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2022-06-28 CC Agenda PacketPLEASE TURN OFF ALL CELL PHONES & PAGERS IN COUNCIL CHAMBERS. CITY OF MOUND MISSION STATEMENT: The City of Mound, through teamwork and cooperation, provides at a reasonable cost, quality services that respond to the needs of all citizens, fostering a safe, attractive and flourishing community. AGENDA MOUND CITY COUNCIL REGULAR MEETING 1. Opening meeting 2. Pledge of Allegiance 3. Approve agenda, with any amendments TUESDAY, JUNE 28, 2022 - 7:00 PM MOUND CITY COUNCIL CHAMBERS *Consent Agenda: Items listed under the Consent Agenda are considered routine in nature, have been evaluated by staff, recommended by staff for approval by the Council, and will be enacted by a single roll call vote. There will be no separate discussion of these items unless a Council Member or Citizen so requests. At this time, anyone present who wishes to offer dissenting comment to any items on the Consent Agenda is invited to identify themselves and the item of concern so that the it may be removed from the Consent Agenda and considered after discussion in normal sequence. Separate introduction or further support from petitioners or requestors is not required at this time and removal of an item from the Consent Agenda for this purpose is not required or appropriate. 4. *Consent Agenda *A. Approve payment of claims *B. Approve minutes: June 14, 2022 Regular Meeting *C. Approve Resolution approving Liquor Licenses *D. Approve Resolution Approving Variance for Fence at 1604 Dove Lane (Planning Case No. 22-05) *E Approve Resolution Approving Variance for Detached Accessory Structure/ Garage at 4924 Edgewater Road (Planning Case No. 22-06) *F Approve Resolution Approving Permits for 2022 Minnesota Beach Brawl Special Event at Surfside Park and Beach on Saturday, July 30, 2022 *G Approve Resolution Approving Permits for 2022 Dog Days Special Event at Surfside Park and Beach on Saturday, August 13, 2022 with a Reduced Fee and Damage Deposit Waiver due to Public Purpose of Gathering 5. Comments and suggestions from citizens present on any item not on the agenda. (Limit to 3 minutes per speaker.) 6. Jenny Bodurka, Assistant Director of Community Education on the tour d tonka event Page 1348-1379 1380-1393 1394 1395-1419 1397 1420-1445 1422 1446-1452 1448 1453-1460 1456 7. Review/consideration of action related to declaring public nuisance and authorizing 1461-1466 PLEASE TURN OFF ALL CELL PHONES & PAGERS IN COUNCIL CHAMBERS. an enforcement action to abate for property at 4900 Edgewater Drive 1462 Tabled from June 14, 2022 meeting A. Requested Action Approve Resolution Declaring a Public Nuisance and Authorizing an Enforcement Action to Abate the Nuisance 8. Planning Commission Recommendation 1467-1481 Planning Case No. 22-03 Review/consideration of action on variance for fence height at 3084 Tuxedo Blvd. Applicants: Mark and Christine Oseland 9. Information/Miscellaneous A. Comments/Reports from Council members B. Reports: Finance Dept. — May 2022 1482-1484 Fire Dept. — May 2022 1485-1486 C. Minutes: Planning Commission — May 3, 2022 1487-1490 Parks and Open Spaces Commission — May 12, 2022 1491-1493 D. Correspondence: League of MN Cities Annual Dues Notice 1494 Water Stewards —Overland Lane 1495-1496 Dog Days Flyer — August 13, 2022 1497 10. Adjourn COUNCIL BRIEFING June 28, 2022 Council meetings are held in the City Council Chambers in the Centennial Building on the second and fourth Tuesday each month at 7:00 PM with agendas and meeting details/locations posted to the City website the Thursday prior under the "Mayor and Council' section of the "Government" tab of the Home Page. Government I Mound, MN (cityofmound.com) *** All Meetings At City Council Chambers, Centennial Building *** Upcoming Events Schedule: Don't Forget!! June 28— 6:55 PM — HRA Regular Meeting (as may be required) June 28 — 7:00 PM — City Council Regular Meeting July 12— 6:55 PM — HRA Regular Meeting (as may be required) July 12 — 7:00 PM — City Council Regular Meeting July 26— 6:55 PM — HRA Regular Meeting (as may be required) July 26 — 7:00 PM — City Council Regular Meeting August 9 — MN Primary Elections, Meetings RESCHEDULED to August 10 August 10 — 6:55 PM — Rescheduled HRA Regular Meeting (as may be required) August 10 — 7:00 PM — Rescheduled City Council Regular Meeting August 23 — 6:55 PM — HRA Regular Meeting (as may be required) August 23 — 7:00 PM — City Council Regular Meeting Events and Activities: Subscribe to RAVE messaging tool for emergency notifications and updates RAVE Emereencv Notifications I Mound, MN (citvofmound.com) Summer -long — Farmers' Market and More continues Saturday mornings through summer July 21-23 — Spirit of the Lakes August 2 — National Night Out Aug 9 — Primary Elections Aug 13 — Dog Days City Offices: Closed July 4 City Official's Absences Please notify the City Manager in advance of an absence. Inquire in advance. please...... Council members are asked to call or email their questions in advance of a public meeting so that more research may be done or additional information may be provided that will assist in your quality decision - making. 2022 City of Mound Claims 06-28-22 YEAR BATCH NAME DOLLAR AMOUNT 2022 ELANCC042522 $ 2,004.71 2022 ELANCC052322 $ 2,653.63 2022 0522TV-CQ-NAP $ 9,285.05 2022 061428PAYREQ $ 3,750.00 2022 ELANCC062322 $ 9,285.05 2022 062822CITY $ 67,390.93 2022 062822HWS $ 106,785.46 TOTAL CLAIMS 11 $ 201,154.83 1 IICY1:? CITY OF MOUND 06/17/229:08AM Page 1 Payments Current Period: May 2022 Payment Batch ELANCC042522 $2,004.71 Refer 3 ELAN CREDIT CARD Ck# 081274E 4252022 Cash Payment E 101-41920-440 Other Contractual Servic ZOOM.US- MONTHLY SUBSCRIPTION - TO $43.01 RECORD COUNCIL MEETINGS TO CLOUD FOR LMCC Invoice 042522 3/112022 Cash Payment E 101-41920-440 Other Contractual Servic ZOOM.US- ANNUAL RENEWAL STANDARD $161.18 PRO -GREATER THAN 40 MINUTES/TIME TO RECORD COUNCIL MEETINGS TO CLOUD FOR LMCC Invoice 042522 3/112022 Cash Payment E 609-49750-210 Operating Supplies WALMART - CANDY- KIDS TREATS- HWS $24.65 Invoice 042522 3/182022 Cash Payment E 609-49750-218 Clothing and Uniforms ALL SEASON SPORTS - HWS $701.00 EMBROIDERED LOGO SHIRTS- UNIFORMS FOR HWS STAFF- 21 LADIES SHIRTS & 8 MANAGER SHIRTS Invoice 042522 3/192022 Cash Payment E 101-45200-434 Conference & Training MTI DISTRIBUTING- TRAINING- CLASS- D. $130.00 KOSKELA Invoice 042522 3/172022 Cash Payment E 101-43100-404 Machinery/Equip Repairs TENNANT COMPANY- SYNHTETIC FIBER $324.51 PANEL FILTERS- SWEEPER Invoice 042522 3242022 Cash Payment E 281-45210-322 Postage USPS- POSTAGE - DOCKS COMMISSION $8.16 PACKET-3-17-22 MEETING Invoice 042522 3/112022 Cash Payment E 601-49400-220 Repair/Maint Supply AMAZON.COM- WRENCH FLANGE NUT KIT, $19.49 ANGLE WRENCH & FLANGE NUTS- UTILITY DEPT Invoice 042522 3242022 Cash Payment E 602-49450-220 Repair/Maint Supply AMAZON.COM- WRENCH FLANGE NUT KIT, $19.48 ANGLE WRENCH & FLANGE NUTS- UTILITY DEPT Invoice 042522 3242022 Cash Payment E 602-49450-210 Operating Supplies AMAZON.COM- DURACELL 3V LITHIUM 2025 $4.20 COIN BATTERY- 2 COUNT- UTILITY DEPT Invoice 042522 4/32022 Transaction Date 6/142022 U.S. Bank 10100 10100 Total $1,435.68 Refer 4 ELAN CREDIT CARD Ck# 081275E 4252022 Cash Payment E 222-42260-210 Operating Supplies AMAZON.COM - BUNN COFFEE POT $49.94 DECANTERS/CARAFES, 2 BLACK REG, 1 ORANGE DECAF, 12 CUP CAPACITY- FIRE DEPT Invoice 042522-2 3/112022 Cash Payment E 222-42260-200 Office Supplies AMAZON.COM - SELF INKING RUBBER $8.98 STAMP- RED INK- FIRE DEPT Invoice 042522-2 3/102022 Cash Payment E 222-42260-409 Other Equipment Repair CHEVROLET OF WAYZATA- LAMP- FIRE $100.05 CHIEFT TRUCK #42 Invoice 042522-2 3/102022 Cash Payment E 222-42260-433 Dues and Subscriptions NATIONAL REGISTRY EMT- G. PEDERSON $25.00 RECERTIFICATION Invoice 042522-2 3/112022 IBL1', CITY OF MOUND Payments Current Period: May 2022 Cash Payment E 101-41410-210 Operating Supplies Invoice 042522-2 3/162022 Cash Payment E 222-42260-219 Safety supplies Invoice 042522-2 3232022 Cash Payment E 222-42260-210 Operating Supplies Invoice 042522-2 3242022 Cash Payment E 222-42260-210 Operating Supplies AMAZON.COM - CLEAR ACRYLIC BROCHURE HOLDER, - ELECTION JUDGE ADVERTISING @ CITY HALL COUNTER AMAZON.COM - TRUEPLUS GLUCOSE GEL, 6 PK GEL POUCHES- FIRE DEPT AMAZON.COM - ICEBAGS 100 CT, 10 LB BAGS W/ DRAWSTRINGS- FIRE DEPT AMAZON.COM - FINGERTIP PULSE OXIMETER BLOOD OXYGEN MONITOR WITH COVER. BATTERIES & LANYARD- FIRE DEPT Invoice 042522-2 3242022 Cash Payment E 222-42260-434 Conference & Training BEST WESTERN PREMIER DETROIT LAKES- LODGING- D. BERENT DETROIT LAKES FIRE SCHOOL- APRIL 1-3 Invoice 042522-2 4/32022 Transaction Date 6/142022 Fund Summary 101 GENERAL FUND 222 AREA FIRE SERVICES 281 COMMONS DOCKS FUND 601 WATER FUND 602 SEWER FUND 609 MUNICIPAL LIQUOR FUND U.S. Bank 10100 10100 10100 U.S. Bank 10100 $681.65 $546.08 $8.16 $19.49 $23.68 $725.65 $2,004.71 Pre -Written Checks $2,004.71 Checks to be Generated by the Computer $0.00 Total $2,004.71 Total 06/17/22 9:08 AM Page 2 $22.95 $15.00 $15.83 $76.30 $254.98 $569.03 `149719 CITY OF MOUND 06/23/229:22AM Page 2 Payments Current Period: June 2022 Cash Payment E 602-49450-220 Repair/Maint Supply & E HYDRAULICS- PW SHOP INVENTORY $25.89 Invoice 6974-442551 5/192022 Project 22-5 Cash Payment E 602-49450-220 Repair/Maint Supply & E BATTERY- NORTHERN GENERATOR $82.40 Invoice 6974-442013 5/102022 Cash Payment E 602-49450-220 Repair/Maint Supply & E OIL FILTER & GEAR OIL TREATMENT- PW $20.36 SHOPINVENTORY Invoice 6974-441634 5/32022 Project 22-5 Cash Payment E 101-43100-220 Repair/Maint Supply & E OIL, AIR & FUEL FILTERS- STREETS TRUCK $74.87 #515 Invoice 6974-442449 5/172022 Cash Payment E 602-49450-220 Repair/Maint Supply & E BATTERY- LAKEWINDS GENERATOR $138.57 Invoice 6974-442425 5/172022 Cash Payment E 602-49450-220 Repair/Maint Supply & E CORE RETURN BATTERY- LAKEWINDS -$22.00 GENERATOR Invoice 6974-442428 5/172022 Cash Payment E 101-43100-220 Repair/Maint Supply & E FUEL ELEMENT- STREETS HOT MIX $5.59 TRAILER #117 Invoice 6974-441971 5/102022 Cash Payment E 101-43100-220 Repair/Maint Supply & E FUEL ELEMENT- STREETS HOT MIX $5.94 TRAILER #117 Invoice 6974-441972 5/102022 Cash Payment E 101-43100-220 Repair/Maint Supply & E SPIN -ON LUBE- STREETS HOT MIX TRAILER $4.33 #117 Invoice 6974-441973 5/102022 Cash Payment E 101-43100-220 Repair/Maint Supply & E OIL & AIIR FILTERS- STREETS HOT MIX $20.27 TRAILER #117 Invoice 6974-441982 5/102022 Cash Payment E 101-43100-220 Repair/Maint Supply & E FUEL FILTERS- STREETS HOT MIX TRAILER $9.42 #117 Invoice 6974-441983 5/102022 Cash Payment E 101-43100-220 Repair/Maint Supply & E OIL, FUEL & AIR FILTERS- TRUCK#604 $15.04 Invoice 6974-442469 5/172022 Cash Payment E 601-49400-220 Repair/Maint Supply & E OIL, FUEL & AIR FILTERS- TRUCK#604 $15.03 Invoice 6974-442469 5/172022 Cash Payment E 602-49450-220 Repair/Maint Supply & E SOLENOID- SEWER TRUCK #1604 $32.18 Invoice 6974-442863 5262022 Cash Payment E 101-43100-220 Repair/Maint Supply & E SIT LAMP- STREETS TRUCK #407 $16.14 Invoice 6974-442863 5262022 Cash Payment E 101-45200-220 Repair/Maint Supply & E BATTERY PARKS TRUCK $66.99 Invoice 6974-442944 5272022 Cash Payment E 602-49450-220 Repair/Maint Supply & E SIT LAMP- PW SHOP INVENTORY $16.14 Invoice 6974-443141 5/312022 Project 22-5 Transaction Date 6202022 U.S. Bank 10100 10100 Total $1,164.83 Refer 108 DPC INDUSTRIES, INC. Ck# 071434 622/2022 Cash Payment E 601-49400-227 Chemicals 150# CHLORINE CYLINDER RENTAL- QTY 12 $120.00 Invoice 82000027-22 5/312022 Transaction Date 6202022 U.S. Bank 10100 10100 Total $120.00 Refer 106 GRIFFITHS, DANIEL Ck# 071435 6/22/2022 `1CM CITY OF MOUND Payments Current Period: June 2022 Cash Payment E 609-49750-305 Medical Services Invoice 061622 6/162022 Cash Payment E 609-49750-305 Medical Services Invoice 061622 6/162022 Transaction Date 6202022 REIMB MILEAGE- POST OFFER EMPLOYMENT TESTING- HWS- D. GRIFFITHS - TO/FROM EDINA/MOUND REIMBURSE- POST OFFER EMPLOYMENT TESTING- HWS- D. GRIFFITHS U.S. Bank 10100 10100 Total Refer 105 ISLAND PARK VILLAGE HALL Ck# 071436 622/2022 Cash Payment G 101-23468 4843 MANCHESTER ISLAN ESCROW REFUND- ISLAND PARK HALL CONDITIONAL USE PERMIT Invoice 061522 6/152022 Transaction Date 6202022 U.S. Bank 10100 10100 Total 06/23/22 9:22 AM Page 3 $30.07 $50.00 $80.07 $750.00 $750.00 Refer 109 KELLY, KEVIN Ck# 071437 622/2022 Cash Payment E 281-45210-331 Use of personal auto REIMB MILEAGE- DOCK PROGRAM $43.11 INSPECTIONS- K. KELLY-5-13-22 THRU 6-13- 22 Invoice 061322 6/132022 Transaction Date 6202022 U.S. Bank 10100 10100 Total $43.11 Refer 110 MEDIACOM Ck# 071438 622/2022 Cash Payment E 101-42110-321 Telephone, Cells, & Radi ORONO PD INTERNET SVC 6-16-22 THRU 7- 15-22 Invoice 062022 6/62022 Transaction Date 6202022 U.S. Bank 10100 10100 Total Refer 111 MOUND MARKETPLACE ASSOC Ck# 071439622/2022 Cash Payment E 609-49750-412 Building Rentals JULY 2022 COMMON AREA MTCE & INSURANCE HWS Invoice 070122 7/12022 Transaction Date 6202022 U.S. Bank 10100 10100 $96.90 $96.90 $1,504.18 Total $1,504.18 Refer 103 NAPA AUTO PARTS - SPRING PAR Ck# 071440 622/2022 Cash Payment E 101-45200-220 Repair/Maint Supply & E SAE 5W30 OIL, MOTOR TUNE-UP, 3/81N DR $71.38 RATCHET Invoice 0577-157090 5/172022 Cash Payment E 101-43100-220 Repair/Maint Supply & E ALARM STREETS TRUCK #515 $36.93 Invoice 0577-157062 5/172022 Cash Payment E 602-49450-220 Repair/Maint Supply & E WIRE KIT- PAINT SPRAYER #216 $24.00 Invoice 0577-157085 5/172022 Project 22-5 Cash Payment E 101-45200-220 Repair/Maint Supply & E LAMP TORO LAWNMOWER $15.66 Invoice 0577-157200 5/192022 Cash Payment E 101-43100-220 Repair/Maint Supply & E FUEL FILTER- QTY 2- STREETS TRUCK #313 $62.68 Invoice 0577-158175 622022 Cash Payment E 101-43100-220 Repair/Maint Supply & E CRANKCASE FILTER- STREETS TRUCK #313 $81.68 Invoice 0577-158173 622022 Transaction Date 6202022 U.S. Bank 10100 10100 Total $292.33 Refer 113 PLAYSSET PARTS. COM Ck# 071441 6/22/2022 Cash Payment E 101-45200-220 Repair/Maint Supply & E 5 FT HEAVY DUTY- COMMERCIAL GRADE $1,019.00 WAVE SLIDE FOR CHESTER PARK Invoice 4092 6/172022 PO 25422 Transaction Date 6202022 U.S. Bank 10100 10100 Total $1,019.00 `1C CITY OF MOUND Payments Current Period: June 2022 06/23/22 9:22 AM Page 4 Refer 102 TRUE VALUE MOUND (FIRE) Ck# 071442 6/22/2022 Cash Payment E 222-42260-210 Operating Supplies SCREWS, NUTS, BOLTS- FIRE DEPT $3.60 Invoice 180839 5/142022 Cash Payment E 222-42260-210 Operating Supplies RETURN CREDIT- SCREWS, NUTS, BOLTS- -$3.60 FIRE DEPT Invoice 180841 5/142022 Cash Payment E 222-42260-210 Operating Supplies SCREWS, NUTS, BOLTS- FIRE DEPT $1.57 Invoice 181000 5212022 Cash Payment E 222-42260-210 Operating Supplies ELECTRICIAN TAPE- FIRE DEPT $6.29 Invoice 180772 5/112022 Transaction Date 6202022 U.S. Bank 10100 10100 Total $7.86 Refer 104 TRUE VALUE, MOUND (PW PKS) Ck# 071443 6/22/2022 Cash Payment E 101-45200-220 Repair/Maint Supply & E SCREWS, NUTS, BOLTS $12.78 Invoice 180576 5/32022 Cash Payment E 601-49400-220 Repair/Maint Supply & E SCREWS, NUTS, BOLTS $17.10 Invoice 180604 5/42022 Cash Payment E 101-43100-220 Repair/Maint Supply & E 28" FENCE POST BASE SPIKE, CEDAR $134.97 MAILBOX POST KIT Invoice 180616 5/52022 Cash Payment E 101-45200-220 Repair/Maint Supply & E 2 GALLONS BLEACH, 1 BLEACH SPRAYER $42.27 Invoice 180595 5/42022 Cash Payment E 101-45200-220 Repair/Maint Supply & E SCREWS, NUTS, BOLTS $29.69 Invoice 180619 5/52022 Cash Payment E 101-45200-220 Repair/Maint Supply & E GRAY PRIMER, FLAT BROWN ENAMEL $16.63 Invoice 180626 5/52022 Cash Payment E 101-45200-220 Repair/Maint Supply & E 2" FLEXIBLE COUPLING, 5 OZ CLEAR CAULK $13.93 TUBE Invoice 180723 5/102022 Cash Payment E 101-43100-220 Repair/Maint Supply & E 34" ADJUSTABLE RUBBER TIE DOWN, 12 X $53.03 20 GREEN TARP COVER Invoice 180728 5/102022 Cash Payment E 101-45200-220 Repair/Maint Supply & E FURNITURE CLEANER, 20 LB SUN/SHADE $88.18 GRASS SEED Invoice 180730 5/102022 Cash Payment E 101-43100-220 Repair/Maint Supply & E 10 X 12 BLUE TARP COVER $20.69 Invoice 180759 5/112022 Cash Payment E 101-45200-220 Repair/Maint Supply & E GALVANIZED FLANGES, NIPPLES, ELBOWS, $37.90 ADAPTER, TEE, BUSHING Invoice 180763 5/112022 Cash Payment E 101-45200-210 Operating Supplies 2 DUPLICATE KEYS $3.58 Invoice 180771 5/112022 Cash Payment E 601-49400-220 Repair/Maint Supply & E POLY TUBE $0.68 Invoice 180578 5/122022 Cash Payment E 101-45200-220 Repair/Maint Supply & E 1/4 X 100 SASH CORD $26.99 Invoice 180780 5/122022 Cash Payment E 101-45200-220 Repair/Maint Supply & E 35' 3/8 PROOF CHAINS- 30 QTY, SNAP $213.84 LINKS, 4 HEAVY OPEN HOOKS Invoice 180785 5/122022 Cash Payment E 601-49400-210 Operating Supplies 3 PK CLEAR TAPE, SHIPPING TAPE, CLEAR $47.67 PACKING TAPE Invoice 180811 5/132022 `K4�1 CITY OF MOUND 06/23/229:22AM Page 5 Payments Current Period: June 2022 Cash Payment E 101-43100-210 Operating Supplies 2 EACH- BLACK & BLUE PERMANENT $31.54 SHARPIES, DUCT TAPE, GORILLA TAPE, AQUADUCTTAPE Invoice 180821 5/132022 Cash Payment E 101-45200-220 Repair/Maint Supply & E 2 QTY 12 OZ GLOSS PAINT $13.48 Invoice 180864 5/162022 Cash Payment E 101-45200-218 Clothing and Uniforms 5 PK LARGE MENS GLOVES $11.69 Invoice 180864 5/162022 Cash Payment E 101-45200-220 Repair/Maint Supply & E CARABINERS- QTY 3,6 PK COMMAND $34.06 HOOKS, GALLON SIMPLE GREEN Invoice 180875 5/162022 Cash Payment E 101-43100-220 Repair/Maint Supply & E 110 OZ 50:1 FUEL/OIL $24.29 Invoice 180910 5/182022 Cash Payment E 281-45210-220 Repair/Maint Supply & E 2 X 4 X 8 STUDS- QTY 12, 3' GRIPNGRAB $230.87 EXTENSION REACH BARS Invoice 180927 5/182022 Cash Payment E 101-45200-210 Operating Supplies KEY $1.79 Invoice 180941 5/192022 Cash Payment E 101-45200-220 Repair/Maint Supply & E 1/4 X 100 SASH CORD, 100' CLOTHESLINE, 4 $150.04 PK GORILLA GLUE, UTILITY LIGHTER, QUICK SNAPS Invoice 180969 5202022 Cash Payment E 602-49450-220 Repair/Maint Supply & E SCREWS, NUTS, BOLTS $8.36 Invoice 180981 5202022 Cash Payment E 601-49400-220 Repair/Maint Supply & E SCREWS, NUTS, BOLTS $29.69 Invoice 181031 5232022 Cash Payment E 101-43100-220 Repair/Maint Supply & E 20" DELUXE WIND MACHINE $44.99 Invoice 181016 5232022 Cash Payment E 101-45200-220 Repair/Maint Supply & E SCREWS, NUTS, BOLTS $4.35 Invoice 181017 5232022 Cash Payment E 101-45200-210 Operating Supplies 4 DUPLICATE KEYS $7.16 Invoice 181017 5232022 Cash Payment E 609-49750-210 Operating Supplies 25' EXTENSION CORD, 3 OUTLET $118.75 EXTENSION CORD, 3 QTY 15W LED BULBS- HWS Invoice 181020 5232022 Cash Payment E 101-45200-220 Repair/Maint Supply & E LEAD PAINT RESPIRATOR, BRAKLEEN $27.87 CLEANER Invoice 181021 5232022 Cash Payment E 101-45200-210 Operating Supplies 2 DUPLICATE KEYS $3.58 Invoice 181055 5242022 Cash Payment E 101-45200-220 Repair/Maint Supply & E 6 ROPE CLAMPS $6.97 Invoice 181058 5242022 Cash Payment E 101-45200-220 Repair/Maint Supply & E SCREWS, NUTS, BOLTS $5.66 Invoice 181073 5252022 Cash Payment E 101-45200-220 Repair/Maint Supply & E S HOOKS, OPEN HEAVY S HOOKS $24.52 Invoice 181082 5252022 Cash Payment E 101-45200-210 Operating Supplies 2 DUPLICATE KEYS $3.58 Invoice 181096 5252022 Cash Payment E 601-49400-220 Repair/Maint Supply & E SCREWS, NUTS, BOLTS $7.64 Invoice 181080 5252022 11491Fl CITY OF MOUND 06/23/229:22AM Page 6 Payments Current Period: June 2022 Cash Payment E 101-45200-232 Landscape Material 14 QTY -LARGE HANGING BASKETS $579.60 DOWNTOWN STREETSCAPE Invoice 181099 5252022 Cash Payment E 101-43100-220 Repair/Maint Supply & E BIG GAP FOAM SEALANT $6.11 Invoice 181111 5262022 Cash Payment E 101-45200-220 Repair/Maint Supply & E BASKETBALL NETS- 5 QTY, RATCHET TIE $120.87 DOWN, 10 QTY HOOKS, 4 QUICK LINKS Invoice 181113 5262022 Cash Payment E 101-45200-210 Operating Supplies GALLON SINPLE GREEN CLEANER $10.79 Invoice 181141 5272022 Cash Payment E 601-49400-220 Repair/Maint Supply & E 10 PK SANDING RESPIRATORS $17.09 Invoice 181178 5/312022 Cash Payment E 101-45200-220 Repair/Maint Supply & E SCREWS, NUTS, BOLTS $25.19 Invoice 180536 522022 Transaction Date 6202022 U.S. Bank 10100 10100 Total $2,310.46 Refer 100 TRUE VALUE, NAVARRE Ck# 071444 6/22/2022 Cash Payment E 101-45200-220 Repair/Maint Supply & E 14X12 12 SCREWS- PARKS $32.99 Invoice 336587 522022 Cash Payment E 101-45200-220 Repair/Maint Supply & E 10 QTY BUILDERS & HEAVY HDWE- PARKS $9.50 Invoice 336637 5/42022 Cash Payment E 101-45200-220 Repair/Maint Supply & E 30' 1/4 PROOF CHAIN- PARKS $74.70 Invoice 337161 5262022 Cash Payment E 101-45200-220 Repair/Maint Supply & E S HOOK- PARKS $1.80 Invoice 337137 5252022 Cash Payment E 101-45200-220 Repair/Maint Supply & E 33' 1/4 PROOF CHAIN, S--HOOKS, QUICK $146.09 LINKS- PARKS Invoice 337136 5252022 Cash Payment E 101-45200-220 Repair/Maint Supply & E 7/16 X 12 BRS ROPE CLAMPS- 5 QTY- $11.45 PARKS Invoice 337139 5252022 Transaction Date 6202022 U.S. Bank 10100 10100 Total $276.53 Refer 112 ULINE Ck# 071445 622/2022 Cash Payment E 101-45200-220 Repair/Maint Supply & E 20 PACKAGES- 55-60 GALLON 3 MIL CLEAR $505.04 CONTRACTOR GARBAGE BAGS- PARKS Invoice 149711063 622022 Cash Payment E 602-49450-218 Clothing and Uniforms 12 PAIR MECHANIX IMPACT GLOVES- $414.74 PUBLIC WORKS & PARKS STAFF Invoice 149561828 5/312022 Project 22-5 Transaction Date 6202022 U.S. Bank 10100 10100 Total $919.78 `K4�i] Fund Summary 101 GENERAL FUND 222 AREA FIRE SERVICES 281 COMMONS DOCKS FUND 285 HRA/HARBOR DISTRICT 601 WATER FUND 602 SEWER FUND 609 MUNICIPAL LIQUOR FUND 670 RECYCLING FUND 675 STORM WATER UTILITY FUND CITY OF MOUND Payments Current Period: June 2022 10100 U.S. Bank 10100 $5,211.02 $129.20 $304.31 $21.00 $402.65 $1,308.54 $1,866.33 $21.00 $21.00 $9,285.05 Pre -Written Checks $9,285.05 Checks to be Generated by the Computer $0.00 Total $9,285.05 06/23/22 9:22 AM Page 7 IBM Payment Batch 061422PAYREQ CITY OF MOUND Payments Current Period: June 2022 $3,750.00 Refer 114 NORLINGS LAKE MINNETONKA IN Ck# 071431 620/2022 Cash Payment E 602-49450-500 Capital Outlay FA RESTORATION PLANTINGS- 2021 LIFTSTATION IMPROV PROJ PW 21-03- HIGHLAND BLVD LS- INSTALL 5 QTY 6' TECHNY ARBORVITAE W/ MULCH & WATER BAGS Invoice 40264 6/142022 Project PW2103 Transaction Date 6212022 U.S. Bank 10100 10100 Total Fund Summary 602 SEWER FUND 10100 U.S. Bank 10100 $3,750.00 $3,750.00 Pre -Written Checks $3,750.00 Checks to be Generated by the Computer $0.00 Total $3,750.00 06/23/22 9:24 AM Page 1 $3,750.00 $3.750.00 110611 Payment Batch ELANCC062322 CITY OF MOUND Payments Current Period: June 2022 $3,903.48 Refer 7 ELAN CREDIT CARD Ck# 081284E 6232022 Cash Payment E 101-41920-440 Other Contractual Servic ZOOM.US- MONTHLY SUBSCRIPTION -TO RECORD COUNCIL MEETINGS TO CLOUD FOR LMCC Invoice 062322 5/312022 Cash Payment E 609-49750-210 Operating Supplies Invoice 062322 5282022 Cash Payment E 609-49750-210 Operating Supplies Invoice 062322 5/102022 Cash Payment E 609-49750-210 Operating Supplies Invoice 062322 5/102022 Transaction Date 6/152022 Refer 8 ELAN CREDIT CARD Cash Payment E 222-42260-210 Operating Supplies Invoice 062322-2 6/12022 Cash Payment E 222-42260-210 Operating Supplies Invoice 062322-2 5272022 Cash Payment E 222-42260-210 Operating Supplies Invoice 062322-2 5202022 Cash Payment E 222-42260-210 Operating Supplies Invoice 062322-2 5202022 Cash Payment E 222-42260-210 Operating Supplies Invoice 062322-2 6/12022 Cash Payment E 222-42260-434 Conference & Training Invoice 062322-2 5/92022 Cash Payment E 222-42260-210 Operating Supplies Invoice 062322-2 5/142022 Cash Payment G 222-22801 Deposits/Escrow Invoice 2758139 6/32022 WALMART- 2 LARGE BAGS OF DUM DUM POPS FOR KIDS- HWS AMAZON.COM - HOOVER COMMERCIAL BAGLESS VACUUM CLEANER & FILTER KIT - WASHABLE HEPA CARTRIDGE - HWS AMAZON.COM- HOOVER VACUUM CLEANER BELT- HWS U.S. Bank 10100 10100 Total 06/17/22 9:40 AM Page 1 $43.01 $26.63 $215.86 $5.71 $291.21 Ck# 081285E 6232022 AMAZON.COM - DOUBLE SIDED HEAVY $10.99 DUTY ADHESIVE MOUNTING TAPE - FIRE DEPT COSTCO- CHEX MIX, CRACKER JACKS, $70.62 POPCORN, COOKIES- FOR LSU- FIRE DEPT BATTERIES + BULBS - 12V LEAD $15.95 DURACELL- FIRE DEPT ICY BREEZE COOLING LLC 10 AH BATTERY $477.89 W/ CHARGER, 4' EXTENSION TUBE, 12V POWER SUPPLY, SUPER SPEED POWER PORT & 12V CHARGER - FIRE DEPT AMAZON.COM - SURGE PROTECTOR $48.80 OUTLET EXTENDER W/ USB PLUG, APPLE CHARGER, IPHONE CHARGER, 3' 4-PK LIGHTING TO USB CHARGING CABLES 6' 3- PK LIGHTING TO USB CHARGING CABLE - FIRE DEPT EB INSPIRATIONAL LEAD - HENNEPIN $150.00 COUNTY FIRE CHIEFS ASSOC EVENT - WAYZATA MAY 20TH - 5 TICKETS- FIRE DEPT LAERDAL MEDICAL GROUP- 300 ML $201.95 DISPENSER CANISTER W/ TUBING -FIRE DEPT SHAMROCK GROUP- ICE FOR FISH FRY $246.60 JUNE 4, 2022 -36 QTY 18 LB BAGS - REIMBURSED BY RELIEF ASSOC 110062I CITY OF MOUND Payments Current Period: June 2022 Cash Payment G 222-22801 Deposits/Escrow Invoice 062322-2 6/12022 Cash Payment G 222-22801 Deposits/Escrow Invoice 062322-2 5262022 Cash Payment G 222-22801 Deposits/Escrow Invoice 062322-2 5262022 Cash Payment G 222-22801 Deposits/Escrow Invoice 062322-2 5272022 Cash Payment E 222-42260-434 Conference & Training Invoice 062322-2 5262022 Cash Payment E 222-42260-434 Conference & Training Invoice 062322-2 5262022 Cash Payment E 222-42260-434 Conference & Training Invoice 062322-2 5262022 Transaction Date 6/152022 BIFFS- PORTABLE RESTROOM RENTAL FOR FISH FRY JUNE 4, 2022- REIMBURSED BY RELIEF ASSOC AMAZON.COM- ZIP TIES, COMMAND HANGING STRIPS, CLEAR PACKING TAPE FOR FISH FRY JUNE 4, 2022 - REIMBURSED BY RELIEF ASSOC AMAZON.COM - COMMAND HANGING STRIPS, DOUBLE SIDED TAPE, ZIP TIES, WIRE HOOKS FOR FISH FRY JUNE 4, 2022- REIMBURSED BY RELIEF ASSOC COSTCO - 10" FOAM PLATES & CHINET COMPARTMENT PLATES FOR FISH FRY JUNE 4, 2022- REIMBURSED BY RELIEF ASSOC HILTON CLEARWATER BEACH FL- 1 NIGHT LODGING- DEPOSIT FOR IAFC VOLUNTARY CHIEFS SYMPOSIUM- NOV 9 TO 12 2022- M. MCCARVILLE HILTON CLEARWATER BEACH FL- 1 NIGHT LODGING- DEPOSIT FOR IAFC VOLUNTARY CHIEFS SYMPOSIUM- NOV 9 TO 12 2022- T. PALM HILTON CLEARWATER BEACH FL- 1 NIGHT LODGING- DEPOSIT FOR IAFC VOLUNTARY CHIEFS SYMPOSIUM- NOV 9 TO 12 2022- G. PEDERSON U.S. Bank 10100 10100 Total Fund Summary 10100 U.S. Bank 10100 101 GENERAL FUND $43.01 222 AREA FIRE SERVICES $3,612.27 609 MUNICIPAL LIQUOR FUND $248.20 $3,903.48 Pre -Written Checks $3,903.48 Checks to be Generated by the Computer $0.00 Total $3,903.48 06/17/22 9:40 AM Page 2 $1,150.00 $111.81 $57.67 $341.14 $242.95 $242.95 $242.95 $3.612.27 11006% CITY OF MOUND 06/23/2212: 31 PM Page 1 Payments Current Period: June 2022 Payments Batch 062822CITY $67,290.93 Refer 152 A-1 RENT IT, BROADWAY TENT & Cash Payment E 101-45200-440 Other Contractual Servic EXCAVATOR BOBCAT W/ BUCKET & $545.50 TRAILER RENTAL- RE -LOCATE STORM SEWER OUTLET FOR COMMUNITY GARDEN- OVERLAND LN-CENTERVIEW AREA Invoice 169947-1 6/152022 Cash Payment E 101-45200-440 Other Contractual Servic TRENCHER WN-BLADE & TRAILER $154.60 RENTAL- RE -LOCATE STORM SEWER OUTLET FOR COMMUNITY GARDEN - OVERLAND LN-CENTERVIEW AREA Invoice 170205-1 6/152022 Transaction Date 6222022 U.S. Bank 10100 10100 Total $700.10 Refer 136 ASPEN MILLS _ Cash Payment E 222-42260-210 Operating Supplies 40 NAVY POLO SHIRTS- FIREMEN- W/ $2,130.00 PATCH ON LEFT CHEST, FLAG ON RIGHT SHOULDER & NAME EMBROIDERED ON RIGHT CHEST- PLUS 4 ADDTL PATCHES & SEWING- SMALL DEPT+ FLAG- FIRE DEPT Invoice 295238 6/92022 Transaction Date 6212022 U.S. Bank 10100 10100 Total $2,130.00 Refer 117 ASSURED SECURITY, INC. Cash Payment E 101-45200-404 Machinery/Equip Repairs REPLACEMENT TRILOGY BATTERY COVER- $344.36 PARKS DEPT Invoice 220748 6/12022 Transaction Date 6212022 U.S. Bank 10100 10100 Total $344.36 Refer 140 BENDICKSON, WES _ Cash Payment E 101-43100-224 Street Maint Materials STREET SWEEPING DEBRIS- DUMP 9 $720.00 LOADS 06-08-22 Invoice 062822 6/152022 Cash Payment E 101-43100-224 Street Maint Materials STREET SWEEPING DEBRIS- DUMP 2 $160.00 LOADS 06-09-22 Invoice 062822 6/152022 Cash Payment E 101-43100-224 Street Maint Materials DUMP 5 ROCKSS 06-09-22 $300.00 Invoice 062822 6/152022 Cash Payment E 601-49400-440 Other Contractual Servic WATERMAIN BREAK DEBRIS- DUMP 3 $180.00 LOADS 06-03-22 Invoice 062822 6/152022 Cash Payment E 601-49400-440 Other Contractual Servic DUMP 12 ROCKSS 06-03-22 $720.00 Invoice 062822 6/152022 Cash Payment E 101-43100-224 Street Maint Materials STREET SWEEPING DEBRIS- DUMP 1 $80.00 LOAD 06-03-22 Invoice 062822 6/152022 Cash Payment E 601-49400-440 Other Contractual Servic WATERMAIN BREAK DEBRIS- DUMP 9 $540.00 LOADS 05-24-22 Invoice 062822 6/152022 Cash Payment E 602-49450-500 Capital Outlay FA DISPOSE OF 5 LARGE ROCKS - 6-22-22- $400.00 2021 B-2 LIFT STATION IMPROVEMENT PROJ PW 21-03 Invoice 062822 6222022 Project PW2103 Transaction Date 6212022 U.S. Bank 10100 10100 Total $3,100.00 Refer 118 BIFFS, INC PORTABLE RESTROO _ 1363 CITY OF MOUND Payments Current Period: June 2022 Cash Payment E 101-45200-410 Rentals (GENERAL) Invoice W869657 6/152022 Cash Payment E 101-45200-410 Rentals (GENERAL) Invoice W869654 6/152022 Cash Payment E 101-45200-410 Rentals (GENERAL) Invoice W869655 6/152022 Cash Payment E 101-45200-410 Rentals (GENERAL) Invoice W869656 6/152022 Cash Payment E 101-45200-410 Rentals (GENERAL) Invoice W869658 6/152022 Transaction Date 6212022 PHILBROOK PARK BIFFS RENTAL & SVC 5- 18-22 THRU 6-14-22 CENTERVIEW BEACH BIFFS RENTAL & SVC 5- 18-22 THRU 6-14-22 SURFSIDE PARK BIFFS RENTAL & SVC 5- 18- 22 THRU 6-14-22 SKATEPARK BIFFS RENTAL & SVC 5- 18-22 THRU 6-14-22 SWENSON EPARK BIFFS RENTAL & SVC 5- 18-22 THRU 6-14-22 06/23/22 12:31 PM Page 2 $178.00 $237.00 $415.00 $237.00 $178.00 U.S. Bank 10100 10100 Total $1,245.00 Refer 139 CANON FINANCIAL SERVICES, INC _ Cash Payment E 609-49750-202 Duplicating and copying JUNE 2022- COPIER RENTAL- HARBOR $34.40 WINE & SPIRITS Invoice 28731326 6/112022 Transaction Date 6212022 U.S. Bank 10100 10100 Total $34.40 Refer 119 CENTERPOINT ENERGY (MINNEG _ Cash Payment E 602-49450-383 Gas Utilities 4948 BARTLETT LS E2 GENERATOR NATL $26.82 GAS SVC 4-20-22 THRU 5-20-22 Invoice 062822-2 6/92022 Cash Payment E 602-49450-383 Gas Utilities 1717 BAYWOOD SHORES DR. LS $30.44 GENERATOR NATL GAS SVC 4-20-22 THRU 5-20-22 Invoice 062822-2 6/92022 Cash Payment E 602-49450-383 Gas Utilities 4728 CARLOW RD LS GENERATOR NATL $25.59 GAS SVC 4-20-22 THRU 5-20-22 Invoice 062822-2 6/92022 Cash Payment E 602-49450-383 Gas Utilities 1871 COMMERCE BLVD NEW LIFT STATION $25.59 GENERATOR NATL GAS SVC 4-20-22 THRU 5-20-22 Invoice 062822-2 6/92022 Cash Payment E 602-49450-383 Gas Utilities 2649 EMERALD DR. LS E3 GENERATOR $25.59 NATL GAS SVC 4-20-22 THRU 5-20-22 Invoice 062822-2 6/92022 Cash Payment E 602-49450-383 Gas Utilities 2990 HIGHLAND BLVD LS B1 GENERATOR $26.85 NATL GAS SVC 4-20-22 THRU 5-20-22 Invoice 062822-2 6/92022 Cash Payment E 602-49450-383 Gas Utilities 5260 LYNWOOD BLVD. LS GENERATOR $20.75 NATL GAS SVC 4-20-22 THRU 5-20-22 Invoice 062822-2 6/92022 Cash Payment E 602-49450-383 Gas Utilities 4791 NORTHERN RD LS D1 GENERATOR $25.59 NATL GAS SVC 4-20-22 THRU 5-20-22 Invoice 062822-2 6/92022 Cash Payment E 602-49450-383 Gas Utilities 1972 SHOREWOOD LN LS GENERATOR $24.38 NATL GAS SVC 4-20-22 THRU 5-20-22 Invoice 062822-2 6/92022 Cash Payment E 602-49450-383 Gas Utilities 3172 SINCLAIR RD LS GENERATOR NATL $26.85 GAS SVC 4-20-22 THRU 5-20-22 Invoice 062822-2 6/92022 `1016%1! CITY OF MOUND Payments Current Period: June 2022 Cash Payment E 101-45200-440 Other Contractual Servic 2022 AQUATIC WEED MGMT PROGRAM TREATMENTS-6 BEACHES-2 TREATMENTS Invoice 41265 6232022 Cash Payment E 101-45200-438 Licenses and Taxes 6 DNR PERMIT FEES- 2022 AQUATIC WEED MGMT PROGRAM TREATMENTS- 6 BEACHES Invoice 41265 6232022 Transaction Date 6232022 U.S. Bank 10100 10100 Total Refer 124 LAKE RESTORATION, INC. Cash Payment E 101-43101-440 Other Contractual Servic ULTRA POND PROGRAM - WEED CONTROL - APPLICATION #2 Invoice 023132 6/102022 Transaction Date 6212022 U.S. Bank 10100 10100 Total Refer 146 MARTIN MARIETTA MATERIALS _ Cash Payment E 101-43100-224 Street Maint Materials MV4 WEAR RECLAIMED ASPHALT- 2.07 TONS DELIVERED 6-9-22 Invoice 220615 6/152022 Transaction Date 6212022 U.S. Bank 10100 10100 Total Refer 125 MAYER LUMBER COMPANY, INCO _ Cash Payment E 101-45200-220 Repair/Maint Supply & E CEDAR 5/4 X 6 - 8' QTY 20 - PARKS DEPT Invoice 216572 6/152022 Transaction Date 6212022 U.S. Bank 10100 10100 Total Refer 126 MINNEAPOLIS SAW INC. Cash Payment E 101-45200-218 Clothing and Uniforms 2 PAIRS- CHAPS- CHAINSAW SAFETY WEAR- PARKS STAFF Invoice 138173 6/152022 Cash Payment E 601-49400-218 Clothing and Uniforms FORRESTRY SAFETY BOOT- MATT RADDE Invoice 138173 6/152022 Cash Payment E 101-43100-218 Clothing and Uniforms FORRESTRY SAFETY BOOT- SHAUN PEDERSON Invoice 138173 6/152022 Cash Payment E 101-45200-220 Repair/Maint Supply & E STRING TRIMMER BATTERIES- 2- PARKS EQUIPMENT Invoice 138181 6/152022 Transaction Date 6212022 U.S. Bank 10100 10100 Total Refer 134 MINNEHAHA BUILDING MAINTENA _ Cash Payment E 609-49750-400 Repairs & Maintenance- WASH WINDOWS INSIDE & OUT 5-16-22- HWS Invoice 180208011 6/122022 Transaction Date 6212022 U.S. Bank 10100 10100 Total Refer 127 MINNESOTA VALLEY TESTING LA Cash Payment E 601-49400-470 Water Samples Invoice 1147915 6/132022 Transaction Date 6212022 Refer 155 MINUTEMAN PRESS Cash Payment E 101-45200-232 Landscape Material Invoice 22118 6222022 Transaction Date 6222022 MONTHLY CHLORINE REPORT & COLIFORM WATER TESTS -10 06/23/22 12:31 PM Page 6 $4,414.00 $210.00 $8,825.14 $178.00 $178.00 $140.86 $140.86 $416.00 $416.00 $239.98 $354.99 $354.99 $599.98 $1,549.94 $74.81 $74.81 $130.00 U.S. Bank 10100 10100 Total $130.00 1048"X96" SMOOTH ALUMINUM RIGID COMPOSIT CORE RAIN GARDEN SIGNS - FOR MOUND COMMUNITY GARDENS U.S. Bank 10100 10100 Total $370.00 $370.00 Refer 128 MOUND FIRE RELIEF ASSO CIA TIO 1368 CITY OF MOUND Payments Current Period: June 2022 Cash Payment E 222-42260-124 Fire Pens Contrib JUNE 2022- FIRE RELIEF PENSION CONTRIBUTION Invoice 060122 6282022 Transaction Date 6212022 U.S. Bank 10100 10100 Refer 153 MULCH STORE, THE Cash Payment E 101-45200-232 Landscape Material Invoice 104081486 6172022 Cash Payment E 101-45200-232 Landscape Material Invoice 104081491 6172022 Cash Payment E 101-45200-232 Landscape Material Invoice 104081480 6172022 Cash Payment E 101-45200-232 Landscape Material Invoice 104081897 6/102022 Transaction Date 6222022 06/23/22 12:31 PM Page 7 $11,500.00 Total $11,500.00 6 CUBIC YARDS OF BRUSH DISPOSAL- 6-7- $8.00 22 18 CUBIC YARDS OF BRUSH DISPOSAL- 6-7- $24.00 22 18 CUBIC YARDS OF BRUSH DISPOSAL- 6-7- $24.00 22 3 CUBIC YARDS SOD- 6-10-22 - PARKS DEPT $30.00 U.S. Bank 10100 10100 Total $86.00 Refer 129 NORTHERN TOOL AND EQUIPMEN _ Cash Payment E 601-49400-404 Machinery/Equip Repairs 2 HIGH SPEED RADIAL TIRES- PARKS MOWER EQUIPMENT Invoice 4061208130 6/92022 Cash Payment E 222-42260-409 Other Equipment Repair COUPLING, O-RING KIT, 25 & 40 DEGREE PARTS FOR FIRE DEPT PRESSURE WASHER Invoice 4061208458 6/122022 Transaction Date 6212022 U.S. Bank 10100 10100 Total Refer 150 OHMANN, JASON _ Cash Payment G 101-23151 Temp CO New Construction HOMEOWNERS NEW CONSTRUCTION ESCROW REFUND- 5967 RIDGEWOOD RD- J. OHMANN Invoice R69405-122921 6212022 Transaction Date 6222022 U.S. Bank 10100 10100 Total Refer 130 ORONO, CITY OF Cash Payment E 101-41600-450 Board of Prisoners Invoice 20142008 6/152022 Transaction Date 6212022 Refer 138 PEDERSON, GREG Cash Payment E 222-42260-210 Operating Supplies Invoice 062822 6/172022 Cash Payment E 222-42260-210 Operating Supplies HENNEP CTY JAIL CHARGES- PER DIEM FEES MAY 2022 $479.98 $83.95 $563.93 $5,000.00 $5,000.00 $580.20 U.S. Bank 10100 10100 Total $580.20 REIMBURSE G. PEDERSON FOR PURCHASE FROM YALE SMILEY - MISC TOOLS FOR FIRE DEPT- HUSQVARNA CHAINSAW, 2 QTY 40 PC TAP & DIE SETS, DEWALT IMPACT GUN, CUSTOM AIR HORN FOR FIRE TRUCK, CRAFTSMAN BUFFER -POLISHER CORRECT CODE- HOME DEPOT- MILWAUKEE M18 18 VOLT LITHIUM ION BATTERY PACKS- 2 EACH 6.OAH, 2 3.OAH- REIMBURSE G. PEDERSON- FIRE DEPT Invoice 31996808 5/112022 Cash Payment E 222-42260-434 Conference & Training CORRECT COE- HOME DEPOT- MILWAUKEE M18 18 VOLT LITHIUM ION BATTERY PACKS- 2 EACH 6.OAH, 2 3.OAH- REIMBURSE G. PEDERSON- FIRE DEPT $310.00 $326.63 -$326.63 Invoice 31996808 5/112022 1369 CITY OF MOUND 06/23/2212: 31 PM Page 8 Payments Current Period: June 2022 Transaction Date 6212022 U.S. Bank 10100 10100 Total $310.00 Refer 131 R.C. ELECTRIC, INCORPORATED _ Cash Payment E 101-41930-400 Repairs & Maintenance- OUTSIDE LIGHTING @ CITY HALL & FIRE $1,409.45 STATION- REMOUNT NEW FLOODS FOR FRONT SIGN @ WILSHIRE BLVD, REPLACE BALLASTS & CAPS ON 2 WALL SCONCES ON NORTH SIDE, Invoice 8231 6/32022 Cash Payment E 222-42260-402 Building Maintenance OUTSIDE LIGHTING @ CITY HALL & FIRE $1,409.45 STATION- REMOUNT NEW FLOODS FOR FRONT SIGN @ WILSHIRE BLVD, REPLACE BALLASTS & CAPS ON 2 WALL SCONCES ON NORTH SIDE, Invoice 8231 6/32022 Cash Payment E 101-41910-400 Repairs & Maintenance- CHECK POLE LIGHTS, REPLACE $872.00 TIMECLOCK- @ CENTENNIAL BLDG Invoice 8229 6/32022 Transaction Date 6212022 U.S. Bank 10100 10100 Total $3,690.90 Refer 132 SITE ONE LANDSCAPE SUPPLY, L _ Cash Payment E 601-49400-220 Repair/Maint Supply & E BULK GRANITE 1 1/2 IN. QTY 3 $186.57 Invoice 120059357-001 6172022 Cash Payment E 101-45200-220 Repair/Maint Supply & E VALLEY VIEW ACE OF DIAMONDS VINYL $67.79 EDGING 20 FT W/ STAKE KIT- QTY 4 Invoice 120066950-001 6172022 Cash Payment E 101-45200-220 Repair/Maint Supply & E HUNTER WIRELESS SENSORS- 3 QTY, PRO $556.94 SPRAY 4" POP UPS QTY 50, ULTRA ADJUSTABLE ROTOR 4" RISER W/ 2.5 NOZZEL- QTY 20- PARKS Invoice 119880456-001 622022 Cash Payment E 601-49400-220 Repair/Maint Supply & E BULK GRANITE 1 1/2 IN. QTY.5 $31.10 Invoice 120266458-001 6/132022 Cash Payment E 601-49400-220 Repair/Maint Supply & E BULK GRANITE 1 1/2 IN. QTY 1, VALLEY $231.66 VIEW ACE OF DIAMONDS VINYL EDGING 20 FT W/ STAKE KIT- QTY 10 Invoice 120265650-001 6/132022 Transaction Date 6212022 U.S. Bank 10100 10100 Total $1,074.06 Refer 151 URBAN EDGE HOMES _ Cash Payment G 101-23150 New Construction Escrow NEW CONSTRUCTION ESCROW REFUND- $5,000.00 5967 RIDGEWOOD RD- URBAN EDGE HOMES Invoice 2020-01017 6212022 Transaction Date 6222022 U.S. Bank 10100 10100 Total $5,000.00 Refer 148 VERIZON WIRELESS _ Cash Payment E 101-43100-321 Telephone, Cells, & Radi STREETS LEAD WORKER TABLET- $35.01 INTERNET SVC- 5-11-22 THRU 6-10-22 Invoice 9908496797 6/102022 Cash Payment E 602-49450-321 Telephone, Cells, & Radi PUBLIC WORKS SUPERVISOR- RYAN $35.01 PRICH TABLET-INTERNET SVC-5-11-22 THRU 6-10-22 Invoice 9908496797 6/102022 Project 22-5 Cash Payment E 602-49450-321 Telephone, Cells, & Radi PUBLIC WORKS DEPT-TABLET- HOT SPOT $35.01 SVC 5-11-22 THRU 6-10-22 Invoice 9908496797 6/102022 Project 22-5 Cash Payment E 602-49450-321 Telephone, Cells, & Radi UTILITY LEAD WORKER TABLET- INTERNET $17.50 SVC- SVC 5-11-22 THRU 6-10-22 Invoice 9908496797 6/102022 1370