-49750-265 Freight
FREIGHT
Invoice 0081093400 10/162019
10/152019
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 0081093400 10/162019
BEER
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 0081064800 10/162019
Transaction Date
Cash Payment E 609-49750-265 Freight
FREIGHT
Invoice 0081064800 10/162019
Transaction Date 10/16/2019
Wells Fargo 10100 Total
Refer
307 CAPITOL BEVERAGE SALES, L.P.
_
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 7114981
10/152019
Invoice 123-02458 10/82019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 7114982
10/152019
Transaction Date 10/16/2019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 7114949
10/82019
Transaction Date
10/16/2019
Wells Fargo 10100
Refer 308 CLEAR RIVER BEVERAGE CO. _
Cash Payment E 609-49750-252 Beer For Resale BEER
Invoice 72954462 10/102019
Transaction Date 10/16/2019 Wells Fargo 10100
Refer 309 DAHLHEIMER BEVERAGE LLC
_
Cash Payment E 609-49750-252 Beer For Resale
BEER
Invoice 123-02457 10/82019
Cash Payment E 609-49750-252 Beer For Resale
BEER
Invoice 123-02458 10/82019
Cash Payment E 609-49750-252 Beer For Resale
BEER
Invoice 1132547 10/112019
Transaction Date 10/16/2019
Wells Fargo 10100
Refer 310 ENKI BREWING COMPANY
Cash Payment E 609-49750-252 Beer For Resale
Invoice 10873 10/42019
Transaction Date 10/16/2019
BEER
Wells Fargo
Refer 311 HOHENSTEINS, INCORPORATED _
Cash Payment E 609-49750-252 Beer For Resale BEER
Invoice 166988 10/32019
�
10100
Total
Total
Total
Total
10/17/19 11:45 AM
Page 2
$95.20
$11.94
$107.14
$1.55
$112.00
$26.35
$2,328.05
$498.00
$9.30
$2,975.25
$2,613.79
$96.90
$2,628.35
$5,339.04
$353.86
$353.86
$375.40
$52.00
$150.00
$577.40
$18.25
$18.25
$1,014.00
Batch Name 102219HWS
Payments
CITY OF MOUND
Payments
Current Period: October 2019
User Dollar Amt $102,998.14
Computer Dollar Amt $102,998.14
Refer 300 AMPHORA IMPORTS LLC
Cash Payment E 609-49750-253 Wine For Resale
Invoice 6505 10/92019
Cash Payment E 609-49750-265 Freight
Invoice 6505 10/92019
Transaction Date 10/16/2019
$0.00 In Balance
WINE
FREIGHT
Wells Fargo 10100 Total
10/17/19 11:45 AM
Page 1
$269.00
$4.50
$273.50
Refer 301 ARTISAN BEER COMPANY
_
Cash Payment E 609-49750-252 Beer For Resale
BEER
$439.25
Invoice 3378700 10/102019
Cash Payment E 609-49750-252 Beer For Resale
BEER
$203.70
Invoice 3377055 10/32019
Transaction Date 10/16/2019
Wells Fargo 10100 Total
$642.95
Refer 304 BELLBOY CORPORATION
_
Cash Payment E 609-49750-265 Freight
FREIGHT
$21.70
Invoice 0080938400 10/42019
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
$2,000.15
Invoice 0080938400 10/42019
Cash Payment E 609-49750-265 Freight
FREIGHT
$3.10
Invoice 0080940400 10/42019
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
$164.75
Invoice 0080940400 10/42019
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
$727.48
Invoice 0080940400 10/42019
Cash Payment E 609-49750-265 Freight
FREIGHT
$12.75
Invoice 0080940400 10/42019
Transaction Date 10/16/2019
Wells Fargo 10100 Total
$2,929.93
Refer 391 BELLBOY CORPORATION
_
Cash Payment E 609-49750-210 Operating Supplies
SUPPLIES, BAGS
$84.70
Invoice 0100298900 10/162019
Cash Payment E 609-49750-255 Misc Merchandise For R
MDSE- COCKTAIL STRAINER, WAITERS
$77.18
CORKSCREW, DOUBLE JIGGERS, PLASTIC
FLASK, 3 PC STAINLESS SHAKER SET, GIFT
BAGS
Invoice 0100298900 10/162019
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa
MIX
$136.60
Invoice 0100298900 10/162019
Transaction Date 10/16/2019
Wells Fargo 10100 Total
$298.48
Refer 302 BELLBOY CORPORATION
_
Cash Payment E 609-49750-210 Operating Supplies
SUPPLIES, BAGS
$27.50
Invoice 0100283000 10/112019
Cash Payment E 609-49750-255 Misc Merchandise For R
MDSE- CORKSCREW W/ KNIFE, CARDED
$38.34
AUGER
Invoice 0100283000 10/112019
Transaction Date 10/16/2019
Wells Fargo 10100 Total
$65.84
Refer 303 BELLBOY CORPORATION _
-1983-
CITY OF MOUND
Payments
Current Period: October 2019
Cash Payment E 602-49450-381 Electric Utilities ELECTRIC SVC 8-24-19 THRU 9-24-19
CARLOW RD LIFT STATION
Invoice 655264037 9262019
Transaction Date 10/15/2019 Wells Fargo 10100
Refer 256 XCEL ENERGY
Cash Payment E 101-43100-381 Electric Utilities
Invoice 655887347 10/32019
Transaction Date 10/16/2019
Total
ELECTRIC SVC 9-03-19 THRU 10-02-19 CITY
OWNED STREET LIGHTS
Wells Fargo 10100 Total
Refer
250 ZARNO TH BRUSH WORKS, INCOR
_
Cash Payment
E 101-43100-220 Repair/Maint Supply
TYMCO ZARNOTH DISPOSABLE GUTTER
222 AREA FIRE SERVICES
$24,753.96
BROOMS 12 QTY
Invoice 0177250
9252019
$4,757.86
Cash Payment
E 101-43100-220 Repair/Maint Supply
ELGIN TYMCO DISPOSABLE GUTTER
$3,188.50
475 TIF 1-3 Mound Harbor Renaissan
BROOMS 12 QTY
Invoice 0177250
9252019
602 SEWER FUND
Transaction Date 10/15/2019 Wells Fargo 10100 Total
Fund Summary
10100 Wells Fargo
101 GENERAL FUND
$57,908.63
222 AREA FIRE SERVICES
$24,753.96
281 COMMONS DOCKS FUND
$448.80
285 HRA/HARBOR DISTRICT
$4,757.86
401 GENERAL CAPITAL PROJECTS
$227.45
454 TIF1-1 HARRISON BAY SR HOUSING
$3,188.50
475 TIF 1-3 Mound Harbor Renaissan
$50.12
601 WATER FUND
$8,283.94
602 SEWER FUND
$97,520.54
609 MUNICIPAL LIQUOR FUND
$9,685.94
670 RECYCLING FUND
$14,494.95
$221,320.69
Pre -Written Checks $0.00
Checks to be Generated by the Computer $221,320.69
Total $221,320.69
-1982-
10/17/19 12:24 PM
Page 10
$82.03
$82.03
$4,653.07
$4,653.07
$1,536.00
$1,368.00
$2,904.00
CITY OF MOUND 10/17/19 12:24 PM
Page 9
Payments
Current Period: October 2019
Cash Payment
E 101-49999-300 Professional Srvs
LEGAL NTCE- 2019 FORCED MOWING &
$154.20
FIRE DEPT
NUISANCE ASSESSMENT HEARING PUBL- 9-
Cash Payment E 222-42260-384 Refuse/Garbage Dispose GARBAGE SVC OCT 2019- CITY HALL &
$108.73
21-19
Invoice 725468
9212019
Cash Payment E 101-45200-384 Refuse/Garbage Dispose GARBAGE SVC OCT 2019- PARKS
$638.63
Cash Payment
E 475-46386-351 Legal Notices Publishing
PUB HEARING 10-1-19 -LEGAL NTCE-
$50.12
Invoice 7304085-1593-2 9/302019 Project 19-3
CONSIDER MAJOR SUBDIVISION -PRELIM
$969.58
Refer 255 WIDMER CONSTRUCTION, LLC
PLAT- MOUND HARBOR DISTRICT -
$1,805.00
BLVD- 9-20-19
PUBLISHED 9-21-19
Invoice 725471
9212019
Refer 249 XCEL ENERGY _
Cash Payment
E 602-49450-351 Legal Notices Publishing
LEGAL NTCE- DELINQUENT UTILITIES
$300.69
ASSESSMENT HEARING PUBL 9-22-18
Invoice 725469
9212019
Cash Payment
E 602-49450-351 Legal Notices Publishing
LEGAL NTCE- 2019 DELINQUENT UTILITIES
$30.84
ASSESSMENT HEARING PUBL 9-21-19-
PART2
Invoice 725470
9212019
Transaction Date
10/15/2019
Wells Fargo 10100 Total
$1,094.83
Refer
246 ULINE
_
Cash Payment
E 285-46388-210 Operating Supplies
JUMBO BATH TISSUE- PARKING DECK
$97.80
BATHROOM
Invoice 112844826 9/302019
Cash Payment
E 222-42260-210 Operating Supplies
DELUXE TOILET TISSUE- PUBLIC WORKS
$91.79
Invoice 112844826 9/302019
Cash Payment
E 101-45200-210 Operating Supplies
MULTI -FOLD TOWELS- DEPOT BLDG
$69.79
Invoice 112844826 9/302019
Transaction Date
10/15/2019
Wells Fargo 10100 Total
$259.38
Refer
247 USA BLUEBOOK
_
Cash Payment
E 602-49450-210 Operating Supplies
10 BLOCKS DEODORANT CHERRY- SEWER
$857.48
DEPT
Invoice 024361
9/302019
Transaction Date
10/15/2019
Wells Fargo 10100 Total
$857.48
Refer 248 WASTE MANAGEMENT OF WI -MN
Cash Payment E 101-41930-384 Refuse/Garbage Dispose GARBAGE SVC OCT 2019- CITY HALL &
$108.73
FIRE DEPT
Invoice 7304083-1593-7 9/302019
Cash Payment E 222-42260-384 Refuse/Garbage Dispose GARBAGE SVC OCT 2019- CITY HALL &
$108.73
FIRE DEPT
Invoice 7304083-1593-7 9/302019
Cash Payment E 101-45200-384 Refuse/Garbage Dispose GARBAGE SVC OCT 2019- PARKS
$638.63
Invoice 7304084-1593-5 9/302019
Cash Payment E 602-49450-384 Refuse/Garbage Dispose GARBAGE SVC OCT 2019- PUB WKS BLDG
$113.49
Invoice 7304085-1593-2 9/302019 Project 19-3
Transaction Date 10/15/2019 Wells Fargo 10100 Total
$969.58
Refer 255 WIDMER CONSTRUCTION, LLC
Cash Payment E 601-49400-440 Other Contractual Servic CUT IN CURB STOP @ 6116 BARTLETT
$1,805.00
BLVD- 9-20-19
Invoice 4684 10/92019
Transaction Date 10/16/2019 Wells Fargo 10100 Total
$1,805.00
Refer 249 XCEL ENERGY _
- 1981 -
CITY OF MOUND
Payments
Current Period: October 2019
Transaction Date 10/15/2019
Refer 252 PERFORMANCEPLUS LLC
Cash Payment E 222-42260-305 Medical Services
Invoice 5823 9/182019
Cash Payment E 222-42260-305 Medical Services
Invoice 5823 9/182019
Transaction Date 10/15/2019
Wells Fargo 10100 Total
RESPIRATOR QUALIFIER TESTS SEPT 16
2019- QTY 18
MEDICAL EXAM PHYSICAL- FIREMEN- 15
QTY
Wells Fargo 10100 Total
Refer 241 PLUNKETT S, INCORPORATED _
Cash Payment E 101-41910-440 Other Contractual Servic PEST CONTROL SVC- QUARTERLY- CENT
BLDG
Invoice W17325608 10/42019
Transaction Date 10/15/2019 Wells Fargo 10100 Total
Refer 242 R.C. ELECTRIC, INCORPORATED _
Cash Payment E 609-49750-440 Other Contractual Servic REPLACE COOLER SWITCH @HWS 120 AMP
RED PILOT SWITCH
Invoice 6864 10/32019
Transaction Date 10/15/2019 Wells Fargo 10100 Total
Refer 243 REPUBLIC SERVICES _
Cash Payment E 670-49500-440 Other Contractual Servic SEPT 2019 CITYWIDE RECYCLING SVC
Invoice 0894-005005840 9252019
Transaction Date 10/15/2019 Wells Fargo 10100
Refer 257 STAN MORGAN & ASSSOC. INC. _
Cash Payment E 609-49750-440 Other Contractual Servic NEW STORE FIXTURE FLOOR PLANS -
REMODEL HWS
Invoice 102219 10/152019
Transaction Date 10/16/2019 Wells Fargo 10100
Refer 244 SUN NEWSPAPERS -HWS ACCT. _
Cash Payment E 609-49750-340 Advertising WEST LAKES GUIDE COLOR AD
Invoice 730651 10/62019
Transaction Date 10/15/2019 Wells Fargo 10100
10/17/19 12:24 PM
Page 8
$139.75
$576.00
$2,190.00
$2,766.00
$112.49
$112.49
$202.95
$202.95
$14,494.95
Total $14,494.95
$1,500.00
Total $1,500.00
$390.00
Total
Refer
245 SUN PATRIOT NEWSPAPER -CITY
Cash Payment
E 401-43118-351 Legal Notices Publishing
LEGAL NTCE- 2018 STREET IMPROV PROJ-
PW18-01 WESTEDGE BLVD PROPOSED
ASSESSMENT HEARING- PUBL 9-21-19
Invoice 725471
9212019
Project PW1801
Cash Payment
E 401-43113-351 Legal Notices Publishing
LEGAL NTCE- 2013 STREET IMPROV PROJ-
PW13-01 TAX FORFEITED PARCEL
PROPOSED RE -ASSESSMENT HEARING-
PUBL 9-21-19
Invoice 725467
9212019
Project PW1301
Cash Payment
E 601-49400-351 Legal Notices Publishing
LEGAL NTCE- 2019 DELINQUENT UTILITIES
ASSESSMENT HEARING PUBL 9-21-19
Invoice 725469
9212019
Cash Payment
E 601-49400-351 Legal Notices Publishing
LEGAL NTCE- 2019 DELINQUENT UTILITIES
ASSESSMENT HEARING PUBL 9 -21 -19 -
PART #2
Invoice 725470 9212019
�
$390.00
$107.94
$119.51
$300.69
$30.84
CITY OF MOUND
Payments
Current Period: October 2019
Cash Payment E 222-42260-140 Unemployment Comp UNEMPLOYMENT BENEFITS PAID 3RD QTR
2019 M. MORRIS
Invoice 102219 10/82019
Cash Payment E 609-49750-140 Unemployment Comp UNEMPLOYMENT BENEFITS PAID 3RD QTR
2019 A. BRIMACOMB
Invoice 102219 10/82019
Transaction Date 10/15/2019 Wells Fargo 10100 Total
Refer 400 MINT ROOFING, INC.
Cash Payment E 222-42260-401 Building Repairs
Invoice 1038726 10/152019 PO 24974
Transaction Date 10/17/2019
Refer 238 MINUTEMAN PRESS
Cash Payment
E 609-49750-210 Operating Supplies
Invoice 20728
10/122019
Cash Payment
E 609-49750-210 Operating Supplies
Invoice 20728
10/122019
Cash Payment
E 609-49750-210 Operating Supplies
Invoice 20728
10/122019
Transaction Date
10/15/2019
10/17/19 12:24 PM
Page 7
$113.61
$89.30
$202.91
REPAIR ROOF SECTIONS 1,2,3,4,5 ON $7,929.00
MOUND FIRE BLDG- EMERGENCY REPAIRS
ONLY
Wells Fargo 10100 Total
$7,929.00
BUSINESS CARDS- R. GUST
$47.93
SPECIAL REQUEST ITEM- CARDS- HWS
$47.93
CLOSE OUT SALE CARDS
$55.44
Wells Fargo 10100 Total $151.30
Refer
239 MNSPECT
_
E 602-49450-218 Clothing and Uniforms
Cash Payment
E 101-42400-308 Building Inspection Fees
SEPT 2019 BUILDING INSPECTION FEES
$11,321.36
Invoice 7975
10/102019
11 YELLOW -HI -VIS PARKAS, 22 HEAVY
Cash Payment
G 101-20800 Due to Other Governments
SEPT 2019 - ELECTRICAL STATE
-$40.00
40 BLACK CREWNECK SWEATSHIRTS- ALL
SURCHARGE FEE CREDIT
EMBROIDERED W/ CITY LOGO- PUBLIC
Invoice 7975
10/102019
WORKS & PARKS STAFF
Invoice 45719
Cash Payment
R 101-42000-32220 Electrical Permit Fee
SEPT 2019- ELECTRICAL INSPECTION
-$523.00
Wells Fargo 10100 Total
PERMIT FEE CREDITS
Invoice 7975
10/102019
Transaction Date 10/15/2019
Wells Fargo 10100 Total
$10,758.36
Refer 251 NAPA AUTO PARTS - SPRING PAR _
Cash Payment E 222-42260-409 Other Equipment Repair BEAM WIPER BLADES FOR FIRE UNITS #39
& #42
Invoice 0577-096937 10/122019
Transaction Date 10/15/2019 Wells Fargo 10100 Total
Refer 92519 NORTH AMERICAN SAFETY INC.
_
Cash Payment
E 602-49450-218 Clothing and Uniforms
PARKA, SWEATSHIRT SAMPLES FOR SIZING
Invoice 45345
9252019
Project 19-5
Cash Payment
E 602-49450-218 Clothing and Uniforms
11 YELLOW -HI -VIS PARKAS, 22 HEAVY
DUTY YELLOW SWEATSHIRTS W/ZIPPER,
40 BLACK CREWNECK SWEATSHIRTS- ALL
EMBROIDERED W/ CITY LOGO- PUBLIC
WORKS & PARKS STAFF
Invoice 45719
10/112019 PO 25142
Project 19-5
Transaction Date
10/17/2019
Wells Fargo 10100 Total
Refer 240 OFFICE DEPOT
Cash Payment E 101-41930-200 Office Supplies
Invoice 385213108001 1022019 PO 25143
$19.96
$19.96
$126.49
$2,535.39
$2,661.88
COPY PAPER -3 CASES, 9 X 12 & 10 X 13 $139.75
ENVELOPES, POST -IT NOTES -CITY HALL
-1979-
CITY OF MOUND
Payments
Current Period: October 2019
Cash Payment E 101-49999-140 Unemployment Comp SUPERVISOR RESPECTFUL
WORKPLACE/SEXUAL HARASSMENT &
PREVENTION TRAINING- 9-10-19
Invoice 310862 10/102019
Transaction Date 10/17/2019
Wells Fargo 10100
10/17/19 12:24 PM
Page 6
$550.00
Total $1,000.00
Refer
233 LOFFLER COMPANIES, INCORPOR
_
Cash Payment
E 101-41930-202 Duplicating and copying
COPY ROOM KONICA C652- COLOR
$335.89
OVERAGE- 9-14-19 THRU 10-13-19
Invoice 3237501
10!72019
Cash Payment
E 101-41930-202 Duplicating and copying
COPY ROOM KONICA C652 - B & W
$204.44
OVERAGE- 9-14-19 THRU 10-13-19
Invoice 3237501
10!72019
Cash Payment
E 602-49450-200 Office Supplies
KONICA MINOLTA B200 PW COPIER
$3.54
OVERAGE CHG 9-10-19 THRU 10-09-19
Invoice 3235133
10/32019
Project 19-3
Cash Payment
E 222-42260-202 Duplicating and copying
CANON C2501F FIRE COPIER - COLOR
$120.52
OVERAGE CHARGES - 7-1-19 THRU 9-30-19
Invoice 3230509
10/12019
Cash Payment
E 222-42260-202 Duplicating and copying
CANON C2501F FIRE COPIER - B & W
$28.65
OVERAGE CHARGES - 7-1-19 THRU 9-30-19
Invoice 3230509
10/12019
Transaction Date
10/15/2019
Wells Fargo 10100 Total
$693.04
Refer
234 LUBE -TECH & PARTNERS, LLC
_
Cash Payment
E 602-49450-220 Repair/Maint Supply
USED BULK OIL PICK UP- PUB WKS SHOP
$100.00
10-04-19
Invoice 1470968
10/42019
Project 19-3
Transaction Date
10/15/2019
Wells Fargo 10100 Total
$100.00
Refer
339 MCCARVILLE, MICHAEL
_
Cash Payment
E 222-42260-210 Operating Supplies
PELICAN FLASHLIGHTS- QTY 5- LED, 110V-
$473.70
FIRE DEPT- REIMBURSE M. MCCARVILLE
Invoice 102219
10/172019
Transaction Date
10/17/2019
Wells Fargo 10100 Total
$473.70
Refer
253 MEDIACOM
_
Cash Payment
E 101-42110-321 Telephone, Cells, & Radi
ORONO PD INTERNET SVC 10-16-19 THRU
$96.90
11-15-19
Invoice 102219
10/62019
Transaction Date
10/16/2019
Wells Fargo 10100 Total
$96.90
Refer
235 METROPOLITAN COUNCIL WASTE
_
Cash Payment
E 602-49450-388 Waste Disposal-MCIS
WASTEWATER SVCS NOVEMBER 2019
$74,270.98
Invoice 0001101505 10/82019
Transaction Date
10/15/2019
Wells Fargo 10100 Total
$74,270.98
Refer
237 MINNESOTA LABOR INDUSTRY
_
Cash Payment
E 285-46388-430 Miscellaneous
TRANSIT RAMP- PARKING DECK-
$100.00
ELEVATOR ANNUAL OPERATING PERMIT -
5515 SHORELINE DRIVE
Invoice ALRO1013641
1022019
Transaction Date
10/15/2019
Wells Fargo 10100 Total
$100.00
Refer
236 MINNESOTA UNEMPLOYMENT INS
_
-1978-
CITY OF MOUND 10/17/19 12:24 PM
Page 5
Payments
Current Period: October 2019
Cash Payment
E 101-41310-361 General Liability Ins
4TH & FINAL INSTALLMENT 2019 GEN LIAB
$71.06
INS 2-1-19 THRU 2-1-20
Invoice 102219-2
10/42019
Cash Payment
E 101-41500-361 General Liability Ins
4TH & FINAL INSTALLMENT 2019 GEN LIAB
$505.10
INS 2-1-19 THRU 2-1-20
Invoice 102219-2
10/42019
Cash Payment
E 101-41600-361 General Liability Ins
4TH & FINAL INSTALLMENT 2019 GEN LIAB
$31.64
INS 2-1-19 THRU 2-1-20
Invoice 102219-2
10/42019
Cash Payment
E 101-41910-361 General Liability Ins
4TH & FINAL INSTALLMENT 2019 GEN LIAB
$972.08
INS 2-1-19 THRU 2-1-20
Invoice 102219-2
10/42019
Cash Payment
E 101-42110-361 General Liability Ins
4TH & FINAL INSTALLMENT 2019 GEN LIAB
$745.94
INS 2-1-19 THRU 2-1-20
Invoice 102219-2
10/42019
Cash Payment
E 101-42115-361 General Liability Ins
4TH & FINAL INSTALLMENT 2019 GEN LIAB
$125.92
INS 2-1-19 THRU 2-1-20
Invoice 102219-2
10/42019
Cash Payment
E 101-42400-361 General Liability Ins
4TH & FINAL INSTALLMENT 2019 GEN LIAB
$616.97
INS 2-1-19 THRU 2-1-20
Invoice 102219-2
10/42019
Cash Payment
E 101-43100-361 General Liability Ins
4TH & FINAL INSTALLMENT 2019 GEN LIAB
$1,762.43
INS 2-1-19 THRU 2-1-20
Invoice 102219-2
10/42019
Cash Payment
E 101-45200-361 General Liability Ins
4TH & FINAL INSTALLMENT 2019 GEN LIAB
$2,743.87
INS 2-1-19 THRU 2-1-20
Invoice 102219-2
10/42019
Cash Payment
E 222-42260-361 General Liability Ins
4TH & FINAL INSTALLMENT 2019 GEN LIAB
$2,348.81
INS 2-1-19 THRU 2-1-20
Invoice 102219-2
10/42019
Cash Payment
E 281-45210-361 General Liability Ins
4TH & FINAL INSTALLMENT 2019 GEN LIAB
$403.49
INS 2-1-19 THRU 2-1-20
Invoice 102219-2
10/42019
Cash Payment
E 285-46388-361 General Liability Ins
4TH & FINAL INSTALLMENT 2019 GEN LIAB
$4,560.06
INS 2-1-19 THRU 2-1-20
Invoice 102219-2
10/42019
Cash Payment
E 601-49400-361 General Liability Ins
4TH & FINAL INSTALLMENT 2019 GEN LIAB
$2,002.97
INS 2-1-19 THRU 2-1-20
Invoice 102219-2
10/42019
Cash Payment
E 602-49450-361 General Liability Ins
4TH & FINAL INSTALLMENT 2019 GEN LIAB
$4,498.99
INS 2-1-19 THRU 2-1-20
Invoice 102219-2
10/42019
Cash Payment
E 609-49750-361 General Liability Ins
4TH & FINAL INSTALLMENT 2019 GEN LIAB
$4,387.63
INS 2-1-19 THRU 2-1-20
Invoice 102219-2
10/42019
Cash Payment
E 101-41930-361 General Liability Ins
4TH & FINAL INSTALLMENT 2019 GEN LIAB
$920.11
INS 2-1-19 THRU 2-1-20
Invoice 102219-2
10/42019
Transaction Date
10/15/2019
Wells Fargo 10100 Total
$28,566.00
Refer 399 LEAGUE OF MINNESOTA CITIES
_
Cash Payment
E 101-49999-140 Unemployment Comp
STAFF RESPECTFUL WORKPLACE/SEXUAL
$450.00
HARASSMENT & PREVENTION TRAINING- 9-
10-19
Invoice 310862
10/102019
-1977-
CITY OF MOUND 10/17/19 12:24 PM
Page 4
Payments
Current Period: October 2019
Cash Payment
E 101-45200-220 Repair/Maint Supply BAR & CHAIN OIL, CHAIN LOOP, OIL FILTER,
$179.14
GRINDING STONE, GRINDER, STIHL
AUTOCUT- PARKS
Invoice 03-709007
10/152019
Transaction Date
10/16/2019 Wells Fargo 10100 Total
$1,939.06
Refer
230 LAWSON PRODUCTS, INC _
Cash Payment
E 602-49450-210 Operating Supplies HAND CLEANER DISPENSER, CITRUS
$31.50
PUMICE HAND CLEANER- PUBLIC WORKS
Invoice 9307060757 10/12019 Project 19-3
Transaction Date
9202016 Wells Fargo 10100 Total
$31.50
Refer
231 LEAGUE MN CITIES INSURANCE T _
Cash Payment
E 101-41110-151 Worker s Comp Insuranc 4TH & FINAL INSTALLMENT 2019 WORKERS
$32.00
COMP INS PREMIUM 2-1-19 THRU 2-1-20
Invoice 102219
10/42019
Cash Payment
E 101-41310-151 Worker s Comp Insuranc 4TH & FINAL INSTALLMENT 2019 WORKERS
$181.25
COMP INS PREMIUM 2-1-19 THRU 2-1-20
Invoice 102219
10/42019
Cash Payment
E 101-41500-151 Worker s Comp Insuranc 4TH & FINAL INSTALLMENT 2019 WORKERS
$724.99
COMP INS PREMIUM 2-1-19 THRU 2-1-20
Invoice 102219
10/42019
Cash Payment
E 101-42115-151 Worker s Comp Insuranc 4TH & FINAL INSTALLMENT 2019 WORKERS
$90.62
COMP INS PREMIUM 2-1-19 THRU 2-1-20
Invoice 102219
10/42019
Cash Payment
E 101-42400-151 Worker s Comp Insuranc 4TH & FINAL INSTALLMENT 2019 WORKERS
$453.12
COMP INS PREMIUM 2-1-19 THRU 2-1-20
Invoice 102219
10/42019
Cash Payment
E 101-43100-151 Worker s Comp Insuranc 4TH & FINAL INSTALLMENT 2019 WORKERS
$6,249.89
COMP INS PREMIUM 2-1-19 THRU 2-1-20
Invoice 102219
10/42019
Cash Payment
E 101-45200-151 Worker s Comp Insuranc 4TH & FINAL INSTALLMENT 2019 WORKERS
$3,124.95
COMP INS PREMIUM 2-1-19 THRU 2-1-20
Invoice 102219
10/42019
Cash Payment
E 222-42260-151 Worker s Comp Insuranc 4TH & FINAL INSTALLMENT 2019 WORKERS
$9,249.84
COMP INS PREMIUM 2-1-19 THRU 2-1-20
Invoice 102219
10/42019
Cash Payment
E 281-45210-151 Worker s Comp Insuranc 4TH & FINAL INSTALLMENT 2019 WORKERS
$45.31
COMP INS PREMIUM 2-1-19 THRU 2-1-20
Invoice 102219
10/42019
Cash Payment
E 601-49400-151 Worker s Comp Insuranc 4TH & FINAL INSTALLMENT 2019 WORKERS
$3,637.13
COMP INS PREMIUM 2-1-19 THRU 2-1-20
Invoice 102219
10/42019
Cash Payment
E 602-49450-151 Worker s Comp Insuranc 4TH & FINAL INSTALLMENT 2019 WORKERS
$3,124.95
COMP INS PREMIUM 2-1-19 THRU 2-1-20
Invoice 102219
10/42019
Cash Payment
E 609-49750-151 Worker s Comp Insuranc 4TH & FINAL INSTALLMENT 2019 WORKERS
$2,749.95
COMP INS PREMIUM 2-1-19 THRU 2-1-20
Invoice 102219
10/42019
Transaction Date
10/15/2019 Wells Fargo 10100 Total
$29,664.00
Refer
232 LEAGUE MN CITIES INSURANCE T _
Cash Payment
E 101-41110-361 General Liability Ins 4TH & FINAL INSTALLMENT 2019 GEN LIAB
$1,868.93
INS 2-1-19 THRU 2-1-20
Invoice 102219-2
10/42019
-1976-
CITY OF MOUND
Payments
Current Period: October 2019
10/17/19 12:24 PM
Page 3
Refer 398 HART BROS TIRE COMPANY
_
Cash Payment E 602-49450-404 Machinery/Equip Repairs REPAIR TIRE- JOHN DEERE LOADER #107-
$329.40
SVC CALL TO PW GARAGE, O-RING,
SEALANT
Invoice 46198 10/142019
Project 19-3
Transaction Date 10/17/2019
Wells Fargo 10100 Total
$329.40
Refer 225 HENNEPIN COUNTY INFORMATIO
_
Cash Payment E602-49450-321 Telephone, Cells, & Radi
PW RADIO LEASE & ADMINISTRATION FEE-
$152.11
SEPTEMBER 2019
Invoice 1000137662 10/32019
Project 19-3
Cash Payment E 222-42260-321 Telephone, Cells, & Radi
FIRE DEPT RADIO LEASE &
$1,350.85
ADMINISTRATION FEE- SEPTEMBER 2019
Invoice 1000137605 10/32019
Transaction Date 10/15/2019
Wells Fargo 10100 Total
$1,502.96
Refer 226 HENNEPIN COUNTY RECORDER
_
Cash Payment G 101-23398 PC 19-033233 TUXEDO BL
ABSTRACT & TORRENS RECORDING-
$96.00
RESOLUTION & CERTIFICATER OF
COMPLETION -HENN CTY-PC 19-03 3233
TUXEDO BLVD
Invoice 1000122617 2/12019
Transaction Date 10/15/2019
Wells Fargo 10100 Total
$96.00
Refer 227 HENNEPIN COUNTY SHERIFF -DIE
Cash Payment E 101-45200-440 Other Contractual Servic
SENTENCE TO SERVE CREW 7-1-19 THRU 9-
$1,837.50
30-19
Invoice 1000137812 10!72019
Transaction Date 10/10/2019
Wells Fargo 10100 Total
$1,837.50
Refer 228 HUTCHINSON CONCRETE
_
Cash Payment E 101-43100-224 Street Maint Materials
2 X 2 X 4 CUBE
$1,035.00
Invoice 00061916 9/182019
Cash Payment E 101-43100-224 Street Maint Materials
2 X 2 X 6 CUBE
$795.00
Invoice 00061917 9/182019
Cash Payment E 101-43100-224 Street Maint Materials
2 X 2 X 6 CUBE
$875.00
Invoice 00061918 9/182019
Cash Payment E 101-43100-224 Street Maint Materials
2 X 2 X 6 CUBE
$595.00
Invoice 00061919 9/182019
Cash Payment E 101-43100-224 Street Maint Materials
2 X 2 X 6 CUBE
$795.00
Invoice 00061937 9/172019
Cash Payment E 101-43100-224 Street Maint Materials
2 X 2 X 6 CUBE
$595.00
Invoice 00061938 9/172019
Transaction Date 10/15/2019
Wells Fargo 10100 Total
$4,690.00
Refer 229 LAKE MINNETONKA CONSERVATI _
Cash Payment E 101-41110-433 Dues and Subscriptions 4TH QTR 2019 _MCD LEVY PAYMENT $5,557.75
Invoice 102219 9/302019
Transaction Date 10/15/2019 Wells Fargo 10100 Total $5,557.75
Refer 251 LAND EQUIPMENT, INCORPORAT _
Cash Payment E 602-49450-404 Machinery/Equip Repairs SVC & REPAIR HYD LEAK ON BOBCAT T-190
TRACKLOADER
Invoice 03-708606 10/122019 Project 19-5
-1975-
$1,759.92
CITY OF MOUND 10/17/19 12:24 PM
Page 2
Payments
Current Period: October 2019
Refer
Cash Payment
Invoice 81600
Transaction Date
396 EHLERS AND ASSOCIATES, INC. _
E 454-46700-300 Professional Srvs
10/92019
10/17/2019
HARRISON BAY TIF NOTE- REVIEW OF
DEVELOPMENT AGREEMENT & QUALIFIED
COSTS - PREPARE PAY AS YOU GO
SCHEDULE
Wells Fargo 10100 Total
$455.00
$455.00
Refer
223 ELECTRIC PUMP, INC _
Cash Payment
E 602-49450-500 Capital Outlay FA
REPLACEMENT KITS- FOR BOTH HIGH
$6,307.10
SPEED 3127S @ BARTLETT LIFT STATION E2
Invoice 0066485
9/302019
Cash Payment
E 602-49450-440 Other Contractual Servic
INSTALL NEW N -KIT IMPELLER & FLUSH
$794.00
VALVE REPAIR KIT
Invoice 0066484
9/302019
Cash Payment
E 602-49450-440 Other Contractual Servic
INSTALL NEW N -KIT IMPELLER & REMOVE
$270.00
BAD IMPELLER BOLT @ BARTLETT LIFT
STATION
Invoice 0066486
9/302019
Cash Payment
E 602-49450-440 Other Contractual Servic
INSTALL REPAIRED PUMP @ BARTLETT
$714.83
LIFT STATION, PULL CITY'S SPARE &
INSTALL PUMPS IN CORRECT ORDER
Invoice 0066487
9/302019
Transaction Date
10/15/2019
Wells Fargo 10100 Total
$8,085.93
Refer
224 FRONTIER/CITIZENS COMMUNICA _
Cash Payment
E 101-45200-321 Telephone, Cells, & Radi
PHONE SVC -9-30-19- TO 10-29-19
$0.00
Invoice 102219
9/302019
Cash Payment
E 602-49450-321 Telephone, Cells, & Radi
PHONE SVC -9-30-19- TO 10-29-19
$46.95
Invoice 102219
9/302019
Cash Payment
E 609-49750-321 Telephone, Cells, & Radi
PHONE SVC -9-30-19- TO 10-29-19
$214.81
Invoice 102219
9/302019
Cash Payment
E 602-49450-321 Telephone, Cells, & Radi
PHONE SVC -9-30-19- TO 10-29-19
$193.78
Invoice 102219
9/302019
Cash Payment
E 601-49400-321 Telephone, Cells, & Radi
PHONE SVC -9-30-19- TO 10-29-19
$188.08
Invoice 102219
9/302019
Cash Payment
E 101-43100-321 Telephone, Cells, & Radi
PHONE SVC -9-30-19- TO 10-29-19
$188.08
Invoice 102219
9/302019
Cash Payment
E 101-41930-321 Telephone, Cells, & Radi
PHONE SVC -9-30-19- TO 10-29-19
$457.51
Invoice 102219
9/302019
Cash Payment
E 222-42260-321 Telephone, Cells, & Radi
PHONE SVC -9-30-19- TO 10-29-19
$152.50
Invoice 102219
9/302019
Cash Payment
E 101-41910-321 Telephone, Cells, & Radi
PHONE SVC -9-30-19- TO 10-29-19
$76.25
Invoice 102219
9/302019
Cash Payment
E 101-42110-321 Telephone, Cells, & Radi
PHONE SVC -9-30-19- TO 10-29-19
$76.25
Invoice 102219
9/302019
Transaction Date
10/15/2019
Wells Fargo 10100 Total
$1,594.21
Refer
397 HARRISON BAY SENIOR LIVING LL _
Cash Payment
E 454-46700-650 TIF Payments to Develo
PAY AS YOU GO TAX INCREMENT
$2,733.50
FINANCING AVAILABLE AS OF 8-1-19
Invoice 102219
10/172019
Transaction Date
10/17/2019
Wells Fargo 10100 Total
$2,733.50
-1974-
Batch Name 102219CITY
Payments
CITY OF MOUND
Payments
Current Period: October 2019
User Dollar Amt $221,320.69
Computer Dollar Amt $221,320.69
$0.00 In Balance
Refer 217 A BRIGHTER IMAGE _
Cash Payment E 101-45200-440 Other Contractual Servic GRAFFITI REMOVAL @ SKATE PARK,
MULTIPLE TAGS- & WATER TANKER- NO
CLOSE DIRECT ACCESS
Invoice 2196 9202019
Transaction Date 10/15/2019 Wells Fargo 10100 Total
Refer 252 BIFFS, INC PORTABLE RESTROO
_
Cash Payment
E 101-45200-410 Rentals (GENERAL)
PHILBROOK PARK BIFFS RENTAL & SVC 9-
$25.20
11-19 THRU 10-08-19
Invoice W741102
10/92019
Project 19-3
Cash Payment
E 101-45200-410 Rentals (GENERAL)
CENTERVIEW BEACH BIFFS RENTAL & SVC
$8.40
9- 11-19 THRU 10-08-19
Invoice W741099
10/92019
Project 19-3
Cash Payment
E 101-45200-410 Rentals (GENERAL)
SURFSIDE PARK BIFFS RENTAL & SVC 9-
$33.60
Refer 221 CORE & MAIN LP
11-19 THRU 10-08-19
Invoice W741100
10/92019
WATER METER SUPPLIES- 3 -STRAND, 22
Cash Payment
E 101-45200-410 Rentals (GENERAL)
SKATEPARK BIFFS RENTAL & SVC 9- 11-19
Invoice L287560 10/12019
THRU 10-08-19
Invoice W741101
10/92019
Wells Fargo 10100 Total
Transaction Date
10/16/2019
Wells Fargo 10100 Total
Refer 219 BOYER TRUCKS-MPLS _
Cash Payment E 101-43100-220 Repair/Maint Supply GASKET- STREETS TRUCK #112
Invoice 881627 9252019
Transaction Date 10/15/2019 Wells Fargo 10100
10/17/19 12:24 PM
Page 1
$932.69
$932.69
$174.00
$399.00
$573.00
$263.00
$1,409.00
$11.34
Total $11.34
Refer 220 CENTRAL MCGOWAN, INCORPOR
_
Cash Payment E 602-49450-210 Operating Supplies
HIGH PRESSURE MEDIUM CYLINDER
$25.20
RENTALS- QTY 9
Invoice 00061088 9/302019
Project 19-3
Cash Payment E 602-49450-210 Operating Supplies
HIGH PRESSURE ACETYLENE MEDIUM
$8.40
CYLINDER RENTALS- QTY 5
Invoice 00061088 9/302019
Project 19-3
Transaction Date 10/15/2019
Wells Fargo 10100 Total
$33.60
Refer 221 CORE & MAIN LP
_
Cash Payment E 601-49400-210 Operating Supplies
WATER METER SUPPLIES- 3 -STRAND, 22
$169.23
GAUGE WIRE
Invoice L287560 10/12019
Transaction Date 10/15/2019
Wells Fargo 10100 Total
$169.23
Refer 222 CUES, INC. _
Cash Payment E 602-49450-404 Machinery/Equip Repairs SEWER CAMERA REPAIR
Invoice 545528 10/102019
Transaction Date 10/15/2019 Wells Fargo 10100
Refer 332 DPC INDUSTRIES, INC.
Cash Payment E 601-49400-227 Chemicals
Invoice DE82000119-19 9/302019
Transaction Date 10/16/2019
Total
150# CHLORINE CYLINDER RENTAL- QTY 15
Wells Fargo 10100 Total
-1973-
$842.48
$842.48
$150.00
$150.00
Fund Summary
101 GENERAL FUND
601 WATER FUND
602 SEWER FUND
CITY OF MOUND
Payments
Current Period: October 2019
10100 Wells Fargo
$416.15
$23.62
$1,309.20
$1,748.97
Pre -Written Checks $0.00
Checks to be Generated bythe Computer $1,748.97
Total $1,748.97
-1972-
10/17/19 11:54 AM
Page 2
CITY OF MOUND
Payments
Current Period: October 2019
Batch Name 0919CARQUEST User Dollar Amt $1,748.97
Payments Computer Dollar Amt $1,748.97
Refer 333 CARQUEST OF NAVARRE (PAIS
Cash Payment E 101-43100-210 Operating Supplies
Invoice 6974-362328 9/52019
Cash Payment E 101-43100-210 Operating Supplies
Invoice 6974-362509 9/62019
Cash Payment E 101-43100-220 Repair/Maint Supply
Invoice 6974-363591 9/192019
Cash Payment E 101-43100-220 Repair/Maint Supply
Invoice 6974-363686 9/192019
Cash Payment E 101-43100-220 Repair/Maint Supply
Invoice 6974-363619 9/192019
Cash Payment E 101-43100-220 Repair/Maint Supply
Invoice 6974-364037 9242019
Cash Payment E 101-43100-220 Repair/Maint Supply
Invoice 6974-364252 9262019
Cash Payment E 601-49400-210 Operating Supplies
Invoice 6974-362797 9/102019
Cash Payment E 602-49450-210 Operating Supplies
Invoice 6974-363051 9/122019
Cash Payment E 602-49450-220 Repair/Maint Supply
Invoice 6974-363597 9/192019
Cash Payment E 602-49450-220 Repair/Maint Supply
Invoice 6974-363678 9/192019
Cash Payment E 602-49450-220 Repair/Maint Supply
Invoice 6974-363706 9/192019
Cash Payment E 602-49450-220 Repair/Maint Supply
Invoice 6974-364379 9272019
Cash Payment E 602-49450-220 Repair/Maint Supply
Invoice 6974-364378 9272019
Cash Payment E 101-43100-220 Repair/Maint Supply
Invoice 6974-362906 9/112019
Transaction Date 10/16/2019
$0.00 In Balance
LUBE, FUEL SDMO #312- STREETS
CREDIT CORE RETURN FARM TRUCK
BATTERY
BRAKE CALIPERS, PADS, OIL SEAL TRUCK
#504- STREETS
RETURN CREDIT BRAKE CALIPERS TRUCK
#504- STREETS
PAINTED ROTOR STREETS TRUCK#504
BRAKE LINE, COMESTIC NICKEL/COPPER-
#407 STREETS SWEEPER
BRAKE FLUID STREETS SWEEPER #407
STUD- SEWER DEPT
HI COUNT LED VAC TRUCK #214
I:IGtlIq ��9g1111q ZNG1i•4�:7G\TG10Eii[rb7
CREDIT CORE RETURN BATTERY- SEWER
CAMERA VAN #105
PRIMARY WIRE- PUBLIC WORKS SHOP
SEWER CAMERA VAN #105
SUPPLIES PUBLIC WORKS SHOP
10/17/19 11:54 AM
Page 1
$25.06
-$27.00
$352.45
-$120.00
$96.18
$17.52
$11.94
$23.62
$12.20
$84.14
$224.49
-$22.00
$48.00
$962.37
$60.00
Wells Fargo 10100 Total $1,748.97
- 1971 -
CITY OF MOUND 10/17/1911: 53 AM
Page 2
Payments
Current Period: October 2019
Refer
340 JALIL, ADNAN
_
10100 Wells Fargo
Cash Payment
G 101-23150 New Construction Escrow
REFUND NEW CONSTRUCTION ESCROW
$4,945.00
602 SEWER FUND
$203.87
BALANCE- 4908 THREE PTS BLVD -A. JALIL
$16,301.04
Invoice 101719
10/172019
Transaction Date
10/17/2019
Wells Fargo 10100 Total
$4,945.00
Refer
335 MINNESOTA POLLUTION CONTRO
_
Cash Payment
E 602-49450-438 Licenses and Taxes
WASTEWATER OPERATOR 2019
$23.00
CERTIFICATION RENEWAL- B. KRESS
Invoice 101719
10/162019
Transaction Date
10/16/2019
Wells Fargo 10100 Total
$23.00
Refer 254 TWIN CITY GARAGE DOOR COMP _
Cash Payment E 602-49450-400 Repairs & Maintenance PUBLIC WORKS GARAGE DOOR SERVICE -
DOOR WON'T CLOSE- ADJUSTED PHOTO
EYES & LIMITS- BLDG STRUCTURE
DAMAGE CAUSED PHOTO EYES TO SHAKE
Invoice Z102780 6/192019 Project 19-3
Transaction Date 10/16/2019 Wells Fargo 10100 Total
Fund Summary
10100 Wells Fargo
101 GENERAL FUND
$4,945.00
222 AREA FIRE SERVICES
$49.71
602 SEWER FUND
$203.87
609 MUNICIPAL LIQUOR FUND
$16,301.04
$21,499.62
Pre -Written Checks $0.00
Checks to be Generated bythe Computer $21,499.62
Total $21,499.62
-1970-
$165.00
$165.00
CITY OF MOUND
Payments
Current Period: October 2019
Batch Name 101719CTYMAN User Dollar Amt $21,499.62
Payments Computer Dollar Amt $21,499.62
$0.00 In Balance
Refer 305 BREAKTHRU BEVERAGE MN BEE _
Cash Payment E 609-49750-252 Beer For Resale
Invoice 1091065804 10/92019
Cash Payment E 609-49750-252 Beer For Resale
Invoice 1091065805 10/92019
Cash Payment E 609-49750-252 Beer For Resale
Invoice 1091068791 10/162019
Transaction Date 10/16/2019
BEER
BEER
BEER
Wells Fargo 10100 Total
Refer 389 BREAKTHRU BEVERAGE MN WINE
_
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa
MIX
Invoice 1081043081 10/162019
Cash Payment E 609-49750-253 Wine For Resale
WINE
Invoice 1081043080 10/162019
MEMO & RMA
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 1081043079 10/162019
WINE CREDIT
Transaction Date 10/17/2019
Wells Fargo
10100 Total
Refer 306 BREAKTHRU BEVERAGE MN WINE
_
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa
MIX
Invoice 1081036674 10/22019
Cash Payment E 609-49750-253 Wine For Resale
WINE- BAL DUE- TAKEN TWICE CREDIT
MEMO & RMA
Invoice 2080244393-2 7/302019
Cash Payment E 609-49750-253 Wine For Resale
WINE CREDIT
Invoice 2080249726 9/122019
Cash Payment E 609-49750-253 Wine For Resale
WINE CREDIT
Invoice 2080251038 9/302019
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR CREDIT
Invoice 2080248880 9/112019
Cash Payment E 609-49750-253 Wine For Resale
WINE
Invoice 1081037158 10/22019
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 1081037158 10/22019
Cash Payment E 609-49750-253 Wine For Resale
WINE
Invoice 1081040504 10/92019
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 1081040734 10/102019
Transaction Date 10/16/2019
Wells Fargo 10100 Total
Refer 334 HOME DEPOT/GECF (PW
Cash Payment E 222-42260-210 Operating Supplies
Invoice 6613529 9242019
Cash Payment E 602-49450-220 Repair/Maint Supply
Invoice 7200129 9/132019
Transaction Date 10/16/2019
10/17/19 11:53 AM
Page 1
$3,590.93
$36.80
$3,432.25
$7,059.98
$62.92
$1,095.62
$1,468.18
$2,626.72
$107.94
$208.00
-$77.15
-$48.00
-$59.61
$3,348.83
$1,106.73
$880.00
$1,147.60
$6,614.34
DEWALT 2.5 LB ENGINEER HAMMERS- 3 $49.71
QTY- FIRE DEPT
7/16" SELF DRILL PAN HEAD SCREWS 1 LB, $15.87
4" TO 3" ROUND REDUCER- SEWER DEPT
Wells Fargo 10100 Total $65.58
-1969-
CITY OF MOUND
Payments
Current Period: October 2019
Cash Payment E 222-42260-434 Conference & Training MEALS PER DIEM ADVANCE- MN STATE
FIRE CHIEF CONFERENCE- DULUTH 10-16
THRU 10-19-19 G. PEDERSON
Invoice 101519 10/142019
Transaction Date 10/14/2019 Wells Fargo 10100 Total
Refer 214 PEDERSON, GREG _
Cash Payment E 222-42260-434 Conference & Training MEALS PER DIEM ADVANCE- MN STATE
FIRE CHIEF CONFERENCE- DULUTH 10-16
THRU 10-19-19 G. PEDERSON
Invoice 101519 10/142019
Transaction Date 10/14/2019 Wells Fargo 10100 Total
Fund Summary
10100 Wells Fargo
101 GENERAL FUND
$810.59
222 AREA FIRE SERVICES
$718.76
281 COMMONS DOCKS FUND
$231.84
602 SEWER FUND
$10,340.75
$12,101.94
Pre -Written Checks $0.00
Checks to be Generated bythe Computer $12,101.94
Total $12,101.94
••:
10/15/19 3:14 PM
Page 3
$266.00
$452.76
$266.00
$266.00
CITY OF MOUND
Payments
Current Period: October 2019
Cash Payment E 602-49450-224 Street Maint Materials
Invoice 249067 10/22019
Cash Payment E 602-49450-224 Street Maint Materials
Invoice 249067 10/22019
Cash Payment E 602-49450-224 Street Maint Materials
Invoice 249067 10/22019
Cash Payment E 602-49450-224 Street Maint Materials
Invoice 246976 8/72019
Cash Payment E 602-49450-224 Street Maint Materials
Invoice 246789 8/22019
Cash Payment E 602-49450-224 Street Maint Materials
Invoice 246725 8/12019
Cash Payment E 602-49450-224 Street Maint Materials
Invoice 246917 8/62019
Cash Payment E 602-49450-224 Street Maint Materials
Invoice 246917 8/62019
Transaction Date 10/15/2019
WATERMAIN & FORCEMAIN BREAK
MATERIALS - CONCRETE SAND- 59.07 TON
DELIVERED 10-02-19
Project 19-3
WATERMAIN & FORCEMAIN BREAK
MATERIALS - 3/4" MINUS MIX- 158.69 TON
DELIVERED 10-02-19
Project 19-3
WATERMAIN & FORCEMAIN BREAK
MATERIALS - 1 1/2" CLEAR MIX- 60.64 TON
DELIVERED 10-02-19
Project 19-3
WATERMAIN & FORCEMAIN BREAK
MATERIALS - BALL DIAMOND- 36.47 TON
DELIVERED 8-07-19
Project 19-3
WATERMAIN & FORCEMAIN BREAK
MATERIALS - BALL DIAMOND- 12.96 TON
DELIVERED 8-02-19
Project 19-3
WATERMAIN & FORCEMAIN BREAK
MATERIALS - BALL DIAMOND- 60.20 TON
DELIVERED 8-01-19
Project 19-3
WATERMAIN & FORCEMAIN BREAK
MATERIALS - BALL DIAMOND- 17.48 TON
DELIVERED 8-06-19
Project 19-3
WATERMAIN & FORCEMAIN BREAK
MATERIALS - CONCRETE SAND- 17.56 TON
DELIVERED 8-06-19
Project 19-3
Wells Fargo 10100 Total
10/15/19 3:14 PM
Page 2
$806.31
$3,602.28
$1,770.69
$864.34
$213.85
$1,426.74
$414.28
$239.69
$10.340.75
Refer
212 MUNICI-PALS
_
Cash Payment
E 101-41500-434 Conference & Training
ANNUAL FALL BUSINESS MTG 10-29-19- C.
$39.00
ROBERTS
Invoice 101519
10/142019 P025144
Cash Payment
E 101-42400-434 Conference & Training
ANNUAL FALL BUSINESS MTG 10-29-19- J.
$39.00
HOLMQUIST
Invoice 101519
10/142019 P025144
Transaction Date 10/14/2019
WeIIs Fargo 10100 Total
$78.00
Refer
211 NOBS, BRYAN
_
Cash Payment
G 281-22000 Deposits
REFUND LOST LAKE DOCK SLIP KEY
$100.00
DEPOSIT- 2 KEYS- B. NOBS
Invoice 101519
10/142019
Transaction Date 10/14/2019
WeIIs Fargo 10100 Total
$100.00
Refer
213 PALM, GREG
_
Cash Payment
E 222-42260-434 Conference & Training
TRAVEL ADVANCE- MN STATE FIRE CHIEF
$186.76
CONFERENCE- DULUTH 10-16 THRU 10-19-
19 G. PEDERSON
Invoice 101519
10/142019
-1967-
CITY OF MOUND 10/15/19 3:14 PM
Page 1
Payments
Current Period: October 2019
Batch Name
101519CTYMAN User Dollar Amt $12,101.94
Payments Computer Dollar Amt $12,101.94
$0.00 In Balance
Refer
218 BENDICKSON, WES
_
Cash Payment
E 101-43100-224 Street Maint Materials
STREET SWEEPINGS- DUMP 2 LOADS 8-13-
$160.00
19
Invoice 102219
10/62019
Cash Payment
E 101-43100-224 Street Maint Materials
STREET SWEEPINGS- DUMP 2 LOADS 8-22-
$160.00
19
Invoice 102219
10/62019
Cash Payment
E 101-43100-224 Street Maint Materials
STREET SWEEPINGS- DUMP 2 LOADS 9-18-
$160.00
19
Invoice 102219
10/62019
Cash Payment
E 101-43100-224 Street Maint Materials
STREET SWEEPINGS- DUMP 3 LOADS 9-26-
$240.00
19
Invoice 102219
10/62019
Transaction Date 10/15/2019
Wells Fargo 10100 Total
$720.00
Refer
216 DEMMER, RYAN
_
Cash Payment
G 281-22000 Deposits
REFUND LOST LAKE DOCK SLIP KEY
$50.00
DEPOSIT- R. DEMMER
Invoice 101519
10/142019
Transaction Date 10/14/2019
Wells Fargo 10100 Total
$50.00
Refer
209 KELLY, KEVIN
_
Cash Payment
E 281-45210-331 Use of personal auto
REIMS MILEAGE- DOCK INSPECTIONS- K.
$31.84
KELLY- 8-30-19 THRU 10-14-19
Invoice 101519
10/142019
Cash Payment
E 101-41410-331 Use of personal auto
REIMS MILEAGE- ELECTION MTG MAPLE
$12.59
GROVE GOVT CTR- K. KELLY- 10-9-19
Invoice 101519
10/142019
Transaction Date 10/14/2019
Wells Fargo 10100 Total
$44.43
Refer
210 MATTHEWS, JIM
_
Cash Payment
G 281-22000 Deposits
REFUND LOST LAKE DOCK SLIP KEY
$50.00
DEPOSIT- J. MATTHEWS
Invoice 101519
10/142019
Transaction Date 10/14/2019
Wells Fargo 10100 Total
$50.00
Refer
215 MUELLER, WILLIAM AND SONS, IN
_
Cash Payment
E 602-49450-224 Street Maint Materials
WATERMAIN & FORCEMAIN BREAK
$138.00
MATERIALS - 3/8" FINE MIXASPHALT- 2.00
TON DELIVERED 8-28-19
Invoice 247812
8282019
Project 19-3
Cash Payment
E 602-49450-224 Street Maint Materials
WATERMAIN & FORCEMAIN BREAK
$552.69
MATERIALS - 3/8" FINE MIXASPHALT- 8.01
TON DELIVERED 8-06-19
Invoice 246918
8/62019
Project 19-3
Cash Payment
E 602-49450-224 Street Maint Materials
WATERMAIN & FORCEMAIN BREAK
$311.88
MATERIALS - 3/8" FINE MIXASPHALT- 4.52
TON DELIVERED 8-31-19
Invoice 247920
8/312019
Project 19-3
-1966-
CITY OF MOUND
Payments
Current Period: October 2019
Cash Payment E 222-42260-124 Fire Pens Contrib FIRE STATE AID TO RELIEF ASSOCIATION-
RECVD 9-30-19
Invoice 101019 10/102019
Cash Payment E 222-42260-124 Fire Pens Contrib POLICE / FIRE SUPPLEMENTAL STATE AID
TO FIRE RELIEF ASSOCIATION- RECVD 9-30-
19
Invoice 101019 10/102019
Transaction Date 10/10/2019 Due 0 Wells Fargo 10100 Total
Refer 181 RADDE, MATTHEW C. Ck# 059803 10/102019
Cash Payment E 602-49450-218 Clothing and Uniforms 2019 BOOT ALLOWANCE REIMBURSEMENT -
M. RADDE
Invoice 101019 10/92019
Transaction Date 10/10/2019 Due 0 Wells Fargo 10100 Total
Fund Summary
609 MUNICIPAL LIQUOR FUND
602 SEWER FUND
427 SEAL COAT FUND
401 GENERAL CAPITAL PROJECTS
281 COMMONS DOCKS FUND
222 AREA FIRE SERVICES
10100 Wells Fargo
$110.71
$200.00
$16,733.44
$3.00
$50.00
$121,558.98
$138,656.13
Pre -Written Checks $138,656.13
Checks to be Generated by the Computer $0.00
Total $138,656.13
-1965-
10/17/19 11:51 AM
Page 2
$98,472.78
$22,796.52
$121,269.30
$200.00
$200.00
Batch Name 101019CTYMAN
Payment
CITY OF MOUND
Payments
Current Period: October 2019
Computer Dollar Amt $138,656.13 Posted
Refer 177 BREAKTHRU BEVERAGE MN WINE Ck# 059797 10/102019
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX
Invoice 1081003409 7242019
Transaction Date 10/10/2019 Due 0 Wells Fargo 10100
Refer 178 CASTELLANO, KEVIN
Cash Payment G 281-22000 Deposits
Invoice 101019 10/102019
Total
Ck# 059798 10/102019
REFUND LOST LAKE DOCK KEY DEPOSIT
K. CASTELLANO
Transaction Date 10/10/2019 Due 0 Wells Fargo
10100 Total
Refer
180 FIRS TNET Ck# 059799 10/102019
Cash Payment
E 222-42260-321 Telephone, Cells, & Radi
CELLPHONE SCREEN REPAIR ONSITE SVC
TAX FORFEIT PARCEL 1992 SPECIAL
$3.00
XXX -0150 - CHIEF G. PEDERSON
Invoice 10032019
9252019
Cash Payment
E 222-42260-321 Telephone, Cells, & Radi
DATACARD SVC -XXX -0353 FIRE UNIT#39
Invoice 101019
FIRE CHIEF RESCUE UTILITY 8-26-19 THRU
9-25-19
Invoice 10032019 9252019
Cash Payment E 222-42260-321 Telephone, Cells, & Radi DATACARD SVC XXX -0545 FIRE #43
RESCUE TRUCK SVC 8-26-19 THRU 9-25-19
Invoice 10032019 9252019
Cash Payment E 222-42260-321 Telephone, Cells, & Radi DATACARD SVC XXX -1887 FIRE LADDER
TRUCK #44 SVC 8-26-19 THRU 9-25-19
Invoice 10032019 9252019
Cash Payment E 222-42260-321 Telephone, Cells, & Radi DATACARD SVC XXX -1962 FIRE ENGINE #29
SVC 8-26-19 THRU 9-25-19
Invoice 10032019 9252019
Cash Payment E 222-42260-321 Telephone, Cells, & Radi DATACARD SVC XXX -4845 FIRE UNIT #42
DUTY OFFICER SVC 8-26-19 THRU 9-25-19
Invoice 10032019 9252019
Cash Payment E 222-42260-321 Telephone, Cells, & Radi CELLPHONE SVC XXX -0150 8-26-19 THRU 9-
25-19- CHIEF G. PEDERSON
Invoice 10032019 9252019
Transaction Date 10/10/2019 Due 0 Wells Fargo 10100 Total
10/17/19 11:51 AM
Page 1
$110.71
$110.71
$50.00
$50.00
$53.80
$38.23
$38.23
$38.23
$38.23
$38.23
$44.73
$289.68
Refer
182 HENNEPIN COUNTY TREASURER-( Ck# 059800 10/102019
Cash Payment
R 401-46000-36101 Special Assessments
TAX FORFEIT PARCEL 1992 SPECIAL
$3.00
ASSESSMENT REMOVAL FEE- TREE
REMOVAL- PID 24-117-24-44-0128
Invoice 101019
10/102019
Transaction Date
10/10/2019 Due 0
Wells Fargo 10100 Total
$3.00
Refer
183 KAMCO INC.
Ck# 059801 10/102019
Cash Payment
E 427-43121-300 Professional Srvs
PAY REQUEST #1 2019 CRACK SEAL
$16,733.44
PROJECT PW 19-07- WORK COMPLETED
AUG 1 THRU SEPT 1, 2019
Invoice 100819
9/162019
Project PW1907
Transaction Date
10/10/2019 Due 0
Wells Fargo 10100 Total
$16,733.44
Refer
179 MOUND FIRE RELIEF ASSOCIATIO
Ck#059802 10/102019
-1964-
CITY OF MOUND
Payments
Current Period: October 2019
Cash Payment E 101-45200-210 Operating Supplies
Invoice 163580 9/302019
Cash Payment E 101-43100-220 Repair/Maint Supply
Invoice 163077 9/62019
Cash Payment E 101-43100-220 Repair/Maint Supply
Invoice 163049
9/52019
Cash Payment
E 101-43100-220 Repair/Maint Supply
Invoice 163226
9/122019
Cash Payment
E 101-43100-220 Repair/Maint Supply
Invoice 163505
9252019
Cash Payment
E 101-43100-210 Operating Supplies
Invoice 163208
9/112019
Cash Payment
E 101-43100-210 Operating Supplies
Invoice 163081
9/62019
Cash Payment
E 101-43100-210 Operating Supplies
Invoice 163078
9/62019
Cash Payment
E 101-43100-210 Operating Supplies
Invoice 163053
9/52019
Cash Payment
E 101-43100-210 Operating Supplies
Invoice 163221
9/122019
Cash Payment
E 101-43100-210 Operating Supplies
Invoice 163412
9202019
Cash Payment
E 101-43100-210 Operating Supplies
Invoice 163592
9/302019
Cash Payment
E 101-43100-210 Operating Supplies
Invoice 163516 9262019
2 TOILET BOWL BRUSH CADDIES,
HARDWOOD REFILL, DE-LIMER GALLON,
TOILET CLEANER, BLEACH 2000 FLUSHES
SPONGE CLOTH, APPLICATOR PADS, VINYL
PROTECTANT, QUIK SPRAY WAX, TIRE WET
FOAM, ARMOR ALL CAR WASH
NYLON FIBER BRUSH, 2 CT 48 OZ ROUND
CONTAINERS, STAINLESS POT/PAN BRUSH,
VINEGAR, CLR CLEANER
GALVANIZED PIPE & COUPLING, HEX
BUSHING„ TEFLON PASTE
CD SAFETY HASP
24 OZ SOFT SCRUB CLEANER BLEACH
FORMULA 409, CASCADE DISH GEL
25 CT PROTECTANT WIPES
WHITE VINEGAR, AERATOR
GRAY CONCRETE CAULK, 10 OZ
ROOF/FLASH SEALANT
CLEAR KWIK SEAL, SCREWS, NUTS, BOLTS
SCREWS, NUTS, BOLTS, WASHERS
BI-LEV SCRUB BRUSH, 1 GAL WEED/BUG
SPRAYER, GALLON MURIATIC ACID
Transaction Date 10/82019 Due 0 Wells Fargo 10100
Fund Summary
609 MUNICIPAL LIQUOR FUND
602 SEWER FUND
601 WATER FUND
401 GENERAL CAPITAL PROJECTS
222 AREA FIRE SERVICES
101 GENERAL FUND
10100 Wells Fargo
$2,746.77
$364.77
$95.17
$78.73
$21.10
$7,730.62
$11,037.16
Pre -Written Checks $11,037.16
Checks to be Generated by the Computer $0.00
Total $11,037.16
-1963-
Total
10/17/19 11:50 AM
Page 4
$76.00
$52.42
$41.17
$23.36
$4.49
$8.98
$11.23
$5.39
$10.60
$41.80
$10.60
$2.18
$40.47
$813.59
CITY OF MOUND
Payments
Current Period: October 2019
Cash Payment G 101-23421 PC18-08 1680 DOVE LN VA ESCROW BALANCE REFUND- PC 18-08 1680
DOVE LN - R. STRAND
Invoice 100819 10/82019
Transaction Date 10/82019 Due 0 Wells Fargo 10100 Total
Refer 169 TJB HOMES, INC. Ck# 059793 10/9/2019
Cash Payment G 101-23150 New Construction Escrow REFUND NEW CONSTRUCTION ESCROW -
6100 WILLOW LN- TJB HOMES, LLC
Invoice 100819 10/82019
Transaction Date 10/82019 Due 0 Wells Fargo 10100 Total
Refer 162 TRUE VALUE HWS
Cash Payment E 609-49750-210 Operating Supplies
Invoice 163492 9252019
Transaction Date 10/32019 Due 0 Wells Fargo 10100 Total
Ck# 059794 10/9/2019
6 QTY FLUORESCENT 48" 32W TUBES, 4 PK
10W & 6 PK FLOOD BULBS- HWS
Refer 166 TRUE VALUE MOUND (FIRE) Ck# 059795 10/9/2019
Cash Payment E 222-42260-210 Operating Supplies 1/4" SOCKET ADAPTER, 10 PC SOCKET SET -
FIRE DEPT
Invoice 162972 9/22019
Transaction Date 10/32019 Due 0 Wells Fargo 10100 Total
Refer 167 TRUE VALUE, MOUND (PW PKS)
Cash Payment E 602-49450-322 Postage
Invoice 163553 9272019
Cash Payment E 602-49450-210 Operating Supplies
Invoice 163450 9232019
Cash Payment E 602-49450-220 Repair/Maint Supply
Invoice 163351 9/182019
Cash Payment E 602-49450-220 Repair/Maint Supply
Invoice 163322 9/172019
Cash Payment E 602-49450-220 Repair/Maint Supply
Invoice 163196 9/112019
Cash Payment E 601-49400-220 Repair/Maint Supply
Invoice 163125 9/92019
Cash Payment E 601-49400-220 Repair/Maint Supply
Invoice 163087 9/62019
Cash Payment E 101-45200-220 Repair/Maint Supply
Invoice 163236 9/122019
Cash Payment E 101-45200-220 Repair/Maint Supply
Invoice 163235 9/122019
Cash Payment E 101-45200-210 Operating Supplies
Invoice 163458 9232019
Cash Payment E 101-45200-210 Operating Supplies
Invoice 163449 9232019
Cash Payment E 101-45200-210 Operating Supplies
Invoice 162989 9/32019
10/17/19 11:50 AM
Page 3
$440.62
$440.62
$5,000.00
$5,000.00
$57.45
$57.45
$21.10
$21.10
Ck# 059796 10/9/2019
FED EX SHIPPING CHARGE -SEWER $326.75
CAMERA TO CUES INC.
DBL RD EYE SWIVEL, SCREWS, NUTS, $4.50
BOLTS- SEWER CAMERA TRUCK
CD SASH LOCK BRASS PLATED $3.86
COUPLING, GALVANIZED NIPPLES $25.17
2 PK SHITE VELCRO STRIPS- PW $4.49
Project 19-3
ENAMEL GLOSS CLEAR PAINT- 1 GAL $42.38
WATER DEPT
PATCH FILLER, OIL GALLON, KNIT COVER, $52.79
2" PAINT BRUSH. PLASTIC TRAY
RETURN CREDIT- COUPLING, ADAPTER -$3.68
COUPLING, ADAPTER, HEX BUSHING, $11.57
GALVANIZED NIPPLE
4 PK AAAALKALINE BATTERIES $5.84
2 CT BLACK EXTREME SHARPIES $4.04
17 OZ WHITE FIELD INV SPRAY $7.19
-1962-
CITY OF MOUND
Payments
Current Period: October 2019
10/17/19 11:50 AM
Page 2
Transaction Date
10/82019 Due 0
Wells Fargo 10100 Total
$242.75
Refer
171 LEMBKE, TIM
Ck# 059788 10/9/2019
Cash Payment
G 101-23395 5234 LYNWOOD PC
ESCROW BALANCE REFUND- 5234
$750.00
LYNWOOD BLVD - T. LEMBKE
Invoice 100819
10/82019
Transaction Date
10/82019 Due 0
Wells Fargo 10100 Total
$750.00
Refer
176 MICHAEL GALLUS CONSTR
Ck# 059789 10/9/2019
Cash Payment
G 101-23427 2072 SHOREWOOD EP PC
ESCROW BALANCE REFUND- PC 18-14 2072
$464.11
SHOREWOOD LN - MICHAEL GALLUS
CONSTRUCTION INC
Invoice 100819
10/82019
Transaction Date
10/82019 Due 0
Wells Fargo 10100 Total
$464.11
Refer
172 RIVER VALLEY CHURCH
Ck# 059790 10/9/2019
Cash Payment
G 101-22801 Deposits/Escrow
REFUND DEPOT RENTAL- DAMAGE
$500.00
DEPOSIT- RIVER VALLEY CHURCH ANNUAL
PICNIC
Invoice 100819
10/82019
Transaction Date
10/82019 Due 0
Wells Fargo 10100 Total
$500.00
Refer
163 SPIRIT OF THE LAKES FESTIVAL
Ck# 059791 10/9/2019
Cash Payment
G 101-22802 Festival
WILLIAM MUELLER & SONS- 11.93 TON
-$76.95
SAND SURFSIDE PARK- 7-17-19 -SOTL
Invoice 100718
10/72018
Cash Payment
G 101-22802 Festival
MOUND TRUE VALUE MISC ITEMS- RED &
-$145.18
FLUORESCENT MARKING PAINT, FABRIC
PINS, ELECTRIC TAPE, EXT CORD,
BLADES/DISPENSER, SCREWS, NUTS,
BOLTS ETC
Invoice 100718
10/72018
Cash Payment
G 101-22802 Festival
R.C. ELECTRIC, INC- REWIRE SPIDER
-$615.06
BOXES- NEW 30 AMP 120V RECEPTACLES -
SOL
Invoice 100718
10/72018
Cash Payment
G 101-22802 Festival
MENARDS- ROAD POWER RV ADAPTER- 30
-$42.32
AMP MALE TO 15 AMP FEMALE
Invoice 100718
10/72018
Cash Payment
G 101-22802 Festival
LMCIT FIREWORKS INSURANCE RIDER-
-$250.00
SOTL
Invoice 100718
10/72018
Cash Payment
G 101-22802 Festival
MISC COPY & MAILING CHARGES JUNE &
-$111.75
JULY 2019
Invoice 100718
10/72018
Cash Payment
R 609-49750-37814 Taxable Mix & Misc.
WINE/BEER - MEET YOUR MAKER TASTING
$8,170.00
EVENT TICKETS SOLD @ HWS
Invoice 100718
10/72018
Cash Payment
R 609-49750-37814 Taxable Mix & Misc.
LIQUOR PRODUCTS PURCHASED THRU
-$5,734.59
HARBOR WINE & SPIRITS FOR SOTL
FESTIVAL
Invoice 100718
10/72018
Transaction Date
10/82019 Due 0
Wells Fargo 10100 Total
$1,194.15
Refer
173 STRAND, RICHARD
Ck# 059792 10/9/2019
- 1961 -
Batch Name 100519CTYMAN
Payment
CITY OF MOUND
Payments
Current Period: October 2019
Computer Dollar Amt $11,037.16 Posted
Refer 170 AMACK CHRISTOPHER & JULIE Ck# 059781 10/9/2019
Cash Payment G 101-23428 6371 BAYRIDGE RD-AMAC ESCROW BALANCE REFUND- PC 18 -18 -
VARIANCE APP- 6371 BAY RIDGE RD- C. &
J. AMACK
Invoice 100819 10/82019
Transaction Date 10/82019 Due 0 Wells Fargo 10100
Total
Refer 174 EGR PREMIER PROPERTIES, LLC Ck# 059782 10/9/2019
Cash Payment G 101-23425 5293 SHORELINE PC18-16 ESCROW BALANCE REFUND- PC 18 -16 -
AMEND CUP- 5293 SHORELINE DR - EGR
PREMIER PROPERTIES, LLC
Invoice 100819 10/82019
Transaction Date 10/82019 Due 0 Wells Fargo 10100 Total
Refer 165 HENNEPIN COUNTY TREASURER-( Ck# 059783 10/9/2019
Cash Payment R 401-46000-36101 Special Assessments TAX FORFEIT LAND COST FOR GOVT
SUBDV- PARCEL AUTHORIZED FOR
PURCHASE BY CITY COUNCIL 9-12-19 MTG-
SPEC ASSESSMENT REMOVED- PID 24-117-
24-44-0128
10/17/19 11:50 AM
Page 1
$199.50
$199.50
$20.84
$20.84
$78.73
Invoice 100419
10/42019
Transaction Date
10/42019 Due 0
Wells Fargo 10100 Total
$78.73
Refer
168 J & B CUSTOM HOMES, LLC
Ck# 059784 10/9/2019
Cash Payment
G 101-23417 PC18-04 1829 SHOREWD&
ESCROW BALANCE REFUND- PC 18-04 1839
$985.00
SHOREWOOD/1826/RESTHAVEN- J B
CUSTOM HOMES
Invoice 100819
10/82019
Transaction Date
10/82019 Due 0
Wells Fargo 10100 Total
$985.00
Refer
160 JUBILEE FOODS- (HWS)
Ck# 059786 10/9/2019
Cash Payment
E 609-49750-255 Misc Merchandise For R
WATER FOR RESALE- HWS
$17.10
Invoice 093019
9/142019
Cash Payment
E 609-49750-255 Misc Merchandise For R
WATER FOR RESALE- HWS
$12.57
Invoice 093019
9/172019
Cash Payment
E 609-49750-340 Advertising
OKTOBERFEST EVENT- 9-28-19 BRATS,HOT
$224.24
DOGS, PRETZELS, CONDIMENTS, NAPKINS,
PLATES, FORKS
Invoice 093019
9282019
Transaction Date
10/32019 Due 0
Wells Fargo 10100 Total
$253.91
Refer
161 JUBILEE FOODS
Ck# 059785 10/9/2019
Cash Payment
E 101-41310-431 Meeting Expense
COOKIES FOR FLU SHOT ON-SITE CLINIC 9-
$15.41
26-19
Invoice 093019
9262019
Transaction Date
10/32019 Due 0
Wells Fargo 10100 Total
$15.41
Refer
175 KNIGHT CONSTRUCTION DESIGN
Ck# 059787 10/9/2019
Cash Payment
G 101-23426 PC 18-17 6072 CHERRYWO ESCROW BALANCE REFUND- PC 18-17 6072
$242.75
CHERRYWOOD LN - KNIGHT
CONSTRUCTION DESIGN INC
Invoice 100819
10/82019
-1960-
CITY OF MOUND 10/17/1911: 53 AM
Page 3
Payments
Current Period: October 2019
Cash Payment E 222-42260-210 Operating Supplies
AMAZON.COM- AQUA PURE DRINKING
$17.91
WATER SYSTEM FILTER - FIRE DEPT
Invoice 102319-2 9242019
Cash Payment E 222-42260-434 Conference & Training
FIRE DEPT INTERNATIONAL CONFERENCE
$627.00
REGISTRATION- G. PEDERSON APRIL 20-25,
2020 INDIANAPOLIS IN
Invoice 102319-2 9/302019
Cash Payment E 222-42260-434 Conference & Training
FIRE DEPT INTERNATIONAL CONFERENCE
$627.00
REGISTRATION- G. PALM APRIL 20-25,2020
INDIANAPOLIS IN
Invoice 102319-2 9/302019
Cash Payment E 222-42260-217 Fire Prevention Supplies
COSTCO- FOOD & REFRESHMENTS FOR
$295.73
FIRE PREVENTION OPEN HOUSE- 10 -01 -19 -
HOT DOGS, BUNS, CONDIMENTS, DIXIE
CUPS, COCOA, CREAMER, LEMONADE,
NAPKINS, GOLD FISH, FRITOLAY CHIPS,
RICEKRISPIE BARS, NUGGETS
Invoice 102319-2 10/12019
Cash Payment E 222-42260-210 Operating Supplies
AMAZON.COM- CUSTOM HORIZONTAL
$25.94
STENCIL 8.5 X 11- DURABLE MYLAR- FIRE
DEPT
Invoice 102319-2 10/12019
Transaction Date 10/16/2019
Wells Fargo 10100 Total
$3,864.89
Fund Summary
10100
Wells Fargo
101 GENERAL FUND
$860.89
222 AREA FIRE SERVICES
$3,831.77
601 WATER FUND
$2,293.45
602 SEWER FUND
$1,103.23
609 MUNICIPAL LIQUOR FUND
$145.99
$8,235.33
Pre -Written Checks $0.00
Checks to be Generated by the Computer $8,235.33
Total $8,235.33
_1959-
CITY OF MOUND
Payments
Current Period: October 2019
Cash Payment E 101-41930-210 Operating Supplies
Invoice 102319-2 9/112019
Cash Payment E 222-42260-219 Safety supplies
Invoice 102319-2 9/122019
Cash Payment E 222-42260-409 Other Equipment Repair
Invoice 102319-2 9/122019
Cash Payment E 101-41930-210 Operating Supplies
Invoice 102319-2 9/122019
Cash Payment E 222-42260-210 Operating Supplies
Invoice 102319-2 9/122019
Cash Payment E 222-42260-219 Safety supplies
Invoice 102319-2 9/122019
Cash Payment E 222-42260-210 Operating Supplies
Invoice 102319-2 9222019
Cash Payment E 222-42260-210 Operating Supplies
AMAZON.COM- REPLACEMENT AIR FILTER -
PUBLIC SAFETY TRAINING ROOM
PROJECTOR
AMAZON.COM- 2 QTY EXGRAB
DELINEATOR 45" POSTS, 3" HIP COLLARS
W/ 10LB BASE, ORANGE 2 PK- FIRE DEPT
AMAZON.COM- REPLACEMENT PROJECTOR
LAMP- PUBLIC SAFETY TRAINING ROOM
PROJECTOR
AMAZON.COM- REPLACEMENT PROJECTOR
LAMP- PUBLIC SAFETY TRAINING ROOM
PROJECTOR
AMAZON.COM- INSULATED 12 OZ & 10 OZ
PAPER COFFEE CUPS- 660 COUNT- FIRE
DEPT
AMAZON.COM- 16 QTY 28" & 24 QTY 18"
ORANGE SAFETY TRAFFIC PVC CONES -
FIRE DEPT
AMAZON.COM- ELECTRONIC COIN SORTER,
HANDSET 2 -LINE LANDLINE TELEPHONE
BUNDLE W/ 3 HANDSETS & DUAL CALLER
ID/DALL WAITING- FIRE DEPT
AMAZON.COM- 2 PK SWIFFER DUSTERS,
USB POWERED PC COMPUTER
SPEAKERS- FIRE DEPT
Invoice 102319-2 9222019
Cash Payment E 222-42260-205 Computer Hardware/Soft BEST BUY- BROTHER LASER PRINTER,
BLACK XL TONER, 2 YR PROTECTION PLAN -
FIRE DEPT
Invoice 102319-2 9202019
Cash Payment E 222-42260-438 Licenses and Taxes
Invoice 102319-2 9202019
Cash Payment E 222-42260-438 Licenses and Taxes
Invoice 102319-2 9202019
Cash Payment E 222-42260-434 Conference & Training
Invoice 102319-2 9232019
Cash Payment G 222-22801 Deposits/Escrow
Invoice 102319-2 9/52019
Cash Payment E 222-42260-433 Dues and Subscriptions
Invoice 102319-2 9/112019
MN DVS WAYZATA, TRAILER #41
REGISTRATION
MN DVS WAYZATA -CREDIT CARD SVC FEE -
TRAILER #41 REGISTRATION CREDIT CARD
SVC FEE
DELTAAIRFARE TO FIRE CONFERENCE
NOV 13 THRU NOV 17 2019 -TAMPA FL- G.
PALM
DELTA SPOUSE AIRFARE TO FIRE
CONFERENCE NOV 13 THRU NOV 17 2019 -
TAMPA FL- C. PALM- TO BE REIMBURSED
MN FIRE SVC CERTIFICATION BOARD -
RECERTIFICATION OF 14 FIREFIGHTERS
-1958-
10/17/19 11:53 AM
Page 2
$3.74
$101.56
$29.38
$29.38
$87.72
$524.43
$349.98
$28.18
$189.97
$68.50
$1.71
$251.51
$251.50
$350.00
CITY OF MOUND
Payments
Current Period: October 2019
Batch Name 1019ELANCC User Dollar Amt $8,235.33
Payments Computer Dollar Amt $8,235.33
$0.00 In Balance
Refer 336 ELAN CREDIT CARD
Cash Payment
E 601-49400-434 Conference & Training
MN AMERICAN WATERWORKS ASSOCS
CONF REGISTRATION- R. HANSON SEPT 18-
20 2019, DULUTH MN
Invoice 102319
9/42019
Cash Payment
E 601-49400-434 Conference & Training
MN AMERICAN WATERWORKS ASSOCS
CONF REGISTRATION- R. PRICH SEPT 18-
20 2019, DULUTH MN
Invoice 102319
9/42019
Cash Payment
E 601-49400-434 Conference & Training
MN AMERICAN WATERWORKS ASSOCS
CONF REGISTRATION- M. TESSEN SEPT 18-
20 2019, DULUTH MN
Invoice 102319
9/42019
Cash Payment
E 601-49400-434 Conference & Training
SOUTH PIER INN- LODGING 2 NIGHTS- MN
AMERICAN WATERWORKS ASSOCS CONF -
R. HANSON SEPT 18- 20 2019, DULUTH MN
Invoice 102319
9/192019
Cash Payment
E 601-49400-434 Conference & Training
THE SUITES HOTEL- LODGING 2 ROOMS 2
NIGHTS- MN AMERICAN WATERWORKS
ASSOCS CONF - R. PRICH & M. TESSEN
SEPT 18- 20 2019, DULUTH MN
Invoice 102319
9202019
Cash Payment
E 601-49400-434 Conference & Training
HOLIDAY STATION- DULUTH -FUEL MN
AMERICAN WATERWORKS ASSOCS CONF -
R. HANSON SEPT 18- 20 2019
Invoice 102319 9/192019
Cash Payment E 601-49400-212 Motor Fuels
Invoice 102319 9/172019
Cash Payment E 602-49450-220 Repair/Maint Supply
Invoice 102319 9/112019
Cash Payment E 101-45200-220 Repair/Maint Supply
Invoice 102319 10/22019
Cash Payment E 609-49750-340 Advertising
Invoice 102319 9272019
Cash Payment E 609-49750-210 Operating Supplies
Invoice 102319 9/192019
Transaction Date 10/16/2019
BP KOEHNEN'S EXCELSIOR -FUEL TO MN
AMERICAN WATERWORKS ASSOCS CONF -
R. HANSON SEPT 18- 20 2019
HOME DEPOT- NEW WHIRLPOOL WASHER
& DRYER & PARTS- PUBLIC WORKS SHOP
Project 19-5
AUTOANYTHING- TOOLBOXES FOR PARKS
TRUCK #415
IN PRIME ADVERTISING- MONTHLY
WEBSITE HOSTING HWS
AMAZON.COM SHOP VAC 1.5 GALLON ALL
IN ONE- WET & DRY VAC- HWS
Wells Fargo 10100 Total
10/17/19 11:53 AM
Page 1
$290.00
$290.00
$290.00
$492.30
$806.25
$41.70
$83.20
$1,103.23
$827.77
$100.00
$45.99
$4,370.44
Refer 337 ELAN CREDIT CARD _
Cash Payment E 222-42260-409 Other Equipment Repair AMAZON.COM- REPLACEMENT AIR FILTER- $3.75
PUBLIC SAFETY TRAINING ROOM
PROJECTOR
Invoice 102319-2 9/112019
-1957-
CITY OF MOUND
Payments
Current Period: October 2019
Cash Payment E 101-43100-218 Clothing and Uniforms UNIFORM SVC PUBLIC WORKS 9-18-19
Invoice 0900507706 9/182019
Transaction Date 10/32019 Due 0 Wells Fargo 10100
Refer 154 UNIFIRST CORPORATION
Ck# 059713 10/4/2019
Cash Payment E 101-45200-218 Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 9-11-19
Invoice 0900506299 9/112019
Cash Payment E 602-49450-218 Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 9-11-19
Invoice 0900506299 9/112019
Cash Payment E 601-49400-218 Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 9-11-19
Invoice 0900506299 9/112019
Cash Payment E 101-43100-218 Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 9-11-19
Invoice 0900506299 9/112019
Transaction Date 10/32019 Due 0
Wells Fargo 10100
Fund Summary
609 MUNICIPAL LIQUOR FUND
602 SEWER FUND
601 WATER FUND
401 GENERAL CAPITAL PROJECTS
101 GENERAL FUND
10100 Wells Fargo
$574.27
$162.60
$151.70
$3.00
$5,320.23
$6,211.80
Pre -Written Checks $6,211.80
Checks to be Generated by the Computer $0.00
Total $6,211.80
-1956-
Total
Total
10/17/19 11:48 AM
Page 3
$25.94
$90.56
$20.33
$23.96
$20.33
$25.94
$90.56
CITY OF MOUND
Payments
Current Period: October 2019
Cash Payment E 101-43100-210 Operating Supplies MAT SVC & SHOP SUPPLIES- PUBLIC
WORKS 9-18-19
Invoice 0900507733 9/182019
Transaction Date 10/32019 Due 0 Wells Fargo 10100
Refer 156 UNIFIRST CORPORATION
Ck# 059713 10/4/2019
Cash Payment E 101-45200-218 Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 9-25-19
Invoice 0900509080 9252019
$20.33
Cash Payment E 602-49450-218 Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 9-25-19
Invoice 0900509080 9252019
Cash Payment E 602-49450-218 Clothing and Uniforms
Cash Payment E 601-49400-218 Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 9-25-19
Invoice 0900509080 9252019
Cash Payment E 101-43100-218 Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 9-25-19
Invoice 0900509080 9252019
$20.33
Transaction Date 10/32019 Due 0
Wells Fargo 10100
Refer 152 UNIFIRST CORPORATION
Cash Payment E 602-49450-210 Operating Supplies
Invoice 0900509110 9252019
Cash Payment E 101-45200-210 Operating Supplies
Invoice 0900509110 9252019
Cash Payment E 601-49400-210 Operating Supplies
Invoice 0900509110 9252019
Cash Payment E 101-43100-210 Operating Supplies
Invoice 0900509110 9252019
10/17/19 11:48 AM
Page 2
$38.94
Total $155.75
$20.33
$23.96
$20.33
$25.94
Total $90.56
Ck# 059713 10/4/2019
MAT SVC & SHOP SUPPLIES- PUBLIC $17.26
WORKS 9-25-19
MAT SVC & SHOP SUPPLIES- PUBLIC $17.25
WORKS 9-25-19
MAT SVC & SHOP SUPPLIES- PUBLIC $17.26
WORKS 9-25-19
MAT SVC & SHOP SUPPLIES- PUBLIC $17.26
WORKS 9-25-19
Transaction Date 10/32019 Due 0 Wells Fargo 10100
Refer 151 UNIFIRST CORPORATION Ck# 059713 10/4/2019
Cash Payment E 602-49450-210 Operating Supplies MAT SVC & SHOP SUPPLIES- PUBLIC
WORKS 9-11-19
Invoice 0900506331 9/112019
Cash Payment E 101-45200-210 Operating Supplies
Invoice 0900506331 9/112019
Cash Payment E 601-49400-210 Operating Supplies
Invoice 0900506331 9/112019
Cash Payment E 101-43100-210 Operating Supplies
Invoice 0900506331 9/112019
Transaction Date 10/32019 Due 0 Wells Fargo
MAT SVC & SHOP SUPPLIES- PUBLIC
WORKS 9-11-19
MAT SVC & SHOP SUPPLIES- PUBLIC
WORKS 9-11-19
MAT SVC & SHOP SUPPLIES- PUBLIC
WORKS 9-11-19
Total $69.03
$17.26
$17.26
$17.26
$17.26
10100 Total $69.04
Refer 155 UNIFIRST CORPORATION
Ck# 059713 10/4/2019
Cash Payment E 101-45200-218 Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 9-18-19
$20.33
Invoice 0900507706 9/182019
Cash Payment E 602-49450-218 Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 9-18-19
$23.96
Invoice 0900507706 9/182019
Cash Payment E 601-49400-218 Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 9-18-19
$20.33
Invoice 0900507706 9/182019
-1955-
Batch Name 100319CTYMAN
Payment
CITY OF MOUND
Payments
Current Period: October 2019
Computer Dollar Amt $6,211.80 Posted
Refer 157 HENNEPIN COUNTY TREASURER-( Ck# 059710 10/4/2019
Cash Payment R 401-46000-36101 Special Assessments TAX FORFEIT PARCEL 1992 SPECIAL
ASSESSMENT REMOVAL FEE- TREE
REMOVAL- PID 24-117-24-44-0128
Invoice 100319 10/32019
Transaction Date 10/32019 Due 0 Wells Fargo 10100
Total
Refer 158 J & B CUSTOM HOMES, LLC Ck# 059711 10/4/2019
Cash Payment G 101-23150 New Construction Escrow REFUND NEW CONSTRUCTION ESCROW -
1826 RESTHAVEN - J & B CUSTOM HOMES
Invoice 100319 10/32019
Transaction Date 10/32019 Due 0 Wells Fargo 10100 Total
Refer
159 MARLIN S TRUCKING DELIVERY
Ck# 059712 10/4/2019
Cash Payment
E 609-49750-265 Freight
DELIVERY SVC 9-26-19
Invoice 35668
9262019
Cash Payment E 101-45200-210 Operating Supplies
Cash Payment
E 609-49750-265 Freight
DELIVERY SVC 9-19-19- BALANCE DUE
Invoice 35651-2
9/192019
Cash Payment E 601-49400-210 Operating Supplies
Transaction Date
10/32019 Due 0
Wells Fargo 10100 Total
Refer 150 UNIFIRST CORPORATION Ck# 059713 10/4/2019
Cash Payment E 609-49750-210 Operating Supplies MATS & CLEANING SUPPLIES- HWS-
TERRYCLOTHS, MOPS, WIPERS- 10-02-19
Invoice 0900510517 10/22019
Transaction Date 10/32019 Due 0 Wells Fargo 10100 Total
Refer 151 UNIFIRST CORPORATION
Ck# 059713 10/4/2019
Cash Payment E 602-49450-210 Operating Supplies
MAT SVC & SHOP SUPPLIES- PUBLIC
WORKS 9-11-19
Invoice 0900506331 9/112019
Cash Payment E 101-45200-210 Operating Supplies
MAT SVC & SHOP SUPPLIES- PUBLIC
WORKS 9-11-19
Invoice 0900506331 9/112019
Cash Payment E 601-49400-210 Operating Supplies
MAT SVC & SHOP SUPPLIES- PUBLIC
WORKS 9-11-19
Invoice 0900506331 9/112019
Cash Payment E 101-43100-210 Operating Supplies
MAT SVC & SHOP SUPPLIES- PUBLIC
WORKS 9-11-19
Invoice 0900506331 9/112019
Transaction Date 10/32019 Due 0
Wells Fargo 10100
Refer 153 UNIFIRST CORPORATION
Cash Payment E 602-49450-210 Operating Supplies
Invoice 0900507733 9/182019
Cash Payment E 101-45200-210 Operating Supplies
Invoice 0900507733 9/182019
Cash Payment E 601-49400-210 Operating Supplies
Invoice 0900507733 9/182019
Ck# 059713 10/4/2019
MAT SVC & SHOP SUPPLIES- PUBLIC
WORKS 9-18-19
MAT SVC & SHOP SUPPLIES- PUBLIC
WORKS 9-18-19
MAT SVC & SHOP SUPPLIES- PUBLIC
WORKS 9-18-19
-1954-
Total
10/17/19 11:48 AM
Page 1
$3.00
$3.00
$5,000.00
$5,000.00
$419.05
$85.50
$504.55
$69.72
$69.72
$17.26
$17.25
$17.26
$17.26
$69.03
$38.94
$38.94
$38.93
City of Mound Claims 10-22-19
YEAR
BATCH NAME
DOLLAR
AMOUNT
2019
100319CTYMAN
$
61211.80
2019
1019ELANCC
$
81235.33
2019
100519CTYMAN
$
11,037.16
2019
101019CTYMAN
$
138,656.13
2019
101519CTYMAN
$
121101.94
2019
101719CTYMAN
$
211499.62
2019
0919CARQUEST
$
11748.97
2019
102219CITY
$
221,320.69
2019
102219HWS
$
102,998.14
TOTAL CLAIMS 11 $ 523,809.78
-1953-
COUNCIL BRIEFING
October 22, 2019
Upcoming Events Schedule: Don't Forget!!
22 October — 6:55 PM — HRA Regular Meeting (as may be required)
22 October — 7:00 PM — City Council Regular Meeting
12 November - 6:55 PM — HRA Regular Meeting (as may be required)
12 November - 7:00 PM — City Council Regular Meeting
23 November —Holiday Tree Lighting
26 November - 6:55 PM — HRA Regular Meeting (as may be required)
26 November - 7:00 PM — City Council Regular Meeting
10 December - 6:55 PM — HRA Regular Meeting (as may be required)
10 December - 7:00 PM — City Council Regular Meeting (final meeting of the year)
24 Dec 2019—Regular Meeting Canceled
City Offices Closed
11 November— Veterans' Day
28 November — Thanksgiving Day
29 November — Thanksgiving
City Official's Absences
Please notify the City Manager in advance of an absence.
Inauire in advance. please......
Council members are asked to call or email their questions in advance of a public meeting so that more
research may be done or additional information may be provided that will assist in your quality decision-
making.
PLEASE TURN OFF ALL CELL PHONES & PAGERS IN COUNCIL CHAMBERS.
8. Information/Miscellaneous
A. Comments/Reports from Council members
B. Reports: Finance - September 2019 YTD
Fire Dept—September 2019
C. Minutes: June 13, 2019 Parks and Open Spaces Commission
D. Correspondence: Mediacom — Notice of Mound Office Closure 10-15-19
Westonka School District — Operating Levy Election
9. Adjourn
2056-2058
2059-2060
2061-2065
2066
2067-2070