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2010-04-20PLEASE 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. i AGENDA MOUND CITY 'to' UNOIL � �i�ESDAY, 20,:,2010 `- 6:30 PM ANNUAL REPORT'Vit(�RKSI(P 1VNDYTY COUNCIL CHAMBERS Page 1. CALL MEETING TO ORDER 2. DEPARTMENT HEAD ANNUAL REPORTS A. LIQUOR STORE - MANAGER JOHN COLOTTI 1 -7 B. POLICE DEPARTMENT - POLICE CHIEF JIM KURTZ 8 -13 • C. FIRE DEPARTMENT - FIRE CHIEF GREG PEDERSON 14 -56 D. CITY CLERK'S DEPARTMENT - CITY CLERK BONNIE RITTER 57 -60 E. FINANCE DEPARTMENT - FINANCE DIR. CATHERINE PAUSCHE 60 -69 F. COMMUNITY DEVELOPMENT - CD DIRECTOR SARAH SMITH 70 -73 G. PUBLIC WORKS - PUBLIC WORKS DIRECTOR CARLTON MOORE 74 -81 1. STREETS AND UTILITIES - CARLTON MOORE 2. PARKS AND DOCKS - PARKS SUPT JIM FACKLER 3. ADJOURN • • MEMORANDUM TO: Mayor Hanus and City Council Members FROM: Catherine Pausche, Finance Director DATE: April 16, 2010 SUBJECT: Liquor Store Unrestricted Net Assets I have attached a memo I wrote in December of 2008 that predicted when the Liquor Store fund would be in a position to contribute to the Seal Coat Fund, a question that has arose again in recent months. In December of 2008, I assumed negative unrestricted net assets would decrease to ($186,212) in 2008, when, in fact, it only decreased to ($261,868). This was due to a lower than projected net income. In 2007, the Liquor Store had net income of $122,766, in 2008 it was $69,910, and in 2009 it is projected to be $92,291. Management has targeted three areas for increasing the net income: • 1) Inventory adjustments are now made on a monthly basis and more stringent inventory controls have been put into pace (see attached tracking sheet) 2) Mark -up procedures are more carefully monitored to maintain intended gross profit percentages and to catch price changes 3) Opportunities to reduce operating expenditures are being explored including more energy efficient lighting and air handling measures that will possibly be funded through grants and rebates Assuming net income continues to be around $100,000 per year, the Liquor Store is projected to be in a position of positive unrestricted net assets beginning in 2012. Fund transfers to the Seal Coat Fund would begin in 2012. The Office of the State Auditor publishes information on all Minnesota Municipal Liquor Stores on their website: http:// www .auditor.state.mn.us/Reports /gid /2007 /liquor /liquor 07 report.pdf Attached is an excerpt from that report showing that Mound's 26.5% gross profit in 2007 for off -sale operations is healthy compared to other municipal liquor operations. • Please let me know if you have any questions regarding this matter. • MEMORANDUM TO: Mayor Hanus and City Council FROM: Catherine Pausche, Finance Director DATE: December 4, 2008 SUBJECT: Municipal Liquor Store Financials The Mayor asked the question in a recent meeting regarding when the Liquor Store Fund will be in a position to contribute to the Seal Coat Fund. Although the Liquor Store Fund had the first profit since moving to the new location in 2007 and is expected to continue to show a profit from here • forward, it has to obtain a positive unrestricted fund balance before it can transfer funds to the Seal Coat Fund. The negative unrestricted fund balance decreased to ($312,385) in 2007, and is estimated to decrease to ($186,212) in 2008, suggesting by 2009 or 2010, the unrestricted fund balance will turn positive. Some unrestricted fund balance should remain in the fund, and staff will look at proposing a policy on Seal Coat Fund Transfers. It should also be noted that in 2007, $800,000 was loaned from other funds to offset negative cash balances in the Liquor Store Fund. Negative cash is mainly due to construction cost overruns at the time the new store was built and investment in inventory in order to support increased sales and to obtain quantity discounts. A decrease in amounts due to other funds should occur as the unrestricted fund balance grows, as long as amounts invested in inventory remain steady or decline. The bonds for the liquor store mature in 2019, which will further free up cash and reduce, and eventually eliminate, any need for the interfund loans. Amounts available for Seal Coat Fund transfers will also increase at that time. City of Mound• Liquor Store Inventory 12/31/2009 Description Code Inventory 11112008 Inventory 1/1/2009 • Inventory 6/30/2009 Inventory 9/30/2009 Inventory 10/31/2009 Inventory 11/30/2009 • ' Inventory 12/31/2009 Difference Liquor 251 183,065.34 215,270.90 264,938.90 237,223.65 218,720.36 214,176.96 175,632.55 (38,544.41) Beer 252 68,787.70 93,940.68 125,080.28 113,627.97 96,550.59 95,010.66 72,024.96 (22,985.70) Wine 253 270,390.89 318,713.46 344,220.44 317,120.45 301,926.28 293,766.39 268,342.43 (25,423.96) Soft Drinks & Mix 254 6,638.52 6,233.16 6,501.40 4,998.78 5,513.26 6,148.97 5,088.65 (1,060.32) Miscellaneous 255 3,626.30 4,074.49 4,303.61 4,421.40 4,189.24 4,293.50 2,173.32 (2,120.18) Tobacco 256 3,912.63 4,651.01 4,254.10 4,583.90 4,607.00 5,065.92 4,070.70 (995.22) Total 536,421.38 642,883.70 749,298.73 681,976.15 631,506.73 618,462.40 527,332.61 (91,129.79) Increase /(Decrease) Inventory Value over Prior 2004 331,761.45 2005 349,582.04 17,820.59 2006 413,120.75 63,538.71 2007 536,421.38 123,300.63 2008 642,883.70 106,462.32 6/30/2009 749,298.73 106,415.03 9/30/2009 681,976.15 (67,322.58) 10/31/2009 631,506.73 (50,469.42) 11/30/2009 618,462.40 (13,044.33) 12/31/2009 527,332.61 (91,129.79) Key Ratios 2009 2008 2007 Inventory Turnover (COGS /Inventory) 3.9 3.18 3.46 Days Sales in Inventory (365 /(COGS /Inventory)) 93 days 115 days 105 days Table 5 Comparison of City Liquor Store Operations - 2007 Gross Profit Net Profitt(Loss) Transfers Foot- Cost Percent Operating_ Nonoperating Percent To/(From) Name of City Type of Store notes Population Sales of Sales Amount of Sales Expenses Incomet(Loss) Revenues Expenses Amount of Sales Other Funds lan On- & Off-Sale 331 195,553 129,116 66,437 34.0% 79,466 (13,029) 488 (12,541) -6.4% (15,000) 1 �- 4 43 Lewisville On- & Off-Sale 246 188,570 99,995 88,575 47.0 106,923 (18,348) 7,536 (10,812) -5.7% - 0c Lindstrom On- & Off-Sale 3,991 2,080,436 1,485,934 594,502 28.6% 552,247 42,255 36,285 78,540 3.8% 125,177 4MN-E W; Litchfield Off-Sale Only 6,871 1,719,976 1,331,494 388,482 22.6% 253,767 134,715 - 13,058 157,773 9.2% 59,000 IEJ W--� - A 33 t1i ;7 7 ;6bU Long Prairie Off-Sale Only 3,043 1,073,804 810,560 263,244 24.5% - 151,373 111,871 14,761 126,632 11.8% 92,181 5 ' Lonsdale Off-Sale Only 2,819 1,217,398 968,816 248,582 20.4 307,802 (59,220) 157,746 98,526 9.1% (200,000) U Madelia Off -Sale Only 2,283 304,591 213,941 90,650 29.8% 47,822 42,828 8,299 51,127 16.8% 35,000 ;> X Mahnomen On- & Off-Sale 1,171 966,914 622,705 344,209 35.6% 323,699 20,510 52,482 72,992 7.5% 94041* 20jQ00r. 2: Mapleton On- & Off-Sale 1,640 661,693 375,514 286,179 43.2% 262,235 23,944 24,513 48,457 7.3% Niil�� j2pr- 867 Mazeppa On- & Off-Sale 783 359,387 230,701 128,686 35.8% 128,289 397 20,688 21,085 5.9 25,000 N27807W Menahga On- & Off -Sale 1,231 852,314 484,082 368,232 43.2% 261,030 107,202 1,450 5,197 103,455 12.1% 56,000 - 1 , 35W[ I - -- � � V-! - xW ­ -- -417- 7� A Ir Milaca Off -Sale Only -- 2,775 1,555,630 1,168,864 386,766 24.9% 275,759 111,007 32,621 32,772 110,856 7.1% 25,000 (4,38 16 Milton On- & Off-Sale 333 607,247 353,595 253,652 41.8% 241,577 12,075 4,969 17,044 2.8% AAW -IM6 Monticello Off-Sale Only 11,253 3,769,210 2,766,144 1,003,066 26.6% 644,857 358,209 102,297 460,506 12.2% 330,891 Mora Off-Sale Only 3,699 2,230,868 1,683,024 547,844 24.6-/. 294,746 253,098 2 3,624 276,722 12.4% 270,600 Morton On- & Off-Sale 420 272,712 158,126 114,586 42.0% 121,709 (7,123) 5,119 (2,004) -0.7% 15,000 lool Nevis On- & Off-Sale 387 494,883 258,613 2 T70 47.7% 201,589 34,681 3,411 38,092 7.7% 22 Nisswa On- & Off-Sale 2,047 2,752,225 1,912,565 839,660 30.5% 651,912 187,748 187,748 6.8% 150,000 - Northfield Off-Sale Only - 19,859 2,624,534 1,910,121 714,413 27.2% 534,133 180,280 27,208 207,488 7.9% 125,000 gft Ogema On- & Off-Sale - 118 380,831 . 227,456 153,375 40.3% 109,756 43,619 4,416 48,035 12.6% 75,068 Okabena On- & Off -Sale - 178 262,473 1 43 , 445 119,028 45.3% 140,442 (21,414) 12,495 65 (8,984) -3.4% Orr On- & Off-Sale - 236 547,041 315,674 231,367 42.3% 209,608 21,759 4,251 - 26,010 J 4.8% 49,500 Ni" �4 4 -1 -1 5 - Qu Palisade On- & Off-Sale -- 146 396,069 275,877 110,192 28.5% 145,884 (35,692) 15,669 - (20,023) -5.2% -- T7 Parkers Prairie On- & Off-Sale 1,031 576,178 390,654 185,524 32.2% 182,920 2,604 2,481 42,191 (37,106) -6.4% Pelican Rapids Off-Sale Only 2,423 942,486 631,267 211,219 25.1% 152,596 58,623 -- -- 58,623 7.0 40,000 1- Pine City Off-Sale Only - 3,275 1,639,921 1,192,940 447,081 27.3% 365,260 81,821 7,649 8,711 80,759 4.9% 50,000 4a7�- ��dttiD • � Harbor Wine &Spirits Annual Report r� -1- • To: Mayor, City Council and City Manager From: John Colotti, Manager, Harbor Wine & Spirits Re: 2009 Annual Report Harbor Wine & Spirits provides our community with a great service. In addition to giving our customers a pleasant place to shop for their beverage needs, Harbor Wine & Spirits contributes greatly to the effective control of alcohol in our community. Restricting under age access is one of the most important roles we provide to our public, and in 2010 will again contribute to the financial well being of the City of Mound. The City of Mound, like many other municipalities in the State of Minnesota, operates liquor stores for two critical reasons: To control the sale of alcohol in the community and to generate revenue for the city. In one of the very first phases of the redevelopment of Mound in 2003, the Mound liquor store changed its' location and its' name to Harbor Wine & Spirits. The marketing is concept of the new store was to get away from the "hole in the wall" image and create a more upscale atmosphere, with a larger selection and more professional service. By building on all of the positives that had been established at the old Mound Liquor, Harbor Wine & Spirits has established itself, (and continues to establish itself) as THE premiere wine & spirits destination of Westonka. Harbor Wine and Spirits is a member of the Minnesota Municipal Beverage Association. The MMBA is a statewide association of Municipal Liquor Store facilities. Its purpose is to assist members in operating their stores more efficiently and economically through education and consultation. The MMBA is also our strongest voice in the on -going legislative battle against the "Wine in Grocery" legislation, which if passed would allow the sale of wine in the state's grocery stores. Any changes in the current State Statutes that would allow the sale of wine in grocery stores would not only be detrimental to the financial well being of this community, but would also increase the risk of underage consumption and abuse. The staff of Harbor Wine & Spirits strives to provide a pleasurable shopping experience for all of its' customers. We accomplish this by providing an unparalleled level of customer service, a professional attitude, along with a clean and healthy shopping environment. We also possess the most complete selection of Wine, Spirits and Beer in the Westonka region. • -2- i Harbor Wine & Spirits is managed by myself. I possess over twenty years of experience in the Wine and Spirits industry. Ron Gust is the Store Assistant Manager and held this position for two years. Ron brings twenty years of business management experience to Harbor Wine & Spirits. The store is currently staffed with seven part-time employees. Harbor Wine & Spirits does business with over forty Wine, Spirits and Beer vendors. The year 2007 marked a crucial turning point in the history of Harbor Wine & Spirits: The store experienced its' first year of profitability. The Summary Analysis for the year ended December 312007 reveal sales in excess of 2.5 million dollars, a gross profit percentage of 26.46 %, and net assets of over $100,000. The year 2009 was again a profitable year. The unaudited Summary Analysis for the year ended December 312009 revealed sales have increased to just under 3 million dollars and that we experienced an overall gross profit percentage of 26.5 %, and net assets of over $260,000. In the year 2006, Store & City Management was faced with a difficult decision. Faced with another calendar year of an operating income loss, the decision was made to restructure the full -time staff. The final decision was made to eliminate the two full -time clerk positions, resulting in the unfortunate release of two individuals in mid -April. • However, the financial impact of this reduction in staff saved approximately $80,000. As we have witnessed over the last few years, the Wine category has been increasing significantly. Due to this category's profitability, Harbor Wine & Spirits will continue the promotion of this category extensively. The Liquor and Beer categories also witnessed positive growth. (One of our largest beer wholesalers sales have increased in our store by 20 %) This proves our marketing theory that when the best deals are purchased, our gross profit increases as well as our gross sales. This also keeps us competitive in our market. All categories will continue to grow as long as we provide constant product selection, professional customer service, and strategically accurate marketing planning. We are creating opportunities to expand our existing customer base with weekend wine samplings, aggressive wine sale pricing and monthly advertisements in The Laker and Lakeshore Weekly News to enhance customer awareness and education. We also feature three storewide wine sales each year, which continue to bear fait. We feel strongly that we are becoming THE wine and spirits destination on this side of the lake, as we had forecasted. • -3- FINANCIAL STATEMENT MUNICIPAL LIQUOR STORE, CITY OF MOUND, MN. The City of Mound hereby submits a statement of the financial affairs of the Municipal Liquor Store for the year ended Dec. 31, 2009, showing a balance sheet and a statement of operations as prescribed by the Office of the State Auditor in accordance with Minnesota Statute 471.6985. Respectfully submitted, Catherine Pausche Finance Director CITY OF MOUND -MUNICIPAL LIQUOR STORE BALANCE SHEET (UNAUDITED) December 31, 2009 ASSETS • Cash and temporary investments $ 7,919 Inventory, at cost 527,333 Capital assets, net of accumulated depreciation 1,151,264 Bond discounts and issuance costs 21,961 is TOTAL ASSETS 1,708,477 LIABILITIES Accounts payable Bonds payable TOTAL LIABILITIES NET ASSETS (LIABILITIES) Invested in capital assets, net of related debt Restricted for debt service Unrestricted TOTAL NET ASSETS (LIABILITIES) 642,475 800,000 1,442,475 351,264 104,148 (189,410) $ 266,002 SUMMARY ANALYSIS OF MOUND MUNICIPAL LIQUOR OPERATIONS . (UNAUDITED) For the Year Ended December 31, 2009 -4- I* OPERATING REVENUES Sales Cost of goods sold Gross Profit Gross Profit as a Percent of Sales Operating Expenses Operating Gain Nonoperating Expenses CHANGE IN NET ASSETS NET ASSETS, JANUARY 1 NET ASSETS, DECEMBER 31 $ 2,751,452 2,057,481 693,972 25.22% 582,460 111,512 17,397 94,115 171,887 $ 266,002 ADDITIONAL INFORMATION 10 l Transfers from Liquor Store Profits to City Funds: Sealcoat Fund Capital Outlay General Fund TOTAL TRANSFERS -5- Task List 0 Harbor Wine & Spirits Store Manager John Colotti 04/2010 Daily Tasks: - Open/Close Liquor Store at the posted times. - Run cash register activity reports from the previous business day. - Reconcile the cash registers of the previous day's business. ($150.00 starting amount in each register). - Assemble the daily bank deposit for pick — up by the Mound Police Dept. - Count safe at opening each day. (Totaling $1625.00). - Check in and validate any incoming deliveries. - Maintain high level of customer service. - Delegate assignments to part —time staff. - Check Ids. Weekly Tasks: • - Run weekly inventory reports each Monday morning without failing to reset levels when completed. - Meet with vendor's sales representatives to discuss replenishing inventory levels, making sure inventory levels are maintained at a profitable level. - Complete the following week's work schedule. - Make sure all part-time personnel are occupied with work duties. - Visit or call City Manager to discuss Store business, or any other relevant issues. - Visit or call Finance Director to discuss Store business, or any other relevant issues. - Check Ids. Monthly Tasks: - Run all monthly sales activity reports including Tax and Quantity — On - Hand reports for the City's Finance Department. - Compile Monthly Comparison reports for City Hall. - Attend all required meetings at City Hall: Post Council, Department Head, Budget Meetings & Workshops, etc. and share information with Assistant Store Manager and part-time staff. - Review all vendor's monthly deal sheets & determine their worth. - Check Ids. Ongoing General Tasks: O - Discuss and complete staff's performance evaluations at the appropriate rimes. -6- • _ Hire new part-time staff when vacancies arise. Maintain professional relationships with other neighboring businesses and the Lake Minnetonka Chamber of Commerce. Determine advertising options. Perform general Retail duties including but not limited to: Training new employees, supervising the part-time staff, assisting customers with their purchases, making wine recommendations, general cashier duties, general cleaning & upkeep duties, scheduling in- store product samplings, stocking shelves, and maintaining a healthy work environment for all employees. Meet with the Finance Director to forecast annual store financial performance and needs. Schedule quarterly meetings with the Mayor, City Manager and Finance Director to discuss store business. Attend Council meetings on a bi- annual schedule to discuss store performance. Plan Wine Sales and Annual Tasting. Check Ids. Annual Tasks: - Prepare Year End reports for the Finance Department and annual audit. - Schedule annual Alcohol Awareness Training with the Minnesota Municipal Beverage Association for the staff. - Attend ongoing annual meetings presented by the MMBA. - Write annual performance review and meet with the City Manager. - Work with the City Manager and Finance Director to formulate the following year's budget. - Check Ids. • Overall Task: - Control the sale of alcoholic beverages in the community and generate revenue for the City of Mound. • -7- JAMES E. KURTZ Chief of Police MOUND POLICE 2415 Wilshire Blvd. Telephone (952) 472 -0621 Mound, MN 55364 Dispatch (763) 525 -6210 Fax (952) 472 -0656 EMERGENCY 911 Dear Citizens, Mayor, and City Council, Contained within the following pages is the 2009 Annual Report for the Mound Police Department. This report addresses all of our yearly statistical data and comparison figures for the past five years. The department experienced some major personnel changes in 2009. Officer Todd Truax retired from law enforcement after more than twenty -nine years of service, twenty -five of them, with our department. Officer Truax was also responsible for our computer technical support. In addition, our junior administrative assistant resigned from the police department citing personal reasons, which left a large whole in our front office coverage and administrative support service. These two departures helped facilitate the city's cost - savings and restructuring plan, but it placed a strain on our patrol scheduling and administrative support. To mitigate the changes, the City Manager approved the hiring of Officer Dennis Smith as a part- time /on -call officer. Officer Smith is a retired Golden Valley Police Sergeant who has over 30 years of law enforcement experience. Officer Smith worked approximately 340 hours in 2009 filling shifts for officers who were sick, on vacation, or in training. In addition, the City Manager re- assigned city receptionist Jodi Rahn to work part-time with the department as an administrative assistant. In 2009, our Investigative Unit, which is supervised by Lieutenant John McKinley, successfully concluded many large investigations including: convicting a 25- year -old man in Federal court for using the identification of another man to purchase a vehicle, electronic equipment, and withdraw funds from the victim's bank account totaling over $60,000, a 40 year -old male was charged with stealing over $150,000 worth of furniture that an interior designer had used to "stage" a house during the Parade of Homes. A "lifetime and High Risk" predatory offender was charged with a felony after investigators learned he was in the city and had not registered with the Department of Public Safety, and three juvenile females were arrested for burglarizing three homes in the city. Many of the cases our Investigative Unit investigates involves obtaining search warrants, subpoenas, taped statements, and interviewing multiple victims and suspects. All of these types of activities are time intensive and requires specialized skills. Our Patrol Unit, which is supervised by Sergeants Ken Beck and Mike Sussman, handled a variety of "in- progress" related crimes in 2009 involving assaults, damage to property, domestics, thefts, and disorderly conduct. An example of these types of calls occurred on July 31 when an officer stopped a vehicle for tinted windows. As the officer was walking back to his squad to run the driver's drivers license when the car sped away. The officer pursued the vehicle for several miles until the driver came to an abrupt stop. Officers had to use force to get the man out of the vehicle. He was arrested for Fleeing and Obstructing the legal process. -8- In 2009, the Patrol Unit seized a 2008 Chevrolet Equinox with 2,000 miles on it from a • repeat DWI offender. The vehicle has since been placed into out investigative fleet. Currently, all of our investigator squads (4) are seized vehicles and in the future, the city will no longer need to budget for investigator cars. The department continues to emphasize dedicated service to the community by providing our D.A.R.E Program at Grandview Middle and Our Lady of the Lake Catholic Schools, the TRIAD senior citizen crime prevention program at the Gillespie Center, School Cross -walk guard, senior citizen contact program (which involves contacting senior citizens during periods of adverse weather), the D.A.R.E Golf Tournament, Minnesota Night to Unite, Boots and Badges Safety Fair, the Virtual Crime Prevention Block Club, vacation house checks, enhanced code enforcement during the summer months, and our Police Explorer Post. In addition, our officers serve on a variety of local, non -profit advisory boards. Our Mound Police Reserve Unit continues to provide dedicated and volunteer service to the community. In 2009, the Unit, once again, volunteered over 2200 hours providing extra patrol, transporting prisoners, security at crime scenes, and assisting at special events. In 2009, the West Metro Drug Task Force was the most productive Task Force in the County recording the two largest in -door marijuana grow operation investigations in state history. The Unit confiscated a remarkable $7,400,671.00 worth of illegal drugs. It • should be noted that not all of these drugs were confiscated in Mound or the lake Minnetonka area. The Task Force "follows" their investigations and their cases often times takes them to other communities and counties. The Task Force's primary mission is to target "street level" drug dealers who distribute drugs to our schools and neighborhoods. In 2009, overall calls for service and police contacts was slightly up, less than 1%, from the previous year. The good news is Part I and Part II Offense, our most serious violations, were down 7 %. Medical emergencies and Other Public Contacts, which includes alarms, lockouts, and other minor events, account for the largest line increases in our total calls for service. Thank you for your support of the Mound Police Department as we fulfill our mission to preserve peace in the City of Mound. Sincerely, L - 1 es Eurtz Chief of Police • -9- MOUND POLICE 2009 YEARLY REPORT PART I CRIMES Homicides Criminal Sexual Conduct Robbery Felony Assault Burglary Larceny Vehicle /Boat Thefts Arson TOTAL PART II CRIMES Child Abuse /Neglect Forgery/NSF Checks Criminal Damage to Property Weapons Narcotic Laws Liquor Laws DWI Simple Assault Domestic Assault Domestic (No Assault) Harassment Juvenile Status Offenses Public Peace Trespassing All Other Offense TOTAL PART 11 & PART IV Property Damage Accident Personal Injury Accidents Fatal Accidents Medicals Animal Complaints False Alarms Mutual Aid Other General Investigations TOTAL Henn. County Child Protection Inspections TOTAL *I 01 -10- CASES OFFENSE CLEARED CLEARED CLEARED BY REPORTS UNFOUNDED EXCEPT ARRESTS ADULT JUVENILES 0 0 0 1 0 0 6 2 1 2 3 0 1 0 1 0 0 0 7 0 0 4 4 1 38 3 0 11 8 7 165 16 18 26 22 10 21 6 0 5 4 2 2 0 1 1 0 1 240 27 21 49 41 21 10 3 2 4 4 0 8 0 0 3 5 1 109 9 13 8 5 3 13 0 5 7 4 4 45 0 0 44 45 16 112 1 0 112 116 31 62 1 0 61 61 0 48 4 22 11 13 5 37 2 3 26 23 3 70 0 0 0 0 0 17 5 9 0 0 0 25 0 2 23 0 34 55 1 3 32 36 7 16 4 1 8 3 5 47 3 2 46 48 1 674 33 62 385 363 110 114 12 0 542 154 67 177 8.052 9,118 22 289 10,343 60 83 434 401 131 -10- 10 I* � 0 MOUND POLICE DEPARTMENT POLICE /CRIME ACTIVITY REPORT FIVE -YEAR COMPARISON Hazardous Citations Non - Hazardous Citations Hazardous Warnings Non - Hazardous Warnings Verbal Warnings Parking Citations DWI Over. 10 BAC Property Damage Accidents Personal Injury Accidents Fatal Accidents Adult Felony Arrests Adult Misdemeanor Arrests Juvenile Felony Arrests Juvenile Misdemeanor Arrests PARTIOFFENSES Reported Cleared Arrests Made PART II OFFENSES Reported Cleared Arrests Made Medicals Animal Complaints Ordinance Violations Other Public Contacts Mutual Aid TOTAL 2006 2006 2007 2008 2009 344 330 160 281 168 673 470 494 608 846 115 128 123 64 76 711 794 204 569 605 1,223 1,228 963 1,058 1,071 388 462 156 327 235 101 72 60 59 61 92 61 52 51 55 132 102 114 102 114 16 23 14 24 12 1 0 0 0 0 61 73 39 44 48 464 318 318 390 408 22 26 17 11 22 112 109 125 89 110 225 341 309 272 240 100 99 115 99 97 53 46 47 43 62 771 718 710 712 674 580 490 454 475 480 516 426 396 460 473 414 485 479 465 542 162 311 318 258 154 724 1,461 1,665 475 289 6,425 8,441 8,111 7,863 8,052 67 99 161 212 177 13,243 16,052 14,431 13,934 13,959 -11- MOUND POLICE DEPARTMENT 2009 YEAR CITATIONS CITATIONS ADULT JUVENILES • DWI 61 0 More than. 10 BAC 55 0 Underage Drinking /Driving 0 3 Careless /Reckless Driving 6 0 DAR /DAS 100 2 Open Bottle 10 0 Speeding 98 3 No DL or Expired DL 26 1 Restriction on DL 3 5 Improper, Expired or No Plates 118 0 Stop Arm Violations 1 0 Stop Sign Violations 12 0 Fail to Yield 3 0 Equipment Violations 57 2 Hit and run 2 0 No Insurance Illegal or Unsafe Turn 91 2 2 • 0 Over Centerline 0 0 Parking Violations 235 0 Crosswalk 2 0 Animal Ordinances 5 0 Code Enforcement 14 0 Seat Belt 118 2 Overweight Vehicles 18 0 Miscellaneous Hazardous 25 4 Miscellaneous Not Hazardous 46 1 TOTAL 1,108 25 • • • • MOUND POLICE DEPARTMENT 2009 YEARLY WARNINGS WARNINGS ISSUED ADULT JUVENILES Insurance 110 7 Traffic 72 3 Equipment 129 13 Crosswalk 0 0 Animals 2 0 Trash /Derelict Autos 54 0 Seat Belt 8 1 Operation Clean Sweep 119 0 Hazardous Miscellaneous 1 0 Non - Hazardous Miscellaneous 158 4 TOTAL 653 28 WARRANT ARRESTS Felony 7 1 Misdemeanor /Gross Misdemeanor 45 0 -13- 2415 Wilshire Boulevard Mound, MN 55364 • Main: 952.472.3555 Fax: 952.472.3775 www.moundfire.com E�II Annual Report Vision Statement It's our vision to be known as an innovative and progressive fire department. We are dedicated to the delivery of effective fire suppression, rescue services and quality fire safety education to the public. We strive to offer the best available education and training to our members. We are committed to providing an environment which fosters teamwork • among members. We desire to have an atmosphere of open communication which promotes the health and welfare of individual members. This Annual Report is prepared for the Mayor and Councilors for the City of Mound, and also the Mayors and Councilors of the four other cities we serve. This report is also presented to and reviewed with our Mound Fire Commission members. 0 -14- � 0 2009 Annual Report Index 10 I* Section I Overview & Highlights Pages I — 5 Section II Organization and Staff Information Pages 6 — 9 Section III Department Activities Pages 10 —17 And Performance Measurement Section IV Apparatus & Equipment Pages 18 — 23 Section V Facilities Pages 24 — 26 Section VI Finances & Budget Pages 27 — 35 Section VII Strategic Plan Initiatives Page 36 Section VIII Fire Department Challenges Pages 37 — 41 And General Information -15- Mound Fire Department 2009 Annual Report Overview and Highlights • This Overview and Highlights section provides a general, but important summary of the Mound Fire Department activities, accomplishments, challenges met for the year 2009. City Manager Kandis Hanson has asked department heads to emphasize (in this years annual report) our challenges and the obstacles we foresee in the future. A summary of the challenges and a bit more detail is addressed in Section VIII of this report. Note: This Annual Report is prepared for the Mayor and Councilors for the City of Mound, but also the Mayors and Councilors of the four other cities we serve. This report is also presented to and reviewed with our Mound Fire Commission members. The detail and support documents provided within this 2009 Annual Report provide much more comprehensive information relevant to the Mound Fire Department. Please contact Fire Chief Greg Pederson if you have any questions, comments about the information, or would like to discuss any of the issues. Introduction and Overview The year 2009 was another year of success for the Mound Fire Department. This year we focused on hiring and maintaining our firefighter staff, continuing to implement our Apparatus Replacement and Efficiency Plan, tightening Budgets and Financial Management, reworking and 40 restructuring our fire service contracts, and investigating options for studying and improving our Fire Relief Association Pension Plan. Our well trained and active firefighter staff remains our most important asset. Our firefighter staffing level was increased by one firefighter as our staff of firefighters went from 43 to 44 in 2009. The nationwide and local trend is that less people are volunteering as firefighters. We are fortunate to have had much success in hiring and maintaining firefighters. Footnote: we currently have a waiting list of firefighter applicants. It is the dedication and commitment of the Mound firefighters that help uphold the service quality of the Mound Fire Department. In 2009 our calls for service for Fire and Rescue call activity increased slightly from the 2008 levels. Our fire department emergency call outs in 2009 were 551 vs.533 call outs in 2008. Our firefighter response hours for the year were down minimally and about 5% lower than 2008 levels with a total firefighter emergency response hours at 11,155 hours. The commitment of time and effort that is required by firefighters continues to increase (refer to department activity report included). This annual report, like reports in the past will focus primarily on what I consider the key critical components necessary to meet the ever changing needs of the fire service, including: administration and organization issues, staff and resources, apparatus and equipment, facilities, strategic planning, challenges, and budgets (financial support). • -16- Organization, Staff Information, Performance Measurement The Mound Fire department continues to maintain a very high level of active volunteer (paid-on- call) firefighter staff. We currently have a staff of 43 volunteer firefighters, plus one full time administrative assistant and a full time fire chief. We currently have a waiting list of applicants for the firefighter position. The following points about organizational resources are supported by the documentation and graphs included in the pages that follow (please refer to the lists, graphs, and charts). • We did hire four new probationary paid -on -call firefighters in 2009, and actually increased our staff of firefighters by one. There were three firefighters that left the department, the reasons they left were due to: 1 left for retirement upon completion of 20 years of service and 2 firefighters purchased a house out of our fire service area (refer to the rosters and organizational charts included). • Firefighter Paul Henry (20 years of service) retired on 5/05/2009, 2 others relocated. • Fire and Rescue calls for service were at a normal level in 2009, but the department remains very active. The overall activity level however was quite demanding with a total of 11,155 personnel hours spent at fires and other emergency calls (refer to 2009 activity report). • Mutual Aid requests and hours for Mound Fire decreased in 2009, but do not expect this to be a trend as mutual aid requests will likely continue to be higher than in the past.. • Our fire department response consistently generates an average of 20 -22 firefighters per emergency call. This high number of responders is an extremely good response, as compared to many other volunteer or paid fire departments. • MFD firefighters also worked a significant amount of hours on apparatus, equipment, and . station maintenance in 2009 for a total of 1,097 hours. • In 2009 our staff training hours was high at 2,541 hours. Our fire department membership is better trained and more diversified than ever before. All of our members are 100% certified as Firefighter 1 and EMS First Responder, except the new probationary firefighters which are currently being trained. • Our fire department staff including all fire officers and firefighters is skilled as well with a total of 460 years of accumulated firefighting experience. Our firefighters, through hard work and dedication continue to put in many volunteer hours, with a conservative estimate of all work by firefighters in 2009 at 16,480 hours. Apparatus and Equipment In 2009, we made some major strides toward implementation of our Apparatus Replacement and Efficiently Plan. We are making some major changes in our apparatus fleet and making the transition to more efficient lower cost apparatus. Capital Expenditure spending on apparatus and equipment was relatively insignificant in 2009. Changes to our apparatus and equipment fleet and important events were as follows: • We sold our old 1987 Chevrolet 4 WD Rescue truck in February 2009 for $6,500. • We purchased a new Ice and Water Rescue 11' Zodiac Boat (to replace leaking 20 year old unit) in 2009 for $1,999. is In 2009, we issued (sold) equipment certificates in the amount of $250,000 for 2010 apparatus and equipment purchases. -17- • Since November 2007, we have removed 6 old fire units (apparatus or boats) from service by either selling them or retiring them • Our 1980 Sutphen 100' Aerial Ladder truck is now 30 years old and will need to be replaced sometime in the relatively near future. The ladder truck has had many operational and functional failures or problems prior to, and in 2008 and 2009. The truck operational failures have often been a major safety concern. NOTE: The cost of replacement for a 100' ladder truck depends upon the path we choose (i.e. buy new truck, buy used truck, or refurbish existing truck). The cost of a new ladder truck that is similar in size and performance to ours would be approximately $935,000. In any case we need a ladder truck for fire response and suppression, high level rescue, in support if our fire protection contracts, and our ISO Public Protection Classification in all cities. In 2008, 2009 and early 2010, I reluctantly made a decision to spend $37,615.08 (refer to repair summary) to repair this truck and extend its life for 2 -4 years. The truck is currently functioning, but may need more work to operate effectively. The Fire Commission has asked me to make the ladder truck replacement a priority topic for our 2010 Fire Commission meetings. Note: We continue to analyze and consider new concepts to meet our ever changing needs for fire apparatus and equipment. We believe our fire apparatus replacement program plan considers all of the practical and available options for prudent and cost effective apparatus replacement purchases in the future. The Fire Commission meeting discussions often deal with apparatus needs, replacement plan, and future purchases. Representatives from each contract city are given the opportunity to weigh in on the capital apparatus purchases. Facilities • The Mound Public Safety Facility remains ideal for our daily administration, staff activities, apparatus housing, equipment storage, training, and emergency response operations. There were some facility issues that needed attention in 2009 • We implemented several energy saving and efficiency projects for the public safety facility in 2009. The cost savings and payback period is significant in terms of energy savings and dollars saved (refer to spreadsheet list). • In 2009, we had severe degeneration of our concrete on the fire station front apron. The apron needed to be replaced, so we pursued the original vendor which was Kelleher Construction. In the end, the owner of Kelleher Construction agreed to replace a large portion of the concrete apron at his expense. The fire budget paid for the remainder of the cost to replace the concrete apron. Costs: Kelleher $17,000, Mound Fire $12,807, Amcon $1,500. • In the summer of 2007 during a storm, we discovered that the Public Safety Facility "Back up Power Generator" was wired incorrectly and did not work properly during a power outage. This problem was due to a design error by our original architect Short Elliot Hendrickson. In 2009, Short Elliot Hendrickson agreed to pay $8,500 to correct the wring problem. This rewiring work was completed and all systems are now working well. Facility Notes: We are still interested in the possibility of refinancing the Public Safety Facility Debt (bonds) to • lower our expenses and budget. The call date on the bonds is not until 2011. This could be a potential savings in the future if we can achieve lower interest rates. -18- The City Council and City Administrator in Minnetrista have begun to inquire about creating a fire district, especially as Minnetrista develops. At some point in time our friends and neighbors in Minnetrista will be pursuing fire stations in their growing community. The Minnetrista Fire • protection project will be a Public Safety necessity for the city in the future. The City Officials in Minnetrista are very supportive of Mound Fire Department and will likely want us to be an active participant in the Minnetrista fire protection plan. We believe we have a great working relationship with all of our fire protection contract cities. Finances and Budget In general, the Mound Fire Department expenses for 2009 were slightly under budget on the operations side. Please refer to the budget summary page in this report for the 2008 budget vs. spending and financial details. • The fire reserve fund balance at the beginning of 2009 was $132,713 with an estimated ending reserve balance of $179,713 at the end of 2009. The fire fund balance will increase by approximately $47,000. • Through careful and conservative spending, the 2009 Fire Budget was under budget by approximately $21,000. • The fire department apparatus repair occurrences and costs continue to rise as our fleet of apparatus gets older. In 2009 we spent a substantial amount of dollars on apparatus repair and maintenance with a total of $ 38,998 vs. a budget of $19,200. This is a ongoing problem that we are working to resolve (refer to the summary sheet on budget vs. expenditures for account 4409) • • In 2009, I submitted two Assistance to Firefighters Grant (AFG) requests for a new aerial fire apparatus ($935,000) and training ($15,975). Unknown if these two requests will be approved or funded this year. • I applied for a Metropolitan Emergency Services Board Radio grant in 2009, and was awarded with a grant of $13,225 to purchase several new 800 MHz radios. • The Mound Fire Department Relief Association Pension Fund made significant recovery strides in 2009, with a positive investment return of 21.34 %. The MFD Relief Fund gained $723,154 in value throughout 2009 which included the 2009 deposits or contributions (refer to integrated performance review summary report). The fund value at 12/31/08 - $3,391,260 vs. fund value year end 12/31/09 - $4,114,415. NICE! • Throughout 2009, the MFD Fire Commission spent several meeting sessions discussing and working on resolving Fire Service Protection Contract issues, primarily related to the facility payment /debt service schedule. We have resolved the contract issues and the Mound City Council has approved the new revised contract. Minnetrista and Spring Park have approved the new contract as well, with Minnetonka Beach and Shorewood expected to follow. Challenges for the Future Many important items remain on our list as challenges that are very important for the future. The critically important items are to be addressed as part of the Mound Fire Department Strategic Plan. Please refer to Section VIII in this report for an overview of the challenges and issues we • expect in the future. -19- Strategic Plan and Initiatives In March 2004, I presented a Strategic Plan Initiative with a focus on four key areas including: Personnel, Budget and Financial Management, Equipment and Supplies, and Facilities. Many of • the plan initiatives have been completed and /or are ongoing. Significant progress has been made on these initiatives, with more work to be done. Implementation of this strategic plan is essential to the successful fire operations of the Mound Fire Department in the future. A complete summary of the Strategic Plan and department accomplishments for the year 2009 is included in this report (refer to attachment). Summary The year 2009 was a very successful one for the fire department in many ways. We believe we served our customers and residents well by providing a valuable service at a relatively low cost. Our staff of firefighters and office personnel, apparatus, and equipment has continued to be maintained as our key strong elements. We have very nice functional fire station facility. In the future we look forward to improving and expanding our department operations further by partnering with Minnetrista as part of their fire service protection plan. A Minnetrista partnership (and possibly a fire district concept) will lead to more efficient use of our fire staff, apparatus, and equipment. A fire partnership or fire district will most likely be a financial benefit to Mound, and all of the fire protection contract cities as well. We thank our city officials, staff, fire commission members, and citizens for their continued • cooperation and support of the Mound Fire Department. Respectfully submitted, Gregory S. Pederson Mound Fire Chief 4 April 2010 • -20- 10 I* -4( ?) Mound Fire Department 2010 Firefighter Staffing Summary Name Activity/Description Staffing Level All Staff 2007 total of all department staff 48 (Includes chief and administrative) All firefighters 2007 total MFD volunteer staff 46 Jerry Ricke resigns after 4 years on March 4, 2008 45 Kevin Grady retired after 20 years on August 11, 2008 44 Paul Henry retired after 20 years on May 5, 2009 43 Matt Kvam (1.5 years) purchased a home 5/22 out of service area 42 6.4 miles away and resigned 6/09 Rod Stevens (8.5 years) purchased a home 7/31 out of area in 41 Norwood Young America and resigned 8/09. Hired four new probationary firefighters 10/05/09 45 Kevin Sipprell (19 years) retired after 20 years served on 04/0610 Other considerations Dan Grady (18.5 years) probably will retire in December 2010 -1 Jim Casey (19 years) health and workers compensation ? Issues and may not return to effective duty. Steve Henkels (7.5 years) Military deployment for 12 -15 months temporary LOA Return expected, but not 100% sure Jeff Andersen (28 + years) Rick Williams (25 +years) All can retire anytime fully vested pension Greg Palm (25 +years) Tim Palm (20 years) -21- Mound Fire Department 2415 Wilshire Blvd. Mound, Minnesota 55364 2010 Chain Of Command and Officer Rank N N Chief 1- Fire Marshall Chief 2 - Asst. Chief District Chief 11 District Chief 21 Captain 11 Captain 12 Captain 14 Captain 15 Captain 16 Deputy Fire Marshall Lieutenant 11 Lieutenant 12 Lieutenant 14 Lieutenant 15 Lieutenant 16 Fire Investigator /Inspector Asst. Fire Investigator /Inspector Safety Officer Tony Myers 12 -31 -2011 Brian Gorman 12 -31 -2012 Fire Marshal or as Designated by I.0 01/04/10 Effective date: April 12, 2010 • • • Term Expires Greg Pederson Not Applicable Jeff Andersen 12 -31 -2011 Rick Williams 12 -31 -2010 Greg Palm 12 -31 -2010 Tim Palm 12 -31 -2010 Matt Hentges 12 -31 -2011 Dennis Woytcke 12 -31 -2010 Matt Jakubik 12 -31 -2011 Kevin Flaig 12 -31 -2011 Tony Myers 12 -31 -2011 John Larson 12 -31 -2010 Brian Berent 12 -31 -2010 Mike McCarville 12 -31 -2010 Ben Foster 12 -31 -2010 Open Position 12 -31 -2010 Tony Myers 12 -31 -2011 Brian Gorman 12 -31 -2012 Fire Marshal or as Designated by I.0 01/04/10 Effective date: April 12, 2010 • • • Mound Voluntee Fire Department 2415 Wilshire Blvd. Mound, Minnesota 55364 2010 Fire Officers and Companies I N W Fire Chief: Greg Pederson District Chief 11: Rick Williams Medical Director: Kevin Sipprell Engine Co. 1 (18,24,25) Assistant Chief: Jeff Andersen District Chief 21: Greg Palm Fire Investigator: Tony Myers Engine Co. 2 (29,33,35) Deputy Fire Marshall: Tony Myers Training Officer: Matt Jakubik Asst. Fire Inspector: Bryan Gorman Truck - Ladder Co. (17,26) Capt. 16 Kevin Flaig Capt. 12 Matt Hentges Capt. 14 Dennis Woytcke Lt. 12 Brian Berent FM I Tony Myers Lt. 11 John Larson Dan Grady Ed Vanecek Ben Gottschalk Paul Babb Rich Rogers Matt Svihe) Bob Crawford Roger Kryck Aaron Crandall Jason Maas Bruce Gustafson Jeff Harrison Jason Rice Jim Casey -leave Shawn Hayes Mike Foley Bryan Gorman Mike Shepherd Rescue Co. 1 (19, 34, new) Capt. 15 Lt. 15 01/04/10 Effective date: Apri 112, 2010 Matt Jakubik Ben Foster Darren Poikonen Steve Henkels - leave Josh Clemons Paul Jolicoeur Mark Lee Jeremy Spader Heavy - Special Rescue Co. (22,28,37) Capt. 11 Tim Palm Lt. 14 Mike McCarville Chris Pounder Derak Anding Andy Drilling Matt Morris Tony Bolden • MOUND FIRE DEPARTMENT Seniority List NAME START DATE EQUIP. # Chief 1 1 GREG PEDERSON 2/3 /1975 18 Chief 2 2 JEFF ANDERSEN 9/22/1980 31 Dist. Chief 3 RICK WILLIAMS 11/7/1983 22 Dist. Chief 4 GREG PALM 2/6/1984 15 Captain 11 5 TIM PALM 5/1/1989 17 7 DAN GRADY 12/3/1990 9 8 EDDIE VANECEK 11/4/1991 34 Captain 14 9 DENNIS WOYTCKE 3/211992 24 10 PAUL BABB 9/13/1993 28 11 CHRIS POUNDER 9/13/1993 36 12 BOB CRAWFORD 3/21/1994 6 13 JASON MAAS 5/2/1994 32 Lieut.11 14 JOHN LARSON 316/1995 5 15 RICH ROGERS 10/16/1995 19 16 ROGER KRYCK 12/4/1995 27 17 BRUCE GUSTAFSON 2/5 11996 11 Captain 12 18 MATT HENTGES 5/6/1996 14 Captain 15 19 MATT JAKUBIK 11/17/1997 37 Fire Marshal 20 TONY MYERS 5/4/1998 33 21 DARREN POIKONEN 12/19/1998 30 Captain 16 22 KEVIN FLAIG 4/19/1999 7 Lieut.12 23 BRIAN BERENT 4/24/2000 1 24 STEVEN HENKELS 9/10/2001 2 25 JIM CASEY 11/4/2002 4 Lieut.14 26 MIKE MCCARVILLE 1/6/2003 35 27 JOSH CLEMONS 5110/2004 23 28 MIKE FOLEY 5/10/2004 16 29 PAUL JOLICOEUR 5/10/2004 39 30 MARK LEE 5/10/2004 40 31 DERAK ANDING 7/26/2004 3 32 JASON RICE 7/26/2004 42 33 ANDY DRILLING 5/20/2006 25 Lieut.15 34 BEN FOSTER 5/20/2006 29 35 BEN GOTTSCHALK 5/20/2006 26 36 TONY BOLDON 11/5/2007 12 37 BRYAN GORMAN 11/512007 21 38 MATT MORRIS 11/5/2007 44 39 JEREMY SPADER 11/5/2007 45 40 MATT SVIHEL 1115/2007 46 Probationary 41 AARON CRANDALL 10/5/2009 8 Probationary 42 JEFF HARRISON 10/5/2009 10 Probationary 43 SHAWN HAYES 10/5/2009 38 Probationary 44 MIKE SHEPHERD 10/5/2009 41 Over 20 years 15 - 20 years 10 -15 years 5 -10 years military leave 13 -14 months workers comp 12 months Under 5 years • 1�1 Seniority List 072809.xls -24- 10 10 10 2009 542 9 551 10,735 420 11,155 11,155 1,096.5 2,541 Mound Fire Department 2009 Activity Report 2008 vs. 2009 Fire / Rescue Calls In Our Primary Service Area Mutual Aid Calls Out Of Our Service Area Total Of All Fire / Rescue Calls Including Mutual Aid Fire / Rescue Personnel Hours In Our Primary Service Area Mutual Aid Fire / Rescue Personnel Hours Fire / Rescue Personnel Hours Including Mutual Aid 2008 517 16 533 898 11,786 Fire / Rescue Personnel Hours Including Mutual Aid 11,786 Maintenance Hours 1,304.5 Training (In House) Hours 3,276.5 -25- Mound Fire Department Firefighter Hours Breakdown by City 2007 2008 2009 Mound 7,242 63% 6357 58% 6,067 57% Minnetrista 2,312 20% 2010 19% 1,824 17% Spring Park 1,356 12% 1865 17% 1,889 18% Minnetonka Beach 522 4% 581 5% 604 5% Shorewood 149 1% 75 1% 351 3% Total 11,581 100% 10,888 100% 10,735 100% I N Mutual Aid 2007 2008 2009 Mutual Aid Calls 10 16 9 Mutual Aid Hours 459 898 420 TOTAL HOURS 12,040 11,786 11,155 • • • • 1�1 Mound Fire Department 2009 Fire / Rescue Total Calls by City 350 300 250 200 N J U 150 100 50 0 city • Calls Mound Spring Park Minnetrista Minnetonka Shorewood Mutual Aid Beach 7,000 • 111 5,000 U) 4,000 L N 0o p = 3,000 'r § f 1,000 W Mound Fire Department 2009 Firefighter Hours by City City ED Calls • • • Mound Spring Park Minnetrista Minnetonka Shorewood Mutual Aid Beach I N b • 18 we 14 J 12 c� U 10 Q 8 .iJ L 4 2 C • Mound Fire Department Breakdown of Mutual Aid Calls 2002 -2009 Year I IM Given ■ Received • 2002 2003 2004 2005 2006 2007 2008 2009 I W O 1,800 1,600 1,400 1,200 N 1,000 L O 800 600 400 200 0 0 Mound Fire Department Firefighter Maintenance Years M Maintenance n • 2002 2003 2004 2005 2006 2007 2008 2009 • 3,500 3,000 2,500 r i N L 0 W 1,500 1,000 500 N • Mound Fire Department In -House Firefighter Training Years ®TRAINING • 2002 2003 2004 2005 2006 2007 2008 2009 8 7.8 7.6 7.4 W N 7.2 m 7 M.; 6.6 6.4 6.2 6 Mound Fire Department Response Times for All Cities (All Types of Calls - Code 3 Only) Year � E9 Minutes 0 0 • 2002 2003 2004 2005 2006 2007 2008 2009 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. "Bip, Tire" "Small Fire" "EMS" PI Accident Special 11ar,ard Service Calls No Major change Smaller Apparatus Smaller Apparatus? Change response Not Sure, needs TBD Change Response 009 or beyond 2009 or beyond Late; in 2008 009 or be' on Comments, Concepts, Action Items and Implementation 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 purchases. 3. Better utilize our Existing Apparatus by establishing and redefining each apparatus purpose (Grass #11, Utility #22) 4. Brainstorm about better and more sensible apparatus purchases 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 AnythinQ 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 if 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? What kind tools and equipment do we need that we don't have? 0 will be working on this project in October and November 2008! -33- MOUND FIRE DEPARTMENT August 2009 • Apparatus Response and Use Considerations: 1. As a general rule, our existing apparatus response sequencing will not require an overhaul or even major changes, however new apparatus, new apparatus types, and the use of duty officers or smaller response duty crews will warrant some changes in the near future. 2. Response sequencing of the new forthcoming apparatus needs to be considered and determined for apparatus bay placement of all apparatus. We should plan for apparatus arrival prior to arrival. 3. It is very likely that MFD will have a structured Duty Officer or Duty Crew Program in the near future, depending on the results of a study on call response types and history study (4 year study is currently in progress now — refer to study example). 4. To justify the purchase of two new pieces of apparatus in 2010, we must acquire and utilize the new apparatus quickly; get rid of the old apparatus as soon as possible, then ultimately meet a goal of becoming more efficient and reducing operating and maintenance costs. NO WAVERING! 5. The apparatus names and /or Alias need to be determined now for CAD designation, development of new code plugs, and all radio programming (including the new radios). 0 6. Our new to be ordered 1250 GPM — 2000 Gallon Tanker Pumper needs to be a first line truck and ( ) P be utilized much more than our existing tankers. This truck cannot sit in the station with limited use as our old tankers did (refer to MFD apparatus utilization study data). 7. The new (to be ordered) 2010 SUV is intended to make us more efficient and more effective with apparatus use and costs of operation. This unit must be used regularly to improve operations, justify its purchase, and to satisfy our smaller vehicle needs including: basic EMS, Hazardous Conditions calls for service, and duty crew or duty officer calls. This vehicle needs to be on the road often and visible. 8. Apparatus use and flexibly of apparatus use is more important than ever before with tight budgets and less major fire responses; however we must continue to meet our fire contract obligation and the needs of all five cites we serve. 9. Our next apparatus TOP Priority needs to focus on a Ladder Truck including: finances, saving money or budgeting, and replacement plan concept. 10. Our MFD Insurance Services Office Public Protection Classification ratings must be supported, and general improvements in fire department operations must continue to be vital. • -34- • MOUND FIRE D *TMENT APPARATUS REPLACEMENT AND CONDITION REPORT SUMMARY Unit # Description Primary Purpose Condition Projected Life Replacement Cost* Comments 16 1954 Dodge Grass Rig Grass Fires Poor SOLD DNR - Fr ee ;::;:•;:::.:;:::.:::;..;...: •:..::: •. :::::.:::.:.. • •.:::::.; ::.;.;:::;.;•;:..;;:•:;•::::.:< ;::•;:.: •::::: �::::: �! ki:: 3�'' S>< lt,l �xt,: �•!' I�'"', �. �d'• 1.::: w: rit: �k: :t�.ae�::r.�::txs:: >:::<::<:::: w cn 17 1981 Sutphen Ladder w/1500 gpm Pump Ladder Truck 4th Engine Poor 3 -5 Years $935,000 Significant dollars spent to repair 2009/2009 18 1984 Ford 1250 gpm Pumper 3rd Response Engine Fair 1 -2 Y ears $255 Truck life to be extended due to replacement cost 19 1987 Chevrolet Rescue - 4WD 1st Respnse on Medicals Poor SOLD $125,000 "'' " "'''`''' "' "' " "''` "''' " "'''' "" "''• "'` ?' :' "' "" """' 22 1990 E -One Heavy Rescue 1 st Response Fire - HazMat Fair 4 -5 years $225,000 Overall good equipment truck, but aging 24 1996 Freightliner 1250 gpm Pumper 2nd Response Engine Good 8 -10 years $255,00 $10 -12 K spent on pump repairs - past 12 mo. 25 1973 Mack 2000 gal. Tanker 2nd Response Water Truck Poor SOLD $130,000 •.`::' ><#?p�' tits >�Q�it';)rtf�3f�3;t's,.'�'f4.,. !�`, #';;; 26 1999 Ford Crew Pickup Truck Utility Multi - Use Good 5 -7 years $38,000 No immediate concerns or issues 27 1970 Gamma Goat Grass Rig Grass - Brush Fires Poor RETURNED DNR - Free ;,,';::;. ;..tp:>,.:: ? >;:: %;:;iJ:; ?:p:; 28 2001 19' Silver Wolf Rescue Boat Water Rescue Excellent 10 -12 years $48,000 No issues 29 2003 Salisbury 1500 gpm Pumper 1st Response -New Engine Excellent 12 years $285,000 Delivered May 2003 - No issues 30 Harzardous Materials Trailer Haz Mat Responses New 20 years $50,000 No issues 32 1999 Chevrolet Blazer Chiefs Response Vehicle Fair SOLD $12,000 used 34 1998 Ford F -Super Duty 1 st Response on Medicals Very Good 8 -10 years $ 56,665 (used) Bought used Rescue Truck from EPFD 2006 35 2007 Freightliner Tanker Pumper 1 st Response Water Truck NEW 20+ years $167,255 New delivered on July 20, 2007 36 1998 Chevrolet Tahoe 4X4 1st Response Chief Vehicle Fair 1 -2 years $32,000 Minnetrista Purchased this truck Purchased used and needs some TLC 37 2008 Polaris Ranger 6x6 ATV Special Rescue NEW 12 -15 years $11,800 lights, siren, and maintenece work New delivered fall 2008 38 2009 Zodiac 11 Ft. C -340 - 15 HP Rescue Boat NEW 15 years $1,999 Purchased new in 2009 to replace old Zodiac 39 2010 Chevrolet Tahoe 4 x 4 Light Rescue Duty Officer NEW 20 years $29,622.00 Purchased new in 2010 40 2010 Freightliner 1250 GPM Pumper Tanker Ist Response Engine NEW 20 years $217,840.00 Purchased new in 2010 " Note: Replacement costs are based upon estimates only and are at 2010 prices. MFD Apparatus Condition Report - Apparatus Updated 04/13/10 Mound Fire Department - 2009 Apparatus Replacement and Cost Reduction Plan Cost Life Replacment Priority Apparatus Description Project Description Estimate Expectancy Plan Year I , 2 Aerial Ladder - 100 foot Refurbish existing Sutphen Aerial Ladder $ 280,000 12 years 2012 -15 Platform w/ 1500 GPM pump Truck using current components as appropriate or 2 Aerial Ladder - 100 foot Purchase a 100 ' Platform Aerial Ladder Truck, $ 400,000 15 years 2012 -15 Platform w/ 1500 GPM pump used or a demo unit and sell exisiting Sutphen or 2 Aerial Ladder - 100 foot Purchase new 100' Platform Aerial Ladder $ 950,000 20 years 2012 -15 Platform w/ 1500 GPM pump Truck and sell existing Sutphen unit 3 Large SUV EMS and Special Purchase new large SUV and equip for EMS $ 48,000 12 years 2009 Response multipurpose SUV and special response type incidents. Move inlcudes equipment (Chevrolet Suburban or similar) exisitng EMS vehicle to PI and water incidents or or 0 i rumper 1 antcer - 2)UU gallon piece of equipment and creates more flexibility $ 215,000 12 -15 years 2009-2010 w /1,250 GPM pump -Foam Pro and more usage of apparatus. 4 Medium SUV Chief Officer Purchase a new medium SUV and equip for $ 30,000.00 12 years Future (Ford Explorer or similar) Fire Chief or Officer directly to scene response w J L` CITY OF MOUND CAPITAL IMPROVEMENT PROGRAM • Your File Name: CIP2010 Prepared By: G. Pederson FUND: DEPARTMENT: PROJECT TITLE: SCHEDULE START: SCHEDULE COMPLETION.: Fire Apparatus Replacement Fund PROD. NO.: Fire Department LEVEL: Fire Truck Replacement Program PAGE NO.: 2007 On -going Fire 001 1 - Critical 1 of 4 DESCRIPTION & LOCATION Replacement program that replaces old obsolete fire apparatus with new and better fire apparatus PURPOSE & JUSTIFICATION Continue to replace fire trucks to meet the needs of the community and to improve department capabilities FUNDING: By all contract fire service cities including Mound. Approximately 55 - 60 % funded by the city of Mound 1 COST CATEGORY 2007 2008 2009 2010 2011 2012 TOTAL 2013 -2018 1) Tanker Truck 3000 gal. $170,000.00 $0.00 2) Tanker Pumper 2000 ga. $28,400.00 $28,400.00 $28,400.00 $84,000.00 $170,400.00 3) 4 - Wheeler Utility Aer�ll Lacldiar...,, , 5) Emerg. Prep. SUV $8,000.00 $3,900.00 $3,900.00 $3,900.00 $8,000.00 $11,700.00 $�YQVI?:OV $23,400.00 6) Fire Pumper 1500GPM $290,000.00 7) Heavy Rescue Utility $205,000.00 Total Expenditures $170,000.00 $8,000.00 $0.00 $32,300.00 $32,300.00 $32,300.00 $103,700.00 $968,800.00 Truck Fund Contribution $44,000.00 $39,000.00 $47,000.00 $16,985.00 $22,000.00 $24,000.00 $192,985.00 Truck Fund Balance $151,713.00 $168,698.001 $190,698.001 $214,698.00 is 2020 or beyond 2019 or beyond 10/6/2004 - updated November 2009 Capital Improvement -Fire Apparatus - Budget Financial MOUND FIRE DEPARTMENT 2010 Apparatus and Equipment Unit Number Description of Apparatus Radio Alias ID Comments # 17 1981 Sutphen Aerial Ladder Ladder #11 Top replacement priority # 18 1984 Ford Pumper Engine #14 Sell in fall 2010 # 22 1990 E -One Utility Heavy Utility #11 Equipment Command Vehicle # 24 1996 Freightliner Pumper Engine #12 # 26 1999 Ford F 250 Crew Utility # 12 scrnes 1x` # 28 2001 19' Silver Wolf Boat #11 # 29 2003 Salisbury Pumper Engine #11 # 30 2003 Pace Am. HazMat Trailer HazMat #11 HazMat Trailer # 33 1986 Chevrolet 1 Ton Grass #11 Grass Rig Mini Pumper # 34 1998 Ford F -Super Duty Rescue #11 #35 2007 Freightliner Tanker Pumper Tanker #11 750 GPM -3000 Gallon Tank # 36 1998 Chevrolet Tahoe Utility #13 lChiefs Command Vehicle #37 2008 Polaris 6 x 6 SUV Utility #14 438 2009 Zodiac 11' C340 — 15 HP Boat #12 e34 #39 2010 SUV — Tahoe 4 x 4 Rescue #12 # 40 2010 Freightliner Tanker Pumper Engine # 13 1250 GPM — 2000 Gallon Tank Update 030310 Apparatus- Equipment Henn. Radio Alias Cl 01 01 -38- • MEMORANDUM TO: Kandis Hanson FROM: Carlton Moore, Public Works Director Greg Pederson, Fire Chief DATE: December 2, 2009 RE: Energy Cost Savings at City Facilities As you are aware, city staff has been working on various projects to save energy and reduce expenses at the city owned buildings. Several of these cost saving projects have been completed, while others will be implemented by the end of December 2009. One major project included an energy audit of our city facilities lighting systems. The energy audit determined that conversion of our lighting to newer more efficient bulbs would be very cost effective. Importantly, Xcel Energy offers a program that provides rebates on the lighting conversions. This project has been completed which will provide energy savings and cost benefits to our budgets for years to come (refer to attachment page from Border States indicating costs and cost savings detail). Several other cost management or energy savings projects are underway at other city facilities as well. These projects are summarized on the 2009 Budget Management and Cost Control Initiatives report which is attached. Our estimates forecast a total annual cost savings of $12,843 per year beginning in 2010 for this group of projects. These cost savings will positively impact several facilities and budgets in the future. Cc Catherine Pausche • attachments -39- City of Mound A O 2009 Budget Management Budget or Project Description Facility Impacted • Lighting System Analysis and Upgrades City Hall to numerous city buildings Public Works Parks Building and Cost Control Initiatives November 2009 Estimated Annual Savings Comments $ 4,519.03 Excel Energy — Building Energy Efficiency $ 1,318.71 Program, remove and replace all light bulbs $ 1,029.06 in facilities with new more efficient bulbs. • Lighting System Analysis and Upgrades Public Safety Facility (Phase I) • Lighting System Analysis and Upgrades Public Safety Facility (Phase II) $ 1,938.87 Excel Energy — Building Energy Efficiency Program, remove and replace all light bulbs In facility with new more efficient bulbs $ 600.00 Excel Energy Program with rebates — add Electronic light control sensors to various areas of facility to automatically shut off lights based upon occupancy and needs. Energy Audit Lighting Project Annual Savings TOTAL $ 9,405.67 Other Important Proiects • Evaluate all of the city Life Safety vendor All facilities including contracts and consolidate vendors to achieve Indian Knoll Manor better service and volume discounts. Improve efficiency of Heating and Air Public Safety Facility Conditioning systems by upgrading HVAC economizers, air mixers, and control interface. • Reanalyze 20+ Heating and Air Conditioning Public Safety Facility zones in facility, including occupancy times and schedule, then reprogram HVAC Delta Digital control for efficiency and comfort. U • refer to attachment with cost and payback, return on investment, and analysis detail $ 1,078.00 Contract with common vendors for special life safety and code required services, I.e. Fire Alarm monitoring, Sprinkler System annual inspections, fire extinguishers. $ 1,200.00 Heating and Air Conditioning system operating costs will reduce due to less Natural Gas and Electricity use (every year) $ 800.00 Will better utilize the high tech capabilities of the DELTA electronic thermostat, but requires economizer upgrade to be effective. A more efficient comfortable building • 20 9 Budget Management and Cost Control Initiatives (cont) 0 • Reprogram "Blue Box" digital electronic Public Safety Facility lighting control system to change exterior lighting schedule. • Change our MN State required Fire Incident Fire Department Reporting system software to the new Image Trend (a free software program). • Eliminate the Fire Officers alpha numeric Fire Department fire pagers and replace with new cellular phone text messaging technology (free). • Apply for grant $$ for needed 800 MHz Fire Department Mobile and Portable Radios needed in two new Fire trucks (trucks on order). A r • Go green! Plan for and purchase smaller, Fire Department more efficient, less costly to own and operate fire response vehicles /apparatus, as apparatus must be more versatile to be utilized for all types of incident responses. Total Estimated Annual Savings on these Projects r� U $ 360.00 Some of the facility exterior light schedules will change so lights turn on later and turn off earlier (as circuits allow). $ 630.00 Need this software to have the capability to electronically report all Mound Fire FD responses to State Fire Marshall (eliminate Firehouse Software use, training required) $ 720.00 Fire Officers will receive all fire call page outs from Hennepin County Dispatch via personal cellular phones and text messaging. $ 10,580 Grant funds for radios awarded to MFD by Metropolitan Emergency Services Board in 2009. One time savings only, not annual savings, but still significant $$. WIP - unknown Will require a significant change to FD fleet configuration (over time) to meet the ever changing fire department emergency call types and volumes. $ 14,193 Does not include fire apparatus plan savings IMPORTANT NOTE: there are initial costs associated with some of these projects with very good return on investment. 11/24/09 GSP MOUND FIRE DEPARTMENT 2009 BUDGET VS. EXPENDITURES - SUMMARY OPERATING BUDGET Category 2009 Budget 2009 Actual Variance % Expended Operations $ 539,247.00 $ 539,707.87 $ 460.87 100.09% Capital Outlay $ 27,187.00 $ 18,187.21 $ (8,999.79) 66.90% Building Rental $ 291,776.00 $ 291,776.00 $ 100% Fire Truck 47,000.00 $ 47,000.00 100% Replacement .. . .. . ...... ..... ..... ........ ............ . . ... ... .... ........... ...... . . .... .......... ....... ...... ... .......... :: . . ... . ............ .......... ...... ... ......... Other Expense 366,016.52 366,016.52 .............. ....... .. . . ..... . . ..... . ...... . ..... . ..... FIRE TRUCK REPLACEMENT (RESERVE) 1/01/09 Balance 2009 Contribution 2009 Expenditure 2009 Interest 12/31/09 Balance $ 132,713.00 $ 47,000.00 $ $ $ 179,713.00 Overall fund balance audited 2010 Fund Contribution MFD 2009 Budget vs. Expenditures - Summary (Budget) 2010 Projected Year End Balance 2/2/2010 • • • 0 Mound Fire Department Aerial Truck Repairs A A Problems Date Vendor Work Performed Cost 8/20/08 EAM - Emergency Hydraulic Valve Block, Transmission Filter, hydraulic oil, $10,277.25 Apparatus Suction Tube Strainer, O -Ring, Transmission Fluid Maintenance 12/5/08 EAM - Emergency Contacts AMPS, Air Drier, Hydraulic Swivel, Custom Upholstery, $17,622.08 Victaulic 4" Roustablut Style, Compressor Discharge hose, Compressor Discharge, Hose fittings, Gauge 4 '' /z ", Dome Lamp switch, Gauge 2 'h ", BOW 30x600, Electrical connector, Valve repair kit, Hale Repair kit, horn electric over air solenoid 2/4/09 Dusty's Body Shop Remove /re- install It front w/o trim, handle & S.S. trim, Repair It $3,167.50 wheel opening panel, Remove /re- install rt front w/o trim, handle & S.S. trim, Repair rt wheel opening panel, additional labor sand & buff repairs, Remove /Replace rt front outrigger cover, sandblast Outrigger lower feet, Refinish outrigger lower feet 2/24/09 EAM - Emergency Alternator belts bad, main drain located at bottom of pump leaks $494.86 continually 7/27/09 EAM - Emergency Difficulty getting ladder to raise from bucket, check from jack leg $4,291.23 cylinders for hydraulic leak - possible hose or cylinder, replace passenger side mirror glass, difficulties & unable to get bucket to level, no reverse lights 1/6/10 EAM - Emergency #1 & #2 Discharge valves leaking - 2 ``/2 hale, fails dry vac, tag pump, $1,762.16 drivers side intake gasket leaking, tank fill valve leaking GRAND TOTAL $37 Estimate Reel replacement that is loaded w/ 22 conductor cables $14,577.00 Maintenance & Labor 0 0 0 Mound Fire Department Other Equipment Repair - Account 409 Update 4/13/10 Bud et Actual Variance $ Variance to Prior Year % Variance to Prior Year YR 2005 17,400.00 18,010.60 - 610.60 YR 2006 17,800.00 28,857.87 - 11,057.87 10,847.27 60% YR 2007 18,000.00 32,291.40 - 14,291.40 3,433.53 12% YR 2008 19,200.00 38,011.40 - 18,811.40 5,720.00 18% YR 2009 19,200.00 37,413.78 - 18,213.78 597.62 10% Update 4/13/10 Mound Fire Department Fire Department Grant Summary Year Description of grant items $$ amount Source 2003 Life Safety Trailer for HazMat - $ 39,850 UASI /DEM and Breathing Air fill Compressor fully equipped with decontamination HC Emergency. and detection equipment. Preparedness 2003 800 MHz Radios — mobiles and portables $ 30,800 Metropolitan Radio Board 2004 Federal funds to investigate for cleanup $ 242,500 (T) U.S. Economic of the Western Area Fire Training site $ 24,250 (M) Development Administration 2004 Firefighter Safety — Fill station, Thermal $ 23,185 FEMA Firefighter Imaging Camera, Gas Detector Grant program 2005 Self Contained Breathing Apparatus $ 15,750 UASI /DEM (air tanks and masks for firefighters) HC Emergency Preparedness 2006 Mobile Data Computers (MDC) for $ 15,000 UASI/ Homeland installation in fire apparatus — 3 each Security 2009 Radio Grant for 800 MHz Portable and $ 13,225 Metro Emergency Services Board - PSIC Grant Total $ 152,060 ADDlied for but not funded 2006 Self Contained Breathing Apparatus $ 126,310* Homeland Security (for daily use, rescue, and general response) Assistance to FF Grant program 2007 Self Contained Breathing Apparatus $ 109,543* Homeland Security and Breathing Air fill Compressor Assistance to FF Grant program 1 0 1 Cl *I -46- 10 MFD Grant summary continued 2008/09 Tanker Pumper 2500 gallon Apparatus $ 173,601 * Homeland Security with 1,000 GPM pump Assistance to FF Grant program 2008/09 Training funding assistance — Driving $ 19,130* Homeland Security Fire Officer II, HazMat, Fire Motor Assistance to FF Operator Grant program Currently Working On Year Description of grant items $$ amount Source 2009 Firefighter Training — various classes $ 15,975 Homeland Security FEMA — AFG I • 2009 2010 2006/07 Aerial Ladder Truck Refurbish or Replace $ 225,000 Homeland Security $935,000 FEMA - AFG Gas Detector Monitors and Calibration System $ 3,896 Centerpoint Energy Federal Funding to clean up Western $ 5 — 6 million* U.S. Economic Area Fire Training Academy site Development Ground contamination issues Administration * NOTE: indicates some matching funds required, either 5% or 10% I* 2 -47- INTEGRA TED PERFORMANCE REVIEW Prepared for: Mound Fire Department Relief Association A ao l ... aI ce u rcuI/Ilul l u l - uy — Performance Inception 09 -09 Mid Ca Equities 9.98% Small Cap Equities 1.84% Large Cap Equities 31.59% Bonds /Bond Funds 27.72% Cash and Equivalents 8.95% International 18.07% Specialty1.85% 60% S &P 500 & 40% BC A r. Total 100.00% 22.16% Fixed Inc Special Checking 7209 25.50 %° $ 1,115,259.37 $ 688,357 $ 900,782 $ 146,339.24 $ 1,049,173.61 13.93% ETF Account 7012 17,24 %, $ 398,188,37 $` 200,000 ' $ $', 111,338.96 $ 709,527:33 ' 25.01% MPMG Account 7069 16.76% $ 433,205.23 $ 125,000 $ $ 131,406.93 $ 689,612.16 25.61 %° TD4 Account 7043 15.81°1° $ ' 748,222.09 $; 559,3851 $ 838,000 $ 132,893.86 $ 650,500.95 18.09% DSIP Account 3157 ** 15.69% $ - $ 500,000 $ $ 145,736.70 $ 645,736.70 34.54% General MPMG Account 6988 3,84°f $ 12, %641.16` $ - .$' = $ 28,461.60^ $ 1'58:102.76 21.93�a' General Checking Account 7096 3.31% $ 150,284.63 $ 41,207 $ 91,153 $ 35,977.53 $ 136,316.16 22.04% fixed Income General (1279)*** 1,$3% $ - $- 75,070 '$' - 1 $< 375:36 $ ;, 75,445:36 0.54 °I° FundSource Account - (7997)' 0.00 %° $ 416,459.84 $ - $ (407,460) $ (8,999.84) $ - 2.16% Account Closed 04 -09 l ... aI ce u rcuI/Ilul l u l - uy — Performance Inception 09 -09 * Mid Ca Equities 9.98% Small Cap Equities 1.84% Large Cap Equities 31.59% Bonds /Bond Funds 27.72% Cash and Equivalents 8.95% International 18.07% Specialty1.85% 60% S &P 500 & 40% BC A r. Total 100.00% * s S &P 500 26.46 %° DJIA 30 22.68% Russell MidCap 40.48% Russell 3000 28.34% EAFE 31.78% BC Capital Aggr. Bond 5.93% 60% S &P 500 & 40% BC A r. 18.40% SBI Income Acct. 22.16% Anthony J. Parr, CFP Managing Director - Investments 612 - 340 -4553 anthony.parr@wfadvisors.com j The Parr Financial Group of Wells Fargo Advisors Brian C. McKnight, CFP Senior Vice President- Investments 612 - 340 -4555 brian.mcknight@wfadvisors.com A trusted financial advisor to individuals and institutions Barbara Folz, Practice Admin Manager 612 - 340 -4512 barbara.folz@wfadvisors.com Lesley Fuglister, Practice Admin Manager 612 - 3404545 lesley.fuglister @wfadvisors.com year to date as of December 37, 2009 This report is not the official record of your account. However, it has been prepared to assist you with your investment planning and is for information purposes only. Your Wells Fargo Advisors Client Statement is the official record of your account. Therefore, if there are any discrepancies between this report and your Client Statement, you should rely on the Client Statement and call your local Branch Manager if you have any questions. Transactions requiring tax consideration should be reviewed carefully with your accountant or tax advisor as Wells Fargo Advisors, LLC does not provide tax or legal advice. This is not a substitute for your own records and the year -end 1099 form. Cost data and acquisition dates provided by you are not verified by Wells Fargo Advisors. CAR #0909 -3479 • • • • MEMORANDUM TO: Mayor Mark Hanus Mound City Councilors FROM: Greg Pederson DATE: January 22, 2010 SUBJECT: Joint Cooperative Agreement and Contract for Fire Service In 2007, the City of Mound and the Mound Fire Department entered into a new (3) three year Joint Cooperative Agreement and Contract for Fire Service. This contract was in effect with our fire service partners including the cities of Minnetrista, Spring Park, Minnetonka Beach, and • Shorewood from January 1, 2007 through December 31, 2009. Throughout the term of the 2007 fire contract there have been numerous discussions about the contract at our Fire Commission meetings. Most of the discussions about the fire contract have been related to the Public Safety Facility and specifically the debt service payments or rent (the expenses related to the fire station have been an ongoing point of concern and confusion) Over the past 12 -15 months (in our fire commission meetings) we have made an solid effort to clarify and eliminate further confusion about the fire contract and fire formula as it relates to the Public Safety Facility building costs. We feel the facility payment concerns will be resolved in the future by approving and implementing the proposed new 2010 Fire Contract attached. Enclosed you will find a proposed new 2010 Joint Cooperative Agreement and Contract Fire Service. City staff including City Manager Kandis Hanson, Finance Director Catherine Pausche, City Attorney John Dean and I have worked diligently to clarify and improve this contract. We feel that this new 2010 fire contract is a much better and improved contract. The new contract document clarifies and improves language. It also clarifies the facility lease or rent payments, and provides a fair and equitable solution for involved parties. With your approval, it is my intention to present this new 2010 Fire Services Contract to the Fire Commission on February 3, 2010 for further approval by all parties. is s gP attachments -49- • Mound Fire Department Fire Protection Service Contract — History Brief • For the 20 + years prior to January 1, 2001 the Fire Contract term was a one (1) year agreement that automatically renewed for a one (1) year term. The cost allocation formula was also the same for over 20 years. • On January 1, 2001 based upon our request, the Fire Contract term length was changed to a three (3) year agreement, which also automatically renewed for three years. This new contract used the same cost allocation formula as the previous one year contract. • Formula cost allocation formula On January 1, 2007 the Fire Contract o ( ) was approved and changed by all parties to the contract. The cost allocation formula change was based upon much discussion and consideration by all of the fire contracting cities and recommended by the Fire Commission. The new cost allocation formula and contract were approved by the Mound City Council. The fire contract term length remained at three (3) years with the same automatic renewal feature. • Officially, we are still operating under the 2007 contract, however effective January 1, 2010 we propose a new and improved version of the fire contract that clarifies and better defines the terms of the contract agreement. The language of the old fire contract needed clarification and several corrections to improve the contract. The fire contract term will remain at three (3) years. • There are no significant (or negative) financial ramifications related to the new Fire Contract. There is a new fire formula component added to the public safety facility lease or rent payment that addresses concerns others had about large increases or fluctuations in the building lease /rent. s gP -50- • Mound Fire Department 2009 Goals and Strategic Plan Initiatives (for Fire Chief Greg Pederson) I. Personnel / People Status a. Increase firefighter staff to 40 members b. Complete comprehensive and diversified training of firefighters c. Implementation of "Duty Officers" d. Research feasibility of "Duty Crew" e. Maintain volunteer firefighter commitment f. Reorganize department officers structure II. Budget and Financial Management a. Develop a long term financial plan for existing station #1 b. Complete a cost analysis & budget for Minnetrista fire station c. Develop a operations /financial plan for a two fire station operation d. Evaluate existing Fire Contract Formula and change as needed e. Restructure and implement New Fire Contract formula for all f. Pursue other funding options i.e. grant money *ablish hourly rates for firefighter staff and apparatus III. Equipment and Supplies Completed in 2004105 - ongoing Completed in 2005 - ongoing Implemented part -time 2005 Incomplete - not implemented yet Completed, but ongoing Completed in 2004/05 Completed for Station #1 in 2005 Completed proposal Minnetrista 2006 Completed for Station #1 & 2 in 2006 Completed in 2006 Completed in 2006 Ongoing work in progress (grant list) Completed in 2006 a. Rethink, plan and budget apparatus replacement program Revised plan in 2006 - Major Progress 2009 b. Implement apparatus replacement plan cost saving initiatives Implemented in 2006 with more in 2009 b. Continue to do annual replacement of essential safety equipment Ongoing c. Implement purchasing and cost control plan Implemented in 2005 - delegated some responsibilties IV. Facility a. Maintain existing facility b. Consider other facility needs i.e. Minnetrista c. Work on final closeout of Mound P.S. Facility project V. Fire Prevention and Inspection a. Implement comprehensive fire inspection program b. Focus on Fire Code Services and Enforcement Strategic Plan Initiative - Fire Commission updated December 2009 • Ongoing Project Plan /Budget complete 2006 Project complete - slightly under budget - closeout pending Started in 2005, strong active program Ongoing suucessful project -51- Mound Fire Department 2009 Annual Report Challenges for the Future City Manager Kandis Hanson has asked all department heads to identify and communicate our most important challenges and the obstacles we foresee in the future. A summary of those challenges are as follows: Firefighter Staffing Issues: • Recruiting and retention of firefighters over the long term due to the extensive training required and the substantial time commitment involved. • The anticipated loss of many of our experienced firefighters that are the department leaders /officers and then challenge of replacing them with competent officers and firefighters (the low number of actual fires makes on the job experience harder to get). • Effectively managing each firefighter's time commitment to maintain our staff, possibly through duty crews or a duty officers program (changing our existing response system). • Making sure the MFD Relief Association Pension Plan is current, fair, and equitable so it meets department needs and goals long term, plus maintains staff. 0 Financial and Budget Issues: • Effectively managing our budget and finances by keeping it at a level that meets the city and fire commission goals, while finding a budget friendly formula to maintain or improve our department operations. • • Increasing our annual contribution to better fund the Apparatus Replacement Plan, primary issue is replacing the 1980 Sutphen Aerial Ladder Truck. • Implementing any type of cost control measures that limit the facility cost increases, possibly refinance bonds to lower payments if it makes financial sense. Apparatus and Equipment: • Continue to reconfigure our apparatus by replacing old and inefficient fire apparatus to reduce both operating costs and maintenance costs. • Replace our Old 1980 Aerial Sutphen Ladder with something more user friendly. Other Important Issues: • Maintain all Fire Service Protection Contracts and existing fire service area. • Expand our Fire District (Minnetrista) and operate additional fire stations as appropriate. • Enforce Fire Codes and continue to improve levels of fire inspections services. • -52- • MN FIRE RESJ*/ RUN FOR 1998 - 2009 • FIRE / EMS CALL SUMMARY I w Year I Reporting Departments I MFD Calls I MN Fire Department's With More I MN Fire Departments With Less 1 1998 670 807 35 634 6% 1999 672 729 43 628 7% 2000 697 630 45 651 7% 2001 705 614 50 654 8% 2002 728 540 56 671 8% 2003 715 534 49 665 8% 2004 730 443 46 683 7% 2005 751 409 72 678 10% 2006 757 530 57 699 8% 2007 746 559 58 687 9% 2008 741 533 61 679 9% Q11• Note: 1. The Mound Fire Department emergency response level ranks in the top 8 -9% of all reporting Minnesota Fire Departments (over the last three years). 2. This includes all types of fire departments Information Source: Fire in Minnesota - Fire Reporting System 2000, State Fire Marshal Division MN Fire Rescue - Runs 1998 to 2008 - Data Fire Service (Statistics) 2/28/2002 Updated 11/16109 Number of Volunteers in U.S. 1983 -2008 950,000 900,000 850,000 A 800,000 750,000 --!— Vol unteers 700,000 R - � 1 9 D 0 (b qJ' 0 0 0� cgl 0 (:!� 0 cbb 0'l 0 0 0 5� IZ 1' 0 O OD OHO OA O% 4 4 4 4 '6 '65 f,) 4O 4O Year • • • r7 LJ Pension Plan — Fund General Fund (Severance Plan) r� U Mound Volunteer Fire Department Relief Association January 2008 Pension Plan Study Considerations Existing Plan Highlights Study Options and Considerations Vesting minimum of 10 years No benefit until 10 years vesting Funds distributed based on formula Proceeds/ benefits/ are taxable income Special Fund Vesting minimum of 20 years (Monthly Plan) No pension benefit for less than 20 years No financial benefits beyond 20 yrs. Monthly benefit of $585 at the age 50 yrs For Non - Retirees No mandatory retirement age (Not receiving benefits) No maximum years of service defined No break in firefighter service allowed Surviving spouse and family benefits Monthly $585 benefit for participants For Current Retirees Ongoing increases to all retired participants (Receiving benefits) Equal $$ value increases to all retired Surviving spouse benefits (Reference Eden Prairie Fire Relief Association Plan attachment) 1). Vesting minimum of 5 years 2). Can we combine with the Special Fund as a new plan? 3). Can fund $$ be rolled over to a new pension plan? 4). Can proceeds be rolled into tax free account plan? • 1). Change this as listed below 2). Vesting minimum of 10 years (with prorated benefit schedule) 3). Provide equal financial /pension benefits beyond 20 years of service 4). Offer retiree either a Monthly or Lump Sum benefit choice 5). Establish a mandatory firefighter retirement age. 6). Establish pension benefit "years of service" maximums 7). Allow for a break in service provision (with rules and guidelines) 8). Evaluate other available or better options for spouse /family benefits 1). Grandfather in the current retirees to insure benefit increases 2). Phase out the $$ increases as current retirees leave the plan 3). Establish a schedule of % increases for retirees on monthly plan 4). Evaluate other available or better options for spouse benefits GSP 01/29/08 MOUND FIRE DEPARTMENT (30) YEAR FINANCIAL SUMMARY Year Operating Budget Operations - Actual Total Wages* Pension Contribution 2% Contribution Pension Benefit 1973 $ 9,743.00 $ 11,514.00 $ 70.00 1974 $ 7,410.00 $ 15,090.00 $ 70.00 1975 $ 10,589.00 $ 12,443.00 $ 70.00 1976 $ 13,419.00 $ 13,782.00 $ 120.00 1977 . . . . . . $ 13,158,00 $ 16,300.00 $ 120.00 1978 $ 77,648.00 gs '`:•.':.•.fp $ 20,808.00 $ 18,901.00 $ 145.00 1979 $ 77,916.00 . . . . . . . . :, 25,421.00 $ 21,689.00 $ 145.00 1980 $ 107,119.00 . . . . . . . . . . ....... $ 9,780.00 $ 23,906.00 $ 185.00 1981 $ 107,950.00 $ 107,950.00 41,271.00 $ 26,244.00 $ 185.00 1982 $ 120,050.00 ..... ...... 32,880.00 $ 35,495.00 $ 210.00 1983 $ 108,227.00 ........ ... 33,000.00 $ 29,974.00 21 0.00 1984 $ 119,250.00 . . . . . . . . . . . $ 36,300.00 $ 31,249.00 $ 240.00 1985 $ 134,650.00 $ 130,653.00 39,930.00 $ 34,021.00 $ 250.00 1986 $ 142,802.00 $ 145, 110.00 '. >'.`. $ 43,923.00 $ 39,620.00 $ 290.00 1987 $ 204,980.00 48,325.00 $ 42,194.00 $ 290 .00 1988 $ 221,430.00 $ 176,222.00 53,147.00 $ 44,857.00 $ 350.00 1989 $ 229,230.00 $ 189,881.00 $ 58,462.00 $ 45,818.00 $ 350.00 1990 $ 234,290.00 $ 429,971.00 64,308.00 $ 46,024.00 $ 395.00 1991 $ 256,000.00 $ 212,638.00 #•.`:... 66,880.00 $ 46,041.00 $ 395.00 1992 $ 251,600.00 $ 226,452.00 69,556.00 $ 45,725.00 $ 395.00 1993 $ 274,200.00 $ 252,774.00 73,338.00 $ 42,738.00 $ 425.00 1994 $ 270,190.00 $ 225,030.00 MEMO 75,231,00 $ 45,541.00 $ 425.00 1995 $ 285,330.00 80,500.00 $ 48,685.00 $ 425.00 1996 . .... 85,394.00 $ 64,108.00 $ 460.00 1997 $ 335,320.00 $ 309,311.00 . . . . . . . . . . . . . . . . . . . . . ................ .... . . . . . . . $ 150,699.00 $ 88,810.00 $ 63,412.00 $ 460.00 1998 $ 360,220.00 $ 321,551.00 $ 149,445.00 $ 92,360.00 $ 64,712.00 $ 510.00 1999 $ 409,680.00 $ 378,836.00 $ 143, 9 00.00 $ 96,050.00 $ 66,128.00 $ 510.00 2000 $ 411,520.00 $ 382,942.00 $ 135,095.00 $ 101,810.00 $ 68,798.00 510.00 2001 $ 415,850.00 $ 402,144.82 $ 150,911.83 $ 105,880.00 $ 73,287.00 2002 $ 439,470 ........................... ,* ." . .."." , .".".".".".".".".".".".' l.".".".".".".".".".'I.".".".".'I . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . l*..*.* 97,950.00 $ 109,060.00 $ 84,816.00 2003 $ 464,460.00 $ 102,230.00 $ 112,340.00 $ 106,833.00 2004 $ 451,410.00 X 91,031.00 $ 115,700.00 $ 140,838.00 2005 $ 479,300.00 ......... ........... . 118,600.00 $ 108,098.00 . . . . . . 2006 $ 507,930.00 122,160.00 $ 116,354.00 X. . 2007 $ 539,730.00 :X .. .. ....... 125,830.00 $ 102,730.0 2008 129,600.00 $ 86,739.00 2009 133,500.00 $ 75,889.0 2010 137,500.00 $ 81,300.0 2011 9.50 2012 9.75 2013 10.00 2014 10.50 MFD 30 Year Financial Summary - Budget Financial 0 41112010 • • Y • 5341 MAYWOOD ROAD CITY OF MOUND MOUND, MN 55364 -1687 op PH: (952) 472 -0600 FAX: (952) 472-0620 WEB: www.cityofmound.com DATE: March 10, 2010 TO: Mayor and City Council FROM: Bonnie Ritter, City Clerk SUBJECT: 2009 Department Annual Report PERSONNEL The City Clerk's Department consists of myself and Jodi Rahn. I have been with the City since February of 2001 and Jodi, Reception ist/Administrative Assistant, has been with the City since October of 1997. Jodi's duties at City Hall have changed over the past year. Effective in April of 2009, • she works Y2 days at the Police Department as an Administrative Assistant. She still prepares the City Council and HRA packets, performs the administrative side of the Cemetery, and is a key person in administrating elections. She also continues to scan city records on the Laser Fiche system as time permits. She also is the "go -to" person for all departments on special projects. HRA PROCEEDINGS There were 23 regular meetings of the Housing and Redevelopment Authority in 2009. There were 19 resolutions adopted by the HRA during the 2009 meetings. CITY COUNCIL PROCEEDINGS The City Council held 23 regular and 7 special meetings in 2009, compared to 23 regular and 4 specials in 2008. One of the special meetings was to discuss the LGN federal lobbying proposal, two for Docks and Commons Commission interviews, one for a joint meeting with the Planning Commission, one was for Department Head Annual Reports, one for consideration of a variance request, and one for the continued consideration of the 2008 Street Project and the CSAH 15/110 Project. RESOLUTIONS AND ORDINANCES In 2009 the Council adopted 109 resolutions. The resolutions that have to do with land use must be certified and recorded with Hennepin County. There were 9 ordinances passed, published and effective in 2009, with the City Code updated accordingly. I draft these resolutions and ordinances and forward them to the City Attorney for review. The • 7 ® printed on recycled paper -57- City recognizes significant savings with this practice, rather than having the City • Attorney take the time to draft these documents. CITY CODE The recodification of the City Code was a three -year project, ending in December of 2009. The recodification consisted of basically a reorganization and clean -up of the 1987 code. It was long overdue and a good thing to finally have behind me. I will be updating the code when the Council adopts an ordinance. MuniCode Corporation, who administrated our recodification, offers this service for about $4000 /year, so it was decided that I would do it. When the Council adopts an ordinance, the appropriate code pages will be amended and distributed for placement in the new code books, and the code will be amended on the website. GENERAL LICENSES AND PERMITS The City issued 43 General licenses and /or permits in 2009 compared with 40 in 2008. General Licenses and /or Permits generated $17,545 in revenues in 2009, compared to $18,055 in 2008. Of these permits, our on -sale liquor licenses generated $11,400, garbage collectors $1800, and tree trimmers $3,000. The remainder came from public gathering, transient merchant, temporary on -sale liquor, and fireworks permits. RECORD MANAGEMENT Jodi and I continue to scan city records and transfer data to CDs for permanent storage and retrieval, with the use of the Laser Fiche system. This will be an ongoing project • that is worked on when we have time, and because of the time constraints it has been slow -going as of late. It is already very evident that this system will be very effective and time efficient in retrieving information and documents. When scanning is complete, finding a document or information will be performed by performing a "search" on the computer, rather than paging through hundreds of files and documents The historic records that were previously transferred to microfiche have now been converted to Laser Fiche. The original records were retrieved from the MN Historical Society and transferred to CD's so that the obsolete microfiche equipment can be disposed of. There is much more we can do with this system by adding software, etc., and we hope to be able to do this in the future. Many cities that use Laser Fiche utilize the Agenda Manager software. Agenda packets can then be produced in paperless format, making the whole packet accessible through our website. This feature eliminates the need to print paper agenda packets, giving the Councilmembers plus members of the public the ability access the packet information electronically. This is something to think about for the future. CEMETERY Revenue from grave site purchases and site locations totaled $4000 in 2009, compared to $4,100 in 2008. Seven grave sites sold in 2009, compared with eight in 2008. • -58- • Jim Fackler is in charge of the cemetery maintenance and actual location of grave sites for burials and monument placement. Jodi takes care of the cemetery records and updating of the cemetery maps. The following locations were performed in 2009; 6 for casket burials, 8 for urn burials, and 7 for monument placements. ELECTIONS No action in the election department in 2009, but the 2010 elections will be upon us before we know it — hopefully even sooner than 2008, with the proposal that the Primary take place in August. DEVELOPMENT AGREEMENTS There were no new development agreements executed in 2008. NEWSLETTER There were four issues of the City Contact sent out in 2009. The newsletter is now being published in- house, which creates cost savings of about $700 /issue. We now send our print -ready publication via CD -ROM to the printer and after the proof is approved the printer delivers the newsletters to the post office. We pay approximately $2,000 per issue for the newsletter, with about $1200 of this being printing costs and approximately $800 for postage. 2008 STREET RECONSTRUCTION PROJECT There were 213 parcels included in the 2008 Street Project. The assessment hearing is for the project took place on October 13 2009, with action deferred until October 19 The assessment per unit was $3,911.02, compared to $3,217.84 for the 2007 project. Property owners had 30 days from the adoption of the assessment to prepay in full or in part, with no interest. After that time interest was charged from the day of the assessment hearing and the assessment was certified to Hennepin County for collection with the property taxes. The total assessable amount of the 2008 Street Project was $789,431.43. Of this total assessment, $205,813.62 was prepaid and $583,617.81 was certified to Hennepin County for collection over 15 years at 6% interest. For comparison, the 2007 Street Project assessable amount was $1,094,342.56, with $286,826.83 being prepaid and $807,515.73 certified to Hennepin County for collection over 15 years at 8% interest. I know there was some discussion when setting interest rates about how the interest rate may influence the prepaid percentages. With 8% interest for the 2007 project, 26.2% prepaid, and with a 6% interest for the 2008 project, 26.1 % prepaid. 2009 STREET RECONSTRUCTION PROJECTS There are 208 parcels included in the 2009 Street Reconstruction Project. The assessment hearing for the 2009 project will be held in the Summer /Fall of 2010 with the assessments that are not prepaid certified to Hennepin County for collection starting in 2011. The engineer's estimate for the assessment per unit for this project is • $4,569.00. -59- There are 145 parcels on the Island View Drive 2009 Project. The engineer's estimate • for assessment per unit for Island View Drive is $5,100 for the area NE of Clyde (bituminous) and $5,300 for the area SW of Clyde (concrete). PREVIOUS YEARS' STREET RECONSTRUCTION PROJECTS I continue, throughout the year, to collect assessments from previous years' street projects. These payments are to pay off the balance of the assessment, usually due to change of ownership of the property involved. Also included in this process is filling out the assessment searches done by realtors /closing companies prior to closings. The number of these has really picked up over last year. OTHER ASSESSMENTS I also certify other assessments to Hennepin County. These include miscellaneous property improvement assessments (usually mowing of vacant property), Council ordered abatement costs, and delinquent sewer and water bills. In 2009 there was $216,012.05 certified to the County for delinquent sewer and water bills, to be collected on the 2010 taxes. This compares to $218,072.77 in 2008. INFORMATION RESOURCE Again, the calls that Jodi and I receive from the general public are too numerous to economically track. The questions we get cover a wide range of topics. I am a source of information not only for the public, but for other Department Heads, • Consultants and Staff. The efficiency of our internal information retrieval will only increase with more and more records being put on our Laser Fiche system. L` -60- PH: (952) 472 -0600 FAX: (952) 472-0620 WEB: www.cityotmound.corn April 15, 2010 MAYOR, CITY COUNCIL AND CITY MANAGER I have enclosed the 2009 Annual Report of the Finance Department. The purpose of the report is to point out the financial condition of the City of Mound to the City Council, which sets the policies that direct the future of the City. Financial recaps are also included that provide you with a preliminary summary of the City of Mound's financial position for 2009. • The year 2009 was a productive one in the Finance Department. I would like to thank the staff of the department, Joyce, Collette, Sue and Heidi, for their hard work during this challenging year. We took on the management of the public housing, and now split the payroll clerk position half time with the housing coordinator position at Indian Knoll Manor. We also took on the accounting for Indian Knoll and more coverage duties as a result of the receptionist position being split with the Police Department. We have managed the challenges associated with these changes and look forward to preparing ourselves to take advantage of similar opportunities in the future. Respectfully, Catherine Pausche • Finance Director printed on recycled paper -61- FINANCE DEPARTMENT • My first responsibility is the supervision of the Finance Staff. The current personnel in the Finance Department are as follows: NAME TITLE STARTING DATE Sue Schwalbe Accounts Payable Clerk 09 -15 -99 Collette Roberts Accounting Clerk/Payroll 03 -12 -99 Joyce Nelson Utility Billing Clerk 05 -31 -77 Heidi Tumberg Accountant 08 -01 -08 Catherine Pausche Finance Director 09 -01 -06 Accomplishments of 2009 • Utility Billing: Over 3,600 residential accounts that are billed quarterly on a cyclical basis (the City is divided into three billing districts), 140 commercial accounts that are billed monthly. • In 2009 more than 3,142 checks were issued which totaled $13.2 million. Wire transfers and electronic payments totaled $45.4 million. • In 2009 more than 1,800 payroll checks were issued to employees and more than 400 were issued for other payroll related purposes for a total of more than $5.5 million. • • Managed the bi- weekly, single -sort recycling program provided by Allied Waste. Participation increased from 36% in January of 2007 to 62% in January of 2008 as a result of the switch to single -sort with the new containers. • Renewed the contract with NRG for leaf -drop off and held a fall and spring clean up day. • Annual Levy and Budget: Developed creative solutions to respond to the weaker economy and introduction of levy limits imposed by the State which resulted in a 4.9% decrease in General Fund expenditures for 2010. Implemented tiered water rates as required by the State and took the utility rate study in house so that it can remain a living document and be incorporated into our long -term financial planning. • Financial Audit: In June of 2009 we presented to the City Council the Comprehensive Annual Financial Report for the year ended December 31, 2008. The report is required by the State. It was audited by the Independent Auditor and it was submitted to the State Auditor, to other Federal and State Agencies, to the County and the local school district, and a summary was published in the local newspaper. Again, we received the Certificate of Achievement for Excellence in Financial Reporting (21 st consecutive year). • Municipal Bond sales: In 2009, the City sold bonds in the amount of $9.425 million for the 2009 street reconstruction, Water, Sewer and Storm Improvements, and for Police, Street, Parks, Fire and IT Equipment. Moody's Investor Services upgraded our rating to AA/Stable. Other issues related to bonds included analyzing the special assessment prepays and the impact on the debt levy and debt service and refunding the temporary tax increment bonds for $4.02M. • 2 -62- • Union Negotiations: Assisted the City Manager with union negotiations for the three bargaining units (Public Work, Police Officers, and Police Supervisors) for 2010 -2011 contracts, the negotiations of which are still in process. • • Consolidated the City Hall and Public Safety Servers to a single network for which the Public Works building accesses by VPN. Upgraded many PCs as a result. Implemented a new color copier /scanner /printer /fax at City Hall. Implemented Power Plan software that will be used for the 2011 budget and long term financial planning for years to come. • Brought management of Indian Knoll Manor in- house. The Finance Director serves as Housing Director, the Payroll /GL clerk servers as Housing Coordinator. We managed over $150k in capital improvements with the major assistance of Public Works, who dedicates Lee Giese one day a week and more if time allows. Many units were upgraded, 16 vacancies were filled, many HUD reporting issues were addressed and the accounting for the operation was brought in house. This was a significant undertaking! Efforts underway • Budget — begin the planning for 2011 that will include utilizing Power Plan and seasonalizing our budgets to make them a better management tool. As always, a staffing assessment and prioritization of programs and services will be performed. • Continue to formalize our procedures for Public Housing and establish our priorities and long -term financial and capital plans. Work on resident retention, satisfaction and safety. • Continue to address infrastructure /network issues and work on long -term plan for remote /mobile access and extending the network to all of our sites. Expand the use of Laserfiche to facilitate records retention requirements /data management and security, • make data more accessible to the internal and external users, including making it available on the City website. • Union Negotiations: complete the 2010 -2011 contract negotiations. • Implement the audit requirement to document specific internal accounting controls and internal controls in general. Create /update the Accounting Policies and Procedures manual to ensure adequate communication and compliance with key policies and procedures. • Increase control over Capital Assets by improving documentation, taking inventory and properly accounting for additions and disposals. • Coordinate the assembly of TIF documentation and ensure compliance with State statutes and optimization of the use of funds. Work with Planning Department and City Attorney to ensure proper execution of our developer agreement. • Coordinate the calculation of the Arbitrage Rebate for the 2005 Bond Issues by June, 2010. Goals /needs of the department: • Personnel: Continue cross training efforts and realign duties to increase our capacity to do more and be in a position to handle changes and opportunities that come our way. Reward initiative and accountability and measure our productivity, accuracy and efficiency. • Training: Conference and training dollars at a level that will enable us to get the education • and skills necessary to perform our jobs in an efficient and professional way. We are looking at alternatives for Microsoft Office Applications training to give people the skills -63- to do their job more effectively and efficiently. Additionally, the Housing Director and Coordinator will do regular trainings to get up to speed on managing public housing. Technology: Centralize administration of the network and ensure data is protected and needs are met. Develop the PC replacement plan, automate processes where possible and • take advantage of new technologies to improve efficiency, information and analysis. Laserfiche and website redesign will be key areas for investment in 2011. CONCLUSION Thank you for having given me the opportunity to point out the areas of special note in the operation of the Finance Department. Thanks to a dedicated staff and the resources made available by the City, the year 2009 was a successful one for the City in the financial area. The direction provided by you, the City Council and the City Manager, made it happen. • • 4 -64- a u7 , City of Mound PRELIMINARY 2009 Results As of April 15, 2010 * ** Variance - Favorable (Unfavorable) * ** Total Revenues Total Salaries & Benefits Total Supplies Total Professional Services Total Phone, Postage & Print Total General Liability Insurance Total Utilities Total Repairs & Maint Total Other Contracts & Rental Total Deprec & Capital Exp Total Misc, Interest & Other Total Transfers Total Expenditures Incr(Decr) Net Assets Undesig Fund Bal, January 1, 20xx Undesig Fund Bal, December 31, 20xx Undesignated Fund Balance as %of Exp Cash Balance 3/31/10 • \ \Moundserver \shareddata \FINANCE DEPT\REPORTS \Annual Reports & Forecasts \Council Forecast 032310 General Fund Area Fire Services Dock Fund HRA / Parking Deck Fund 101 Fund 222 Fund 280 Fund 285 2009 2009 Variance 2009 2009 Variance 2009 2009 Variance 2009 2009 Variance Budget Prelim Act Bud v Act Budget Prelim Act Bud v Act Budget Prelim Act Bud v Act Budget Prelim Act Bud v Act 5,451,405 5,454,628 3,223 1,038,710 1,425,085 386,375 167,450 174,667 7,217 0 0 0 3,241,360 3,149,223 92,137 472,480 531,909 (59,429) 80,378 79,977 401 0 0 0 264,510 275,012 (10,502) 42,840 62,837 (19,997) 10,870 6,308 4,562 2,800 2,317 483 354,175 260,687 93,488 29,955 33,731 (3,776) 13,156 10,325 2,831 1,500 134 1,366 75,450 65,716 9,734 11,450 7,380 4,070 1,800 3,564 (1,764) 0 0 0 56,461 50,454 6,007 21,122 18,784 2,338 6,994 6,704 290 5,150 5,160 (10) 156,483 142,447 14,036 22,800 20,366 2,434 7,552 8,358 (806) 15,500 18,955 (3,455) 152,510 146,095 6,415 24,700 69,024 (44,324) 4,120 4,120 0 3,800 5,006 (1,206) 391,625 388,306 3,319 311,056 306,707 4,349 16,000 11,825 4,175 5,500 182 5,318 206,590 211,606 (5,016) 74,187 296,983 (222,796) 73,060 51,443 21,617 0 0 0 197,452 184,083 13,369 28,120 24,723 3,397 7,700 6,274 1,426 1,000 139 861 506,453 553,912 (47,459) 0 0 0 0 0 0 0 48,752 (48,752) 5,603,069 5,427,541 175,528 1,038,710 1,372,444 - 333,734 221,630 188,898 32,732 35,250 80,645 - 45,395 (151,664) 27,087 178,751 0 52,641 52,641 (54,180) (14,231) 39,949 (35,250) (80,645) (45,395) 1,189,698 132,713 239,736 110,475 1,216,785 185,354 225,505 29,830 22.40 1,231,489 437,823 382,221 23,531 \ \Moundserver \shareddata \FINANCE DEPT\REPORTS \Annual Reports & Forecasts \Council Forecast 032310 I i . am City of Mound PRELIMINARY 2009 Results As of April 15, 2010 * ** Variance - Favorable (Unfavorable) * ** Total Revenues Total Salaries & Benefits Total Supplies /Cost of Goods Sold Total Professional Services Total Phone, Postage & Print Total General Liability Insurance Total Utilities Total Repairs & Maint Total Other Contracts & Rental Total Deprec & Capital Exp Total Misc, Interest & Other Total Transfers a Total Expenditures Incr(Decr) Net Assets Fund Bal, January 1, 20xx Utility Funds Recycling Liquor Store Fund HRA Public Housing Water Sewer Storm Fund 670 Fund 609 Fund 680 2009 2009 Variance 2009 2009 Variance 2009 2009 Variance 2009 2009 Variance Budget Prelim Act Bud v Act Budget Prelim Act Bud v Act Budget Prelim Act Bud v Act Budget Prelim Act Bud v Act 2,884,525 2,645,683 (238,842) 231,700 235,379 3,679 2,860,001 2,751,452 (108,549) 370,878 391,719 20,841 800,210 829,666 (29,456) 29,070 19,838 9,232 282,101 296,240 (14,139) 58,677 53,281 5,396 137,150 137,107 43 350 9 341 2,126,501 2,065,444 61,057 25,150 24,858 292 104,283 179,944 (75,661) 9,228 9,170 58 47,258 54,715 (7,457) 41,200 40,974 226 26,100 25,902 198 150 0 150 9,900 13,994 (4,094) 5,500 4,837 663 34,303 32,348 1,955 0 0 0 30,224 27,554 2,670 7,900 7,716 184 695,541 685,454 10,087 0 0 0 21,900 19,787 2,113 71,500 68,401 3,099 47,500 79,777 (32,277) 0 0 0 8,000 7,754 246 20,500 43,660 (23,160) 72,000 67,481 4,519 188,000 184,592 3,408 17,000 21,181 (4,181) 16,000 15,685 315 839,124 826,553 12,571 0 0 0 40,000 35,313 4,687 0 68,153 (68,153) 498,122 608,288 (110,166) 14,650 18,315 (3,665) 120,400 117,179 3,221 7,487 5,943 1,544 0 139,534 (139,534) 0 0 0 0 0 0 0 0 0 3,254,333 3,612,054 (357,721) 241,448 231,924 9,524 2,703,284 2,659,161 44,123 253,914 333,508 (79,594) (369,808) (966,371) (596,563) (9,748) 3,455 13,203 156,717 92,291 (64,426) 116,964 58,211 (58,753) 6,613,327 27,310 171,887 384,810 5,646,956 30,765 264,178 443,021 1,380,435 27,310 (261,868) (4,971) 1,054,187 (11,824) (584,969) 43,227 0 0 Fund Bat, December 31, 20xx Unrestricted Net Assets as of 12/31/08 Cash Balance 3/31/10 0 0 Kerr 4&.* City of Mound PRELIMINARY 2009 Results 81 O EA SI T N f As of April 13, 2010 GENERALFUND 2009 2009 Variance 2010 Budget Prelim Act Bud v Act Budget * ** Variance - Favorable (Unfavorable) * ** I � Total Taxes 4,015,495 3,956,429 (59,066) 3,861,424 Franchise Fees 298,000 330,277 32,277 397,000 Licenses and Permits 164,800 115,203 (49,597) 117,200 Intergovernmental 122,060 156,113 34,053 122,060 Charges for Services 211,650 189,418 (22,232) 272,650 Fines and Forfeitures 80,000 63,370 (16,630) 60,000 Transfers & Bonds 157,000 161,205 4,205 105,625 Other Revenue 402,400 482,612 80,212 393,920 IKM Maint +$22K, IKM Admin +$30K, DTF Reimb +$37K, LCMIT Dividend +$25, Total Revenues 5,451,405 5,454,627 3,222 5,329,879 Excel Rebate +$6K, Interest Earn ($49K) Total Salaries & Benefits 3,241,360 3,149,223 92,137 3,030,329 Total Supplies 264,510 275,012 (10,502) 273,510 Total Professional Services 354,175 260,687 93,488 286,789 Building Inspections, Prof Svc Total Phone, Postage & Print 75,450 65,716 9,734 73,620 Total General Liability Insurance 56,461 50,454 6,007 53,652 Total Utilities 156,483 142,447 14,036 167,260 Total Repairs & Maint 152,510 146,095 6,415 125,400 Total Other Contracts & Rental 391,625 388,306 3,319 407,280 Total Deprec & Capital Exp 206,590 211,606 (5,016) 181,750 Total Misc, Interest & Other 197,452 184,083 13,369 210,440 Gillespie Center, Prisoners Total Transfers 506,453 553,912 (47,459) 518,600 Prof Svc Street Light Repi Total Expenditures 5,603,069 5,427,541 175,528 5,328,630 Incr(Decr) Net Assets (151,664) 27,086 178,750 1,249 Undesig Fund Bal, January 1, 20xx 1,189,698 1,216,784 Undesig Fund Bal, December 31, 20xx 1,216,784 1,218,033 Undesignated Fund Balance as % of Exp 22.4% 22.9% Unreserved Fund Balance as % of Exp 30.8% �L 4 7 .,.� City of Mound PRELIMINARY 2009 Results As of April 13, 2010 GENERAL FUND Total Taxes Franchise Fees � Licenses and Permits Intergovernmental Charges for Services Fines and Forfeitures Transfers & Bonds Other Revenue Total Revenues Department Expenditures: Council Promotions City Manager /Clerk Elections Finance Assessing Legal City Hall Building & Srvcs Computer Police Emergency Prepardeness Planning /Inspections Streets Parks Park Dedication Fees Cemetery Recreation Transfers Cable TV Contingencies Total Expenditures Incr(Decr) Net Assets Undesig Fund Bal, January 1, 20xx Undesig Fund Bal, December 31, 20xx Undesignated Fund Balance as % of Exp Unreserved Fund Balance as % of Exp 6 is verve • 2009 2009 Variance 2010 Budget Prelim Act Bud v Act Budget * ** Variance - Favorable (Unfavorable) * ** 4,015,495 3,956,429 (59,066) 3,861,424 298,000 330,277 32,277 397,000 164,800 115,203 (49,597) 117,200 122,060 156,113 34,053 122,060 211,650 189,418 (22,232) 272,650 80,000 63,370 (16,630) 60,000 157,000 161,205 4,205 105,625 402,400 482,612 80,212 393,920 5,451,405 5,454,627 3,222 5,329,879 81,336 80,552 784 79,991 73,848 17,400 56,448 71,500 356,533 331,314 25,219 327,779 3,155 1,059 2,096 18,375 345,337 314,014 31,323 326,745 96,650 92,888 3,762 95,650 • 140,533 128,488 12,045 140,506 115,604 104,770 10,834 102,845 62,800 45,872 16,928 29,800 2,002,880 1,968,437 34,443 1,883,189 7,600 13,925 (6,325) 25,950 439,466 316,924 122,542 363,099 849,994 775,663 74,331 714,551 502,830 513,268 (10,438) 536,882 0 28,978 (28,978) 0 11,123 8,759 2,364 11,239 5,000 4,999 1 5,000 506,453 553,907 (47,454) 518,600 45,230 45,151 79 45,230 (43,300) 81,170 (124,470) 31,700 5,603,072 5,427,538 175,534 5,328,631 (151,667) 27,089 (172,312) 1,248 1,189,698 1,216,787 1,216,787 1,218,035 22.4% 22.9% • 30.8% -68- I � • CITY OF MOUND SPECIAL LEVIES / DEBT LEVIES Total $780K $3.255M $1.785M Equip 2001C GO 2003 GO 2004 GO Certificates Impr Impr Impr 2005-2011 . CR15 $1.765M 2005 GO Impr $1.6M 2006 GO Impr $2.725M 2007 GO Impr $1.675M 2008 GO Impr $3.94M 2009 GO Impr • $3M Total 2011 GO GO Impr Improv 2001 -2011 $255K $2.3M $4.1M 2001A 2003C 2009D GO TIF Judgement GO Tax Ina Dump Bonds Pub Sfty Lease Payments Fire Relief • Collect Yr Fd 351 Fd 366 Fd 367 Fd 368 Fd 369 Fd 361 Fd 362 Fd 363 Fd 3XX Fd 360 Fd 355 Fd 101 Fd 101 1 Total % Ch 2008 292,369 71,500 143,162 17,700 65,100 29,252 116,270 0 0 0 442,984 20,500 146,717 0 366,860 72,120 1,341,550 2009 216,873 69,700 181,854 0 72,100 31,520 116,385 150,700 0 0 622,259 20,100 146,717 0 366,860 74,404 1,447,213 8% 2010 295,716 50,000 120,000 85,000 70,000 58,000 128,000 63,000 172,344 0 746,344 19,600 45,000 0 392,789 76,030 1,575,479 9% 2011 165,450 60,000 180,000 160,000 75,000 58,000 128,000 63,000 136,000 0 860,000 19,200 45,000 120,349 392,789 78,311 1,681,099 7% 2012 140,950 60,000 196,000 160,000 85,000 58,000 128,000 63,000 135,900 94,050 979,950 18,700 45,000 125,048 392,789 80,660 1,783,097 6% 2013 98,100 40,000 196,000 160,000 85,000 58,000 128,000 63,000 140,900 94,050 964,950 23,500 45,000 127,608 392,789 83,080 1,735,027 -3% 2014 97,050 40,000 196,000 160,000 85,000 58,000 128,000 63,000 139,200 94,050 963,250 22,700 45,000 157,771 380,000 85,572 1,751,343 1% 2015 61,000 40,000 180,000 120,000 85,000 62,000 128,000 63,000 137,400 94,050 909,450 21,900 45,000 156,713 380,000 88,140 1,662,203 -5% 2016 36,000 40,000 170,000 120,000 85,000 62,000 128,000 63,000 140,600 94,050 902,650 21,200 45,000 151,120 380,000 90,784 1,626,754 -2% 2017 0 40,000 170,000 120,000 85,000 62,000 128,000 63,000 138,300 94,050 900,350 20,400 45,000 138,535 380,000 93,507 1,577,792 -3% 2018 0 40,000 170,000 120,000 85,000 62,000 150,000 63,000 135,800 94,050 919,850 19,500 45,000 130,427 380,000 96,313 1,591,090 1% 2019 0 40,000 170,000 120,000 85,000 62,000 150,000 63,000 137,200 94,050 921,250 18,700 45,000 115,139 380,000 99,202 1,579,291 -1% 2020 0 40,000 170,000 120,000 85,000 62,000 150,000 63,000 138,100 94,050 922,150 23,200 45,000 98,993 380,000 102,178 1,571,521 0% 2021 0 40,000 170,000 0 0 62,000 150,000 63,000 138,700 94,050 717,750 22,100 45,000 87,205 380,000 105,243 1,357,298 -14% 2022 0 0 170,000 0 0 0 150,000 63,000 138,500 94,050 615,550 0 45,000 74,281 380,000 108,401 1,223,232 -10% 2023 0 0 165,000 0 0 0 0 56,000 138,000 94,050 453,050 0 0 65,436 380,000 111,653 1,010,139 -17% 2024 0 0 0 0 0 0 0 0 135,900 94,050 229,950 0 0 65,673 115,002 410,625 -59% 2025 0 0 0 0 0 0 0 0 0 94,050 94,050 0 0 43,031 137,081 -67% 2026 0 0 0 0 0 0 0 0 94,050 94,050 0 0 0 94,050 -31% 2027 0 0 0 0 0 0 0 0 94,050 94,050 0 94,050 0% 2028 0 0 0 0 0 0 0 0 0 0 -100% G1T1'+�� iVA�U Mound Planning and Building Inspections Department Annual Report to City Council for 2009 On behalf of the Planning and Building Inspection Department, I am pleased to present the 2009 Annual Report to the City Council for review and consideration. PERSONNEL Department Staff. The Planning and Building Department is staffed by Administrative Assistant Jill Norlander who was hired in February 2001. My tenure as Community Development Director for the City of Mound began in July 2001. The Planning and Building Department is also provided technical support from Planning and Engineering Technician Ray Hanson who was hired in May 2005. Building Inspection. The Building Official position was eliminated in January 2005 and full -time building inspection services were assumed by MnSpect (formerly Waldron and Associates) on a contract basis. Scott Qualle is the designated Building Official and Dan Menth is the Building Inspector for the City of Mound. Planning Services. Effective January 2008, Rita Trapp of HKGi has been providing consultant planning services to the City of Mound. From May- October 2009, planning services were provided by interim consulting HKGi planner Jeff Miller. BUILDING PERMIT SUMMARY Building Permit Information 2005 -2009. Year Building Valuation Permits Issued 2009 302 $4,748,360 2008 269 $ 5,223,741 2007 258 $10,855,936 2006 329 $17,709,317 2005 385 $14,148,260 1 -70- 2009 Highlights. • Established bi- weekly Staff meetings with SQualle of Mnspect (effective 1/2010) and quarterly Building Official presentations to Council (effective 3/2010). • MnSpect preparation of foreclosed house informational handout. COMPLAINTS AND ORDINANCE ENFORCEMENT The Planning and Building Inspections Department continues to provide assistance and support to other City departments with regard to code complaints and nuisance related issues. • The majority of complaint and /or other related issues (i.e. construction problems, exterior storage, drainage, etc.) are handled by Community Service Officer Mike Wocken and Planning and Engineering Technician Ray Hanson. • Staff conducts ongoing review to evaluate ordinances to address deficiencies within the City Code. • Longstanding nuisance matters were addressed including the Waterbury Road site restoration /retaining wall project, painting of the building front of the former William's Store and Post Office landscaping maintenance. • The cooperation the P /BI Department has received from the Police Department has been exemplary and the P /BI Department applauds the efforts of Ray Hanson, Mike Wocken and Chief Kurtz. Additionally, City Manager Kandis Hanson and the Police Department are to be complimented for their strong support of the "Operation Clean Sweep" program. PLANNING COMMISSION ADMINISTRATION 2009 Planning Commission Cases. A total of (15) land use cases were submitted and /or reviewed by the City of Mound in 2009 A summary of planning cases from 2004 -2008 is provided below: 2008 (17) 2007 (32) 2006 (51) 2005 (84) 2004 (36) _,1_ 2009 Projects List. The following includes a list of Planning Commission projects /accomplishments: • Annual review of PC work rules (March 2009). • Joint workshop meeting with City Council (March 2009). • 2030 comprehensive plan update approval by Metropolitan Council (October 2009). • Mound surface water management plan update (June 2009) and agreement approval by City and MCWD (August 2009). PLANNING AND BUILDING INSPECTIONS DEPARTMENT PROJECTS Listed below is a list of projects which were undertaken and /or completed by the Planning and Building Inspections Department. It is important to note that several of these projects were done in cooperation and with assistance from other City Departments and consultants: • Preparation of special TIF legislation documents and project coordination. • Research and report preparation re: Tree City program participation. • Mound Harbor Renaissance (MHR) downtown redevelopment project: Snowmobile trail permit from DNR for Lost Lake channel connection to Maywood Road in cooperation with Westonka Snowmobile Club Project Team meeting agenda coordination and distribution Preparation of federal appropriation and High Priority Project form(s) and support documents in cooperation with LGN /HKGi for downtown redevelopment and related transit related projects Comprehensive signage/ wayfinding plan preparation and implementation (Auditor's Road TOD grant) Assistance with Operation Black Cat event coordination and involved Auditor's Road properties asbestos, regulated waste and asbestos remediation programming /implementation; also participation in OBC emergency training exercise Annual reporting for 2005 DEED and Metropolitan Council clean -up grants in Lost Lake District Closeout of Fall 2007 and Spring 2008 ERF grants from Hennepin County for environmental testing /reporting in the Auditor's Road District including reimbursement, reports submittal and reporting Management and closeout of TOD grants for Transit District (wellhouse relocation) and Auditor's Road (comprehensive signage/wayfinding plan preparation and implementation) in cooperation with Public Works and Finance Departments Submittal of 2009 TOD grant application for property acquisition request for parcels in Auditor's Road (non- funded) • Indian Knoll housing complex research and assessment project in cooperation with others. • CBD shared parking program research and assessment project in cooperation with others. PLANNING AND BUILDING INSPECTION DEPARTMENT RECOMMENDATIONS Joint Planning Commission / City Council Communication. City staff would like the City Council to continue its policy of meeting annually with the Planning Commission to continue discussion regarding cooperative projects. 2009 Projects List. The following list includes an overview of the major projects list for the Planning Commission / Staff for 2009. • 2030 comprehensive plan update approval by Metropolitan Council (10/09). • Review of City Code chapter(s) per annual joint PC /CC workshop. • City Code update approval (project managed by City Clerk with cooperation from City Departments). SUMMARY On behalf of the Planning and Building Inspections Department, I would like to express my sincere thanks to the City Council and Planning Commission for their dedication and commitment to our department and to the City of Mound. The countless hours that are spent on land use and permitting issues do not go unnoticed. Additionally, I would like to thank the other City departments and consulting staff that have provided assistance and staff support throughout the year. It is an honor and a privilege to work with such wonderful and talented individuals who assist in every area of my job and also make it fun to come to work every day. As always, we welcome any suggestions or comments that the City Council may have. You can be assured that we will continue our endeavors to improve efficiency and customer service in our department. -73- PUBLIC WORKS AND PARKS 2009 ANNUAL REPORT -74- CITY OF MOUND Parks Divison 2009 Annual Report The Parks Division is responsible for many aspects involved in city government. Aside from managing the 33 parks in the city, the division is also responsible for the maintenance and management of the Municipal Cemetery, the Municipal Docks Program, and maintenance of City Hall, Transit Center Parking Deck, Mound Bay Park Depot, Indian Knoll Manor and the new Veterans Memorial Plaza. In addition, the division is responsible for the repair and replacement of the city -owned retaining walls on street right -of -way, the inspection of weeds on unkempt grounds, and hazardous tree removal from city property. The division is also responsible for the preventive maintenance of its equipment. Assisting in this effort are five full -time employees including, the Park Superintendent, Administrative Assistant and three maintenance workers along with a part-time Docks Administrator and summer docks inspector and as many as eight full -time seasonal employees. The Parks, Open & Space Commission (POSC) and the Dock & Commons Commission (DCC) are set up to act as advisories for bringing recommendations to the City Council regarding their respective issues. General Comments During 2009, the Parks Division was involved mainly with maintaining current playground equipment and lands. In past years, we have seen improvements to Avalon, Belmont, Chester, Dundee, Langdon, Philbrook, Seton, Swenson, Three Points, Tyrone Park, Alwin Park, Belmont, Weiland, Scherven Park. In 2010 the play structure at Seton Park will be replaced. Along with development, maintenance for the parks must be planned. Maintenance and upkeep of the parks is a major ingredient for their success. Regular mowing, leaf removal, litter pick up and periodic repairs are unavoidable aspects of the parks and generally take up the most hours over the year. These improvements and maintenance provide a visual confirmation that the City of Mound has a commitment to the community. The downtown Streetscape and Greenway completed in 2006 has had the routine maintenance turned over to the Parks Division. With this responsibility comes a highly visible commitment of how the City is going to respond to development. It is staff's belief that this amenity is high priority for maintenance scheduling. The Streetscape and Greenway will be a daily visit for the Parks crew to provide a well groomed entrance into the main business area of Mound. • -75- The 37 slips were intended for use by the planned 37 Villas units. With the downturn in the housing market, various supplemental agreements between the City and the Villas developer • have allowed the City to offer the remaining slips to Mound residents on a year to year basis. The Lost Lake transient slips have seen increased usage as the greenway was completed and downtown development has occurred. This complex also has a separate license with the LMCD and utilizes 1,500 lineal feet of Cities shoreline. There are 3 plat- dedicated neighborhoods within the City of Mound with respect to lakeshore; 2 of which have had legal action and resulting Settlement Agreements. Woodland Point's Agreement was implemented beginning with the 2001 season. Dreamwood's Settlement Agreement was signed in late 2006 with full implementation being required in the 2012 season. In anticipation of this, staff has begun preparations trying to facilitate a timely and smooth transition for site holders. As of 12/31/2009, the total dock fund balance was $225,505. In late 2006 a separate capital reserve fund was established within the dock fund with a yearly transfer of $25,000. The intent of this fund was to set aside dollars for larger more costly capital improvement projects such as rip rap installation/repairs and dredging. In March of 2010, action was taken by the City Council to eliminate the capital reserve fund and those monies were added to the dock fund. In late 2009, the City Council reduced the 2010 Dock/Slip rates $50 and secondary watercraft rates 50 %. Depot and Island Park Facilities No improvements have been made at the Depot building since 1998 when interior carpeting, painting, cabinets, fans and lighting were completed. In 2003, a new curb and asphalt parking lot was completed. The facility is currently being utilized for local organizational meetings and private parties. User response has been very positive. Improvements will reinforce the Depot as an asset to our City. Depot Rental Rates $400 Damage and Clean-up Deposit $200 /per day Non -Mound Residents (sample sales, plus the purchase of a Peddlers License) $100 /per day Civic and Non -Profit Charitable Organizations from other communities (Rummage sales, craft sales, parties, etc.) $100 /per day Mound Resident FREE Mound Westonka Community Civic and Non - Profit Charitable Organizations 0 -76- • Dock Location Map Update • • LMCD Rules and Regulations • Establishment of possible sites for City multiple slip docks • Future maintenance needs of Commons shoreline • Rip Rap Locations Equipment Maintenance and Replacement Preventive and unplanned maintenance of all related equipment is the daily responsibility of the Parks & Docks Division. The Parks Division follows the equipment replacement schedule, which allows for the replacement of equipment on a planned schedule based on its age and serviceability. This schedule will allow the Parks & Docks Division to operate efficiently and provide safety for the general public and the parks crew. • r� 5 -77- 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 t repair, street lighting, equipment maintenance, installation and repair of banners and Christmas decorations, 12 parking lots, 27 cul -de -sacs, and 11 miles of sidewalks. During the winter months, it is my responsibility to determine when to plow and sand the streets. I depend on the National Weather Service, local weather reports and the Police Department for information concerning weather systems moving in our direction. I also check out the streets to determine if and when plowing and sanding should begin. If at all possible, I wait until it stops snowing before plowing, but in icy conditions we go out as soon as possible. Personnel from Streets, Sewer, Water and Parks are all called out to help with plowing. We have 5 single axle trucks equipped with front plows, side wings, and sanders. We have 5 four -wheel drive pickup trucks with plows, 3 1- ton dumps with plows and sanders, 1 skid -steer and 2 snow machines for the 11 miles of sidewalks. This year we also cleaned the Central Business District and are now maintaining the parking ramp. Right -of -way repair and maintenance began in the early spring of 2009. This included repair of watermain break patches, tree trimming, hanging summer banners, storm sewer cleaning, and street sweeping. Street sweeping is a huge, time consuming task. We have 2 street sweepers, 2 sidewalk brooms, 2 trucks for hauling, and 1 tanker. Following a normal winter of sanding, street and sidewalk sweeping can take up to 3 to 4 weeks to complete. Once the sweeping is completed, we prepare for seal coating projects and other street repairs. Every year, the Street Department also attempts to repair as many sidewalks as possible. On average, we replace 10 sections of sidewalk and approximately 100 feet of curbing per year. The City storm sewer system is very large with 584 catch basins, which are cleaned once a year, • and 84 sump catch basins, which are cleaned twice a year. While we still contract out the larger repairs, the storm water fees we now receive allow us to make yearly repairs and upgrades to the system. Public Utilities Water Public Utilities for the City of Mound consists of 3 departments; water distribution and sanitary sewer collection and storm sewer. Public Utilities operates much like a business. Revenues are generated from the sale of water to over 3500 customers, from meter sales, and service charges. Salaries, benefits and operating expenses are paid from the revenues received. There are three budgets prepared for Public Utilities; one for the Water Department, one for the Sanitary Sewer Department, and one for Storm Sewer. In 2009, the Water Department budget was $1,373,922. The Sanitary Sewer Department budget was $1,585,771. The Storm Sewer budget was $294,641. Line item expenses for the departments do not vary much from year to year. The biggest percentage of the budget each year is for capital outlay, workers compensation, liability insurance and the Met Council sewer charges. The City has 3 wells, one of which is for emergency back -up only, one booster station, and a combined storage of 700,000 gallons in 2 towers and 265,000 in 1 standpipe. There are • 7 -78- W -) • -,r- F CITY OF MOUND Public Works Department 2010 Capital Improvement Projects & Initiatives Street Reconstruction Proiect Due to the economic climate the City Council decided to postpone the 2010 street improvement project. 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. This is the seventh year of the retaining wall replacement program. The retaining wall replacement project includes the removal of the existing walls and construction of decorative modular concrete block walls and site restoration. Seal Coat Program The seal cost program will be initiated this year and will include the reconstructed streets in the Three Points area. Storm Sewer The City Engineer is reviewing locations that are in need of storm sewer improvements for 2010. Sanitary Lift Stations Three sanitary sewer lift stations were reconstructed in 2009 as part of the street reconstruction project. One is located at Scherven Park. The second is at Devon and Island View Drive. And the third is on Waterside at Spruce. New underground wet pits and control panels, pumps, and SCADA were included in the project. Staff will be recommending three and possibly four lift stations for reconstruction in 2010. Inflow / Infiltration Study The City Engineer completed a study of the sanitary sewer lift stations and Inflow / Infiltration into the sewer lines. The results of this study will determine where the city needs to perform pipe lining in future years to come into compliance with the Metropolitan Council Environmental Services directive to reduce the amount of I /I or pay surcharge penalties. It is anticipated the city will be able to avoid the surcharge by following the study recommendations. • -79- T CITY OF MOUND • Public Works Department Work Plan / Initiatives Capital Improvement Proiects • Annual City Street Reconstruction / Rehabilitation • Annual Retaining Wall Replacement • Upgrade SCADA system • Inflow / Infiltration Study — come into compliance with the MCES • Sanitary Lift Station Reconstruction 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 is • Annual Review of MCWD Rule Changes Parks • Develop inventory of park structure and maintenance needs • Develop master plan and priority for park reconstruction • Evaluate equipment replacement needs • Research possible funding sources for park improvements Docks • Review and update dock program as needed • Review and update dock maps • Continue annual rip -rap project • Integrate Lost Lake docks into City program • 11 -80- • Upgrade office filing system and record retention • • Develop mini GIS capacity • Develop updated inventory of City's infra - structure and mapping. • Implement GIS street and utility mapping capabilities when completed by consultant. • • 13 -81- • •