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2022-04-19 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 AGENDA MOUND CITY COUNCIL TUES, APRIL 19, 2022 — 6:30 PM ANNUAL REPORTS WORKSHOP lff MOUND CITY COUNCIL CHAMBERS Page 1. Call Meeting to Order 2. Approve the Agenda 3. Supervisors' Annual Reports to the City Council A. Orono Police Department — Police Chief Correy Famiok 1 - 15 B. Finance & Administrative Services — 16 - 50 Administrative Services Director Catherine Pausche i. Ordinance and Policy Drafts a. ORD -2022: Amend Chapter 78 Sec. 78-103 (b) 19 - 20 Length of temporary visitors permit for Dock Program b. ADMIN-XXX: City Participation in Lake Management Projects 21 - 32 c. ORD -2022: Amend Chapter 54 Sec. 54-49 (b) Operating 33 - 34 hours for garbage collection vehicles ii. Marketing and Communications 35 - 43 iii. Recycling Program 44 - 47 iv. Municipal Liquor Store 48 - 50 C. Fire Chief Greg Pederson: i. Fire & Rescue/Emergency Response 51 - 97 ii. Emergency Management 98 - 129 D. Community Development/Planning/Zoning/Building Inspections — 130 - 134 Community Development Director Sarah Smith E. Public Works Superintendent Ryan Prich & City Manager/PWD Eric Hoversten: i. Public Works (Parks) Operations 135 - 148 ii. Capital Improvement Plan Update 149 - 154 F. Wrap-up by City Manager Eric Hoversten 155 - 161 4. Adjourn Email: pdwebpolice@ci.orono.mn.us Website: www.oronopolice.org Facebook.com/oronopolicedepartment or Twitter@ pol iceorono Non -Emergency: 952-258-5321 Administration: 952-249-4700 2730 Kelley Pkwy, Orono, MN 55356 - 1 - TABLE OF CONTENTS COMMUNITY OUTREACH 3 National Night Out 3 Firearm Safety 3 Visit with Santa 4 Polar Plunge 4 POLICE PROGRAMS Umanned Aerial Vehicles (UAV) Prog Community Service Dog Body Camera Program D.A.R.E Explorers Lake Minnetonka SWAT Mobile Field Force 5 CRIME AND ACTIVITY REPORTING 9 Activity Summary Group A Crimes Statistical Analysis Comparison Supplemental Reporting Crime Trends INVESTIGATIONS SUMMARY WEST METRO DRUG TASK F PERSONNELCHANGES New Officers Retirements 11 13 14 5 6 6 7 7 7 8 9 9 10 10 10 14 14 -2- COMMUNITY OUTREACH Our police department takes pride in serving our communities. We deeply appreciate our partnerships with everyone. We were grateful to get back together and be able to participate in a few more community events than was possible in 2020. Here are just a few of the highlights. National Night Out There were 28 organized parties around our community this year and we had 6 teams of police officers and reserves that visited each one. It's a great time for residents to connect and communicate with our officers and to strengthen neighborhood partnerships. The squad car and fire truck tours are always a hit with the kids too and are sure to put smiles on the faces of both the kids and officers. Firearm Safety In August 2021, we conducted a DNR Firearm Safety course for the third year. Instructors from Orono PD partnered with the MN DNR and Chunks Automotive service to provide youth with a complete safety course. Students ages 11 and older attended a classroom -based firearms certification course where they learned how to handle firearms safely, responsibilities of a hunter and wildlife conservation. They participated in a Field Day where they exercised their knowledge in scenario -based training. Each student finished the course with a final exam and received a firearms safety certificate. It was a great class again this year and a very positive experience for all. Four basic rules of firearm handling: Treat each firearm as if is loaded W Always control the muzzle of your firearm Be sure of your target and what is beyond Keep your finger off the trigger and outside the trigger guard until ready to shoot -3- Visit with Santa Thankfully our officers were once again able to make a visit with Santa Claus to enjoy an evening of holiday cheer with the residents of Presbyterian Homes on Lake Minnetonka, Orono Woods, Trails of Orono and Harrison Bay. This is always a highlight of our holiday season as we all enjoy visiting and connecting with these residents. We're not sure who appreciates the visit more! As always, Santa spread much happiness to all the good boys and girls! Special Olympics Polar Plunge We took a dive into the freezing waters of Lake Minnetonka again as officers, family members, city councilmembers and other friends joined together as team Frozen Copsicles for the Polar Plunge. All funds raised by the participating teams go to help Special Olympics Minnesota in their support of thousands of athletes across the State. Thanks to this brave team of 13 members and their supporters, $5,820 was raised for Special Olympics. POLICE PROGRAMS Unmanned Aerial Vehicles (UAV) Program This program was developed in 2020. The UAV's provide us with better capabilities when searching an area for a lost or missing person along with a larger safety margin when dealing with critical incidents. The UAV was deployed without a search warrant 57 times in 2021. The reasons for a UAV deployment without a search warrant allowed by statute are provided below: Reason Code Reason 1 During or in the aftermath of an emergency situation that involves the risk of death or bodily harm to a person 2 Over a public event where there is a heightened risk to the safety of participants by bystanders 3 To counter the risk of a terrorist attack by a specific individual or organization if the agency determines that credible intelligence indicates a risk 4 To prevent the loss of life and property in natural or man-made disasters and to facilitate operational planning, rescue, and recovery operations in the aftermath of these disasters 5 To conduct a threat assessment in anticipation of a specific event 6 To collect information from a public area if there is reasonable suspicion of criminal activity 7 To collect information for crash reconstruction purposes after a serious or deadly collision occurring on a public road 8 Over a public area for officer training or public relations purposes For purposes unrelated to law enforcement at the request of government entity provided 9 that the government entity makes the request in writing to the law enforcement agency and specifies the reason for the request and proposed period of use The date of deployment and the reason code are required to be submitted to the BCA UCA Data Collecting Unit each year. The following are the number of times and the reason code for each deployment reported by our agency in 2021: Reason Code Number of Deployments 1 9 6 6 8 42 "All other reason codes = 0 -5- Community Service Dog Similar to the year prior, Xerxes contact with many was severely hindered due to issues pertaining to COVID-19. Normal routines were still impacted for him, but he would lend a hand when he could. By the summer months, Xerxes was able to get back to a bit of a routine in his community visits. He frequented the Orono Dog Park, making more connections with both humans and canines. Multiple times a week he would pay outdoor visits to our senior centers, park, and playgrounds. This allows for simple conversations that our officers can have with community members, which help tremendously in furthering their confidence with the Orono Police Department. Many police departments across Minnesota still contact Orono as a leading agency that has integrated a Community Service/Therapy type dog into their department ranks. Xerxes' impact is a difficult one to quantify as a statistic. As with much in law enforcement, you rarely hear of our successes. We are fortunate to have our donors that help support this program and keep it something organic and growing. Xerxes primary handler was recently assigned to investigations where there is potential for a new set of roles and persons to have impact with. This new shift work for Xerxes opens up more opportunities for his other handlers to continue in generating positive police contacts in our schools and communities. Xerxes can be found most days perched by the front door of the police department, greeting anyone who should come to our doors. Body Worn Cameras In July 2021, the Orono Police Department implemented the use of body worn cameras. These are small devices that record interactions between law enforcement and citizen contacts. There are several benefits regarding the use of these recording devices, some of which include increased public confidence in policing, a reduction of complaints and allegations made against police officers, and evidentiary value. M D.A.R.E The Mound Westonka DARE program involves all 1st, V and 6th grade students. It is a 6- week course and begins in January. Students are instructed in a variety of safety courses seeking to prevent the use of drugs, involvement in gangs and violent behavior. With COVID- 19 still a factor, causing kids to be distance learning for portions of 2021, the DARE program was conducted online. Orono's DARE instructor created 10 videos with 10 games attached for the students to play and answer questions. They also completed a project this year instead of the typical essay as the last assignment. Explorers On June 26, 2021, the Orono Police Explorers participated in a state wide explorer competition. They had a chance to compete in six different events throughout the day. Only the top three teams from each event were acknowledged for an award. This was the first competition the group of 4 explorers had ever competed in together and they did exceptionally well. Our explorers won first place in burglary, domestics and traffic and second place in interviewing and crashes. Lake Minnetonka SWAT The Lake Minnetonka SWAT Team consists of officers from the Lake Minnetonka area to include, Orono, South Lake, Minnetrista and West Hennepin Public Safety. SWAT members train monthly, putting in 36 hours in 2021 and continue to train with other metro SWAT teams at Camp Ripley for three days during the annual MTOA Training Conference. The Lake Minnetonka SWAT Team currently has 11 members who continue to train for high risk and dangerous situations that are beyond the normal scope of a typical patrol response. Members use scenario based training to become more effective in dealing with situations such as armed barricaded subjects, hostage rescue, active shooter, and high risk warrants. -7- Mobile Field Force Following the Minneapolis riots in the summer of 2020, the west metro police chiefs collectively created the West Command Mobile Field Force (WCMFF). WCMMF was created to protect life and property during times of civil unrest in the west metro. The mobile field force concept is used all around the country. The Orono Police Department has two officers who received mobile field force training and are serving on the WCMMF. The officers were deployed with WCMMF to provide security to the Brooklyn Center Police Department during the civil unrest following the Officer Kim Potter fatal shooting of Daunte Wright. The WCMMF was utilized for approximately 10 days following the shooting. WCMMF was also deployed the day the verdict was expected in the Officer Derek Chauvin and Officer Kim Potter trials. Officers in the mobile field force were often deployed and staged in areas in the west metro in order to quickly respond to areas of civil unrest. The goal was to allow for peaceful protest while attempting to preserve life and property during times of civil unrest. CRIME AND ACTIVITY REPORTING Activity Summary 306 Investigative Cases 111 Theft Cases 46 Assaults 214 Department Arrests 25 Fraud/Forgery 18 Criminal Sexual Conduct 31 Death Investigations 17 Motor Vehicle Thefts 1 CVO (1 resulting in death) 14 Referred Vulnerable Adult Cases 13 Burglary Cases 1 Arson 204 Handgun Permit to Purchase 1 Robbery Cases 0 Homicides Part I / Group A Crimes 70 60 50 40 30 20 10 0 Homicide Rape Robbery Agg Assault Burglary Theft M. ■Mound ■Orono ■Spring Park ■MtkaBeach Q Statistical Analysis Comparison of 2020 and 2021 Part I - Group A Crimes 2020 2021 % Change Homicide 0 0 0% Rape 7 10 30% Robbery 1 1 0% Aggravated Assault 9 7 - 22% Burglary 21 13 - 38% Theft 99 111 11 % Motor Vehicle Theft 4 17 76% Arson 0 1 100% Total 141 160 12% Supplemental Reporting Reported as a pursuit by a peace officer of a fleeing suspect in a motor vehicle. Pursuits 2019 2020 2021 3 1 6 In 2021, we experienced a significant increase in motor vehicle thefts. This was a trend that spread Metro -wide. Vehicles were usually left unlocked with keys inside. In some incidents, this also coincided with home -invasion burglaries. Suspects were entering vehicles and occupied dwellings either by force or non -force and stealing purses, keys, cell phones, and other items. Once they retrieved the keys, they would then steal the vehicle(s). Through investigation and collaboration with other local police agencies, groups of these individuals involved in these crime sprees were identified and prosecuted. "Don't make your vehicle an easy target. Lockyourdoors, removeyour keys, close your windows completely, park in well -lit areas. n l ICB National Insurance crime Bureau -10- INVESTIGATIONS SUMMARY Robbery Victim met a party in Golden Valley where he sold his vehicle. The victim got a ride back to his residence in Spring Park, where the male party pulled a gun and took the money that the victim received for selling his vehicle. Through investigations, Orono Police were able to identify the male party. The case is pending disposition. Criminal Vehicular Homicide A single vehicle crash in which the driver was impaired and driving at a high rate of speed, took the lives of two young men, ages 20 and 24 years old. The 51-year-old driver sustained critical injuries and was later arrested and booked on charges of criminal vehicular homicide into the Hennepin County Jail. The Hennepin County Attorney's Office issued a formal complaint and added 3rd degree murder changes as well. The case is set for trial. Burglary (Occupied Dwelling) Suspects used force and entered an occupied residential home where they took valuables and then gained access to the garage and stole the homeowner's two vehicles. The homeowners and their children were sleeping during the incident. Orono PD investigators, along with other metro area law enforcement agencies were able to identify the suspects. They were charged in this case, as well as other cases in the metro. One suspect who was a juvenile, but tried as an adult, received an 88 month sentence and was ordered to pay restitution to the multiple victims. Arson Orono police responded to a call of a mental health issue. It was reported that an individual had used gas and candles, setting the home on fire. They arrived and found two individuals in the driveway. The interior of the house was checked by officers and no one else was found inside. A small dog was still inside, but unfortunately was not located. The two individuals were transported for non -life threatening injuries. The case was submitted to the Hennepin County Attorney's Office for possible charges. - 11 - Theft Catalytic converter theft was a popular trend in all of the metro area over the year. Multiple incidents of this crime occurred in our jurisdiction. In one case, the suspects were caught on camera, identified and charged. The case is pending Criminal Sexual Conduct Orono Police took a report of criminal sexual conduct that occurred over a period of time. The victim had videos of the criminal acts by her ex -boyfriend. The case was sent in for charging and the charges as pending until the suspect can be located. Theft by Swindle The victim sold a motorcycle to the suspect to find out that the cashier's check as fake. Orono investigators identified the suspect, who turned out to be the brother of the name on the fake check. OPD learned that three other agencies are trying to locate this suspect for similar crimes in their jurisdictions. In our case, Orono investigators were able to locate the stolen motorcycle and charge the suspect with multiple felonies. Drug Overdose Officers received a call of an individual not breathing and when they arrived on scene it was clear that the individual had passed away. This person had recently been in rehab for drug addiction but had left a week prior. Drug paraphernalia and items with narcotics residue were located near where the victim had been found. The cause of death was later determined by the medical examiner's office to be accidental with a fentanyl / methamphetamine overdose **In total for 2021, officers responded to 11 drug overdose calls. One fatality and 10 incidents in which the victim survived. Officers administered NARCAN in seven of these incidents. NARCAN is a prescription medicine used to reverse the effects of a suspected opioid overdose. -12- WEST METRO DRUG TASK FORCE Collaborative Partnership The West Metro Drug Task Force (WMDTF) is a multi -agency coordination of drug enforcement in our communities. They work to reduce the supply of illegal narcotics and curb the criminal activity that is associated with drug abuse. The WMDTF is comprised of officers, deputies and sergeants from the Orono Police Department, Medina Police Department, Minnetrista Public Safety, West Hennepin Public Safety and the Hennepin County Sheriff's Office. 2021 Statistics The WMDTF had a successful year in seizing large quantities of illegal narcotics and confiscating guns and removing them from the streets in our communities. Search Warrants................110 Arrests ............................... 55 Guns.................................. 31 Charges ........................... 51 Meth ................................ 104.5 Ibs Cocaine ........................... 112 Ibs Heroin ........................... 13.2 Ibs Marijuana ...................... 153 Ibs Wax ................................ 5.7 Ibs MJ Edibles ...................... 196 Ibs THC Cartridges ................4479 -13- PERSONNEL CHANGES New Officers Collin Hennessy came to us from the Carver County Sheriff's Office where a 4- he spent almost four years on patrol working primarily in Chaska, Carver and *'- Waconia. He was on the SWAT team, an instructor for the firearm's range and use of force and was also a field training officer. We appreciate the experience he brought. He's been a great asset to our department. di Tim Wessels is our newest part-time police officer. He is a full-time firefighter and paramedic for the Oakdale Fire Department. He also previously worked for the Washington County Sheriff's Office. Tim has been a great addition to our patrol division and department. We are proud to have both Collin and Tim join OPD. Retirements Officer Bill Persell retired from the Orono Police Department on January 30, 2021. Bill had been with our department for more than 26 years and has a total of 36 years as an officer. Bill had trained, assisted in training, mentored and covered shifts for many fellow officers. He was a tremendous asset to the department. We appreciate all his years of service and everything he did for our department and the community. Officer Jami Wittke retired in December of 2021. Jami has served our communities since 1999. She previously worked for the Mound Police Department until 2013 when she came to Orono. Jami was a patrol officer, an investigator and served on the West Metro Drug Task Force. Throughout her career, Jami built many valuable relationships with her partners in and outside of our department and far-reaching community partnerships as well. -14- 15 The members of the Orono Po/ice Department are committed to providing the highest quaiitypoiicing through faimess, service and pride. To foster this ideal, we promise to workin partnership with the communities we serve. Finance and Administrative Services Annual Report I. Organization Chart/FTE Comparison FINANCE 8 ADMINISTRATIVE SERVICES Catherine Pausche (.75 FTE) HR, Communications, IT, ProcuremeM/COMracts FINANCE ADMIN OFF Noah Iverson Kevin Kelly SALE Collette Roberts 25 Admin (Jen) LIQUOR Accounting, Elections, Official �r Investing, Risk Records/Data Ron Gust Management, Practices, I/T, Reporting, H/R, Legal Asst Budget, Capital Publications, Store Planning, Dock Admin, Leaders AudiUlnternal Website, (2x.7FTe) Controls, Debt, Communi_______c ,,,,,,,__„�,_ations Lead Payroll, Cemetery, Clerks Accounts ProcuremenU Payable, Utility Contracts, Clerks Billing, Assmts Licenses Mound 2008 2022 % Chenge Minneirista Orono Finance &Admin (excl. City M¢r/incl. 25%len) FTEs 7.4 4 Salaries 415,616 Outstandin8 Bonds as of 12/31/20 2n22 Tax Rate 386,419 $48.SM -46% -7 4n2� Victoria $21.4M $72M $26.SM 23.10 16.82 Finance Department Accomplishments —Annual Levy and Budget: 5.00%overall levy increase approved to build capital reserve funds and reduce future reliance on debt. —Bonds: Since 2011, refunding bonds achieved over $3.9M in interest savings without lengthening terms. Ixi 202, the City issued $4.335M in bonds for the sewer fund to be repaid with tax levies in order to provide utility rate relief. — LTFP —The Council approved a format for the next 10+ years that will incorporate planning for the next generation of streets and infrastructure, facilities maintenance and renewal, equipment, staffing and community amenities. —Technology: 2015: Network and switches upgrade, moved to Outlook 365. 2016/17: Moved to VoIP phone system. 2019: Council Chambers video recording equipment upgrade. 2021: Website upgrade. -16- — Human Resources/Benefits: moved from large group to small employer health insurance market in 2017 and settled the 2021-23 Collective Bargaining Agreement. —Procurement— Switched banks in 2021 that is estimated to save $15K+ in bank fees. Renewed curbside recycling with Republic, Gillispie Center contact sunset, Efforts underway, goals and needs: — Long Term Financial Plan — is a living document and will need to be continuously updated for changes in assumptions and as we develop more detailed inventories and needs assessments and adjust to changes in the environment. — RFQ for banking services, curbside recycling, leaf drop off, — Contracts: Gas/Electric Franchise sunset 12-31-25 unless renewed 6 mos prior. — Process improvement — eliminate redundancies in data entry and filing and any unnecessary bureaucracy in rules and regulations, digitize records Note: Financial performance covered during annual audit presentation and budget discussions. City Clerk Accomplishments - Managed the record retention schedule and conducted a shred day Efforts underway, goals and needs: — Formalize procedures, develop task lists to ensure proper accountability and develop naming and format conventions to help ensure consistency across the organization and eliminate redundancy. — Expand public access to official records and property information via web portal (weblink). — Compile City Policy Manual that will incorporate all individual department policies into one manual — Continue digitization of official records in the Laserfiche repository. — Determine what to do in the next phase of the cemetery to provide for long-term sustainability — Staff directed to study platting plots vs. Columbiums for ash burials only, entry beautification. Dock Administration Accomplishments — 247 applicants on waitlist in 2022 — Additional canoe/kayak storage rack added. — Grandfathered in existing shares, allow shares for only wait list applicants in the top 40 and create a minimum number of years a Woodland Point licensee must stay in dedicated commons before taking spot in regular program — Implemented new multiple slip complex at Idlewood — Adjusted fees, change code for Artessa assignment Efforts underway, goals and needs: — Code changes under review 1. Language to manage overall BSU count (on hold) 2. Revisit length of stay for visitor's permit (Change 21 days to 10 or 14) 3. Lake Management Policy -17- — Inventory stairways in rights of way, update multiple slip maintenance/replacement schedule, right of way maintenance, inventory dock sites/commons and evaluate whether license holder adequately maintaining — Explore alternatives to the application process — multi -year renewals The data, efforts and accomplishments listed above are provided as an annual update and as background for the more detailed discussion items that will be covered during the workshop. The detailed discussions will focus on proposed ordinance and policy changes, marketing and communications, the recycling program, and the municipal liquor store. If additional information is needed on any of these topics, please contact Administrative Services Director Catherine Pausche at (952)472-0633 or via email at catherinepausche@cityofmound.com. April 12, 2022 To: Mayor &Council Members From: Catherine Pausche, Administrative Services Director Re: Temporary Visitor's Permit —Reduction in days allowed The City Council discussed dock fees and the Temporary Visiting Dockage Permit at the October 19"' special meeting workshop. The Council instructed staff to change the number of days from 21 to 10, which requires a code amendment as follows: (b) Allowable Moortizg ojNon-Owned Gpolercr¢J2. Mooring of watercraft not owned by the dock licensee (Ptimary Site Holder or Secondary Site Holder) is perritted for a period of up to 48 hours, two times in a calendar yeaz. Mooring of watercraft not owned by the dock licensee (Ptimary Site Holder or Secondary Site Holder) is not permitted far a period in excess of 48 hoots unless a Temporuy Visiting Dockage Permit has been first obtained by the licensee from the City and the fees established by the City have been paid. All Temporuy Visiting Dodage Permits shall contain the DNR registration number or U8 Coast Guazd documentation (and copies of same) of the boat and shall be limited to?.� 10 days. No mare than one Temporary Visiting Dockage Permit may be issued in any calendaz yeaz to an individual dock licensee. The thought behind the change is that the program is supposed to be for the benefit of Mound residents and the City Council felt that aten-day visitor's permit is reasonable when there are so few restrictions on who is eligible for one. The City is also trying to stay ahead of potential abuses of the program and managing the total number of BSUs. Reducing from 21 to 10 days is considered a compromise to eliminating the option all together. The following is an excerpt from the January 20`" DCC meeting minutes where a majority of the commission recommended reducing it to 14 days, not 10: 9. Te moos ry Visitors Permit Kelly stated the Council proposed to change the $50.00 fee for this permit to $150.00 during the October City Council workshop meeting. Kelly added a fee analysis was done and the temporary permit fee was the lowest fee per day of all dock license and permit fees. Kelly noted the increase to $150.00 was approved by the Council in December as an item in the fee schedule and the item for discussion by the DCC is approval of limiting the duration of the permit from 21 to 10 days. Larson said the Councilfe It the increase in fees and shortening the length of the permit was a compromise to a -19- full removal of temporary permits as the majority of the temporary permits go to non-residents. DCC members asked Kelly how many temporary permits are issued a year and Kelly said between 8 and 10 on average. Kelly added that some of these permits take quite a bit of time to process and a few each year seem to be between people who don't know each other well. Peterson and Olson asked about the rationale in both increasing fees and shortening the length of the permit and felt reducing the duration of the permit to 14 days would be fair. Discussion took place on what day people typically start the temporary rentals and whether the permits usually fall over two weekends. Kelly said that rentals do typically start before a weekend. Gardner said she felt the 10-day duration was fair as this would cover two weekends and would only be a $15.00 per day charge for a spot on the lake which would cost much more at commercial slips. MOTION by Peterson, seconded by Olson, to recommend approval of the temporary dockage permit ordinance with duration of the permit to be for 14 days. Muller, Hentz, Peterson and Olson voted in favor. Gardner and Larson voted no. Motion carried. Ultimately, when the Council is ready to act on the Ordinance amendment, it will be posted on the website, City Hall bulletin board, sent to all RAVE Mobile Safety subscribers, as well as sent to the Dock Program email list as is the standard procedure for ordinance amendments to the official City Code. I am just looking for direction on whether the Council wants to consider the DCC recommendation of 14 days before I publish. -20- n MEMORANDUM Date: April 12, 2022 To: Mayor and City Council Members From: Catherine Pausche, Administrative Services Director Subject: Proposed ADMIN POLICY: City participation in lake management projects The Lake Minnetonka Conservation District (LMCD) grants the City of Mound a license for up to 590 Boat Storage Units for which the City allocates and administers through its Commons Dock Program. In 2021, the Docks and Commons Commission appointed Dave Olson and Linda Muller to serve on a Dredge Task Force/Subcommittee to work with Staff to come up with a reasonable standard or policy for if and when the City would participate in a dredge project. In addition, the increasing prevalence of Aquatic Invasive Species (AIS) has resulted in some residents seeking City participation in lake weed treatment projects. While there is historical precedent for the City to fund dredge projects, these projects have become more costly and complex as regulations have tightened around permitting and disposal. Climate change is also resulting in more weather extremes causing excessively high water in some years and low water levels in others. The dredges that have taken place since 1980 benefitted very specific dock sites by providing navigability into wetland areas. The city also has over 200 storm water outfalls that are slowly being rehabilitated to reduce the amount of phosphorus and other sediments from flowing unfiltered into the lake, but the concerns are typically around the chemistry of the discharge and not a material impact to sediment levels beyond other causes such as tree canopy and vegetative growth. The City needs to manage expectations for service levels particularly in this era of climate change and increasing development and utilization of the lake. Staff suggests the City clearly limit its responsibility to shoreline stabilization and not water quality or navigability. The City should continue to support privately funded projects and facilitate information sharing among program participants who may want to coordinate a weed treatment or dredging of their particular dock use areas. Limiting the City's responsibility is key to maintaining the affordability and equitability of the dock program. A draft of the policy has been provided for discussion as well as excerpts of the January 20 and March 171h Docks & Commons Commission meeting minutes. While this represents one extreme with the City taking total responsibility on the other, the compromise would be some type of cost sharing agreement or city financing. That is not recommended as then the City becomes the de facto project manager and all dock fees will need to be raised to benefit specific areas. Staff would recommend suggesting some type of home owners association group or organization be created to coordinate local activities benefiting specific areas. Please let me know if you need additional information to prepare for the discussion. -21 - MOUND DOCKS AND COMMONS COMMISSION MINUTES March 17, 2022 DRAFT & EXCERPT OF ITEM 6 The Mound Docks and Commons Commission met on Thursday, March 17, 2022, at 7:00 p.m. in the City Council Chambers of the Centennial Building at 5341 Maywood Road in Mound. Present: Chair Linda Muller, Commissioners Derrick Hentz, Heidi Peterson, Dave Olson and Council Representative Paula Larson. Absent: Vice Chair Susan Gardner 6. Policy Discussion and Action: City Participation in Lake Management Protects Kelly said this will finish up the policy discussion which started at the January DCC meeting which included the findings of the Avalon Channel Survey and clarify the City policy as it relates to lake management. Kelly said the City's formal responsibility is to the collective property which is controlled by the City at and above the Ordinary High Water (OHW) level and the lake is property of the state and the Minnesota Department of Natural Resources (DNR). Kelly said the only area of the lake which the City has the expressed responsibility for lake management is in the Lost Lake Channel, which was granted to the City by the DNR. Kelly said the Lost Lake Channel was a community and economic development project for this once blighted area and the City is responsible for maintaining navigation through the channel. Kelly said the agreement with the DNR is for the City to maintain navigation though there is no stipulation of how frequently the City has to dredge the area or to what depth the channel is to be maintained. Kelly said the DNR does not have a duty to maintain navigation in the lake, noting Hennepin County does have a responsibility to maintain channel access between navigable bays. Kelly added the proposed policy states the City will continue to maintain public land above the OWH level as it has with rip rap projects and infrastructure improvements such as dock structures and stairways. Kelly said the City built a stairway at Pebble Beach and the walkway to the new Idlewood slip on City controlled property and said these are examples of the City making improvements to property which is City controlled. Kelly said he contacted Excelsior, Tonka Bay and Minnetonka Beach to inquire if those cities are planning any dredging projects at their public dock areas and none of them are. Kelly said Minnetonka Beach reported they are taking out an area of docks due to low water levels and Tonka Bay reported that one City dock user was requesting dredging of the dock area they used and Tonka Bay moved that individual to a different and deeper dock area. -22- Kelly said he has been informing license holders particularly in Jennings Cove that it is a low water area and the license holder is taking the risk and should take that into account if their boat has a deep draft. Kelly said the City's audit isn't completed though dock program fund reserves are estimated to be between $250-300K. Kelly said the dock program is self -funded and these reserves have been used on improvements to City controlled shoreline areas in recent years. Kelly said the ball park figure the City received from a vendor for completing a dredge study on Avalon Channel was $100 to $150K. Kelly added if both Avalon Channel and Excelsior Commons on Black Lake were dredged the low -ball number of those projects would be $200K at a minimum. Kelly has also heard from license holders asking for dredges in other areas of the lake. Kelly added the purpose of the policy is to limit the scope of the City's responsibility for lake management going forward and let licensees know the City supports them organizing their own projects. Kelly said the City pays the Lake Minnetonka Conservation District (LMCD) an annual levy and part of their charter is to manage the lake, including finding to solutions to Aquatic Invasive Species and weed mats in the Lake. Kelly added a City resident spoke at a City Council meeting in 2021 to complain about the weed mat which had grown in Harrison's Bay and ultimately the neighbors in and around Harrison's Bay got together and created an association and is currently working with the LMCD on a cost share for the study of the weed mat problem and researching funding alternatives to address the weeds. Kelly said in 2020 another resident in the dock program took it upon himself to hire a lake management company to remove weed growth around the Carlson Park multiple slip, noting the individual ended up having difficulty getting others on the complex to participate in the cost. Olson asked about the LMCD and the percentages which were paid for the Harrison Bay project. Discussion ensued around the fact that the LMCD has a finite amount of funds for lake management projects which may affect the number of projects funded and the amount of funding available for these projects. Peterson asked whether the City is at risk of losing the docks at these mucky, weedy areas. Kelly said yes this could happen, noting he showed the 1913 plat map from of Seton subdivision at the last DCC Meeting which showed the Black Lake area was marshland before the lots were developed. Kelly said there has been on -going erosion of navigation in the Avalon Channel area since the first dredge which took place over 100 years ago. Peterson said if the City does not maintain these areas of the commons the dock program is at risk of losing 70 or more dock sites. Kelly said the City could move dock users to other areas of the commons. Peterson said the question was what would the City be losing if there isn't any maintenance of these areas. -23- Muller said she expressed the same concern as Peterson and the City can't be engaged in a dredging battle with Mother Nature and lake levels and that sort of thing. Muller said at what point do you actually dredge because the lake level could stay at the level it is at now. Peterson said there could be a rotating dredge of these problems areas and Muller said dredges have gotten much more expensive than in the past and how do you budget for that. Muller said if lake levels don't change the City may have to look at this issue. Muller added residents consider cost shares for managing lake weeds and AIS. Muller said the policy provides clarity to this issue and doesn't ensure that just because you have a dock doesn't mean you can have as big as boat as you want. Peterson said how many dock sites will be affected through this policy and how many of those sites could be replaced. Peterson added if 30 docks are affected would they be replaced by five. Kelly said we don't know the answer to this yet but the non -abutter sites could be moved to other locations. Kelly added the Centerview and Jennings Cove multiple slips have been added to after they were first installed and there are options which the dock program can take. Olson said if a dock area is temporarily dry land, the City doesn't lose the dock, but it might be not used for a year or two. Kelly said if you looked at 2019 which was a high-water year, there were no calls for dredging. Kelly said the assumption regarding the original dredge of the Avalon Channel would be that it was done by the Tuxedo Development Company as an economic development tool to sell the lots that they owned at a higher profit. Kelly said this dredge was a private endeavor from the beginning and the City has been providing a benefit to these abutting lakeshore owners. Kelly added these previously City funded dredges benefitted a small subset of property owners. Kelly added there are economic disparities in Mound from lakeshore to inland properties and the City Council not too long ago reduced utility rates to help alleviate the financial burden for residents who were seeking out reduced rates. The Council has also reaffirmed the desire to keep the dock program affordable. Kelly said it is clear there will be both abutter and non -abutter dock sites affected by this policy but where the City's responsibility ends is with the communities shared property. Peterson said the policy being discussed says the City will maintain the shoreline and what goes on in the lake as regards to lake levels and other factors is not the City's responsibility. Kelly said an example would be the Bluebird South dock site which is mentioned in the Woodland Point Settlement Agreement as not the City's responsibility to keep that dock site open. Kelly said if that dock site was continued there would have to be a lengthy dredge across the marsh. Kelly said there have been other areas which have been discontinued due to lack of access such as the Norwood Lane dock. Kelly said he checked out this dock and found out it is weed choked. Peterson said if Jennings Cove was choked off would the City forfeit those slips and would passing this policy mean the City will never maintain this area or others like it. Kelly said this is -24- a valid point and the assumption is that Jennings Cove would be choked off unless there was a group response to keeping the area open. Olson read from section 3.2 of the policy which states "the City of Mound generally signs off on any permit to improve water quality and/or navigability as required by permitting agencies and is privately funded." Olson said people of like mind can pool their resources to improve the navigation in their area and the City is not shutting off this possibility. Kelly noted the costs of maintaining City shoreline has gone up for Rip Rap projects in the past few years. Peterson said the difference regarding rip rap is that once it is done it stays in place for many years and is not an on -going cost. Muller said dock fees could be raised significantly and Peterson said to not do any dredge work is not the answer. Peterson said some of these areas when the water is low won't be navigable she questions whether a rotating dredge is the answer. Peterson said can the dock program can create a dredge fund. Olson and Peterson discussed how things are changing regarding how the lake has been used and Peterson referenced the letter attached to the DCC packet on how much the Avalon Channel has changed. Peterson said she doesn't agree with a completely hands -off policy. Hentz said the City has been looking for other areas such as Idlewood to put in multiple slips and if the City exhausts all other areas for people to move the City could go back to dredge certain areas. Hentz added the Policy limits the expectations for the present but doesn't preclude something being done in the future. Muller said the way to fund it will mean dock fees will increase and she asked about the people who are on dock sites which don't need dredging and whether they should have to pay in. Hentz said what can be done now includes people getting together to remove weeds to keep areas open. Olson said if you look at the number of sites affected it is very small compared to the entire dock program and if lake levels raise by a foot that number would be even smaller. Peterson said the Policy is stipulating that the City is not responsible for draught or flood conditions nor to maintain the areas around dock sites though they could be addressed in the future. Kelly said the question is related to Section 4, the Service Levels of the Policy, and the expectation of the level of service. Kelly mentioned an abutter on Island View Drive who had problems with muskrats and took care of the matter privately versus some neighbors on Black Lake who had destructive beaver activity and insisted it was the City's responsibility to remove the beaver. Kelly said the City did hire someone but beavers being a nuisance isn't a problem that is going to go away, noting another solution to the beaver problem that does not include the City is for residents to wrap their trees to protect them. -25- Kelly said the City Code states that there isn't a guarantee that your dock is usable year to year. Peterson said she was concerned about the lack of verbiage in the Policy to attempt to maintain current dock sites. Kelly said the policy states the City responsibility ends at the Ordinary High Water Level. Muller is optimistic that water levels will come up but the lake will have weed issues. Muller said it could come to a point that if the City doesn't dredge the area she lives in, she may not have use of her dock in Black Lake. Kelly noted the estimated cost of a dredge in Avalon Channel discussed at the January DCC meeting was $100-150K and was probably conservative. Kelly said the Denbigh residents present at the January meeting responded to the costs by saying they only wanted the mouth of the channel to be dredged instead of whole channel. Kelly said delineating where the City responsibility ends is important when a passionate group want the public water maintained in their area when there are other comparable needs elsewhere. Kelly said if this group wants to pool their resources to take care of the matter privately the City will support it. Muller asked if the public would like to come forward to speak on this issue. Michael Kline, 1630 Dove Lane, stated he has his boat at the Jennings Cove multiple slip. Kline said the Mission Statement on the DCC Agenda states "the City will provide at a reasonable cost, quality services" and the talk at previous meetings has been about equity. Kline said if things are to be equitable, if rates would be raised, they should be raised for everyone. Kline said he lives across the street from the Jennings Cove slip, noting it is technically a City Park, and this policy is saying for him to use the slip he would have to put together a group of neighbors to get it dredged. Kline said the water level goes down through the year and by September he has to pull out his boat early because of the situation there. Kline said the two or three slips at the north end of the slip are really unusable into August. Kline said if he did get the neighbors together there is going to be the free rider issue so he said he should move to another dock and when the neighbors dredge the area I will move back to the area. Kline said the Jennings Cove slip, which is at the end of the channel, was pretty much unusable and he needed to push his boat out with a paddle to get it started. Kline said there isn't much incentive to dredge the Jennings Slip as they are all non -abutters so he isn't sure what the answer is. Kline said maybe the neighbors should band together to purchase the land themselves or the City should manage the situation. Kline said he wouldn't improve something he doesn't own as there would be no way to monetize his investment. Discussion ensued about the Minnehaha Creek Watershed District (MCWD) and how it manages lake levels which get lower through the season and that the MCWD is trying to balance the lake with Minnehaha Creek. Kline said if nothing happens all the eight users will go to other dock areas and the one boat on the far north end of the slip will be sitting in mud. -26- Peterson said the one dock on Bluebird which isn't being used is what the Jennings Cove will turn into. Peterson said it is really bad and literally a swamp and there are eight slips there and there won't be an option to use the dock. Olson asked about other options to move and Kelly said there are other areas to move to and maybe there shouldn't be that many boats in the Jennings Cove area. Peterson said she couldn't believe the LMCD allowed the private dock to be placed at the end of Jennings Cove, noting the property is now for sale. Muller said she would like to recommend another task force to explore other options if people need to be moved from low water areas. Muller added the task force can look into what the cost would be to dock fees to be able to pay for dredging. Peterson talked about the fee she was assessed when the stairway was built at Bluebird Lane and could a fee be assessed for slip users in low water areas. Discussion took place on the cost of individuals taking on dredging and Kelly asked if it is a good use of City funds to be regularly dredging an area every 20 years when the area was originally marshland, once again noting the original plat of the Avalon Channel showed the area as marshland which is the natural state. Kelly said the City does not want to be the general contractor for these dredge projects and if neighbors want to get together to do this work the City will support this activity. Muller said the language in the policy is there and the DCC can continue to study the problem to get a better understanding. Kelly said it is a good idea to study what alternatives there are available for lake use at those lake areas with public shoreline which don't support the use of watercraft. Hentz said the DCC has been talking for the past 10 years about moving people to different areas though there are not very many of these areas left to put people. Hentz said we can be creative about moving people around and look at certain fees for specific spots. Peterson said if people are willing to pay $2500.00 for a slip at Lost Lake, they may be willing to pay that amount at Jennings if the alternative is paying $10K for a private site. Peterson said if the City puts in a dock in an area, then the City should have some responsibility to make the area accessible. Discussion ensued about the number of docks affected by low water areas and why did the City put docks in low water areas in the first place. Kelly said these areas were marshland a hundred or so years ago, noting there are platted parcels in areas which are now under water. Kelly questioned whether it makes sense for the City to be dredging a marsh every twenty years. -27- Olson said his recommendation is to vote on the policy tonight, noting he thinks it is a good policy which may need to be changed in the future. Hentz said there are other options for placing docks in other places and the policy says the City doesn't have to dredge areas. Hentz said identifying the responsibilities of lake agencies is a good start. MOTION, by Hentz, seconded by Larson, to approve the City Participation in Lake Management Policy. Muller stated she would like to make an amendment to the motion after it was seconded to remove language in Section 3.2 at the end of the sentence which reads "and is privately funded." Hentz and Larson took the suggested the language change as a friendly amendment. Muller said it leaves the opportunity for a group to gather facts about options going forward after the passage of the City Participation in Lake Management Projects policy. MOTION, by Hentz, seconded by Larson, to approve the City Participation in Lake Management Policy excepting the phrase "and is privately funded" in section 3.2. Hentz, Muller, Peterson and Olson voted in favor. Larson abstained. Motion carried. MOUND DOCKS AND COMMONS COMMISSION MINUTES January 20, 2022 — EXCERPT ITEM 10 The Mound Docks and Commons Commission met on Thursday, January 20, 2022, at 7:00 p.m. in the City Council Chambers of the Centennial Building at 5341 Maywood Road in Mound. Present: Chair Derrick Hentz, Vice Chair Susan Gardner, Commissioners Heidi Peterson, Linda Muller and Dave Olson and Council Representative Paula Larson. Absent: None 10. City Participation in Lake Management/Avalon Channel Survey Kelly stated the policy is meant to clarify the prescribed obligations of the City when it comes to property owned by the City and in waters of the state. Kelly said the City has been and will continue to protect the City public land at and above the Ordinary High Water mark for Lake Minnetonka which is currently 929.4. Kelly said the City has completed rip rapping Devon Commons and will support shoreline work where there is significant erosion of areas which receive a lot of boat traffic and wave action. Kelly said that 2021 was a low water year which made navigation more difficult than in recent years and the Dock Program can't guarantee access to locations at all times. Kelly said he has heard from a number of boaters this year who had trouble with the low water levels and some needing to take their watercraft off of the lake earlier in the season than they expected. Kelly said that though the City has done dredges in the past the City does not own the lake and the regulatory environment has changed and the expense of dredges has increased. Kelly added another area which has impacted navigation on the lake are Aquatic Invasive Species (AIS) particularly vegetal growth in the lake in areas like Harrison's Bay. Kelly stated that a lakeshore resident came to the City to discuss the navigation difficulties he and fellow boaters were having with a large mat of AIS and other weeds in Harrison's Bay. Kelly said Council and staff directed the resident to the Lake Minnetonka Conservation District (LMCD) as they had a program to respond to weed growth on the lake. Kelly said the City provides funds for the LMCD to conduct work on the lake and to license the Dock Program. Kelly said the LMCD has changed their focus on how to treat weed growth from active harvesting with their own staff to now working with neighborhood and other associations and providing funds to assess AIS problem areas. Kelly said the LMCD will also provide funds to contractors through the lake associations to address the problem. Kelly said the lakeshore residents and other neighbors have created the Harrison's Bay Association. Kelly said the LMCD has provided 50%of the funding for the assessment of the weed growth in Harrison's Bay with the Association paying for the other 50%. Kelly said the LMCD will provide up to 25% of funding for the actual weed removal. Kelly said the dock program has discontinued non -abutter dock sites due to weed growth or access issues in the past. Peterson talked about the dock site called Bluebird South which is a dock in the Woodland Point neighborhood and it is not being used in the Dock Program due to weed growth blocking access to the dock. Peterson added she remembers draught years on the lake where they had to push their boat off from their dock to get to open water. Kelly said the DCC dredge sub -committee toured the Denbigh and Jennings Cove sites this summer to look at the areas in which residents were concerned about water depth and navigation. Kelly added the City paid for the Avalon Channel Survey to determine what was the content and if possible the cause of the buildup of this area. Kelly said the Channel Survey said there was sand and other deposits in the direct area of the outfalls but there was no evidence provided in the survey that it was spread out beyond the immediate area of the outfall. Kelly stated he looked at the original plats of the Avalon and Seton subdivisions from over 100 years ago which depicted the area where the channel is now to be a marsh with a Channel cut through. Kelly showed copies of the plats to the DCC and public and said it was highly unlikely that this was a publically funded dredge but rather funded by the development company to sell their lots. Rodney Beystrom, 4466 Denbigh Road, addressed the DCC by saying he has lived in Mound since 1987 and remembers the summer of 1988 which was an extreme drought year. Beystrom said he had to push with his oars off of sand to float his watercraft. -29- Beystrom said he provided photos to the DCC prior to the meeting which showed the extent of weed growth at the entrance to Avalon Channel since 2002. Beystrom said in 2002 two boats could pass side by side which isn't the case now. Beystrom said that the run off from the property behind Island Park Skelley building through the storm water outfall has in the past has been very powerful and deposited sediment from the streets into the Channel. Beystrom stated this outfall caused the navigation issues at the entrance to the Denbigh Channel. Carl Palmquist, 4500 Denbigh Road, said the City dredged the stormwater outfall adjacent to his property in 2008 or 2009. Palmquist said the City should dredge the area of the outfall because it is the City stormwater which is causing the buildup in the Channel. Jay Stemler, Denbigh Road, didn't feel the Avalon Channel Survey was an accurate depiction of the sediment deposits in the Channel. Stemler said he has video of the storm water outfall which he will send to Staff. Stemler said the Public Works Superintendent at the time said that the City will have to dredge the outfall from the storm sewer and Stemler said he would like the City to dredge the area from the outfall to the Channel opening. Tom Delacy, 4458 Denbigh, said he is a private property owner next to Beystrom and would be interested in paying a fair share for a dredge of the Channel. Joe Goetz, 2512 Shannon Lane, said what will happen to these dock sites if the City policy is to not pay for work in the lake. Goetz said in 30 years the Excelsior Commons would not be navigable. Goetz said the storm water outlets are creating water currents in the mud banks in the Excelsior Commons and Denbigh areas and is causing mud to be displaced. Goetz suggested a fee on each dock holder as the dock fees "are a steal" to create a dredge fund. Olson said the commons program is for the little guy in the City who lives off of the lakeshore and doesn't think the average taxpayer should pay for dredges benefiting lakeshore owners. Discussion will continue at March 17, 2022 meeting. -30- ADM IN POLICY -CITY PARTICIPATION IN LAKE MANAGEMENT PROJECTS Original Adoption: xx/xx/22 Reviewed/Updated: TBD Reference No. ADMIN-00x Section 1. Purpose and Scope This policy is intended to supplement City Code Chapter 78 Waterways to clarify the City's position on participating in lake management projects. Section 2. Roles and Responsibilities 2.1 The LMCD has licensed the City of Mound Commons Dock Program to grant licenses for up to 590 Boat Storage Units (BSUs). The City of Mound allocates these licenses between three primary types of uses: Abutters, Non -abutters and Multiple Slip licensees. 2.2 The City of Mound Commons Dock Program is made possible because of the many miles of City owned shoreline that was dedicated by developers during the platting process and by nature of ownership of the public rights of way. 2.3 The Minnehaha Creek Watershed District is the local unit of government responsible for managing and protecting the water resources for Lake Minnetonka. It permits shoreline stabilization projects and projects related to dredging and navigation. 2.4 The MN Department of Natural Resources (MN DNR) issues aquatic vegetation permits for removal of aquatic vegetation. Section 3. Lake Management Projects 3.1 Lake management refers to projects that focus on water quality and navigability. 3.2 The City of Mound generally signs off on any permit to improve water quality and/or navigability as required by permitting agencies ^^e. 3.3 The MN DNR does not guarantee continued navigability. 3.4 The MCWD does what it can in high water and low water years by regulating the Gray's Bay Dam but weather extremes are becoming more common. Section 4. Service Levels 4.1 The City of Mound does not guarantee use of all dock locations at all times nor does the City of Mound guarantee every dock location can accommodate any type of watercraft. 4.2 The City of Mound will not endorse dredge projects to create new abutting dock sites as the City's wetlands and shoreline are already included in the shoreline count for existing licenses through the LMCD. 4.3 The City of Mound will only participate in shoreline stabilization projects (primarily limited to rip -rap) in areas within City lands at or above the Ordinary High Water Level, where there is a significant level of erosion, and/or shore exposure to breaking waves due to open waters over an extended period of time and will not participate in lake management projects. 4.4 The City of Mound is not responsible for wild life management and property owners should take the necessary precautions to protect their landscape and watercraft from potential nuisances created by AIS, beavers, and muskrats. 31- _ m z 9 lN, CL '�vNt r a • X �J m 9 a n Im sm via DQCD w ° o ayx`�° o �. • s o C-D CD a CD CD C �q O n "�. 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O'Q• iC HE April 12, 2022 To: Mayor &Council Members From: Catherine Pausche, Administrative Services Director Re: Operating hours for garbage collection vehicles The City periodically receives requests by residents to revisit the allowed operating hours for garbage collection vehicles, particularly the start time of 6:00 am. Current language in Chapter 54 Sec. 54-49 (b): (b) Operolueg haws. Collection velricles shall operate witrrin the city and make residential collections only between the hoots of 6:00 a.m. and 8:30 p.m. daily, except Sunday, on which day residential collection is banned. There shall be no restriction on hoots or days far collection from commercial or industrial uses. Our curbside recycline contract with Republic Services has the followine lan ue�ee: 3.11 Collection Hours Contractor shall maintain sufficient equipment and personnel to assure that all collection operations commence no earlier than 7:00 a.m. and are completed by 6:00 p.m. on the scheduled collection day. Current language in Chapter 46 Sec. 46-141 re ae rding construction activity (c) Construction activity on any residentially zoned property. No person shall engage in, permit, or allow construction activities involving the use of manual tools, movement of equipment or power equipment, including, but not limited to, any kind of electric, diesel, or gas powered machine, at any time other than between the hoots of 7:00 a.m. and 9:00 p.m. on weekdays, and 8:00 a.m. and 9:00 p.m. on public holidays, Saturdays and Sundays on any residentially zoned property. (d) Construction activity witirin public right-of-way witltin. All construction activity witltin the public right-of-way wif}tin the city limits shall be conducted between the hours 7:00 a.m. and 7:00 p.m. on weekdays, 8:00 a.m. and 5:00 p.m. on Saturdays. No construction activity is allowed on Sundays except in the case of an emergency. Staff surveyed area cities to obtain their permitted hours for garbage collection, which are as follows: Spring Park allows 7:00 am — 10 pm, Minnetrista does not have language, and Orono is 7:00 am — 7:00 pm. Staff recommends changing the language to 7:00 am — 9:00 pm for garbage collection on weekdays, 8:00 am — 5:00 pm on Saturdays and keeping the ban on Sundays in residential areas as shown on the attached proposed ordinance amendment and is looking for direction from the City Council on how to proceed. -33- CITY OF MOUND ORDINANCE OX-2022 AN ORDINANCE AMENDING CHAPTER 54 OF THE MOUND CITY CODE AS IT RELATES TO SOLID WASTE The City Council of the City of Mound ordains: SECTION 1. The City Council of the City of Mound hereby amends Chapter 54 Solid Waste, Article II. Collection and Disposal, Division 2. Collectors, of Collection Vehicles for Hauling Garbage and Refuse. Section 54-49, subdivision (b). Operating Hours of the Mound City Code as follows: Sec. 54-49. Operating Hours. (b) Operating Hours. Collection vehicles shall operate within the city and make residential collections only between the hours of 67:00 a.m. and 9:00 p.m. on weekdays daily. 8:00 a.m. and 5:00 p.m. on Saturdays.. Residential collection is banned on Sundays. There shall be no restriction on hours or days for collection from commercial or industrial uses. Adopted by the City Council this 26th day of April, 2021. Mayor Raymond J. Salazar Attest: Kevin Kelly, City Clerk Published in the Laker- Pioneer the th of 2022. Effective the _th day of 2022. -34- April 12, 2022 To: Mayor &Council Members From: Catherine Pausche, Administrative Services Director Re: Marketing &Communications Staff had been asked to investigate options for improving the city's marketing and communications, including creating a presence on social media. Staff wishes to emphasize there is no capacity in house to do any additional marketing outreach tasks and does not recommend providing alternatives to the official notification process required by statute, which currently involves posting on the www.cityofmound.com website, the front entry of City Hall, and sending to the email list of people who requested to get the legal notifications via email. The City Manager and I reached out to PRIME Advertising &Design in Maple Grove who offer marketing support to other MN cities. PRIME's list of services, hourly rate and examples of materials created are included in the packet. The PRIME representatives we spoke with included the Senior AccountBusiness Development Manager and the Digital Marketing Manager. They do not recommend a social media presence if it can't be actively managed, stating it was not sufficient to do a couple of posts a month and that even 10 hours a month is not sufficient to truly have an on-line presence. PRIME does copy edit and posts all social media content for the Elk River Municipal Utilities (ERMU that includes electric) but Elk River staff has to provide the content. PRIME reps noted ERMU spends a considerable amount of time on their social media presence and has 572 likes and 659 followers out of the 12,300 electric customers served. PRIME does offer other services that could help improve Mound's image, including improving the layout of the quarterly newsletter (the City still has to provide the content), and improving the Search Engine Optimization of the www.cityofmound.com website and ensuring it is ADA compliant. Staff recommends contracting fora 20 hour block @ $120 per hour ($2,400) and starting with improving the layout of the quarterly newsletter and improving SEO and ADA compliance for the www.cityofmound.com website and is looking for direction on how to proceed. -35- PROJECT 30641- Monthly Marketing Agreement DATE 04.07.2022 • CONTACT Catherine Pausche COMPANY City of Mound PRIMP, ACCOUNT MANAGER EMAIL DIRECT/FAX / ADVERTISING + DESIGN Liz French liz@primeadvertising.com 763.551.3743 MARKETING AND DESIGN SERVICES AGREEMENT - 20 HOURS THIS AGREEMENT made effective as of May 1, 2022 BY AND BETWEEN: Prime Advertising + Design, a corporation doing business at 6450 Wedgwood Road North, Suite 100, Maple Grove, Minnesota, 55311, hereinafter referred to as (the "Agency") — and City of Mound, hereinafter referred to as (the "Client"). WHEREAS the Client desires to retain the Agency to provide advertising, marketing and related services, as more particularly described below (the "Services"), and the Agency desires to be so retained and to perform the Services for the Client; NOW THEREFORE the parties agree as follows: 1. Services. During the term of this Agreement, the Agency shall provide products and services necessary as listed below. Marketing Consulting, Research and Development Graphic Design Services (all printing will be estimated separately) Website Maintenance Content Creation Social Media Management and Monitoring Social Media Advertising Google Analytics Monitoring Google Ads Management Writing and Publishing of Monthly Blog Posts Email Marketing Search Engine Optimization Photography 2. Term. This Agreement shall commence on the date the agreement is signed and shall be good for a period of 1 year (May 2022 — April 2023). Marketing hours must be used within one calendar year of signing this agreement. 3. Compensation. Upon execution of this Agreement, the Agency agrees to provide 20 hours in Marketing and Design Services, and the Client agrees to pay the Agency in full prior to any hours used at the rate of $120.00 per hour ($2,400.00). Any time utilized in excess of agreement of 20 hours will be billed at the hourly rate of $150.00 unless an additional 20 hour minimum bank of hours is purchased. The Client will be charged for additional products, printing and/or services as ordered by the Client which are not part of the Design Services covered by the terms of this Agreement, at the Agency's current rates for such additional products and/or services. The Client agrees to pay Agency all reasonable out-of-pocket miscellaneous expenses, pre -approved delivery charges and travel expenses when applicable. Any expense greater than $120.00 must be pre -approved by Client prior to being incurred. Prime Advertising+ Design 6450 Wedgwood Road N, Suite 100, Maple Grove, MN 55311-3649 Office 763.551.3700 1 primeadvertising.com Page31bf3 PROJECT 30641- Monthly Marketing Agreement DATE 04.07.2022 • CONTACT Catherine Pausche COMPANY City of Mound PRIMP, ACCOUNT MANAGER EMAIL DIRECT/FAX / ADVERTISING + DESIGN Liz French liz@primeadvertising.com 763.551.3743 4. Independent Contractor. It is understood and agreed that the Agency is independent in the performance of this Agreement, that the Agency shall perform the Services under the control of the Client as to the result of such activity only and not as to the means by which such result is accomplished and that the Agency is providing Services on a full-time basis. The Agency is not an employee of the Client and has no authority whatsoever to bind the Client by contract or agreement of any kind other than as expressly provided under the terms of this Agreement. The Client shall not withhold federal or state/provincial income taxes or any other amounts from the Agency's fees payable hereunder. The Client acknowledges and agrees that the Agency shall act on behalf of the Client but will not be liable for payment of media and purchases placed on behalf of Client but for which the Agency has not been paid by Client. Non -Solicitation of Employees. Client agrees that without expressed written consent, at all times while Client is employing the services of the Agency and for twelve (12) months after contract period terminates, Client will not, directly or indirectly, whether individually or as an officer, director, employee, consultant, partner, stockholder, individual proprietor, joint venturer, investor, lender, consultant or any other capacity whatsoever: solicit, divert hire, retain (including as a consultant) or encourage to leave the employment or contract period of the Agency and any employee or contractor of the Agency, or hire or retain (including as a consultant) any former employee of the Agency who has left the employment or contract period of the Agency within twelve (12) months prior to such hiring or retention. 6. Applicable Law; Venue. This Agreement as well as any and all claims or disputes between the parties shall be governed by the laws of the State of Minnesota. Any action arising in connection with or related to this Agreement will be brought in the federal or state courts located within Hennepin County, Minnesota, and the parties consent to the jurisdiction and appropriate venue of such courts. By signing this Agreement, City of Mound ("Client") has retained Prime Advertising + Design ("the Agency") for projects listed above. City of Mound Signature Print Title Date Prime Advertising+ Design 6450 Wedgwood Road N, Suite 100, Maple Grove, MN 55311-3649 Office 763.551.3700 1 primeadvertising.com PagNof3 PROJECT 30641- Monthly Marketing Agreement DATE 04.07.2022 • CONTACT Catherine Pausche COMPANY City of Mound PRIM C° ACCOUNT MANAGER EMAIL DIRECT/FAX ADVERTISING + DESIGN / Liz French liz@primeadvertising.com 763.551.3743 CREDIT CARD: Card Type: Recurring -edit card payment option , authorize Prime Advertising + Design to charge the credit card below $ on the 1" of each month for Retainer Services. Cardholder Name: Title: Business Name: Account Number: Card Billing Address: Email Phone: Exp.: Code: City: State Phone: Zip: I understand that this authorization will remain in effect until balance owed is paid, and I agree to notify Prime Advertising + Design in writing of any changes in my account information or termination of this authorization at least fifteen (15) days prior to the next billing date. If the above noted periodic payment dates fall on a weekend or holiday, I understand that the payment may be executed on the next business day. I understand that because this is an electronic transaction, these funds may be withdrawn from my account as soon as the above noted periodic transaction dates. In the case that a transaction is rejected for non -sufficient funds, I understand that Prime Advertising + Design may, at its discretion, attempt to process the charge again within thirty (30) days. I acknowledge that the origination of these transactions to my account must comply with the provisions of U.S. law. I agree not to dispute recurring billing with my credit card company so long as the transactions correspond to the terms indicated in this authorization form. TODAY'S DATE: AUTHORIZED SIGNER SIGNATURE: PLEASE PRINT NAME: TITLE: Prime Advertising+ Design 1 6450 Wedgwood Road N, Suite 100, Maple Grove, MN 55311-3649 1 Office 763.551.3700 1 primeadvertising.com Page31Jbf3 OUR MISSION To provide our customers with safe, reliable, cost- effective, and quality long-term electric and water utility services. To communicate and educate our customers in the use of utility services, programs, policies, and future plans. These products and services will be provided in an environmentally and financially responsible manner OUR VISION Provide exceptional services and value to those we serve. OUR VALUES ® INTEGRITY QUALITY 0 COMMUNICATION SAFETY 0 COMPETITIVE Letter from our General Manager on 2022 Rates At Elk River Municipal Utilities, our mission is to provide safe, reliable, and quality long-term electric and water service to our customers and to provide it in a cost- effective way. Whenever possible ERMU has found ways to keep prices low and recently has reduced costs to its customers. Electric rates saw a five percent reduction in 2019 and zero percent increases in 2020 and 2021. The ERMU staff works hard every day to operate within a responsible budget because we know that it has a major effect on the community. Holding a reduced electric rate for three years has helped keep millions of dollars in our customers' pockets. For 2022, we are in the position of needing to increase rates while being committed to keeping that increase as low as possible. We are raising our electric rates by three percent, which brings residential customers back to approximately the rates theywere paying in 2014. Water rates will increase by 2.5 percent. As a publicly -owned utility, it is more than our goal to keep costs low, it is our duty. We hope the information provided in this newsletterwill helpyou better understand howwe arrived at these rates as we seek to maintain an open and honest relationship with you, our consumer -owners. -Theresa Slominski, General Manager 2022 Electric Rate Increase More than 70 percent of ERMU's expenses in a typicalyear come from 4$���1 TTT acquiring the energy our customers rely on to power their homes and businesses. We chose Minnesota Municipal PowerAgency (MMPA) as our power provider for Its shared mission of bringing affordable electric service M.r hry Rriae i�r ror to its member communities and for its diverse portfolio of power sources aaaesr,. RBIDEWIAL ELECTRIC c..t r Which helps make that possible. However, it is Important to understand that the goods and services needed to provide electricity to customers are not exempt from the factors currently affecting the global economy. With supply chain challenges and inflation at a 30-year high, over the past year MMPA has seen record cost increases between 60-75 percent for the production, purchase, and transmission of electricity. While ERMU staff has worked diligently to keep operations costs below the rate of inflation, major increases in the largest part of our expense budget makes it impossible for us to responsibly reduce or even hold rates for 2022. In the interest of true transparency, we also want our customers to be aware that they should expect their monthly bill to show a Power Cost Adjustment (PCA) charge for the first part of 2022. You can find more details about PCAs on the opposite side. R P 3 [ Nip CONTROLLING YOUR COSTS There is one thing every customer can do to help keep the utilities bill as low as possible: Use less. In addition to using electricity and water wisely, efficient appliances like those that are ENERGY STAR® and WaterSense-ratedcan cut down on usage for you. ERMU also offers rebates for a wide va riety of efficient appliances: Energy Star® $100 REFRIGERATOR REBATE Energy Stara $400/$450 WATER HEATER REBATE Energy Star® $30 DEHUMIDIFIER REBATE Energy Star® $200 POOL PUMP REBATE Energy Stara $25 CLOTHES WASHER REBATE Energy Star® $25 DISHWASHER REBATE Watersense $10 FAUCETS REBATE Watersense $25 TOILETS REBATE Visit www.ermumn.com/ programs -rebates to learn more. Understanding Power Cost Adjustments A Power Cost Adjustment is an industry standard tool that ensures the actual cost of the power that customers use is what they see on their bill, PCAs are calculated at thousandths of a cent per kWh and can either increase a bill's total to meet rising costs or decrease it in the form of a credit when costs are below expectations, Adjustments are necessary because power providers obtain ere rgyfrom multiple sources, all of which are susceptible to any number of market influences that can affect prices, For example, the polar vortex that hit Texas Last winter disrupted electric infrastructure and the supply of natural gas, greatly increasing prices for those customers who rely on it, Fortunately, ERMU is committed to doing everything it can to protect its customers from price increases, For the past nineyears the Utilities Commission has approved an annual rate stabilization approach, which absorbs up to $500,000 in PCA costs that would otherwise appear on our customers' bills, ERMU's careful budgeting process has helped us establish a beneficial track record for our customers who, until recently, have not seen a PCA charge since 2014, The need for charges now is Largely attributable to the extraordinary circumstances we are seeing in the energy market, Service Address : 123 MAIN ST MunicipalElk River Rate Metar No. `rn Oates Readings Multiplier kWh Dsaga From To Previous Present esidential Electric Service 99999999 11/23/2021 12/28/2021 15000 15500 1 500 Electric Electric Customer Charge $13.50 ® Electric Usage 500 KWH@ 0.116000 $58.00 Power Cost Adj_ 500 KWH@0.006000 $3.00 ILA ..................................................................... As the ERMU mission statement promises, we are committed to educating our customers about their utilities. This means that no matter the news, We witil provide it to the community with transparency and honesty." -John Dietz, Utilities Commission Chair 2022 Water Rate Increase The complex system that reliably and safely brings quaLitywater to our customers requires daily care and maintenance, While ERMU water customers had a zero percent rate increase Last year, a IS percent ,-- increase for 2022 ensures that we are appropriately funding for the staff, Monthly price lncrease for equipment, and testing needed to provide one of our community's most an average RESIDENTIAL WATER customer crucial services, Additional water department projects for 2022 include, improvements to facilities, updating our Wellhead Protection Plan, and work required for the Highway 169 Redefine project, WE WELCOME YOUR QUESTIONS AND C4PIMENTS: ERMUMN.COM 1 763.441.2020 i` 4v S .VyVp d �v� Qjt4_ao As we established procedures in accordance with our COVID-19 Response Plan, we never Lost sight of our mission: To provide our customers with safe, reLiabLe, cost-effective, and quality Long-term electric and water utility services. ERMU employees made a commitment to the safety and weLL-being of our customers and their coworkers, worked to minimize risk, and persevered through a chaLLenging time. Many things changed at ERMU in 2020, but new practices and adapted processes helped ensure that the most important things did not change. Throughout the initial. days of the pandemic's uncertainty and beyond, clear - and frequent - communication Was more important to our customers than ever before. As situations changed, we Were quickly able to post updates on our Website and social. media platforms. We continued to distribute important information through newsletters and biLLing inserts. In addition, in faLL of 2020, we introduced a brand-new, fuLLy responsive Website, combining a fresh, modern Look with concise, easy -to -find content. The new Website offers a streamlined user experience with clean, simple navigation. We invite you to explore the new Website, where we frequently post updates and alerts as weLL as other useful. information regarding rebates, biLLing, services, and much more. ERMU's Customer Service Department I� At NUe FACING CHALLENGES, FINDING SOLUTIONS 2020 was quite a year. As COVID-19 pandemic realities unfolded, and life as we knew it changed multiple times, the mission of ERMU never wavered: To provide our customers with safe, reliable, cost-effective, and quality long-term electric and water utility services. During these unusual pandemic times, to have the lights on and the water flowing were critical, and ERMU employees stepped up to do the job. While our offices were closed to the public, necessary face-to- face interaction was available by appointment. We offered our customers resources such as online services for viewing bills and making payments. Field crews staggered shifts so they could still do the necessary work and keep themselves and their coworkers healthy. Office staff developed a system of working remotely and staggering shifts so they could still provide customer service while keeping others safe. Many of our staff juggled schooling their children at home, caring for family members, and supporting their Work team members, all the While Working to make sure the services of electricity and Water were available to all our customers. Looking ahead, we Worked hard to limit projected expenditures for 2021 to provide a zero percent rate increase and ease the financial concerns of those hardest hit by the pandemic. These have definitely been challenging times, but they have also been times that pushed us to do better, serve better, to adapt, and find the solutions to make life a bit better knowing your utilities are here for you. - Theresa Slominksi, General Manager WORKING TOGETHER ERMU's electric department worked hard to deliver reliable service to medical facilities, emergency response organizations, and other frontline services. In addition, we made sure to meet customers' essential needs, such as access to developing information, safe food storage and preparation, and connection to resources for distance learners and customers working remotely. In March, small crews that did not rotate as they typically do began to stagger shifts and lunches to reduce contact, and facilities were cleaned more regularly. nges across ERMU's two locators are responsible for finding and e orders to marking underground electric and Water utilities so J played customers can dig safely, Without damaging equipment, .thy, and for projects ranging from residential landscaping to ce became major construction. When the pandemic and governor's stance orders closed down a significant amount of commerce, iotely. homeowners worked on more yard projects, such as tree thing, which planting, fencing, and landscaping. The tech services RMU found department also saw an increase in CATV/fiber installs tent service for high-speed internet access to accommodate distance id in the future. learning and working from home. -42- q1W .61 Practicing good hygiene has always been important, and with the pandemic, the need for clean running water became even more significant. The combination of clean water and thorough handwashing is a critical tool for reducing the spread of COVID-19. In addition, clean drinking water is crucial for safe food preparation and staying healthy. During a year of change and challenge, ERMU's water department continued to maintain our community's water system so that we could Work together to protect ourselves and others. Although our offices Were closed to the public, we remained available With a scheduling rotation of in -office and remote employees. We invested in remote equipment, provided additional support With our after-hours call center, and encouraged contactless payments. Ongoing innovations allow us to provide efficient, seamless customer service. In October, we found safe, creative ways to deliver 2,248 free LED light bulbs to customers who receive The Connector newsletter, which helps readers improve conservation efforts. PROJECT #####—Social Media/Blog Posts Calendar DATE ##.##.2021 CONTACT COMPANY h R I M C° I ACCOUNT MANAGER ADVERTISING + DESIGN // EMAIL #####@primeadvertising.com DIRECT/FAX 763.551.37## JANUARY Happy New Year MILK, Jr Day ■ RUARY Valentine's Day MARCH Daylight Saving Time begins Connect with a friend St. Patrick's Day Winter wellness walks Teen Dating Violence Awareness Month Women's History Month Skin care tips The power of forgiveness Importance of sleep What does self -care mean to you? Random Acts of Kindness Day Spring equinox/renewal/contact us Int'I Mind -Body Wellness Day/contact us Couples therapy/contact us Meditation tips National Popcorn Day/Fay. movie CTA Love songs/ask for favorites in comments Service highlight/individual therapy RESOLUTIONS VS. FORMING HABITS* P Easter (varies) BRING MORE LOVE INTO YOUR LIFE* Mother's Day DAILY WELLNESS ROUTINE* Father's Day Earth Day Memorial Day First day of summer/fay. activities CTA Outdoor fitness ideas National Meditation Month End of school/end of chapters Gratitude journals Spring stress relief ideas Farmers' markets/eat a rainbow National Find a Rainbow Day Keep moving forward/contact us National Best Friends Day —call your BFF World Health Day/emotional health CTA Try a new hobby/health benefits Nat'l PTSD Awareness Month/CTA Tax day/financial stress Team member highlight Service highlight/children's therapy HOLISTIC HEALTH* JULY 41h of July 5 MEDITATION TIPS AUGUST National Relaxation Day/fay. ways SUMMER BUCKET LIST* ■ ER Labor Day National Give Something Away Day Favorite local day trips Patriot Day (9-11) Declutter your space/clear your mind National Wellness Month Back to school tips for parents/students Benefits of reading/Book recs/CTA Daily acts of self -care National Suicide Prevention Month Plan a summer gathering with friends Benefits of walking First day of fall Depression/anxiety highlight/CTA Celebrate the small wins Self -care Selfie/in the comments Food and mood Team member highlight Service highlight/adolescent therapy 5 TIPS FOR STRESS -FREE VACATIONS OCTOBER Halloween WHAT IS WELLNESS? NOVEMBER Daylight Saving Time ends NEW SCHOOL YEAR/NEW ROUTINE* Happy Holidays Fall colors/day trips Veterans' Day YEAR IN REVIEW* Transitions/contact us Happy Thanksgiving Check in with a loved one Try a new kind of fitness Expressing gratitude to others Tips for a meaningful holiday season World Mental Health Day/CTA Self -care during the holidays Family relationship strain Breast Cancer Awareness/wom. health Importance of movement in winter Service highlight/family therapy Sugar and your mood Team member highlight Holiday stress/CTA SEASONAL AFFECTIVE DISORDER* TRUE HOLIDAY CONNECTIONS* HAVING A BLUE CHRISTMAS?* * blog topics Prime Advertising+ Design, Inc. 6450 Wedgwood Road N, Suite 100, 41 6rove, MN 55311-3649 1 Office 763.551.3700 1 primeadvertising.com awl 2415 WILSHIRE BOULEVARD • MOUND, MN 55364-1668 • PH: 952-472-0600 • FAX: 952-472-0620 • WWW.CITYOFMOUND.COM MEMORANDUM Date: April 12, 2022 To: Mayor Salazar and Council Members From: Catherine Pausche, Administrative Services Director Subject: City Recycling Program Updates The single sort curbside recycling contract was renewed with Republic Services that increased the recycling rate from $4.00 per month to $5.25 per month. I tend to look at the utility bill as a whole and assume that we need to minimize any impact to rates at least in the neat 10 years as we are carrying significant deficits in some of the funds. Hennepin County began shifting grant funds in 2018 from single sort to organics and requiring that we offer an organics drop-off option beginning in 2022. If we don't make any changes to the leaf drop off contract, the impact will be as follows: Comparison of recycling related revenues and expenses: City of Mound Recycling Fund 2018 2022 2023 Utility Customer Rate - Recycling 4.00 5.25 5.25 Utility Customer Revenue - Recyc 179,468 228,000 228,000 Henn Co Curbside Grant 23,790 14,000 14,000 Henn Co Organics Grant 377 3,300 3,300 Curbside Single Sort Contract 174,063 219,035 219,035 Leaf Drop Off Contract 13,300 13,300 17,100 Organics Drop Off Contract - 3,300 3,300 Republic $125/month + program exp. Net 16,272 9,665 5,865 Leaf Drop-off Program The City Council approved a one-year extension with Specialized Environmental Technologies (SET)/The Mulch Store in Minnetrista at a flat rate of $13,300 vs. the proposed $3,800 annual increase for a 5-year extension. Staff questioned SET's $3,800 increase because the City's population has not changed and if anything, we have less trees today than we did 5 years ago due to tree diseases. The primary reason given for the increase was due to the increase in lake weed vegetation (mil foil), which is not the primary reason for the contract with SET. The primary reason for the program was part of the City's storm water pollution prevention program that gives residents leaf and yard waste disposal options to combat storm water pollution and illegal dumping. Without the City funded service, SET charges $8 per cubic yard or $1 per bag. At the October workshop, Staff recommended changing the period for free leaf drop off services at the Mulch Store from April 1' to November 301' (8 months) to a 6-week window in the spring and a 6-week window in the fall (3 months). Similar to the discussion on lake management policy, the thought was that lakeshore owners concerned about milfoil are a subset of our population and the intent of the leaf drop off program was to primarily address leaves in the storm water drains, assuming most properties mulch their grass with their mower and that summer coverage for free drop-off should not drive utility rate increases across the board. There are also for profit contractors that perform the mil foil/weed pulling services that appear to not pay for the disposal at SET. Organics Drop-off Program Cities under 10,000 in population are required to institute an organics drop off site in 2022. Staff has researched the option and recommends placing the two -yard locked container in the upper Centennial Building parking lot where the enclosed refuse shed is not being used. Residents will be required to register and obtain a key/combination for the lock. Based on other cities experiences, registration and locks are recommended to prevent illegal dumping. Republic Services is ready to begin servicing the 2-yard container for $125 per month and Staff is updating the quarterly newsletter and website to introduce the program. Hennepin County grants allow for up to $3300 to fund drop off sites and additional investigation is needed to determine how much of these funds can be used to buy compostable bags and starter kits. It should be noted that as part of the curbside single sort recycling REP in 2021, respondents were asked to quote curbside organic recycling services based on at least 1,000 households signing up (note: this requires a separate 35-gallon cart and a separate truck fleet to pickup). The lower bid was $7.35 per household per month, which is just not something the City can entertain in light of the existing pressure around utility bills. Providers say it will take some time to offer curbside organics recycling to individual households interested in the service so drop off sites are the most economical option at this time. The program is slated to start in May and coincide with the delivery of the May -June -July quarterly newsletter. Staff is looking direction on how to proceed with the SET contract and looking for any feedback on the launching of the organics drop-off site. Please let me know if you need any additional information prior to the meeting. -45- How organics recycling works :ri Sort it. 11 Organil NO Gd& e e NO Y len IDaA 1 Collect organics in certified compostable bags in an ice cream pail, coffee can, yogurt tub, or other collection container. Store it. Put your bags of organics in the collection container you will use to bring to the drop-off. A medium-sized bucket or pail works well. Drop it. Bring your organics to the drop-off site at the Centennial Building when it's convenient for you. Try to visit the drop- off site once a week. Organics are a not a waste! resource, 11 vy The organics recycling cycle I 4. The organics recycling cycle: 3. 1. Collect your food waste and other compostable items in an organics container. 2. Bring your organics bagged in certified compostable bags to the drop-off site. 3. Your organics are brought to a commercial composting facility and turned into nutrient -rich compost. 4. Compost creates healthy soil, improves water retention, reduces erosion, and reduces the need for fertilizers and pesticides. Hennepin County Environment and Energy hennepin.us/organics 612-348-3777 - 46 - 34701-43MTKB-22 I More than one-third of our trash is organic materials that can be composted. Bringing your organics recycling to a drop-off is an effective way to reduce your trash and make a difference. Start participating now! The Mound organics recycling drop-off site is located at the Centennial Building, 5341 Maywood Road (upper level parking lot). Contact City Hall at admin@cityofmound.com or 952-472-0603 to register and get the combination to access the container. r CITY F Organics Recycling All food ,,, , 4 Guide •E�..,., Food -soiled paper • Napkins and paper towels • Pizza boxes from delivery -� 10, • Paper egg cartons ~'^ �:u 7AE6E wwwwv Certified compostable products Look for the term "compostable°or the �y BPI logo on certified products. Other compostable "I household items • Coffee grounds and filters • Houseplants and flowers • Wooden items such as toothpicks Not accepted: • Pet waste • Yard waste • Diapers • Cleaning wipes • Grease or oil • Dryer lint and dryer sheets A note about compostable bags Although organics must be bagged when dropped off, you can choose whether to line your indoor collection container with a compostable bag or wait to put organics in a bag right before you bring them to the drop-off site. One option to avoid purchasing compostable plastic bags is to keep"wet"organics (such as food scraps) loose in a collection container and"dry"organics (like napkins and paper towels) in a paper bag. When you're ready to take the organics to the drop-off site, dump the wet organics on top of the dry organics. If you are purchasing compostable plastic bags, remember that there are many different brands available. Compostable plastic bags are sold at most grocery, hardware and large retail stores. If you've used a bag that didn't work well for you, try another brand. Remember ®� that the BPI logo must be m COMMERCIALLY y� y ICOMPOSTABLEONLY. on certified compostable FACILITIES MAY NOT 0 d FACILITIES TIN YOUR TIESMAYNOT plastic bags. • CERT #0000000 %( EC®SAFEL6400- EC®SAFE 6400- WBa% FAOQ SCRAP ND&t Fowd�W MpABLE • aE•9sSMALL467 N3G '(Uam -47- Tips for collecting organics Use a container with a vented lid Vented containers allow moisture to evaporate, slowing down the decomposition process of the food in your organics recycling container. This will reduce odors and help your compostable plastic bags hold up longer. If you're purchasing a container, look for one with a vented lid. If you're making your own, simply poke holes in the lid. Remove liquids Liquids in your organics recycling container can speed up the decomposition of food and weaken compostable bags. To avoid this, be sure to drain excess liquids before placing food scraps in your collection container. You can also place paper towels or newspaper at the bottom of your collection container to absorb liquids. Keep your container in the fridge or freezer Keeping your collection container in the refrigerator or freezer slows down the decomposition process, reduces odors, and prevents pests such as fruit flies. It can also help your compostable bags last longer. HARBOR WINE & SPIRITS ANNUAL REPORT FOR THE YEAR 2021 Wine & Spirits OVERVIEW Harbor Wine & Spirits of Mound Minnesota is a municipally owned wine and spirits retail store located on the shores of Lake Minnetonka. Harbor Wine & Spirits was created to control the sale of alcoholic beverages within the City, and to generate revenue for the City of Mound. Our continued success is based on several central factors including: a well curated selection, competitive pricing, knowledgeable staff, welcoming store design, regular in-store tastings featuring new products and seasonal selections, promotions designed to drive sales, strong community partnerships, and multimedia marketing. FINANCIAL HIGHLIGHTS The year-to-date Sales and Customer Counts are provided to the City Council on a monthly basis in the council agenda packet. Summaries of 2021 v 2020, and 1Q 2022 are shown below: Sales Customers 2022 2021 2020 2022 2021 2020 FIRST QTR 760,983 788,940 709,376 11% 26,457 27,978 26,551 5% SECOND QTR 1,018,288 1,020,201 0% 34,232 32,125 7% THIRD QTR 1,083,083 1,097,130 -1% 35,700 36,325 -2% FOURTH QTR 988,956 1,021,698 -3% 32,149 33,409 -4% TOTAL 3,879,268 3,848,405 1% 130,059 128,400 1% The store achieved the third highest in profitability in 2020 among the 18 metro - area municipal liquor stores. Achieving that kind of profitability is a combination of managing the mark-ups but also buying based on quantity discounts, which drives up inventory. Carrying inventory represents risk and the store management needs to be on guard for ensuring obsolete or underselling products are routinely closed out. The other major risks in the industry are any changes to the MN statutes regarding the sale of liquor that would open up competition and the difficulty in hiring part- time staff in an extremely competitive labor market. Page 1 of 3 Op Income OD Income Ron -debt Transfer_ $ Inventory <= 10%PRYR Sales Actual Inventory 121711XX cross operating Income %>=10% Total Payroll <=10% Year before transfers Sales Profit %>=24 Z020 = used 2020 Sales 2021 est 464,009 200,000 13.7% 525,655 3,875,315 28.88% 11.97% 8.78% 2020 441,365 175,000 11.4% 439,205 3,838,204 28.10% 11.50% 8.98% 2019 269,991 175,000 10.6% 326,683 31093,819 26.87% 8.73% 10.50% 2018 204,217 125,000 10.7% 336,883 3,092,958 25.79% 6.60% 11.29% 2017 237,333 125,000 12.9% 392,059 3,158,884 26.32% 7.51% 10.42% 2016 198,651 50.000 13.2% 390,352 3,046,662 25.48% 6.52% 10.40% 2015 232 473 50,000 13.3% 386,919 2,964,851 26.33% 7.84% 10.23% 2014 220,451 50,000 11.2% 324,546 2,919,732 26.08% 7.55% 10.16% 2013 203,189 50,000 11.7% 332,956 2,887,226 25.59% 7.04% 10.52% 2012 179,232 50,000 12.3% 327,773 2,835,506 26.06% 6.32% 10.15 2011 96 913 0 11.0% 300,400 2 675 527 27.62% 3.62% 10.68 2010 152,334 0 15.1% 414,748 2,738,976 26.98% 5.56% 11.09 HISTORY OF TAX RELIEF The liquor fund began contributing to tax relief again in 2012, after a 10-year hiatus due to the cost of the new construction. Transfers included $50K per year 2012-2016, $125K 2017-2018, $175K 2019-2020, $200K in 2021, and $250K in 2022. The funds are dedicated to capital improvements. STAFFING RELATED With the departure of the full-time Assistant Manager in March, management decided to create two part-time Assistant Store Leader positions in an effort to create greater flexibility and coverage. Part-time liquor store clerk wages were raised to $14 per hour for clerks and $16 for key holders in July of 2019, but turnover continues to be an issue and wages are once again under review. Payroll and benefits made up 61% of the total operating expense (excluding cost of goods sold and transfers). Part-time payroll will continue to be one of the more challenging and variable expenses and will need to be watched closely for the corresponding impact on profitability. PROMOTIONAL EVENTS & COMMUNITY INVOLVEMENT In spite of the pandemic, the Liquor Store staff hosted many of its annual promotions with a little creativity and a lot of enthusiasm and hard work! Repeal of Prohibition Sale - December This popular sales event features 15% all beer, wine, cider & spirits all day with safe samplings from noon to 8:00 pm. The Spirit of the Lakes Festival - July Surfside Ale/Beer Garden/ Wine Tastings/Meet Your Maker Event. Page 2 of 3 Oktoberfest Promotion - September Celebration accentuated with traditional Oktoberfest music throughout the store, played by professional accordion player Dale Grove, as well as in-store German beer samplings. The Westonka Rotary sells brats w/sauerkraut. Customers in attendance receive a one -day -only 15% discount on the full selection of beers. Sponsorships — coordinated with vendors to fill a bucket of samplings that were given away with each $50 donation to WeCAN's annual fundraiser and was a sponsor of WeCAN's Timber Creek Women's Golf Tournament. Anniversary Sale / Rare Whiskey Release - February 15% all beer, wine, cider, seltzer & spirits all day (excluding rare whiskies). The event includes a Westonka Rotary Fundraiser where the $5 registration fee is donated to the Rotary and the name is entered into the pool to be eligible to purchase a rare whiskey. The $43K in record sales in 2022, surpassed 2021 by over 70%! PRIORITIES FOR 2022 • Implement a formal part-time pay progression that will reward longevity and reduce turnover. • Implement a more rigorous vetting process for part-time employees to ensure new employees are able to perform the physical aspects of the job • Continue to build on the momentum from 2020/21 by retaining new customers and the reputation of being a destination for rare products and amazing selection. • Continue to actively manage inventory by closing out obsolete, underperforming product, maintaining target gross profit margins, and auditing discrepancies. • Stay on top of emerging trends and challenge sales reps to help finance sales and promotions and buyout/down underperforming product. • Look for innovated ways to market/promote the benefits to tax relief and continue the community engagement events and sponsorship. Page 3 of 3 -50- No- ��) FAAL CITY OF MOUND Mound Fire Department 2021 Annual Report -51- Mound Fire Department 2021 Annual Report This 2021 Annual Report is compiled for the Mayor and Councilors for the City of Mound, and shared with Fire Commission and all Elected Officials of the other cities that we proudly serve. Section I. Introduction and Overview The year 2021 was a successful, but challenging year for the fire department. We met all the challenges of the COVID 19 pandemic and simultaneously increased focus on firefighter health and wellness. The training of, and maintaining our dedicated staff remains our highest priority. In 2021 our staff number decreased from 41 to 40 firefighters; the 40 firefighters include the fire chief. Our department continues to recruit and train new firefighters with a seamless transition that allows replacement of our retiring more experienced staff. Our Fire -Rescue callouts in 2021 were high at 659 vs. 597 in 2020, which is a substantial 10% increase. Callout activity was significantly higher than our five-year average of 590. The higher number of Fire -Rescue callouts in 2021 is likely due to police staffing shortages and an increase in EMS medical calls during the pandemic. Our firefighter emergency response hours decreased slightly by 104 hours from the 2020 levels, with hours in 2021 at 11,626 vs. 11,730 in 2020. Throughout the year in 2021, we continued to limit our team -based work environment (less gatherings) due to the health and safety limitations caused by the COVID 19 pandemic. Section II. Organization and Administration We continue to hire solid hard-working individuals, although recruiting and retention is much more of a challenge today than it was in the past. Our mission is to hire people that support our department philosophy, understand customer service, and anticipate long term service tenure. The recruiting, training and retaining a staff of 40 firefighters is an ongoing priority and major challenge, especially in a pandemic environment. Throughout 2021, we continued our practice of restructuring our team -based training schedule and eliminated most large group training sessions. The department consists of a staff of 39 volunteer firefighters, one full-time administrative assistant and full-time fire chief for a total staff of 41. A staffing summary for 2021 is.... • One firefighter retired, and one resigned as he relocated out of our state • One firefighter retired in 2020, but then returned to active duty in 2021 • We averaged 18-19 firefighters responding per emergency call, which is exceptional • In-house training hours was 2,763, plus another 980 of outside schools training ■ In-house hours for repairs and maintenance were 1,331. Our firefighters perform repair and maintenance on apparatus, equipment, and the fire station on Saturday mornings. -52- • Our staff led or attended 53 Public Relations and/or Fire Prevention events in 2021 and clocked 1,289 staff hours (these are all pure volunteer hours). A bit less than normal. • Our crews responded to 19 mutual aid requests in 2021 vs. 23 in 2020, with a total of 655 staff hours providing mutual aid assistance to other fire departments and cities. • We have a diverse and energetic group with 518 years of accumulated experience. Our combination of experience and youth can outperform any fire department in the area. • As of 12-31-2021, 23% of our firefighters have less than 5 years of experience, which is often a benefit to the department because of their athleticism, enthusiasm and energy. Our firefighters, through hard work and dedication provide an incredible number volunteer hours, with a very conservative estimate of all work by firefighters in 2021 at 18,391 hours. Section III. Finances and Budget The department 2021-year end operating budget was positive, partly due to the added revenue of grants and donations. However, the overall fund balance was reduced because we took the opportunity to address some glaring capital needs in 2021. A financial summary is as follows: • The fire reserve account fund balance at the beginning of year 2021 was $505,069. The fire reserve fund balance decreased by $109,693 to a 2021 year-end balance of $395,374. • Several major capital purchases were made in 2021. All budgeted and planned, as these purchases were necessary to address apparatus and equipment needs. The purchases were made knowing the fund balance would be reduced (refer to CIP purchases summary). • The overall financial strategy is to draw down the fire fund balance over the next few years to support the departments Long Term Financial Plan, which includes the bonded debt payments due on the ladder truck and new HDR pumper. • The facility payment of $282,940 ends in 2022, and will be a major relief to our budget! • A critical supplement to our yearly budget has been donations and grants. In 2021, our donations and grants added approximately $29,000 to our revenue. • Since 2003, MFD has received $576,746.00 in grants. This amount has added significant $ to the department for equipment purchases and to increase the reserve fund balance. Section IV. Strategic Plan and Initiatives In 2004, I began a Strategic Plan Initiative with a focus on the following top four key areas: 1. Personnel Staffing 2. Budget and Financial 3. Apparatus - Equipment 4. Fire Station Facility In 2021, we continued our efforts to focus on personnel and staffing that includes succession planning and staff development, plus we expanded our training plan and goals. I have made a commitment to a substantial increase of attention and funding on firefighter Health, Wellness, and Safety. Example: In the past several years, 2011 thru 2021, we have spent $235,441 on upgrading our personal protective equipment for firefighters. This includes protective turn -out - gear, helmets, boots, gloves, professional gear washing and gear washing equipment. Our Strategic Plan "Top Four" as listed above will continue to be our focus, with new initiatives added as necessary to support our goals of professionalism and operational excellence. -53- Section V. Capital Improvement Plan (CIP) Apparatus and Equipment Replacement: in general, expenditures on major Capital Improvement Projects over the past 19 years has been low due to budget limitations and financial constraints. A major factor to our financial constraints has been our $282,940 annual facility bond payment. In 2021, our position with regard to Capital Improvement Plan (CIP) projects improved greatly. We have made major strides and progress on addressing our CIP needs. Some examples are: • We purchased a new Polaris UTV Utility Grass Rig w/Pump at a cost of $36,043, which replaced an old obsolete 1986 Chevrolet Gras Rig. • We purchased a new 2021 Chevy Tahoe Duty Vehicle at a cost of $56,930. The new truck replaced our 2010 Tahoe. We sold the 2010 Tahoe to St. Boni FD for $10,000. • We ordered a Pierce Heavy Duty Rescue Pumper on 12-16-2021 at a cost of $675,474. The price includes a nice $23,091 pre -pay discount. Bonds were sold with $600,000 in proceeds available. The new engine replaces Engine #24 a 1996 Freightliner Pumper. • We purchased two different sets of Holmatro Extrication Tools (a hydraulic set and battery tool) at a cost of $26,408.65. These sets replaced obsolete 20+ year old tools. • Two other large apparatus will need to be replaced and are on the horizon: Heavy Rescue #22 (1990) and Engine #29 (2003) at a cost of approximately $1,305,000. We continue to analyze and consider new concepts to meet our ever changing apparatus and equipment needs. Fire apparatus and equipment are very expensive; therefore, prudent cost- effective apparatus purchases are a must. We continue to evaluate our needs and, in some cases, downsizing some of our trucks and/or purchasing apparatus that are more versatile. The Fire Commission is very active and involved in discussions pertaining to apparatus needs and replacement plans, weighing in on financial feasibility, and our future purchases. The Fire Commission involvement is essential to our Long -Term Financial Plan, our Fire Fund Reserve Balance, and all future CIP purchases. City Hall and Fire Station: our facility remains ideal for our daily administration, staff activities, apparatus housing, equipment storage, training, and emergency response operations. However, the facility is already 19 years old and there are facility repair and maintenance items will need to be budgeted for and addressed in the relatively near future. The repair items that will need attention will be included on the updated Long -Term CIP for our facility. As mentioned earlier, some great news is annual bonded debt payments of $282,940 will end in 2022. The ending of facility bond payments will help our budget and Capital Improvement Plan significantly. As bond payments end; the updated Long Term Financial Plan will include setting aside $ for major repairs for HVAC, roof replacement, and other facility maintenance. 2021 Priority Projects: • To make substantial progress toward solving CIP financial challenges through planning and the purchase of capital equipment, with focus on apparatus replacement. Then update the Long -Term Financial Plan with projected revenue, expenses, CIP, and pension plan funding. -54- • In 2021, fire apparatus and support vehicles were a priority. We performed a needs analysis in 2016, created a plan, justified needs, and began implementation of the plan. We continue to work the plan in 2021, and have made HUGE gains with regard to apparatus replacement. • In 2021, the Fire Commission and Mound City Council approved a Bond Sale for a new engine purchase in 2021. The bond proceeds amount was $600,000 at an interest rate of less than 2%. And we expect delivery of the new Pierce Heavy Duty Rescue Pumper late in 2022. • The Mound Volunteer Fire Relief Association Pension Plan has been solid with the funding level and investment performance very good. An actuarial valuation on the pension fund is due in early 2022, based on the find balance as of 12-31-2021.The pension fund balance on 12-31-2021 is $6,157,292.72. A pension benefit increase may be near or on the horizon. Section VI. Challenges for the Future The Nationwide trends and struggles that many paid -on -call fire departments face today is due to the lack of volunteer firefighters. Many local Mpls Metro area fire departments are changing their business model by hiring full-time staff or moving to assigned duty shifts. Our current Volunteer Firefighter Business Model brings an incredible value to the customers and residents and should be maintained as long as possible. Challenges for Mound Fire include: • Recruiting, Training, Retaining high quality individuals as volunteer firefighters • Managing the high costs associated with hiring, outfitting, and training new staff • Developing new Officers and Leaders, to replace retiring firefighters and officers. • Implementing Health, Wellness, and Safety Programs for firefighters and their families, including the high cost of replacing Turn -Out -Gear at a cost of approximately $95,469 for 2022 and addressing all other protective equipment needs and safety practices.. • Creatively and effectively managing volunteer staff time, to reduce time commitment • Monitoring call types and utilizing staffing models such as our Duty Officer Program. • Having a Long -Term Financial Plan, updated with revenue and basic operating expenses, plus major expense categories to meet our administrative, staffing and operational needs. • Funding the replacement of Old Obsolete Apparatus that are critically important: ➢ Heavy Rescue 422 is 32 Years Old: replacement cost of approximately $575,000 ➢ Engine #29 is now 19 Years Old: replacement cost of approximately $730,000 • Sharing services (mutual aid or other) among other fire departments and communities to insure cost effective, efficient, and high quality service. Section VII. Summary of Accomplishments Fire, Rescue, and Service calls continue to increase. Our professional staff continues to meet the challenges of time commitment, hard work, training, and increased work load. Hiring, training, and development of our staff have been very successful in 2021, and upheld over the long haul. Our staff of firefighters and administrative personnel continues to be our most important asset and is being sustained as a key strong element. Although 23% of our staff has less than 5 years of service and lack experience, we have continued to achieve our goal of providing professional level of service at a low cost. 4 -55- • Our improved Insurance Services Office Public Protection Classification Rating of 3, effective April 1, 2021 confirms our high -quality level of fire protections services. • Prudent Budget Management in years past and in 2021 has created a positive financial position. Grants and donations have been a major success to help lower our costs. • Duty Officer Program: in 2021, our duty officers responded to a total of 316 calls which approximately 48% of our calls. This program greatly improves our response times and efficiency. The Duty Officer program saved an estimated 723 staff hours in 2021. • The Mound Volunteer Fire Department Relief Association Pension Fund is managed well and the balance of $6,157,292 remains healthy and is a key benefit for our firefighters. • In 2018, our department raised the bar on Firefighter Health, Wellness and Safety. This program has continued in 2021 in the areas of personal protective equipment (PPE) for firefighters and a focus on MnFIRE Training for staff. • The COVID 19 pandemic has presented a new set of ongoing challenges. We have adapted to the challenges and successfully navigated through in 2021. 2022 Priorities and Focus: Top 5 Priorities 1. Create a DRAFT Strategic Business Plan (or model) with a purpose of creating a solid foundation for updating our Long -Term Financial Plan. 2. Create a Long -Term Budget Forecast and Financial Plan through year 2030, including all major purchases and our Capital Improvement Plan $$. 3. Continued our focus on developing our entire staff, including Officers and Firefighters: through Recruiting, Hiring, Training, and Retaining of high -quality people. 4. Continue our focus on and attention to Firefighter Health, Wellness and Safety Programs 5. In 2022 and 2023, Mound Fire Department will begin to celebrate 100 years of dedicated community service. We will be planning for a very special centennial celebration. Looking to the future, I believe we can improve our long-term budget and solidify our future operations by continuing to partner with Minnetrista and Spring Park. I recommend we look to expand and partner with other cities and other lake area fire departments. A fire district concept would create an expanded fire protection plan, and lead to more efficient use of firefighters time, support staff, apparatus, and equipment. In the long term, a fire district would also be a benefit to the residents of Mound, Minnetrista, Spring Park, St. Bonifacius, Orono, and other communities. In closing: the cost of fire protection services in Minnesota is extremely low when compared to other U.S. States. In a recent study, Minnesota ranked 48th nationally in fire service costs. The low costs confirm the need to maintain our volunteer fire service model as long as possible A special thank you to our city officials, fire commission members, and citizens for their continued cooperation and support of the Mound Fire Department. Respectfully submitted, Gregory S. Pederson, Mound Fire Chief 8 April 2022 -56- No - AFL) CITY OF MOUND Mound Fire Department Introduction & Overview -57- MOUND FIRE DEPARTMENT 2021- Firefighter General Information and Job Requirements ✓ The Department responds to 550 - 600 Fire / Rescue Calls Annually ✓ Firefighters must respond to a minimum of 33% of Calls for each quarterly (3) month period. This amounts to 175-200 calls per year minimum. ✓ Firefighters must attend in-house Training Drills per month (2 or 3 minimum per month on Monday night); however you are allowed to miss 1 one er quarter. ✓ Firefighters must attend (1) one General Business meeting per month (lst Monday of month), can miss (1) one per quarter ✓ Firefighters must attend (1) one Station and Truck Maintenance every (5) weeks, typically on Saturday morning. Must work a minimum of (6) hours of maintenance per quarter. ✓ Firefighters must work at annual Fish Fry and Dance. One entire weekend and 3 - 4 nights are necessary in May to sell Tickets. ✓ Firefighters must pass our Firefighter Based Physical Agility Test (initial and annually) ✓ Must Complete Firefighter I and II Training, Basic HazMat, and 1st Responder (EMR) within the 1st 12-15 Months of employment. ✓ Firefighters must perform to department job performance standards and successfully complete the (1) One Year Probationary Period ✓ Firefighters must live within Fire Service Coverage Area ✓ Also, firefighters must attend Miscellaneous Schools, Conferences, Etc. as necessary to meet Certification and Training requirements. Employee Benefits ✓ Pride and Ownership of belonging to a Ist Class Organization, new job skills learned, and the benefit of helping others within your community. ✓ Firefighters do get paid and earn wages for fire response, training, and maintenance. Our firefighters are considered Paid -on -Call and get paid two times per year (May and December). ✓ Comradery and Friendship with about 40 other firefighters! ✓ We have an excellent Retirement - Pension Plan for our firefighters which pays pension benefits after 10 years of service and up to 30 years of service. Current ✓ Example of benefits would be: a 20 year retiree at the age of 50 years receives a Lump Sum Payout of $117, 280. Emm Mound Fire Department DRAFT 2021 Activity Report 2021 EMERGENCY CALLS DUTY TOTAL ALL OFFICER CALLS CALLS CALLS FIRE/RESCUE CALLS IN OUR PRIMARY SERVICE AREA 640 608 32 MUTUAL AID CALLS OUT OF OUR SERVICE AREA 19 19 TOTAL OF ALL FIRE/RESCUE CALLS 659 627 32 INCLUDING MUTUAL AID 2021 FIREFIGHTER EMERGENCY HOURS ALL DUTY TOTAL CALL OFFICER HOURS HOURS HOURS FIRE/RESCUE PERSONNEL HOURS IN OUR PRIMARY 10,971 10,933 38 SERVICE AREA MUTUAL AID FIRE/RESCUE PERSONNEL HOURS 655 655 FIRE/RESCUE PERSONNEL HOURS 11,626 11,588 38 INCLUDING MUTUAL AID 2021 FIREFIGHTER HOURS BREAKDOWN FIRE/RESCUE PERSONNEL HOURS 11,626 INCLUDING MUTUAL AID MAINTENANCE HOURS 1,331 TRAINING (IN HOUSE) HOURS 2,763 TRAINING (OUTSIDE) HOURS 980 MEETING HOURS 402 PUBLIC RELATIONS / FIRE PREVENTION 1,289 TOTAL VOLUNTEER HOURS 18,391 -59- Ai N O N O N N V aJ L LL 10 C m V N Q) oc 4- 0 3 0 10 Y m L m E t m Q. 0 L 6L 10 C 0 /� N O N O N O N 01 ei O N 00 0 N l"' N O O N N M � O N N Ln O � N V 3 0 (� N N rn \ o � N L LL N rl � 4-0 O N F0 rl � N4-6 E o L O m N � 01 O O � N L LL 00 N C� N tD O N Ln O O N O O N rn O O N O O O O O O 0 1l to u1 Rt M N 'i m L U u U 0 0 Y v m V 0 'x 0 0 a z • 450 400 350 300 250 200 150 100 50 0 7000 E f 6000 f 5000 I 4000 I 3000 2000 1000 0 Mound Fire Department 2021 Total Calls by City Mound Minnetrista Shorewood Spring Park Mutual Aid Standby w Calls Mound Fire Department 2021 Firefighter Hours by City Mound Minnetrista Shorewood Spring Park Mutual Aid Standby ❑ Hours -61- MOUND FIRE DEPARTMENT Summary of Fire and Recsue Calls 2021 vs 2020 vs 2019 Average Total Hours Total Calls Hours Total Change From Total Change Avverage Change Year Calls Previous Hours From Hours per form Previous Call Year Previous Year Year 2021 659 62 11626 -104 18.48 -2.34 2020 597 39 11,730 2,374 20.82 3.24 2019 558 1 1 9,356 1 17.58 J:\admin\Fire Commission\Summar ire Calls from 2019 vs 2020 vs 2021 - 152 - 10- "�) FAL CITY OF MOUND Mound Fire Department Organization and Administration -63- U N C E N � CD E � UJ G U 0 C C O [0 C;) M E ° O D O m 06 w C a)N O CU O a a C) SA c o C (n O od is O _D 0 > > U a) c � a) C: i - [i LL d cn cn U in a N U) c O rn °6 N c N cn C cu E a) cm _ c a) E O) m C O U 22 N N O d 06 U cn d O >O U fl F=O N 0) O 0d Od QO cna L LI fx 4-- ca _ 0 od =N� (U a) E m c a) U) F- a) E O O —06CU i�E �0)E a U��rn C .0 07 p� U a) ,u >a0a- 0� U) a- a 06 0) 0 U v; = n3 N CU a C� = U cn c Q� c u c° N Ea N L N Q'ru a) " Q Q L) Q O Q O O O Quiix �'aw Qa �cn C cv a a CDC oa 2 � o -O c . d co ccu j � E a) U 06 - n E E a) o6 �O Q` ~ cn � cu `- a) : O ?: .2 'U c0 c?Ea) W= Zcu LLO 0 , :3 (Y- , of E z �O L LO Q LO 0 � o 0 C L � LL N � N 0 N m in = L Lo N LL C E Y pl Q L F7 } m cl c cl L � v}1 L O Q W N cV d' 9 sr d a V V � } in in Q Q W It It 16 7 } O V1 U -0 F7 m O m Y V Q ti CLFp, 1 } C N sr toil � L RlE p C L = } } .-+ a a > V 3 a 4-- 0 E H Y Ct O tO L- ti w CO kn a W V � O O Y 7 N2aa'LYap v1 N m N W } .N L } )( O > Q C(A) v L PtiV Qcol- E M X O sr � Y C Y_ Lc M -0 S = UI > N Q L. O �-i Y } > 0 ` L N to C JO Q & F7 L io V Z w 7 N cC I MOUND FIRE DEPARTMENT Years of Service List START Rank No. NAME DATE EQUIP. # Yrs Svc Chief 1 1 GREG PEDERSON 2/3/1975 18 Over 20 years 46.91 Asst. Chief 2 2 GREG PALM 4/1/2013 15 (Return to Svc) 37.67 Captain 11 3 TIM PALM 10/3/2015 17 (Return to Svc) 32.24 4 EDDIE VANECEK 3/6/2017 34 (Return to Svc) 29.98 5 BOB CRAWFORD 11/6/2017 6 (Return to Svc) 26.93 Asst. Chief 4 6 MATT JAKUBIK 11/17/1997 37 24.12 7 DARREN POIKONEN 2/19/2021 30 (Return to Svc) 22.27 8 STEVEN HENKELS 9/10/2001 2 y 20.31 Asst. Chief 3 9 MIKE MCCARVILLE 1/6/2003 35 15 - 20 years 18.98 Lieut. 14 10 MIKE FOLEY 5/10/2004 16 17.64 Captain 15 11 PAUL JOLICOEUR 5/10/2004 39 17.64 Captain 14 12 JASON RICE 7/26/2004 42 17.43 Asst Chief 5 13 ANDY DRILLING 5/20/2006 25 15.62 14 BEN FOSTER 5/20/2006 29 15.62 EM Specaialist 15 BRYAN GORMAN 11/5/2007 21 10 - 15 years 14.15 16 MATT MORRIS 11/5/2007 44 14.15 17 AARON CRANDALL 10/5/2009 8 12.24 18 SHAWN HAYES 10/5/2009 38 12.24 19 JEFFREY BRYCE 3/21/2011 46 10.78 Captaint 16 20 NICK FARLEY 3/4/2013 52 5 - 10 years 8.83 21 DANNY GRADY 3/4/2013 47 8.83 Captian 12 22 CHRIS HEITZ 3/4/2013 48 8.83 23 DANIEL PATTERSON 3/4/2013 51 8.83 24 JEFF OTTENBREIT 7/21/2014 53 7.45 Lieut. 12 25 TANNER PALM 10/5/2020 54 7.22 Lieut. 11 26 DAN BERENT 10/3/2015 55 6.24 27 MICHAEL CATTON 10/3/2015 57 6.24 28 CARTER PALM 10/3/2015 58 6.24 Lieut. 16 29 MATT LINDER 4/4/2016 60 5.74 30 RYAN DE VEREAUX 9/12/2016 61 5.30 31 DOUG GAWTRY 9/12/2016 62 5.30 32 ALEX ERICKSON 3/25/2017 63 Under 5 years 4.77 33 BRENT KNUTSON 3/25/2017 64 4.77 Lieut. 15 34 JOEY BLACKSTONE 12/4/2017 67 4.07 35 TREVOR WOYTCKE 11/5/2018 68 3.15 36 TRAVIS POUNDER 8/31/2019 69 2.33 37 JC MORALES 11/18/2019 66 2.12 38 DEREK BEININGEN 2/3/2020 70 1.91 39 SAUL CALDERON 10/5/2020 72 1.24 40 MICHAEL JABS 10/5/2020 73 1.24 *Years of service is as of: 12/31/2021 Updated 02-01-2022 JAadminWdministration, Staffing, Organ ization\Activear%Tiation\Seniority List - Current E 3 Z r c O� m O N O � O Ln O r-I N O N O N 0 N 01 r-I O N 00 r-I 0 N r-I O N w 0 N Ln ri O N Rt r-I O N m r-I 0 N N r-I 0 N r-I r-I O N 0 r-1 0 N (3) 0 0 N 00 O 0 N t\ O 0 N -67- IN- L) CITY OF MOUND Mound Fire Department Finances and Budget O M O M O N o 0 0 0 0 0 0 0 d 0 \ r 0 \ Il- O O O m V) O M 0> r O N s- O It O Q O O N O O O M Q. 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N rl� M & r-I N 14 in V} N V} in V? 0) 0)LL LL LL Q °- 4-" N � N C a c a°o � a� v (� � to U C 7 N '� N U Nu ° m E •�-0 CL v z V) E am c z m o°1c 2 l7 w w o m w n a ri 01 01 N ri VF M m 00 G1 m obi ri M cq Go LO ri fb 10 J Q -70- A 0 00 0 �D' M M C 9 N f A C1 � N Go �O O Ln a 43 -. z C� o e O a ra- v Q a 3 Q °; _ °' 0 a � z oc 3 o oC 3 u a xo, Ln G W C z n U. 0 z O L6 C W J a a a -71- MOUND FIRE DEPARTMENT, 2415 Wilshire Blvd, Mound, MN 55364 2020 BUDGET SPREADSHEET - 42260 COVID-19 EXPENSES MARCH - DECEMBER 2020 Vendor DESCRIPTION TOTAL PRICE DATE PURCHASED INVOICE Credit Card (Amazon) Nitrile Gloves Large $149.04 04/23/20 x Emergency Medical Products Nitrile Gloves L and XL $96.86 04/14/20 x Jubilee Foods Clorex Disinfecting Wipes $36.54 05/12/20 x Jubilee Foods Clorex Disinfecting Wipes $36.54 05/12/20 x True Value Clorox Bleach $14.38 04/16/20 x True Value Rubbing Alcohol $5.92 04/16/20 x Emergency Medical Products Nitrile Gloves L $21.59 04/28/20 x Emergency Medical Products Nitrile Gloves XL $107.95 04/28/20 x Jubilee Foods Clorex Disinfecting Wipes $32.67 05/12/20 x Jubilee Foods Clorex Disinfecting Wipes $38.70 05/12/20 x MES 3-Ply Personal Protective Masks $110.35 05/12/20 x Clarey's Safety Equipment Safety Googles $171.10 05/26/20 x Clarey's Safety Equipment Safety Googles $160.00 06/09/20 x Credit Card (Amazon) Disposable Face Masks $131.96 06/23/20 x Emergency Medical Products Nitrile Gloves $21.59 05/26/20 x Emergency Medical Products Nitrile Gloves L $86.36 06/23/20 x Northstar Companies MFD Face Mask for Firefighters $600.00 06/18/20 x Clarey's Safety Equipment Googles $171.30 08/12/20 x Credit Card (Amazon) Face Masks $79.84 08/24/20 x Credit Card (Amazon) Protective Eyewear $25.21 08/24/20 x Credit Card (Amazon) Safety Glasses $28.89 08/24/20 x Credit Card (Amazon) Disposable Coveralls $221.08 08/24/20 x Credit Card (buyinsulationproducts. com) N95 Masks $125.00 08/24/20 x Credit Card (vitaflexusa.com) BiosafetyDispoable Hoods $161.00 08/24/20 x Credit Card (Amazon) Hand Sanitizer - Germ-x gel $35.38 09/23/20 x True Value 32 Qt Storage Boxes for PPE on trucks $53.95 09/17/20 x Credit Card (Amazon) Safety Glasses $15.35 08/24/20 x Credit Card (Amazon) Clorex All Purpose Cleaner w/Bleach $60.16 10/23/20 x Credit Card (Amazon) Disfenctant Spray $85.92 10/23/20 x Credit Card (Amazon) Disfenctant Spray, Spray Bottles $17.50 10/23/20 x Credit Card (Costco) Shelving $144.72 10/23/20 x Credit Card (Costco) Containers for PPE $45.31 10/23/20 x Credit Card (Costco) Shelving, containers for PPE $32.39 10/23/20 x Credit Card (Amazon) Disposable face masks 6 boxes (50 ea) $58.90 12/23/20 x Northstar Companies MFD Face Mask for Firefighters $600.00 11/24/20 x Northstar Companies MFD Face Mask for Firefighters $625.00 11/24/20 x Credit Card (Amazon) Disposable Face mask $59.40 12/23/20 x Credit Card (Soulo Communications 12" Social Distancing Circles $20.00 04/23/20 x True Value 16oz Bottle Sprayer - Fire Dept $5.92 04/16/20 x $4,493.77 J:\admin\Emergency Management\COVID-19\FEMA - CARD FT - GRANTS\Material Summary March - December 2020 ., m E E 7 6n t0 C m E U. m 0) } to N d LL c 7 O 2 \ 0 \o 0 \ 0 \ 0 O�O00OCOOd'O \ 0 \ 0 \ 0 \ 0 \ 0 \ 0 \ 0 \ 0 \ 0 OOOtnCO \o 0 \ 0 \ 0 \ 0 \ 0 Cl) \ 0 CorN \ 0 \ 0 \ 0 t` \o 0 O \ 0 (D 0)to00rNrMor- tco 0MMW 0 0 0 N 0 N co C CO I� W CA (A W 0 CO CO n W W 0 W W 0 W W 0 00 o CM 7 N (A LL cc •` ?,�+ O 0 o 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 O O O O O 0 M NM V 0M0MMr-P-P, M V MP -No W Mo I_ N 4 r O O T N N r In T W In N O T W CO to _ O r C) Co O CA M O CO N Lq 1, N C et O Co to In O CO C0 P' T r W CO N Q J WWC)'tOOMOON(D-CDC —(7)LO -erOpM000 O r M N M44T000 COrCO'clCAf4O(OrMM�CO�(A T T (O �a P- N tot r C1 M M CO 0 M N 00 P- CO M r r r T T T T M c �Q6964Vi643,v9 fie E»(a 1 69, eqce.E»E»w'U)(a1wcflc!ru9el. 69 1 C O 000000000000000000000 O O O O O N O o O O O O O O O O O O O O O O o O O o O O O O O O 1\ C WrCV 00MM0P-a—MMI,MU) r-N� O C'M I�NNN � 7 LL 9MtDOCOOONONCO�tnlf�r WNNOO Wr WOO- W W W V Co�(AW ONIC)r11-0-0C,W OCAOW NO0)I� V CA O T 00000 � W CONIn6(DtnM CO C0 N v CO-04Cl) COC'MON NC,) •� CO P' Lf 0 W O T 1" V r P- 0 (1 O C'M 0 P M In 00 W T r et V n M O M r 0 r- LO r N O O M r­ CA It 00 W In CO CO I` CA 00 tp a- CU 'r- Q V a r r T N N N N N N N Cl) CM 07 V M M V7 4 4 V V uj I() If) I() CO CO 7 N U 69 Vi 69 w 64 Vi 64 Q) 69 6A v% V! 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N Lq Cli WMOW W OMIlCOTcOCOtntQCOCO WOOOOOOOMOOOOO(ONOR Ul C L CM r- I[') 1,- O 00 tr) 00 00 00 N 0 CO W 0 I!) 0 O 0 N r In r o0 T CV N U) N CA N M M M't't - CM In IC) r*-I� It Lo N If) N M N M N 0 N N M In M W CM r 1,-0 LO M LO11) f� o CO 6y = a r r r r r r T T r l� r r r T r T T T r r r O U V)' 64 69 69 61 69 69 64 69 69 69 W. 64 69 6R V} 6! 69 64 V} V} 64 69 6H II 64 69 69 64 69 64 69 I 64 64 64 69 m 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 o O o 0 0 0 o 0 0 0 0 0 0 0 O c!O to to LL) Uf O O to to ICJ If) O O O If) � 0 0 00 lC) T O O M U1 O O � 7 � O �2 u• 64 69 6A 6fi 6A 64 69 69 6A 6A II 4 64 69 I I 64 69 69 64 69 69 (0 69 6A 6f} 6A 61) 69 69 69 0 O 0 O 0 O O 0 o 0 O 0 o 0 O 0 O 0 o 0 O 0 O 0 O 0 O 0 o 0 O 0 O 0 o 0 O 0 O 0 O 0 O 0 O 0 O 0 O 0 O 0 O 0 O 0 O 0 C ++ 0 o 0 W 0 M O N o N O W o N O O O O O O O M O M M Cl)V v W N M OD r 00 N� CA O O N O N O C'M o N �; 0) N 4616 T M M N 6MrM6 W In C0 W�� q- V H M MI�MI�M_M00 O f� M� CD O rA S O N T M Co W N NNN N CN CO W N C.� In I`I­ N N co_ N Ld MCOO M Or) v It TMCOOl�OMW v It I 'T In In Il) 0 0 OD MN� 0 W W NCO 0 r MN M0 r*-I­ tiN W W OMNO W W r-:C W m O W to I 69 Vi 69 64 64 69 64 6911 9 69 69 69 69 Vi V) 69 09' 64 64% 0% 69 64), V) V l el -II e9l M It In O N co 0) O T N M � M CO � CO 01 O r N_ M 11) CO f� W CA O T N Cl) It In CO W CA d } m m m m m m m O O O O O O O O O O O O o 0 0 0 0 0 0 0 0 0 0 0 0 c) 0 0 0 0 r r r N N N N N N N N N N N N N N N N N N N N N N N N N N N N N N N o` 0 M C4 N 0) y N C) c a f0 �U IL a� rn v CYI Z m E E CO m .v N c LL m d r to LO LL 2 IN - CITY OF MOUND Mound Fire Department Strategic Plan Initiatives -74- Mound Fire Department 2004 'Strategic Plan for Successful Fire Operations Purpose: The Mound Fire department must have a Short Term and Long Term strategy for continued successful and efficient operations. The strategic plan for successful operations must include a wide range of diverse services, plus maintain a cost effective and reasonable budget. Our goal is to provide the highest level of emergency response and customer service to our residents. The strategy must include a well thought out comprehensive plan that assures the highest level of public safety services to our communities. Scope: The strategic plan for continued successful operations must consider the service requirements of our current customers, plus be comprehensive enough to envision growth and future needs associated with changing community dynamics. The plan must focus on and consider the critical necessary resources to support the ever changing fire service operations. These key critical recourses would include people, equipment, facilities, supplies, and financial support. Key elements: The critical components of any fire department are quite simple and basic. Take away any of the three basic components and the operation will not succeed. Even though all three components are critical, the priority of importance is as follows: 1. Personnel/People: • Personnel - numbers, location, and time of availability • Adequately trained and diverse firefighters • Well trained officers • Firefighter commitment 2. Equipment and Supplies: • Apparatus — trucks, boats, trailers, etc. • Firefighter turnout gear and safety equipment • Basic tools and equipment of all types (i.e. fire hose) • Specialized tools and equipment (i.e. extrication tools, water rescue suits) e Supplies to support all operations including: fire, hazmat, rescue, etc. 3. Facilities: 3/18/05 • Response facilities to store apparatus, equipment and supplies • Training facilities for firefighter training and education • Maintenance facilities for maintaining and cleaning everything • Centralized facilities for efficient response times • Additional or support facilities for large scale events and emergencies -75- ER 0 I EVERY DEPARTM NT, EVERY LEADER .-Too V. F. 0' - 41,4 E(;Oa TOO-3**l012 MkIMMMkr.,/ I I . The number of volunteer -firefighters in the U.S. is at a two -decade low, for a variety of socloeconomlic reasons. Here's how to reverse the trend. 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O x .;. .;. .;. .;. .;. + + —77— I CITY OF MOUND Mound Fire Department Capital Improvement Plan CIP MOUND FIRE DEPARTMENT 2022 Apparatus and Equipment - Future DRAFT Unit Number Equipment Type Description Radio Alias ID 22 Rescue 1990 E-One Utility Heavy Rescue CQMrnand Vehicle R12 24 Engine 1996 Freightliner Pumper E12 26 Utility 1999 Ford Pickup F250 Crew Cab U12 28 Boat 2001 19' Silver Wolf Boat - 225 HP B11 29 Engine 2003 Salisbury Pumper E11 30 Utility 2003 Pace American HazMat Trailer TR11 35 Tanker 2007 Freightliner Tanker/Pumper T11 38 Boat 2009 Zodiac 11'Boat - 15 HP B12 40 Engine 2010 Freightliner Tanker/Pumper E13 42 Chief Officer 2013 Chevrolet Tahoe 4x4 SUV SQ01 43 Rescue 2016 Chevrolet Suburban SUV R11 44 Ladder 2016 E-One HP78 Ladder Truck L11 45 Utility 2018 GMC Sierra Pickup F350 Crew Cab U11 46 Utility 2021 Polaris Ranger UTV G11 47 Duty Officer 2021 Chevrolet Tahoe 4x4 SUV D01 48 Engine 2022 Pierce Heavy Duty Rescue Pumper E11 J:\admin\Operations\Apparatus\Apparatyt rformation\Trucks\Apparatus List 2022 Mound Fire Department 2008 Apparatus Utilization and Response Concepts We must evaluate and implement a short term and long term plan that reconfigures our apparatus and equipment fleet, and then implement response sequence changes that are more appropriate, efficient and effective. "Big Iiire" "Small Fire" "EMS" PI Accident Special Hazard No Major change Smaller Apparatus Smaller Apparatus? Change response Not sure, needs TBD Change Response 009 or be on 009 or be on ate in 2008 009 or be and Comments, Concepts, Action Items and Implementations Steps: 1. Dispose of some of our OLDER JUNK apparatus that we do not need! (i.e. F-Troop, Gamma Goat, R19) 2. Evaluate our utilization of each apparatus and apparatus type to determine usefulness and justify future purchase. Better utilize our Existing Apparatus by establishing and redefining each apparatus purpose (Grass #11, Utility 422) 4. Brainstorm about better and more sensible apparatus purchase while considering our ISO PPC rating ... $$$$ 5. Possibly reduce the numbers of apparatus, replace apparatus we need, have better newer equipment, or at a minimum less expensive apparatus when BIG BUCK HIGH TICKET $$ trucks are not needed. 6. End Result: Newer — Better — More Efficient — More Appropriately Equipped — Less to Maintain, Check or Test, and Repair — Ready for Anything Apparatus Random thoughts: 1. Our emergency response calls are more unusual and bizarre than ever before — we get called out for anything and everything which requires a NEW SET of Rules and Tools! 2. Actual Fire calls are less than in the past, special calls for services are more than ever. 3. We need a smaller well equipped (loaded with stuff) combined use vehicle for Special Response Calls, EMS, Service Calls, Duty Officer, Light Response Vehicle. 4. Our small Grass Rig Mini -Pumper works well and needs more use! 5. Our Utility Truck #22 needs to be reengaged and out back into the mix, but needs a revamp of inventory, tools and equipment to make it more useful. 6. We need to determine i we are Prepared for all types of calls and what we might want to add to our toll box of tools and training. What types of calls should we train for? 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W a w O 1 WE xa G7 a w q V W o, w O l WE Ya R a ar iz O N R o, v kz q a✓ e r W ue ar w q O) cC a d w O 0♦ c7 a Ll w O N re W a d w A Oi �C a ar w A W re ro a v w" C L s 07 a d w C a r 0R a d w O e r a � 'w O a z W a d •w" G N o. d 'w' O ra W d e 'w q e z R a d 'w' O l0 a ar w O N d e A ,a O C N o d O a A o d O F a 0 Y r O V FO N N 7 N �D N 00 N F N " N O M M M en M r M `� M m M F 00T M en O MH -7 N 7 M a of 7 In 7 00 N 7 M o n 2415 Wilshire Boulevard Mound, MN 55364 Main: 952.472.3555 Fax: 952.472.3775 www.mound.fire.com September 2, 2020 TO: Mayor Ray Salazar Mound City Councilors City Manager Eric Hoversten FROM: Fire Chief Gregory S. Pederson SUBJECT: Engine -Pumper Apparatus Purchase FY-2021 On July 22, 2020 the Mound Fire Commission Board approved the 2021 fire department budget which included a comprehensive Capital Improvement Plan (CIP). Included in the CIP is the purchase of a new Engine -Pumper truck which will replace our 25 year old Engine #24. Engine #24 is a 1995 Freightliner 1500 gpm pumper truck and is overdue for replacement. Engine -Pumper trucks are absolutely essential to our fire suppression efforts in all types of fires, primarily in commercial or residential structures. This new truck would become our "I" Out Engine" on fire related callouts which amounts to more than 100 responses per year. These types of trucks are expensive but have a relatively long life span of approximately 15-20 years. Justification and Comments: 1995 Freightliner Engine Pumper 1500GPM 2021 New Engine Pumper 1500 GPM Currently cate orized as a back-up truck due to age Becomes our primary Is' out Engine -Pumper Responds only 25 times per year out the door Will respond often at 100 + times per year Repair costs $36,569.97 over the past 6 t/z Years With warranty - repair costs will be minimal Non -Compliant to NFPA 1901 Apparatus Standards 100% NFPA Compliant — for Operations/Safety Truck is old design - not operationally versatile New design concepts greatly improve versatility This memo is requesting approval to proceed with the bond sale to support the purchase of the new Engine -Pumper in FY 2021. The budgeted cost for a new Engine -Pumper truck is $675,000, with a bond sale amount of $600,000 and remainder for funds to come from fire reserve account. The need to replace the old obsolete truck is easily justified based upon its age, extensive repair history, and non-compliance when it comes to the National Fire Protection 1901 Standards for Automotive Fire Apparatus. COPY Emm 2415 Wilshire Boulevard Mound, MN 55364 Main; 952.472.3555 Fax: 952.472.3775 www.moundfire.com December 7, 2021 TO: Mayor Ray Salazar Mound City Councilors City Manager Eric Hoversten FROM: Fire Chief Gregory S. Pederson SUBJECT: Engine -Pumper Apparatus Purchase FY-2021 Pierce HDR-Pumper Truck 1500 GPM This MEMO recommends final approval of purchase of one (1) Pierce Heavy Duty Rescue HDR-Pumper truck at a contract purchase price of $675,474.00, including all prepayment discounts as shown in the contract. Delivery lead time: approximately 15 months. The purchase price is based upon the Houston -Galveston Purchasing Consortium and discount pricing. As per our normal fire department process, we formed an Apparatus Replacement Committee to thoroughly evaluate our needs to determine the best fire truck for both short-term and long-term needs. Pumper trucks are essential to fire suppression efforts when responding to all types of fires. This truck will be a 1 st out rig and respond to emergency callouts over 100 times per year. The Piece HDR-Pumper is clearly the best choice regarding quality, efficiency, and value for the cities we serve. The HDR-Pumper will have a long -life span of 15-20 years. Background: on July 22, 2020 the Mound Fire Commission approved the 2021 fire department budget which included a comprehensive Capital Improvement Plan (CIP). Mound City Council approved the CIP and purchase and the fire department budget in September 2020. Included in the CIP was the purchase of a new Engine -Pumper truck to replace our 25-year-old Engine #24, which is 1995 Freightliner 1500 gpm pumper truck. The 2021 budgeted amount for a new Engine -Pumper truck is $675,000, with a bond sale cash of $600,000 and the remaining balance of $75,474 to come from fire reserve account. NOTE: this Engine -Pumper purchase was on hold for 6-8 months because fire department administration applied for an Assistance to Firefighters FEMA grant in the amount of $610,500 to fund another fire truck purchase. Unfortunately, we were notified by FEMA'several weeks ago that our grant request was not approved for funding. The grant application caused a project delay; however, the grant application was well intended and worth the effort. J:\adman\financial, budgets, contract, expenses\financlal 2021- budget and fire contract\capital improvement plan\pierce hdr pumper purchase memo 12.08.2021.docx i 3 MACQUEEN EMERGENCY MacQueen Equipment, LLC 1125 7th Street East St. Paul, MN 55106 Sold To: CITY OF MOUND 2415 WILSHIRE BOULEVARD MOUND, MN 55364 GUST PO: Contract Ship To: ONE (1) PIERCE HDR-PUMPER MOUNTED ON AN ENFORCER CHASSIS PER BID/PROPOSAL #1027 PLUS PERFORMANCE BOND LESS PREPAY DISCOUNT* TOTAL DUE MACQUEEN EMERGENCY INVOICE No. PPY-MOUND-1027 Date: 11 /30/2021 Terms: UPON RECEIPT $698,565.00 INCLUDED ($23,091.00) $675,474.00* *DUE WITH CONTRACT FOR PREPAY DISCOUNT TO BE APPLICABLE. Please remit to: MacQueen Emergency 1125 7th Street East St. Paul, MN 55106 Subtotal $ 675,474.00 Sales Tax Invoice Total $ 675,474.00 Page 1 PERFORM. LIKE Nu OTHER. 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L. ao40 `� 0100'u c� VCR NOOt9N IiMW W Attachment A City of Mound, MN $8,470,000 General Obligation Bonds,Series 2020A Issue Summary Current Refunding 2011 B & New Money Total Issue Sources And Uses Dated 11/04/2020 1 Delivered 11/04/2020 Cur Ref Cur Ref 2011 B - Sewer 2011E - Utility Improvement Issue Portion Equipment Rev Bonds Summary Sources Of Funds Par Amount of Bonds $4,150,000.00 $575,000.00 $1,870,000.00 $1,875,000.00 $8,470,000.00 Reoffering Premium 157,050.95 37,705.35 92,212.70 100,669.40 387,638.40 Total Sources $4,307,050.95 $612,705.35 $1,962,212.70 $1,975,669.40 $8,857,638.40 Uses Of Funds Total Underwriter's Discount (0.643%) 26,692.67 3,698.38 12,027.78 12,059.94 54,478.77 Costs of Issuance 40,242.12 9,006.97 19,205.75 13,611.16 82,066.00 Deposit to Project Construction Fund 4,240,116.16 600,000.00 - - 4,840,116.16 Deposit to Current Refunding Fund - 1,930,979.17 1,949,998.30 3,880,977.47 Total Uses $4,307,050.95 $612,705.35 $1,962,212.70 $1,975,669.40 $8,857,638.40 FUNDS TO FUND 602 FUND 222 RECORD REVENUEIN LONG TERM PREMIUM DEBT 601 $45,456.96 601 $921,830.99 602 $31,982.22 602 $648,573.94 675 $14,773.51 675 $299,595.07 DISCOUNT ISSUANCE COST 601 $5,929.19 601 $9,467.62 602 $4,171.61 602 $6,661.15 675 $ 1,926.98 675 $3,076.98 Series 2020A GO Bonds CR I Issue Summary 1 10/13/2020 1 10:55 AM g�EHLERS 601 49.30% 602 34.68% 675 16.02% ND 364 FU L9 0 0 0 0 0 ~ 0 0 0 o N Ui IsN 000 N L0o 000 ooi m a N N N N m 1L N N N N p W fV C W z E M O O O O O OQ Ov O O1 Ov OO Oan Omv Om pn N« O O OOO O O O O ppp p pmm Om Ln Ln LiIn Li NwpOpOOOOQO C l0 .00 O m lza Oa + 00 N NE C rl m N N O O O O O O O O O N0 O O O O O O O O 0 0 0 0pg O O O O O O O O O V .n C N m O n a rl rn V a Lon N N N N N N N N Lp rl m O1 0 O 0 O O p O O O O O Ol n O O O O O O O O O O O o Ln Ln LO Ln Ill LA Ln Ln Ln Ln o h g m In Ln Ln Ln Ln Ln Ln Ln Ln Ln Ln ❑ M M •, N N N rl Ol n V O r1 h N od r v o m LA r,rA LA is a r-,A r, r, r, r, 'ni cni 'ni 'ni Ci � y N C z Ol O O O O O O O O O O O O O O O O O O O O O O 01 W a+ n Ill Vl Ln Ln Ln - Ln Ln Ln Ln N Vl Ln m Ln Lq I Ln Ln Ln O O 0 1l r, r, r, N r, r, rl r, r, r� r, r, r, 1, 1, rl 1, r, 1, o o h a m W Ill h r, r,h N N N N N N r, n h n n n N N N N N Ln m in al N Ln rl r-I 1D lD r1 r1 Ln Vl Ol al M m h n O O O O O h W 00 Ill 0 V a m m .i .ti o o 00 00 LD w 0 0 m m N N .ti ti a N �+ 'i rl ei rl rl ri rl rl rl rl Ol C � ~ u O O O O O O O O O O O I O s a 0 o 0 0 0 0 0 0 0 0 8 0 0 0 G 0 0 0 0 0 0 0 0 0 0 0 7 � c o LA c o m o o 0 o o m o y m ra ti Ln Ln Ln LO r° r° r, aho m W C � n o o o' o o o o o o n ly O H rl O O O O O O O O O Ol o O o O o 0 o O o rl cn z Lrr m 0 m r` of 0 v m N N rl o Ol n .--I O O1 N rl LO f n n ID ID n n w n n M � � 0 J z Q n 0 0 0 p O O O O O pp O pp O pp 0 0 0 0 0 " L . .. 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Firefighters As Tactical Athletes These extreme physical, mental and environmental Physiological Demands of Firefighting stresses increase the firefighter's risks of morbidity and mortality for: Cardiovascul (Increased HR and BP, Decreased Stroke Volume) e Hematological (Decreased Plasma Volume;,, Hemoconeentra4oR) .1�: Thermoregulatory (Elevated Core Temperature, Dehydration) Respiratory (Increased Breathing Rate and Oxygen Consumption) Metabolic (High Oxygen Cost, Increased h Lactate, Fatigue) Immune/Endocrin (Increased Leukocytes and . . Hormones) Nervous (Sympathetic Surge and Increased Adrenallne), Muscular (Increased Oxygen Use and Heat Production) Adapted from Figure 2 -Smith, D_L, et al 12G10). f F rviae First Responder Hea4h and Safery Lahonatory, Skidmore College. . . events-: Cardiovascular events are the leading cause of on duty deaths among firefighters' and, for every line of duty death, there are an estimated 17 non -fatal cardiac events on duty among firefighters'. Musculoskeletal The National Fire Protection Association estimates firefighters get more than 71,000 injuries a year', Behavioral Of firefighters, 46.8% have considered suicide and 15.5% have had an attempt during the course of their career. In 32 states and in 9 Canadian provinces, several types of cancer are considered work-related.s Family history and lifestyle habits obviously add to these risks. The purpose for this document is to assist the healthcare provider in the evaluation, treatment, and ongoing surveillance of the health and wellness of firefighters. The recommendations in this document are supported by ongoing clinical research of firefighters' health and by the extensive experience and expertise of the providers caring for them. These recommendations are offered as assistance for healthcare providers making clinical decisions regarding the medical fitness and/or treatment of firefighters. They are not to take the place of your medically reasonable, appropriate and necessary medical evaluation of the firefighter. As with any clinical references, they should be used with the understanding that ongoing research may result in new information and revised recommendations. For more information: fstaresearch.org/GetChecked FSTOR To provide feedback: fstar@iafc.org 741EFIGHFFR SAFE,0UGH — 92— ADVANCED RESEARCH • r I A TIT I ► ■ ,. The awareness training — taught by fellow firefighters and other health experts — teaches firefighters how to protect themselves from the three problems most commonly experienced by those in the fire service: cardiac, emotional trauma and cancer. If your department has already completed our awareness training, consider registering for one of our new, deep -dive sessions. NEW! Deep Dive Sessions These two-hour sessions are catered toward those who have already completed our MnFIRE Awareness Training and want further education on the different health risks facing firefighters. These trainings are available whenever it's convenient for your department, either in -person or virtually. These classes are tailored to both department leadership, and firefighters themselves. REGISTER AT MNFIREINITIATIVE.COM/MNFIRE-TRAINING -93- 4-J M V) ri7 ► E O L 0 O �L 0 i� m 4A L aA N G_ +_ N LL E �e cu cn U M M G Q E, L X N LU (� m +-+ .N � L to CU m QJ L LJ V C- a a) m N V Ll_ b.0 0 atemJ L V O .� CA am 4mJ m a� L r-I N m 4 Ln l0 I� 00 Ol M W t A� W � Mg �--� m a °^ O C c.i O C L a? 4— V u. V vi A N N U fC c u0f Q) I '}0 Od 5. 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C LL, E J .o a N ~ Q MOUND FIRE DEPARTMENT - TURN OUT GEAR SUMMARY 3/4/2022 Priority = H = High M = Medium L = Low Primary Priority NAME Condition H-M-L BEININGEN 2013 REPLACE H BERENT 2018 GOOD L BLACKSTONE 2021 GOOD L BRYCE 2018 GOOD L CALDERON 2013 REPLACE H CATTON 2013 GOOD M CRANDALL 2018 GOOD L CRAWFORD 2013 GOOD M de VEREAUX 2021 GOOD L DRILLING 2021 GOOD L ERICKSON 2013 GOOD M FARLEY 2013 REPLACE H FOLEY 2007 GOOD M FOSTER 2013 REPLACE H GAWTRY 2013 GOOD L GORMAN 2018 GOOD L GRADY 2021 GOOD L HAYES 2013 GOOD M HEITZ 2013 GOOD M HENKELS 2007 REPLACE H JABS 2007 REPLACE H JAKUBIK 2021 GOOD L JOLICOEUR 2021 GOOD L KNUTSON 2013 GOOD M LINDER 2013 GOOD M MCCARVILLE 2021 GOOD L MORALES 2018 GOOD M MORRIS 2007 REPLACE H OTTENBREIT 2013 GOOD M PALM 2013 GOOD L PALM 2018 GOOD M PALM 2013 REPLACE H PALM 2013 GOOD M PATTERSON 2021 GOOD L PEDERSON 2007 GOOD M POIKONEN 2007 REPLACE H POUNDER 2021 GOOD L RICE 2013 GOOD M STUHR NONE REPLACE H VANECEK 2013 GOOD M WOYTCKE 1 2013 GOOD M Back -Up Priority NFPA Condition H-M-L 2007 GOOD H NONE REPLACE H 2013 GOOD L 2013 GOOD L 2018 GOOD M NONE REPLACE H 2007 REPLACE H CONDEMN REPLACE H 2013 GOOD L 2013 GOOD L 2007 REPLACE H 2013 GOOD M 2007 GOOD M 2007 GOOD H 2007 REPLACE H 2007 GOOD M 2013 GOOD L 2007 REPLACE H 2013 REPLACE M 2000 GOOD H NONE GOOD H 2007 GOOD M 2013 GOOD L 2013 GOOD M 2007 REPLACE H 2013 GOOD M 2007 REPLACE H 2007 GOOD H 2007 REPLACE H NONE REPLACE H 2007 GOOD H 2007 GOOD H 2007 REPLACE H 2013 GOOD L NONE GOOD M NONE GOOD H 2007 GOOD M NONE REPLACE H NONE GOOD M 2007 REPLACE M 2013 REPLACE M Globe Extreme Honeywell- Morning Pride Globe Athletix PRIMARY & BACKUP SET TOTAL $2,995.95 $3,526.17 $3,671.90 $2,995.95 $3,526.17 $3,671.90 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $2,995.95 $3,526.17 $3,671.90 $2,995.95 $3,526.17 $3,671.90 $2,995.95 $3,526.17 $3,671.90 $2,995.95 $3,526.17 $3,671.90 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $2,995.95 $3,526.17 $3,671.90 $2,995.95 $3,526.17 $3,671.90 $0.00 $0.00 $0.00 $2,995.95 $3,526.17 $3,671.90 $2,995.95 $3,526.17 $3,671.90 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $2,995.95 $3,526.17 $3,671.90 $2,995.95 $3,526.17 $3,671.90 $2,995.95 $3,526.17 $3,671.90 $2,995.95 $3,526.17 $3,671.90 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $2,995.95 $3,526.17 $3,671.90 $0.00 $0.00 $0.00 $2,995.95 $3,526.17 $3,671.90 $2,995.95 $3,526.17 $3,671.90 $2,995.95 $3,526.17 $3,671.90 $2,995.95 $3,526.17 $3,671.90 $0.00 $0.00 $0.00 $2,995.95 $3,526.17 $3,671.90 $2,995.95 $3,526.17 $3,671.90 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $2,995.95 $3,526.17 $3,671.90 $0.00 $0.00 $0.00 $2,995.95 $3,526.17 $3,671.90 $2,995.95 $3,526.17 $3,671.90 $2,995.95 $3,526.17 $3,671.90 2,995.95 $3,526.17 $3,671.90 KtNLALt I U 1 AL KLFLALL I U I AL �► % IQaN. ► V 771,�OV.YLI 777,YV7.YVI HIGH 10 HIGH 21 MEDIUM 16 MEDIUM 13 $0.00 $13,785.72 17,574.70 LOW 15 LOW 7 REPLACE 10 11REPLACE 15 1 41 J:\admin\Operations\PPE-Apparel\Turnout Gear and PPE\2022 Turn Out Gear Summary 2.18.2022 -97- 00- �') FAA CITY OF MOUND City of Mound Emergency Preparedness 2021 Annual Report m9m City of Mound Emergency Preparedness 2021 Annual Report This report is to provide a summary of the City of Mound Emergency Management and Preparedness (EMP) Department activities and accomplishments for the year 2021. Section I. Introduction and Overview The year 2021 continued our focus on the importance of Emergency Preparedness (EMP) for the City of Mound and in general, all communities. The ongoing COVID 19 Pandemic and focus on Civil Unrest were in the forefront. These two unforeseen priorities increased our planning and meeting activity, and increased staff time with regard to emergency management. While the Emergency Management and Preparedness department is separate from the fire department, there remains a common mission of Public Safety and Health. A summary page of the 2021 Impact of the COVID 19 Pandemic is included as part of this report. Section II. Organization, Staff, and Budget Our Emergency Management and Preparedness staff is small with a part-time staff of 3 as indicated in the attached organizational charts. The EMP budget is small at $46,656 for 2021. In 2021, the department spent approximately $48,273 and was $1,717 over budget. A primary reason for coming in over budget was salary increases (higher than budgeted) for staff. • EMP budget includes allocation of 35% of the Mound Field Officer salary and benefits, and no $$ allocation for fire chief or administration support from the fire department. • EMP budget also includes contractual $$ for maintenance and monitoring of the 3 sirens and funds for the city-wide notification system (called RAVE). • There were no Capital Improvement Plan projects for Emergency Preparedness in 2021 Section III. 2021 Challenges and Priority Projects There were a significant number of continuing declarations, programs, processes, or protocols that were implemented in 2020 that carried over into 2021. These continued programs involved and impacted many of us including our Mayor, City Council, City Manager, Fire Chief, and many other hard working staff members. In 2021, the activity level and job tasks related to Emergency Preparedness continued to be higher than most years. A list of 2021 carry-over projects is a bit redundant but very relevant, with the list of highlights is as follows: Utilizing the City of Mound and Lakes Area Emergency Management Operations Plan Adhering to Mayoral Declaration No. 2020-1, issued by Mayor Salazar and City Council EME • Maintaining virtual monitoring status of City of Mound Emergency Operations Center • Following the Comprehensive City of Mound COVID 19 Preparedness Plan (based upon Minnesota Governor Walz Executive Order - Emergency Declaration). • Continuing to use Beat Practices for Health and Safety Protocols for all City of Mound staff (examples: fire department EMS System and PPE Guidelines, plus a revamped Safety and Response Plan). • Continued meetings.... and more virtual meetings, related to COVID 19 Pandemic and Civil Unrest (sample agenda - West Lake Fire Group weekly meeting agenda). Section IV. Summary of Accomplishments All city staff adapted to new protocols and worked together to successfully navigate through 2021 with many new procedural, operational, and financial challenges. All essential city operations were performed pretty much flawlessly. All of our successes were accomplished without any negative impact on city wide services or customer service quality. Section V. 2022 Priorities and Focus: • Complete Large Scale Incident Training for elected officials and city department heads • Fully active and test all systems of the City of Mound Emergency Operations Center • Update the City - County Mitigation Plan and Continuity of Operations Plan (COOP) • Research and evaluate available options (and the practicality) for securing, fencing, or building a barrier around city hall, police precinct, and fire station in the event of civil unrest or some kind of protect or assault on our facilities (refer to sketches). Respectfully submitted, Gregory S. Pederson Mound Fire Chief Director of Emergency Management 11 April 2022 -100- 10- '�) FAL CITY OF MOUND City of Mound Emergency Preparedness Introduction and Overview - 101 - P!41 '1 0 k I CITY OF MOUND EMERGENCY PREPARDNESS (E.P.) Introduction and Overview • Emergency Preparedness: Emergency Management and Homeland Security Divisions are in place at all levels of Government. ➢ Federal Homeland Security — Federal Emergency Management Agency ➢ State Homeland Security — State Emergency Management Division ➢ Hennepin County Emergency Management ➢ City of Mound Emergency Management • All Federal, State, County and Local Divisions have had their hands full over the past 22-24 months. ➢ COVID 19 Pandemic ➢ Civil Unrest Related to Minneapolis Incident ➢ Civil Unrest and issues related to National Election • In 2021, there has been continued focus and more work related to E.P. • EP has a role to provide protection, support and mitigation in areas: ➢ Preparing for potential disasters: Natural and Man-made ➢ Overall Safety and Protection of Citizens ➢ Mitigation of Disasters (floods, tornado, civil unrest) • EP is often overlooked and taken for granted by citizens until needed • City of Mound Emergency Preparedness and Emergency Management is a very small department, with a small budget. Still Critical for Residents! ➢ The City of Mound has jurisdiction for any type of City Emergency ➢ Disaster or Crisis support would come from County, State, and Federal Level. • Elected Officials in Mound have important duties as it relates to supporting the City of Mound (and Lakes Area) Emergency Preparedness Plan. ➢ Understanding their Role as Elected Officials: I.e. Leadership and Involvement ➢ Commitment to Basic Training and Knowledge about E.P. ➢ Allow the Professionals and Well -Training individuals to do their Jobs ➢ Financial Support and Major $$ approval when necessary -102- I CITY OF MOUND City of Mound Emergency Preparedness Organization, Staff and Budget -103- W E cm cu ca U O N � a E ww o -j U N W U N LL C O 4-a E co cu U W cm N E w a E cc N N � O N 0 � _ � O mad 'c O H a O i tmwW N D _ a) _ cn • EM4� L � wa=a w _, a 0 L N .E al c 0 E N = m NL2 E c L '=OpLo �U= cJ= o.— a�WN°-� 'CM 0=0ti coU �'v•v �as2E_.O .=.=mo0 cnULLL=aa 1 1 1 1 1 1 c15 a 0 r- w 0 d.IME _ % Q.= L Y O oas._CLtM= L. @0m >.od 0 0 4 _ m N 0 O Lm E.=_aMaa)0 a wUQcoaU O -104- II.Q IZ Q) rz Q) cu Q) 2 N Ei W U 0 M ,N z ca 2 O N O N 4-0 0 W E co cu cu ►i U ow L 21 a) a) 0- 4- cm (D o U N 0 U -105- O m O E ^Q U W E O 0 Ln M a° v N OA O t o s 4 �+ 3 on 00 N N o N W m m 0 � o N N O CL O L a +1 r_ N ao m O � I � I � I L + f0 � t S o ' a C u m 0 fC O a X r + a r O N Q S aJ a o 0 Z v m +' O r u C n a 0 Y0 1 E C N C 0J Z m c p D L0 3 t F Y O C Q 4- v O m v 3 U d N L N f C v O V — Ln ro O U — C lo L w O V T Y n 3 fco 0 0 c c r 0�•E co ac o w w w •E v U o Y o a c o v o v v L N a Q m = u a w 7 w> U V N 00 O O O OI I C i 0 C O iA > In J c Oi O C J x rX 'C j 1 tw � � c y i OJ Y °c° ai H m O J v C C A N O E w iCL rnn T I p o C Q o C C � o S m N E ' E T E °c O V p V C w � C In b`A Y 0 i Q 2 0'W R V' O N a W C O L W Hin m O= O 7 C —0 N N w O Q c ai mC: C , u ` O •O O c i — c fo v u 0) 'a+ U OJ •0 O Iuir v 0 0 c z ¢ ¢ u 'ooCl 0 0 0 0 0 0 O O O O 0 0 0 0 0 O O O O O O O O O ri o O o o o o o O r, 0 0 0 o O 00 0 0 m H ui rn H In nLr m m m 0 0 0 o o 0 0 0 0 0 0 0 0 w 0 0 0 0 O o do rn -4 lm N w Z >C O Z U o w N 00 0 0 00 0 0 0 0 0 0 0 0 Lri 0 Ln r l r'fl lD a o o o •� v -Ln i� tr� r V) J). 0 Ol r-I O N 0 �--1 m V W r-iO O N N N m m m fiM m V -* V -tt V O Oo 01 N an vl • 4Y-- E O= O_ C IOiI O L X 7 0) W�^ v N a Vl � N :J - � -- N C a In H V H Q N C to N C V 2 a, 7p fl- LU 0Z{ m cL.l ti0 N rco 6 O O J Y 41 w '^ u fco C W Z ` f0 u OD In N V Ev -coW> W W CL z a)C v L 0V O FO- 2, in l7 w 0 101 O v 01 ` L � Y T rn u , O W v O ru 0 a T h O U C C: c D v O V) T 3 V v c c a° o V C a Y X CU ru w a V 0 c 0 aci 3 z 0 W z � O z O W z O o O o ' m z 00 r, Cf v uj LU Z V� Vf V? uT 1-1 N 0 N w z 5 N W F- z 2 O C a H a, a 0 u 0 Y -0 .Q r0 Ev O 0 w O p c ro C d C V) n w N � In V w-• wa 0 m a C0 c v Q C 0 0' c 01 ro v n a a Vn D N O 3 c v c O T o O Q O McL V7 V 01 , C V 7 YO O E a' \ aJ' Ln a i a + o �0 o 10 o LL E u a O +-' N O U W In" 3 0 W 'In N O N E v a o n m a U 0 n v C: c v a c O o 0 m E¢ ;; a� 0 �Q W p 'o w ao m O u�_ " co , >> v r�N c v v CO m LL- 7 r f0 0 J N N G O N m 00 r-4 (,4 Z:) 0 IO Q O c, o v ai w v aJ l a�i a a� a —m a > >' j. a > > O et a O In yr In In Ln V) m 00 00 d9 m eG C 9 m � .M .12 E .M a a` v v 91 y 5i o W r. 0 0 0 0 0 0 c y 0 rl C N N 0 ~ 0 O O O O y O Q N 0 0 0 0 0 0 0O C 0 0 0 C 0 v o oa o O O Ln lD t4-Ln 4A 0 C 0 0 0 C 0 0 It mao00 � 00 I � if� -Ln lf�IV�I�-Ln �J) V.�'4 G m OC E w � 'a.. E _ o a ago a a c ti W, curn �_ Z O N O w W 01 Z Oro W C Z " V) v g °- u c 2 •:c o c q O LU m, r W VI m C 00 �� g�Ln ►_� 0 06 1' F ate+ W a c m n 0 `o E>w o W n J n p W26 poZ C0= v E O N O o a m v o aEi �n a U g O �. lD OCO 7 N a o_ LU fa 0 C ` C 01 rr a u Q c (D '� L a o cO a 0 ydj H m LL f0 2 z a J ` C `0 C 01 0) Z Z= O In m `O 3� v 1 a W W O 09 u''^ t' S7 3 'O C Odd., n m 2 0 Oman °sago Il E 4/11 /2022 Emergency Management 2021 Financial Budget Summary (City's Decembe Financials - Final) Code Description 2021 Approved 2021 Processed 2021 Paid EM Balance City Balance % Expanded 100-190 Salaries and other comp. $ 33,976.00 $ 37.699.97 $ 37,699.97 $ (3,723.97) $ 3,723.97 110.96% 202 Copy Machine & Fees $ - $ - $ - #DIV/0! 210 OperatingSupplies $ 1,500.00 $ ,. $ 1,042.48 $ 457.52 $ 457.52 69.56% 212 Motor Fuel $ 500.00 $ 229.55 $ 229.55 $ 270.45 $ 270.45 45.91 % 220 Re airlMa!nt Supply $ 100.00 $ - $ 100.00 $ 100.00 0.00% 321 Telephone $ 1,280.00 $ 1,188.34 $ 1,188.34 $ 91.66 $ 91.66 92.84% 329 361 Sirens/Phone Lines Gen. Liability Ins. $ $ 2.500.00 600.00 $ $ 2.560.50 565.21 $ $ 2,560.50 565.21 $ $ (60.50) 34.79 $ $ 60.50) 34.79 102.42% 94.20% 381 Electricity $ 600.00 $ 530.23 $ 530.23 $ 69.77 $ 69.77 88.37% 430 Miscellaneous $ 200.00 $ 39.00 $ 39.00 $ 161.00 $ 161.00 19.50% 431 Meeting Expenses $ - $ 25.00 $ 25.00 $ (25.00) $ 25.00 #DIV/01 433 Dues & Subscri tions $ 200.00 $ 200.00 $ 200.00 $ - $ - 100.00% 434 Conferences & Schools $ 1,600.00 $ 892.79 $ 892.79 $ 707.21 $ 707.21 55.80% 438 Licenses and Taxes $ - $ - $ - $ - #DIV/0! 440 Other Contractual $ 3,500.00 $ 3,300.00 $ 3,300.00 $ 200.00 $ 200.00 94.29% 500 Capital Outla $ - $ - $ - #DIV/0! Kcal p -- 40� 3 4t{,X73.07 $ 4U,273.07 $ 1,717.07 $ 1,717.0 103.69 JAadminlFlnancial, Budgets, Contract, ExpensestFinanclal - EmergencIMO?&men1\2021 Emergency Management Budgett2021 Budget Summary I L) CITY OF MOUND City of Mound Emergency Preparedness 2021 Challenges and Priority Projects MUM LAEM EMERGENCY OPERATIONS PLAN Basic Plan Revision 3 Introduction The Lake Area Regional Plan establishes a framework through which the member cities may prepare for, respond to, recover from, and mitigate the impact of a wide variety of disasters and emergency events that could adversely affect the health, safety, and/or general welfare of the citizens of the member cities. Because it is a framework, the details of how this is accomplished are contained in the operations documents of the respective cities. The Lake Area Region includes the cities of Corcoran, Deephaven, Excelsior, Greenfield, Greenwood, Independence, Long Lake, Loretto, Maple Plain, Medina, Minnetonka Beach, Minnetrista, Mound, Orono, St. Bonifacius, Shorewood, Spring Park, Tonka Bay, Wayzata and Woodland. The Lake Area Emergency Management Group is responsible for coordinating plan development and maintenance. The emergency management director for each jurisdiction is responsible for distribution of the plan, preparation and maintenance of standard operating guidelines, resource lists, and checklists and may distribute to department heads and others as the director deems necessary. I. Reason for Plan The Lake Area cities are subject to natural disasters such as tornadoes, floods, and blizzards. In addition, other disasters such as train wrecks, plane crashes, explosions, infectious disease outbreaks, release of hazardous materials, and foreign or domestic terrorism can occur at any time. An emergency plan is needed to articulate the management of a given hazard/disaster. II. Pun2ose The Lake Area Plan describes the basic strategies and mechanisms through which the cities will mobilize resources and conduct activities to guide and support emergency management efforts using the National Incident Management System (NIMS). The Lake Area Plan is designed to coordinate resources to: A. Maximize protection of life and property B. Ensure continuity of government C. Sustain survivors D. Repair and restore essential facilities and utilities III. Legal Basis and References A. Public Law 920, as amended. B. Public Law 99-499, (Superfund Amendments and Reauthorization Act (SARA) of 1986.) Page —1 -109- CITY OF MOUND, MINNESOTA MAYORAL DECLARATION NO. 2020-1 WHEREAS, the Mayor of the City of Mound, Minnesota ("Mayor") finds that the following local emergency ("Emergency") exists inthe City of Mound, Minnesota ("City"): On March 11, 2020, the World Health Organization determined that the COVID-19 outbreak constitutes a pandemic. On March 13, 2020, President Trump declared a national state of emergency as a result of the pandemic. 2. On March 13, 2020, Governor Tim Walz issued Emergency Executive Order 20-01 declaring a state of peacetime emergency to address the COVID-19 pandemic in Minnesota. The Governor's Executive Order along with this Declaration triggers activation of the City's emergency management plan and enables the City to exercise its emergency powers. 3. The spread of COVID-19 in the United States and Minnesota has raised serious public health concerns and resulted in a great deal of uncertainty. Much remains unknown about the virus, how it spreads, and the scope of its health impacts. WHEREAS, Minnesota Statutes, Section 12.29 authorizes the Mayor to declare the existence of the Emergency, to invoke necessary portions of the City's emergency plans, and to authorize aid and services in. accordance with interjurisdietional agreements; and WHEREAS, Minnesota 5latutes, Section 12.37 authorizes the City, acting through its governing body, to: (1) enter into contracts arrd .incur obligations necessary to combat (lie disaster byprolecting_the health and safety of persons,and proper y and by providing emergency assistance to the victims of the disaster; and (2) exercise the powers vested by that suction in the light t,f th.e exil;encies of the disaster without compliance with time- consumingprocedures and formalities obetwiseprescribed by taw; and WHEREAS, the Mayor finds that the Emergency is sudden and could not have been anticipated; and WHEREAS, the Mayor finds that this situation threatens the health, safety, and welfare of the residents of the conununity and threatens the provision and delivery of city services as a result of the Emergency; and WHEREAS, the Mayor finds that the Emergency poses the risk of and may cause catastrophic loss of public health, safety, and welfare if not immediately addressed. NOW, THEREFORE, as the Mayor of the City of Mound, Minnesota, I declare that a Local Emergency exists effective immediately in the City of Mound, Minnesota, This declaration of a local emergency invokes all necessary parts of the City's emergency plates including, but not limited to, all appropriate community containment and mitigation strategies. To the extent normal state laws and City policies and procedures impede an efficient response or compliance with federal and state directives and recommendations, the City Manager, Emergency Manager, and their designees are authorized to suspend compliance with those laws, policies, and procedures and to take those actions necessary to protect the public health, safety, and welfare, r Dated: March _�, 2020,% _ -- RFlyl-n 1FILI J S Tr,ayor City of Mound, Minnesota DOC SOPENN A745\1 \043214. vl -3 / 16/20 �,.hc 1 ouvy COVID-19 Preparedness Plan (updated September 3, 2020) Section l: General Information The City of Mound and its subordinate reporting activities is committed to providing a safe and healthy workplace for all our workers. To ensure that, we have developed the following Preparedness Plan in response to the COVID- 19 pandemic. Managers and workers are all responsible for implementing this plan. Our goal Is to mitigate the potential for transmission of COVID-19 in our workplaces and that requires full cooperation among workers and management. Only through this cooperative effort can we establish and maintain the safety and health of our workers and workplaces. The COVID-19 Preparedness Plan Is administered by the City Manager, who maintains the overall authority and responsibility for the plan. However, all management and staff are equally responsible for creating, supporting, Implementing, complying with, and providing recommendations to further improve all aspects of this COVID-19 Preparedness Plan. The success of this plan and the anticipated positive outcome is weighted heavily upon all city of Mound employees to support all aspects of the plan by following protocols and strict adhereance to workplace safety practices, The City of Mound's managers and supervisors must have the full support of all employees in enforcing the provisions of this plan. Our workers are our most important asset. We are serious about safety and health and keeping our workers on the job at the City of Mound. Worker involvement is essential In developing and implementing a successful COVID-19 Preparedness Plan. We have involved our workers in this process by challenging Inputs and feedback through supervisors to the management level, engaging our municipal peers in comparing best practices, and referring legal matters to the League of MN Cities, our Labor Attorney, and our City Attorneys. The City of Mound's COVID-19 Preparedness Plan follows the Industry guidance developed by the State of Minnesota, which Is based upon Centers for Disease Control and Prevention (CDC), Minnesota Department of Health (MDH) guidelines for COVID-19, Minnesota's Occupational Safety and Health Administration (Minnesota OSHA) statutes, rules, and standards, and Minnesota's relevant and current executive orders, and addresses: Section Il: Infection Prevention and General Precautions The City of Mound has Implemented leave policies that promote workers staying at home when they are sick, when household members are sick, or when required by a health care provider to isolate or quarantine themselves, or a member of their household. It is anticipated that these procedures will evolve as diagnostic testing becomes more reliable and available, and contact tracing resources evolve. —ill— Metro Region EMS System r, General Patient Care and PPE Guidelines for First Responders1P Metro Region COVID-19 pandemic Frist Responder General Patient Care Guidelines EMS System Background: First Responder agencies, including both Fire Departments and Law Enforcement play a vital role in pre - hospital emergency care. In many areas they are the first providers on scene and perform the initial patient assessment that helps triage additional resource needs. They also play a vital role in caring for life threatening emergencies when present. The COVID-19 pandemic has introduced many challenges and concerns about the safety of providing this important care. PPE supply chain shortages have also placed limitations on many agencies ability to respond. As the situation continues to evolve and PPE supplies remain limited, it is important to prioritize use, maintain responder safety and continue to provide care with a 'greatest good for the greatest number' philosophy. Guidelines: 1. All PSAPs should screen for the potential of febrile respiratory illness. a. Query callers for fever and cough or shortness of breath. b. Alert responding agencies of a "Positive Infectious Screen". c. This screen should not slow or prevent the provision of emergency pre -arrival instructions (PAI) or transferring to secondary PSAP for PAI if indicated. I. If transferred the secondary PSAP should screen when practical and notify the Primary PSAP if Infectious screen positive as soon as possible. ii. Primary PSAP shall then alert responding agencies. 2. Approach the scene with standard scene safety practices. 3. Assign a single responder to initiate the patient assessment (preferably highest level trained) 4. The provider should perform hand hygiene then don standard droplet PPE. a. Surgical mask (or available equivalent or higher level) i. N95 masks should be reserved for aerosolizing procedures. b. Eye protection L Put on eye protection (i.e., goggles or a disposable face shield that covers the front and sides of the face) upon entry to the patient room or care area. Personal eyeglasses and contact lenses are NOT considered adequate eye protection. c. Gloves d. Disposable gown L If limited availability, then reserve for aerosolizing procedures. S. Perform a "doorway/threshold assessment" a. At least 6 feet away, with direct visualization of the patient. I. Through closed door or window is preferred. b. Ask Chief Complaint. c. Ask the patient if they had a recent nebulized treatment. d. Assess mental status. e. Assess respiratory status. L Respiratory rate. ii. Ability to speak full sentences. Current as of March 20, 2020 These guidelines may change according to CDC or MDH recommendations. -112- `'T, Metro Region EMS System General Patient Care and PPE Guidelines for First Responders Metro Region EMS System 6. For patients with normal mental status and no respiratory distress. a. No further patient contact is needed. b. Continue to observe at a distance. 7. If altered mental status, in respiratory distress or other obvious need for care. a. Immediately place mask on patient or toss one in for the patient to don. i. Simple surgical mask or 'Cone' type mask with elastic band is preferred. b. Administer oxygen per normal patient care guidelines. i. Nasal cannula should go under the mask. ii. If higher flow needed, oxygen mask replaces Simple/Surgical, Cone mask. c. Do Not administer Nebulizer treatments. d. Perform any life -threatening interventions as needed. e. If additional providers needed, they should have the same PPE. 8. Assist transporting ambulance crew as needed. 9. Upon completion of patient care. a. Discard all disposable PPE at the scene. i. If no patient contact within 6 feet, then discard gloves only. ii. Watch each other removing gear to prevent accidental contamination iii. If uniform 'coveralls' are used, remove and bag prior to leaving the scene. iv. Use gloves and hand hygiene when handling contaminated laundry. v. If uniform or equipment is contaminated, it can be washed with standard laundry soap vi. Reusable goggles, wraparound framed safety glasses or face shield should be cleaned after each use with disinfectant wipes or a 10:1 bleach solution. b. Perform hand hygiene. Current as of March 20, 2020 These guidelines may change according to CDC or MDH recommendations. WEve Z0Zo 4/1/2021 neceusaR 1�M Mound Fire Department Safety and Response Plan COVID —19 March 20, 2020 Safety and Response Plan COVID -19 Department Priorities 1. The Safety for our Firefighters, Admin Staff, and Families, please be informed, follow protocols, and take this seriously! 2. To Continue to Respond, and Operate effectively for the Citizens and Communities we Serve. 3. To follow Best Practices based upon: Centers for Disease Control (CDC), MPLS Metro EMS Professionals, our department Medical Director, Hennepin County Emergency Management, Mound Fire and City of Mound Policies. 4. NOT Business as Usual. 1 -114- 4/1/2021 Safety and Response Plan COVID -19 General Information • The City of Mound has closed its doors to all walk-in traffic until further notice, as have most Metro Area Cities. • The City of Mound has created a policy regarding staying home form work and returning to work, which we will adhere to. • Our new Fire Department Operating Procedures and Protocols are in effect until further notice. Temporary..... • Expect updates to our plan, as necessary for the safety of staff and for operational sustainability reasons. Safety and Response Plan COVID -19 Call Response Basics: Effective NOW • Critical: please continue to -Respond to Calls. Following the new Safety Protocols. Listen to Dispatch when call is paged! • Respond to the "High Risk" Fire and Personal Injury Accident Type Calls as we normally would. Respond with trucks as usual. • All EMS Calls will be supported by new (temporary) Protocols as have been posted and as reviewed tonight. • Follow all of the important basic safety guidelines like: Personal Protective Equipment (PPE), handwashing, social distancing, cleaning and sanitizing, sta home if you are sick! Let us Know! 2 - 115 - 4/1/2021 Safety and Response Plan COVID -19 Department Basics: Effective NOW ■ You will be receiving more messages via Active 911 regarding changes in protocol during the COVID 19 pandemic. ONLY as necessaal • Chief #1 has been working with Dr. Kevin Sipprell and the MFD Board on Fire and EMS responses and other processes in an effort to meet safety goals, along with other safety measures I.e. social distancing guidelines. All large group meetings and training have been cancelled until Monday April 20, 2020. The meeting hiatus will likely continue beyond April 201h • Maintenance groups and call responses will continue normally for now. • Fire Station is under Temporary "Lockdown", On_IyACTIVE firefighters inside the station during this time. NO family members retirees or uests! Safety and Response Plan COVID -19 Call Response Detail: Effective NOW • During Emergency calls or daily business: Office and Dispatch Room should have no more that (3) people in the space. 1. Incident Report Writer, 2. CAD Report Person 3. Officer in Charge with call details. • For High Risk Fire and P.1. (We calls: respond as usual with trucks and normal truck crew size. Maintain Social Distancing as much as possible while preparing trucks and equipment for the next call. • For ALL EMS calls and Low Risk v er (CO Alarms, Illegal Burns) respond with a maximum crew of 4. Rescue #43 crew should be 3 or 4, with 4 as maximum. UNLESS a known Medical Crisis I.e. cardiac arrest. • Don't come to the fire station to hangout, only come if you have a reason. The car wash bay is temporarily CLOSED! 3 -116- 4/1/2021 Safety and Response Plan COVID -19 Response Protocol: Effective NOW! • When responding to calls and not on a truck: (2) people occupy dispatch room to create the incident report. • (2) others prop man -doors open and monitor the front and back doors, and take attendance on behalf of the incident report writer. • If nobody is here monitoring the doors, walk to the dispatch room window and check -in. DO NOT ENTER DISPATCH ROOM. • Maintain a staff of (3) firefighters in station bay for a 2nd call response. Everyone else checks -in and goes home. Safety and Response Plan COVID -19 Response Protocol: Effective NOW! • After returning from a Fire or EMS call, please wipe down seats, door handles and surfaces. • Radio and accessory cleanup must be done per the Motorola cleaning guide using Isopropyl Alcohol. • If known exposure at a Fire or EMS call, please suit up and take precautions before getting back on truck • A Stay at Home assigned duty crew for EMS call may become prudent or necessary in the near future. 4 -117- West Lake Minnetonka Area: Fire Response Group Excelsior, Hamel, Long Lake, Loretto, Maple Plain, Mound, St. Bonifacius The group will hold a conference call every Wednesday at 1100 hours to discuss our current staffing levels, COVTD — 19 challenges, standardization of protocols or best practices, action items, personal protective equipment inventory, and operational changes. The weekly conference call with continue until further notice, and until the situation is resolved. MEETING AGENDA I. Staffing Levels for West Lake Fire Departments • Number: Active and Available to Respond to Calls + Number: Unavailable for Sick and/or Quarantined • Number: Unavailable for other reasons I.e. out of town, work, deployed II. Response Protocol or Response Plan • EMS Response Protocol: quick update • Fire Response Protocol: quick update • General: have made a change in Response Protocol or Plan • Duty Crews: Yes — No — or Working on Implementing III. Personal Protective Equipment (PPE) Inventory • PPE inventory is adequate or a shortage • PPE — New Concepts or Ideas to Share IV, Other — Miscellaneous • COVID 19 Call Volume • General EMS Call Volumes: High, Low or Normal V. Action Items • Follow up Issues or Needs gsp 04.01.2020 - 118 - I CITY OF MOUND City of Mound Emergency Preparedness Accomplishments e-� -120- N O N cd 0" a� O a bA N 40 Cd cd o ° ° Q. � b a cd U 7d U �.cd W U o C +� N O A 00 O Qn Q ra � w N M + N� 0 0 N N Cd cd Q Q 0 0 Cd Cd 0 0 - 121 - i7s: O m -122- I CITY OF MOUND City of Mound Emergency Preparedness 2022 Priorities and Focus -123- -0 N LL O L N a 4-J t N N L oN Q N N i "6 U L U N N fo U 0 O N U O O N (3� 0 U N cB Q .� N 00 N t N fm0 � N f0 Q cv Cm Cm U Lu _ q� � > a> Utility locates: Pros: Cons: Deployment considerations: Modifications: Timeline for product: Cost: Vendors: -126- Utility locates: Pros: Cons: Deployment considerations: Modifications: Timeline for product: Cost: Vendors: -127- Utility locates: Pros: Cons: Deployment considerations: Modifications: Timeline for product; Cost: Vendors: -128- Utility locates: Pros: Cons: Deployment considerations: Modifications: Timeline for product: Cost: Vendors: -129- pq 2021 Annual Report for Community Development The Mound Community Development Department is pleased to present the 2021 Annual Report to the City Council for review and consideration. BUILDING PERMITS. The building permit valuation for all construction types for January 1, 2020 through December 31, 2021 was $13,696,548. Acopy of the Valuation Report for Building Permit Construction (all types) from 1/1/2021 to 12/31/2021 is included as an attachment. CODE ENFORCEMENT. The Field Officer is Cites first point of contact for ❑ty Code related matters such as exterior/outside storage issues or construction concerns. Andy Drilling, who joined the City in May 2018, is the current Field Officer for Mound. The Community Development Department also works with other City departments with regard to code violations and nuisance related issues. For example, the Public Works and Parks Departments assists with grading/erosion control and tall grass/weed matters and the Building Official assists with property maintenance and building code issues. In 2021, 100 ❑ty Code compliance cases were opened by the Field Officer. Of these 100 cases, 86 cases were resolved or unfounded. Additionally, hazardous property abatement cases were approved to proceed and/or authorized by the City Council to be addressed including properties on Glenwood Road, Commerce Boulevard and Brighton Boulevard. PLANNING COMMISSION. Provided below is a list of some of the projects and activities which were undertaken/completed by the Planning Commission and Staff. It is important to note that several of these projects were done in cooperation and with assistance from other departments/consultants. 2021 Planning Commission Work Plan Overview 1. Implementation activities related to adoption of 2040 Comprehensive Plan. (i.e., rezoning, amendmentsto City Code including, but not limited to, zoning, subdivision, etc.). Please see below: Ordinance Amending Division 2 of Chapter 129 (Zoning Ordinance) Pertaining to Mixed Use District Regulations— approved September 2021 Ordinance Amending Chapter 129 (Zoning Ordinance) Concerning Planned Unit Developments and Planned Development Areas —approved September 2021 Ordinance Amending the City of Mound Official Zoning Map to 130- Change the Zoning District for a Number of Properties to Come into Compliance with the 2040 Comprehensive Plan — approved September 2021 d. Ordinance Amending the City of Mound Official Zoning Map to Change the Zoning District to C-1 General Business District for a Number of Properties — approved September 2021 e. Ordinance Amending the City of Mound Official Zoning Map to Change the Zoning District for a Number of Properties to MU-C Mixed -Use Corridor —approved September 2021 f. Ordinance Amending the City of Mound Official Zoning Map to Change the Zoning District for a Number of Properties to MU-D Mixed Use Downtown — approved September 2021 g. Ordinance Amending Division 2 of Chapter 129 (Zoning Ordinance) Pertaining to Allowable Uses and Establishment of C-1 General Commercial District —approved September 2021 h. Ordinance Amending the Official Zoning Map to Change the Zoning District for 509815084 Three Points Blvd from B-3 Neighborhood Commercial to MU-C Mixed Use Corridor District — approved November 2021 2. Review/discussion of code enforcement procedures, policy development and related activities (i.e. code amendments, etc.) — on -going a. Ordinance Amending Chapter 42 (Nuisances) Regarding Public Nuisances Affecting Peace and Safety (glare/lighting) — approved November 2021 3. Mound Harbor open/public space discussion — concept plan reviewed by POSAC in February 4. Long-term home rental study - prolect on 2022 approved Planning Commission Work Plan 2021 Staff Project List Overview 1. Conversion to electronic building permitting with MnSpect (on -going); also streamlining building permit application review/processing— conversion to Community Core software permitting system commenced in March 2. Recording of final plat for Mound Harbor to complete replatting of parcels in downtown - completed July 2021 3. Amendment of City Code Chapter 113 related to building code to update of property maintenance regulations with MnSpect — in process/forthcoming 4. Restudy of animal regulations — project included on 2022 Staff Project List -131- DEPARTMENT ACTIVITIES. Provided below is a list of projects which were undertaken and/or completed by the Community Development Department. It is important to note that several of these projects were done in cooperation and with assistance from other Departments/Consultants in addition to the Planning Commission and/or City Council: - Evaluation and processing of special event/public gathering and musical concert permit requests for community events; also permit review and issuance for special events sponsored by groups/organizations or private individuals. - Evaluation and processing of Public Lands Permits for properties on Heron Lane and Island View Drive. - 2021 seasonal permit and approvals for Mound Farmers' Market and More. - Preparation of City forms and coordination with City Attorney for closing on sale of City -owned parcels described as PID No. 12-117-24- 43-0020 and PID No. 12-117-24-43-0011. -- Final plat and development agreement approvals for Artessa and Villages of Island Park. ATTACHMENTS • 2021 Valuation Report for Building Permit Construction (all types) • 2021 Planning Case List - 132 - City of Mound Valuation Report - Summary Issued Date From: 1/1/2021 To: 12/31/2021 Permit Type: BUILDING Property Type: All Construction Type: All Include YTD: No Permit Kind Permit Valuation Dwell Count Units Permit Type: BUILDING COMMERCIAL ACCESSORY STRUCTURE 2 $70,000.00 COMMERCIAL ALTERATION 8 $341,500.00 COMMERCIAL DEMOLITION 2 $11,900.00 COMMERCIAL REMODEL 4 $410,000.00 COMMERCIAL ROOFING 2 $13,300.00 COMMERCIAL SIGN, PERMANENT 8 $82,325.00 MULTI FAMILY (3-4 UNITS) NEW CONSTRUCTION 8 $1,652,657.00 MULTI FAMILY (5+ UNITS) ALTERATION 2 $13,800.00 MULTI FAMILY (5+ UNITS) NEW CONSTRUCTION 6 $1,238,447.00 MULTI FAMILY (5+ UNITS) REMODEL 3 $314,000.00 MULTI FAMILY (5+ UNITS) ROOFING 1 $20,000.00 MULTI FAMILY (5+ UNITS) SIDING 1 $4,500.00 PUBLIC ALTERATION 1 $30,000.00 SINGLE FAMILY, ATTACHED ADDITION 1 $122,298.66 SINGLE FAMILY, ATTACHED DECK 1 $1,706.40 SINGLE FAMILY, ATTACHED REMODEL 3 $232,286.00 SINGLE FAMILY, DETACHED ACCESSORY STRUCTURE 3 $71,164.00 SINGLE FAMILY, DETACHED ADDITION 5 $837,000.00 SINGLE FAMILY, DETACHED ALTERATION 28 $722,096.89 SINGLE FAMILY, DETACHED BASEMENT FINISH 11 $328,193.50 SINGLE FAMILY, DETACHED CHIMNEY REPAIR 4 $37,420.00 SINGLE FAMILY, DETACHED DECK 24 $209,939.80 SINGLE FAMILY, DETACHED DEMOLITION 10 $117,906.25 SINGLE FAMILY, DETACHED DRAINTILE 6 $44,842.00 SINGLE FAMILY, DETACHED EGRESS WINDOW INSTALL 6 $15,145.00 SINGLE FAMILY, DETACHED FIRE REPAIR 1 $70,208.20 SINGLE FAMILY, DETACHED FOUNDATION REPAIR 1 $900.00 SINGLE FAMILY, DETACHED NEW CONSTRUCTION 10 $5,319,291.55 SINGLE FAMILY, DETACHED REMODEL 27 $1,069,893.00 SINGLE FAMILY, DETACHED RETAINING WALL 4 $101,254.00 SINGLE FAMILY, DETACHED ROOFING 1 $75.00 SINGLE FAMILY, DETACHED SOLAR PANEL INSTALLATION 7 $117,499.60 SINGLE FAMILY, DETACHED SWIMMING POOL 1 $75,000.00 Permit Type: BUILDING -Total Report Total: Period 202 Period 202 $13,696,548.85 0 $13,696,548.85 0 4/12/2022 -133- Page 1 of 1 iv I� 2021 Planning Case List Planning Case No. 2101 Preliminary plat, rezoning and conditional use permit for Villages of Island Park Planning Case No. 2102 Vacation to modify U/U easement at 5790 Berl Boulevard Planning Case No. 21 02A Final plat of Mound Harbor 2nd Addition Planning Case No. 2103 Conditional use permit for Hibachi Uamma Planning Case No. 21 W Expansion Permit)minw/adminbVation for 2057 Arbor Une Planning Case No. 21U5 Vllages of Island Park Snal plat Planning Case No. 21-06 Expansion Permit)minw/adminbVative) for 53Q Piper Road Planning Case No. 21U7 Rezonings and zoning text amendmentsfor 2040 Comprehensive Plan Planning Case No. 21U8 Variance for garage building height at 4636 Hampton Road Planning Case No. 21-09 Preliminary plat and conditional use permit for 2631 Commerce Boulevard Planning Case No. 2110 Substantial use evaluation for Mound Westonka Youth Hockey Association dry land training facility at 2200 Commerce Blvd in Commerce Place Shopping Center Planning Case No. 21Y11 ordinance amendmi City Code Chapter 42)Nnbances)for lighting/glare Planning Case No. 2112 ordinance amendmi City Code Chapter 129)2oning ordinance) related to fences and food trucks Planning Case No. 2113-Voltl/Unused Planning Case No. 2114 Conditional use permit and public lands permit for bland Park village Hall building and site reuse at 4843 Manchester Road Planning Case No.2115 Iakewlnds parking lot site plan )adminbtrative) Planning Case No. 2116 Comprehensive plan amendment and rezoning for 5084/5094 Three Points Boulevard Planning Case No. 2117 Substantial use evaluation for pet store/rescue at 22M Commerce Boulevard in Commerce Place Shopping Center Planning Case No. 21 18 Preliminary plat,vacation, conditional use permit, public lands permit for Northland Mound Planning Case No. 2119 Variance for house addition project at 3061 Westedge Boulevard TABLE OF CONTENTS I. 2021 At -A -Glance.. IL Public Works Department 2020 Annual Report .......................... 2 - 10 III. Public Works Department Work Plan/Initiatives ......................... 11-12 IV. Core Tasks / Work Plan ....................................................... 13 - 14 - 135 - I CITY c?F Mc�U�ID Public Works Department 2021 Annual Report 2021 At -A -Glance • City water main improvements under Lynnwood Blvd (phase 1) from Westedge eastward to Birch Lane were completed in the early summer of 2021 • Centennial Parking Lot repaving and general pavement spot -repairs were completed on Southview Lane and Court, as well as repaving of basketball courts at Avon and Three Points Parks as part of the 2021 pavement improvement program • City Sewer improvements for 2021 included completion of final site restoration for the pump station at Avalon Park and replacement of the pump station at 3080 Highland Blvd • Several smaller retaining wall rehabilitation projects were completed in 2021 including rehab of walls at Dickens and Hawthorne, and placement of a new wall on the back side of the Depot structure at Surfside. • Phase 1 of Shirley Hills Manhole Rehab was completed with two additional phases remaining for this district. • Crack sealing and seal coat were completed as prescribed in our maintenance plan. • Emergency storm sewer repairs were completed on Island View Drive to repair collapsed pipes. Drainage outfalls at Cottonwood Lane, the end of Langdon Lane, Cardinal Lane Street End, Scherven Park, and Harrison Shores were completed in 2021 as part of our Storm Sewer inspection and maintenance activities. Personnel The Public Works Director is in charge of the Public Works Department as a whole. There is one full-time Administrative Assistant shared between Finance/Admin, Planning and Inspection, and Public Works. The Superintendent's responsibilities include evaluation of employees, scheduling of work, delegation of projects and tasks, budget preparation, reports, determination of emergency call - outs, construction meetings, project inspections, purchasing of materials and equipment, answering questions, resolving complaints, etc. There are 11 full time employees in the Public Works and Parks Divisions organized under a Collective Bargaining Unit. There is a Lead Worker in each Division with 2 Maintenance Workers in Parks, 3 under Utilities, and 3 under Streets. The City will typically bring on 4 — 5 seasonal student hires in the summer to assist with Parks and Street work. Lead Workers are responsible for coordinating and scheduling routine tasks between division team members and between divisions. There was only one staffing change in 2021 with the departure of one of our Parks workers. This vacancy was advertised at the end of 2021 with the fill hire anticipated in early 2022. We 2 - 136 - continue to rely heavily on the broad skillsets of the individual worker to cross -utilize personnel from function -to -function as work needs and available staffing may require. On call for Monday — Thursday evenings was added to the traditional weekend on -call coverage to ensure response capability for emergency repair events through the full week. Compliance The MPCA requires that the City have at least one full-time employee with Class SD certification in Waste Water Supply Operations. There are presently 7 and one full-time employee with Class SB certification in Wastewater treatment. The Minnesota Department of health requires that the City have at least one full-time employee with Class D certification in Water Supply Operations there are presently 5 and two with a Class C certification. Certifications are renewed every three years and all employees receive continuous training and education at various schools, seminars and conferences through the City. All operators maintain a minimum Class-B MN Driver/Operator license for their motor -vehicle work on behalf of the City. The city contracts with Safe -Assure to keep us in compliance with OSHA standards and regulations. Specialized safety training is done bi-monthly. Along with this training, the city has a Risk Management inspection conducted by the LMCIT every year. Source -water management and quality testing, delivery quality, and lead/copper testing are accomplished per MN Dept of Health requirements with annual results published in the Consumer Confidence Report. Street/Fleet Division The primary function of the Street Department is to maintain and repair the city streets and storm sewer collection structures. This includes snow and ice control, salting, sweeping, clearing street right-of-ways of brush and tree limbs, bituminous patching, street preparation for seal coating, repair and maintenance of storm sewer catch basins, street sign repair and installation, curb and sidewalk repair, street lighting, equipment maintenance, installation and repair of banners, flags, and Christmas decorations, 12 parking lots, 28 cul-de-sacs, and 11 miles of sidewalks. Right-of-way repair and maintenance begins in early spring. This includes repair of water main break patches, storm sewer cleaning, and street sweeping. Street sweeping is the major spring -season task undertaken by the Street crews; and the City has 2 street sweepers, 1 sidewalk broom, 1 truck for debris hauling, and 1 water tanker trailer for this work. Following the normal winter season, street and sidewalk sweeping can take up to 3 to 4 weeks to complete. The City co-sponsors a clean-up day with Minnetrista in early May, which resumed in 2021 after a pause in 2020. Once the sweeping is completed, preparation for seal coating projects and other street repairs begins. Crews continued focus to complete spot corrections to settled pavements around manholes, water valves, and catch basins. The City crew completes annual re -painting for all the County Road crosswalks in our downtown corridors as part of their summer routine. Enhanced street sweeping continued throughout summer and fall. The department contributes significant cross staffing to Parks and Utilities to assist in their annual work routines throughout the summer. Fall/winter preparations included city-wide sweeping of leaves and fall canopy debris; and preparation of snow/ice control equipment. Fall cleanup includes 2 weeks a year of hauling leafs, re-evaluation of snow/ice routes, plow operator re -fresher and re-training, and equipment reconfiguration. Public Works facility improvement during 2021 again focused on yard and material storage improvements. The material storage area behind the Cemetery was improved with placement of additional recycled asphalt material to improve surface conditions. Slag block were obtained to add too material bins to segregate materials, reduce storage losses, and improve tidiness. These 3 - 137 - enhancement improved work efficiency, reduced material losses, improved environmental stewardship, and cleaned up the appearance of the yard spaces. Several garage roll -up doors were replaced at the Lynwood Blvd shop to improve reliability and weather -tightness. These investments are greatly appreciated by the Staff! During the winter months, it is the responsibility of the Public Works Superintendent to determine when to plow and chemically treat the streets. The Public Works Superintendent depends on the National Weather Service, local weather reports for information concerning weather systems moving in our direction and the Police Department to keep staff updated on road conditions. The Public Works Superintendent will also periodically check the streets to determine if and when plowing and sanding may be needed or should begin. Waiting until it stops snowing before plowing is preferred, but in icy conditions trucks will be sent out as soon as possible. Snow and ice clearance are planned to optimize passability during the two primary commute times. Added focus is placed on completing clearance for the AM commute due to school bussing needs. Full clean-up operations are preferred in the early AM to minimize interaction with drivers in the roads. Personnel from the Streets Division, Utility Division and Parks Division are all called out to help with plowing. The city has 4 single axle trucks equipped with front plows, side wings, and sanders, 4, 1-ton dumps with plows and sanders for street and 4, 1-ton truck without salters for parking lot work, as well as 2 skid -steer and 2 sidewalk machines with various attachments for the 11 miles of sidewalks. The City of Mound contracted snow removal in the Central Business District with Beniek property Services for 2021. They self -deploy within 36-hours of a 2-inch snow or as called by the City. The City continued providing snow clearance on the Dakota Trail during the winter 2021/22 season which was widely appreciated by community members. Utilities Division The City of Mound Utilities Division consists of 3 areas: water distribution, sanitary sewer collection, and storm sewer conveyance. The Utilities Division operates much like a business. Revenues are generated from the sale of water and sewer service to over 3500 customers from metered sales and base -rate service charges. Salaries, benefits, operating, repair; capital expenses and capital debt service are all paid from the revenues received. Three separate budgets are prepared for the Utilities Division: one for the Water Division, one for the Sanitary Sewer Division, and one for Storm Sewer Division. Line item expenses for each division do not vary much from year to year outside of capital considerations. The biggest percentage of the non -capital budget each year is for salaries, health care, workers' compensation, liability insurance, and the Met Council sewer charges. Water The City of Mound currently has 2 active wells and 1 inactive well with a combined storage of 750,000 gallons in 2 above groundwater towers. Mound has approximately 45 miles of water main. The city has an inactive interconnection with the City of Spring Park at the Seton Bridge, and there are 2 inactive interconnects with the City of Minnetrista. The Water Division is responsible for well pump and tower systems operations inspections, treatment systems operations, and hydrant flushing, valve inspection, meter readings, and in - home service calls for curb -stop and meter issues. In 2021 the City of Mound pumped roughly 225-million gallons of water. Every 3-5 years, the City's water towers are inspected for the condition of the coatings and corrosion -prevention anodes inside the towers. The City contracts 4 - 138 - annually with KLM Engineering to inspect, remove sediments build-up, and make minor repairs to the city's two existing water towers on a recurring basis as conditions dictate. The Tower at Evergreen had its last corrosion control inspection completed with minor findings corrected in 2020. Additional work will be required in a future project to extend the service life of the existing coating and possibly delay major rehab cost reflected in the Capital Investment Plan (CIP). The tower on Chateau was washed in 2020 as part of maintaining coating life and general appearance. Both towers were subject to antenna upgrades by telecoms tenants which allowed for additional "courtesy inspection" by KLM while they supervised the tenant work. The City participates in the West -Metro Water Supply Planning group to improve awareness and contribute to improvements in regulator interaction. The City continued to evaluate system configuration and operation to reduce occurrences of stained or discolored water services. These occurrences are cause by the naturally occurring iron in our raw water. A number of system modifications and best management practices have been identified to reduce these occurrences, but not completely eliminate them. BMPs include tank mixing, using flow modeling, implementing uni-directional techniques for seasonal flushing to more effectively remove oxidized sediments from mains and reduce rust problems for our customers. Staff continues to work with Village by the Bay Condominiums Association, Mound Market Place, and Lost Lake Villas to flush the hydrants associated their private systems interconnected with City mains. • In 2021 the city experienced 6 water main breaks; 1 more than 2020. Over the past three years a pattern of water main breaks is developing on Lynwood Blvd between Grandview Blvd and Westedge Blvd. Phase 2 of a3-phase project to replace this main has been initiated for completion in 2022. • In 2021 the City of Mound again exceeded Safe Drinking Water Act water quality standards according to the States Consumer Confidence Report. • Wells 3 and 8 had complete chlorine equipment change out which included tanks, scales, and communication connectivity to the SCADA system for monitoring and control. • The City of Mound once again satisfactorily passed its Public Water System audit and Sanitary Inspection conducted by the Minnesota Department of Health • In February of 2021 the City was notified its water supplies at both wells exceeded MN Dept of Health, Health -Based -Value for Manganese concentrations. A Treatment Feasibility study was commissioned by the Council in march 2021 with findings presented in late May identifying the need for a $24-million gallery treatment facility and reconfiguration of well -sources and storage -tower interconnection as this solution. The City Staff immediately engaged State funding processes to begin alignment of state, and/or federal funding assistance for this project. MN Senate and House Capital Investment Committees were provided "project tours" of our proposed work in the fall of 2021. Legislative filing "line items" were included in initial legislative bonding proposals to be considered in the 2022 session. As infrastructure renewal shifts focus away from street reconstruction to include their underlying utilities, the Staff has re-evaluated capital investment requirements in future years to help reduce pressure on rate -funded enterprise accounts. Additional risk has been accepted by delaying - 139 - certain identified system improvements from a 5-year investment plan out to 10+ years in effort to control debt service growth against water funds. Sewer The Sewer Division is responsible for maintaining 30 sewer lift stations, which are checked twice a week, and sewer line inspection and cleaning. They also perform pump repair, electrical repairs, pump removal, and seal replacement. Major repairs are contracted out. The City's insurance company (LMCIT) has suggested a timetable to complete the cleaning of 60+ miles of sewer main in the City every 4-5 years equating to about 80,000 feet per year. The current sewer system was installed in 1964 and is largely composed of vitrified clay tiles; and therefore in need of constant attention, maintenance and repairs. In 2002, the city began televising the sanitary sewer system with a camera that enables us to detect problem areas. These efforts continued sparingly in 2020 due to equipment operability issues. In 2021 the City returned to contract vendors to complete certified television inspections of the lines in lieu of substantial re -investment in its equipment suite. 2021 capital improvements focused on completing site restoration for the J-1 lift station (Avalon Park), replaced in 2020 as part of the lift station improvement program. The main project in the 2021 program was replacement of the lift station at the Idlewood slip site on Highland Blvd. This is the 23d of the 30 stations to be upgraded in the program. The generator at the Public Works Shop that provides back-up to the SCADA system dispatch and monitoring equipment, door controllers, etc was scheduled to be replaced in 2021 as part of the back-up generator modernizations included in our sewer CIP; but delayed into 2022 by supply chain issues. In preparation for this re -powering work, the shop electrical distribution was inspected and numerous discrepancies and system faults were corrected in 2021. The Council may recall a Met Council force main failure that occurred in April of 2021 at approximately the intersection of Montclair and Shoreline Blvd. City personnel responded to identify the source of the problem and provide traffic control and spill diversion as Met Council personnel responded to execute repairs. As a result of this incident the Met Council has initiated a repair/rehabilitation project to address this aged asset in their inventory. This force main no longer services Mound flows following re -alignment of discharges from our Northern, Aspen, and Fernside pumping stations in the 2019/2020 forcemain re -alignment project. Our last notification for Inflow and Infiltration (I&I) exceedance by Met Council Environmental Services notified was on 9 March 2020 for a sewage flow exceedance event that occurred on 27 May 2019. MCES assigned a $354,780 workplan value based on this event. This workplan represents an expectation of investment in qualifying sewer renewal/improvement by the City to be bought down in the next 4 fiscal cycles ('21 — `25) with a 2 cycles look back for qualifying costs already spent (' 19,'20). Portions of our lift station replacements, manhole rehabilitation, and investigative work costs qualify against these workplans and will fulfill obligations at currently anticipated funding levels reflected in the CIP In 2021, the City continued to make progress on eliminating Inflow and Infiltration in anticipation of the work plan assigned by the Met Council. The work completed in 2021 that will qualify included claiming for qualifying portions B-2 (Highland) lift station replacement, - 140 - manhole rehabilitation throughout the Shirley Hills sewershed, and the contract televising costs for the 2021 mains inspections. Future I&I work will continue to focus on lift station replacements and manhole rehabilitation to address the significant findings of ongoing inspections. As this municipal work comes to a close, Staff will begin looking at developing programs that will allow for improved dialog with home -owners to address the residential side of I&I. As infrastructure renewal shifts focus away from street reconstruction to include their underlying utilities, the Staff has re-evaluated capital investment requirements in future years to help reduce pressure on rate -funded enterprise accounts. Additional risk has been accepted by extending the previous 5-year plan for completing lift station reconstruction out to 10+ years in effort to control debt service growth against sewer funds. Sewer mains will continue to be inspected on a 5-year rolling schedule to determine reactive spot repair and rehabilitation needs as they emerge. Our metered flow into the Met Council collection and treatment system decreased in 2020 from 2019 resulting in a reduced in rate for 2021. Flows measured for 2021 that establish 2022 rates were slightly down; mostly due to the low precipitation seen in July and August of 2021, creating positive rate results for 2022. Flows are highly dependent on seasonal precipitation as significant clear water still enters our collection system through the portions of it that are privately owned and maintained by home owners. This leaves annual MCES rate determination fairly variable year -on -year. One area of note; we continue to see an abundance of cloth towels, wet wipes, and dusting cloth products the city's sewer system and impacting our lift station pumps. This type of pump clogging has the potential for sewer back-ups. However again the diligence of our sewer division in cleaning and maintenance of the city's 30 lift stations has to date prevented a serious back-up from occurring. The City should strongly discourage flushing of these products often labeled "flushable" even though proven otherwise. Storm Sewer The storm sewer system has historically been upgraded through the annual Street Reconstruction Project. The city started a program for the cleaning of the storm outlets in 2008. Scheduled maintenance for cleaning the lines begins in the spring of each year. The City storm sewer system is very large with 584 catch basins, which are cleaned as time allows through various methods, and 84 sump catch basins, which are cleaned twice a year as time allows. There were no repair and in -kind replacement works included in the 2021 Pavements repair program Numerous outfall site inspection and cleanup actions were completed in 2021. Staff began periodic rental of compact, rubber -track excavation equipment to allow for more frequent planning and scheduling of this work to great success. Low water conditions also allowed access to several sites not typically reachable from the land. Street sweeping is an important part of keeping the storm system and area lakes clean from street debris. The city has begun taking a more aggressive approach to street sweeping by sweeping more often than twice a year as was the practice of years past. "enhanced" sweeping through the summer months with the newly -equipped regenerative sweeper removes substantial nutrient and fines from the storm system and prevents introduction to the lake. Collection data is recorded in the event any future reporting requirements materialize The city has all -but eliminated the use of sand during the winter and is no longer part of winter road treatment except in very rare weather conditions. In the past more than 70% of the sand put down would end up in the storm system. Significant effort to employ road salt BMPs have been undertaken as well. All salting trucks have automated dispensing controls that are calibrated annually. Operators are trained on road -salt best practices and equipment operation annually. Improved material handling and storage in the Shop yard also reduces the quantity of chloride that makes its way into the watershed. The City continued to participate in the metro -wide Adopt -a -Storm Drain interactive website tool that allows residents to "claim" storm drain that exist in their neighborhoods and keep the clean and free of organic debris. The City continues to partner with the Metro Watershed Partnership to collaborate on public information and info -sharing resources as part of its public information outreach. Minnehaha Creek Watershed District also provides informational pieces that we echo in City publications and our Web Site. As infrastructure renewal shifts focus away from street reconstruction to include their underlying utilities, the Staff has re-evaluated capital investment requirements in future years to help reduce pressure on rate -funded enterprise accounts. Storm sewer investment has been temporarily refocused on low-cost BMPs and maintenance of existing facilities primarily using our Operations and Maintenance Staff. Only minor, cost share qualifying, or development -related improvements are being considered for the near -term future. Parks Division The Parks Division is responsible for managing the 30+ public parks and public spaces in the city, various lakeshore commons and shore areas, the maintenance and management of the Municipal Cemetery, aspects of the Municipal Docks Program, Municipal Buildings, Transit Center Parking Deck, Surfside Park Depot Building, and the Veterans Memorial Plaza The downtown Streetscape and Greenway provides one of the main entrances into the downtown business area of Mound. The Parks Division is responsible for maintaining this area, which is completed as a high priority item. hi addition, the division is responsible for the inspection of weeds on un-kept grounds and hazardous tree removal from city property. The division is also responsible for the preventive maintenance of its small -engine and specialized equipment. Assisting in this effort are 3 full-time parks maintenance employees along with seasonal maintenance employees. The team also made frequent use of the Hennepin County Sentenced to Service labor party for completion of unskilled, labor -intense tasks. The Parks and Open Space Commission (POSC) functions as an advisory board for bringing recommendations to the City Council regarding relevant issues. The general level -of -service for our parks includes regular mowing, leaf removal, litter pick up, tree care, and periodic repairs of park furnishings and amenities. In addition, there are six beaches that staff maintains throughout the summer including weed removal, buoy maintenance and repair, sand leveling and replacement, and trash and debris collection. These maintenance activities provide a visual confirmation that the City of Mound has a commitment to the community's quality of life. - 142 - Additional pavement was added at Zero Gravity between the sunshade patio and skate basin feature to improve the overall function of the entry to the area. The camera system continues to be employed to address vandalism issues which have subsided as a result of improved enforcement. Avon and Threepoints basketball courts were incorporated in 2021 pavement rehab work. The abandoned retaining wall and residual slab features at Three Points park were removed, regraded, and restored to turf as part of Spring overhaul work. Doone Park hilltop area remained an ongoing project in 2021. Chipping from city tree clearance work to mulch for ground cover providing better access and visibility through this area of previous overgrowth and debris. Significant high -value ground cover growth is emerging in the area. Additional stormwater management features were added below the repaired parking surface at the Surfside launch to address the near continuous impoundment of surface water in this low area. The lake information sign was refurbished as an Eagle Scout project by a local resident and another Scout completed a Conservation Award project at the launch by providing a monofilament line collection container. Surfside Park Depot was returned to service during 2021. A community volunteer completed a natives and pollinators demonstration project at Belmont Park that has shown tremendous initial success. The most significant issue for the Parks team was the late -onset draught conditions that were experienced from mid -June through August. Park turfs were substantially impacted by the limited precipitation seen during this critical growth period through the summer. Irrigation was set up to preserve the highest value areas and recover Surfside Park from Spirit of the Lakes festival traffic. Several project restoration areas within our parks mentioned previously completely failed and will be re -accomplished in the Spring of 2022 to include a clover overseeding of Swenson Park intended to improve turf density, resilience, and draught resistance. Hazardous Tree Removal As of December 31, 2021, the yearly total of hazardous tree removals from City property was 18 removals, 3 stumps chipped, 8 trees trimmed that posed a hazard, and 8 sites had brush removed. From private property, 2 trees were marked for owner removal due to hazardous conditions. Of the 2 trees 1 were contracted for removal by the City as an enforcement action. Diseased and hazardous trees are removed on a complaint basis. When a complaint is received, an inspection of the tree is done to determine the need for removal and the ownership. City owned trees are removed by a contractor as soon as possible, while private trees are removed in accordance with City Ordinances. Private trees not removed in the grace period allowed are removed under and enforcement action. The cost of a force removed tree is billed to the property owner. If this bill is not paid, it is then assessed to their property taxes for the following year. - 143 - Emerald Ash Borer was discovered in Mound in 2021. The City will now need to develop a more robust Emerald Ash Borer response plan. Grant funding was applied for and awarded to align resources necessary to inventory trees on maintained public lands, develop a management plan and begin removal and replacement work for the anticipated impacts. City Hall Maintenance/Janitorial The Parks Division is responsible for the seasonal lawn care and snow removal at City Hall. It is also responsible year-round for the heating and air conditioning inside City Hall and the Centennial Building. Parks staff is also responsible, within their capabilities, for the repairs to plumbing, heating and related equipment. Major repairs for the heating and air conditioning systems and cleaning services are contracted out through the direction of the Parks Division. Janitorial duties are contracted to an outside vendor. 10 - 144 - I CITY c?F Mc�U�ID Public Works Department 2022 Capital Improvement Projects & Initiatives Maior Capital Investments • Lynwood Watermain Replacement Phase 2 of 3. • R-1 Lift Station Replacement (Island View Drive) • Re -surfacing of Surfside Depot lot and various street spot -repairs • Rehabilitation of downtown sidewalks Seal Coat Program The seal coat program is proposed again for 2022 and a tool to extend pavement life for recently reconstructed streets. We have entered the period in pavement lifespans were we are completing 2 rehabilitation project areas per year; early program plus later program neighborhoods. Retaining Wall Replacement Proiect The annual retaining wall replacement program provides for the reconstruction of retaining walls in various locations throughout the city determined to be in poor condition. Retaining wall replacement includes the removal of the existing walls and construction of decorative modular concrete block walls and site restoration. This program has primarily involved the replacement of walls within the annual street reconstruction project. With the completion of these annual proj ects, retaining wall repairs in 2019 and 2020 focused on larger, higher -risk locations in recent years. Retaining wall repairs for 2022 will focus on spot repairs of emerging conditions that appear through the year similar to 2021 execution. Parks Improvements A study to bring community input into the planning for improvements in the Harbor District public spaces was initiated in 2021 to guide future improvements and investments in that area as development occurs. Staff will continue to monitor Zero gravity to ensure issues are identified and resolved as quickly as possible at this very high use facility. The City will continue to work with a community volunteer to add an additional natives and pollinators demonstration plot during spring and early summer of 2022. Edgewater Park has been identified as the location for this project. Their involvement will continue through spring 2023 to ensure establishment and thereafter as necessary to keep flourishing. Storm Sewer Our MS4 permit was renewed in 2021, along with updates to the Storm Water Pollution Prevention Plan. These administrative efforts included detailed analysis of the load -reducing impact of treatment devices installed during the past 15-years of improvements that were 11 - 145 - embedded in street reconstruction work. This analysis will account for the combined effect of those improvements and reveal when improvement or enhancement work needs to resume in order to stay on track with increasing solid and nutrient removal standards levied by various regulators. During the pause in street replacement capital investment, City crews will continue implementation of maintenance activities to ensure continued performance of installed BMPs and examine opportunities for additional improved management and maintenance practices as they emerge. Sanitary Sewer and Lift Stations The R-1 lift station at the south end if Island View Drive will be replaced as the 2022 project in the lift station replacement program. This will be the 24th of 30 to be completed. The Generator at lift station I-1 will be replaced as part of the sewer backup power modernization investments included in the sewer CIP. Water Distribution System Water main replacement under Lynwood Blvd from Birch to Southview (phase 2) is scheduled for completion in 2022 with a final additional phase to follow in '23. The City will continue to monitor manganese levels in our water supply and advocate State and Federal funding to support the $24-million investment to provide removal and treatment for our drinking water. Funding proposals have been included in Committee submissions of funding legislation bills before both MN legislative chambers in 2022 and we will continue to monitor as progress is made during the session. Inflow/Infiltration Studv The City Engineer completed a study of the sanitary sewer lift stations and Inflow / Infiltration into the sewer lines in 2007. This study has served as a guide to determine where the city needs to perform system improvements and renewals to reduce the quantity of clear water entering the system and the potential for surcharges and overflows that it can create. Ongoing sewer rehabilitation efforts will continue as part of the City self -initiated capital improvement programs and to continue much needed system renewal for facilities beyond their anticipated service life. • Qualifying costs included in the 2022, B-2 lift station replacement in the Highlands will be documented for inclusion in the work plan assigned by MCES that will began in 2021. • In 2022, manholes in the Shirley hills sewer district will be rehabilitated. This is the second of three anticipated phases in this area. • Qualifying work included in the R-1 (Island View Drive) lift station replacement will be booked against the current work plan assignment. Future I&I work will continue to focus on manhole rehabilitation to address the significant findings of ongoing inspections. As this municipal work comes to a close, Staff will begin looking at developing programs that will allow for improved dialog with home -owners to address the residential side of I&I. Hennepin Countv Regional Improvement Proiects Hennepin County completed major repairs to County RD 92 in 2021 Hennepin County anticipates resurfacing of remaining County 110 and 15 segments in 2023 12 - 146 - I rAL CITY c?F Mc�UI�ID Public Works Department Core Tasks / Work Plan Capital Improvement Projects • Transition from street reconstruction to pavement maintenance program • Annual retaining wall replacements • Coordinating with MCES and Hennepin County on joint project opportunities • Sanitary lift station reconstruction • Water distribution system improvement projects Surface Water Management • Annual Review of Surface Water Management Plan to insure compliance with administrative and maintenance requirements • Annual Review of NPDES II permit and insure compliance • Annual Review of Storm Water Pollution Prevention Plan (SWPPP) and insure compliance • Review State and Federal laws and permit changes to insure City Policy and Ordinances are current • Review development plans to insure compliance with permit requirements • Annual Review of MCWD Rule Changes Parks • Annual update inventory of park structure maintenance needs • Evaluate equipment for replacement • Research funding sources for park improvements • Continue to increase functionality and presentation of parks Streets • Sweep City a minimum of two times per year. Enhanced sweeping throughout summer and fall to address stormwater pollutant reduction goals • Pot -hole and pavement distress/defect evaluation and repair • Repair sidewalks and trails as needed • Sign inspection and maintenance • Winter snow and ice control operations • Maintain calibration of salting equipment and sustain operator job knowledge training • Continue Annual Crack Seal and Seal Coat Program 13 - 147 - Stormwater collection and treatment facility inspection and maintenance Maintain GIS data set for street assets • Implement asset and work management toolkit Storm Sewer • Respond to incidents of localized flooding due to abnormal weather occurrences • Continue annual lake outfall cleaning and dredging • Continue annual catch basin cleaning • Maintain stormwater storage / ponding areas • Work with MCWD on storm water quality improvements • Construct storm sewer improvements / repairs as needed • Maintain GIS data set for storm sewer assets • Implement asset and work management toolkit Sanitary Sewer • Continue cleaning and televising performing repairs as needed • In -pipe lining at locations with high inflow / infiltration problems • Reduce I / I in municipal lines to avoid MCES surcharge • Implement SCADA monitoring and control system • Coordinate with MCES to eliminate metering discrepancies • Upgrade/reconstruct lift stations • Coordinate as needed with proposed development • Maintain GIS data set for sanitary sewer assets • Implement asset and work management toolkit Water • Complete all MN Dept of Health testing activities • Inspect, operate, and maintain source -water pumping, treatment, and storage systems • Maintain and read metering systems • Systematic, uni-directional system flushing, hydrant and valve inspections • Implement SCADA system on new facilities • Annually update water system model with Engineering • Coordinate as needed with proposed development • Comply with Wellhead Protection Plan in accordance with State and Federal Regulations • Maintain GIS data set for water assets • Implement asset and work management toolkit Administration • Annually update capital improvement program • Review Safety and Training needs of staff • Annually review and update Vehicle Replacement Program • Coordinate Public Works & Parks Maintenance Facility space needs • Coordinate Public Works review of grading and utility plans for development • Upgrade office filing system and record retention • Annually update inventory of City's infrastructure and mapping • Implement GIS street and utility mapping capabilities when completed by consultant 14 30-YEAR CAPITAL IMPROVEMENT PLAN (CIP): 2022-2031 SUMMARY 4/1/2022 PROJECT FUNDINGSOURCE W22 2023 202A 2025 2026 2027 W28 2029 2030 W31 STREET PROJECT COST Special Assessment City (1/3), Bonds General Cal igation(City)&404 Pavement Repairs(4001440) Road Maim. Cap. Reserve (427) $495,600 $309,6U0 $317,650 $1,M1,900 $1,502,600 $3,465,000 $2,)1],000 $3,092,000 $103,000 $588,000 $75,000 $25,000 $75,000 $75,000 $75,000 $75,000 $75,000 $75,000 $75,000 $75,000 $93,000 $141,000 $143,000 $125,000 $101,000 $212,000 $204,000 $207,000 $149,000 $887,000 SEWER FUND PROJECT COST Sewer Fund $760,000 $950,000 $745,000 $870,000 $730,000 $753,000 $353,000 $383,000 $115,000 $160,000 WATER FUND PROJECT COST Water Fund $450,000 $1,010,000 $731,000 $740,000 $961,000 $815,000 $795,000 $75,000 $200,000 STORM SEWER FUND PROJECT COST Storm Water Utility Fund/401/404 $155,000 $115,000 $90,000 $901 $90,000 $90,000 $90,000 $90,000 $90,000 $90,000 RETAINING WALL FUND PROJECT COST Fund 401 $75,000 $75,000 $75,000 $75,000 $75,000 $75,000 $75,000 $75,000 $75,000 $75,000 GRANDTOTAL S2,103,600 $2,675,64D0 $2,176,650 $2,976,900 $3,534,6001 $5A85,000 $41 $3,)9],000 $807,000 $1,875,000 10-YEAR CAPITAL IMPROVEMENT PLAN (CIP): 2022-2031 SUMMARY 0/31/2021 PROTECT FUNDING SOURCE 21 M23 2024 W25 2026 2027 2029 2029 11 2031 STREET PROJECT COST Special Assessment City (1/3), Bontls General Obligation (City)&4G4 Pavement Repairs(400/440) Road Minot Op. Reserve 427 $486,0011 $312,000 $)1],000 $956,000 S3,3]9,000 $2,7I7,000 $3,092,000 $103,000 S588,000 $75,000 575,000 $75,000 $]5,000 $75,000 $]5,000 575,000 $]5,000 575,000 $]5,000 $93,000 $141,00D $143,000 $125,000 $101,000 $212,000 $204,DD0 $207,000 $149,000 $11181,000 SEWER FUND PROJECT COST Sewer Fund $760,000 $905,000 $880,00D S682,500 $]0],501) $738,000 $353,000 $183,000 $115,00G S160,000 WATER FUND PROJECT COST Water Fund $615,000 $1,010,000 $731,0D0 $740,000 $961,000 $825,0D0 $795,000 S]5,000 5200,000 STORM SEWER FUND PROJECT COST Storm Water Utility Furk/401/404 $155,000 $115,00D $01000 slial SWIM $9g000 $901" S90,000 $90,= $wl RETAINING WAIL FUND PROJECT COST Fund 401 $75,000 S75,000 $75,000 S7d000 $75,000 $]5,000 S25,0D) $T5,000 $75,000 $T5,000 GRANDTOTAL $2,20,0001 $2,633p00 ld1,SSaJMI $ZS04,5001 $Z96S.SWI $4,31DIS 0 $3,]9],000 $W,"l S,000 149 - 30-YEAR CAPITAL IMPROVEMENT PLAN (CIP): 2022-2031 STREETS 4/1/2022 (Includes 30% Indirect Cast and Deduct for Utility Street Replacement Cost) LOCATION FUNDING SOURCE 2022 2023 2024 2025 2026 2027 2028 2029 2030 2031 Surfside Depot Parking & Walkways Community Invest(404) $140,000 Paver Sidewalk Replacement l'l Community Invest.(40,1) $250,000 $250,000 $25l County Road Sidewalks to Community Invest. tall $105,11 $59,600 $67,650 $284,900 $546,600 $86,00o 2003 Area Reconstruct (401) $7I7,000 Pelican Point Reclaim (401) $294,000 2004 Area Reconstruct (401) $956,Wo $956,m 2005 Area Reconstruct (401) $2,423,000 $1,423,000 2006 Area Reconstruct (401) $3,003,000 Maple Manors Reclaim and Pave (401) $81 Norwood lane Reconstruct (401) 1 $103,000 Sugar Mill Reclaim and Pave (401) $588,000 Pavement Repairs (400/440) $75,000 $75,000 $75,000 $75,000 $75,000 $75,000 $75,000 $75,000 $75,000 $75,000 Crack Seal and Seal Coat Road Maint. Ca. Reserve(42T) $78,000 $141,000 $143,DDO $125,W $101,000 $212,000 $204,000 $207,000 $149,000 $887,000 Fog Seal Alleys and Trails Road Main. Cap. Reserve(41T) $15,000 TOTAL SPECIAL ASSESSMENTS TOTAL City STREET COSTS $663,600 $525,600 SSM,650 $1,201,900 $1,678,600 $3,752,000 $2,996,000 $3,374,000 $327,000 $1,550p00 GRANDTOTAL $663,600 $525,600 SSM,650 $1,201,900 $1,678,600 $3,752,000 $2,996,000 $3,374,000 $327,000 $1,550,000 in COSTTOCITYMAYMREDUCED THROUGH COSTSHARE WITH HENNEPIN COUNTY 10-YEAR CAPITAL IMPROVEMENT PLAN (CIP(: 2022-2031 STREETS 8/31/2022 (Includes 30%Indirect Cos[ and Deduct for Utility Street Replacement Cost) LOCATION FUNDING SOURCE nu 2M3 2024 2025 2026 2027 2028 2029 20M 2031 Surfslde Depot Parking & Walkways Community Invest. 404 $120,000 Paver Sidewalk Re lacement Community Invest 404 $366,000 $312,000 2003 Area Reconstruct 401 $7I7,o00 Pelican Point Reclaim 401 $294,000 2" Area Reconstruct 401 $9561p0 $95fi 2005 Area Reconstruct (401) $2,423,000 $2,423,000 2" Area Reconstruct 401 $3,003,000 Maple Manors Reclaim and Pave (401) $89, Norwood lane Reconstruct 401 $103,000 Sua r Mill Reclaim and Pave 401 $588,000 Pavement Repairs (400/440) $25,0D) $75,000 $25,000 $75,= $75,M $25,000 $75,000 $75, $75,000 $75,000 Crack Seal and Seal Coat Road Maint Cap. Reserve 427 $T8,000 $141,000 $143,0 )3 $125,000 $101," $212,000 $204,000 $207, $149,000 $88T,000 log Seal Alleys and Trall Read Maint. Cap. Reserve(427) $35,000 TOTAL. SPECIAL ASSESSMENTS TOTAL CITY STREET COSTS S654,000 $528,000 $ZM,= $912,000 $1,13;000 $3.6156,000 $2,M6,000 $3,374,000 $327,000 $1,550,000 GMNDTOTAL $654,000 $538,000 $212,000 $917,4100 $1,132,000 $3,656,000 $2,996,000 $3,374,000 $327,000 $1,550,000 -150- 10-YEAR CAPITAL IMPROVEMENT PLAN (CIP(: 2022-2031 SEWER FUND PROJECT COSTS 4/IJ2022 (includes 30% Indirect Cost and Street Replacement Cost [If Not Assessable Project]) LOCATION FUNDING SOURCE M22 2023 2024 2025 2026 2027 2028 2029 2030 2031 LS R-1(IVD) & Forcemain Sewer Fund $570,000 LS F-1(Lakewinds) & Forcemain Sewer Fund $745,000 LSA-3(Su nset) Sewer Fund $537,5W LSC-4(Wood land/Dove)&Forcemain Sewer Fund $640,000 Devon Lane Standpipe Radio Tower(SCADA) Sewer Fund $62,5W LS A-1(Clover) Sewer Fund $537,500 LS P-1(IVD Commons) Sewer Fund $585,000 BC-7 Rehab(Maple) Sewer Fund $185,000 Generator Upgrades Sewer Fund $35,000 $25,000 $40,000 LS Pump Replacement/Rebuild Sewer Fund 1 $20,000 $20,0001 $20,000 $20,000 $20,0001 $20,000 $20,000 $20,000 $20,000 $20,000 MHRepalrs -Shirley Hills Sewer Fund $100,000 $100,000 Televise Shirley Hills Sewer Fund $35,000 $35,000 MHlnvestigate -Dutch Lake Sewer Fund $25,000 MH Repairs Dutch Lake Sewer Fund $112,500 $112,500 $112,500 Televise Dutch lake Sewer Fund $35,000 $35,000 MHlnvestigate -The Highlands Sewer Fund $25,000 MHRepalrs -The Hi hlands Sewer Fund $113,000 $113,000 $113,000 Televise The Highlands Sewer Fund $35,000 $35,000 MHInvestigate -T0nkaw00d Sewer Fund $15,000 MHRepalrs-Tonkawwd Sewer Fund $60,000 Televise-Tonkawood Sewer Fund $35,000 $35,000 Televise Three Points Sewer Fund $35,000 $35,000 CIPP & MH Repair Sewer Fund I I I I 1 1 $105,000 TOTALS I $760,000 $950,M1 $745,000 $870,000 S730,0001 5253,000 $353,000 $183,000 $115p00 $I60,000 `N�E 10-YEAR CAPITAL IMPROVEMENT PLAN (CIP(: 2022-2031 SEWER FUND PROJECT COSTS 8/31(2021 (includes 30% Indirect Cost and Street Replacement Cast [if Not Assessable Project]) LOCATION LANDING SWRCE =2 2023 2020 2025 2026 2027 20M 2029 2030 2031 LSR-111VDI&Forcemain Sewer Funtl $570,000 ISF-1 (akewintl5)&Fortemain SewerFund $700,000 6C-0)Womilantl/Dove)&Foroemain SewerFund $610,000 Devon One Standelse Radio Tower)SCADA) Sewer Fund $62,500 IS A-1 (Clover) Sewer Fund $515,000 ISA-3(Sunset) Sewer Fund $515,000 ISP-1(No Commons) Sewer Fund $90,00() ISC-T Rehab (Maple) Sewer Fund $185,000 Generator Upgrades Sewer Fund $35,000 $25,000 $40,000 IS Pump Replaxmen2/Rebullrl Sewer Fund $20,000 $20,000 $20,000 $20,000 $20,000 $20,000 $20,000 $30,000 $20,000 $20,000 MH Repairs - Shirley Hills Sewer Fund $1001000 $1001000 Televise- Shirley Hills Sewer Fund $35,000 $35,000 MH Inve0gate- Dutch lake Sewer Fund $25,000 MH Reairs- Dutch lake Sewer Fund $112,500 $112,500 $112,500 Televise - Dutch lake Sewer Fund $35,000 $35,000 MH ImlaPgate- The Highlands Sewer Fund $25,000 MH Repairs -The Highlands Sewer Fund $113,000 $113,000 $113,000 Televise - The Highlands Sewer Fund $35,000 $35,000 MH Inve0gate- TonkawWtl Sewer Fund $15,000 MH Repairs - Tonkaw Sewer Fund $60,000 Televise -Tonkaw00tl Sewer Fund $35," $35,000 Televise - Three Points Sewer Fund $35,00(3 $35,000 CIPP&MH Repair Sewer Fund 1 $1051000 TOTALS $760,000 $90S,0001 $880,000 $682,500 $207,51) 738,0001 $353,0001 $1113,0001 S115.0101 $360,000 152- 30-YEAR CAPITAL IMPROVEMENT PLAN (CIP): 2022-2031 WATER FUND PROJECT COSTS 4/1/2022 (includes 30% Indirect Cost and Street Replacement Cost [If Not Assessable Project]) LOCATION FUNDING SOURCE M22 2023 2024 2025 2026 2027 2028 2029 2030 2031 Lynwood Trenchless WM(Birch-Southview) Water Funtl $450,000 Lynwood Trenchless WM(Southview-Grandview) Water Fund $1,010,D0o Three Points Area 4" W M Upsize Water Fund $720,000 Booster Pump Station Demolition Water Fund $50,000 Devon Lane Standpipe Demolition Water Fund $100,000 Well? Closure Water Fund $50,000 Evergreen Tower Recoat Water Fund $685,000 Chateau Tower Recent Water Fund $740,000 Bartlett Trenchless WM(Westedge-Garden) Water Fund $656,000 Bartlett TrenchlessWM(Garden-Highland) Water Fund $665,000 Bartlett TranchlessWM(Highland-Beachwood) Water Fund1 $201,000 Cast Iron Pi line Assessment I Water Fund I 1 1 $75,0001 $75,0001 $75,0001 $75,DD0I $75,0001 $75,000 TOTALS $450,000 $1,010,000 $731,000 $740,000 $961,D00 $835,000 $795,000 $75,000 $200,000 $0 10-YEAR CAPITAL IMPROVEMENT PLAN (CIP): 2022-2031 WATER FUND PROJECT COSTS 9/31/2021 (Includes 30%Indirect Cost and Street Replacement Cost [h Not Assessable Project]) IUCAWIDN FUNDINGWURCE 2022 2023 2024 2025 1026 2017 2028 2029 2030 2031 Lnwood Trenchless WMBirch-SouNviewj Water Fund $615,000 Lnwood Trenchless WM(Southview-Grandview) Water Fund $1,010.000 Three Points Area 4-WMU size Water Fund $720,000 Booster Pump Station Demolition Water Fund $50,000 D wlane StandDemolition Water Fund SIX,= Well? Closure Water Fund $50,000 Eve Men Tower RKOat Water Fund $685,000 Chateau Tower Remat Water Fund $740,000 Bartlett Trenchless WNa(Wested e-(iarden) Water Fund $656,000 Bartlett Trenchlc.WM Gardeo-Hl hlantl) Water Funtl $665,000 Bartlett Trenchless WM (Hi hlantl-Beachwood) Water Fund $201,000 Cast Inch%aline Assessment I Water Fund I 1 1 575,0001 575,0001 $75,000 575,0001 $75,0001 $75,000 TOTALS $615p00 $1,010,000 $731,000 $740,000 {%1,000 $815,000 $795,000 $75.000 $200,000 $0 -153- 10-YEAR CAPITAL IMPROVEMENT PLAN (CIP): 2022-2031 STORM WATER FUND PROJECT COSTS Same as 08/31/2021 4/1/2022 (Includes 30% Indirect Cost a Ind Street Replacement Cost [if Not Assessable Project]) LOCATION FUNDINGSOURCE 2022 2023 2024 2025 2026 2027 2028 2029 2030 2031 Sudeide Depot Park Improvements Community Invest.(404) $35,000 Bioretention Area Canary Park/Commons(Three Points) Storm Water Utility Fund $25,000 Hawthorne/Dickens Stormwater Manhole Rehab Storm Water Utility Fund $30,000 MS6lnspections Storm Water Utility Fund $40,000 Annual Outlet Cleaning -10 Locations Storm Water Utility Fund $30,000 $30,000 $30,000 $30,000 $30,000 $30,000 $30,000 $30,000 $30,000 $30,000 Annual Repairs &Pond Cleaning Storm Water Utility Fund $20,000 $60,000 $60,000 $60,000 $60,000 $60,000 $60,000 $6Q000 $60,000 $60,000 MTALS $155,000 $1151000 $90,000 $90,000 Swm $90,000 $90,000 moort $90,000 $90,000 10-YEAR CAPITAL IMPROVEMENT PLAN (CIP): 2022-2031 RETAINING WALLS 4/1/2022 Same as 08/31/2021 (Includes 30%Indirect Cost) LOCATION NNOING SOURCE 2022 2023 2024 2025 2026 2027 202N 2029 2030 2031 Emergency Wall Repair Fund 401 1 575,000 575,000 575,000 575,000 575,000 575,000 575,000 575,000 $75,000 5]5,000 TOTALS $75,000 $75,000 $75,000 $75,000 $]5,000 $75,000 $T5,000 $T5,000 $75:000 $]5,000 -154- 2021 Key Result Areas, Goals, Objectives, and Value Statements Support to Council —Timely, accurate, and thorough packets, reports, and responses to data requests 1. Packets NLT close of business Thursday preceding... minimize substantive agenda amendments/adds 100% on time, minimal amendments for omissions/corrections 2. Continue refinement of staff process to assemble/distribute packets, respond to questions Staff 100% electronic, packet available to community via web link, paper as needed 3. Continue to refine Code resources to clarify language/intent in advance of emerging needs Completed Zoning updates to match Comp Plan, Lighting nuisance update, UTV/ATV 4. Continue improving formal community feedback process 5. Complete new councilmember immersion orientation including LMC virtual CM Holt brought on board Jan 2021 6. Implement records access and Current Events/News tools on City web site 7. Accessible and responsive to Councilmember queries and concerns Manage the Staff— Empower to strengths, develop; lean but highly effective 1. Retain current, high quality administrative and professional staff team members Resolved Finance/Admin turnover via position restructuring for Finance, Clerk and Accountant 2. Continue to improve team effectiveness, communication, and performance; succession planning Clerk, Finance, and Accountant restructure reduces future market risk 3. Improve effectiveness of temp/part time staffing 4. Continue to stabilize work climate — normalize work planning and task scheduling Minimal turnover in PW, HW&S part time staff continues to challenge, stable city hall staff 5. Equip the team: skill development; tools, facilities and equipment, workflow, and processes 6. Complete contract negotiation with PW Collective Bargaining Unit (carry over) Finalized CBA for 2021 — 2023 in Jan 2021 — earliest ever. COLA @ 3%x 3 yrs Finance and Administration - expertly -controlled, consistent, and repeatable processes to ensure best practice and transparent operation of City administrative processes and functions 1. Continue archive actions, clean-up, e-records, e-record management, data resilience 2. Implement new City web site — COMPLETE — ongoing refinements and improvements 3. Implement document portal for historic Council/Commission records - COMPLETE 4. Timely responses to requests for information and public records 5. CompleteRFQforRecyclingcontract- COMPLETE 6. Integrate Building Permits with laserfisch data archiving toolset— ONGOING propertyfiles 7. Manage staff re -alignment and transition - ONGOING Customer Service —we serve the public in everything we do, a personal level of service is essential 1. Available, courteous, and consistent... aware/responsive of emerging COVID situation 2. Sustain level -of -service definition for equitable, consistent, and sustainable City services 3. Prompt callbacks with minimal pass -offs 4. Honest answers or explanation of the problem and what the Staff or City can do to resolve 5. Accurately filter issues for root cause and appropriate City engagement 6. Continue improving out -facing communication tools for common problems: RAVE, Website, Etc. 7. Safely retrograde from COVID protocols - COMPLETE - 155 - Budget - assure appropriate Council oversight and approval reflect priorities, fiscal constraint, and transparency for planning and executing public funding 1. Execute 2021 budget within parameters approved by the Council —2021 audit results pending 2020 audit identified no issues of concern 2. Seek highest value/quality in day today operational choices, competitive procurement LED lighting retrofit recycle bin replacement option, equipment disposal/sale, rent -vs -buy, Front-end loader overhaul vs replacement, multi function fire apparatus 3. Keen eye for emerging problems/breakdowns, solve problems earliest before issues/costs grow 4. Preserve value in existing assets and resources, minimize lifecycle cost, continue LTFP strategy Refined LTFP identifying areas of acceptable risk to delay rehab/replacement ongoing refinement of CIP 5. Review past practice for improved methods and practices to reduce costs or improve efficiency of current activities across all City operations 6. Manage outstanding debt commitments to minimize the long-term debt service cost component in future budget years, understand impacts of current debt structure on future fiscal planning LTFP informs future bonding needs and predicts expense cash flow. No bonding in 2021 7. Process controls that assure daily compliance with legislative requirements for fiscal practices that are validated through annual external audit results 2021 audit results pending, 2020 audit identified no management concerns 8. Develop 2022 budget proposal using fully transparent zero -base and historical cost models Budget proposal provided in line with forecast timelines and within the 5% growth parameters established for stabilized growth 9. Maintain Long Term Financial Plan development to inform future financial positioning decisions Continued to refine and develop more accurate picture of infrastructure, and vehicle fleet requirements resulting in justifiable risk -taking in near term costs reducing need for increased levy revenues Planning and Development - foster community development, redevelopment, and infill; building our community and its tax value consistent with comprehensive plans and visions as market recovery and prevailing conditions will allow 1. Proactively engage ongoing projects to ensure compliance with plans and codes 2. Maintain/implement 2040 Comprehensive Plan - COMPLETE 3. Complete City obligations under Harbor District Cooperative PA and applications; on -time, thorough Experienced significant plat review/approval delays at Hennepin County, completed sale and closing 4. Complete City obligations regarding Village on Island Park — COMPLETE, Ground broken late summer 5. Engage marketplace, meet demand for further development proposals, land use/planning Received applications for Northland Real Estate Group proposal Dec 2021 6. Resolve Development Advisory or specific task activities to improve market ability/awareness 7. Meet market demand for residential infill/redevelopment land use/planning coordination 8. Refine electronic and on line Building Permit applications, feedback, and management... metrics Significant progress here with association between MNSpect and Safebuilt to bring "Community Core" software on line. Integration activities in fall cf 2021. Implementation projected March 2022 9. Continue to refine enforcement toolset, tighten timelines; solve issues at problem properties Municipal Liquor Operations - Remain the outlet of choice by providing deeply personalized service not obtainable at grocery or warehouse outlets, and a wide selection to meet customer needs 1. No liquor control violations - ZERO violations 2. Monitor part time labor scheduling to control variable operating costs 3. Control inventory to < 10% gross sales... enhance stock turns, inventory freshness POS and data tools 4. Sustain and grow new baseline in sales targets post 2020 closeout ... reach $4-million - 156 - 5. Maintain gross profit margins consistent with peer competitors (>26% of sales) #3 highest metro profits in industry! 6. Improve profitability (>10% margin) to maximize benefit through tax relief... > $250K transfer 7. Creative and impactful marketing, in store events, special promotions, and community engagement Continued unique marketing activities, first with "tasting shanty", Brew Fests, rare bottle events 8. Continue high -margin, "proprietary brands' offerings within inventory Fire - Best value emergency services for our City and surrounding communities 1. Retain and recruit to maintain projected staffing needs... 45-member target 41 on board 12/31/21 2. Sustain deliberate Officer training and succession practices 3. Sustain newly earned ISO 3 rating 4. Lead/make progress on disposal of WAFTA site (carry over) Substantial legislative progress with US Army. Congressional leverage from District 3 5. Manage capital expenses over long term as projected in apparatus replacement plans Ordered replacement pumper/engine. Did not obtain FEMA grant dollars 6. Fire Fighter Health and Safety initiatives Integrated mental health awareness into recurring training line up, continued decon initiatives 7. Continue apparatus replacements; fire/brush, Duty SUV, Engine/pumper 8. Advance discussion on formalized shared services arrangements Capital improvement planning— Prioritize, synchronize, and balance infrastructure and capital equipment renewal needs against financial capacity and outside agency opportunities 1. Continue to collaborate with other -jurisdiction efforts to maximize project potential 2. Accurately forecast and monitor long range financial profile to manage the balance of levy, assessment, and rates against timing of critical renewal work 3. Maintain accurate long range asset management and capital investment strategy 4. Implement financial strategy for next evolution of major infrastructure investment beyond 2025 5. Sustain Parks Commission budgetary practices, management plan, vision for assets 6. Complete planning and budget forecast for Depot parking, sidewalks, and Surfside playground 7. Continue to monitor and support Island Park Hall restoration interest as appropriate 8. Enhance water resource protection via improved MS4 maintenance planning and execution 9. Determine, implement, and sustain best management practice operation and maintenance means and methods to sustain/improve water quality and reduce iron staining Public Works and Engineering Projects: Continue Pavement Management Program with Seal Coat and Crack Seal projects - COMPLETE Build Retaining Wall layer in GIS for improved asset management visibility —IN PROGRESS Reconstruct Centennial Building parking, park B-ball courts, various intersection repairs Centennial pavements complete, Southview Rd and Court repaired, 2 B-Ball courts rebuilt Reconstruct Highland B-2 lift station (and force main TBD) — bid at estimate, COMPLETE Lynwood/County 15 water main replacement (Ph1) —bid underestimate COMPLETE Complete manhole rehab work in Shirley Hills district (Ph 1) - Complete Jetting and CCTV of mains Highlands districts — bid substantially below estimate - COMPLETE Coordinate on potential major redevelopment activities at Harbor District - ONGOING Harbor District Public Spaces small area improvement study In final draft development awaiting Council Committee and Parks Commission review Villages at Island Park development - 157 - Subdivision improvements completed fall2021, foundations and vertical to begin early 2022 Community entrance monument —substantially complete fall 2021, restoration remains Dakota Trail crossing study County adopted recommendations for inclusion in pre -County 15 resurface prep work NLT 2023 Monitor County regional route reconstruction work at Tanager Bridge for local impacts County 92, Narrows Bridge, and Tanager completed in 2021 Begin planning for 2022 Surfside Park pavement improvements, integrate playground improvements Flatwork feasibility study initiated in 2021, playground analysis of alternatives with Parks Commission Revitalize Adopt-a-Greenspace program Signage ordered and installed, past participants audited Advance discussion on Lost Lake area improvements with stakeholders - COMPLETE Derive and pursue solutions to city water manganese levels Robust response to initiate engineering study, develop solution options, gain project visibility and place into 2022 legislative session docket for consideration for State funding in 2022 - 158 - 2022 Key Result Areas, Goals, Objectives, and Value Statements Support to Council -Timely, accurate, and thorough packets, reports, and responses to data requests 1. Packets NLT close of business Thursday preceding... minimize substantive agenda amendments/adds 2. Continue refinement of staff process to assemble/distribute packets, respond to questions 3. Continue to refine Code resources to clarify language/intent in advance of emerging needs 4. Continue improving formal community feedback process 5. Implement records access and Current Events/News tools on City web site 6. Accessible and responsive to Councilmember queries and concerns 7. Provide timely updates to Council on emerging issues Manage the Staff- Empower to strengths, develop; lean but highly effective 1. Retain current, high quality administrative and professional staff team members 2. Continue to improve team effectiveness, communication, and performance; succession planning 3. Improve effectiveness of temp/part time staffing; track wage trends to remain competitive 4. Continue to stabilize work climate - normalize work planning and task scheduling 5. Equip the team: skill development; tools, facilities and equipment, workflow, and processes 6. Monitor area wage and CPI trends in prep for 2023 CBA negotiations Finance and Administration - expertly -controlled, consistent, and repeatable processes to ensure best practice and transparent operation of City administrative processes and functions 1. Continue archive actions, clean-up, e-records, e-record management, data resilience 2. Implement document portal for historic Council/Commission records 3. Timely responses to requests for information and public records 4. Explore and test options for central organics collection 5. Integrate Building Permits with laserfisch data archiving toolset 6. Establish level -of -service parameters for lake maintenance activities below OHWL 7. Provide for election activities for Primary and General Election absentee and poll voting Customer Service -we serve the public in everything we do, a personal level of service is essential 1. Available, courteous, and consistent... aware/responsive of emerging COVID situation 2. Sustain level -of -service definition for equitable, consistent, and sustainable City services 3. Prompt callbacks with minimal pass -offs 4. Honest answers or explanation of the problem and what the Staff or City can do to resolve 5. Accurately filter issues for root cause and appropriate City engagement 6. Continue improving out -facing communication tools for common problems: RAVE, Website, Etc. Budget - assure appropriate Council oversight and approval reflect priorities, fiscal constraint, and transparency for planning and executing public funding 1. Execute 2022 budget within parameters approved by the Council 2. Seek highest value/quality in day to day operational choices, competitive procurement 3. Keen eye for emerging problems/breakdowns, solve problems earliest before issues/costs grow 4. Preserve value in existing assets and resources, minimize lifecycle cost, continue LTFP strategy 5. Review past practice for improved methods and practices to reduce costs or improve efficiency 6. Manage outstanding debt commitments to minimize the long-term debt service cost component in future budget years, understand impacts of current debt structure on future fiscal planning 7. Process controls assure daily compliance with fiscal practices legislative requirements 8. Develop 2023 budget proposal using fully transparent zero -base and historical cost models 9. Maintain Long Term Financial Plan development to inform future financial positioning decisions - 159 - Planning and Development - foster community development, redevelopment, and infill; building our community and its tax value consistent with comprehensive plans and visions as market recovery and prevailing conditions will allow 1. Proactively engage ongoing projects to ensure compliance with plans and codes 2. Complete City obligations under Harbor District Townhome PA and applications; on -time, thorough 3. Complete City obligations regarding Village on Island Park 4. Complete City obligations regarding Northland project applications 5. Engage marketplace, meet demand for further development proposals, land use/planning 6. Meet market demand for residential infill/redevelopment land use/planning coordination 7. Refine electronic and on line Building Permit applications, feedback, and management... metrics 8. Continue to refine enforcement toolset, tighten timelines; solve issues at problem properties 9. Evaluation options for Rental Inspection and Licensure Municipal Liquor Operations - Remain the outlet of choice by providing deeply personalized service not obtainable at grocery or warehouse outlets, and a wide selection to meet customer needs 1. No liquor control violations 2. Monitor part time labor scheduling to control variable operating costs 3. Control inventory to < 10% gross sales... enhance stock turns, inventory freshness POS and data tools 4. Sustain and grow new baseline in sales targets post 2021 closeout ... reach $4-million 5. Maintain gross profit margins consistent with peer competitors (>26%of sales) 6. Sustain profitability (>10% margin) to maximize benefit through tax relief... > $250K transfer 7. Creative and impactful marketing, in store events, special promotions, and community engagement 8. Continue high -margin, "proprietary brands' offerings within inventory 9. Monitor labor market wage levels to remain competitive attracting high quality staff Fire - Best value emergency services for our City and surrounding communities 1. Retain and recruit to maintain projected staffing needs... 45-member target 2. Sustain deliberate Officer training and succession practices 3. Sustain newly earned ISO 3 rating 4. Lead/make progress on disposal of WAFTA site (carry over) 5. Manage capital expenses over long term as projected in apparatus replacement plans 6. Fire Fighter Health and Safety initiatives 7. Continue apparatus replacements; "House" replacement Engine, Evaluate Heavy Rescue options 8. Advance discussion on formalized shared services arrangements - 160 - Capital improvement planning— Prioritize, synchronize, and balance infrastructure and capital equipment renewal needs against financial capacity and outside agency opportunities 1. Continue to collaborate with other -jurisdiction efforts to maximize project potential 2. Accurately forecast and monitor long range financial profile to manage the balance of levy, assessment, and rates against timing of critical renewal work 3. Maintain accurate long range asset management and capital investment strategy 4. Implement financial strategy for next evolution of major infrastructure investment beyond 2025 5. Sustain Parks Commission budgetary practices, management plan, vision for assets 6. Begin project execution for Surfside pavements, downtown sidewalks, and Surfside playground 7. Continue to monitor and support Island Park Hall restoration interest as appropriate 8. Enhance water resource protection via improved MS4 maintenance planning and execution 9. Determine, implement, and sustain best management practice operation and maintenance means and methods to sustain/improve water quality and reduce iron staining 10. Continue advocating resources to address Manganese issues Public Works and Engineering Projects: Continue Pavement Management Program with Seal Coat and Crack Seal projects Build Retaining Wall layer in GIS, continue spot -repairs across inventory Reconstruct Depot parking lot at Surfside, sidewalks, stormwater, and beach area improvements Reconstruct Island View Drive (R-1) lift station and force main Lynwood/County 15 water main replacement (Ph2 of 3) Complete manhole rehab work in Shirley Hills district (Ph 2 of 3) Downtown sidewalk replacements phase 1 of 3 Continue trip/kick location and repairs on County Rd sidewalks, condition assessment, ADA Phase 2 of 6 Jetting and CCTV of mains Shirley Hills districts Coordinate redevelopment subdivision improvement activities at Artessa Mound Harbor Complete and implement Harbor District Public Spaces small area improvement study Complete subdivision improvements, ribbon cut Villages at Island Park development Initiate Dakota Trail crossing improvement activities with Three Rivers and Hennepin County Finalize planning for future Surfside Park playground improvements Complete Jaycees shade shelter install at Surfside Revitalize Adopt-a-Greenspace program Extend natives and pollinators demonstration plot program Support local Hennepin County Water Steward program participants and demonstration activities Pursue resourcing solutions to city water manganese levels, initiate funded work 2021 Annnal Report EmergencyIrlepare Section I: Introduction & Overview What is Emergency Preparedness? the term refers to the steps you take to make sure you are safe before, during and after an emergency or natural disaster. These plans are important for your safety in both natural disasters and man-made disasters. • We continued our focus on the importance of Emergency Preparedness (EMP) for the City of Mound and in general, all communities. The ongoing COVID 19 Pandemic and focus on Civil Unrest were in the forefront. These two unforeseen priorities increased our planning and meeting activity, and increased staff time with regard to emergency management. Section II: Organization Staff & Budget • Our Emergency Management and Preparedness staff is small with a part-time staff of 3 as indicated in the attached organizational charts. The budget was small at $46,656 for 2021. • The department spent approximately $48,273 and was $1,717 over budget. A primary reason for coming in over budget was salary increases (higher than budgeted) for staff. • EMP budget includes allocation of 35% of the Mound Field Officer salary and benefits, and no $$ allocated for fire chief or administration support from the fire department. • EMP budget also includes contractual $$ for maintenance and monitoring of the 3 sirens and funds for the city-wide notification system (called RAVE). • There were no Capital Improvement Plan projects for Emergency Preparedness in 2021. Section III: 2021 Challenges &Priority Projects • There were a significant number of continuing declarations, programs, processes, or protocols that were implemented in 2020 that carried over into 2021. These continued programs involved and impacted many of us including our Mayor, City Council, City Manager, Fire Chief, and many other hard working staff members. • In 2021, the activity level and job tasks related to Emergency Preparedn higher than most years. Section IV: Summary of Aeeomplishments All city staff adapted to new protocols and worked together to successfully navigate through 2021 with many new procedural, operational, and financial challenges. All essential city operations were performed pretty much flawlessly. Our challenges and ultimately our successes were accomplished without nnv nPuat;x/P ;mnnrt on city wide services or customer service quality. Section V: 22 Priorities and Focus • Complete Large Scale Incident Training for elected officials and city department heads • Fully activate and test all systems of the City of Mound Emergency Operations Center • Update the City - County Mitigation Plan and Continuity of Operations Plan (COOP) • Research and evaluate available options (and the practicality) for securing, fencing, or building a barrier around city hall, police precinct, and fire station in tl unrest or some kind of protect or assault on our facilities (refer to sket( 2021 Emergency Management Annual Report QUESTIONS 2021 Annnal Report Moiuid Fire Departs ' Section I: Introduction & Overview • 2021 was successful but challenging for various reasons: COVID 19, training, responding • We were successful in maintaining staff which is our # I priority, as our staff decreased slightly from 41 to 40 firefighters, which includes the fire chief. • We recruited -trained 3 firefighters with a seamless transition replacing experienced staff. • Fire -Rescue callouts 659 in 2021 vs. 597 in 2020 and a 10% increase, with a 5-year average of 590 callouts. NOTE: the high number of Fire -Rescue callouts in 2021 is likely due to police staffing shortages and an increase in EMS medical calls during the pandemic. • We averaged 18-19 firefighters responding per emergency call, which is exceptional. • Our crews also responded to 19 mutual aid requests in 2021 vs. 23 in 2020, with a total of 655 staff hours providing mutual aid assistance to other fire departments and cities. • Our firefighters, volunteered a significant amount of time of 18,391 hours worked in 2021 Section II: Organization & Administration • Recruiting, training and retaining 40 firefighters is an ongoing priority and a challenge. • Our mission is to hire people that support our department philosophy, understand customer service, and anticipate having a long-term service tenure. • As of 12-31-2021, 23% of our firefighters have less than 5 years of experience, which is often a benefit to the department because of their athleticism, enthusiasm and energy. • We have a diverse and energetic group with 518 years of accumulated experience. Our combination of experience and youth can outperform any fire department in the area. Section III: Finanees & Budget • The fire reserve account fund balance at the beginning of year 2021 was $505,069. The fire reserve fund balance decreased by $109,693 to a 2021 year-end balance of $395,374. • Donations -Grants added $29,000 to 2021 revenue, since 2003 a total of $576,746 in grants • Several major capital purchases were made in 2021 as we budgeted and as planned. The purchases were made knowing the fund balance would be reduced (refer to CIP summary). • Our current strategy is to draw down the fire fund balance over time per our Long -Term Financial Plan. The plan includes bond payments on our ladder truck and new HDR pumper. • The facility payment of $282,940 ends in 2022, and will be a major relief to our budget and dramatically help our Long -Term Financial outlook. Section IV: Strategic Plan & Initiatives We continue to focus on personnel and staffing which includes succession planning and staff development, plus we expanded our training team, improved our training plan, and goals. I made a commitment to increase focus and funding on firefighter Health, Wellness, and Safety. In years 2011 thru 2021, we spent $235,441 on upgrading our PPF fnr firPfiuhtPrc Section V: Capital LnProvemeut Plan (CIP) • In general, major Capital Improvement Projects (especially apparatus) over the past 19 years has been very low due to budget limitations and financial constraints. One major financial constraint has been the $282,940 annual facility bond payment. • The tide is changing as our financial position has improved, and over the last few years we have made major progress on addressing our CIP needs. • The Fire Commission has been actively involved in discussions pertaining to apparatus needs replacement plans, financial feasibility, and future purchases. Their involvement is essential to our Long -Term Financial Plan, our Fire Fund Reserve Balance, and future CIP purchases. • Our Public Safety Facility remains ideal for daily administration, staff activities, apparatus housing, equipment storage, training, and emergency response operations. This is a 50-year building; however, the facility is 19 years old and there are repair and maintenance items whi will need to be budgeted for and addressed in the relatively near future. 2021 Priority Projects • To make substantial progress toward solving CIP financial challenges through thoughtful planning and the purchase of capital equipment, with a focus on apparatus replacement. • Gain Fire Commission and Mound City Council approval and a Bond Sale for a new engine purchase in 2021. Was completed with bond sale of $600,000 at interest rate of less than 2%. • Take delivery of the new Pierce Heavy Duty Rescue Pumper in 2022 (may be early 2023). • Maintain MVFD Relief Association Pension Plan funding level and investment performance which has been very good. A pension benefit increase request may be near or on the horizon. • Initiate an actuarial valuation on the MVFD Relief Pension fund which is due, and based on the find balance as of 12-31-2021. The pension fund balance on 12-31-2021 is $6,157,292.72. Seetion VI: Challenges for the Future • The Nationwide trends and struggles that many paid -on -call fire departments face today is due to the lack of volunteer firefighters. Many local Mpls Metro area fire departments are changing their business model by hiring full-time staff or moving to assigned duty shifts. • Maintained as long as possible the Volunteer Firefighter Business Model which brings an incredible value to our customers and residents. • Continue our success of Recruiting, Training, and Retaining high quality individuals. • Development of new Officers and Leaders to replace retiring firefighters and officers. • Effectively managing the high costs associated with hiring, outfitting, and training new staff • Continue Health, Wellness, and Safety Programs for firefighters and their families, including the high cost of replacing Turn -Out -Gear at a cost of approximately $95,469 for 2022. Seetion VI: Challenges for the Future Continued • Monitoring call types and utilizing staffing models such as our Duty Officer Program to creatively and effectively managing volunteer staff time, and to reduce time commitment • Have a Long -Term Financial Plan, updated with revenue and basic operating expenses, plus major expense CIP categories to meet our administrative, staffing and operational needs. Funding the replacement of Old -Obsolete Apparatus that are critical to fire operations • Sharing services (mutual aid or other) among other fire departments and cost effective, efficient, and high -quality service. Ll Ll Seetion VII: Snmmary of Accomplishments Hiring, training, and development of staff have been very successful in 2021. Although 23% of our staff has less than 5 years of service, we have continued to provide professional level of service at a low cost. As fire, rescue, and service calls numbers increase, our staff continues to meet the time commitment, hard work, training, and increased work load necessary to succeed. As confirmed by our Insurance Services Office Public Protection Classification Rating of 3, effective April 1, 2021 confirms our high -quality level of fire protections services. Prudent Budget Management in years past and in 2021 has created a positive financial position. Grants and donations have been a maj or factor in helping to lower our budget. Seetion VII: Summary of Aeeomplishments Continued • Duty officers responded to 316 calls in 2021, which is approximately 48% of all calls. This improves response times and efficiency. The program saved about 723 staff hours in 2021. • The Mound Volunteer Fire Department Relief Association Pension Fund is managed well and the balance of $6,157,292, and remains healthy and is a key benefit for our firefighters. • In 2018, I raised the bar on Firefighter Health, Wellness and Safety. This program continued in 2021, including PPE for firefighters and a focus on MnFIRE Training for staff. • The COVID 19 pandemic has presented a new set of operational and financial challenges. We have adapted to the challenges and successfully navigated through in 2020 and 2021. 2022 Priorities & Focus • Create a Strategic Business Plan to establish a solid foundation a Long -Term Financial Plan. • Create a Long -Term Budget Forecast and CIP Financial Plan through year 2030. • Continued our focus on developing our entire staff, including Officers and Firefighters. • Continue our focus on and attention to Firefighter Health, Wellness and Safety Programs • In 2022 and 2023, Mound Fire Department will begin to celebrate 100 years of dedicated community service. We will be planning for a very special centennial celebration. Looking to the Future I believe we can improve our long-term budget and solidify our future operations by continuing to partner with Minnetrista, Spring Park and Shorewood. I recommend we look to expand and partner with other cities and other lake area fire departments. A fire partnership would create an expanded fire protection plan, and lead to more efficient use of firefighter's time, support staff, apparatus, and equipment. In the long term, a fire partnership (of some form) would also be a benefit to the residents of Mound, Minnetrista, Spring Park, St. Bonifacius, Orono, and other communities In closing: the cost of fire protection services in Minnesota is extremely low when compared to other U.S. States. In a recent study, Minnesota ranked 481h nationally in fire service costs. A special thank you to our city officials, fire commission members, and citizens for their continued cooperation and support of the Mound Fire Department. 2021 Mound Fire Department Annual Report QUESTIONS