2020-01-14 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
ANNUAL MEETING
1. Opening meeting
2. Pledge of Allegiance
3. Approve agenda, with any amendments
TUESDAY, JAN 14, 2020 - 7:00 PM
MOUND CITY COUNCIL CHAMBERS
*Consent Agenda: Items listed under the Consent Agenda are considered routine in nature, have been evaluated by staff,
recommended by staff for approval by the Council, and will be enacted by a single roll call vote. There will be no separate
discussion of these items unless a Council Member or Citizen so requests. At this time, anyone present who wishes to
offer dissenting comment to any items on the Consent Agenda is invited to identify themselves and the item of concern
so that the it may be removed from the Consent Agenda and considered after discussion in normal sequence. Separate
introduction or further support from petitioners or requestors is not required at this time and removal of an item from
the Consent Agenda for this purpose is not required or appropriate.
4. *Consent Agenda Page
*A. Approve payment of claims 1 - 66
*B. Approve minutes: 12-10-19 Regular Meeting 67-73
*C. Approve a resolution appointing Jeff Bergquist as Acting Mayor for 2020 74
*D. Approve a resolution appointing City Council Members as Representatives 75
of the City Council to Committees and Commissions for 2020
*E. Approve a resolution appointing Catherine Pausche as the Acting City 76
Manager for 2020
*F. Approve a resolution appointing Field Officer Andrew Drilling as Assistant 77
Weed Inspector for 2020
*G. Approve a resolution approving the purchase of bonding as provided under 78-80
Minnesota State Statute 412.111 78
*H. Approve a resolution designating the Official Depositories for 2020 81
*I. Approve a resolution designating The Laker as the Official Newspaper for 2020 82-83
*J. Approve request for commercial kennel license for Mound Emergency 84
Management Division, waiving the fee
PLEASE TURN OFF ALL CELL PHONES & PAGERS IN COUNCIL CHAMBERS.
*K. Approve resolution making selection not to waive the statutory tort limits for
85
liability insurance purposes
*L. Approve resolution recommending continuation of CDBG funding of Westonka
86
Community Action Network (WeCAN)
*M. Approve Hennepin County Assessor Open Book Meeting for Monday,
87
April 27, 2020 from 5:00 pm to 7:00 pm
*N. Approve resolution amending Resolution No. 19-91: Resolution Adopting
88-89
Fee Schedule for 2020
*O. Approve Resolution Ordering the Abatement of a Hazardous Building
90-101
Located at 1720 Resthaven Lane in the City of Mound
92
*P. Approve Resolution Appointing Absentee Ballot Board for 2020
102
*CI. Approve Special Meetings in 2020:
103
1) Feb. 18' 7:00 pm - Concurrent Planning Commission Meeting
2) Apr. 21't 6:30 pm —Supervisors Annual Reports to City Council
3) Aug. 12th 7:00 pm — Rescheduled Aug. 11th Regular Meeting due to
Primary Election
4) Oct. 20th 6:30 pm - 2021 Budget and Long Term Financial Plan
5. Comments and suggestions from citizens present on any item not on the agenda.
(Limit to 3 minutes per speaker.)
6. Orono Police Sgt. Kenny Beck presenting the Mound Activity Report for December
104-112
7. Molly Egan, of Special Olympics Minnesota providing a presentation on the Mound,
-----
Lake Minnetonka Polar Plunge activities forthcoming, January 25, 2020
8. Evaluation of the performance of the City Manager Eric Hoversten -----
(This portion of the meeting may be closed to the public)
MAYOR TO ANNOUNCE: THIS MEETING IS BEING CLOSED UNDER MINNESOTA STATUTES, SECTION 13D.05,
TO EVALUATE THE PERFORMANCE OF ERIC HOVERSTEN, AN INDIVIDUAL SUBJECT TO THE COUNCIL'S
AUTHORITY.
9. Motion to reopen/discussion and possible action on City Manager Employment Agreement -----
11. Information/Miscellaneous
A. Comments/Reports from Council members
B. Reports: Liquor Store — December 2019 113
C. Minutes: Planning Commission — Dec 3, 2019 114-115
D. Correspondence:
12. Adjourn
COUNCIL BRIEFING
January 14, 2020
Upcoming Events Schedule: Don't Forget!!
2020 — Happy New Year!
14 January - 6:55 PM — HRA Regular Meeting (as may be required)
14 January - 7:00 PM — City Council Regular Meeting
25January —Mound, Lake Minnetonka Polar Plunge
28 January - 6:55 PM — HRA Regular Meeting (as may be required)
28 January - 7:00 PM — City Council Regular Meeting
11 February - 6:55 PM — HRA Regular Meeting (as may be required)
11 February - 7:00 PM — City Council Regular Meeting
18 February — 7:00 PM — Concurrent Workshop with Planning Commission
25 February - 6:55 PM — HRA Regular Meeting (as may be required)
25 February - 7:00 PM — City Council Regular Meeting
10 March - 6:55 PM — HRA Regular Meeting (as may be required)
10 March - 7:00 PM — City Council Regular Meeting
20 — 29 March — Westonka Schools Spring Break
24 March - 6:55 PM — HRA Regular Meeting (as may be required)
24 March - 7:00 PM — City Council Regular Meeting
14 April - 6:55 PM — HRA Regular Meeting (as may be required)
14 April - 7:00 PM — City Council Regular Meeting
21 April — 6:30 PM — Supervisors Annual Reports to City Council
28 April - 6:55 PM — HRA Regular Meeting (as may be required)
28 April - 7:00 PM — City Council Regular Meeting
City Offices Closed
January 20, 2020 — Martin Luther King Jr Day
February 17, 2020 — Presidents' Day
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.
City of Mound Claims 01-14-20
YEAR
BATCH NAME
DOLLAR
AMOUNT
2019
1119ELANCC
$
31393.99
2019
3Q19BLDGSCHG
$
11408.71
2019
121019CTYMAN
$
109,088.79
2019
121619HWS
$
1311408.50
2019
122019CITY
$
671168.83
2019
122719CITY
$
26,994.31
2019
123019CARQ
$
561.40
2019
123019CTYMAN
$
50,295.47
2019
123019TV-HWS
$
127.27
cont. on next page
- 1 -
City of Mound Claims 01-14-20
YEAR
BATCH NAME
DOLLAR
AMOUNT
2019
2019CITY-AP1
$
76,977.85
2019
2019CITY-AP2
$
21,627.84
2019
BOLT19#11AP3
$
171124.50
2019
K E N G RV -A P-4
$
648.00
2019
HWS19-AP5
$
46,464.43
2020
011420CITY
$
155,752.94
2020
011420HWS
$
56,206.51
TOTAL CLAIMS 11 $ 765,249.34
-2-
CITY OF MOUND 12/13/19 8:23 AM
Page 1
Payments
Current Period: November 2019
Batch Name
1119ELANCC User Dollar Amt $3,393.99
Cash Payment
Payments Computer Dollar Amt $3,393.99
TRACTOR SUPPLY.COM- LSU TRAILER
$0.00 In Balance
Invoice 112519-2
Refer
11 ELAN CREDIT CARD
Ck# 080586E 11/25/2019
E 222-42260-434 Conference & Training
Cash Payment
E 101-45200-400 Repairs & Maintenance
RADON SEAL- SKATEPARK BOWL REPAIRS
$196.00
Invoice 112519
10/312019
PEDERSON- DULUTH MN OCT 16- 19 2019
Cash Payment
E 602-49450-434 Conference & Training
MN POLLUTION CONTROL AGENCY- SEWER
$390.00
TRAINING CERTIFICATION- L.
PITSENBERGER
Invoice 112519
11/42019
Cash Payment
E 602-49450-434 Conference & Training
MN POLLUTION CONTROL AGENCY- SEWER
$390.00
TRAINING CERTIFICATION - M. TESSEN
Invoice 112519
11/42019
Cash Payment
E 101-43100-220 Repair/Maint Supply
HOME DEPOT- 2X8X16' CEDAR TONE
$259.98
LUMBER
Invoice 112519
10212019
Cash Payment
E 609-49750-433 Dues and Subscriptions
ALCOHOL & GAMBLING ENFORCEMENET
$20.50
DIVISION- 2020 BUYERS CARD- HWS
Invoice 112519
10/302019
Cash Payment
E 609-49750-340 Advertising
IN PRIME ADVERTISING- MONTHLY
$100.00
WEBSITE HOSTING HWS
Invoice 112519
10272019
Cash Payment
E 609-49750-210 Operating Supplies
SJF MATERIAL- DISPLAY RACKS- HWS
$147.20
Invoice 112519
10242019
Transaction Date 12/12/2019
Wells Fargo 10100 Total
$1,503.68
Refer 111 ELAN CREDIT CARD
Cash Payment E 222-42260-210 Operating Supplies
Invoice 112519-2 10/142019
Cash Payment E 222-42260-210 Operating Supplies
Invoice 112519-2 10/182019
Cash Payment E 222-42260-210 Operating Supplies
Ck# 080587E 11/25/2019
BEST MATERIALS- FIRE DEPT LSU TRAILER
PROPANE TANK WARMER
AMAZON.COM- MERCHANDISE RETURN
CREDIT- FIRE DEPT
AMAZON.COM- TUBULAR &
POLYPROPYLENE WEBBING, CLIMBING
ROPE- FIRE DEPT
Invoice 112519-2
10/152019
Cash Payment
E 222-42260-210 Operating Supplies
TRACTOR SUPPLY.COM- LSU TRAILER
HEATER - FIRE DEPT
Invoice 112519-2
10/152019
Cash Payment
E 222-42260-434 Conference & Training
COMFORT SUITES CANAL PARK -LODGING 3
MITES MN FIRE CHIEFS CONFERENCE- G.
PEDERSON- DULUTH MN OCT 16- 19 2019
Invoice 112519-2 10/192019
Cash Payment E 222-42260-210 Operating Supplies
Invoice 112519-2 10/172019
Cash Payment E 222-42260-210 Operating Supplies
Invoice 112519-2 10/192019
AMAZON.COM- POLY STRAPPING FOR
OUTDOOR GEAR REPAIR- FIRE DEPT
AMAZON.COM- POLY STRAPPING FOR FIRE
HOSE BUNDLES, QUICK SIDE RELEASE
BUCKLES- FIRE DEPT
-3-
$200.23
-$20.25
$156.52
$43.04
$721.95
$20.25
$46.62
CITY OF MOUND 12/13/19 8:23 AM
Page 2
Payments
Current Period: November 2019
Cash Payment E 222-42260-434 Conference & Training COMFORT SUITES CANAL PARK -LODGING 3 $721.95
MITES MN FIRE CHIEFS CONFERENCE- G.
PALM- DULUTH MN OCT 16- 19 2019
Invoice 112519-2 10/192019
Transaction Date 12/12/2019 Wells Fargo 10100 Total $1,890.31
Fund Summary
10100 Wells Fargo
101 GENERAL FUND
$455.98
222 AREA FIRE SERVICES
$1,890.31
602 SEWER FUND
$780.00
609 MUNICIPAL LIQUOR FUND
$267.70
$3,393.99
Pre -Written Checks $3,393.99
Checks to be Generated by the Computer $0.00
Total $3,393.99
CITY OF MOUND
Payments
Current Period: December 2019
Batch Name 3Q19BLDGSCHG
Payment Computer Dollar Amt $1,408.71 Posted
Refer 3 DEPT OF LABOR & INDUSTRY BLD Ck# 080596E 12/26/2019
Cash Payment G 101-20800 Due to Other Governments 3RD Quarter Bldg Surcharge 2019
Invoice 093019 10/162019
Transaction Date 12262019 Due 0 Wells Fargo 10100
Fund Summary
101 GENERAL FUND
10100 Wells Fargo
$1,408.71
$1,408.71
Pre -Written Checks $1,408.71
Checks to be Generated by the Computer $0.00
Total $1,408.71
-5-
Total
01/03/20 9:37 AM
Page 1
$1,408.71
$1,408.71
Batch Name 121019CTYMAN
Payment
CITY OF MOUND
Payments
Current Period: December 2019
Computer Dollar Amt $109,088.79 Posted
Refer 2 DEVEREAUX, RYAN M. Ck# 060118 12/112019
Cash Payment E 222-42260-190 Fire -Monthly Salaries RE -ISSUE FIRE PAYROLL CHECK #2- Paid 12-
02 -19 --BANK ACCOUNT CLOSED
Invoice 120219 12/22019
Transaction Date 12/11/2019 Due 0 Wells Fargo 10100 Total
Refer 1 MIDWEST ASPHALT INC. Ck# 060119 12/112019
Cash Payment E 404-45200-500 Capital Outlay FA PAY REQUEST #1 2019 SWENSON PARK
Invoice 121019 12/102019
Transaction Date 12/11/2019
TENNIS COURT IMPROV PROJ- PW 19 -06 -
WORK COMPLETED AUG 21 THRU SEPT
18TH
Project PW1906
Due 0 Wells Fargo 10100 Total
Refer 2 SICORA INC. Ck# 060120 12/112019
Cash Payment G 101-23150 New Construction Escrow NEW CONSTRUCTION ESCROW REFUND-
SICORA DESIGN BUILD- 5233 BARTLETT
BLVD
Invoice 121119 12/112019
Transaction Date 12/11/2019 Due 0 Wells Fargo 10100 Total
Fund Summary
10100 Wells Fargo
404 COMMUNITY INVESTMENT RESERVE
$103,041.28
222 AREA FIRE SERVICES
$1,047.51
101 GENERAL FUND
$5,000.00
$109,088.79
Pre -Written Checks $109,088.79
Checks to be Generated by the Computer $0.00
Total $109,088.79
M
12/20/19 3:19 PM
Page 1
$1,047.51
$1,047.51
$103,041.28
$103,041.28
$5,000.00
$5.000.00
Batch Name 121619HWS
Payment
CITY OF MOUND
Payments
Current Period: December 2019
Computer Dollar Amt $131,408.50 Posted
Refer 1 AMPHORA IMPORTS LLC Ck# 060217 12202019
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX
Invoice 9930 12/62009
Transaction Date 12/13/2019 Due 0 Wells Fargo 10100
Refer 2 ARTISAN BEER COMPANY
Cash Payment E 609-49750-252 Beer For Resale
Invoice 477510 11252019
Cash Payment E 609-49750-252 Beer For Resale
Invoice 477509 11252019
Cash Payment E 609-49750-252 Beer For Resale
Invoice 3390852 12/62019
Transaction Date 12/13/2019
Ck# 060218 12202019
BEER CREDIT
BEER CREDIT
BEER
12/20/19 3:17 PM
Page 1
$142.80
Total $142.80
-$97.68
-$29.20
$449.80
Due 0 Wells Fargo 10100 Total
Refer 3 BELLBOY CORPORATION
Ck# 060219 12202019
Cash Payment E 609-49750-210 Operating Supplies
SUPPLIES, BAGS
Invoice 0100548300 12/42019
$1.55
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa
MIX
Invoice 0100548300 12/42019
$18.60
Cash Payment E 609-49750-255 Misc Merchandise For R
MDSE- DOUBLE JIGGER, SHAKER SET, GIFT
FREIGHT
BAGS
Invoice 0100548300 12/42019
Cash Payment E 609-49750-210 Operating Supplies
SUPPLIES, BAGS
Invoice 0100472900 11202019
Cash Payment E 609-49750-255 Misc Merchandise For R
MDSE- SHAKER 3 PC SET
Invoice 0100582200 12/112019
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa
MIX
Invoice 0100582200 12/112019
Cash Payment E 609-49750-210 Operating Supplies
SUPPLIES, BAGS
Invoice 010062540 12/182019
Cash Payment E 609-49750-255 Misc Merchandise For R
MDSE- GIFT BAGS
Invoice 010062540 12/182019
Transaction Date 12/13/2019 Due 0
Wells Fargo 10100 Total
Refer 4 BELLBOY CORPORATION
Cash Payment E 609-49750-253 Wine For Resale
Invoice 0081937600 12/112019
Cash Payment E 609-49750-265 Freight
Invoice 0081937600 12/112019
Cash Payment E 609-49750-251 Liquor For Resale
Invoice 0081937400 12/112019
Cash Payment E 609-49750-265 Freight
Invoice 0081937400 12/112019
Cash Payment E 609-49750-251 Liquor For Resale
Invoice 0081841200 12/42019
Cash Payment E 609-49750-265 Freight
Invoice 0081841200 12/42019
$322.92
$29.70
$18.00
$26.24
$181.28
$9.99
$53.25
$114.40
$61.00
$493.86
Ck# 060219 12202019
WINE
$96.00
FREIGHT
$1.55
LIQUOR
$1,882.40
FREIGHT
$18.60
LIQUOR
$1,524.00
FREIGHT
$15.50
-7-
CITY OF MOUND
Payments
Current Period: December 2019
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 0081841200 12/42019
Refer 5 BREAKTHRU BEVERAGE MN BEE
Cash Payment E 609-49750-265 Freight
FREIGHT
Invoice 0082046000 12/182019
BEER
Transaction Date 12/13/2019 Due 0
Wells Fargo
10100
Refer 50 BREAKTHRU BEVERAGE MN BEE Ck# 060220 12202019
Cash Payment E 609-49750-252 Beer For Resale BEER
Invoice 1091093783 12/182019
Cash Payment E 609-49750-252 Beer For Resale BEER
12/20/19 3:17 PM
Page 2
$1,548.40
$20.93
Total $5,107.38
$6,516.40
$144.00
Invoice 1091093784 12/182019
Transaction Date 12/13/2019 Due 0
Wells Fargo 10100
Total $6,660.40
Refer 5 BREAKTHRU BEVERAGE MN BEE
Ck# 060220 12202019
Cash Payment E 609-49750-252 Beer For Resale
BEER
$5,062.65
Invoice 1091087773 12/42019
Cash Payment E 609-49750-251 Liquor For Resale
Cash Payment E 609-49750-252 Beer For Resale
BEER
$36.80
Invoice 1091087774 12/42019
Cash Payment E 609-49750-252 Beer For Resale
BEER
$2,988.50
Invoice 1091090856 12/112019
$48.00
Invoice 1081074530 12/182019
Transaction Date 12/13/2019 Due 0
Wells Fargo 10100
Total $8,087.95
Refer 39 BREAKTHRU BEVERAGE MN WINE Ck# 060221
12202019
Cash Payment E 609-49750-253 Wine For Resale
WINE
$951.11
Invoice 1081074529 12/182019
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
$2,878.27
Invoice 1081074528 12/182019
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa
MIX
$48.00
Invoice 1081074530 12/182019
Transaction Date 12/13/2019 Due 0
Wells Fargo
10100
Total $3,877.38
Refer 6 BREAKTHRU BEVERAGE MN WINE Ck# 060221
12202019
Cash Payment E 609-49750-253 Wine For Resale
WINE
$980.32
Invoice 1081066842 12/42019
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
$7,092.74
Invoice 1081066841 12/42019
Cash Payment E 609-49750-253 Wine For Resale
WINE
$360.00
Invoice 1081065421 11292019
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
$2,464.14
Invoice 1081066842 12/42019
Transaction Date 12/13/2019 Due 0
Wells Fargo
10100
Total $10,897.20
Refer 7 BREAKTHRU BEVERAGE MN WINE Ck# 060221
12202019
Cash Payment E 609-49750-253 Wine For Resale
WINE
$119.24
Invoice 1081070848 12/112019
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
$2,304.45
Invoice 1081070847 12/112019
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa
MIX
$52.00
Invoice 1081070849 12/112019
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
$115.17
Invoice 1081068435 12/52019
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
$76.45
Invoice 1081059140 11/182019
CITY OF MOUND
Payments
Current Period: December 2019
Transaction Date 12/13/2019 Due 0 Wells Fargo 10100 Total
Refer
32 CAPITOL BEVERAGE SALES, L.P.
Ck# 060222 12202019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 7115269
12/172019
121019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 7115271
12/172019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 2358498
12/122019
BEER
Cash Payment
E 609-49750-255 Misc Merchandise For R
MERCHANDISE- BEER STEINS
Invoice 2349714
11202019
Transaction Date
12/13/2019 Due 0
Wells Farao 10100
Total
12/20/19 3:17 PM
Page 3
$2,667.31
$4,009.40
$20.55
$152.00
$162.00
$4.343.95
Refer
8 CAPITOL BEVERAGE SALES, L.P.
Ck# 060222
12202019
Cash Payment
E 609-49750-252 Beer For Resale
121019
$1,292.15
Invoice 7115233
12/102019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$6,405.87
Invoice 7115197
12/32019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$79.70
Invoice 7115198
12/32019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$89.00
Invoice 2355715
12/52019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$66.00
Invoice 2355137
12/32019
Transaction Date
12/13/2019 Due 0
Wells Fargo
10100
Total
$7,932.72
Refer
33 CLEAR RIVER BEVERAGE CO.
Ck# 060223
12202019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$620.00
Invoice 10134747 12/122019
Transaction Date
12/18/2019 Due 0
Wells Fargo
10100
Total
$620.00
Refer
9 COCA COLA -GREAT LAKES DISTRI
Ck# 060224
12202019
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa COCA COLA
PRODUCTS- MIX
$380.08
Invoice 3614207097 12/92019
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa COCA COLA
PRODUCTS- MIX
$430.00
Invoice 3609209404 12/162019
Transaction Date
12/13/2019 Due 0
Wells Fargo
10100
Total
$810.08
Refer
10 DAHLHEIMER BEVERAGE LLC
Ck# 060225
12202019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$905.70
Invoice 123-03205 12/32019
Transaction Date
12/13/2019 Due 0
Wells Fargo
10100
Total
$905.70
Refer
34 DAHLHEIMER BEVERAGE LLC
Ck# 060225
12202019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$2,280.10
Invoice 123-03419
12/172019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$107.00
Invoice 28296
12/132019
Transaction Date
12/13/2019 Due 0
Wells Fargo
10100
Total
$2,387.10
Refer
11 FLAHERTY S HAPPY TYME COMP
Ck# 060226
12202019
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa MIX
$366.00
Invoice 36078
12/112019
CITY OF MOUND
Payments
Current Period: December 2019
Transaction Date 12/13/2019 Due 0 Wells Fargo 10100
Refer
34 HOHENSTEINS, INCORPORATED
Ck# 060227 12202019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 180432
12/122019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 180433
12/122019
Transaction Date
12/13/2019 Due 0
Wells Fargo 10100
Refer
12 HOHENSTEINS, INCORPORATED
Ck# 060227 12202019
Cash Payment
E 609-49750-252 Beer For Resale
BEER CREDIT
Invoice 229467
12/42019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 179134
12/52019
Transaction Date
12/13/2019 Due 0
Wells Fargo 10100
12/20/19 3:17 PM
Page 4
Total $366.00
$1,421.13
$22.50
Total $1,443.63
-$14.25
$258.85
Total $244.60
Refer
13 JACK PINE BREWERY
Ck# 060228 12202019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$171.60
Invoice 3217
12/62019
Transaction Date
12/13/2019 Due 0
Wells Fargo 10100
Total
$171.60
Refer
40 JJ TAYLOR. DISTRIBUTING MINN
Ck# 060229 12202019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$50.90
Invoice 3043516
12/192019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$3,923.73
Invoice 3043516
12/192019
Transaction Date
12/13/2019 Due 0
Wells Fargo 10100
Total
$3,974.63
Refer
15 JJ TAYLOR. DISTRIBUTING MINN
Ck# 060229 12202019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$55.35
Invoice 3043473
12/122019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$2,936.22
Invoice 3043472
12/122019
Transaction Date
12/13/2019 Due 0
Wells Fargo 10100
Total
$2,991.57
Refer
14 JJ TAYLOR. DISTRIBUTING MINN
Ck# 060229 12202019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$125.50
Invoice 3043447
12/52019
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$4,278.95
Invoice 3043446
12/52019
Transaction Date
12/13/2019 Due 0
Wells Fargo 10100
Total
$4,404.45
Refer
41 JOHNSON BROTHERS LIQUOR
Ck# 060230 12202019
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa MIX
$37.00
Invoice 1460828
12/182019
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$7,345.89
Invoice 1460826
12/182019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$3,360.50
Invoice 1460827
12/182019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$276.90
Invoice 1457814
12/162019
Cash Payment
E 609-49750-253 Wine For Resale
WINE CREDIT
-$13.79
Invoice 582188
12/112019
-10-
Transaction Date 12/13/2019
CITY OF MOUND
Payments
Current Period: December 2019
Due 0 Wells Fargo
10100
Refer
17 JOHNSON BROTHERS LIQUOR
Ck# 060230 12202019
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa MIX
Invoice 1455131
12/112019
12/32019
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 1455129
12/112019
12/122019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 1455130
12/112019
19 MARLIN S TRUCKING DELIVERY
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR CREDIT
Invoice 573157
10/172019
11212019
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR CREDIT
Invoice 573204
10/182019
11262019
Transaction Date
12/13/2019 Due 0
Wells Fargo 10100
Refer
16 JOHNSON BROTHERS LIQUOR
Ck# 060230 12202019
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa MIX
Invoice 1449619
12/42019
12/32019
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 1449617
12/42019
12/122019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 1449618
12/42019
19 MARLIN S TRUCKING DELIVERY
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 1444552
11262019
11212019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 1446848
12/22019
11262019
Transaction Date
12/13/2019 Due 0
Wells Fargo 10100
Refer 18 LUPULIN BREWING COMPANY
Cash Payment
E 609-49750-252 Beer For Resale
Invoice 23936
12/32019
Cash Payment
E 609-49750-252 Beer For Resale
Invoice 23936
12/32019
Transaction Date
12/13/2019
Total
Total
12/20/19 3:17 PM
Page 5
$11,006.50
$37.00
$2,241.68
$1,541.35
-$97.00
-$26.00
$3,697.03
$37.00
$8,141.33
$6,925.79
$44.37
$56.88
Total $15,205.37
Ck# 060231 12202019
BEER $577.00
BEER CREDIT -$519.67
Due 0 Wells Fargo 10100
Refer
42 MARLIN S TRUCKING DELIVERY
Ck# 060232 12202019
Cash Payment
E 609-49750-265 Freight
DELIVERY SVC 12-05-19
Invoice 35858
12/52019
Cash Payment
E 609-49750-265 Freight
DELIVERY SVC 12-12-19
Invoice 35874
12/122019
Transaction Date
12/13/2019 Due 0
Wells Fargo 10100
Refer
19 MARLIN S TRUCKING DELIVERY
Ck# 060232 12202019
Cash Payment
E 609-49750-265 Freight
DELIVERY SVC 11-21-19
Invoice 35825
11212019
Cash Payment
E 609-49750-265 Freight
DELIVERY SVC 11-26-19
Invoice 35844
11262019
Transaction Date
12/13/2019 Due 0
Wells Fargo 10100
Refer 39 MINNEHAHA BUILDING MICE. INC Ck# 060233 12202019
Cash Payment E 609-49750-440 Other Contractual Servic WASH WINDOWS INSIDE & OUT 9-16-19
Invoice 180142057 10/62019
-11-
Total $57.33
$498.80
$229.10
Total $727.90
$392.95
$310.30
Total
$703.25
$65.19
CITY OF MOUND
Payments
Current Period: December 2019
Cash Payment E 609-49750-440 Other Contractual Servic WASH WINDOWS INSIDE & OUT 11-11-19
Invoice 180145891 12/12019
Transaction Date 12/18/2019 Due 0 Wells Fargo 10100 Total
Refer 35 PARLEY LAKE WINERY
Cash Payment E 609-49750-252 Beer For Resale
Invoice 17779 12/162019
Transaction Date 12/18/2019
Ck# 060234 12202019
BEER
Due 0 Wells Fargo 10100 Total
Refer
53 PAUSTIS AND SONS WINE COMPA
Ck# 060235 12202019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 74615
12/162019
Cash Payment
E 609-49750-265 Freight
FREIGHT
Invoice 74615
12/162019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 74637
12/162019
Transaction Date
Cash Payment
E 609-49750-265 Freight
FREIGHT
Invoice 74637
12/162019
Transaction Date
12/13/2019 Due 0
Wells Fargo 10100
Refer
20 PAUSTIS AND SONS WINE COMPA
Ck# 060235 12202019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 73753
12/92019
Cash Payment
E 609-49750-265 Freight
FREIGHT
Invoice 73753
12/92019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 72991
12/22019
Transaction Date
Cash Payment
E 609-49750-265 Freight
FREIGHT
Invoice 72991 12/22019
Transaction Date 12/13/2019 Due 0 Wells Fargo 10100
Refer
43 PHILLIPS WINE AND SPIRITS, INC
Ck# 060236 12202019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 2674924
12/182019
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 2674923
12/182019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 2674925 12/182019
Transaction Date 12/13/2019 Due 0 Wells Fargo 10100
Refer
22 PHILLIPS WINE AND SPIRITS, INC
Ck# 060236 12202019
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 2670697
12/112019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 2670698
12/112019
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa MIX
Invoice 2670699
12/112019
Transaction Date
12/13/2019 Due 0
Wells Fargo 10100
Refer 21 PHILLIPS WINE AND SPIRITS, INC Ck# 060236 12202019
Cash Payment E 609-49750-253 Wine For Resale WINE
Invoice 2666679 12/42019
-12-
Total
12/20/19 3:17 PM
Page 6
$65.19
$130.38
$282.00
$282.00
$847.67
$12.50
$80.00
$2.25
$942.42
$663.58
$10.00
$786.25
$12.50
Total $1,472.33
$1,485.50
$541.80
$72.00
Total $2,099.30
$752.75
$32.00
$204.75
Total $989.50
$494.75
CITY OF MOUND
Payments
Current Period: December 2019
Cash Payment
E 609-49750-251 Liquor For Resale LIQUOR
Invoice 2666678
12/42019
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa MIX
Invoice 2666680
12/42019
Transaction Date
12/13/2019 Due 0 Wells Fargo
10100
Refer 23 PRYES BREWING COMPANY, LLC Ck# 060237 12202019
Cash Payment E 609-49750-252 Beer For Resale BEER
Invoice 8989 12/42019
Cash Payment E 609-49750-252 Beer For Resale BEER
Invoice 8937 12/32019
Transaction Date 12/13/2019 Due 0 Wells Fargo 10100
Refer 24 SHAMROCK GROUP, INC. Ck# 060238 12202019
Cash Payment E 609-49750-255 Misc Merchandise For R ICE
Invoice 2449125 12/112019
Cash Payment E 609-49750-255 Misc Merchandise For R ICE
Invoice 2439690 11/62019
Transaction Date 12/13/2019 Due 0 Wells Fargo 10100
Refer
25 SOUTHERN WINE & SPIRITS OF M
Ck# 060239 12202019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 1898128
12/52019
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 1898129
12/52019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 5051322 12/52019
Transaction Date 12/13/2019 Due 0 Wells Fargo 10100
Refer
44 SOUTHERN WINE & SPIRITS OF M
Ck# 060239 12202019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 1903656
12/192019
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 1903658
12/192019
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa MIX
Invoice 1903657
12/192019
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 1903654
12/192019
Transaction Date
12/13/2019 Due 0
Wells Fargo 10100
Refer
26 SOUTHERN WINE & SPIRITS OF M
Ck# 060239 12202019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 1901071
12/122019
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 1901070
12/122019
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa MIX
Invoice 1901072
12/122019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 5050884
11292019
Transaction Date
12/13/2019 Due 0
Wells Fargo 10100
Refer 54 TONKA VAC/TONKA TUNES Ck# 060240 12202019
-13-
Total
12/20/19 3:17 PM
Page 7
$884.90
$204.75
$1,584.40
$159.00
$213.00
Total $372.00
$146.90
$2.00
Total $148.90
Total
Total
Total
$1,044.00
$4,601.17
$240.00
$5,885.17
$1,314.00
$2,833.68
$27.00
$360.00
$4,534.68
$1,443.78
$1,843.52
$23.00
$600.00
$3,910.30
CITY OF MOUND
Payments
Current Period: December 2019
Cash Payment E 609-49750-440 Other Contractual Servic COMMERCIAL VACUUM SERVICE- CLEAN &
TUNE-UP, BAGS- HWS
Invoice 758008 12/172019
Transaction Date 12/19/2019 Due 0 Wells Fargo 10100 Total
Refer 36 TOTAL REGISTER SYSTEMS, INC. Ck# 060241 12202019
Cash Payment E 609-49750-200 Office Supplies CASE -50 ROLLS RECEIPT THERMAL PAPER -
HWS REGISTERS
Invoice 57549 12/112019
Transaction Date 12/18/2019 Due 0 Wells Fargo 10100 Total $102.96
12/20/19 3:17 PM
Page 8
$67.28
$67.28
$102.96
Refer 27 VINOCOPIA, INCORPORATED
Cash Payment E 609-49750-251 Liquor For Resale
Invoice 0246949 12/42019
Cash Payment E 609-49750-265 Freight
Invoice 0246949 12/42019
Cash Payment E 609-49750-253 Wine For Resale
Invoice 0246950 12/42019
Cash Payment E 609-49750-265 Freight
Invoice 0246950 12/42019
Ck# 060242 12202019
LIQUOR
FREIGHT
WINE
FREIGHT
Transaction Date 12/13/2019 Due 0 Wells Fargo
Refer 46 VINOCOPIA, INCORPORATED
Cash Payment E 609-49750-251 Liquor For Resale
Invoice 0248160 12/192019
Cash Payment E 609-49750-265 Freight
Invoice 0248160 12/192019
Cash Payment E 609-49750-253 Wine For Resale
Invoice 0248144 12/192019
Cash Payment E 609-49750-265 Freight
Invoice 0248144 12/192019
10100 Total
Ck# 060242 12202019
LIQUOR
FREIGHT
WINE
FREIGHT
Transaction Date 12/13/2019 Due 0 Wells Fargo
Refer 37 VINOCOPIA, INCORPORATED
Cash Payment E 609-49750-265 Freight
Invoice 0247476 12/122019
Cash Payment E 609-49750-251 Liquor For Resale
Invoice 0247477 12/122019
Cash Payment E 609-49750-265 Freight
Invoice 0247477 12/122019
Cash Payment E 609-49750-253 Wine For Resale
Invoice 0247476 12/122019
10100
Ck# 060242 12202019
FREIGHT
LIQUOR
FREIGHT
WINE
Transaction Date 12/13/2019 Due 0 Wells Fargo
Refer 28 WINE COMPANY
Cash Payment E 609-49750-253 Wine For Resale
Invoice 128552 12/52019
Cash Payment E 609-49750-265 Freight
Invoice 128552 12/52019
Cash Payment E 609-49750-251 Liquor For Resale
Invoice 128553 12/52019
Cash Payment E 609-49750-265 Freight
Invoice 128553 12/52019
Total
10100 Total
Ck# 060243 12202019
WINE
FREIGHT
LIQUOR
FREIGHT
-14-
$1,120.00
$19.50
$88.00
$2.50
$1,230.00
$67.50
$0.00
$72.00
$0.00
$139.50
$2.50
$325.71
$5.00
$120.00
$453.21
$576.00
$9.90
$180.00
$5.00
CITY OF MOUND
Payments
Current Period: December 2019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 120523
9262019
WINE
Cash Payment
E 609-49750-265 Freight
FREIGHT
Invoice 125023
9262019
FREIGHT
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 120616
9262019
LIQUOR
Transaction Date
12/13/2019 Due 0
Wells Fargo 10100
Refer
38 WINE COMPANY
Ck# 060243 12202019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 129338
12/122019
Cash Payment
E 609-49750-265 Freight
FREIGHT
Invoice 129338
12/122019
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 129340
12/122019
Cash Payment
E 609-49750-265 Freight
FREIGHT
Invoice 129340
12/122019
Transaction Date
12/13/2019 Due 0
Wells Fargo 10100
Refer
29 WINE MERCHANTS
Ck# 060244 12202019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 7263959
12/42019
Cash Payment
E 609-49750-255 Misc Merchandise For R
MERCHANDISE
Invoice 7263960
12/42019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 7265122
12/112019
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 7266449
12/182019
Transaction Date
12/13/2019 Due 0
Wells Fargo 10100
Refer
30 WRS IMPORTS, LLC
Ck# 060245 12202019
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 2413
12/112019
Cash Payment
E 609-49750-265 Freight
LIQUOR
Invoice 2413
12/112019
Transaction Date
12/13/2019 Due 0
Wells Fargo 10100
Refer 31 ZWINES USA LLC
Cash Payment E 609-49750-253 Wine For Resale
Invoice 23012 12/112019
Cash Payment E 609-49750-265 Freight
Invoice 23012 12/112019
Transaction Date 12/13/2019
Ck# 060246 12202019
WINE
FREIGHT
Due 0 Wells Fargo 10100
-15-
Total
Total
12/20/19 3:17 PM
Page 9
$266.00
$4.20
$226.66
$1,267.76
$458.00
$6.30
$152.00
$5.00
$621.30
$1,991.00
$54.00
$1,338.00
$644.00
Total $4,027.00
$540.00
$7.50
Total
Total
$547.50
$340.00
$10.00
$350.00
CITY OF MOUND 12/20/19 3:17 PM
Page 10
Payments
Current Period: December 2019
Fund Summary
10100 Wells Fargo
609 MUNICIPAL LIQUOR FUND $131,408.50
$131,408.50
Pre -Written Checks $131,408.50
Checks to be Generated by the Computer $0.00
Total $131,408.50
-16-
Batch Name 122019CITY
Payments
CITY OF MOUND
Payments
Current Period: December 2019
User Dollar Amt $67,168.83
Computer Dollar Amt $67,168.83
$0.00 In Balance
Refer 1 ASPEN EQUIPMENT _
Cash Payment E 101-43100-404 Machinery/Equip Repairs PLOW CONTROLLERS- STREETS & PARKS
TRUCK #318
Invoice 10212174 12/172019
Transaction Date 12/19/2019 Wells Fargo 10100 Total
Refer
2 BENIEK PROPERTY SVCS INC. _
Cash Payment
Cash Payment
E 101-43100-440 Other Contractual Servic
AREA #1 CBD 11-27, 11-30, 12-01 2019
Cash Payment
E 101-45200-410 Rentals (GENERAL)
PLOWING
Invoice 153395
12/12019
12/19/2019
Cash Payment
E 101-43100-440 Other Contractual Servic
AREA#2 TRUE VALUE -RAMP -SIDEWALKS
E 101-41910-383 Gas Utilities
Invoice 121619
11-27, 11-30,12-01 2019 PLOWING&
Cash Payment
E 602-49450-383 Gas Utilities
SHOVELING
Invoice 153395 12/12019
Transaction Date 12/19/2019
Refer
3 BIFFS, INC PORTABLE RESTROO
Cash Payment
E 101-45200-410 Rentals (GENERAL)
Invoice W748174
12/42019
Cash Payment
E 101-45200-410 Rentals (GENERAL)
Invoice W748175
12/42019
Transaction Date
12/19/2019
Wells Fargo 10100 Total
SURFSIDE PARK BIFFS RENTAL & SVC 11-
06-19 THRU 12-03-19
SKATEPARK BIFFS RENTAL & SVC 1-06-19
THRU 12-03-19
Wells Fargo 10100 Total
Refer 4 CANON FINANCIAL SERVICES, INC _
Cash Payment E 222-42260-202 Duplicating and copying DECEMBER 2019- COPIER RENTAL- FIRE
DEPT
Invoice 20892189 12/132019
Transaction Date 12/19/2019 Wells Fargo 10100 Total
Refer
5 CENTERPOINT ENERGY
Cash Payment
E 101-41930-383 Gas Utilities
Invoice 121619
12/112019
Cash Payment
E 222-42260-383 Gas Utilities
Invoice 121619
12/112019
Cash Payment
E 101-45200-383 Gas Utilities
Invoice 121619
12/112019
Cash Payment
E 101-41910-383 Gas Utilities
Invoice 121619
12/112019
Cash Payment
E 602-49450-383 Gas Utilities
Invoice 121619
12/112019
Cash Payment
E 609-49750-383 Gas Utilities
Invoice 121619
12/112019
Cash Payment
E 101-45200-383 Gas Utilities
Invoice 121619
12/112019
Transaction Date
12/19/2019
Refer 6 DPC INDUSTRIES, INC.
12/20/19 3:20 PM
Page 1
$1,166.21
$1,166.21
$1,270.00
$1,803.00
$3,073.00
$525.64
$225.49
$751.13
$31.75
$31.75
GAS SVC 10-20-19 TO 11-20-19
$93.16
GAS SVC 10-20-19 TO 11-20-19
$527.92
GAS SVC 10-20-19 TO 11-20-19
$405.59
GAS SVC 10-20-19 TO 11-20-19
$739.99
GAS SVC 10-20-19 TO 11-20-19
$684.76
Project 19-3
GAS SVC 10-20-19 TO 11-20-19
$217.99
GAS SVC 10-20-19 TO 11-20-19 DEPOT BLDG
$136.54
Wells Fargo 10100 Total
$2,805.95
Cash Payment E 601-49400-227 Chemicals 150# CHLORINE CYLINDER RENTAL- QTY 8 $160.00
Invoice 82000145-19 11/302019
-17-
CITY OF MOUND 12/20/19 3:20 PM
Page 2
Payments
Current Period: December 2019
Transaction Date
12/19/2019
Wells Fargo 10100 Total
$160.00
Refer
7 FIRS TNET
_
Cash Payment
E 222-42260-321 Telephone, Cells, & Radi
DATACARD SVC -XXX -0353 FIRE UNIT#39
$38.23
FIRE CHIEF RESCUE UTILITY 10-26-19 THRU
11-25-19
Invoice 12202019 11252019
Cash Payment
E 222-42260-321 Telephone, Cells, & Radi
DATACARD SVC XXX -0545 FIRE #43
$38.23
RESCUE TRUCK SVC 10-26-19 THRU 11-25-
19
Invoice 12202019 11252019
Cash Payment
E 222-42260-321 Telephone, Cells, & Radi
DATACARD SVC XXX -1887 FIRE LADDER
$38.23
TRUCK #44 SVC 10-26-19 THRU 11-25-19
Invoice 12202019 11252019
Cash Payment
E 222-42260-321 Telephone, Cells, & Radi
DATACARD SVC XXX -1962 FIRE ENGINE #29
$38.23
SVC 10-26-19 THRU 11-25-19
Invoice 12202019 11252019
Cash Payment
E 222-42260-321 Telephone, Cells, & Radi
DATACARD SVC XXX -4845 FIRE UNIT #42
$38.23
DUTY OFFICER SVC 10-26-19 THRU 11-25-19
Invoice 12202019 11252019
Cash Payment
E 222-42260-321 Telephone, Cells, & Radi
CELLPHONE SVC XXX -0150 CHIEF G.
$53.74
PEDERSON - 10-26-19 THRU 11-25-19
Invoice 12202019 11252019
Transaction Date
12/19/2019
Wells Fargo 10100 Total
$244.89
Refer
8 FIRSTSOURCE SOLUTIONS
_
Cash Payment
E 101-43100-305 Medical Services
DOT RANDOM DRUG SCREENS- STREET
$97.95
DEPT STAFF
Invoice FL00328473 10/42019
Cash Payment
E 101-45200-305 Medical Services
DOT RANDOM DRUG SCREENS- SEWER
$150.15
DEPT STAFF
Invoice FL00328473 10/42019
Transaction Date
12/19/2019
Wells Fargo 10100 Total
$248.10
Refer
9 FIVE TECHNOLOGY
_
Cash Payment
E 101-41920-205 Computer Hardware/Soft
FIREWALL/VPN UPGRADES CITY HALL &
$835.00
PUBLICWORKS
Invoice P237-55
12/92019
Cash Payment
E 601-49400-205 Computer Hardware/Soft
FIREWALL/VPN UPGRADES CITY HALL &
$1,670.00
PUBLICWORKS
Invoice P237-55
12/92019
Cash Payment
E 602-49450-205 Computer Hardware/Soft
FIREWALL/VPN UPGRADES CITY HALL &
$1,670.00
PUBLICWORKS
Invoice P237-55
12/92019
Transaction Date
12/19/2019
Wells Fargo 10100 Total
$4,175.00
Refer
10 FRONTIERICITIZENS COMMUNICA
_
Cash Payment
E 602-49450-321 Telephone, Cells, & Radi
PHONE SVC -11-30-19- TO 12-29-19
$47.10
Invoice 122019
11/302019
Cash Payment
E 609-49750-321 Telephone, Cells, & Radi
PHONE SVC -11-30-19- TO 12-29-19
$215.74
Invoice 122019
11/302019
Cash Payment
E 602-49450-321 Telephone, Cells, & Radi
PHONE SVC -11-30-19- TO 12-29-19
$193.81
Invoice 122019
11/302019
Cash Payment
E 601-49400-321 Telephone, Cells, & Radi
PHONE SVC -11-30-19- TO 12-29-19
$188.11
Invoice 122019
11/302019
CITY OF MOUND 12/20/19 3:20 PM
Page 3
Payments
Current Period: December 2019
Cash Payment
E 101-43100-321 Telephone, Cells, & Radi
PHONE SVC -11-30-19- TO 12-29-19
$188.11
Invoice 122019
11/302019
_
Cash Payment
E 101-41930-321 Telephone, Cells, & Radi
PHONE SVC -11-30-19- TO 12-29-19
$462.20
Invoice 122019
11/302019
ON DUTY SHIRT- T. POUNDER
Cash Payment
E 222-42260-321 Telephone, Cells, & Radi
PHONE SVC -11-30-19- TO 12-29-19
$154.07
Invoice 122019
11/302019
Wells Fargo 10100 Total
$6.00
Cash Payment
E 101-41910-321 Telephone, Cells, & Radi
PHONE SVC -11-30-19- TO 12-29-19
$77.03
Invoice 122019
11/302019
JOHNNIES- OUTDOOR- PLANTS- HARBOR
$200.00
Cash Payment
E 101-42110-321 Telephone, Cells, & Radi
PHONE SVC -11-30-19- TO 12-29-19
$77.03
Invoice 122019
11/302019
Transaction Date
12/19/2019
Wells Fargo 10100 Total
$1,603.20
Refer
11 HENNEPIN COUNTY INFORMATIO
_
Cash Payment
E 602-49450-321 Telephone, Cells, & Radi
PW RADIO LEASE &ADMINISTRATION FEE-
$152.11
Cash Payment
E 101-41310-431 Meeting Expense
NOVEMBER 2019
$16.80
Invoice 1000139939 12/32019
Project 19-3
ENROLLMENT MEETING 11-6-19
Cash Payment
E 222-42260-321 Telephone, Cells, & Radi
FIRE DEPT RADIO LEASE &
$1,904.50
Cash Payment
ADMINISTRATION FEE- NOVEMBER 2019
WATER, FORKS, PLATES, SODA- FIRE
Invoice 1000139882 12/32019
Transaction Date
12/19/2019
Wells Fargo 10100 Total
$2,056.61
Refer 12 HOISINGTON KOEGLER GROUP, 1
Cash Payment E 101-42400-300 Professional Srvs
Invoice 015-015-49 12/82019
Cash Payment E 101-42400-300 Professional Srvs
Invoice 017-003-18 12/192019
Transaction Date 12/19/2019
MISC PLANNING SVCS NOVEMBER 2019
MOUND COMPREHENSIVE PLAN 2040
PLANNING SVCS JUNE 1 THRU NOVEMBER
30 2019
Wells Fargo 10100 Total
$2.497.21
Refer
Cash Payment
Invoice 3051335
Transaction Date
14 HOME DEPOT/GECF (PW
E 601-49400-220 Repair/Maint Supply
12/62019
12/19/2019
_
5 GAL BUCKET, 1 PT CONCRETE FLOOR
PNT, POLY HOSE, - WELL # 3 & #8
Wells Fargo 10100 Total
$88.71
$88.71
Refer
13 HOWLING WOLF EMBROIDERY, IN
_
Cash Payment
E 222-42260-210 Operating Supplies
EMBROIDER FIREFIGHTER NAME & RANK
$6.00
ON DUTY SHIRT- T. POUNDER
Invoice 4568
11222019
Transaction Date
12/19/2019
Wells Fargo 10100 Total
$6.00
Refer
15 JUBILEE FOODS
_
Cash Payment
E 609-49750-210 Operating Supplies
JOHNNIES- OUTDOOR- PLANTS- HARBOR
$200.00
WINE & SPIRITS STORE FRONT
Invoice 113019
11202019
Cash Payment
E 101-41910-210 Operating Supplies
JOHNNIES- OUTDOOR- PLANTS-
$395.65
CENTENNIAL BLDG- POTS
Invoice 113019
11202019
Cash Payment
E 101-41310-431 Meeting Expense
NUT BARS, POPCORN, APPLES FOR OPEN
$16.80
ENROLLMENT MEETING 11-6-19
Invoice 113019
11/62019
Cash Payment
E 222-42260-431 Meeting Expense
WATER, FORKS, PLATES, SODA- FIRE
$14.07
COMMISSION MTG- 1120/19
Invoice 113019
11202019
-19-
CITY OF MOUND 12/20/19 3:20 PM
Page 4
Payments
Current Period: December 2019
Transaction Date
12/19/2019
Wells Fargo 10100 Total
$626.52
Refer
16 LOFFLER COMPANIES, INCORPOR
_
Cash Payment
E 101-41930-202 Duplicating and copying
COPY ROOM KONICA C652 - COLOR
$491.73
OVERAGE- 11-14-19 THRU 12-13-19
Invoice 3293745
12/92019
Cash Payment
E 101-41930-202 Duplicating and copying
COPY ROOM KONICA C652 - B & W
$208.47
OVERAGE- 11-14-19 THRU 12-13-19
Invoice 3293745
12/92019
Cash Payment
E 602-49450-202 Duplicating and copying
KONICA MINOLTA B200 PW COPIER
$13.00
OVERAGE CHG 1-10-19 THRU 2-09-19
Invoice 3288537
12/32019
Project 19-3
Transaction Date
12/19/2019
Wells Fargo 10100 Total
$713.20
Refer
17 LUBE -TECH & PARTNERS, LLC
_
Cash Payment
E 602-49450-220 Repair/Maint Supply
FLEET ES COMPLEAT EG PREMIX & DRUM
$686.21
PUMP- PUB WKS
Invoice 1516133
12/142019
Project 19-5
Transaction Date
12/19/2019
Wells Fargo 10100 Total
$686.21
Refer
18 MEDIACOM
_
Cash Payment
E 101-42110-321 Telephone, Cells, & Radi
ORONO PD INTERNET SVC 12-16-19 THRU 1-
$96.90
15-19 #12
Invoice 120619
12/62019
Transaction Date
12/19/2019
Wells Fargo 10100 Total
$96.90
Refer
19 MIDWEST SERVICES
_
Cash Payment
E 602-49450-440 Other Contractual Servic
MECHANIC SVCS- NOV 2019 TRUCK
$800.00
#312,GRANDVIEW GENERATOR
Invoice 2491
12/152019
Project 19-5
Cash Payment
E 602-49450-440 Other Contractual Servic
MECHANIC SVCS- NOV 2019 TRUCK #515,
$680.00
TRUCK #312, #206 STIGA
Invoice 2491
12/152019
Project 19-5
Cash Payment
E 602-49450-440 Other Contractual Servic
MECHANIC SVCS- NOV 2019 TRUCK #515,
$680.00
TRUCK #312
Invoice 2491
12/152019
Project 19-5
Cash Payment
E 602-49450-440 Other Contractual Servic
MECHANIC SVCS- NOV 2019 TRUCK #312,
$680.00
TRUCK #104
Invoice 2491
12/152019
Project 19-5
Cash Payment
E 602-49450-440 Other Contractual Servic
MECHANIC SVCS- NOV 2019 TRUCK #515,
$680.00
TRUCK #412
Invoice 2491
12/152019
Project 19-5
Transaction Date
2202019
Wells Fargo 10100 Total
$3,520.00
Refer
20 MIDWEST SERVICES
_
Cash Payment
E 602-49450-440 Other Contractual Servic
MECHANIC SVCS- NOV 2019 TRUCK #515,
$680.00
TRUCK #316
Invoice 2491
12/152019
Project 19-5
Cash Payment
E 602-49450-440 Other Contractual Servic
MECHANIC SVCS- NOV 2019 TRUCK #515,
$637.50
TRUCK #312, #415, #304, ORGANIZE TOOL
ROOM, REPAIR HYDRAULIC FLUID PUMP
Invoice 2491
12/152019
Project 19-5
Cash Payment
E 602-49450-440 Other Contractual Servic
MECHANIC SVCS- NOV 2019 TRUCK #607,
$595.00
TRUCK #218, GENERATOR TRAILER
Invoice 2491
12/152019
Project 19-5
-20-
Transaction Date 2202019
CITY OF MOUND
Payments
Current Period: December 2019
Wells Fargo 10100 Total
Refer 21 MINNESOTA BUSINESS ENTERPRI _
Cash Payment E 101-43100-224 Street Maint Materials DUMP 1 YD OF ROAD MATERIALS 8-26-19
Invoice 45278 8292019
Transaction Date 12/19/2019 Wells Fargo 10100 Total
Refer 22 MINNESOTA VALLEY TESTING LA _
Cash Payment E 601-49400-470 Water Samples MONTHLY CHLORINE REPORT & COLIFORM
WATER TESTS -10
Invoice 1010448 12/172019
Transaction Date 2222019 Wells Fargo 10100 Total
Refer 23 MINUTEMAN PRESS
Cash Payment E 101-41310-200 Office Supplies
Invoice 20819 12/92019
Transaction Date 12/19/2019
BUSINESS CARDS- E. HOVERSTEN
Wells Fargo 10100
Total
Refer
24 MNSPECT
_
Cash Payment
E 101-42400-308 Building Inspection Fees
NOVEMBER 2019 BUILDING INSPECTION
FEES
Invoice 8029
12/32019
TO CLEARWATER BEACH FL- G.
Cash Payment
G 101-20800 Due to Other Governments
NOVEMBER 2019 - ELECTRICAL STATE
SURCHARGE FEE CREDIT
Invoice 8029
12/32019
Cash Payment
R 101-42000-32220 Electrical Permit Fee
NOVEMBER 2019- ELECTRICAL INSPECTION
PERMIT FEE CREDITS
Invoice 8029
12/32019
Cash Payment
R 101-42000-32235 Heating Permits
NOVEMBER 2019- RESIDENTIAL
MECHANICAL PERMIT FEE CREDITS
Invoice 8029
12/32019
Transaction Date
12/19/2019
Wells Fargo 10100 Total
Refer 25 OFFICE DEPOT
Cash Payment E 101-41930-200 Office Supplies
Invoice 413536463001 12/102019 PO 25149
Cash Payment E 101-42400-200 Office Supplies
Invoice 413536463001 12/102019 PO 25149
Cash Payment E 602-49450-200 Office Supplies
Invoice 413536463001 12/102019 PO 25149
Cash Payment E 101-41410-200 Office Supplies
Invoice 413536463001 12/102019 PO 25149
Transaction Date 12/19/2019
HAND SAITIZER- FRONT COUNTER CITY
HALL
DESK CALENDAR- A. DRILLING- PLANNING
DEPT
4 LARGE WALL CALENDARS- PUBLIC
WORKS/PARKS
Project 19-5
LARGE WALL CALENDAR- ELECTIONS
Wells Fargo 10100 Total
Refer
26 PEDERSON, GREG
_
Cash Payment
E 222-42260-434 Conference & Training
REIMBURSE AIRFARE & BALANCE MILEAGE
HOME FROM AIRPORT -(AFTER ADVANCE)
TO CLEARWATER BEACH FL- G.
PEDERSON- VOLUNTEER CHIEFS
CONFERENCE- 11-13-19 TO 11-18-19
Invoice 122019
12/132019
Transaction Date
12/19/2019
Wells Fargo 10100 Total
-21-
12/20/19 3:20 PM
Page 5
$1,912.50
$50.00
$50.00
$105.00
$105.00
$22.98
$22.98
$6,773.93
-$17.00
-$234.00
-$132.47
$6,390.46
$4.18
$10.87
$63.00
$15.75
$93.80
$205.21
$205.21
CITY OF MOUND
Payments
Current Period: December 2019
Refer 28 PITSENBERGER, LARRY _
Cash Payment E 101-43100-220 Repair/Maint Supply REIMBURSE- HERCULIFT- STREETS PLOW
TRUCK PART- L. PITSENBERGER
Invoice 122019 12/102019
Transaction Date 12/19/2019 Wells Fargo 10100 Total
12/20/19 3:20 PM
Page 6
$31.85
$31.85
Refer 27 PRICH, RYAN N. _
Cash Payment E 601-49400-438 Licenses and Taxes REIMS DRIVERS LICENSE UPGRADE TO $13.00
CLASS B & ENDORSEMENTS- R. PRICH
Invoice 121019 12/102019
Transaction Date 12/11/2019 Wells Fargo 10100 Total $13.00
Refer
29 R.C. ELECTRIC, INCORPORATED
_
Cash Payment
E 609-49750-409 Other Equipment Repair
CHANGE BALLAST ON LIGHT FIXTURE,
Invoice 928606
11/72019
MOVE OUTLET FOR CARDBOARD
Cash Payment
E 602-49450-218 Clothing and Uniforms
CRUSHER, CHECK COOLER BREAKER- HWS
Invoice 6929
11252019
Cash Payment E 101-43100-321 Telephone, Cells, & Radi
Transaction Date
12/19/2019
Wells Faroo 10100 Total
Refer 30 REPUBLIC SERVICES
Cash Payment E 670-49500-440 Other Contractual Servic NOV 2019 CITYWIDE RECYCLING SVC
Invoice 0894-005041676 11252019
Transaction Date 12/19/2019 Wells Fargo 10100
Total
Refer 31 TONKA PLUMBING HEATING & CL _
Cash Payment E 601-49400-440 Other Contractual Servic REPLACE 12" METER W/ 3/4" METER,
REPLACE 2 3/4" ADAPTERS- 2191 CARDINAL
LN- 1-25-19
Invoice 10936 6/112019
Transaction Date 6272019
Wells Fargo 10100 Total
Refer
32 UNITED FARMERS COOPERATIVE
_
Cash Payment
E 602-49450-218 Clothing and Uniforms
ZIP TO WAIST BIBS- S. KIVISTO
Invoice 928606
11/72019
Cash Payment E 101-43100-321 Telephone, Cells, & Radi
Cash Payment
E 602-49450-218 Clothing and Uniforms
2019 BOOT ALLOWANCE- S. KIVISTO
Invoice 929681
11212019
Cash Payment E 101-43100-321 Telephone, Cells, & Radi
Cash Payment
E 601-49400-218 Clothing and Uniforms
2019 BOOT ALLOWANCE- M. TESSEN
Invoice 928607
10/182019
Cash Payment E 602-49450-321 Telephone, Cells, & Radi
Cash Payment
E 101-43100-218 Clothing and Uniforms
2019 BOOT ALLOWANCE- F. HEITZ
Invoice 522280
12/152019
Invoice 9843934404 12202019
Transaction Date
12/19/2019
Wells Fargo 10100
Total
Refer 33 VERIZON WIRELESS _
Cash Payment E 101-45200-321 Telephone, Cells, & Radi
PARKS LEAD WORKER TABLET- HOT SPOT -
SVC 11-11-19 THRU 12-10-19
Invoice 9843934404 12202019
Cash Payment E 101-43100-321 Telephone, Cells, & Radi
STREETS LEAD WORKER TABLET- HOT
SPOT 11-11-19 THRU 12-10-19
Invoice 9843934404 12202019
Cash Payment E 101-43100-321 Telephone, Cells, & Radi
STREETS LEAD WORKER TABLET -
INTERNET SVC- 11-11-19 THRU 12-10-19
Invoice 9843934404 12202019
Cash Payment E 602-49450-321 Telephone, Cells, & Radi
PUBLIC WORKS SUPER- RAY HANSON -
TABLET- INTERNET SVC- 11-11-19 THRU 12-
10-19
Invoice 9843934404 12202019
Project 19-5
-22-
$559.50
$559.50
$14,494.95
$14,494.95
$1,796.00
$1,796.00
$110.49
$184.99
$184.99
$200.00
$680.47
$35.01
$35.01
$35.01
$35.01
CITY OF MOUND 12/20/19 3:20 PM
Page 7
Payments
Current Period: December 2019
Cash Payment E 602-49450-321 Telephone, Cells, &
Radi
PUBLIC WORKS SUPER- RAY HANSON -
$35.01
TABLET- HOT SPOT SVC 11-11-19 THRU 12-
10-19
Invoice 9843934404 12202019
Project 19-5
Cash Payment E 602-49450-321 Telephone, Cells, &
Radi
UTILITY LEAD WORKER TABLET- HOT
$17.50
SPOT- SVC 11-11-19 THRU 12-10-19
Invoice 9843934404 12202019
Cash Payment E 601-49400-321 Telephone, Cells, &
Radi
UTILITY LEAD WORKER TABLET- HOT
$17.51
SPOT- SVC 11-11-19 THRU 12-10-19
Invoice 9843934404 12202019
Cash Payment E 101-45200-321 Telephone, Cells, &
Radi
PARKS LEAD WORKER TABLET- INTERNET
$35.01
SVC 11-11-19 THRU 12-10-19
Invoice 9843934404 12202019
Cash Payment E 101-43100-321 Telephone, Cells, &
Radi
NEW STREETS TABLET DATACARD
$35.01
INTERNET SVC 11-11-19 THRU 12-10-19
Invoice 9843934404 12202019
Cash Payment E 601-49400-321 Telephone, Cells, &
Radi
UTILITY 7726- NEW TABLET- INTERNET SVC
$17.50
11-11-19 THRU 12-10-19
Invoice 9843934404 12202019
Cash Payment E 602-49450-321 Telephone, Cells, &
Radi
UTILITY 7726- NEW TABLET- INTERNET SVC
$17.51
11-11-19 THRU 12-10-19
Invoice 9843934404 12202019
Cash Payment E 602-49450-321 Telephone, Cells, &
Radi
SEWER TRUCK#109 DATACARD SVC 11-11-
$35.01
19 THRU 12-10-19
Invoice 9843934404 12202019
Cash Payment E 602-49450-321 Telephone, Cells, &
Radi
PUB WKS SUPV VEHC #113 R. HANSON
$35.01
DATACARD SVC 11-11-19 THRU 12-10-19
Invoice 9843934404 12202019
Project 19-3
Cash Payment E 602-49450-321 Telephone, Cells, &
Radi
PUB WKS JET PACK LAPTOP AIRCARD SVC
$35.01
11-11-19 THRU 12-10-19
Invoice 9843934404 12202019
Project 19-3
Cash Payment E 101-42400-321 Telephone, Cells, &
Radi
FIELD OFFICER DATACARD SVC 11-11-19
$17.51
THRU 12-10-19
Invoice 9843934404 12202019
Cash Payment E 101-42115-321 Telephone, Cells, &
Radi
FIELD OFFICER DATACARD SVC 11-11-19
$17.50
THRU 12-10-19
Invoice 9843934404 12202019
Cash Payment E 601-49400-321 Telephone, Cells, &
Radi
WATER TRUCK #315 DATACARD SVC 11-11-
$35.01
19 THRU 12-10-19
Invoice 9843934404 12202019
Cash Payment E 601-49400-321 Telephone, Cells, &
Radi
WATER TRUCK #512 R. PRICH DATACARD
$35.01
SVC 11-11-19 THRU 12-10-19
Invoice 9843934404 12202019
Cash Payment E 602-49450-321 Telephone, Cells, &
Radi
UTILITY LEAD WORKER TABLET- INTERNET
$17.51
SVC 11-11-19 THRU 12-10-19
Invoice 9843934404 12202019
Cash Payment E 601-49400-321 Telephone, Cells, &
Radi
UTILITY LEAD WORKER TABLET- INTERNET
$17.50
SVC 11-11-19 THRU 12-10-19
Invoice 9843934404 12202019
Transaction Date 12/19/2019
Wells Fargo 10100 Total
$560.16
Refer 34 WASTE MANAGEMENT OF WI -MN
Cash Payment E 101-41930-384 Refuse/Garbage Dispose
GARBAGE SVC DEC 2019- CITY HALL &
$108.66
FIRE DEPT
Invoice 7321041-1593-4 12/22019
-23-
CITY OF MOUND
Payments
Current Period: December 2019
Cash Payment E 222-42260-384 Refuse/Garbage Dispose GARBAGE SVC DEC 2019- CITY HALL &
FIRE DEPT
Invoice 7321041-1593-4 12/22019
Cash Payment E 101-45200-384 Refuse/Garbage Dispose GARBAGE SVC DEC 2019- PARKS
Invoice 7321042-1593-2 12/22019
Cash Payment E 602-49450-384 Refuse/Garbage Dispose GARBAGE SVC DEC 2019- PUB WKS BLDG
Invoice 7321043-1593-0 12/22019 Project 19-3
Transaction Date 12/19/2019 Wells Fargo 10100 Total
Refer
36 XCEL ENERGY
Cash Payment
E 101-43100-381 Electric Utilities
Invoice 663802953 12/32019
Transaction Date
12/19/2019
Refer
35 XCEL ENERGY
Cash Payment E 101-45200-381 Electric Utilities
Invoice 665376643 12/132019
Cash Payment E 101-45200-381 Electric Utilities
Invoice 665376643 12/132019
Cash Payment E 602-49450-381 Electric Utilities
Invoice 665376643 12/132019
Cash Payment E 101-43100-381 Electric Utilities
Invoice 665376643 12/132019
Cash Payment E 601-49400-381 Electric Utilities
Invoice 665376643 12/132019
Cash Payment E 609-49750-381 Electric Utilities
Invoice 665376643 12/132019
Cash Payment E 101-41930-381 Electric Utilities
Invoice 665376643 12/132019
Cash Payment E 222-42260-381 Electric Utilities
Invoice 665376643 12/132019
Cash Payment E 101-41910-381 Electric Utilities
Invoice 665376643 12/132019
Cash Payment E 285-46388-381 Electric Utilities
Invoice 665376643 12/132019
Cash Payment E 101-42115-381 Electric Utilities
Invoice 665376643 12/132019
Transaction Date 12/19/2019
12/20/19 3:20 PM
Page 8
$108.67
$306.65
$113.44
$637.42
ELECTRIC SVC 11-03-19 THRU 12-02-19 CITY $4,041.55
OWNED STREET LIGHTS
Wells Fargo 10100 Total $4,041.55
ELECTRIC SVC - 10-25-19 TO 11-25-19
$58.25
ELECTRIC SVC - 10-25-19 TO 11-25-19-
$46.32
DEPOT BLDG
ELECTRIC SVC - 10-25-19 TO 11-25-19
$2,463.14
ELECTRIC SVC - 10-25-19 TO 11-25-19
$1,006.52
ELECTRIC SVC - 10-25-19 TO 11-25-19
$2,446.34
ELECTRIC SVC - 10-25-19 TO 11-25-19
$1,033.88
ELECTRIC SVC - 10-25-19 TO 11-25-19
$1,069.16
ELECTRIC SVC - 10-25-19 TO 11-25-19
$1,069.16
ELECTRIC SVC - 10-25-19 TO 11-25-19
$514.44
ELECTRIC SVC - 10-25-19 TO 11-25-19
$1,274.65
ELECTRIC SVC - 10-25-19 TO 11-25-19
$41.53
Wells Fargo
-24-
10100
Total
$11,023.39
Fund Summary
101 GENERAL FUND
222 AREA FIRE SERVICES
285 HRA/HARBOR DISTRICT
601 WATER FUND
602 SEWER FUND
609 MUNICIPAL LIQUOR FUND
670 RECYCLING FUND
CITY OF MOUND
Payments
Current Period: December 2019
10100 Wells Fargo
$26,089.08
$4,266.24
$1,274.65
$6,774.68
$12,042.12
$2,227.11
$14,494.95
$67,168.83
Pre -Written Checks $0.00
Checks to be Generated bythe Computer $67,168.83
Total $67,168.83
-25-
12/20/19 3:20 PM
Page 9
Batch Name 122719CITY
Payment
CITY OF MOUND
Payments
Current Period: December 2019
Computer Dollar Amt $26,994.31 Posted
Refer 1 A-1 RENTAL OF LAKE MINNETONK Ck# 060281 12272019
Cash Payment E 101-43100-440 Other Contractual Servic RENT 51' ARTICULATED BOOM- STREETS
DEPT
Invoice 145237 12/92019
Transaction Date 12262019 Due 0 Wells Fargo 10100 Total
Refer
2 ARROW BUILDING CENTER
Ck# 060282 12272019
Cash Payment
E 281-45210-220 Repair/Maint Supply
2 X 4 X 12' PREMIUM CEDAR- DOCKS
Invoice 4785478
11/62019
Cash Payment
E 281-45210-220 Repair/Maint Supply
5/4 X 6 X 10' CEDAR DECKING & 1 X4 X 8'
ROUGH SAWN CEDAR- DOCKS
Invoice 4801660
12/32019
Transaction Date
12262019 Due 0
Wells Fargo 10100 Total
Refer
4 CITY HEIGHTS, INCORPORATED
Ck# 060283 12272019
Cash Payment
E 101-41910-460 Janitorial Services
WASH ALL EXTERIOR GLASS & SKYLIGHT -
INSIDE AND OUT- CENTENNIAL BLDG
Invoice 19947
12/102019
Cash Payment
E 285-46388-440 Other Contractual Servic
STRAIGHT WASH ALL PARKING DECK
ELEVATOR GLASS- OUTSIDE & STAIRWELL
GLASS INSIDE & OUT, LOBBY GLASS INSIDE
ONLY
Invoice 19945 12/102019
Cash Payment E 101-41930-460 Janitorial Services
Invoice 19946 12/102019
Cash Payment E 222-42260-460 Janitorial Services
Invoice 19946 12/102019
WASH ALL EXTERIOR GLASS- OUTSIDE
ONLY319.00- SAFETY BLDG - CITY HALL
WASH ALL EXTERIOR GLASS- OUTSIDE
ONLY319.00- SAFETY BLDG - FIRE DEPT
Transaction Date 12262019 Due 0 Wells Fargo 10100 Tot
Refer 3 CORE & MAIN LP Ck# 060284 12272019
Cash Payment E 601-49400-210 Operating Supplies WATER METER PARTS- 4 GASKETS, HEAD
BOLTS & NUTS
Invoice L549751 11/192019
Cash Payment E 601-49400-210 Operating Supplies
Invoice L672293 12/162019
Transaction Date 12/19/2019 D
al
WATER METER PARTS -ALUMINUM
KAMLOCK & MALE ADAPTER
ue 0 Wells Fargo 10100 Total
Refer 5 DIAMOND VOGEL PAINTS
Cash Payment E 281-45210-220 Repair/Maint Supply
Invoice 802191869 12/52019
Transaction Date 12262019 Du
Ck# 060285 12272019
GRAIN STAIN FOR DOCKS REPAIR
e 0 Wells Fargo 10100
12/30/19 4:05 PM
Page 1
$194.00
$194.00
$58.20
$500.10
$558.30
$913.00
$987.00
$319.00
$319.00
$2,538.00
$11.12
$43.05
$54.17
$320.88
Total $320.88
Refer 6 FLEETPRIDE TRUCK & TRAILER P Ck# 060286 12272019
Cash Payment E 602-49450-220 Repair/Maint Supply DIESEL EXHAUST FLUID 16 2.5 GAL $171.36
BOTTLES- PUBLIC WORKS
Invoice 41848615 12/132019 Project 19-5
Transaction Date 12262019 Due 0 Wells Fargo 10100 Total $171.36
Refer 7 GO VDEALS Ck# 060287 12272019
-26-
CITY OF MOUND
Payments
Current Period: December 2019
Cash Payment E 403-43100-440 Other Contractual Servic 7.5 % ONLINE AUCTION FEES- SOLD 2017
VENTRAC 4500 Z -TURN TRACTOR MOWER
Invoice 7967-112019 11/62019
Transaction Date 12262019 Due 0 Wells Fargo 10100 Total
Refer 81STATE TRUCK CENTER Ck# 060288 12272019
Cash Payment E 101-43100-404 Machinery/Equip Repairs RADIO ANTENNA- STREETS TRUCK
Invoice 18788 12/32019
Transaction Date 12262019 Due 0 Wells Fargo 10100
Total
Refer 9 JOHNSON CONTROLS - TYCO INC.
Ck# 060289 12272019
Cash Payment E 222-42260-440 Other Contractual Servic
ALARM & DETECTION MONITORING 1-01-20
Cash Payment
THRU 12-31-20 FIRE DEPT
Invoice 21343517 12/22019
$631.90
Cash Payment E 222-42260-440 Other Contractual Servic
ALARM & DETECTION MONITORING 1-01-20
SHOVELS PARKS DEPT
THRU 12-31-20 CITY HALL
Invoice 21343517 12/22019
Cash Payment E 602-49450-440 Other Contractual Servic
ALARM & DETECTION MONITORING 1-01-20
12262019 Due 0
THRU 12-31-20 PUB WRKS
Invoice 21343470 12/22019
Project 19-5
Cash Payment E 609-49750-440 Other Contractual Servic
ALARM & DETECTION MONITORING 1-01-20
THRU 12-31-20 HWS
Invoice 21343603 12/22019
DEDUCTIBLE- 7-26-19 DAMAGE TO
Cash Payment E 222-42260-401 Building Repairs
FIRE DEPT KITCHEN HOOD TEST &
INSPECTION
Invoice 86420262 12/172019
Transaction Date 12262019 Due 0
Wells Fargo 10100 Total
12/30/19 4:05 PM
Page 2
$1,643.25
$1,643.25
$30.93
$30.93
$187.50
$187.50
$375.00
$545.00
$165.46
$1,460.46
Refer
18 LAND EQUIPMENT, INCORPORAT
Ck# 060290 12272019
Cash Payment
E 101-45200-220 Repair/Maint Supply
ELEMENT, FUEL, OIL & AIR FILTERS- 2
$631.90
SHOVELS PARKS DEPT
Invoice 03-724429 12202019
Transaction Date
12262019 Due 0
Wells Fargo 10100 Total
$631.90
Refer
10 LEAGUE MN CITIES INSURANCE T
Ck# 060291 12272019
Cash Payment
E 101-43100-361 General Liability Ins
DEDUCTIBLE- 7-26-19 DAMAGE TO
$1,000.00
MEDIACOM'S LINE WHILE INSTALLING
PARKING SIGN
Invoice 5408
12/22019
Transaction Date
12262019 Due 0
Wells Fargo 10100 Total
$1,000.00
Refer
11 MINNESOTA ELEVATOR, INCORP
Ck# 060292 12272019
Cash Payment
E 101-41910-440 Other Contractual Servic
DECEMBER 2019- MONTHLY SVCE-
$120.00
CENTENNIAL BLDG ELEVATOR
Invoice 833846
12272019
Transaction Date
12262019 Due 0
Wells Fargo 10100 Total
$120.00
Refer
12 MINNESOTA POLLUTION CONTRO
Ck# 060293 12272019
Cash Payment
E 601-49400-438 Licenses and Taxes
CLASS SD WATER CERTIFICATE TEST FEE-
$45.00
M.TESSEN
Invoice 121719
12/172019
Cash Payment
E 601-49400-438 Licenses and Taxes
CLASS SD WATER CERTIFICATE TEST FEE-
$45.00
L. PITSENBERGER
Invoice 121719
12/172019
Transaction Date
12262019 Due 0
Wells Fargo 10100 Total
$90.00
_27_
CITY OF MOUND
Payments
Current Period: December 2019
12/30/19 4:05 PM
Page 3
Refer
20 PRISTINE LIGHTING
Ck# 060294 12272019
Cash Payment
E 101-43100-440 Other Contractual Servic
INSTALLATION OF LED HOLIDAY LIGHTING
$3,695.00
ON CITY BLVD TREES & ANNUAL TREE
LIGHTING TREE- TAKE DOWN, SEASONAL
MTCE & STORAGE
Invoice 117
12/172019
Cash Payment
E 101-43100-210 Operating Supplies
CHRISTMAS LIGHTS- COMMERCIAL GRADE
$303.81
PREMIUM LEDS QTY -19
Invoice 117
12/172019
Transaction Date
12262019 Due 0
Wells Fargo 10100 Total
$3,998.81
Refer
13 SIMPLE GRACE PROMOTIONS, IN
Ck# 060295 12272019
Cash Payment
E 609-49750-218 Clothing and Uniforms
UNIFORM SWEATSHIRTS W/ HWS LOGO
$987.32
EMBROIDERED- HWS EMPLOYEES
Invoice 1764
12/42019
Transaction Date
12262019 Due 0
Wells Fargo 10100 Total
$987.32
Refer
14 TWIN CITY GARAGE DOOR COMP
Ck# 060296 12272019
Cash Payment
E 602-49450-400 Repairs & Maintenance
TEMPORARY REPAIR PUBLIC WORKS
$301.75
GARAGE DOOR- CLAMP SPRING, REPLACE
HINGE & FUSE 1-6-19
Invoice Z120066
12/102019
Cash Payment
E 602-49450-400 Repairs & Maintenance
INSTALL NEW LEFT MIDDLE GARAGE
$4,700.00
DOOR- PUBLIC WORKS GARAGE
Invoice 524243
12/102019
Project 19-5
Transaction Date
12262019 Due 0
Wells Fargo 10100 Total
$5,001.75
Refer
15 VERIZON WIRELESS
Ck# 060297 12272019
Cash Payment
E 101-43100-321 Telephone, Cells, & Radi
CELL PHONE CHARGES 6-14-19 THRU 7-13-
$150.91
19
Invoice 9834062947 7/132019
Cash Payment
E 601-49400-321 Telephone, Cells, & Radi
CELL PHONE CHARGES 6-14-19 THRU 7-13-
$118.96
19
Invoice 9834062947 7/132019
Cash Payment
E 602-49450-321 Telephone, Cells, & Radi
CELL PHONE CHARGES 6-14-19 THRU 7-13-
$119.44
19
Invoice 9834062947 7/132019
Cash Payment
E 101-42400-321 Telephone, Cells, & Radi
CELL PHONE CHARGES 6-14-19 THRU 7-13-
$39.06
19
Invoice 9834062947 7/132019
Cash Payment
E 101-45200-321 Telephone, Cells, & Radi
CELL PHONE CHARGES 6-14-19 THRU 7-13-
$95.88
19
Invoice 9834062947 7/132019
Cash Payment
E 101-41310-321 Telephone, Cells, & Radi
CELL PHONE CHARGES 6-14-19 THRU 7-13-
$15.98
19
Invoice 9834062947 7/132019
Cash Payment
E 101-42115-321 Telephone, Cells, & Radi
CELL PHONE CHARGES 6-14-19 THRU 7-13-
$55.96
19
Invoice 9834062947 7/132019
Transaction Date
7222019 Due 0
Wells Fargo 10100 Total
$596.19
Refer
19 WIDMER CONSTRUCTION, LLC
Ck# 060298 12272019
Cash Payment
E 601-49400-440 Other Contractual Servic
REPAIR LEAKY CURB STOP ON 11-25-19
$7,440.14
Invoice 4719
12/172019
Transaction Date
12262019 Due 0
Wells Fargo 10100 Total
$7,440.14
EWE
CITY OF MOUND
Payments
Fund Summary
Current Period: December 2019
Refer
16 WS & D PERMIT SERVICE, INC.
Ck# 060299 12272019
Cash Payment
R 101-42000-32210 Building Permits
REFUND PERMIT #2019-01023 DUE TO
601 WATER FUND
$7,703.27
CANCELLATION OF PROJECT @ 1700
$1,643.25
285 HRAMARBOR DISTRICT
JONES LN- WS&D PERMIT SVC
Invoice 122719
12/102019
222 AREA FIRE SERVICES
Transaction Date
12262019 Due 0
Wells Fargo 10100 Total
Refer
17 ZEE MEDICAL SERVICE
Ck# 060300 12272019
Cash Payment
E 602-49450-305 Medical Services
SAFETY SUPPLIES- BANDAIDS, ASPIRIN,
IBUTAB, EYEWASH, LIQUID BANDAGE- PUB
WKS & PARKS
Invoice 54051696
12/42019
Project 19-5
Transaction Date
12262019 Due 0
Wells Fargo 10100 Total
Fund Summary
10100 Wells Fargo
609 MUNICIPAL LIQUOR FUND
$1,532.32
602 SEWER FUND
$5,763.60
601 WATER FUND
$7,703.27
403 CAP REPLAC-VEHICLES & EQUIP
$1,643.25
285 HRAMARBOR DISTRICT
$987.00
281 COMMONS DOCKS FUND
$879.18
222 AREA FIRE SERVICES
$859.46
101 GENERAL FUND
$7,626.23
$26,994.31
Pre -Written Checks $26,994.31
Checks to be Generated by the Computer $0.00
Total $26,994.31
-29-
12/30/19 4:05 PM
Page 4
$60.80
$60.80
$96.05
$96.05
CITY OF MOUND 12/30/19 4:06 PM
Page 1
Payments
Current Period: December 2019
Batch Name 123019CARQ
Payment Computer Dollar Amt $561.40 Posted
Refer 11 CARQUEST OF NAVARRE (PAIS
Ck# 060313 12/302019
Cash Payment E 101-45200-210 Operating Supplies
BATTERY- PARKS EQUIPMENT
$28.13
Invoice 6974-367506 11/12019
Cash Payment E 101-43100-220 Repair/Maint Supply
COUPLING- TRUCK#312 STREETS
$5.54
Invoice 6974-367987 11/72019
Cash Payment E 101-43100-220 Repair/Maint Supply
IMPACT ADAPTER- STREETS DEPT
$11.79
Invoice 6974-368031 11/72019
Cash Payment E 101-43100-220 Repair/Maint Supply
BRAKE ROTERS, PAD, OIL FILTER & SEAL-
$315.33
TRUCK #515 STREETS DEPT
Invoice 6974-368056 11/72019
Cash Payment E 602-49450-220 Repair/Maint Supply
BATTERY- STREET DEPT EQUIPMENT
$215.28
Invoice 6974-368125 11/82019
Cash Payment E 602-49450-220 Repair/Maint Supply
BATTERY CORE RETURN- SEWER DEPT
-$22.50
Invoice 6974-368645 11/152019
Cash Payment E 101-43100-220 Repair/Maint Supply
HALOGEN HEADLIGHTS & HEADLAMPS-
$52.84
STREETS PLOW TRUCKS
Invoice 6974-368539 11/142019
Cash Payment E 101-43100-220 Repair/Maint Supply
BATTERY CORE RETURN- STREET DEPT
-$45.01
Invoice 6974-368645 11/152019
Transaction Date 12/30/2019 Due 0
Wells Fargo 10100 Total
$561.40
Fund Summary
10100 Wells Fargo
602 SEWER FUND
$192.78
101 GENERAL FUND
$368.62
$561.40
Pre -Written Checks $561.40
Checks to be Generated by the Computer $0.00
Total $561.40
-30-
CITY OF MOUND 12/30/19 3:20 PM
Page 1
Payments
Current Period: December 2019
Batch Name
123019CTYMAN User Dollar Amt $50,295.47
Transaction Date
Payments Computer Dollar Amt $50,295.47
Wells Fargo 10100 Total
$40,930.88
Refer
$0.00 In Balance
_
Refer
1 BERRY COFFEE COMPANY
_
LADDER #44 E -ONE CAP- WINDSHIELD
Cash Payment
E 222-42260-430 Miscellaneous
RENTAL & MTCE- COFFEE MACHINE FIRE
$78.00
Invoice 129122
DEPT- 4TH QUARTER
Invoice 712590
12/12019
12/30/2019
Wells Fargo 10100 Total
Transaction Date 12/30/2019
Wells Fargo 10100 Total
$78.00
Refer
2 BOYER TRUCKS-MPLS
_
Cash Payment
E 601-49400-220 Repair/Maint Supply
WIRE ASSEMBLY- TRUCK#316 WATER DEPT
$628.67
Invoice 895590
12272019
Transaction Date 12/30/2019
Wells Fargo 10100 Total
$628.67
Refer
3 EGAN COMPANIES
_
Cash Payment
E 101-43100-400 Repairs & Maintenance
STREET LIGHT REPAIRS- 2019 FALL
$21,323.48
MAINTENANCE
Invoice JC10199568 12/102019
Cash Payment
E 285-46388-400 Repairs & Maintenance
LIGHTING CHANGE OUT @ PARKING DECK
$617.25
Invoice JC10199566 12/102019
Cash Payment
E 101-45200-400 Repairs & Maintenance
STREET LIGHT REPAIRS- SKATEPARK 2019
$513.99
Invoice JC10199567 12/102019
Cash Payment
E 101-43100-400 Repairs & Maintenance
INSTALL CONCRETE LIGHT POLE & DOUBLE
$18,476.16
HEAD FIXTURE @ AUDITORS RD &
SHORELINE- KNOCKED DOWN 6 -3 -19 -
INSURANCE CLAIM
Invoice JC10195302 9/112019
Transaction Date
12/30/2019
Wells Fargo 10100 Total
$40,930.88
Refer
4 FIRE SAFETY USA, INCORPORATE
_
Cash Payment
E222-42260-409 Other Equipment Repair
LADDER #44 E -ONE CAP- WINDSHIELD
$48.97
WASHER FLUID OVERFLOW
Invoice 129122
1222019
Transaction Date
12/30/2019
Wells Fargo 10100 Total
$48.97
Refer 5 HOME DEPOT/GECF (PAM
Cash Payment E 602-49450-220 Repair/Maint Supply
Invoice 8014244 11212019
Cash Payment E 222-42260-210 Operating Supplies
Invoice 3170644 12/62019
Cash Payment E 222-42260-210 Operating Supplies
Invoice 2312698 12!72019
Cash Payment E 222-42260-210 Operating Supplies
Invoice 7012303 12/122019
Cash Payment E 101-43100-220 Repair/Maint Supply
GORILLA GLUE, EPDXY, POWEREDGE $171.14
DIGGING SHOVEL, BAR FLATS- 6 QTY
50 FT GENERATOR POWER EXTENSION $95.02
CORD- FIRE DEPT
AIR LINE HOSE- MTCE BAY- FIRE DEPT $5.98
PLYWOOD, SCREWDRIVER SET, SHEETING, $138.23
FRAMING & FINISHING NAILS- FIRE DEPT
GORILLA GLUE, EPDXY, CREDIT PRESSURE -$259.98
TREATED LUMBER PD PREVIOUS & ALSO
ORDERED & CHARGED ON CITY ELAN
CREDIT CARD
Invoice OAC -000000026 11/172019
Transaction Date 12272019 Wells Fargo
Refer 6 JEFFERSON FIRE AND SAFETY, IN _
-31-
10100 Total $150.39
CITY OF MOUND 12/30/19 3:20 PM
Page 2
Payments
Current Period: December 2019
Cash Payment
E 222-42260-219 Safety supplies
4 POINT LIFTING SLING W/CARABINERS-
$194.80
FIRE DEPT
Invoice PB000112
12/52019
Transaction Date
12/30/2019
Wells Fargo 10100 Total
$194.80
Refer
7 MADDEN, GALANTER, HANSON, L
_
Cash Payment
E 101-49999-300 Professional Srvs
LABOR RELATIONS SERVICES- NOVEMBER
$343.75
2019
Invoice 123019
12262019
Transaction Date
12/30/2019
Wells Fargo 10100 Total
$343.75
Refer
8OFFICE DEPOT
_
Cash Payment
E 609-49750-200 Office Supplies
COPY PAPER, WALL DRY ERASE BOARD,
$137.75
RUBBERBANDS, PENS, ASTROBRITE
PAPER, MARKERS, TAPE, LETTER
FOLDERS, HIGHLIGHTERS- HWS
Invoice 418149803001 12/182019 P025110
Transaction Date
12/30/2019
Wells Fargo 10100 Total
$137.75
Refer
9 OPUS 21 MGMT SOLUTIONS, LLC
_
Cash Payment
E 601-49400-307 Admin/Finance/Compute
NOV 2019 -CIS DATA HOSTING,
$1,823.19
PRODUCTION, BILLING, CALL CTR SUPPORT
Invoice 191155
12202019
Cash Payment
E 602-49450-307 Admin/Finance/Compute
NOV 2019 -CIS DATA HOSTING,
$1,823.19
PRODUCTION, BILLING, CALL CTR SUPPORT
Invoice 191155
12202019
Cash Payment
E 601-49400-322 Postage
NOV 2019- UTILITY BILLING POSTAGE
$333.94
Invoice 191155
12202019
Cash Payment
E 602-49450-322 Postage
NOV 2019- UTILITY BILLING POSTAGE
$333.94
Invoice 191155
12202019
Transaction Date
12/30/2019
Wells Fargo 10100 Total
$4,314.26
Refer
10 ORONO, CITY OF
_
Cash Payment
E 101-41600-450 Board of Prisoners
HENNEP CTY JAIL CHARGES- PER DIEM
$768.00
FEES NOVEMBER 2019
Invoice 20141528 12/192019
Transaction Date
12/30/2019
Wells Fargo 10100 Total
$768.00
Refer
11 WATER CONSERVATION SERVICE
_
Cash Payment
E 601-49400-440 Other Contractual Servic
AUGUST 2019 ANNUAL WATER SYSTEM
$2,700.00
LEAK SURVEY & FINAL REPORT
Invoice 9932
10/302019
Transaction Date
12/30/2019
Wells Fargo 10100 Total
$2,700.00
-32-
Fund Summary
101 GENERAL FUND
222 AREA FIRE SERVICES
285 HRA/HARBOR DISTRICT
601 WATER FUND
602 SEWER FUND
609 MUNICIPAL LIQUOR FUND
CITY OF MOUND
Payments
Current Period: December 2019
10100 Wells Fargo
$41,165.40
$561.00
$617.25
$5,485.80
$2,328.27
$137.75
$50,295.47
Pre -Written Checks $0.00
Checks to be Generated by the Computer $50,295.47
Total $50,295.47
-33-
12/30/19 3:20 PM
Page 3
Batch Name 123019TV-HWS
Payments
Refer 11 TRUE VALUE HWS
CITY OF MOUND
Payments
Current Period: December 2019
User Dollar Amt $127.27
Computer Dollar Amt $127.27
Cash Payment E 609-49750-210 Operating Supplies
Invoice 164306 11/62019
Cash Payment E 609-49750-210 Operating Supplies
Invoice 164335 11/72019
Cash Payment E 609-49750-210 Operating Supplies
Invoice 164454 11/132019
Transaction Date 12/30/2019
$0.00 In Balance
SOFT SCRUB BLEACH & CLEANERS- HWS
STEP LADDER, APPLIANCE CORD, BELT
DRESSING, RUBBERBANDS, TRIP
ADAPTER, PUSH PINS- HWS
GE LED BULB- HWS
Wells Fargo 10100 Total
Fund Summary
10100 Wells Fargo
609 MUNICIPAL LIQUOR FUND $127.27
$127.27
Pre -Written Checks $0.00
Checks to be Generated by the Computer $127.27
Total $127.27
-34-
12/30/19 4:19 PM
Page 1
$23.82
$85.71
$17.74
$127.27
Batch Name 2019CITY-AP1
Payment
CITY OF MOUND
Payments
Current Period: Closing 2019
Computer Dollar Amt $76,977.85 Posted
Refer 16 ABM EQUIPMENT AND SUPPLY, IN _
AP Payment E 101-43100-404 Machinery/Equip Repairs 2 TON HOOK FOR SIGN TRUCK
Invoice 0162292 12/302019
Transaction Date 1/62020 Due 0 Accounts Payable 20200
Refer 31 AMERICAN MESSAGING
AP Payment E 602-49450-321 Telephone, Cells, & Radi
MONTHLY PAGING MESSAGING SVC -
_
DECEMBER 2019- PARKS & PUB WKS
Invoice D2062026UA 12/312019
E 101-43100-440 Other Contractual Servic
AP Payment E 601-49400-321 Telephone, Cells, & Radi
MONTHLY PAGING MESSAGING SVC -
Invoice 153526
DECEMBER 2019- PARKS & PUB WKS
Invoice D2062026UA 12/312019
AP Payment E 101-43100-321 Telephone, Cells, & Radi
MONTHLY PAGING MESSAGING SVC -
AREA#2 TRUE VALUE -RAMP -SIDEWALKS
DECEMBER 2019- PARKS & PUB WKS
Invoice D2062026UA 12/31/2019
AP Payment E 101-45200-321 Telephone, Cells, & Radi
MONTHLY PAGING MESSAGING SVC -
Invoice 153526
DECEMBER 2019- PARKS & PUB WKS
Invoice D2062026UA 12/31/2019
Transaction Date 1/62020 Due 0 Accounts Payable 20200
01/08/20 10:55 AM
Page 1
$166.38
Total $166.38
$1.88
$1.88
$1.87
$1.87
Total $7.50
Refer
27 BENIEK PROPERTY SVCS INC.
_
AP Payment
E 101-43100-440 Other Contractual Servic
AREA#1 CBD DEC 2019 PLOWING
$1,058.00
Invoice 153526
12/312019
AP Payment
E 101-43100-440 Other Contractual Servic
AREA#2 TRUE VALUE -RAMP -SIDEWALKS
$1,573.00
DEC 2019 PLOWING& SHOVELING
Invoice 153526
12/312019
AP Payment
E 101-43100-440 Other Contractual Servic
AREA#3 COMMERCE BLVD DEC 2019
$9,995.00
PLOWING
Invoice 153526
12/312019
Transaction Date
1/62020 Due 0
Accounts Payable 20200 Total
$12,626.00
Refer
15 CENTERPOINT ENERGY (MINNEG
_
AP Payment
E 602-49450-383 Gas Utilities
4948 BARTLETT LS E2 GENERATOR NATL
$34.52
GAS SVC 11-20-19 THRU 12-20-19
Invoice 010619
12232019
AP Payment
E 602-49450-383 Gas Utilities
1717 BAYWOOD SHORES DR. LS
$40.53
GENERATOR NATL GAS SVC 11-20-19 THRU
12-20-19
Invoice 010619
12232019
AP Payment
E 602-49450-383 Gas Utilities
4728 CARLOW RD LS GENERATOR NATL
$24.92
GAS SVC 11-20-19 THRU 12-20-19
Invoice 010619
12232019
AP Payment
E 602-49450-383 Gas Utilities
1871 COMMERCE BLVD NEW LIFT STATION
$24.92
GENERATOR NATL GAS SVC 11-20-19 THRU
12-20-19
Invoice 010619
12232019
AP Payment
E 602-49450-383 Gas Utilities
2649 EMERALD DR. LS E3 GENERATOR
$33.32
NATL GAS SVC 11-20-19 THRU 12-20-19
Invoice 010619
12232019
-35-
AP Payment E 602-49450-383 Gas Utilities
Invoice 010619
12232019
AP Payment
E 602-49450-383 Gas Utilities
Invoice 010619
12232019
AP Payment
E 602-49450-383 Gas Utilities
Invoice 010619
12232019
AP Payment
E 602-49450-383 Gas Utilities
Invoice 010619
12232019
AP Payment
E 602-49450-383 Gas Utilities
Invoice 010619
12232019
AP Payment
E 602-49450-383 Gas Utilities
Invoice 010619
12232019
AP Payment
E 602-49450-383 Gas Utilities
Invoice 010619
12232019
AP Payment
E 602-49450-383 Gas Utilities
Invoice 010619
12232019
AP Payment
E 602-49450-383 Gas Utilities
Invoice 010619
12232019
AP Payment
E 602-49450-383 Gas Utilities
Invoice 010619
12232019
AP Payment
E 602-49450-383 Gas Utilities
Invoice 010619
12232019
Transaction Date
1/62020
CITY OF MOUND 01/08/2010: 55 AM
Page 2
Payments
Current Period: Closing 2019
5808 GRANDVIEW BLVD LS GENERATOR $30.36
NATL GAS SVC 11-20-19 THRU 12-20-19
2990 HIGHLAND BLVD LS B1 GENERATOR $29.77
NATL GAS SVC 11-20-19 THRU 12-20-19
5260 LYNWOOD BLVD. LS GENERATOR $24.36
NATL GAS SVC 11-20-19 THRU 12-20-19
4791 NORTHERN RD LS D1 GENERATOR $32.13
NATL GAS SVC 11-20-19 THRU 12-20-19
1972 SHOREWOOD LN LS GENERATOR $26.74
NATL GAS SVC 11-20-19 THRU 12-20-19
3172 SINCLAIR RD LS GENERATOR NATL $32.16
GAS SVC 11-20-19 THRU 12-20-19
1758 SUMACH LANE LS GENERATOR NATL $25.54
GAS SVC 11-20-19 THRU 12-20-19
4922 THREE PTS BLVD LS GENERATOR $31.54
NATL GAS SVC 11-20-19 THRU 12-20-19
3303 WATERBURY RD LS GAS SVC 11-20-19 $25.56
THRU 12-20-19
5077 WINDSOR RD LS GENERATOR NATL $26.76
GAS SVC 11-20-19 THRU 12-20-19
4783 ISLAND VIEW DRIVE LS GENERATOR $38.46
NATL GAS SVC 11-20-19 THRU 12-20-19
Due 0 Accounts Payable 20200 Total $481.59
Refer
32 CENTRAL MCGOWAN, INCORPOR
AP Payment
E 602-49450-210 Operating Supplies
Invoice 00067417
12/312019
AP Payment
E 602-49450-210 Operating Supplies
Invoice 00067417
12/312019
Transaction Date
1/62020 Due C
Refer
19 E.H. WACHS
AP Payment
E 601-49400-220 Repair/Maint Supply
Invoice 171660
12/172019 PO 24880
AP Payment
E 601-49400-220 Repair/Maint Supply
Invoice 171660
12/172019 PO 24880
AP Payment
E 602-49450-220 Repair/Maint Supply
Invoice 171660
12/172019 PO 24880
AP Payment
E 602-49450-220 Repair/Maint Supply
Invoice 171660
12/172019 PO 24880
HIGH PRESSURE MEDIUM CYLINDER
RENTALS- QTY 9
Project 19-3
HIGH PRESSURE ACETYLENE MEDIUM
CYLINDER RENTALS- QTY 5
Project 19-3
accounts Payable 20200 Total
$26.04
$8.68
$34.72
VALVE NUT RX KIT $3,997.50
STAINLESS 2" AWWA NUT SET
$447.50
VALVE NUT RX KIT
$3,997.50
STAINLESS 2" AWWA NUT SET
$447.50
Transaction Date 1/62020 Due 0 Accounts Payable 20200
-36-
Total $8,890.00
CITY OF MOUND
Payments
Current Period: Closing 2019
Refer 30 FIRS TNET
AP Payment E 222-42260-321 Telephone, Cells, & Radi DATACARD SVC -XXX -0353 FIRE UNIT#39
FIRE CHIEF RESCUE UTILITY 11-26-19 THRU
12-25-19
Invoice 12312019 12252019
AP Payment
E 222-42260-321 Telephone, Cells, & Radi
DATACARD SVC XXX -0545 FIRE #43
RESCUE TRUCK SVC 11-26-19 THRU 12-25-
19
Invoice 12312019 12252019
AP Payment
E 222-42260-321 Telephone, Cells, & Radi
DATACARD SVC XXX -1887 FIRE LADDER
TRUCK #44 SVC 11-26-19 THRU 12-25-19
Invoice 12312019 12252019
AP Payment
E 222-42260-321 Telephone, Cells, & Radi
DATACARD SVC XXX -1962 FIRE ENGINE #29
SVC 11-26-19 THRU 12-25-19
Invoice 12312019 12252019
AP Payment
E 222-42260-321 Telephone, Cells, & Radi
DATACARD SVC XXX -4845 FIRE UNIT #42
DUTY OFFICER SVC 11-26-19 THRU 12-25-19
Invoice 12312019 12252019
AP Payment
E 222-42260-321 Telephone, Cells, & Radi
CELLPHONE SVC XXX -0150 11-26-19 THRU
12 -25 -19 -CHIEF G. PEDERSON
Invoice 12312019 12252019
Transaction Date
1/62020 Due 0
Accounts Payable 20200 Total
Refer
18 GOPHER STATE ONE CALL, INC
_
AP Payment
E 601-49400-395 Gopher One -Call
DECEMBER 2019 LOCATES
Invoice 9120608
12/312019
AP Payment
E 602-49450-395 Gopher One -Call
DECEMBER 2019 LOCATES
Invoice 9120608
12/312019
Transaction Date
1/62020 Due 0
Accounts Payable 20200 Total
Refer 33 JUBILEE FOODS -(HWS)
AP Payment E 609-49750-210 Operating Supplies
Invoice 12312019 12282019 PO 1
AP Payment E 609-49750-210 Operating Supplies
Invoice 12312019 12282019 PO 1
AP Payment E 609-49750-431 Meeting Expense
Invoice 12312019 12232019 PO 1
AP Payment E 609-49750-210 Operating Supplies
Invoice 12312019 2/42019
AP Payment E 609-49750-210 Operating Supplies
Invoice 12312019 12/112019
AP Payment E 609-49750-431 Meeting Expense
Invoice 12312019 12/312019 PO 1
AP Payment E 609-49750-431 Meeting Expense
Invoice 12312019 12/312019 PO 1
Transaction Date 1/62020
Refer 37 JUBILEE FOODS
01/08/20 10:55 AM
Page 3
$38.23
$38.23
$38.23
$38.23
$38.23
$53.74
$244.89
$18.90
$18.90
$37.80
CLEANERS, DISHWAND SCRUBBER, LATEX $14.54
GLOVES- HWS
GARBAGE BAGS- HWS $8.59
BREAD, CHEESE, CHIPS, MEATS- $25.37
CHRISTMAS LUNCH FOR STAFF- HWS
JOHNNIES- OUTDOOR- CHRISTMAS SWAGS $94.59
& WREATH FOR FRONT OF HWS
8" SCISSORS- HWS $3.71
FRIED CHICKEN, POTATO SALAD, CHIPS, $13.96
COOKIES- NEW YEAR'S EVE STAFF LUNCH -
HWS
FRIED CHICKEN, POTATO SALAD, CHIPS, $27.70
COOKIES- NEW YEAR'S EVE STAFF LUNCH -
HWS
Due 0 Accounts Payable 20200
-37-
Total
$188.46
AP Payment G 222-22801 Deposits/Escrow
Invoice 12312019 12212019
AP Payment G 222-22801 Deposits/Escrow
Invoice 12312019 12212019
AP Payment G 222-22801 Deposits/Escrow
Invoice 12312019 12212019
AP Payment G 222-22801 Deposits/Escrow
Invoice 12312019 12212019
Transaction Date 1/62020
CITY OF MOUND 01/08/2010: 55 AM
Page 4
Payments
Current Period: Closing 2019
CRANBERRY JUICE, WATER FOR FIRE $5.02
DEPT CHRISTMAS PARTY- REIMBURSED BY
FIRE RELIEF ASSOCIATION
20 LB ICE CUBES FOR FIRE DEPT $4.39
CHRISTMAS PARTY- REIMBURSED BY FIRE
RELIEF ASSOCIATION
LIMES, LEMONS, WATER, ORANGE JUICE $19.47
FORFIRE DEPT CHRISTMAS PARTY -
REIMBURSED BY FIRE RELIEF ASSOCIATION
GREEN PEPPERS, ONIONS FOR FIRE DEPT $10.83
CHRISTMAS PARTY- REIMBURSED BY FIRE
RELIEF ASSOCIATION
Due 0 Accounts Payable 20200 Total $39.71
Refer 3 KELLY, KEVIN
AP Payment E 281-45210-331 Use of personal auto
Invoice 12312019 12/302019
Transaction Date 1/32020 Due 0
_
REIMS MILEAGE- DOCK INSPECTIONS- K.
KELLY- 10-15-19 THRU 11-26-19 & POST
OFFICE 12-30-19
Accounts Payable 20200 Total
$23.49
$23.49
Refer
28 LUBE -TECH & PARTNERS, LLC
AP Payment
E 602-49450-440 Other Contractual Servic
PRESCHEDULED VAC SERVICE- LIQUID
$495.00
RECYCLING- PUB WKS BLDG
Invoice 1526198
1/32020
Project 19-5
Transaction Date
1/62020 Due 0
Accounts Payable 20200 Total
$495.00
Refer
29 MIDWEST SERVICES
_
AP Payment
E 602-49450-440 Other Contractual Servic
MECHANIC SVCS- DEC 2019- TRUCK #218,
$595.00
SDMO GENERATOR, GENERATOR #607
TRAILER
Invoice 2535
12202019
Project 19-5
AP Payment
E 602-49450-440 Other Contractual Servic
MECHANIC SVCS- DEC 2019- TRUCK #312,
$680.00
STIGA#106, SWEEP UP SHOP
Invoice 2535
12202019
Project 19-5
AP Payment
E 602-49450-440 Other Contractual Servic
MECHANIC SVCS- DEC 2019- TRUCK #312,
$680.00
TRUCK #218,STIGA #106 TRUCK #316
Invoice 2535
12202019
Project 19-5
AP Payment
E 602-49450-440 Other Contractual Servic
MECHANIC SVCS- DEC 2019- TRUCK #312,
$680.00
TRUCK #316, CHECKED DEVON &
BAYWOOD SHORES GENERATORS
Invoice 2535
12202019
Project 19-5
AP Payment
E 602-49450-440 Other Contractual Servic
MECHANIC SVCS- DEC 2019- TRUCK #316,
$680.00
TRUCK #218,STIGA #106, TRUCK #515
Invoice 2535
12202019
Project 19-5
AP Payment
E 602-49450-440 Other Contractual Servic
MECHANIC SVCS- DEC 2019- TRUCK #312,
$680.00
AVANT 530 #220, BOBCAT #120,
FREIGHTLINER PLOW CYLINDER
Invoice 2535
12202019
Project 19-5
AP Payment
E 602-49450-440 Other Contractual Servic
MECHANIC SVCS- DEC 2019- DUCK POND
$637.50
GENERATOR & WELL #3 GENERATOR
Invoice 2535
12202019
Project 19-5
sm
AP Payment
Invoice 2535
AP Payment
Invoice 2535
Transaction Date
CITY OF MOUND
Payments
Current Period: Closing 2019
E 602-49450-440 Other Contractual Servic MECHANIC SVCS- DEC 2019- TRUCK #512,
Refer 20 MOTOROLA SOLUTIONS, INC _
AP Payment E 222-42260-500 Capital Outlay FA 2.5 DIGITAL PORTABLE RADIO- FIRE DEPT -
50% REIMBURSED BY MN DNR GRANT
Invoice 8280880752 12/62019 PO 24980
Transaction Date 1/62020 Due 0 Accounts Payable 20200 Total
Refer 21 NAPA AUTO PARTS - SPRING PAR
TRUCK#315, TRUCK#415, CLEAN TOOL
AP Payment E 222-42260-409 Other Equipment Repair
ROOM
12202019
Project 19-5
E 602-49450-440 Other Contractual Servic
MECHANIC SVCS- DEC 2019- ROADSIDE
AP Payment E 222-42260-409 Other Equipment Repair
ASSISTANCE ON HYD LEAKING FROM
Invoice 0577-102475 12232019
PLOW TRUCK
12202019
Project 19-5
1/62020 Due 0
Accounts Payable 20200 Total
Refer 20 MOTOROLA SOLUTIONS, INC _
AP Payment E 222-42260-500 Capital Outlay FA 2.5 DIGITAL PORTABLE RADIO- FIRE DEPT -
50% REIMBURSED BY MN DNR GRANT
Invoice 8280880752 12/62019 PO 24980
Transaction Date 1/62020 Due 0 Accounts Payable 20200 Total
Refer 21 NAPA AUTO PARTS - SPRING PAR
_
AP Payment E 222-42260-409 Other Equipment Repair
PREMIUM HEATER HOSE FOR BACKUP
E 101-41500-433 Dues and Subscriptions
OUTSIDE GENERATOR- FIRE DEPT
Invoice 0577-102517 12232019
1/22020
AP Payment E 222-42260-409 Other Equipment Repair
BATTERY- FIRE UNIT #26 1998 FORD
Invoice 0577-102475 12232019
REIMBURSE KIRKLAND NUT BARS- OPEN
Transaction Date 1/62020 Due 0
Accounts Payable 20200
Total
Refer
2 PAUSCHE, CATHERINE
_
AP Payment
E 101-41500-433 Dues and Subscriptions
REIMBURSE -AICPA DUES- C. PAUSCHE
Invoice 123119
1/22020
AP Payment
E 101-41500-431 Meeting Expense
REIMBURSE KIRKLAND NUT BARS- OPEN
ENROLLMENT MTG 11-07-19 - C. PAUSCHE
Invoice 123119
1/22020
AP Payment
E 101-41410-331 Use of personal auto
REIMBURSE MILEAGE- HENNEP CTY
ELECTION TRAINING- MPLS 12-5-19 - C.
PAUSCHE
Invoice 123119
1/22020
AP Payment
E 609-49750-210 Operating Supplies
REIMBURSE 2 LIQUOR STORE CUBBIES
HWS -C. PAUSCHE
Invoice 123119
1/22020
AP Payment
E 101-45200-210 Operating Supplies
REIMBURSE DEPOT BUFFET SERVING
COUNTER-C.PAUSCHE
Invoice 123119 1/22020
AP Payment E 101-41500-218 Clothing and Uniforms REIMBURSE 2019 MOUNDWEAR - C.
PAUSCHE
Invoice 123119 1/22020
Transaction Date 1/32020 Due 0 Accounts Payable 20200
Refer
22 POTTS, KENNETH N. P.A.
AP Payment
E 101-41600-304 Legal Fees
Invoice 12312019
12/312019
Transaction Date
1/62020
4TH QTR 2019 PROSECUTION SVCS
Total
01/08/20 10:55 AM
Page 5
$637.50
$170.00
$5,440.00
$5,125.25
$5,125.25
$2.55
$135.99
$138.54
$285.00
$15.99
$25.52
$200.00
$115.00
$61.00
$702.51
$12,500.00
Due 0 Accounts Payable 20200 Total $12,500.00
Refer 34 REPUBLIC SERVICES, INC. _
AP Payment E 670-49500-440 Other Contractual Servic DEC 2019 CITYWIDE RECYCLING SVC $14,494.95
Invoice 0894-004801986 1252019
Transaction Date 1/62020 Due 0 Accounts Payable 20200 Total $14,494.95
Refer 23 SALT SOURCE, LLC
-39-
CITY OF MOUND
Payments
Current Period: Closing 2019
AP Payment E 101-43100-224 Street Maint Materials 74.64 TONS OF ROAD MATERIAL-
SAND/SALT MIX- DELIVERED 12-11-19
Invoice 10313 12/112019
Transaction Date 1/62020 Due 0 Accounts Payable 20200
Total
Refer 24 SUN PATRIOT NEWSPAPER -CITY
AP Payment E 101-41110-351 Legal Notices Publishing LEGAL NTCE- ORDINANCE #3 REGARDING
CEMETARY MEMORIALS- PUBLISHED 12-21-
19
Invoice 748226 12212019
Transaction Date 1/62020 Due 0 Accounts Payable 20200 Total
Refer 35 TRUE VALUE HWS
AP Payment E 609-49750-210 Operating Supplies NATURAL CLEANER, TOILET BOWL RING
REMOVER, BOWL CLEANER- HWS
Invoice 165048 12/172019
AP Payment E 609-49750-210 Operating Supplies 1 X 5 EXTREME MOUNTING TAPE- HWS
Invoice 165060 12/182019
Transaction Date 1/62020 Due 0 Accounts Payable 20200 Total
Refer 36 TRUE VALUE MOUND (FIRE)
AP Payment G 222-22801 Deposits/Escrow
Invoice 164987 12/142019
Transaction Date 1/62020
100 CT MULTI LIGHT SET- FIRE DEPT
CHRISTMAS TREE- REIMBURSED BY
RELIEF ASSOCIATION
Due 0 Accounts Payable 20200
Refer 14 TRUE VALUE, MOUND (PW PKS)
AP Payment E 101-43100-220 Repair/Maint Supply
Invoice 164610 11222019
AP Payment E 101-43100-210 Operating Supplies
Invoice 164586 11212019
AP Payment E 101-43100-220 Repair/Maint Supply
Invoice 164572 11202019
AP Payment E 101-43100-220 Repair/Maint Supply
Invoice 164543 11/192019
AP Payment E 101-43100-210 Operating Supplies
Invoice 164552 11/192019
AP Payment E 101-43100-220 Repair/Maint Supply
Invoice 164458 11/142019
AP Payment E 101-43100-220 Repair/Maint Supply
Invoice 164316 11/62019
AP Payment E 101-43100-220 Repair/Maint Supply
Invoice 164274 11/42019
AP Payment E 602-49450-220 Repair/Maint Supply
Invoice 164698 11262019
AP Payment E 602-49450-220 Repair/Maint Supply
Invoice 164614 11222019
AP Payment E 602-49450-220 Repair/Maint Supply
Invoice 164611 11222019
AP Payment E 601-49400-210 Operating Supplies
Invoice 164286 11/52019
01/08/20 10:55 AM
Page 6
$12,241.71
$12,241.71
$30.84
$30.84
$28.34
$8.17
$36.51
$23.97
Total $23.97
TRI TAP ADAPTER
$14.80
GAL 50 RV ANTIFREEZE
$51.73
QUICK LOCK
$3.86
SLOT BAR, EPDXY, BLACK TAPE
$39.56
SCREWS, NUTS,BOLTS
$1.43
BRUSH ON SUPER GLUE, 25 ML SYRINGE
$10.15
12 PC RECIPROCATING BLADE KIT
$62.98
48" X84" ALUM SCREEN
$14.39
LAKEWINDS SUMP PUMP REPAIR- SAND
$29.94
ROLL, GALVANIZED COUPLING & NIPPLE
ADAPTER & FLEXIBLE COUPLING
$13.02
SUBMERSIBLE SUMP PUMP & COUPLING-
$158.38
LAKEWINDS GENERATOR
HUB COUPLING
$11.68
.m
CITY OF MOUND
Payments
Current Period: Closing 2019
AP Payment E 601-49400-210 Operating Supplies
Invoice 164483
11/152019
AP Payment
E 601-49400-210 Operating Supplies
Invoice 164549
11/192019
AP Payment
E 601-49400-210 Operating Supplies
Invoice 16448
11/122019
AP Payment
E 601-49400-220 Repair/Maint Supply
Invoice 164462
11/142019
AP Payment
E 601-49400-220 Repair/Maint Supply
Invoice 164548
11/192019
AP Payment
E 601-49400-220 Repair/Maint Supply
Invoice 164522
11/182019
AP Payment
E 101-45200-220 Repair/Maint Supply
Invoice 164308
11/62019
AP Payment
E 101-45200-220 Repair/Maint Supply
Invoice 164330
11/72019
AP Payment
E 101-45200-220 Repair/Maint Supply
Invoice 164562
11202019
AP Payment
E 101-45200-220 Repair/Maint Supply
Invoice 164563
11202019
AP Payment
E 101-45200-220 Repair/Maint Supply
Invoice 164617
11222019
AP Payment
E 101-45200-220 Repair/Maint Supply
Invoice 164667
11252019
AP Payment
E 101-45200-220 Repair/Maint Supply
Invoice 164619
11222019
AP Payment
E 101-45200-210 Operating Supplies
Invoice 164410
11/122019
AP Payment
E 101-45200-210 Operating Supplies
Invoice 164677
11262019
AP Payment
E 101-45200-210 Operating Supplies
Invoice 164309
11/52019
2" SOFT TIP BRUSH, VARNISH BRUSH,
PAPER TOWELS
1 12" LAMINATED PADLOCK
SCREWS, NUTS,BOLTS, BITS
SCREWS, NUTS,BOLTS
GAL 50 RV ANTIFREEZE, 3/8" STAPLES, 6"
PRO WIRE
6 QTY MAS BLADES
SISAL ROPE, GORILLA SUPER GLUE
TWIST SISAL
TWIST SISAL
TWIST SISAL
SCREWS, NUTS,BOLTS,4pk 6" QUICK GRIP
BAR CLAMP
SCREWS, NUTS,BOLTS
SCREWS, NUTS,BOLTS
WHITE VINEGAR
10 50LB BAGS FAST ICE MELT
SCREWS, NUTS,BOLTS
Transaction Date 1/32020 Due 0 Accounts Payable 20200 Total
Refer 1 UNIFIRST CORPORATION
AP Payment E 609-49750-210 Operating Supplies
Invoice 0900518897 11/132019
AP Payment E 609-49750-210 Operating Supplies
Invoice 0900520287 11202019
AP Payment E 609-49750-210 Operating Supplies
Invoice 0900523123 12/42019
AP Payment E 609-49750-210 Operating Supplies
Invoice 0900525964 12/182019
01/08/20 10:55 AM
Page 7
$10.59
$80.95
$19.67
$7.01
$43.40
$23.17
$40.47
$35.07
$35.07
$29.67
$37.34
$8.53
$7.27
$3.86
$170.91
$16.60
$981.50
MATS & CLEANING SUPPLIES- HWS- $68.48
TERRYCLOTHS, MOPS, WIPERS- 11-13-19
MATS & CLEANING SUPPLIES- HWS- $65.31
TERRYCLOTHS, MOPS, WIPERS- 11-20-19
MATS & CLEANING SUPPLIES- HWS- $68.72
TERRYCLOTHS, MOPS, WIPERS- 12-04-19
MATS & CLEANING SUPPLIES- HWS- $76.07
TERRYCLOTHS, MOPS, WIPERS- 12-18-19
-41-
CITY OF MOUND
Payments
Current Period: Closing 2019
AP Payment E 609-49750-210 Operating Supplies MATS & CLEANING SUPPLIES- HWS-
TERRYCLOTHS, MOPS, WIPERS- 12-25-19
Invoice 0900527413 1225/1919
Transaction Date 1/32020 Due 0 Accounts Payable 20200
Refer 7 UNIFIRST CORPORATION
AP Payment E 602-49450-210 Operating Supplies
Invoice 0900518896 11/132019
AP Payment E 101-45200-210 Operating Supplies
Invoice 0900518896 11/132019
AP Payment E 601-49400-210 Operating Supplies
Invoice 0900518896 11/132019
AP Payment E 101-43100-210 Operating Supplies
Invoice 0900518896 11/132019
Total
01/08/20 10:55 AM
Page 8
$70.77
$349.35
MAT SVC & SHOP SUPPLIES- PUBLIC $38.94
WORKS 11-13-19
MAT SVC & SHOP SUPPLIES- PARKS 11-13- $38.93
19
MAT SVC & SHOP SUPPLIES- PUBLIC $38.94
WORKS 11-13-19
MAT SVC & SHOP SUPPLIES- PUBLIC $38.94
WORKS 11-13-19
Transaction Date 1/32020 Due 0 Accounts Payable 20200
Refer 5 UNIFIRST CORPORATION
AP Payment E 602-49450-210 Operating Supplies
Invoice 0900523122 12/42019
AP Payment E 101-45200-210 Operating Supplies
Invoice 0900523122 12/42019
AP Payment E 601-49400-210 Operating Supplies
Invoice 0900523122 12/42019
AP Payment E 101-43100-210 Operating Supplies
Invoice 0900523122 12/42019
Transaction Date 1/32020 Due 0 Accounts Payable 20200
Total $155.75
MAT SVC & SHOP SUPPLIES- PUBLIC $17.26
WORKS 12-04-19
MAT SVC & SHOP SUPPLIES- PARKS 12-04- $17.25
19
MAT SVC & SHOP SUPPLIES- PUBLIC $17.26
WORKS 12-04-19
MAT SVC & SHOP SUPPLIES- PUBLIC $17.26
WORKS 12-04-19
Refer 11 UNIFIRST CORPORATION
AP Payment E 101-45200-218 Clothing and Uniforms
UNIFORM SVC PARKS 11-27-19
Invoice 0900521694 11272019
AP Payment E 602-49450-218 Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 11-27-19
Invoice 0900521694 11272019
AP Payment E 601-49400-218 Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 11-27-19
Invoice 0900521694 11272019
AP Payment E 101-43100-218 Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 11-27-19
Invoice 0900521694 11272019
Transaction Date 1/32020 Due 0
Accounts Payable 20200
Refer 4 UNIFIRST CORPORATION
AP Payment E 602-49450-210 Operating Supplies
Invoice 0900521722 11272019
AP Payment E 101-45200-210 Operating Supplies
Invoice 0900521722 11272019
AP Payment E 601-49400-210 Operating Supplies
livi ZrFnIII*A§NOW10A➢P:
Total $69.03
$14.72
$23.96
$20.33
$25.94
Total $84.95
MAT SVC & SHOP SUPPLIES- PUBLIC $17.26
WORKS 11-27-19
MAT SVC & SHOP SUPPLIES- PAKS 11-27-19 $17.25
MAT SVC & SHOP SUPPLIES- PUBLIC $17.26
WORKS 11-27-19
-42-
CITY OF MOUND
Payments
Current Period: Closing 2019
AP Payment E 101-43100-210 Operating Supplies MAT SVC & SHOP SUPPLIES- PUBLIC
WORKS 11-27-19
Invoice 0900521722 11272019
Transaction Date 1/32020 Due 0 Accounts Payable 20200
Refer 3 UNIFIRST CORPORATION
AP Payment E 602-49450-210 Operating Supplies
Invoice 0900520286 11202019
AP Payment E 101-45200-210 Operating Supplies
Invoice 0900520286 11202019
AP Payment E 601-49400-210 Operating Supplies
Invoice 0900520286 11202019
AP Payment E 101-43100-210 Operating Supplies
Invoice 0900520286 11202019
Total
01/08/20 10:55 AM
Page 9
$17.26
$69.03
MAT SVC & SHOP SUPPLIES- PUBLIC
$17.26
WORKS 11-209
MAT SVC & SHOP SUPPLIES- PARKS 11-209
$17.25
MAT SVC & SHOP SUPPLIES- PUBLIC
$17.26
WORKS 11-209
$17.26
MAT SVC & SHOP SUPPLIES- PUBLIC
$17.26
WORKS 11-209
$17.26
Transaction Date 1/32020 Due 0 Accounts Payable 20200
Refer 2 UNIFIRST CORPORATION _
AP Payment E 602-49450-210 Operating Supplies
Invoice 0900517468 11/62019
AP Payment E 101-45200-210 Operating Supplies
Invoice 0900517468 11/62019
AP Payment E 601-49400-210 Operating Supplies
Invoice 0900517468 11/62019
AP Payment E 101-43100-210 Operating Supplies
Invoice 0900517468 11/62019
Total $69.03
MAT SVC & SHOP SUPPLIES- PUBLIC
$17.26
WORKS 11-06-19
MAT SVC & SHOP SUPPLIES- PARKS 11-06-
$17.25
19
MAT SVC & SHOP SUPPLIES- PUBLIC
$17.26
WORKS 11-06-19
MAT SVC & SHOP SUPPLIES- PUBLIC
$17.26
WORKS 11-06-19
Transaction Date 1/32020 Due 0 Accounts Payable 20200 Total
Refer 6 UNIFIRST CORPORATION
AP Payment E 602-49450-210 Operating Supplies
Invoice 0900524556 12/112019
AP Payment E 101-45200-210 Operating Supplies
Invoice 0900524556 12/112019
AP Payment E 601-49400-210 Operating Supplies
Invoice 0900524556 12/112019
AP Payment E 101-43100-210 Operating Supplies
Invoice 0900524556 12/112019
$69.03
MAT SVC & SHOP SUPPLIES- PUBLIC
$38.94
WORKS 12-11-19
MAT SVC & SHOP SUPPLIES- PARKS 12-11-
$38.93
19
MAT SVC & SHOP SUPPLIES- PUBLIC
$38.94
WORKS 12-11-19
MAT SVC & SHOP SUPPLIES- PUBLIC
$38.94
WORKS 12-11-19
Transaction Date 1/32020 Due 0 Accounts Payable 20200
Total $155.75
Refer 9 UNIFIRST CORPORATION _
AP Payment E 101-45200-218 Clothing and Uniforms UNIFORM SVC PARKS 11--13-19 $14.72
Invoice 0900518870 11/132019
AP Payment E 602-49450-218 Clothing and Uniforms UNIFORM SVC PUBLIC WORKS 11--13-19 $23.96
Invoice 0900518870 11/132019
-43-
CITY OF MOUND
Payments
Current Period: Closing 2019
AP Payment E 601-49400-218 Clothing and Uniforms UNIFORM SVC PUBLIC WORKS 11--13-19
Invoice 0900518870 11/132019
AP Payment E 101-43100-218 Clothing and Uniforms UNIFORM SVC PUBLIC WORKS 11--13-19
Invoice 0900518870 11/132019
Transaction Date 1/32020 Due 0 Accounts Payable 20200 Total
Refer 8 UNIFIRST CORPORATION
AP Payment E 101-45200-218 Clothing and Uniforms
UNIFORM SVC PARKS 11-06-19
Invoice 0900517436 11/62019
AP Payment E 101-45200-218 Clothing and Uniforms
AP Payment E 602-49450-218 Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 11-06-19
Invoice 0900517436 11/62019
AP Payment E 601-49400-218 Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 11-06-19
Invoice 0900517436 11/62019
$23.96
AP Payment E 101-43100-218 Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 11-06-19
Invoice 0900517436 11/62019
AP Payment E 601-49400-218 Clothing and Uniforms
Transaction Date 1/32020 Due 0
Accounts Payable 20200
Refer 12 UNIFIRST CORPORATION
_
Total
AP Payment E 101-45200-218 Clothing and Uniforms
UNIFORM SVC PARKS 12-04-19
Invoice 0900523090 12/42019
AP Payment E 101-45200-218 Clothing and Uniforms
AP Payment E 602-49450-218 Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 12-04-19
Invoice 0900523090 12/42019
AP Payment E 601-49400-218 Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 12-04-19
Invoice 0900523090 12/42019
$23.96
AP Payment E 101-43100-218 Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 12-04-19
Invoice 0900523090 12/42019
AP Payment E 601-49400-218 Clothing and Uniforms
Transaction Date 1/32020 Due 0
Accounts Payable 20200 Total
Refer 13 UNIFIRST CORPORATION
AP Payment E 101-45200-218 Clothing and Uniforms
UNIFORM SVC PARKS 12-11-19
Invoice 0900524527 12/112019
AP Payment E 101-45200-218 Clothing and Uniforms
AP Payment E 602-49450-218 Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 12-11-19
Invoice 0900524527 12/112019
AP Payment E 601-49400-218 Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 12-11-19
Invoice 0900524527 12/112019
$23.96
AP Payment E 101-43100-218 Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 12-11-19
Invoice 0900524527 12/112019
AP Payment E 601-49400-218 Clothing and Uniforms
Transaction Date 1/32020 Due 0
Accounts Payable 20200
Total
01/08/20 10:55 AM
Page 10
$20.33
$25.94
$84.95
$14.72
$23.96
$20.33
$25.94
$84.95
$14.72
$23.96
$20.33
$25.94
$84.95
$14.72
$23.96
$20.33
$25.94
$84.95
Refer 10 UNIFIRST CORPORATION
_
AP Payment E 101-45200-218 Clothing and Uniforms
UNIFORM SVC PARKS 11-20-19
$14.72
Invoice 0900520256 11202019
AP Payment E 602-49450-218 Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 11-20-19
$23.96
Invoice 0900520256 11202019
AP Payment E 601-49400-218 Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 11-20-19
$20.33
Invoice 0900520256 11202019
AP Payment E 101-43100-218 Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 11-20-19
$25.94
Invoice 0900520256 11202019
Transaction Date 1/32020 Due 0
Accounts Payable 20200 Total
$84.95
Refer 25 VIKING ELECTRIC SUPPLY
_
AP Payment E 101-41930-220 Repair/Maint Supply
2 G12 70W CERAMIC BULBS- CITY HALL
$108.02
Invoice S003238419.001 12/192019
CITY OF MOUND
Payments
Current Period: Closing 2019
AP Payment E 101-41930-220 Repair/Maint Supply 3 G12 70W CERAMIC BULBS- CITY HALL
Invoice S003238419.002 12272019
Transaction Date 1/62020 Due 0 Accounts Payable 20200 Total
Refer 26 XCEL ENERGY
AP Payment E 101-43100-381 Electric Utilities
Invoice 666903804 12272019
AP Payment E 602-49450-381 Electric Utilities
Invoice 666975493 12/302019
AP Payment E 602-49450-381 Electric Utilities
Invoice 666963105 12272019
Transaction Date 1/62020
Fund Summary
670 RECYCLING FUND
609 MUNICIPAL LIQUOR FUND
602 SEWER FUND
601 WATER FUND
281 COMMONS DOCKS FUND
222 AREA FIRE SERVICES
101 GENERAL FUND
SHORELINE -COMMERCE STREET LIGHTS
11-21-19 THRU 12-26-19
ELECTRIC SVC 11-21-19 THRU 12-26-19
CARLOW RD LIFT STATION
ELECTRIC SVC 11-21-19 THRU 12-26-19
1871 COMMERCE BLVD LIFT STATION
Due 0 Accounts Payable 20200 T
To
20200 Accounts Payable
$14,494.95
$774.32
$11,653.64
$4,931.15
$23.49
$5,572.36
$39,527.94
$76,977.85
Pre -Written Checks $0.00
Checks to be Generated by the Computer $76,977.85
Total $76,977.85
-45-
01/08/20 10:55 AM
Page 11
$162.03
$270.05
$65.28
$90.20
$154.33
$309.81
CITY OF MOUND 01/09/2012:03 PM
Page 1
Payments
Current Period: Closing 2019
Batch Name 2019CITY-AP2 User Dollar Amt $21,627.84
Payments Computer Dollar Amt $21,627.84
$0.00 In Balance
Refer 44 CARDIAC SCIENCE, INC. _
AP Payment E 222-42260-210 Operating Supplies 2 AED BATTERIES- MOUND FIRE DEPT $636.80
Invoice 7380073 12/302019 PO 24983
Transaction Date 1/82020 Due 12/312019 Accounts Payable 20200 Total $636.80
Refer 47 DIAMOND VOGEL PAINTS _
AP Payment E 281-45210-220 Repair/Maint Supply GRAIN STAIN FOR DOCKS REPAIR $320.88
Invoice 802191978 12/112019
Transaction Date 1/82020 Due 12/312019 Accounts Payable 20200 Total $320.88
Refer
73 GUST, RONALD R. JR
_
AP Payment
E 609-49750-210 Operating Supplies
REIMBURSE- R. GUST- TARGET-
$20.00
CHRISTMAS GOODS- STORE
DECORATIONS- 12 PRICE
Invoice 12302019 12/302019
AP Payment
E 609-49750-331 Use of personal auto
REIMBURSE- R. GUST- MILEAGE TO CITY
$52.20
HALL, BANK, GALE WOODS BREWFEST
Invoice 12302019 12/302019
Transaction Date
1/92020 Due 12/312019
Accounts Payable 20200 Total
$72.20
Refer
45 HENNEPIN COUNTY INFORMATIO
_
AP Payment
E 602-49450-321 Telephone, Cells, & Radi
PW RADIO LEASE & ADMINISTRATION FEE-
$152.11
DECEMBER 2019
Invoice 1000141582 1/32020
Project 19-3
AP Payment
E 222-42260-321 Telephone, Cells, & Radi
FIRE DEPT RADIO LEASE &
$2,557.90
ADMINISTRATION FEE- DECEMBER 2019
Invoice 1000141525 1/32020
Transaction Date
1/82020 Due 12/312019
Accounts Payable 20200 Total
$2,710.01
Refer
46 LOFFLER COMPANIES, INCORPOR
_
AP Payment
E 222-42260-202 Duplicating and copying
CANON C2501F FIRE COPIER - COLOR
$112.46
OVERAGE CHARGES - 10-1-19 THRU 12 -31 -
Invoice 3313778
122020
AP Payment
E 222-42260-202 Duplicating and copying
CANON C2501F FIRE COPIER - B & W
$24.09
OVERAGE CHARGES - 10-1-19 THRU 12 -31 -
Invoice 3313778
122020
Transaction Date
1/82020 Due 12/312019
Accounts Payable 20200 Total
$136.55
Refer
72 MNSPECT
_
AP Payment
E 101-42400-308 Building Inspection Fees
DECEMBER 2019 BUILDING INSPECTION
$12,752.08
FEES
Invoice 8115
1/62020
AP Payment
G 101-20800 Due to Other Governments
DECEMBER 2019 - ELECTRICAL STATE
-$14.00
SURCHARGE FEE CREDIT
Invoice 8115
1/62020
AP Payment
R 101-42000-32220 Electrical Permit Fee
DECEMBER 2019- ELECTRICAL INSPECTION
-$180.00
PERMIT FEE CREDITS
Invoice 8115
1/62020
Transaction Date
2/82019 Due 12/312019
Accounts Payable 20200 Total
$12,558.08
Refer
43 UNIFIRST CORPORATION
_
.m
CITY OF MOUND
Payments
Current Period: Closing 2019
AP Payment E 602-49450-210 Operating Supplies
Invoice 0900527412 12252019
AP Payment E 101-45200-210 Operating Supplies
Invoice 0900527412 12252019
AP Payment E 601-49400-210 Operating Supplies
Invoice 0900527412 12252019
AP Payment E 101-43100-210 Operating Supplies
Invoice 0900527412 12252019
AP Payment E 609-49750-210 Operating Supplies
Invoice 0900489891-2 6/192019
MAT SVC & SHOP SUPPLIES- PUBLIC
WORKS 12-25-19
MAT SVC & SHOP SUPPLIES- PARKS 12-25-
19
MAT SVC & SHOP SUPPLIES- PUBLIC
WORKS 12-25-19
MAT SVC & SHOP SUPPLIES- PUBLIC
WORKS 12-25-19
ICU_\69TLH:�97P]�YO»�ISY�7 7��71a711116y
Transaction Date 1/82020 Due 12/312019 Accounts Payable 20200 Total
Refer 39 UNIFIRST CORPORATION
_
AP Payment E 101-45200-218 Clothing and Uniforms
UNIFORM SVC PARKS 12-25-19
Invoice 0900527382 12252019
AP Payment E 602-49450-218 Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 12-25-19
Invoice 0900527382 12252019
AP Payment E 601-49400-218 Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 12-25-19
Invoice 0900527382 12252019
AP Payment E 101-43100-218 Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 12-25-19
Invoice 0900527382 12252019
Transaction Date 1/32020 Due 12/312019
Accounts Payable 20200
Refer 40 UNIFIRST CORPORATION
_
AP Payment E 101-45200-218 Clothing and Uniforms
UNIFORM SVC PARKS 12-18-19
Invoice 0900525930 12/182019
AP Payment E 602-49450-218 Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 12-18-19
Invoice 0900525930 12/182019
AP Payment E 601-49400-218 Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 12-18-19
Invoice 0900525930 12/182019
AP Payment E 101-43100-218 Clothing and Uniforms
UNIFORM SVC PUBLIC WORKS 12-18-19
Invoice 0900525930 12/182019
Transaction Date 1/32020 Due 12/312019
Accounts Payable 20200
Refer 41 UNIFIRST CORPORATION
AP Payment E 602-49450-210 Operating Supplies
Invoice 0900518896 11/132019
AP Payment E 101-45200-210 Operating Supplies
Invoice 0900518896 11/132019
AP Payment E 601-49400-210 Operating Supplies
Invoice 0900518896 11/132019
AP Payment E 101-43100-210 Operating Supplies
Invoice 0900518896 11/132019
Total
Total
01/09/20 12:03 PM
Page 2
$36.91
$36.90
$36.91
$36.91
-$122.63
$25.00
$14.72
$23.96
$20.33
$25.94
$84.95
$14.72
$23.96
$20.33
$25.94
$84.95
MAT SVC & SHOP SUPPLIES- PUBLIC $38.94
WORKS 11-13-19
MAT SVC & SHOP SUPPLIES- PARKS 11-13- $38.93
19
MAT SVC & SHOP SUPPLIES- PUBLIC $38.94
WORKS 11-13-19
MAT SVC & SHOP SUPPLIES- PUBLIC $45.04
WORKS 11-13-19
Transaction Date 1/82020 Due 12/312019 Accounts Payable 20200
Refer 42 UNIFIRST CORPORATION _
-47-
Total $161.85
CITY OF MOUND
Payments
Current Period: Closing 2019
AP Payment E 602-49450-210 Operating Supplies
Invoice 0900525963 12/182019
AP Payment E 101-45200-210 Operating Supplies
Invoice 0900525963 12/182019
AP Payment E 601-49400-210 Operating Supplies
Invoice 0900525963 12/182019
AP Payment E 101-43100-210 Operating Supplies
Invoice 0900525963 12/182019
MAT SVC & SHOP SUPPLIES- PUBLIC
WORKS 12-18-19
MAT SVC & SHOP SUPPLIES- PARKS 12-18-
19
MAT SVC & SHOP SUPPLIES- PUBLIC
WORKS 12-18-19
MAT SVC & SHOP SUPPLIES- PUBLIC
WORKS 12-18-19
Transaction Date 1/82020 Due 12/312019 Accounts Payable 20200
Refer 100 XCEL ENERGY
AP Payment E 101-43100-381 Electric Utilities
Invoice 667572439 1/32020
01/09/20 12:03 PM
Page 3
$36.91
$36.90
$36.91
$38.94
Total $149.66
ELECTRIC SVC 12-03-19 THRU 1-02-20 CITY $4,686.91
OWNED STREET LIGHTS
Transaction Date 1/92020 Due 12/312019 Accounts Payable 20200
Fund Summary
101 GENERAL FUND
222 AREA FIRE SERVICES
281 COMMONS DOCKS FUND
601 WATER FUND
602 SEWER FUND
609 MUNICIPAL LIQUOR FUND
20200 Accounts Payable
$17,559.93
$3,331.25
$320.88
$153.42
$312.79
($50.43)
$21,627.84
Pre -Written Checks $0.00
Checks to be Generated by the Computer $21,627.84
Total $21,627.84
.m
Total $4,686.91
Batch Name BOLT19#11AP3
Payments
CITY OF MOUND
Payments
Current Period: Closing 2019
User Dollar Amt $17,124.50
Computer Dollar Amt $17,124.50
01/08/20 11:20 AM
Page 1
SEM
$0.00 In Balance
Refer
1 BOLTON AND MENK INCORPORA
_
AP Payment
E 401-43100-300 Professional Srvs
MSA SYSTEM COORDINATION UPDATES
$128.00
ENG SVCS OCT 19, THRU NOV 15 2019
Invoice 0243372
11/302019
Transaction Date
1/32020 Due 12/312019
Accounts Payable 20200 Total
$128.00
Refer
2 BOLTON AND MENK, INCORPORA
_
AP Payment
E 101-43100-300 Professional Srvs
GENERAL ENGINEERING ENG SVCS OCT
$620.00
19, THRU NOV 15 2019
Invoice 0243369
11/302019
AP Payment
E 602-49450-300 Professional Srvs
GENERAL ENGINEERING ENG SVCS OCT
$620.00
19, THRU NOV 15 2019
Invoice 0243369
11/302019
AP Payment
E 601-49400-300 Professional Srvs
GENERAL ENGINEERING ENG SVCS OCT
$620.00
19, THRU NOV 15 2019
Invoice 0243369
11/302019
AP Payment
E 401-43118-303 Engineering Fees
2018 WESTEDGE BLVD ST IMPROV PROJ
$1,126.50
PW 18-01 ENG SVCS OCT 19, THRU NOV 15
2019
Invoice 0243360
11/302019
Project PW1801
AP Payment
E 602-49450-300 Professional Srvs
2019 LIFT STATION EVALUATION ENG SVCS
$1,914.00
OCT 19, THRU NOV 15 2019
Invoice 0243369
11/302019
AP Payment
E 401-43117-303 Engineering Fees
2017 LYNWOOD BLVD STREET IMPROV
$57.50
PROJ PW 17-01 ENG SVCS OCT 19, THRU
NOV 15 2019
Invoice 0243359
11/302019
Project PW1701
Transaction Date
1/32020 Due 123/1201
Accounts Payable 20200 Total
$4,958.00
Refer
3 BOLTON AND MENK, INCORPORA
_
AP Payment
E 475-46386-300 Professional Srvs
MOUND HARBOR RENAISSANCE
$1,564.00
REDEVELOPMENT PROJ TIF 1-3 ENG SVCS
OCT 19, THRU NOV 15 2019
Invoice 0243371
11/302019
Transaction Date
1/32020 Due 12/31/2019
Accounts Payable 20200 Total
$1,564.00
Refer
4 BOLTON AND MENK, INCORPORA
_
AP Payment
E 101-43100-300 Professional Srvs
GIS UPDATES ENG SVCS OCT 19, THRU
$247.50
NOV 15 2019
Invoice 0243370
11/302019
AP Payment
E 601-49400-300 Professional Srvs
GIS UPDATES ENG SVC MAY 18, THRU
$247.50
JUNE 142019
Invoice 0243370
11/302019
AP Payment
E 602-49450-300 Professional Srvs
GIS UPDATES ENG SVC MAY 18, THRU
$247.50
JUNE 142019
Invoice 0243370
11/302019
AP Payment
E 675-49425-300 Professional Srvs
GIS UPDATES ENG SVC APRIL 7, THRU
$247.50
MAY 18 2018
Invoice 0243370
11/302019
Transaction Date
1/32020 Due 12/312019
Accounts Payable 20200 Total
$990.00
Refer
5 BOLTON AND MENK, INCORPORA
SEM
CITY OF MOUND
Payments
Current Period: Closing 2019
AP Payment E 401-43110-303 Engineering Fees 2019 RETAINING WALL -WARNER LN
IMPROV PROJ PW19-10 ENG SVCS OCT 19,
THRU NOV 15 2019
Invoice 0243363 11/302019 Project PW1910
AP Payment E 404-45200-303 Engineering Fees 2019 SWENSON PARK TENNIS COURT
IMPROV PROJ PW1906- ENG SVCS OCT 19,
THRU NOV 15 2019
Invoice 0243373 11/302019
AP Payment E 401-43119-303 Engineering Fees
Invoice 0243364 11/302019
AP Payment E 601-49400-500 Capital Outlay FA
Invoice 0243366 11/302019
AP Payment E 602-49450-500 Capital Outlay FA
Invoice 0243367 11/302019
AP Payment E 427-43121-300 Professional Srvs
Invoice 0243361 11/302019
AP Payment E 602-49450-500 Capital Outlay FA
Invoice 0243362 11/302019
AP Payment E 602-49450-500 Capital Outlay FA
Invoice 0243365 11/302019
Transaction Date 1/32020
Fund Summary
Project PW1906
2019 STREET & UTILITY IMPROV PROJ-
SHERWOOD DR- PW 19-01 ENG SVCS OCT
19, THRU NOV 15 2019
Project PW1901
2019 COMMERCE BLVD WATERMAIN
REPLACE PROJ PW 19-04 - ENG SVCS OCT
19, THRU NOV 15 2019
Project PW1904
2019 SANITARY SEWER FERNSIDE
FORCEMAIN PROJ PW 19-05 - ENG SVCS
OCT 19, THRU NOV 15 2019
Project PW1905
2019 CRACK & SEAL COAT IMPROV PROJ
PW 19-07 ENG SVCS OCT 19, THRU NOV 15
2019
Project PW1907
2019 MANHOLE REHAB PROJ PW 19 -09 -
ENG SVCS OCT 19, THRU NOV 15 2019
Project PW1909
2019 BAYRIDGE SEWER IMPROV PROJ PW
19-11 - ENG SVCS OCT 19, THRU NOV 15
2019
Due 12/312019 Accounts Payable
101 GENERAL FUND
401 GENERAL CAPITAL PROJECTS
404 COMMUNITY INVESTMENT RESERVE
427 SEAL COAT FUND
475 TIF 1-3 Mound Harbor Renaissan
601 WATER FUND
602 SEWER FUND
675 STORM WATER UTILITY FUND
20200 Accounts Payable
$867.50
$3,850.50
$862.00
$495.00
$1,564.00
$1,719.00
$7,519.00
$247.50
$17,124.50
Pre -Written Checks $0.00
Checks to be Generated bythe Computer $17,124.50
Total $17,124.50
-50-
Project PW1911
20200 Total
01/08/20 11:20 AM
Page 2
$2,324.00
$862.00
$214.50
$851.50
$1,931.50
$495.00
$1,044.00
$1,762.00
$9,484.50
CITY OF MOUND 01/09/2010: 59 AM
Page 1
Payments
Current Period: Closing 2019
Batch Name
KENGRV-AP-4
Payment Computer Dollar
Amt $648.00 Posted
Refer
1 KENNEDY AND GRAVEN
_
AP Payment
E 101-41600-314 Legal PAN
PUBLIC WORKS LEGAL SERVICES NOV 2019
$45.00
Invoice 152364
12/182019
AP Payment
G 101-23438 Van Mark- MN Lakes Bank-te
VANMARK- MN LAKES BANK TEMP
$45.00
LOCATION- LEGAL SVCS NOV 2019
Invoice 152364
12/182019
AP Payment
E 101-42400-300 Professional Srvs
1720 RESTHAVEN LN HAZARDOUS BLDG
$72.00
MATTER LEGAL SVCS NOV 2019
Invoice 152363
12/182019
AP Payment
E 101-42400-300 Professional Srvs
2642 COMMERCE BLVD- HEINEN
$486.00
ENFORCEMENT ACTION LEGAL SVCS NOV
2019
Invoice 152363
12/182019
Transaction Date 1/32020 Due 0
Accounts Payable 20200 Total
$648.00
Fund Summary
20200 Accounts Payable
101 GENERAL FUND
$648.00
$648.00
Pre -Written Checks $0.00
Checks to be Generated by the Computer $648.00
Total $648.00
_51-
CITY OF MOUND 01/08/2011: 05 AM
Page 1
Payments
Current Period: Closing 2019
Batch Name HWS19-AP5 User Dollar Amt $46,464.43
Payments Computer Dollar Amt $46,464.43
$0.00 In Balance
Refer 1 AM CRAFT SPIRITS, INC.
_
AP Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX
$142.80
Invoice 9930 12/62019
Transaction Date 1/72020 Due 12/312019
Accounts Payable 20200
Total
$142.80
Refer 2 ARTISAN BEER COMPANY
_
AP Payment E 609-49750-252 Beer For Resale
BEER
$1,032.20
Invoice 151456 12202019
Transaction Date 1/72020 Due 12/312019
Accounts Payable 20200
Total
$1,032.20
Refer 3 BELLBOY CORPORATION
_
AP Payment E 609-49750-210 Operating Supplies
SUPPLIES, C -FOLD TOWELS
$28.00
Invoice 0100673000 12272019
AP Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX
$18.00
Invoice 0100673000 12272019
Transaction Date 1/72020 Due 12/312019
Accounts Payable 20200
Total
$46.00
Refer 4 BELLBOY CORPORATION
_
AP Payment E 609-49750-251 Liquor For Resale
LIQUOR
$1,456.94
Invoice 0082190800 12272019
AP Payment E 609-49750-265 Freight
FREIGHT
$20.54
Invoice 0082190800 12272019
AP Payment E 609-49750-251 Liquor For Resale
LIQUOR CREDIT
-$9.33
Invoice 0082105400 12/192019
AP Payment E 609-49750-251 Liquor For Resale
LIQUOR
$1,105.76
Invoice 0082107300 12202019
AP Payment E 609-49750-265 Freight
FREIGHT
$12.28
Invoice 0082107300 12202019
Transaction Date 1/72020 Due 12/312019
Accounts Payable 20200
Total
$2,586.19
Refer 5 BOOM ISLAND BREWING COMPAN
_
AP Payment E 609-49750-252 Beer For Resale
BEER
$151.00
Invoice 9098 12202019
Transaction Date 1/72020 Due 12/312019
Accounts Payable 20200
Total
$151.00
Refer 6 BREAKTHRU BEVERAGE MN BEE _
AP Payment E 609-49750-252 Beer For Resale BEER
Invoice 1091096278 12242019
AP Payment E 609-49750-252 Beer For Resale BEER
Invoice 1091096279 12242019
AP Payment E 609-49750-252 Beer For Resale BEER
Invoice 1091098841 12/312019
AP Payment E 609-49750-252 Beer For Resale BEER
Invoice 1091098842 12/312019
Transaction Date 1/72020 Due 12/312019 Accounts Payable 20200
Refer 7 BREAKTHRU BEVERAGE MN WINE _
AP Payment E 609-49750-253 Wine For Resale WINE
Invoice 1081078689 12272019
-52-
Total
$2,323.85
$35.20
$2,120.95
$60.00
$4,540.00
$1,109.16
CITY OF MOUND
Payments
Current Period: Closing 2019
AP Payment E 609-49750-251 Liquor For Resale LIQUOR
Invoice 1081078688 12272019
AP Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX
Invoice 1081078690 12272019
Transaction Date 1/72020 Due 12/312019 Accounts Payable 20200
Refer
8 CAPITOL BEVERAGE SALES, L.P.
_
AP Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 9030396
12262019
Invoice 181947
AP Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 7115320
12/312019
AP Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 7115319
12/312019
AP Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 2355715-2
12/52019
Transaction Date
1/72020 Due 12/312019
Accounts Payable 20200
Refer
9 ENKI BREWING COMPANY _
AP Payment
E 609-49750-252 Beer For Resale BEER
Invoice 10953
12/302019
Transaction Date
1/72020 Due 12/312019 Accounts Payable 20200
Refer 10 HEADFL YER BREWING _
AP Payment E 609-49750-252 Beer For Resale BEER
Invoice 1657 12/172019
Transaction Date 1/72020 Due 12/312019 Accounts Payable 20200
Refer
11 HOHENSTEINS, INCORPORATED _
AP Payment
E 609-49750-252 Beer For Resale BEER
Invoice 181946
12/192019
AP Payment
E 609-49750-254 Soft Drinks/Mix For Resa MIX
Invoice 181947
12/192019
Transaction Date
1/72020 Due 12/312019 Accounts Payable 20200
Refer 12 INBOUND BREWCO _
AP Payment E 609-49750-251 Liquor For Resale LIQUOR
Invoice 5938 12202019
Transaction Date 1/72020 Due 12/312019 Accounts Payable 20200
Refer
13 JJ TAYLOR. DISTRIBUTING MINN
_
AP Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 3011505
12262019
AP Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 3011506
12262019
AP Payment
E 609-49750-252 Beer For Resale
BEER
Invoice 3043523
12202019
Transaction Date
1/72020 Due 12/312019
Accounts Payable 20200
Refer 14 JOHNSON BROTHERS LIQUOR _
AP Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX
Invoice 1465991 12262019
AP Payment E 609-49750-251 Liquor For Resale LIQUOR
Invoice 1465989 12262019
-53-
Total
Total
01 /08/20 11:05 AM
Page 2
$3,307.85
$30.00
$4,447.01
$2,644.00
$167.40
$1,635.18
$27.55
$4,474.13
$118.25
Total $118.25
$234.00
Total $234.00
$998.00
$45.00
Total
Total
Total
$1,043.00
$277.20
$277.20
$4,241.80
$145.00
$73.80
$4,460.60
$102.00
$3,593.20
CITY OF MOUND
Payments
Current Period: Closing 2019
01 /08/20 11:05 AM
Page 3
AP Payment
E 609-49750-253 Wine For Resale
WINE
20 PAUSTIS AND SONS WINE COMPA _
$3,463.10
Invoice 1465990
12262019
12262019
AP Payment
E 609-49750-265 Freight FREIGHT
Transaction Date
1/72020 Due 12/312019
Accounts Payable 20200
Total
$7,158.30
Refer
15 LUPULIN BREWING COMPANY
_
Invoice 351690
12/132019
AP Payment
E 609-49750-252 Beer For Resale
BEER
Accounts Payable 20200
$330.00
Invoice 26049
12222019
AP Payment
E 609-49750-252 Beer For Resale
BEER
$309.00
Invoice 26119
12262019
AP Payment
E 609-49750-252 Beer For Resale
BEER
$519.67
Invoice 25611-2
12/42019
Transaction Date
1/72020 Due 12/312019
Accounts Payable 20200
Total
$1,158.67
Refer
16 MARLIN S TRUCKING DELIVERY
_
AP Payment
E 609-49750-265 Freight
DELIVERY SVC 12-19-19
$368.30
Invoice 35894
12/192019
AP Payment
E 609-49750-265 Freight
DELIVERY SVC 12-27-19
$278.40
Invoice 35916
12272019
Transaction Date
1/72020 Due 12/312019
Accounts Payable 20200
Total
$646.70
Refer
17 MILLNER HERITAGE VINEYARD &
_
AP Payment
E 609-49750-253 Wine For Resale
WINE
$174.00
Invoice 2121919
12202019
Transaction Date
1/72020 Due 12/312019
Accounts Payable 20200
Total
$174.00
Refer 18 MODIST BREWING CO. LLC _
AP Payment E 609-49750-252 Beer For Resale BEER
Invoice 10504 12202019
Transaction Date 1/72020 Due 12/312019 Accounts Payable 20200 Total
Refer 19 MOUND, CITY OF _
AP Payment E 609-49750-382 Water Utilities WATER SERVICE 11-04-19 THRU 11-26-19
HWS
Invoice 123119 12202019
Transaction Date 1/72020 Due 12/312019 Accounts Payable 20200 Total
Transaction Date 1/72020 Due 12/312019 Accounts Payable 20200 Total
Refer
21 PHILLIPS WINE AND SPIRITS, INC _
Refer
20 PAUSTIS AND SONS WINE COMPA _
AP Payment
E 609-49750-253 Wine For Resale WINE
Invoice 75987
12262019
AP Payment
E 609-49750-265 Freight FREIGHT
Invoice 75987
12262019
Transaction Date 1/72020 Due 12/312019 Accounts Payable 20200 Total
Refer
21 PHILLIPS WINE AND SPIRITS, INC _
AP Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 2678718
12262019
AP Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 2678719
12262019
AP Payment
E 609-49750-254 Soft Drinks/Mix For Resa
MIX CREDIT
Invoice 351690
12/132019
Transaction Date
1/72020 Due 12/312019
Accounts Payable 20200
Refer 23 SCHRAM WINERY, LLC
-54-
Total
$589.50
$589.50
$63.94
$63.94
$455.42
$8.75
$464.17
$1,106.84
$958.25
-$204.75
$1,860.34
CITY OF MOUND 01/08/2011: 05 AM
Page 4
Payments
Current Period: Closing 2019
AP Payment
E 609-49750-253 Wine For Resale
WINE
AP Payment
E 609-49750-251 Liquor For Resale
$195.00
Invoice 000505
12202019
AP Payment
E 609-49750-254 Soft Drinks/Mix For Resa
MIX
Transaction Date
1/72020 Due 12/312019
Accounts Payable
20200
Total
$195.00
Refer
22 SHAMROCK GROUP, INC.
_
E 609-49750-265 Freight
FREIGHT
Invoice 0248288
AP Payment
E 609-49750-255 Misc Merchandise For R
ICE
1/72020 Due 12/312019
Accounts Payable 20200
$53.52
Invoice 2454601
12242019
Transaction Date
1/72020 Due 12/312019
Accounts Payable
20200
Total
$53.52
Refer
24 SHANKEN COMMUNICATIONS, INC
_
AP Payment
E609-49750-255 Misc Merchandise For R
WINE SPECTATOR
PUBLICATIONS 12-15-19
$15.00
EDITION
Invoice S0701683 11/122019
Transaction Date
1/72020 Due 12/312019
Accounts Payable
20200
Total
$15.00
Refer
25 SOUTHERN WINE & SPIRITS OF M
_
AP Payment
E 609-49750-253 Wine For Resale
WINE
$1,071.21
Invoice 1907385
12272019
AP Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$1,114.40
Invoice 1907384
12272019
AP Payment
E 609-49750-254 Soft Drinks/Mix For Resa
MIX
$38.87
Invoice 1907383
12272019
AP Payment
E 609-49750-253 Wine For Resale
WINE
$920.00
Invoice 5053093
12/312019
AP Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$4,309.75
Invoice 5053094
12/312019
Transaction Date
1/72020 Due 12/312019
Accounts Payable
20200
Total
$7,454.23
Refer
26 STEEL TOE BREWING, LLC
_
AP Payment
E 609-49750-252 Beer For Resale
BEER
$204.00
Invoice 31777
12232019
Transaction Date
1/72020 Due 12/312019
Accounts Payable
20200
Total
$204.00
Refer
27 SUMMER LAKES BEVERAGE LLC
_
AP Payment
E 609-49750-254 Soft Drinks/Mix For Resa
MIX
$360.00
Invoice 807
12/192019
Transaction Date
1/72020 Due 12/312019
Accounts Payable
20200
Total
$360.00
Refer
28 VINOCOPIA, INCORPORATED _
AP Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 0248689
12272019
AP Payment
E 609-49750-254 Soft Drinks/Mix For Resa
MIX
Invoice 0248689
12272019
AP Payment
E 609-49750-254 Soft Drinks/Mix For Resa
MIX
Invoice 02482288 12202019
AP Payment
E 609-49750-265 Freight
FREIGHT
Invoice 0248288
12202019
Transaction Date
1/72020 Due 12/312019
Accounts Payable 20200
Refer 30 WINE COMPANY _
AP Payment E 609-49750-253 Wine For Resale WINE
Invoice 130766 12262019
AP Payment E 609-49750-253 Wine For Resale WINE
Invoice 130140 12/192019
-55-
Total
$194.05
$133.33
$120.00
$12.00
$459.38
$248.00
$280.00
CITY OF MOUND
Payments
Current Period: Closing 2019
AP Payment E 609-49750-265 Freight FREIGHT
Invoice 130140 12/192019
Transaction Date 1/72020 Due 12/312019 Accounts Payable 20200
Refer
31 WINE COMPANY
_
AP Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 130142
12/192019
AP Payment
E 609-49750-265 Freight
FREIGHT
Invoice 130142
12/192019
AP Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 130767
12262019
Transaction Date
1/72020 Due 12/312019
Accounts Payable 20200
Refer 32 WINE MERCHANTS _
AP Payment E 609-49750-253 Wine For Resale WINE
Invoice 7267604 12262019
Transaction Date 1/72020 Due 12/312019 Accounts Payable 20200
Refer
29 WINEBOW
_
AP Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 72186
12282019
AP Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 72186
12282019
AP Payment
E 609-49750-265 Freight
FREIGHT
Invoice 72186
12282019
Transaction Date
1/72020 Due 12/312019
Accounts Payable 20200
Fund Summary
20200 Accounts Payable
609 MUNICIPAL LIQUOR FUND $46,464.43
$46,464.43
Pre -Written Checks $0.00
Checks to be Generated by the Computer $46,464.43
Total $46,464.43
-56-
Total
Total
Total
Total
01 /08/20 11:05 AM
Page 5
$6.30
$534.30
$136.00
$5.00
$180.00
$321.00
$789.00
$789.00
$192.00
$214.50
$4.50
$411.00
Batch Name 011420CITY
Payments
CITY OF MOUND
Payments
Current Period: January 2020
User Dollar Amt $155,752.94
Computer Dollar Amt $155,752.94
$0.00 In Balance
Refer 48 AMERICAN WATERWORKS ASSO _
Cash Payment E 601-49400-433 Dues and Subscriptions MEMBERSHIP DUES 2-1-20 THRU 1-31-21 R.
HANSON- AWWA & MN SECTION AWWA
Invoice 01012020 1/12020
Transaction Date 1/82020 Wells Fargo 10100 Total
Refer 49 ASPEN EQUIPMENT _
Cash Payment E 101-43100-220 Repair/Maint Supply RAM ASSEMBLY, SEAL KIT, PLUG COVER
KIT- STREETS TRUCK#218
Invoice 10213198 1/32020
Transaction Date 1/82020 Wells Fargo 10100 Total
Refer 70 BLADES GROUP LLC _
Cash Payment E 101-43100-224 Street Maint Materials 3 CUBIC YARDS ROCK ASPHALT- STREET
MTCE MATERIAL
Invoice 18008223 1/82020
Transaction Date 1/92020 Wells Fargo 10100 Total
Refer
50 CADY BUILDING MAINTENANCE
_
Cash Payment
E 101-41930-460 Janitorial Services
JANUARY 2020 CLEANING SVCS- CITY HALL
/POLICE
Invoice 4972110
4/12019
Cash Payment
E 222-42260-460 Janitorial Services
JANUARY 2020 CLEANING SVCS- FIRE DEPT
Invoice 4972110
4/12019
Cash Payment
E 602-49450-460 Janitorial Services
JANUARY 2020 CLEANING SVCS- PUBLIC
WORKS BLDG
Invoice 4972110
4/12019
Project 19-3
Cash Payment
E 101-41910-460 Janitorial Services
JANUARY 2020 CLEANING SVCS -
CENTENNIAL BLDG
Invoice 4972110
4/12019
Transaction Date
1/62020
Wells Fargo 10100 Total
Refer 69 CARGIL SALT DIVISION _
Cash Payment E 101-43100-224 Street Maint Materials DEICER SALT ICE CONTROL BULK LOAD
Invoice 2905188571 1/82020
Transaction Date 1/92020 Wells Fargo 10100 Total
Refer 51 EMBEDDED SYSTEMS, INC. _
Cash Payment E 101-42115-329 Sirens/Phone Linesl 6 MONTH SIREN MTCE SVCS JAN 1 2020
THRU JUNE 30 2020
Invoice 343986 11292019
Transaction Date 1/82020 Wells Fargo 10100 Total
Refer 53 FIVE TECHNOLOGY _
Cash Payment E 101-41920-440 Other Contractual Servic MONTHLY MANAGED SVC & NETWORK
MTCE- JANUARY 2020
Invoice 10120-16 1/12020
Transaction Date 1/62020 Wells Fargo 10100 Total
Refer 52 FRONTIER/CITIZENS COMMUNICA _
-57-
01 /09/20 11:45 AM
Page 1
$334.00
$334.00
$452.46
$452.46
$960.00
$960.00
$550.00
$299.00
$425.00
$425.00
$1,699.00
$5,910.20
$5,910.20
$830.25
$830.25
$1,290.00
$1.290.00
CITY OF MOUND
Payments
Current Period: January 2020
01 /09/20 11:45 AM
Page 2
Cash Payment E 222-42260-321 Telephone, Cells, & Radi
NETWORK ETHERNET SVC 12-20-19 THRU 1-
$150.00
20-20
Invoice 01062020 12222019
Cash Payment E 101-41920-321 Telephone, Cells, & Radi
NETWORK ETHERNET SVC 12-20-19 THRU 1-
$175.00
20-20
Invoice 01062020 12222019
Transaction Date 1/62020 Due 12/312019
Wells Fargo 10100 Total
$325.00
Refer 54 FRONTIER/CITIZENS COMMUNICA _
Cash Payment E 602-49450-321 Telephone, Cells, & Radi
PHONE SVC -12-30-19- TO 1-29-20
$47.10
Invoice 01012020 12/302019
Cash Payment E 609-49750-321 Telephone, Cells, & Radi
PHONE SVC -12-30-19- TO 1-29-20
$216.34
Invoice 01012020 12/302019
Cash Payment E 602-49450-321 Telephone, Cells, & Radi
PHONE SVC -12-30-19- TO 1-29-20
$193.81
Invoice 01012020 12/302019
Cash Payment E 601-49400-321 Telephone, Cells, & Radi
PHONE SVC -12-30-19- TO 1-29-20
$188.11
Invoice 01012020 12/302019
Cash Payment E 101-43100-321 Telephone, Cells, & Radi
PHONE SVC -12-30-19- TO 1-29-20
$188.11
Invoice 01012020 12/302019
Cash Payment E 101-41930-321 Telephone, Cells, & Radi
PHONE SVC -12-30-19- TO 1-29-20
$451.83
Invoice 01012020 12/302019
Cash Payment E 222-42260-321 Telephone, Cells, & Radi
PHONE SVC -12-30-19- TO 1-29-20
$150.61
Invoice 01012020 12/302019
Cash Payment E 101-41910-321 Telephone, Cells, & Radi
PHONE SVC -12-30-19- TO 1-29-20
$75.31
Invoice 01012020 12/302019
Cash Payment E 101-42110-321 Telephone, Cells, & Radi
PHONE SVC -12-30-19- TO 1-29-20
$75.31
Invoice 01012020 12/302019
Transaction Date 1/62020
Wells Fargo 10100 Total
$1,586.53
Refer 56 GWORKS - GIS WORKSHOP, LLC
Cash Payment E 101-43100-205 Computer Hardware/Soft
GIS APPLICATION WEB -BASED SOFTWARE
$2,160.00
SUPPORT -SIMPLE CITY 1-16-20 THRU 1-15-
21
Invoice 2019-10001 11/162019
Cash Payment E 101-42400-205 Computer Hardware/Soft
GIS APPLICATION WEB -BASED SOFTWARE
$2,160.00
SUPPORT -SIMPLE CITY 1-16-20 THRU 1-15-
21
Invoice 2019-10001 11/162019
Cash Payment E 101-45200-205 Computer Hardware/Soft
GIS APPLICATION WEB -BASED SOFTWARE
$2,160.00
SUPPORT -SIMPLE CITY 1-16-20 THRU 1-15-
21
Invoice 2019-10001 11/162019
Cash Payment E 601-49400-205 Computer Hardware/Soft
GIS APPLICATION WEB -BASED SOFTWARE
$2,160.00
SUPPORT -SIMPLE CITY 1-16-20 THRU 1-15-
21
Invoice 2019-10001 11/162019
Cash Payment E 602-49450-205 Computer Hardware/Soft
GIS APPLICATION WEB -BASED SOFTWARE
$2,160.00
SUPPORT -SIMPLE CITY 1-16-20 THRU 1-15-
21
Invoice 2019-10001 11/162019
Transaction Date 1/82020
Wells Fargo 10100 Total
$10,800.00
Refer 71 HAGBERG, RICHARD & DEBORAH _
sm
CITY OF MOUND 01/09/2011: 45 AM
Page 3
Payments
Current Period: January 2020
Cash Payment
G 101-23150 New Construction Escrow
REFUND NEW CONSTRUCTION ESCROW-
$5,000.00
2851 CAMBRIDGE- R. & D. HAGBERG
Invoice 010920
1/92020
Transaction Date
1/92020
Wells Fargo 10100 Total
$5,000.00
Refer
57 LAKE MINNETONKA CONSERVATI
_
Cash Payment
E 101-41110-433 Dues and Subscriptions
1ST QTR 2020 _MCD LEVY PAYMENT
$5,905.00
Invoice 011420
12202019
Transaction Date
1/82020
Wells Fargo 10100 Total
$5,905.00
Refer
58 LAND EQUIPMENT, INCORPORAT
_
Cash Payment
E 101-43100-220 Repair/Maint Supply
IDLER, BELT DRIVE, BOLT, STREETS
$313.54
VEHICLE
Invoice 03-726924 1/62020
Cash Payment
E 101-43100-220 Repair/Maint Supply
74" BOLT ON EDGE, 5/8 X 2" PLOW BOLTS,
$256.32
HEX NUTS- STREETS PLOWS
Invoice 03-726661
1/32020
Transaction Date
1/82020
Wells Fargo 10100 Total
$569.86
Refer
55 METROPOLITAN COUNCIL WASTE
_
Cash Payment
E 602-49450-388 Waste Disposal-MCIS
WASTEWATER SVCS JANUARY 2020
$74,270.98
Invoice 0001089872
12/42018
Transaction Date
1/62020
Wells Fargo 10100 Total
$74,270.98
Refer
61 MINNESOTA DEPT OFAGRICULTU
_
Cash Payment
E 101-45200-438 Licenses and Taxes
PESTICIDE APPLICATOR LICENSE- DUSTIN
$10.00
KOSKELA
Invoice 01012020
12/172019
Transaction Date
1/82020
Wells Fargo 10100 Total
$10.00
Refer
62 MUNICI-PALS
_
Cash Payment
E 101-41310-433 Dues and Subscriptions
2020 ANNUAL MUNICIPAL MEMBERSHIP
$40.00
DUES -CITY OF MOUND
Invoice 01012020
1/12020
Transaction Date
1/82020
Wells Fargo 10100 Total
$40.00
Refer
59 MUZAK - MINNEAPOLIS
Cash Payment
E 609-49750-440 Other Contractual Servic
MUSIC SERVICE 1ST QUARTER- JAN 1 2020
$434.64
THRU MARCH 31 2020- HWS
Invoice 55123746
1/12020
Transaction Date
1/62020
Wells Fargo 10100 Total
$434.64
Refer
60 NEOPOST-MAIL FINANCE INC.
Cash Payment
E 101-41930-440 Other Contractual Servic
POSTAGE METER MACHINE LEASE & MTCE
$1,212.00
1-3-20 THRU 1-2-21
Invoice n8040219
12/32019
Transaction Date
12/11/2019
Wells Fargo 10100 Total
$1,212.00
Refer 63 PLUNKETT S, INCORPORATED
Cash Payment E 101-41910-440 Other Contractual Servic PEST CONTROL SVC- QUARTERLY- CENT
BLDG 1-3-20
Invoice W17472201 1/32020
Cash Payment E 609-49750-440 Other Contractual Servic PEST CONTROL SVC- QUARTERLY- HWS
52.02
Invoice W17472201 1/32020
Transaction Date 1/62020 Wells Fargo 10100 Total
-59-
$112.49
$0.00
$112.49
CITY OF MOUND
Payments
Current Period: January 2020
Refer 64 PROLAWNS, LLC _
Cash Payment E 101-45200-440 Other Contractual Servic
Invoice 01012020 1/12020
Cash Payment E 101-45200-440 Other Contractual Servic
Invoice 01012020 1/12020
Cash Payment E 101-45200-440 Other Contractual Servic
Invoice 01012020 1/12020
Cash Payment E 602-49450-440 Other Contractual Servic
Invoice 01012020 1/12020
Cash Payment E 601-49400-440 Other Contractual Servic
Invoice 01012020 1/12020
Cash Payment E 285-46388-440 Other Contractual Servic
Invoice 01012020 1/12020
Cash Payment E 101-41930-440 Other Contractual Servic
Invoice 01012020 1/12020
Cash Payment E 222-42260-440 Other Contractual Servic
Invoice 01012020 1/12020
Cash Payment E 101-41910-440 Other Contractual Servic
Invoice 01012020 1/12020
Cash Payment E 101-43100-440 Other Contractual Servic
Invoice 01012020 1/12020
Transaction Date 1/82020
Refer
65 SAFE ASSURE CONSULTANTS, IN
Cash Payment
E 101-41310-434 Conference & Training
Invoice 1670
11262019
Cash Payment
E 101-41500-434 Conference & Training
Invoice 1670
11262019
Cash Payment
E 101-42400-434 Conference & Training
Invoice 1670
11262019
Cash Payment
E 101-43100-434 Conference & Training
Invoice 1670
11262019
Cash Payment
E 101-45200-434 Conference & Training
Invoice 1670
11262019
Cash Payment
E 101-42115-434 Conference & Training
Invoice 1670
11262019
Cash Payment
E 281-45210-434 Conference & Training
Invoice 1670
11262019
FERTILIZER & WEED CONTROL- 2020 -3
TREATMENTS- CITY PARKS
FERTILIZER & WEED CONTROL- 2020 -3
TREATMENTS- GILLESPIE CENTER,
WELCOME TO MOUND ENTRANCE & POST
OFFICE AREAS
FERTILIZER & WEED CONTROL- 2020 -3
TREATMENTS- MOUND CEMETERY
FERTILIZER & WEED CONTROL- 2020-3
TREATMENTS -CITY BAYWOOD SHORES
LIFT STATION AREA
FERTILIZER & WEED CONTROL- 2020 -3
TREATMENTS -CITY WATER WELL AREAS
FERTILIZER & WEED CONTROL- 2020 -3
TREATMENTS -PARKING DECK, FARMERS
MARKET, AUDITORS RD & VETERANS
MEMORIAL PLAZA AREA
FERTILIZER & WEED CONTROL- 2020 -3
TREATMENTS- CITY HALL AREA
FERTILIZER & WEED CONTROL- 2020 -3
TREATMENTS- FIRE DEPT AREA
FERTILIZER & WEED CONTROL- 2020 -3
TREATMENTS- CENTENNIAL BLDG
FERTILIZER & WEED CONTROL- 2020 -3
TREATMENTS -ALONG CITY BLVD- COUNTY
RD 15
Wells Fargo 10100
01 /09/20 11:45 AM
Page 4
$7,152.07
$618.45
$1,182.75
$112.10
$450.30
$589.95
$112.58
$112.58
$196.65
$168.15
Total $10,695.58
SAFETY TRAINING & CONSULTING 2020 $140.00
SAFETY TRAINING & CONSULTING 2020 $440.06
SAFETY TRAINING & CONSULTING 2020 $330.00
SAFETY TRAINING & CONSULTING 2020 $500.00
SAFETY TRAINING & CONSULTING 2020 $600.00
SAFETY TRAINING & CONSULTING 2020 $25.00
SAFETY TRAINING & CONSULTING 2020 $0.00
•m
CITY OF MOUND
Payments
Current Period: January 2020
Cash Payment
E 222-42260-434 Conference & Training
SAFETY TRAINING & CONSULTING 2020
Invoice 1670
11262019
PREVENTATIVE MTCE CONTRACT- PUB
Cash Payment
E 601-49400-434 Conference & Training
SAFETY TRAINING & CONSULTING 2020
Invoice 1670
11262019
Cash Payment
E 602-49450-434 Conference & Training
SAFETY TRAINING & CONSULTING 2020
Invoice 1670
11262019
SAFETY BLDG -1ST QTR 2020
Cash Payment
E 675-49425-434 Conference & Training
SAFETY TRAINING & CONSULTING 2020
Invoice 1670
11262019
Wells Fargo 10100
Cash Payment
E 609-49750-434 Conference & Training
SAFETY TRAINING & CONSULTING 2020
Invoice 1670
11262019
Transaction Date
1/82020
Wells Fargo 10100 Total
Refer 66 SALT SOURCE, LLC _
Cash Payment E 101-43100-224 Street Maint Materials 48.17 TONS OF ROAD MATERIAL-
SAND/SALT MIX- DELIVERED 12-31-19
Invoice 10758 12/312019
Transaction Date 1/62020 Due 12/312019 Wells Fargo 10100 Total
Refer 99 SOUTHWEST TRAILS ASSOCIATIO _
Cash Payment G 101-22801 Deposits/Escrow SW TRAILS ASSOC 2020 SNOWMOBILE
MTCE-DNR PMT #1 01-09-20
Invoice 010920 1/92020
Transaction Date 1/92020 Wells Fargo 10100
01 /09/20 11:45 AM
Page 5
$1,965.00
$380.00
$380.00
$0.00
$570.00
$5,330.06
$7,900.36
$7,900.36
$15,196.03
Total $15,196.03
Refer 67 TARGET SOLUTIONS LEARNING, L _
Cash Payment E 222-42260-434 Conference & Training 2020 TARGET SOLUTIONS ONLINE
TRAINING PLATFORM LICENSE- CAREER
TRACKING -ANNUAL MTCE FEE- FIRE DEPT
Invoice 01012020 11!72019
Transaction Date 1/82020 Wells Faroo 10100 Total
Refer
68 UHL COMPANY
_
Cash Payment
E 101-41930-400 Repairs & Maintenance
PREVENTATIVE MTCE CONTRACT- PUB
SAFETY BLDG -1ST QTR 2020
Invoice 59734
1/32020
Cash Payment
E 222-42260-402 Building Maintenance
PREVENTATIVE MTCE CONTRACT- PUB
SAFETY BLDG -1ST QTR 2020
Invoice 59734
1/32020
Transaction Date
1/62020
Wells Fargo 10100
-61-
Total
$3,663.00
$3,663.00
$612.75
$612.75
$1,225.50
Fund Summary
101 GENERAL FUND
222 AREA FIRE SERVICES
281 COMMONS DOCKS FUND
285 HRA/HARBOR DISTRICT
601 WATER FUND
602 SEWER FUND
609 MUNICIPAL LIQUOR FUND
675 STORM WATER UTILITY FUND
CITY OF MOUND
Payments
Current Period: January 2020
10100 Wells Fargo
$65,887.67
$6,952.94
$0.00
$589.95
$3,512.41
$77,588.99
$1,220.98
$0.00
$155,752.94
Pre -Written Checks $0.00
Checks to be Generated by the Computer $155,752.94
Total $155,752.94
-62-
01 /09/20 11:45 AM
Page 6
Batch Name 011420HWS
Payments
CITY OF MOUND
Payments
Current Period: January 2020
User Dollar Amt $56,206.51
Computer Dollar Amt $56,206.51
Refer 75 ARTISAN BEER COMPANY
Cash Payment E 609-49750-252 Beer For Resale
Invoice 3396350 122020
Cash Payment E 609-49750-252 Beer For Resale
Invoice 3396349 122020
Transaction Date 1/92020
$0.00 In Balance
BEER
BEER
Wells Fargo 10100 Total
01/09/20 11:41 AM
Page 1
$155.60
$387.90
$543.50
Refer 77 BELLBOY CORPORATION
_
Cash Payment E 609-49750-265 Freight
FREIGHT
$1.55
Invoice 0082281800 1/32020
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
$184.50
Invoice 0082281800 1/32020
Cash Payment E 609-49750-265 Freight
FREIGHT
$15.50
Invoice 0082275300 1/32020
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
$1,432.50
Invoice 0082275300 1/32020
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
$729.30
Invoice 0082338700 1/82020
Cash Payment E 609-49750-265 Freight
FREIGHT
$16.40
Invoice 0082338700 1/82020
Transaction Date 1/92020
Wells Fargo 10100
Total $2,379.75
Refer 76 BELLBOY CORPORATION _
Cash Payment E 609-49750-210 Operating Supplies SUPPLIES, BAGS $27.50
Invoice 0100701400 1/32020
Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX $142.10
Invoice 0100701400 1/32020
Cash Payment E 609-49750-210 Operating Supplies SUPPLIES- C -FOLD TOWELS $28.00
Invoice 0100724500 1/82020
Transaction Date 1/92020 Wells Fargo 10100 Total $197.60
Refer 78 BREAKTHRU BEVERAGE MN BEE _
Cash Payment E 609-49750-252 Beer For Resale BEER $4,094.85
Invoice 1091101082 1/82020
Cash Payment E 609-49750-252 Beer For Resale BEER $36.80
Invoice 1091101083 1/82020
Transaction Date 1/92020 Wells Fargo 10100 Total $4,131.65
Refer 79 BREAKTHRU BEVERAGE MN WINE
_
Cash Payment E 609-49750-253 Wine For Resale
WINE
$132.00
Invoice 1081081923 1/32020
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
$2,907.07
Invoice 1081081922 1/32020
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR CREDIT
-$20.79
Invoice 2080261609 12202019
Cash Payment E 609-49750-251 Liquor For Resale
LIQUOR
$700.83
Invoice 1081083503 1/82020
Transaction Date 1/92020
Wells Fargo 10100
Total $3,719.11
-63-
CITY OF MOUND
Payments
Current Period: January 2020
01/09/20 11:41 AM
Page 2
Refer
80 CAPITOL BEVERAGE SALES, L.P.
_
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$126.30
Invoice 7115340
1!72020
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$3,907.25
Invoice 7115339
1!72020
Transaction Date
1/92020
Wells Fargo
10100
Total $4,033.55
Refer
81 COCA COLA BOTTLING -MIDWEST
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa COCA COLA PRODUCTS- MIX
$328.88
Invoice 3609209494 1/62020
Transaction Date
1/92020
Wells Fargo
10100
Total $328.88
Refer
82 DAHLHEIMER BEVERAGE LLC
_
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$1,697.45
Invoice 123-03670
1!72020
Transaction Date
1/92020
Wells Fargo
10100
Total $1,697.45
Refer
83 HOHENSTEINS, INCORPORATED
_
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$1,933.00
Invoice 184203
122020
Transaction Date
1/92020
Wells Fargo
10100
Total $1,933.00
Refer
84 JJ TAYLOR. DISTRIBUTING MINN
_
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$92.60
Invoice 3043561
122020
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$4,199.44
Invoice 3043560
122020
Transaction Date
1/92020
Wells Fargo
10100
Total $4,292.04
Refer
85 JJ TAYLOR. DISTRIBUTING MINN
_
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$78.45
Invoice 3043586
1/92020
Cash Payment
E 609-49750-252 Beer For Resale
BEER
$3,665.35
Invoice 3043585
1/92020
Transaction Date
1/92020
Wells Fargo
10100
Total $3,743.80
Refer
86 JOHNSON BROTHERS LIQUOR
_
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa MIX
$41.35
Invoice 1471749
122020
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$4,439.40
Invoice 1471747
122020
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$8,123.49
Invoice 1471748
122020
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$905.24
Invoice 1476697
1/82020
Cash Payment
E 609-49750-253 Wine For Resale
WINE
$2,373.20
Invoice 1476698
1/82020
Transaction Date
1/92020
Wells Fargo
10100
Total $15,882.68
Refer
87 LIBATION PROJECT
_
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
$256.00
Invoice 26969
1/32020
Cash Payment
E 609-49750-265 Freight
FREIGHT
$3.00
Invoice 26969
1/32020
•m
Transaction Date 1/92020
CITY OF MOUND
Payments
Current Period: January 2020
Wells Fargo
Refer 88 MAVERICK WINE COMPANY
Cash Payment E 609-49750-253 Wine For Resale
Invoice 399499 1/82020
Cash Payment E 609-49750-265 Freight
Invoice 399499 1/82020
Transaction Date 1/92020
WINE
FREIGHT
Wells Fargo
Refer 89 MODIST BREWING CO. LLC _
Cash Payment E 609-49750-252 Beer For Resale BEER
Invoice 10785 1/82020
Transaction Date 1/92020 Wells Fargo
10100
Total
10100 Total
10100 Total
Refer 90 MOUND MARKETPLACE ASSOC _
Cash Payment E 609-49750-412 Building Rentals JANUARY 2020 COMMON AREA MTCE &
INSURANCE HWS
Invoice 010120 1/12020
Transaction Date 1/92020 Wells Fargo 10100 Total
Refer
91 PAUSTIS AND SONS WINE COMPA
_
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 76677
122020
Cash Payment
E 609-49750-265 Freight
FREIGHT
Invoice 76677
122020
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 76700
122020
Cash Payment
E 609-49750-265 Freight
FREIGHT
Invoice 76700
122020
Transaction Date
1/92020
Wells Fargo
10100
Total
Refer
93 PHILLIPS WINE AND SPIRITS, INC
_
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 2685695
1/82020
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 2685694
1/82020
Transaction Date
1/92020
Wells Fargo 10100 Total
Refer
92 PHILLIPS WINE AND SPIRITS, INC _
_
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 2682464
122020
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 2682465
122020
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa
MIX
Invoice 2682466
122020
Transaction Date
1/92020
Wells Fargo 10100 Total
Refer
94 SHAMROCK GROUP, INC.
_
Cash Payment
E 609-49750-255 Misc Merchandise For R
ICE
Invoice 2458321
1/82020
Cash Payment
E 609-49750-255 Misc Merchandise For R
ICE CREDIT
Invoice 2458321
1/82020
Transaction Date
1/92020
Wells Fargo 10100
-65-
Total
01/09/20 11:41 AM
Page 3
$259.00
$204.00
$1.50
$205.50
$172.00
$172.00
$993.09
$993.09
$390.25
$7.00
$99.75
$2.25
$499.25
$860.00
$135.00
$995.00
$81.50
$2,479.00
$45.00
$2,605.50
$235.67
-$1.08
$234.59
CITY OF MOUND
Payments
Current Period: January 2020
Refer
95 SOUTHERN WINE & SPIRITS OF M
_
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 1909400
1/32020
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 5054461
1/32020
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 1911156
1/92020
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 1911157
1/92020
Transaction Date
1/92020
Wells Fargo
Refer
96 VINOCOPIA, INCORPORATED _
_
Cash Payment
E 609-49750-251 Liquor For Resale
LIQUOR
Invoice 0249105
1/32020
Cash Payment
E 609-49750-265 Freight
FREIGHT
Invoice 0249105
1/32020
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 0249106
1/32020
Cash Payment
E 609-49750-265 Freight
FREIGHT
Invoice 0249106
1/32020
Cash Payment
E 609-49750-254 Soft Drinks/Mix For Resa
MIX
Invoice 0249101
1/32020
Cash Payment
E 609-49750-265 Freight
FREIGHT
Invoice 0249101
1/32020
Transaction Date
1/92020
Wells Fargo
Refer
97 WINE MERCHANTS
_
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 7269427
1/82020
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 7268640
122020
Transaction Date
1/92020
Wells Fargo
10100
10100
Total
01/09/20 11:41 AM
Page 4
$796.00
$1,908.39
$1,424.00
$521.70
$4,650.09
$85.88
$2.50
$600.00
$10.00
$152.00
$14.00
Total $864.38
$1,373.60
$284.00
10100 Total
Refer
98 Z WINES USA LLC
_
Cash Payment
E 609-49750-253 Wine For Resale
WINE
Invoice 23084
1/82020
Cash Payment
E 609-49750-265 Freight
FREIGHT
Invoice 23084
1/82020
Transaction Date
1/92020
Wells Fargo 10100 Total
Fund Summary
10100 Wells Fargo
609 MUNICIPAL LIQUOR FUND $56,206.51
$56,206.51
Pre -Written Checks $0.00
Checks to be Generated by the Computer $56,206.51
Total $56,206.51
$1,657.60
$180.00
$7.50
$187.50
MOUND CITY COUNCIL MINUTES
December 10, 2019
The City Council of the City of Mound, Hennepin County, Minnesota, met in regular session on Tuesday,
December 10, 2019 at 7:00 p.m. in the council chambers of the Centennial Building.
Members present: Mayor Ray Salazar, Council Member Jeff Bergquist, Paula Larson, and Sherrie Pugh
Members absent: Phil Velsor
Others present: City Manager Eric Hoversten, Director of Finance & Admin Services Catherine Pausche,
Mary Davis, City Engineer Brian Simmons, Orono Police Sgt. Kenny Beck, Catherine Bohne, Noah Zietzer
Arthur Witschorik, Tyler Stevenson, Annabelle Wiskus, Lauren Beauchamp, Isabelle Ayaz, Tom
Skramstad, Jon Ciatti, Olivia Duggan, Sophia Oherba, Shulay Spriger
Consent agenda: All items listed under the ConsentAgenda are considered to be routine in nature by the
Council. There will be no separate discussion on these items unless a Councilmember or citizen so
requests, in which event it will be removed from the Consent Agenda and considered in normal sequence.
1. Open meeting
Mayor Salazar called the meeting to order at 7:00 p.m.
2. Pledge of Allegiance
3. Approve agenda, with amendments
Hoversten stated there are replacement pages for Item 8A, Fee Schedule for 2020, including
changes to Fire and Emergency Services on page 2516 and 2520 and Item 8C, 2020 budget,
replacement pages 2523 and 33 and 35 of the separate budget packet.
MOTION made by Bergquist seconded by Pugh to approve the agenda, as amended. All voted in
favor. Motion carried.
4. Consent agenda
MOTION made by Larson seconded by Bergquist to approve the consent agenda. All voted in
favor. Motion carried.
A. Approve payment of claims in the amount of $319,707.65
B. Approve Minutes: November 26, 2019 regular meeting
C. RESOLUTION NO. 19-87: RESOLUTION APPROVING CONTRIBUTIONS FOR 2019
D. ORDINANCE NO. 03-2019: AN ORDINANCE AMENDING CHAPTER 18 OF THE MOUND
CITY CODE AS IT RELATES TO CEMETERIES
E. Approve appointments to the Docks and Commons Commission:
1. Susan Gardner (Abutter) re -appointment to a 3 -year term
2. Derrick Hertz (Non -abutter) re -appointment to a 3 -year term
-67-
F. Approve appointments to the Planning Commission:
1. David Pelka re -appointment to a 3 -year term
2. Jake Saystrom re -appointment to a 3 -year term
3. Jon Ciatti appointment to a 3 -year term
4. Sue Pilling appointment to a 1 -year term
111111111111111:J:14felk1J1IWL1IL1L01111k1J1IML1IeT414a291L1 ICS :3117191.194:JL16ylr]:1Ie1L11:111179]Y0]aJilellL1l
IMPROVEMENTS AND BAY RIDGE SEWER SERVICE PROJECTS
CITY PROJECT NOS. PW -19-05 & PW -19-11
H. RESOLUTION NO. 19-89: RESOLUTION ACCEPTING BID FOR COMMERCE WATERMAIN
IMPROVEMENTS CITY PROJECT NO. PW -19-04
I. Approve Pay Request #1 in the amount of $103,041.28 to Midwest Asphalt
Inc. for the 2019 Swenson Park Tennis Court Replacement project, PW 19-06
J. Approve 1-4 Day Temporary On -Sale Liquor Licenses to the Knights of
Columbus Shrimp Fry Fundraising Events on 02-28-20 & 04-03-20
K. Approve Official Dock Map Addendum
5. Comments and suggestions from citizens present on any item not on the agenda.
(Limit to 3 minutes per speaker.)
None were offered.
Mayor Salazar invited a representative of the students in the room to introduce themselves.
Arthur Witschorik, 4769 Gordon Rd., class of 2020, said the course name is Government and Mr.
Kuehl is the teacher. Witschorik said he is having a great time and learning a lot about
government.
Mayor Salazar encouraged the students who have questions during the meeting to come up and
ask them and thanked them all for being there.
6. Orono Police Sgt. Kenny Beck presenting the Mound Activity Report for November
Orono Police Sergeant Kenny Beck gave the Mound activity report for November stating there
were 136 calls for service, including 36 medicals, 19 mental health welfare checks, 14
miscellaneous assist/civil, 14 traffic related, including accidents, 10 burglary/theft related, 8
assist the fire department/lift assist, 8 alarms, 7 adult or child protection cases, 6 domestics or
disturbance calls for assaults and 3 relating to animal calls. Beck reminded the audience winter
parking restrictions are in full effect and they gave out more than 20 citations during the last two
snow falls.
Beck stated the Police Chief extends an invitation for the Council to jump with Team Cop -Sickles,
led by Chief Farniok, at the January 25th Polar Plunge at Surfside Park & Beach or to sponsor the
team to raise money for Special Olympics. Beck said last year they rose over $3,000 and the goal
this year is to get closer to $3,500.
City Engineer Brian Simmons presenting the Engineering analysis final report for the
2020 J-1 Lift Station Replacement project, PW 20-01 and requesting action on a
Resolution receiving report and authorizing preparation of plans and specifications and
ordering advertisement for bids for the 2020 lift station improvements projects.
City Engineer Brian Simmons noted the rebids on other projects resulted in approximately $100K
in savings and reiterated it was a smart move to re-examine those projects and put them back to
the market at a more competitive time.
Simmons said lift station J-1 at Avalon Park is the likely candidate for replacement in 2020,
including a new underground structure/concrete can, new pumps, new control panel, new
SCADA (ie., radio system used to control the lift stations), and new natural gas generator backup.
Simmons stated the lift station study looks at size and capacity, what the necessary pumps are
going to be, what the capacity of the underground can needs to be in order to determine a
proposed cost, and that the resolution today is to accept the study, order plans and specs and
set a date for bidding the project. Simmons said upon approval, Staff will move forward with
designing the project and putting it out to market, trying to get things early and as competitive
as possible.
MOTION made by Bergquist, seconded by Larson, to approve the following resolution. All voted
in favor. Motion carried.
RESOLUTION NO. 19-90: RESOLUTION RECEIVING REPORT AND AUTHORIZING PREPARATION
OF PLANS AND SPECIFICATIONS AND ORDERING ADVERTISEMENT FOR BIDS FOR THE 2020 LIFT
STATION IMPROVEMENTS PROJECT
8. 2020 Final Budget and Lew Discussion/Approval
Note: Public will be invited to comment before taking action on the budget resolutions.
Catherine Pausche, Director of Finance and Administrative Services, presenting an overview of
the 2020 budget and levy and requesting discussion and/or action on the following
(Also see separate budget packet for more content):
Pausche's presented slides summarizing the budget and exhibits from the budget packet and
explained the preliminary levy was approved in September which sets the ceiling for the final
levy because that is what is used to send the proposed property tax statements that were mailed
to property owners in November.
Pausche explained the proposed general fund revenue and total levy increases of 3.5% and 3%
are the same as the preliminary levy. Pausche said the general fund levy is used for
administration, streets, parks, public safety, and capital reserves to ease the impact of timing
differences and to prepare for the next generation of streets to avoid the need for special
assessments.
Pausche stated the capital plan includes the liquor store renovation that was pushed to January,
a slower time of year, and a new multiple slip for 4 boats and stairway at Idlewood which will
replace two dock sites that haven't been accessible since the lift station rehab.
Pausche explained the proposed changes to the dock fees and the Depot rental fees, noting the
dock fees were last changed in 2014 and that the Docks and Commons Commission approved a
recommendation to increase the fee for a secondary/share dock from $175 to $325, the same as
the primary dock user.
Bergquist said he is on the Parks Commission, and he is opposed to the two tier system for
different seasons/days of the week, but is okay with adjusting the Depot fee very slightly for
Mound residents. Discussion ensued and the Council came to agreement for the need to raise
the fee to cover improvements and upkeep thereby increasing the peak season/summer to $150
(7 days a week) and leaving the off-season months at $125 (7 days a week) for Mound residents
and implementing the increases for non-residents/non-profits. Mayor Salazar asked about the
$10 fee for storing boats on land and Hoversten said that is unique to commercial dock holders.
A. Action on Resolution Adopting Fee Schedule for 2020
MOTION made by Pugh, seconded by Bergquist, to approve the following resolution, as
amended. All voted in favor. Motion carried.
RESOLUTION NO. 19-91: RESOLUTION ADOPTING FEE SCHEDULE FOR 2020
Mayor Salazar asked if anyone in the audience wanted to comment on the budget/levy.
Tom Skramstad, 2968 Pelican Point Circle, said he moved to Mound about three and a half years
ago and the value of his home has gone up by 56% in three years, and the property taxes have
gone up in kind.
Pausche explained there are two things at play, one is the property value that is determined by
the Hennepin County Assessor's Office and the other is the City Property Tax Levy, which is the
amount the city requires to provide the services. The City doesn't control the changes in values
and those changes differ by property type. Pausche said there were big swings during the
recession but most values have rebounded. Hoversten said in either case, recession or not, the
City needs to generate roughly the same revenues but much work has been done to contain
increases. Salazar noted the City is only one of the taxing districts making up the property tax
and Bergquist noted the school district has gone up significantly in recent years.
B. Action on a Resolution Approving a Lew not to Exceed $248.555 for the Purpose of
Defraying the Cost of Operation. Pursuant to the Provisions of MSA 469, of the Housing
and Redevelopment Authority of and for the City of Mound for the Year 2020
Pausche explained the state statute allows cities to have a special levy of a maximum of
1.8% of total market value to fund redevelopment activities and the City has always taken
advantage of this to help pay for the parking deck bonds and to help fund the gap for the
Harbor/Transit District where the TIF did not materialize.
MOTION made by Bergquist, seconded, by Larson to approve the following resolution.
Motion carried.
-70-
RESOLUTION NO. 19-92: RESOLUTION APPROVING A LEVY OF $248,555 FOR THE
PURPOSE OF DEFRAYING THE COST OF OPERATION PURSUANT TO THE PROVISIONS OF
MSA 469 OF THE HOUSING AND REDEVELOPMENT AUTHORITY OF, AND FOR, THE CITY
OF MOUND FOR THE YEAR 2020
C. Action on Resolution Approving the 2020 Final General Fund Budget in the amount of
$5.620.150; Setting the Final Lew at $5.993.083; and Approving the Overall Final Budget
for 2020
Pugh asked about the special levy for the TIF and whether the $100K is a final payment.
Pausche stated this is reinstituting the levy that was suspended in hopes the Harbor
District redevelopment would materialize, but now we're at least two years out again, so it
is prudent to put it back in.
Larson said she has many questions about the budget. Larson said she would like to
discuss this further at another time and asked if she abstained from voting tonight what
would happen. Pausche said if the majority approves, it will still pass.
Pugh confirmed the amounts for the liquor store fund. Pausche said the sales of $3M and
$2.8 Cost of Good Sold is not presented on all schedules as some schedules just focus on
operating costs (payroll, supplies, etc). Pausche said the store contributed $125K to tax
relief in 2018 and $175K in 2019 and 2020. Salazar said the $650K includes the remodel.
Pausche said there will be a few days of closure during the remodel but it is imperative as
the store is over 15 years old.
Pugh asked about the capital expenditures on page 2509 and how they relate to the
capital reserve funds. Pausche explained the current year capital expenditures for the
General Fund (streets, parks, etc) will be charged to the capital reserve funds that were
created (Fund 403, 405, etc), and the difference between that and the levy amount will
become reserves for future expenditures. Special revenue (fire, docks, Harbor District) and
enterprise (water, sewer, storm) funds are charged directly for their capital expenditures.
MOTION made by Pugh, seconded by Bergquist, to approve the following resolution as
amended. The following voted in favor: Salazar, Pugh, Bergquist. The followingvoted
against: none. The following abstained: Larson. Motion carried.
RESOLUTION NO. 19-93: RESOLUTION APPROVING THE 2020 FINAL GENERAL FUND
BUDGET IN THE AMOUNT OF $5,620,150; SETTINGTHE FINAL LEVYAT $5,993,083; AND
1999:Z011F11i! ICU 9:199Ii!le111115011F1q:791■allrlh:1■791.404➢14UI
9. Information/Miscellaneous
A. Comments/Reports from Council members
Pugh said State Representative Kelly Morrison helped pass a bill to help people make their
yard a good location for pollinators, and a grant program for both individual homeowners
and cities was created called "Lawns to Legumes." Pugh shared information on the
-71 -
program and said it is being operated by "Blue Thumb" who are the Master Gardeners in
charge of the program.
Pugh stated the grants for individual homeowners are up to $350 for transforming their
yards by planting natural flowers and a Clover like ground cover instead of grass, and
noted applications are being taken now and then there will be another round of
applications in April of 2020.
Pugh stated there is also a grant program for cities and given that Mound is the largest city
on Lake Minnetonka, has the longest lakeshore, a number of parks, and recreational
values, this maybe something that could be done for several of the parks and perhaps
even the Harbor District.
Hoversten added the program appears to dovetail onto a number of programs that the
DNR has available in Hennepin County and agreed it is a great program. Hoversten
directed people to the right hand side of the City's webpage for Resident Resources that
includes links to sites that help homeowners make decisions, do planning and find
resources. Hoversten said this information regarding "Lawns to Legumes" will be added
there.
There was further discussion about the possibility of the city working with the program
and Hoversten said he thought the "Lawns to Legumes" program could go well with the
work the City has programmed for the boat launch parking lot area a Surfside Park, where
there is a desire to create some separation between where people swim and beached
boats/motors. Hoversten said he passed on the program information to the Parks
Commissioners and noted the City has already done something similar to this with the
Watershed District at Carlson Park.
Pugh reiterated the need for the water to go down to the aquifer and not drain into the
lake, but most importantly, that we preserve the environment for our children, noting this
is why youth are leading the climate change movement.
Larson thanked those in charge of the holiday lights this year, noting the holiday tree and
the wrapped trees around it were spectacular. Hoversten recognized the cooperative
efforts of the Westonka Community and Commerce association, city public works staff
and a specialized vendor that created the environment.
Mayor Salazar thanked staff for all the hard work this year, administratively and Public
Works, who did a fine job with the removal of snow last year and may have a lot more this
year. Mayor Salazar wished everyone a Merry Christmas and a happy holiday season.
B. Reports: Engineering — BMI — 09-30-19 YTD
Liquor Store — November 2019
Fire Department Activities— November 12019
C. Minutes: Planning Commission - October 1, 2019
D. Correspondence: Mediacom Rate Notification Letter
-72-
10. Adjourn
MOTION made by Bergquist seconded by Larson, to adjourn at 8:28 p.m. All voted in favor.
Attest: Catherine Pausche, Clerk
-73-
Mayor Raymond J. Salazar
CITY OF MOUND
RESOLUTION NO. 20 -
RESOLUTION APPOINTING JEFF BERGQUIST
AS ACTING MAYOR FOR 2020
WHEREAS, Minnesota State Statutes Chapter 412.121 states that at its first meeting
each year the Council shall choose an Acting Mayor from the Councilmembers; and
WHEREAS, the Acting Mayor shall perform the duties of Mayor during the disability or
absence of the Mayor from the City or, in the case of vacancy in the office of Mayor,
until a successor has been appointed and qualifies.
NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of Mound,
Minnesota, to appoint Jeff Bergquist as Acting Mayor for 2020.
Adopted by the City Council this 14th day of January, 2020.
Attest: Catherine Pausche, Clerk
-74-
Mayor Raymond J. Salazar
CITY OF MOUND
RESOLUTION NO. 20 -
RESOLUTION APPOINTING CITY COUNCIL MEMBERS
AS REPRESENTATIVES OF THE CITY COUNCIL TO
COMMISSIONS AND COMMITTEES FOR 2020
BE IT RESOLVED that the City Council of the City of Mound, Minnesota, does hereby
appoint the following Council Members as Council Representatives to the following City
Advisory Commissions and Committees for the year 2020:
Parks and Open Space Commission -- Jeff Bergquist
Docks and Commons Commission — Paula Larson
Planning Commission — Sherrie Pugh
Fire District Committee — Ray Salazar & Jeff Bergquist
Budget and Finance Committee -- Ray Salazar & Jeff Bergquist
Personnel Committee — Ray Salazar & Jeff Bergquist
Development Committee -- Ray Salazar & Phil Velsor
Orono Police Commission -- Ray Salazar & Jeff Bergquist
Suburban Rate Authority -- Ray Salazar & Jeff Bergquist
Approved by the City Council this 14th day of January, 2020.
Attest: Catherine Pausche, Clerk
-75-
Mayor Raymond J. Salazar
CITY OF MOUND
RESOLUTION NO. 20 -
RESOLUTION APPOINTING FINANCE DIRECTOR/CLERK/TREASURER
CATHERINE PAUSCHE AS ACTING CITY MANAGER FOR 2020
BE IT RESOLVED that the City Council of the City of Mound, Minnesota, does hereby
appoint Finance Director/Clerk/Treasurer Catherine Pausche as the Acting City
Manager for the year 2020, to act in this capacity if the City Manager is disabled,
incapacitated, away on City business, or away on vacation.
Adopted by the City Council this 14th day of January, 2020.
Attest: Catherine Pausche, Clerk
-76-
Mayor Raymond J. Salazar
CITY OF MOUND
RESOLUTION NO. 20 -
RESOLUTION APPOINTING FIELD OFFICER
ANDREW DRILLING AS ASSISTANT WEED INSPECTOR FOR 2020
BE IT RESOLVED that the City Council of the City of Mound, Minnesota, does hereby
appoint Field Officer Andrew Drilling as the Assistant Weed Inspector for the City of
Mound for 2020.
Adopted by the City Council this 14th day of January, 2020.
Attest: Catherine Pausche, Clerk
-77-
Mayor Raymond J. Salazar
CITY OF MOUND
RESOLUTION NO. 20 -
RESOLUTION APPROVING THE PURCHASE OF BONDING AS PROVIDED UNDER
MINNESOTA STATE STATUTE 412.111
WHEREAS, Minnesota State Statute 412.111 states the City Council may require any
officer or employee to furnish a bond conditioned for the faithful exercise of duties and
the proper application of, and payment upon demand of, all moneys officially received;
and
WHEREAS, The Council may provide for the payment from city funds of the premium
on the bond of any officer or employee of the city; and
WHEREAS, Unless otherwise prescribed by law, the amount of the bonds shall be fixed
by the Council; and
WHEREAS, The League of Minnesota Cities Insurance Trust provides coverage to
meet the needs and requirements of Minnesota cities as part of the overall general
liability insurance coverage purchased by the City;
NOW, THEREFORE, BE IT RESOLVED that the City Council of the City of Mound,
Minnesota does hereby authorize bond coverage per Minnesota State Statute 412.111
in the amount set by the League of Minnesota Cities Insurance Trust as part of the
overall general liability insurance coverage purchased by the City as shown in
Attachment A and made a part herein.
Adopted by the City Council this 14th day of January, 2020.
Mayor Raymond J. Salazar
Attest: Catherine Pausche. Clerk
Attachment A Page 1 of 2
City of Mound and Mound Volunteer Fire Department
4" , �h 4\ , � �"�4 i i , s \„ i \\ti \ti, ,ll\ r, .,}5 '�"'S j�C11Cpe'�i x �rm?A ,•ii-�1 �^�'�"'t 5'1j<V q yxi i� lam
Coverage:
Performance and Employee Dishonesty Bond
Carrier:
League of Minnesota Cities Insurance Trust
Form #:
specimen upon request
Form Type:
® Discovery
Effective:
February 1, 2016-17
Terrorism Risk Insurance will apply unless coverage is rejected .TRIA premium can be removed with acceptance of an absolute Terrorism exclusion.
Statement of Defense Costs:
® Does Not Apply
❑ Applicable
❑ Within Policy Limit (expenses erode policy limit)
❑ In addition to Policy Limit, and if so:
❑ Limited
❑ Unlimited
Significant Terms and Conditions:
Additional summary detail presented within the proposal.
• Coverage Territory — Domestic
• Supplemental limited reimbursement for Auditing and Accounting Costs
Significant Exclusions include, but not limited to:
• Governmental Action
• Inability to realize income
• Inventory Shortages
• Legal Expenses
• Nuclear
• War
• Joint Powers Entity, Port Authority, EDA, HRA, or similar, unless specifically named
Significant Endorsements include, but not limited to:
• None
Premium Terms:
• Minimum Premium: No Minimum Premiums Apply
• Annual, Quarterly or Semi -Annual: Terms Available
Q\QCit.MMW.w O161TCa, o Mowd P,o,,l fuv 164T&c. 15
— 54.1 -
-79-
iA.rrf,d�ll�r¢tiak�nnaat�..cn+?c?tbk ,,,,
15
Attachment A Page 2 of 2
City of Mound n and Mooed Volunteer Fire Department
Conditions of the Quote, Coverages, or Binding:
• Completed Tort Waiver Form required for all renewals
Claims Handling Instructions:
• Report claims immediately to LMCIT
Email: claims@lmc.org
Phone: 651.215.4165 or 800-925-1122
Fax: 651.281.1297
Mail LMCIT Claims, 145 University Avenue, West St. Paul, MN 55 1OJ-2044
\!�t i1i S11� 0 a ll
Q ICltk,NM o.dOO16-17,0ry of Moond P.,os fo, 16-17doe. 16
— 54.2 — 16
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CITY OF MOUND
RESOLUTION NO. 20 -
RESOLUTION DESIGNATING THE OFFICIAL
DEPOSITORIES FOR 2020
WHEREAS, Minnesota State Statute Chapter 427 requires the City to select an official
depository/depositories for City funds within 30 days of the start of the City's fiscal year.
NOW, THEREFORE, BE IT RESOLVED that the City Council of the City of Mound, Minnesota,
does hereby designate the following banks and financial institutions as official depositories for
the City of Mound in 2020:
Wells Fargo Bank
Wells Fargo Securities, LLC. DANA Investment Advisors
Citigroup Asset Mgmt (Morgan Stanley Smith Barney) US Bank
Minnesota Municipal Money Market Funds (PMA) RBC Dain Rauscher Capital Markets
Community Investment Partners Multi -Bank Securities, Inc. (MBS)
BE IT FURTHER RESOLVED that the City's deposits shall be protected by Federal Deposit
Insurance and/or collateral in accordance with MSA Chapter 118A.
BE IT FURTHER RESOLVED that the City Finance Director is hereby authorized to open or
continue an account or accounts with said institutions on such terms as required by said
institutions in the name of the City, and to deposit, or cause to be deposited in such account or
accounts, any monies, checks, drafts, orders, notes or other instruments for the payment of
money, upon compliance by said depository with this resolution and the law in such case
provided.
BE IT FURTHER RESOLVED that the designation shall continue in force until December 31,
2019, or until written notice of its revision or modification has been received by said institution.
Adopted by the City Council this 14th day of January, 2020.
Mayor Raymond J. Salazar
Attest: Catherine Pausche, Clerk
CITY OF MOUND — CITY MANAGER
2415 Wilshire Blvd
Mound, MN 55364
TO:
City Council
FROM:
Eric Hoversten, City Manager and Director of Public Works
DATE:
July 2, 2019
SUBJECT:
Designation of Official Newspaper
LOCATION:
NA
REQUEST: Approve designation of The Laker as the Official Newspaper for the City of
Mound and use of the "Quest Construction Data Network" (www.QwestCDN.com)
bidding portal for publication of seal bid solicitations.
BACKGROUND:
Minnesota Statutes, section 412.831 states that the Council shall, annually, at its first
meeting of the year, designate a legal newspaper of general circulation in the City as its
official newspaper. Staff will continue to use the official newspaper for all legally -
mandated notifications other than sealed construction bid solicitations as it has in
previous years.
Minnesota Statutes, section 331A.03, subdivision 3 authorizes the City to use its website
or recognized industry trade journals as an alternative to the official newspaper as a
means of soliciting bids, requests for information, and requests for proposals as long as
they are disseminated in substantially the same format and for the same period of time as
required for published solicitations. The only city -official content to be transitioned from
the official newspaper to the Quest Construction Data Network is sealed construction bid
solicitation announcements. In the 6 months leading up to the transitioning from
publication of bid solicitations in the official newspaper to an alternative media format
the statue requires dual publication to both media. The proposed language directs dual
publication through the end of July 2020.
The City has used "Quest' as an on-line resource and component of the solicitation
process for dissemination of electronic project plans, specification, and contract
documents for several years. Bid solicitations are currently announced in purchased add -
space in the official paper and then replicated in the "Quest' bidding portal. "Quest' is
free for users and project owners who are publishing bid documents. Quest is recognized
as a regional trade resource for bid solicitation and is the primary method used by
contractors for identifying prospective work to bid competitively. While "Quest' will be
the official notification, links from the City web page will be used as well to create
redundancy.
Transitioning bid announcements from the official newspaper will eliminate redundant
effort and cost as well as streamline the process to release content to bidders for our
major projects.
RECOMMENDATION: Council approve attached resolution designating The Laker as
the Official Newspaper and Quest Construction Data Network as the official notification
site of sealed construction bid solicitations.
1
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CITY OF MOUND
RESOLUTION NO. 20-07
RESOLUTION DESIGNATING THE LAKER
AS THE OFFICIAL NEWSPAPER FOR 2020
WHEREAS, Minnesota Statutes, section 412.831 states that the Council shall, annually,
at its first meeting of the year, designate a legal newspaper of general circulation in the
City as its official newspaper; and
WHEREAS, publication of ordinances and other matters as required by law are to be so
published, and such other matters as the Council may deem advisable and in the public
interest to have published in this manner; and
WHEREAS, Minnesota Statutes, section 331A.03, subdivision 3 authorizes the City to
use its website or recognized industry trade journals as an alternative to the official
newspaper as a means of soliciting bids, requests for information, and requests for
proposals as long as they are disseminated in substantially the same format and for the
same period of time as required for published solicitations.
NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of Mound,
Minnesota, as follows:
1. The Laker is designated as the official newspaper for the City of Mound for 2020.
2. From the date of this resolution through July 31, 2020, solicitation of sealed
construction bids shall be published in the official newspaper (The Laker) in
addition to Quest Construction Data Network (www.QuestCDN.com). The
publication in the official newspaper will indicate where the reader can find the
designated alternative method.
3. Beginning August 1, 2020 and thereafter, the solicitation of sealed construction
bids will be disseminated via the Quest Construction Data Network
(www.QuestCDN.com) instead of the official newspaper as allowed by law. The
City will simultaneously publish, as part of its minutes of a regular meeting or in a
separate notice published in the official newspaper, a description of all
solicitations or requests disseminated via Quest Construction Data Network.
Adopted by the City Council this 14th day of January, 2020.
Attest: Catherine Pausche, Clerk
Im
Mayor Raymond J. Salazar
2415 Wilshire Boulevard City of lVbund
Mound, MN. 55364 Community Development Department
(952) 472-0605
Memorandum
To: Honorable Mayor and Members of the Mound City Council
From: Field Officer Andy Drilling
Date: January 9, 2020
Re: Consent Agenda Item #4.J: Request for Commercial Kennel License for the
City of Mound Emergency Management Division, Waiving the Fee.
I hereby request the Mound City Council grant a Commercial Kennel License for the
calendar year 2020, to the City of Mound Emergency Management Division. This license
will allow the City to shelter dogs and cats, impounded by the Orono Police Department
and/or the City of Mound in the police precinct kennel facility, located at 2415 Wilshire
Boulevard.
I also request that the $150/year licensing fee be waived.
cc: Police Chief Corey Farniok, Orono Police Department
Im
CITY OF MOUND
RESOLUTION NO. 20 -
RESOLUTION MAKING A SELECTION NOT TO WAIVE THE STATUTORY TORT
LIMITS FOR LIABILITY INSURANCE PURPOSES
WHEREAS, pursuant to previous action taken, the League of Minnesota Cities
Insurance Trust has asked the City to make an election with regards to waiving or not
waiving its tort liability established by Minnesota Statutes 466.04; and
WHEREAS, the choices available are to not waive the statutory limit, to waive the limit
but to keep insurance coverage at the statutory limit, or to waive the limit and add
insurance to a new level.
NOW, THEREFORE, BE IT RESOLVED by the City Council of Mound, Minnesota, to
hereby elect not to waive the statutory tort liability established by Minnesota Statute
466.04 and that such election is effective until amended by further resolution of the
Mound City Council.
Adopted by the City Council this 14th day of January, 2020.
Attest: Catherine Pausche, Clerk
Im
Mayor Raymond J. Salazar
CITY OF MOUND
RESOLUTION NO. 20 -
RESOLUTION RECOMMENDING CONTINUATION OF CDBG
FUNDING OF WESTONKA COMMUNITY ACTION NETWORK (WeCAN)
WHEREAS, the City of Mound has supported services for its residents given by
WeCAN as a community-based human service organization dedicated to helping low-
income people achieve greater self-sufficiency and family stability; and
WHEREAS, these services include emergency assistance for housing stability, job
seeking support, Meals on Wheels, family support services, public assistance intake
services, and other resources.
NOW, THEREFORE, BE IT RESOLVED that the City Council of the City of Mound
recommends to the Consolidated Pool Selection Committee that Community
Development Block Grant (CDBG) funding of Westonka Community Action Network
(WeCAN) be continued.
Adopted by the City Council this 14th day of January, 2020.
Mayor Raymond J. Salazar
Attest: Catherine Pausche, Clerk
HENNEPIN
COUNTY
MINNESOTA
To: Mound City Clerk/City Administrator
From: Kim Jensen, Senior Appraiser
Date: December 16, 2019
Re: 2020 Open Book Meeting
Monday, April 27, 2020 5:00 — 7 PM
Date Time
Minnesota Statute 274.01, Subdivision 1, requires that the County Assessor set the date and time for
your local board of appeal and equalization meeting. Your city has opted for an Open Book meeting in
place of a Local Board of Appeal and Equalization meeting. We are proposing the date and time
referenced above based upon last year's meeting date.
Please confirm the date and time above, or if you wish to change the date, call us with an alternative
by January 24. This will allow for Notices of Valuation and Classification to be prepared timely. If you
have any questions, please call me at (612) 348-6106 or send me an e-mail at
kimberly.jensen@hennepin.us.
Please return the confirmation to Kim Jensen, A-2103 Government Center, Minneapolis, MN, 55487,
or email to AO.Admin@hennepin.us.
CONFIRMATION
City:
Date:
Time:
Place:
City Clerk/City Administrator Signature:
M
MEMORANDUM
Ianuary9,2020
To City Mayor and City Council
From Catherine Pausche Director of Finance and Administrative Services
Re Minnesota Department of Health State Water Fee
Municipalities were notified the State of Minnesota Department ofHealth will increase clear
state water fee authorized by MN State Statute 1443831 effective 01 01-2020_ This fee has not
changed since 2005 and it came to my attention we don't list it on our fee schedule As an effort
to be more transparent, Staff recommends adding it to the fee schedule Mound has not
increased municipal waterrates since 2017 and while this state fee still seems immaterial, some
residents may notice
Annual safe driuldng water fee fiom every service connection to a public water supply
increased fiom $636 to $9.72, or 52 annually.
Impact on Mound utility bills:
State Water Fee—Residential ¢earterly From $159 to $243
State Water Fee- Commercial Monthly - From $0 53 to $0 81
Staffrecommends approval of the resolution amending the fee schedule
Please feel flee to contact me with any questions_
88-
CITY OF MOUND
RESOLUTION NO. 20 -
RESOLUTION AMENDING RESOLUTION NO. 19-91 ADOPTING FEE
SCHEDULE FOR 2020
WHEREAS, on December 10, 2019 the City Council approved Resolution 19-91 approving the Fee
Schedule for 2018 (Resolution); and
WHEREAS, the Resolution did not include the State of Minnesota Department of Health Water Fee
that is part of the City of Mound utility bill for commercial and residential accounts; and
WHEREAS, per Minnesota Statues section 144.3831 Minnesota Department of Health (MDH)
is required to collect $9.72 annually for safe drinking water fee from every service
connection service by the public water supply;
WHEREAS, it is appropriate to reflect this pass-through fee on the City of Mound Fee Schedule;
NOW THEREFORE, BE IT RESOLVED by the City Council of the City of Mound, Minnesota,
hereby adopts a resolution amending City Resolution No. 19-91 Adopting Fee Schedule for 2020
with the following language:
Water:
State Water Fee — Residential Accounts $2.43/quarter
State Water Fee — Commercial Accounts $0.81/month
Adopted by the City Council this 14th day of January, 2020.
Mayor Raymond J. Salazar
Catherine Pausche, Clerk
M N S P E C TLLC
235 First Street West • Waconia, MN 55387-1302
Memorandum
To: Honorable Mayor and Council Members
From: Scott Qualle, Building Official
Date: January 9, 2020
Re: Unsafe Property at 1720 Resthaven Lane
Background
Just after midnight on January 25, 2019, Mound Fire responded to a house fire at 1720
ResthavenLane.Thebuildingwasposted'DoNotOccupy"shortlythereafter. Since that
time, several letters have been sent requesting 1) access to conduct an inspection to
determine if the structure is hazardous, and 2) plans regarding the future of the structure so
the City could monitor progress and avoid duplication of efforts to remediate. The owners
have not provided access, or plans regarding the remediation of the building. As much of
the roof was destroyed in the fire, the building has been tarp -covered, but open to the
environment, for nearly year.
Because there has been no evidence of activity to remediate the building, and no
cooperation regarding access or assessment, I previously recommend the City Council direct
staff to formally initiate the unsafe building declaration process as laid out in MN Rule
1300.0180, which states:
'A building orstructure regulated by the code is unsafe, for the purposes of this part
if it is a fire, electrical, or health hazard, or otherwise dangerous to human life...." All
unsafe buildings, structures, or appendages are public nuisances and must be abated
by repair, rehabilitation, demolition, or removal according to MN Statute 463.15-.26.
Previous City Council Discussion and Action
The matter was brought before the City Council for review and discussion at its November
12, 2019 meeting. The property owner was notified of the meeting but did not attend. The
City Council approved Resolution No. 19-82 to proceed with preparation of required
documents to commence the abatement of the hazardous building conditions to be brought
back for consideration at an upcoming meeting. Members are advised that the property
owner was notified by certified and first class mail on November 27, 2019 about the City
Council's action to proceed with an abatement action. To date, no response has been
received.
9�82
Owner Notification
The property owner was provided notice of the Tuesday, January 14, 2020 City Council
meeting and request for City Council action for abatement by email on Thursday, January 9,
2020.
Requested Action
The City Attorney has prepared a draft resolution to order the abatement of hazardous
building conditions at 1720 Resthaven Lane, as provided by Minnesota Statutes, sections
463-415 to 463-26 for consideration. Staff recommends approval.
-91 -
CITY OF MOUND
RESOLUTION NO.
RESOLUTION ORDERING THE ABATEMENT OF A HAZARDOUS
BUILDING LOCATED AT 1720 RESTHAVEN LANE IN THE CITY OF MOUND
WHEREAS, the real property located at 1720 Resthaven Lane, Mound, Minnesota,
legally described on Exhibit A attached hereto, Hennepin County PID 13-117-24-11-0121 (the
"Property"), contains a single-family dwelling (the `Building"); and
WHEREAS, the Property is owned by Rock Rehab Inc., a Minnesota business
corporation; and
WHEREAS, Steven Roxberg (the "Owner") is the registered Chief Executive Officer of
Rock Rehab Inc.; and
WHEREAS, the Building is currently unoccupied; and
WHEREAS, on January 25, 2019, the Mound Fire Department responded to a house fire
at the Property, resulting in significant damage to the Building, including destroying much of the
roof; and
WHEREAS, on February 6, 2019, based on the condition of the Building following the
fire, a building official for the City of Mound (the "City") completed a visual inspection of the
exterior of the Building and noted the following:
(1) The front door and a window were covered by plywood; and
(2) There appeared to be a tarp over the whole roof, and
(3) The upper level siding was missing and there were visible holes in the sheathing.
WHEREAS, on April 2, 2019, the City Building Official sent a letter to the Owner
requesting a site inspection to be scheduled to identify the extent of the damage caused by the
fire to the Building and revoking the Certificate of Occupancy for the Building until said
inspection has occurred. On April 5, 2019, a "Do Not Occupy" placard was placed on the
Building by the City's Building Official; and
WHEREAS, having received no response from the Owner, a second letter was sent on
April 30, 2019, to the Owner from the City's Building Official requesting a site inspection to be
scheduled to identify the extent of the fire damage to the building and reiterating that the
Certificate of Occupancy has been revoked and a "Do Not Occupy" placard was previously
placed on the Building; and
WHEREAS, the Owner responded to the City's second request for a site inspection by
letter dated May 8, 2019, stating that the Building was secure and being maintained and that the
Owner was in the process of figuring out if he will rebuild, add on or tear down the Building and
once that was determined he would bring the plan to the City; and
631425v2MU200-206
-92-
WHEREAS, on May 20, 2019, the City's Building Official sent a third letter to the
Owner acknowledging his May 8, 2019 letter, but noting that a site inspection is still required to
determine the extent of the fire damage and whether the building is unsafe, dangerous or
hazardous as defined by statute; and
WHEREAS, on June 19, 2019, the City's Building Official sent a fourth letter to the
Owner again requesting access to the Building for a site inspection to determine the extent of
damage from the fire and whether the building was unsafe, dangerous or hazardous; and
WHEREAS, on July 12, 2019, the Owner sent an email to the City's Community
Development Director stating that he was in in the process of hiring someone to take down the
Building and asking if it is possible to split the Property into two lots. The City communicated to
the Owner on the same day that the Property was zoned for Single Family Residential and that
the Property did not meet the requirements to subdivide the lot; and
WHEREAS, on August 2, 2019, the City's Community Development Director reached
out to the Owner via email to request an update on the plans for the Building and requested
permission to inspect the Building due to the amount of time it had been since the fire damage
occurred and the concern about deteriorating and possible hazardous conditions of the Building
as a result; and
WHEREAS, on September 23, 2019, based on the Owner's lack of response to previous
communications, the City's Building Official sent a letter to the Owner requiring an inspection
of the Building and a written timeline of the steps that will be taken to repair, rehabilitate,
demolish, or remove the Building by October 11, 2019, or this Building will be included in the
next meeting agenda of the City Council for determination of next steps; and
WHEREAS, after the Owner failed to take any action by the City's October 11, 2019
deadline, the City provided the Owner with another letter dated November 4, 2019, declaring the
Building unsafe to enter and therefore a hazardous property under Minnesota Statute, section
463.15, subdivision 3. Based on this declaration, the Owner was notified that at the next City
Council meeting the City's Building Official would recommend proceeding with a hazardous
building action to remove the Building and assess costs to the Property. The Owner was notified
that the meeting was scheduled for November 12, 2019; and
WHEREAS, the City Council, at its November 12, 2019 meeting, approved Resolution
No. 19-82 to authorize proceeding with a hazardous building action to abate conditions on the
property to be brought back to a future City Council meeting for action; and
WHEREAS, the City of Mound, on November 27, 2019, notified the Owner by Certified
Mail and First Class Mail of the City Council's action at its November 12, 2019 meeting to
authorize proceeding with a hazardous building action; and
2
631425v2MU200-206
-93-
WHEREAS, as of January 9, 2019, the City of Mound has received no response from the
Owner; and
WHEREAS, the Owner has taken no steps to abate the hazardous conditions of the
Building; and
WHEREAS, City staff has exhausted its efforts attempting to accommodate the Owner
and has significant concerns about the hazardous conditions of the Buildings; and
WHEREAS, the City has communicated its intent to the Owner that if he failed to
comply with the applicable City and State building codes, the City would institute a hazardous
building action; and
WHEREAS, Minnesota Statutes, section 463.15, subdivision 3 defines a "hazardous
building or hazardous property" as "any building or property, which because of inadequate
maintenance, dilapidation, physical damage, unsanitary condition or abandonment, constitutes a
fire hazard or a hazard to public safety or health"; and
WHEREAS, Minnesota Statutes, sections 463.16 and 463.17 authorize the governing
body of any city or town to order the owners of any hazardous building within the municipality
to correct or remove the hazardous conditions; and
WHEREAS, Minnesota Statutes, section 463.161 et seq. authorizes a city to correct or
remove a hazardous condition of any hazardous building if the owner of record fails to do so
after a reasonable time and the district court enters a judgment sustaining the city's order; and
WHEREAS, Minnesota Rules, part 1300.0180 defines a building as unsafe "if it is
structurally unsafe, not provided with adequate egress, a fire hazard, or otherwise dangerous to
human life" and further expressly provides that all unsafe buildings are public nuisances that
"must be abated by repair, rehabilitation, demolition, or removal according to Minnesota
Statutes, sections 463.15 to 463.26"; and
WHEREAS, to date, the Owner has failed to take the steps necessary to abate the
hazardous conditions of the Building and has failed to cooperate with City Staff in response to
the City's enforcement efforts; and
WHEREAS, based on the information presented, the City Council finds that the
condition of the Building is both hazardous and unsafe and, therefore, must be abated in
accordance with applicable state and local laws.
631425v2MU200-206
-94-
NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of Mound
as follows:
1. The City Council adopts, as factual findings, all of the above recitals.
2. The Building located on the Property is hazardous, as that term is defined by Minnesota
Statutes, section 463.15, and unsafe, as that term is defined by Minnesota Rules, part
1300.0180.
3. The City Attorney is authorized and directed to prepare an abatement order substantially
similar to that attached hereto as Exhibit B.
4. The City Attorney is authorized to take all necessary legal steps to effectuate service of
this resolution and the corresponding abatement order in the manner required by law.
5. The City Attorney, along with City Staff and the City's Building Official, is further
authorized to take all necessary legal steps in order to secure compliance with the
abatement order and may effectuate the removal of the Building or otherwise abate the
hazardous conditions on the Property by either agreement with the Owner or by court
order and subsequently assess the costs thereof against the Property in accordance with
law.
Adopted by the City Council this 10 day of January, 2020.
ATTEST:
Catherine Pausche, City Clerk
CITY OF MOUND
Raymond J. Salazar, Mayor
4
631425v2MU200-206
-95-
EXHIBIT A
Legal Description
The Southeasterly 38 feet of the Southwesterly 35 feet of Lot 5;
The Southwesterly 35 feet of Lot 6
Lot 26 and
The Southeasterly 38 feet of Lot 27,
Block 5, "Shadywood Point, Hennepin County, Minn."
A-1
631425v2MU200-206
•m
EXHIBIT B
Abatement Order
STATE OF MINNNESOTA
COUNTY OF HENNEPIN
DISTRICT
In the Matter of the Hazardous
Buildings Located at 1720 Resthaven Lane,
Mound, Minnesota
TO: All owners, occupants, and lienholders of record.
DISTRICT COURT
FOURTH JUDICIAL
Case Type: Other Civil
ORDER FOR ABATEMENT OF
A HAZARDOUS BUILDING
The City Council of the City of Mound (the "City") orders that within 30 days of service
of this Order you abate the hazardous conditions which currently exist on the property located at:
1720 Resthaven Lane, Mound, Minnesota, Hennepin County PID 13-117-24-11-0121, which
property is legally described on Exhibit A attached hereto (the "Property"). As further detailed
herein, abatement shall occur by either (1) razing (demolishing) the hazardous buildings, or (2)
carrying out in full the list of items outlined below.
The City of Mound, pursuant to Minnesota Statutes Sections 463.15 to 463.261, finds the
building located at the above -referenced property constitutes a hazardous building within the
meaning of Minnesota Statutes Section 463.15 subdivision 3, specifically due to the structural
deficiencies and defects, the poor condition of the exterior, the missing roof, the water intrusion
throughout the interior from putting out the fire, and the overall condition of the structure.
Pursuant to the above -referenced statutes, it is hereby ORDERED that you abate the
hazardous property conditions within 30 days of the date of service of this Order by either:
B-1
631425v2MU200-206
-97-
Demolition to include the following:
1. Obtain permits to include the submittal of all required information to undertake a
demolition project; and
2. Complete removal of the hazardous buildings; and
3. Remove all water damaged, wetted materials, debris, junk, and miscellaneous
contents from the Property; and
4. Reestablishment of all suitable ground cover.
Repair of the structure to include the following:
1. Allow the City's Building Official to inspect the interior of the property to
identify all code violations and provide a list of all interior deficiencies that will
need to be remedied; and
2. Obtain permits and begin work on needed interior repairs according to the City's
Building Official's assessment; and
3. Remove all water damaged and wetted materials from the Property; and
4. Replace all rotten boards on the exterior of the house; and
5. Repair and/or replace all siding and exterior sheathing with holes; and
6. Repair and/or replace missing and deteriorated siding; and
7. Repaint existing siding that is in fair condition; and
8. Ensure roof and flashing are sound, tight, and have no defects to admit water
intrusion into the dwelling, including replace roofing that was destroyed by fire
damage; and
9. Repair all cracks and holes in the walls and ceilings of the dwelling; and
10. Repair or replace all windows and doors that are in poor condition and not
weather tight; and
B-2
631425v2MU200-206
•O
11. Repair and secure all faulty and unsafe electrical wiring throughout the dwelling;
and
12. Interior walls of the dwelling need to be finished including but not limited to
adding proper insulation and interior finish; and
13. Test for mold and remediate any mold present in the dwelling.
You must apply for and obtain any appropriate permit(s), if applicable, for the work you
intend to perform from the appropriate City offices before abating the hazardous conditions.
This Order is not a permit. Further, all work completed is subject to inspection by the City's
building inspector, fire inspector, and other staff as required to ensure compliance with
applicable rules and law.
You are further advised that unless such corrective action is taken or an Answer is served
on the City and filed with the Hennepin County District Court Administrator within 20 days of
the date of service of this Order upon you, a motion for summary enforcement of this Order will
be made to Hennepin County District Court.
You are further advised that if you do not comply with this Order and the City is
compelled to take any corrective action, all necessary costs incurred by the City in taking the
corrective action will be assessed against the property pursuant to Minnesota Statutes Section
463.21. In connection thereto, the City intends to recover all its expenses incurred in carrying
out this Order, including specifically but not exclusively, filing fees, service fees, publication
fees, attorneys' fees, appraisers' fees, witness fees, including expert witness fees and traveling
expenses incurred by the City from the time this Order was originally made pursuant to
Minnesota Statutes Section 463.22.
B-3
631425v2MU200-206
Dated January , 2020. KENNEDY & GRAVEN, CHARTERED
631425v2MU200-206
Abby J. Jacobson (#0397069)
Troy J. Gilchrist (#0228849)
470 U.S. Bank Plaza
200 South Sixth Street
Minneapolis, MN 55402
(612) 337-9300
ATTORNEYS FOR THE
CITY OF MOUND
C
-100-
EXHBIT A
Legal Description
The Southeasterly 38 feet of the Southwesterly 35 feet of Lot 5;
The Southwesterly 35 feet of Lot 6
Lot 26 and
The Southeasterly 38 feet of Lot 27,
Block 5, "Shadywood Point, Hennepin County, Minn."
B -A-1
631425v2MU200-206
-101 -
CITY OF MOUND
RESOLUTION NO. 20 -XX
RESOLUTION APPOINTING ABSENTEE BALLOT BOARD FOR 2020
WHEREAS, Minnesota State Statutes 2038.121 states that the governing body of a municipality
with responsibility to accept and reject absentee ballots must, by ordinance or resolution,
establish a ballot board consisting of a sufficient number of election judges trained in the
handling of absentee ballots; and
WHEREAS, the ballot board may include staff trained as election judges,
NOW, THEREFORE BE IT RESOLVED that the City Council of the City of Mound, Minnesota,
hereby appoints an Absentee Ballot Board as provided in Minnesota State Statutes 20313121.
BE IT FURTHER RESOLVED that it has been determined, based on the number of absentee
ballots cast in the primary and general elections of 2016 and 2018, that five staff members, from
the City of Mound, is a sufficient number for the absentee ballot board,
BE IT FURTHER RESOLVED that the members of the Absentee Ballot Board for the
Presidential Nomination Primary, State Primary and General Election are hereby named as
Kevin Kelly, Jennifer Holmquist, Andrew Drilling, Collette Roberts and Catherine Pausche.
Adopted by the City Council this 14th day of January, 2020.
Attest: Catherine Pausche, Clerk
-102-
Mayor Raymond J. Salazar
n
=J:eer�au�
PUBLIC MEETING NOTICE
NOTICE IS HEREBY GIVEN that the Mound City Council
will hold the following special meetingstrescheduled
regular meetings in 2020:
Centennial Buildina. 5341 Maywood Road, Mountl, MN 55364
Concurrent Special Meeting Workshop Mound
Planning Commission and City Council
Tuesday, February 18, 2020 at 7:00 pm
Special Meeting Workshop - Supervisors' Annual
Reports to the City Council and Long Tenn
Financial Plan
Tuesday, April 21, 2020 at 6:30 pm
Regular City Council Meeting Scheduled for
Tuesday, August 11, 2020 RESCHEDULED to
Wednesday, August 12, 2020 at 7:00 pm due to
Primary Election
Special Meeting Workshop - 2021 Budget and
Long Tenn Financial Plan Tuesday,
October 20, 2020 at 6:30 pm.
Catherine Pausche
Cry Clerk
Posted 01 /1520
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IT
yf Wlne 8 Splrlfs
TOTAL - December 302,024
FIRST QTR
SECOND QTR
THIRD QTR
October'
November
December
TOTAL - Year to Data
' No fall wine sale in 2019
DECEMBER 2019 VS 2018
SALES
DATE
790,911
CUSTOMERS
'19
'18
119
Saturday
119
1
+/-
Sunday
1
2
4,682
Monday
2
3
5,458
Tuesday
3
4
5,094
Wednesday
4
5
5,577
Thursday
5
6
16,263
Friday
6
7
11,460
Saturday
7
8
13,007
Sunday
8
9
5,965
Monday
9
10
5,323
Tuesday
10
11
5,304
Wednesday
11
12
5,745
Thursday
12
13
6,662
Friday
13
14
14,928
Saturday
14
15
13,274
Sunday
15
16
5,451
Monday
16
17
5,251
Tuesday
17
18
6,976
Wednesday
18
19
7,595
Thursday
19
20
9,468
Friday
20
21
14,406
Saturday
21
22
17,595
Sunday
22
23
9,950
Monday
23
24
20,572
Tuesday
24
25
17,430
Wednesday
25
26
6,444
Thursday
26
27
6,845
Friday
27
28
9,870
Saturday
28
29
9,864
Sunday
29
30
6,282
Monday
30
31
9,491
Tuesday
31
6%
26,236
TOTAL - December 302,024
FIRST QTR
SECOND QTR
THIRD QTR
October'
November
December
TOTAL - Year to Data
' No fall wine sale in 2019
DECEMBER 2019 VS 2018
SALES
628,062
790,911
CUSTOMERS
881,242
AVERAGETICKET
'18
+/-
119
'18
+/-
119
118
+/-
13,670
-1%
10,962
530
24
5%
26
28
5,114
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211
259
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22
20
12%
5,096
7%
278
252
10%
20
20
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4,891
4%
240
274
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21
18
19%
4,407
27%
232
238
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24
19
30%
15,632
4%
474
475
0%
34
33
4%
12,724
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455
495
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25
26
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13,239
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452
491
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29
27
7%
5,354
11%
247
264
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24
20
19%
5,047
5%
238
257
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22
20
14%
5,722
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253
272
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21
21
0%
4,609
25%
258
238
8%
22
19
15%
6,444
3%
292
312
-6%
23
21
10%
13,263
13%
512
501
2%
29
26
10%
13,904
-5%
453
502
-10%
29
28
6%
6,192
-12%
243
286
-15%
22
22
4%
5,398
-3%
233
236
-1%
23
23
-1%
6,799
3%
268
289
-7%
26
24
11%
7,626
0%
306
313
-2%
25
24
2%
9,735
-3%
323
356
-9%
29
27
7%
18,356
-22%
522
599
-13%
28
31
-10%
20,009
-12%
523
598
-13%
34
33
1%
15,241
-35%
310
453
-32%
32
34
-5%
20,578
0%
610
618
-1%
34
33
1%
534
33
7,871
332
24
6,596
4%
293
302
-3%
23
22
7%
11,021
-10%
413
428
-4%
24
26
-7%
12,022
-18%
375
438
-14%
26
27
-4%
8,175
-23%
276
341
-19%
23
24
-5%
21,594
-56%
328
732
-55%
29
30
-2%
810
32
306,329
-1.41%
10,962
11,681
-6.16%
28
26
5%
622,008
628,062
790,911
781,129
881,242
868,398
239,562
253,217
264,302
250,909
302,024
306,329
3,100,049
3,088,044
-1%
27,488
28,557
1%
33,111
33,856
1%
36,474
31
-5%
10,572
11,116
5%
10,559
10,506
-1%
10,962
11,681
0% 129,166 132,392
-4%
23
22
3%
-2%
24
23
4%
-1%
24
24
3%
-5%
23
23
-1%
1%
25
24
5%
-6%
28
26
5%
-3%
24
23
3%