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2011-07-12 CC Agenda PacketPLEASE TURN OFF CELL PHONES & PAGERS IN COUNCIL CHAMBERS. • AGENDA ............................. ................................................................................. .......................................................................................................................................................__..................... ............................... ............. .................. .................................................................. ............. ........ . ............................. ... .................... .............................. ......................................... ........ ... MOUND CITY COUNCIL TUESDAY, JULY 12, 2011- 7:00 PM REGULAR MEETING MOUND CITY COUNCIL CHAMBERS ._..... ......... .. ........ ._ . ............................... ......... ................... ...__......__............._..._ ........... * Consent Agenda Items listed under the Consent Agenda are considered routine in nature and will be enacted by a single roll call vote. There will be no separate discussion of these items unless a Council Member or Citizen so requests. In that event the item will be removed from the Consent Agenda and considered in normal sequence. Pane 1. Open meeting 2. Pledge of Allegiance 3. Approve agenda, with any amendments 4. * Consent A eg nda *A. Approve minutes: June 28, 2011 regular meeting 1279 -1281 *B. Approve payment of claims 1282 -1303 • *C. Set Special Meeting Workshop for consideration of future of permitting responsibility for Minnehaha Creek Watershed District rules: July 20, 2011, start of meeting will follow the conclusion of HRA Special Meeting Workshop scheduled for July 20, 2011, 6:30 pm *D. Approve application for Tour de Tonka Temporary Sign Permit 1304 -1306 *E. Approve Resolution Declaring that Police Officer Meets All of the Police 1307 -1308 and Fire Requirements of the Public Employees Retirement Association *F. Approve application from Our Lady of the Lake Catholic Church for 1309 -1310 Minnesota Lawful Gambling Exempt Permit: Sept 9, 10 & 11, 2011 *G. Approve Third Amended and Restated Joint and Cooperative Agreement 1311 -1314 for Public Safety Purchasing *H. Approve Pay Request No. 1 from GMH Asphalt Corporation in the amount 1315 -1316 of $290,880.14, for the 2011 Street, Utility & Retaining Wall Improvement Project, City Project No. PW -11 -01 and PW -11 -02 *I. Approve Change Order No. 1 and No. 2 by GMH Asphalt, for the 2011 1317 -1320 Street, Utility and Retaining Wall Improvement Project, for a net change • in contract amount of $26,863.48 and $62,419.41 respectively PLEASE TURN OFF CELL PHONES & PAGERS IN COUNCIL CHAMBERS. *J. Approve Resolution Awarding Contract for 2011 Crack Repair Project • *K. Approve Resolution Awarding Contract for 2011 Bituminous Seal Coat Improvement Project 5. Comments and suggestions from citizens present on any item not on the agenda. (Limit to 3 minutes per speaker.) 6. Hennepin County Commissioner Jeff Johnson presenting the Step To It Challenge Award and other topics of interest 7. Discussion regarding maintenance issues at Mound MarketPlace Center 8. Information/Miscellaneous A. Comments /reports from Councilmembers /City Manager B. Reports: Finance Report — May 11, 2011 C. Minutes: D. Correspondence: LMCD 2012 Budget Mediacom letter on Extra Twins Games Harbor Wine & Spirits: June 2011 9. Adjourn 1321 -1322 1323 -1324 1325 1326 1327 -1329 1330 -1336 1337 1338 • Note: This is a preliminary agenda and subject to change. The Council will set a final agenda at the meeting. More current meeting agendas may be viewed at City Hall or at the City of Mound web site: www.cityofinound.com 0 • • COUNCIL BRIEFING July 12, 2011 Upcomine Events Schedule: Don't Forget!! July 12 — 6:55 — HRA regular meeting July 12 — 7:00 — CC regular meeting July 14 -16 — Spirit of the Lakes Festival July 20 — 6:30 - HRA Special Meeting Workshop July 20 — CC Special Meeting Workshop (follows HRA meeting) July 26 — 6:30 — HRA regular meeting July 26 — 7:00 — CC regular meeting Aug 2 -- 5:30 — Night to Unite Aug 6 — Tour de Tonka passes through Mound (up to 2450 riders expected) Aug 11 — 2012 Budget packet to council members Aug 13 — 8 -2:00 — Westonka Dog Days event at the Greenway (bring your dog) Aug 23 — Adopt 2012 Budget Sept 11 — 911 Ceremony (tentative) Oct 8 — 8:00 -12:00 — Recycling Day Oct 19 —1:30 -3:30 — Flu Shot Clinic Oct 30 — Seasonal Hours end Nov 6 - Daylight Saving Time ends Nov 17 — 6:00 — Tree Lighting Ceremony Dec 13 — 2012 Budget approved by city council City Hall Closings Sept 5 Labor Day Nov 11 Veteran's Day Nov 24 -25 Thanksgiving observed Citv Official's Absences Sept July 28 — 31 Kandis Hanson Vacation Aug 25 — Sept 4 Kandis Hanson Vacation July 26 Ray Salazar 18 -21 Kandis Hanson Music in the Park June 23 July 21 June 30 July 28 July 14 ICMA Conf (I cancelled my registration) MOUND CITY COUNCIL MINUTES is JUNE 28, 2011 The City Council of the City of Mound, Hennepin County, Minnesota, met in regular session on Tuesday, June 28, 2011, at 7:00 p.m. in the council chambers of city hall. Members present: Mayor Mark Hanus; Councilmembers Kelli Gillispie, Ray Salazar, Heidi Gesch and David Osmek. Others present: City Manager Kandis Hanson, City Clerk Bonnie Ritter, Community Development Director Sarah Smith, Public Works Director Carlton Moore, Finance Director Catherine Pausche, Public Works Supervisor Ray Hanson, Liquor Store Manager John Colotti, Police Chief Jim Kurtz, Police Officer Brad Schoenherr, Collette Roberts, Heidi Tumberg, Tom Rockvam, Kathy Rockvam, David Goode, Mike Skinner, Pam Myers, Becky Glister, Harold Pellett, Donna Smith, Margaret Thorne, Janice Olson, Pete Wiechert, Mary & Scot McKenzie, Katie McKenzie, Ezra Strickland, Paul Pond, Leah Weycker, Kelvin Retterath, Amanda Schwarze Consent agenda: All items listed under the Consent Agenda are considered to be routine in nature by the Council. There will be no separate discussion on these items unless a Councilmember or citizen so requests, in which event it will be removed from the Consent Agenda and considered in normal sequence. 1. Open meeting Mayor Hanus called the meeting to order at 7:00 p.m. • 2. Pledge of Allegiance 3. Approve agenda Kandis Hanson noted that the name Howard Pellet on the agenda should read Harold Pellett. MOTION by Osmek, seconded by Gesch to approve the agenda as amended. All voted in favor. Motion carried. 4. Recognition of City Manager Kandis Hanson Mayor Hanus presented Kandis Hanson with a plaque commemorating her for receipt of the Minnesota Women in City Government Leadership Award. This award was received at the League of Minnesota Cities Conference on June 15, 2011. The City Council offered congratulations and thanks to Hanson. 5. Consent agenda Hanus requested the removal of Item 5A and Osmek requested the removal of 5E from the consent agenda. MOTION by Osmek, seconded by Salazar to approve the consent agenda as amended. All voted in favor. Motion carried. A. (removed) B. Approve Funding Agreement for Mound Stormwater Improvement Project with Minnehaha Creek Watershed District C. Approve Pay Request No. 4 from Kuechle Underground, Inc. in the amount of $68,341.25 for the • 2010 Lift Station Improvement Project, City Project No. PW -10 -02 -1279- Mound City Council Minutes — June 28, 2011 D. Approve Pay Request No. 1 from Egan Co., in the amount of $25,058.62 for the County Road 110 and Mound Bay Park Lighting Project is E. (removed) 5A. Approve Payment of Claims MOTION by Osmek, seconded by Salazar to approve claims in the amount of $201,307.60. The following voted in favor: Gillispie, Salazar, Gesch and Osmek. The following voted against: None. Hanus abstained from voting because he has a claim included in the claims being approved. Motion carried. 5E. Approve Temporary On -sale liquor license for Incredible Festival MOTION by Salazar, seconded by Gesch to approve a Temporary On -sale Liquor License for Our Lady of the Lake Catholic Church for September 9 -11, 2011 for their Incredible Festival Celebration. The following voted in favor: Gillispie, Salazar, Hanus and Gesch. The following voted against: None. Osmek abstained from voting because he is a member of OLL and may be working at this event. Motion carried. 6. Comments and suggestions from citizens present on any item not on the agenda. None were offered. 7. CenterPoint Energy Grant to Police Department Katie McKenzie of CenterPoint Energy presented Police Chief Jim Kurtz with a CenterPoint Energy Community Partnership Grant check for $1,000 for purchase of six tactical headphone sets for use by the Police Department. 8. Mike Skinner, introducing WeCAB Program • Mike Skinner stated that the mission of the proposed program is to provide affordable and safe supplemental transportation service for Mound, Spring Park, Navarre, Minnetrista and St. Bonifacius. Drivers will be volunteers who will supply transportation for shopping and errands, community services and events, church, medical appointments, and access to and from public transportation. He invited the public to attend a July 8 event where Met Transit will provide transportation to downtown Minneapolis where the light rail will be taken to the Mall of America, and then return. This event is to provide exposure and education to the public about the transit system. He will update the Council as the program progresses. 9. Harold Pellett and Donna Smith reguestinc action on Agreement Donna Smith, Chair of the City Support Committee, read a letter that she presented to the Council that gave history of the Gillespie Center and an overview of the endowment fund program. Osmek stated that the proposed contract reflects the same donation amount as the current one and the goal is to get the endowment to a level where the Center is self - sufficient. He stated he will work with a representative and legal counsel of the other cities involved and come back with a final agreement for consideration. Tonight he is just looking for agreement to the concept. MOTION by Osmek, seconded by Gesch that Osmek will serve as Mound's liaison on the City Support Committee, meet with representatives of the other cities involved and report back at the August 15, 2011 Council meeting. All voted in favor. Motion carried. 10. Tom Rockvan proposing name change for Mound Bay Park • -1280- Mound City Council Minutes — June 28, 2011 Tom Rockvan, 2670 Commerce Blvd., appeared before the Council with a request to change the name • of Mound Bay Park to Surfside Park & Beach. It was noted that a good time to do this would be in conjunction with the Mound 2012 Centennial. MOTION by Salazar, seconded by Gesch to remand this to the Parks & Open Space Commission for their consideration. All voted in favor. Motion carried. 11. Steve McDonald of Abdo, Eick & Meyers, LLP with 2010 Comprehensive Annual Financial Report and Management Letter Steve McDonald presented a summary of the management letter for the year ended December 31, 2010. He stated that this letter represented an unqualified, clean opinion. 13. Planning Commission Appointments Sarah Smith presented the results of the candidate interviews that were performed by the Planning Commission, with some members of the Council present. Following these interviews, a written ballot method of voting was used by the Planning Commission which yielded the following tally: David Goode -10; Pete Wiechert-14; Kelvin Retterath -18; Jane Anderson -18. There are three vacancies and a • tie for the third position. There was discussion as to the ability of Anderson to attend meetings relative to projected work travel. MOTION by Osmek, seconded by Salazar to receive the report as presented. All voted in favor. Motion carried. 12. Catherine Pausche, Finance Director, receiving Certificate of Achievement Hanson presented Pausche with the Certificate of Achievement for Excellence in Financial Accounting that was awarded to the City by the Government Finance Officers Association for its comprehensive annual financial report. MOTION by Hanus, seconded by Osmek to make the following appointments to the Planning Commission: David Good (term to expire 12/31/12); Pete Wiechert (term to expire 12/31/12); and Kelvin Retterath (term to expire 12/31/11). The following voted in favor: Salazar, Hanus, Gesch, and Osmek. The following voted against: None. Gillispie abstained from voting because she was not in attendance at the interviews. Motion carried. • 14. Approve minutes of July 14, 2011 MOTION by Osmek, seconded by Gesch to approve the minutes of the July 14, 2011 meeting. The following voted in favor: Salazar, Hanus, Gesch, and Osmek. The following voted against: None. Gillispie abstained from voting because she was not in attendance at this meeting. Motion carried. 15. Information /Miscellaneous A. Comments /reports from Cuoncilmembers /City Manager B. Reports: 2011 Step -To -It Challenge results June 16 Well House /Public Restroom Grand Opening C. Minutes: Docks & Commons Commission of May 19, 2011 D. Correspondence: Mediacom letter on programming 16. Adiourn MOTION by Osmek, seconded by Salazar to adjourn at 8:14 p.m. All voted in favor. Motion carried. Attest: Bonnie Ritter, City Clerk Mayor Mark Hanus -1281- Cit of Mound Claims as of 07 -12 -11 YEAR BATCH NAME DOLLAR AMOUNT 2011 0629CITYMAN $ 127,029.79 2011 071211CITY $ 191,458.53 TOTAL CLAIMS $ 318,488.32 0 n u -1282- CITY OF MOUND 06/29/11 11:12 AM $454.18 Page 1 Payments • • 1 .......... _.__ CITY OF MOUND Current Period: June 2011 Transaction Date 6/29/2011 Batch Name 0629CITYMAN User Dollar Amt $127,029.79 $454.18 Payments Computer Dollar Amt $127,029.79 $0.00 In Balance Cash Payment E 602 -49450 -210 Operating Supplies Refer 17 EGAN COMPANIES _ $102.60 Cash Payment E 401 -43161 -500 Capital Outlay FA CTY RD 110 & MOUND BAY PARK LIGHTING $25,058.62 PROJECT PW -11 -07 PAY REQUEST #1 Invoice 1100274 5/26/2011 Invoice 062911 6/25/2011 Transaction Date 6/29/2011 Wells Fargo 10100 Total $25,058.62 Refer 1 GJERSTAD, CLARENCE Refer 15 KUECHLE UNDERGROUND, INCOR _ Cash Payment G 101 -23095 4924 Plymouth Rd #06 -25 W ESCROW REFUND 06 -25 & 06 -26 4924 $750.00 Plymouth Rd 2010 LIFT STATION IMPROV PROJ PW -10 -02 Invoice 062911 6/24/2011 Transaction Date 6/29/2011 Wells Fargo 10100 Total $750.00 Refer 2 HENNEPIN COUNTY PUBLIC WOR _ DEC 26, 2010 THRU JUNE 21, 2011. Cash Payment E 602 -49450 -224 Street Maint Materials SAND SALT MIX $1,545.50 Invoice 1000005300 6/10/2011 Cash Payment E 601 -49400 -224 Street Maint Materials SAND SALT MIX $4,636.49 Invoice 1000005300 6/10/2011 Refer 5 LAWSON PRODUCTS, INC _ Cash Payment E 101 -43100 -238 Concrete Sand SAND SALT MIX $6,847.44 1000005300 6/10/2011 BULBS • Invoice Cash Payment E 101 -43100 -237 Deicing Salt SAND SALT MIX $14,251.21 Invoice 1000005300 6/10/2011 Transaction Date 6/29/2011 Wells Fargo 10100 Total $27,280,64 Refer 3 HOLASEK, FRED AND SON, INCOR Cash Payment E 101 -45200 -232 Landscape Material HANGING FLOWER BASKETS FOR $454.18 DOWNTOWN Invoice 0013502 5/26/2011 Transaction Date 6/29/2011 Wells Fargo 10100 Total $454.18 Refer 4 INFRA TECH - Cash Payment E 602 -49450 -210 Operating Supplies 2 CASES FLUOR. GREEN MARKING PAINT $102.60 FOR 2011 ROAD PROJECT Invoice 1100274 5/26/2011 Transaction Date 6/29/2011 Wells Fargo 10100 Total $102.60 Refer 15 KUECHLE UNDERGROUND, INCOR _ Cash Payment E 602 -49450 -500 Capital Outlay FA 2010 LIFT STATION IMPROV PROJ PW -10 -02 $68,341.25 PAY REQUEST #4 FOR WORK COMPLETED DEC 26, 2010 THRU JUNE 21, 2011. Invoice 062911 6/22/2011 Project PW1002 Transaction Date 6/29/2011 Wells Fargo 10100 Total $68,341.25 Refer 5 LAWSON PRODUCTS, INC _ Cash Payment E 602 -49450 -230 Shop Materials BULBS $15.06 Invoice 0543900 6/14/2011 PO 232560 Project SA -2 Transaction Date 6/29/2011 Wells Fargo 10100 Total $15.06 6 MINNESOTA COUNTYATTORNEY _ • Refer Cash Payment E 101 -42110 -203 Printed Forms NOTICE OF SEIZURE & INTENT TO FORFEIT $119.70 VEHICLE CARBONLESS FORMS Invoice 18106270 6/7/2011 PO 23233 -1283- CITY OF MOUND 06/29/11 11:12 AM Payments Page 2 CITY OF MOUND Current Period: June 2011 Transaction Date 6/29/2011 Wells Fargo 10100 Total $119.70 Refer 7 MINNESOTA ROADWAYS COMPA _ Cash Payment E 101 -43100 -224 Street Maint Materials CRS II ASPHALT EMULSION $545.06 Invoice 62978 6/13/2011 Transaction Date 6/29/2011 Wells Fargo 10100 Total $545.06 Refer 14 MN BOARD FIREFIGHTER TRAIN/N _ Cash Payment E 222 - 42260 -433 Dues and Subscriptions FIREFIGHTER LICENSING 9 FIREFIGHTERS $675.00 Invoice 062911 6/29/2011 Transaction Date 6/29/2011 Wells Fargo 10100 Total $675.00 Refer 8 NELSON ELECTRIC MOTOR REPAI _ Cash Payment E 602 - 49450 -440 Other Contractual Servic GRANDVIEW LIFT STATION - INSTALLED #2 $300.00 NEW PUMP & REWIRED Invoice 5282 6/7/2011 Transaction Date 6/29/2011 Wells Fargo 10100 Total $300.00 Refer 9 NELSON ELECTRIC MOTOR REPAI _ Cash Payment E 60249450 -440 Other Contractual Servic DUCK POND LIFT STATION -CHANGED $1,417.19 IMPELLERS, WEAR RINGS & LOWER SEAL ON PUMP #2 Invoice 5285 6/8/2011 Transaction Date 6/29/2011 Wells Fargo 10100 Total $1,417.19 Refer 10 NEWMAN SIGNS _ • Cash Payment E 101 -43100 -226 Sign Repair Materials NO PARKING SIGNS & GALVANIZED PIPES $1,105.35 FOR ISLANDVIEW DRIVE Invoice TI- 0235180 6/3/2011 Transaction Date 6/29/2011 Wells Fargo 10100 Total $1,105.35 Refer 11 SPRINT WIRELESS _ Cash Payment E 101 -42110 -321 Telephone & Cells DSN NETWORK SERVICE 5 -15 THRU 6 -14 -11 $319.92 Invoice 772348811 -043 6/18/2011 Transaction Date 6/29/2011 Wells Fargo 10100 Total $319.92 Refer 12 SPRINT WIRELESS _ Cash Payment E 10142110 -321 Telephone & Cells POLICE CELL PHONE SERVICE 5 -15 THRU 6- $488.85 14 -11 Invoice 924573317 -115 6/18/2011 Transaction Date 6/29/2011 Wells Fargo 10100 Total $488.85 Refer 13 TRUE VALUE MOUND (POLICE) _ Cash Payment E 101 -42110 -322 Postage FED -EX SHIPPING CHGS $21.95 Invoice 082348 5/5/2011 Cash Payment E 101 -42110 -210 Operating Supplies SCREWS, NUTS, BOLTS, $22.53 INDOOR/OUTDOOR BRUSH Invoice 082387 5/612011 Cash Payment E 101 -42110 -210 Operating Supplies SCREWS, NUTS, BOLTS, CORNER IRON $7.63 Invoice 083111 5/23/2011 Cash Payment E 101 -42110 -210 Operating Supplies A/C TAPE $4.26 Invoice 083169 5/24/2011 Transaction Date 6/29/2011 Wells Fargo 10100 Total $56.37 • -1284- • f._.........__ CITY OF MOUND Fund Summary 101 GENERAL FUND 222 AREA FIRE SERVICES 401 GENERAL CAPITAL PROJECTS 601 WATER FUND 602 SEWER FUND CITY OF MOUND Payments Current Period: June 2011 10100 Wells Fargo $24,938.08 $675.00 $25,058.62 $4,636.49 $71,721.60 $127,029.79 06/29/11 11:12 AM Page 3 Pre - Written Check $0.00 Checks to be Generated by the Compute $ Total $127,029.79 • • -1285- CITY OF MOUND 07/07/11 11:41 AM Page 1 Payments • CITY OF MOUND Current Period: July 2011 Batch Name 071211CITY User Dollar Amt $191,458.53 Payments Computer Dollar Amt $191,458.53 $0.00 In Balance Refer 63 ACCURATE RADAR SPECIALTIES _ Cash Payment E 101 -42110 -210 Operating Supplies CALIBRATION OF RADAR UNIT WITH $290.00 TUNING FORKS AND LIDAR CERTIFICATION Invoice 2401 6/2/2011 PO 23230 Transaction Date 7/6/2011 Wells Fargo 10100 Total $290.00 Refer 45 ALLIED WASTE Cash Payment E 670 - 49500 -440 Other Contractual Servic RECYCLING SERVICE JUNE 2011 $14,280.21 Invoice 0894002575279 6/25/2011 Transaction Date 7/6/2011 Wells Fargo 10100 Total $14,280.21 Refer 46 ALLIED WASTE _ Cash Payment E 101 -45200 -384 Refuse /Garbage Dispose GARBAGE SERVICE JULY 2011 PARKS BLDG $297.57 Invoice 30894 - 00257635 6/25/2011 Cash Payment E 101 -41910 -384 Refuse /Garbage Disposa GARBAGE SERVICE JULY 2011 - CITY HALL $102.58 Invoice 30894 - 00257564 6/25/2011 Cash Payment E 101 -42110 -384 Refuse /Garbage Disposa GARBAGE SERVICE JULY 2011 police $98.62 Invoice 30894 - 00257826 6/2512011 Cash Payment E 22242260 -384 Refuse /Garbage Disposa GARBAGE SERVICE JULY 2011 - FIRE BLDG $98.62 • Invoice 30894 - 00257826 6/25/2011 Cash Payment E 602 -49450 -384 Refuse /Garbage Disposa GARBAGE SERVICE JULY 2011 - PUBLIC $98.28 WORKS BLDG Invoice 30894- 00257826 6/25/2011 Project SA -2 Transaction Date 7/6/2011 Wells Fargo 10100 Total $695.67 Refer 1 AMUNDSON, M. LLP _ Cash Payment E 609 -49750 -256 Tobacco Products For R TOBACCO PRODUCTS $532.20 Invoice 111322 6/22/2011 Transaction Date 7/5/2011 Wells Fargo 10100 Total $532.20 Refer 3 ARCTIC GLACIER PREMIUM ICE Cash Payment E 609 -49750 -255 Misc Merchandise For R ICE $69.72 Invoice 395117909 6/28/2011 Cash Payment E 609 -49750 -265 Freight FREIGHT $1.00 Invoice 395117909 6/28/2011 Cash Payment E 609 -49750 -255 Misc Merchandise For R ICE $58.80 Invoice 460117509 6/24/2011 Cash Payment E 609 -49750 -265 Freight FREIGHT $1.00 Invoice 460117509 6/24/2011 Cash Payment E 609 -49750 -255 Misc Merchandise For R ICE $107.64 Invoice 460117613 6/25/2011 Cash Payment E 609 -49750 -265 Freight FREIGHT $1.00 Invoice 460117613 6/25/2011 Transaction Date 7/5/2011 Wells Fargo 10100 Total $239.16 Refer 100 ARCTIC GLACIER PREMIUM ICE Cash Payment E 609 -49750 -255 Misc Merchandise For R 5 LB & 20LB CUBE ICE FOR RESALE $85.08 • Invoice 461118209 7/1/2011 .SM-0� CITY OF MOUND 07/07/11 11:41 AM Page 2 Payments • CITY OF MOUND Current Period: July 2011 Cash Payment E 609 -49750 -265 Freight FREIGHT $1.00 Invoice 461118209 7/1/2011 Cash Payment E 609 -49750 -255 Misc Merchandise For R 5 LB & 20LB CUBE ICE FOR RESALE $404.50 Invoice 460118320 7/2/2011 Cash Payment E 609 -49750 -265 Freight FREIGHT $1.00 Invoice 460118320 7/2/2011 Cash Payment E 609 -49750 -255 Misc Merchandise For R 5 LB & 20LB CUBE ICE FOR RESALE $147.60 Invoice 459118608 7/5/2011 Cash Payment E 609 -49750 -265 Freight FREIGHT $1.00 Invoice 459118608 7/5/2011 Transaction Date 7/7/2011 Wells Fargo 10100 Total $640.18 Refer 44 ART A. AHLSTROM _ Cash Payment E 101 -45200 -232 Landscape Material RIVER ROCK 2.5 YARDS $106.88 Invoice 071211 6/30/2011 Transaction Date 7/6/2011 Wells Fargo 10100 Total $106.88 Refer 2 ASPEN EMBROIDERY AND DESIG _ Cash Payment E 101 -42110 -218 Clothing and Uniforms EMBROIDER POLICE SHIRT - WEBER $6.41 Invoice 071211 6/27/2011 PO 23241 Transaction Date 7/5/2011 Wells Fargo 10100 Total $6.41 4 ASSURED SECURITY • Refer Cash Payment E 101 - 41910 -401 Building Repairs DEADBOLTS FOR CITY HALL LOWER LEVEL $221.94 STORAGE ROOMS Invoice 61404 6/24/2011 Transaction Date 7/5/2011 Wells Fargo 10100 Total $221.94 Refer 5 BELLBOY CORPORATION _ Cash Payment E 609 -49750 -255 Misc Merchandise For R MERCH $82.00 Invoice 85351800 6/17/2011 Cash Payment E609-49750-210 Operating Supplies SUPPLIES, BAGS $70.40 Invoice 85351800 6/17/2011 Cash Payment E 609 -49750 -254 Soft Drinks/Mix For Resa MIX $59.95 Invoice 85351800 6/17/2011 Transaction Date 7/5/2011 Wells Fargo 10100 Total $212.35 Refer 6 BELLBOY CORPORATION _ Cash Payment E 609 -49750 -255 Misc Merchandise For R MERCHANDISE- COOLER BAGS $62.00 Invoice 85383000 6/24/2011 Cash Payment E 609 -49750 -254 Soft Drinks/Mix For Resa MIX $33.50 Invoice 85383000 6/24/2011 Transaction Date 7/5/2011 Wells Fargo 10100 Total $95.50 Refer 7 BELLBOY CORPORATION _ Cash Payment E609-49750-210 Operating Supplies SUPPLIES, BAGS, TIES $109.60 Invoice 85404600 6/29/2011 Cash Payment E 609 -49750 -255 Misc Merchandise For R SUPPLIES, BAGS, TIES $68.60 Invoice 85404600 6/29/2011 • Transaction Date 7/5/2011 Wells Fargo 10100 Total $178.20 Refer 8 BELLBOY CORPORATION _ Cash Payment E 609 -49750 -251 Liquor For Resale LIQUOR $1,991.45 Invoice 58810900 6/20/2011 -1287- CITY OF MOUND Payments CITY OF MOUND 07/07/11 11:41 AM Page 3 Current Period: July 2011 Cash Payment E 609 -49750 -253 Wine For Resale WINE Invoice 58810900 6/20/2011 Transaction Date 7/5/2011 Wells Fargo Refer 9 BELLBOY CORPORATION _ Cash Payment E 609 -49750 -251 Liquor For Resale LIQUOR Invoice 58895600 6/24/2011 Cash Payment E 609 -49750 -253 Wine For Resale Cash Payment E 609 -49750 -265 Freight FREIGHT Invoice 58895600 6/24/2011 Cash Payment E 609 -49750 -265 Freight Transaction Date 7/5/2011 Wells Fargo Refer 10 BELLBOY CORPORATION _ Cash Payment E 609 -49750 -253 Wine For Resale WINE Invoice 58895500 6/24/2011 Cash Payment E 609 -49750 -254 Soft Drinks/Mix For Resa MIX Cash Payment E 609 -49750 -265 Freight FREIGHT Invoice 58895500 6/24/2011 SUPPLIES, BAGS Transaction Date 7/5/2011 Wells Fargo Refer 11 BELLBOY CORPORATI LIQUOR Cash Payment E 609 -49750 -251 Liquor For Resale LIQUOR Invoice 58957700 6/29/2011 Cash Payment E 609 -49750 -254 Soft Drinks/Mix For Resa MIX Invoice 58957700 6/29/2011 Cash Payment E 609 -49750 -265 Freight FREIGHT Invoice 58957700 6/29/2011 Cash Payment E 609 -49750 -253 Wine For Resale WINE Invoice 58959300 6/29/2011 Cash Payment E 609 -49750 -265 Freight FREIGHT Invoice 58959300 6/29/2011 Transaction Date 7/5/2011 Wells Fargo Refer 99 BELLBOY CORPORATION Cash Payment E 609 -49750 -254 Soft Drinks/Mix For Resa MIX Invoice 85422200 7/5/2011 Cash Payment E609-49750-210 Operating Supplies SUPPLIES, BAGS Invoice 85422200 7/5/2011 Cash Payment E 609 -49750 -251 Liquor For Resale LIQUOR Invoice 59014000 7/1/2011 Cash Payment E 609 -49750 -265 Freight FREIGHT Invoice 59014000 7/1/2011 Transaction Date 7/7/2011 Wells Fargo Refer 12 BERNICKS BEVERAGES AND VEN Cash Payment E 609 -49750 -254 Soft Drinks /Mix For Resa MIX Invoice 26700 6/22/2011 Cash Payment E 609 -49750 -252 Beer For Resale BEER Invoice 26701 6/22/2011 $540.00 10100 Total $2,531.45 $1,509.00 $17.05 10100 Total $1,526.05 $440.00 $17.05 10100 Total $457.05 $4,784.35 $156.25 is $68.20 • $92.00 $1.55 10100 Total $5,102.35 $120.80 $117.70 $447.25 $10.20 10100 Total $695.95 $354.62 $434.80 Transaction Date 7/5/2011 Wells Fargo 10100 Total Refer 13 BIFFS, INC PORTABLE RESTR00 _ Cash Payment E 101 - 45200 -410 Rentals (GENERAL) PORTABLE RESTROOMS RENTAL & SERVICE JUNE 2011 CENTERVIEW BEACH Invoice W436262 6/29/2011 -1288- $789.42 $380.00 Cl CITY OF MOUND Payments CITY OF MOUND Current Period: July 2011 Cash Payment E 101 - 45200 -410 Rentals (GENERAL) PORTABLE RESTROOMS RENTAL & SERVICE JUNE 2011 MOUND BAY PARK Invoice W436263 6/29/2011 Cash Payment E 101 - 45200 -410 Rentals (GENERAL) PORTABLE RESTROOMS RENTAL & SERVICE JUNE 2011 CITY HALUSKATEPARK Invoice W436264 6/29/2011 Transaction Date 7/5/2011 Wells Fargo 10100 Total Refer 93 CARQUEST OF NAVARRE (PA49 _ REFLECTOR 3 ROUND #7604 Cash Payment E 602 -49450 -220 Repair/Maint Supply ANTI - SIPHON VALVE & FITTINGS Invoice 6974 - 157620 6/3/2011 STARTER SOLENOID #175 Cash Payment E 101 -42110 -220 Repair/Maint Supply OIL FILTER POLICE VEHICLE #853 Invoice 6974 - 157628 6/3/2011 FUEL FILTER 1604 Cash Payment E 101 -43100 -221 Equipment Parts MARKER LAMP & U 7 PT PLASTIC Invoice 6974 - 157967 617/2011 ANCHOR POINT #302 Cash Payment E 602 -49450 -221 Equipment Parts TRAILER JACK FOR GENERAL TRAILER Invoice 6974 - 158053 6/8/2011 ANCHOR POINT #302 SPECIAL ORDER Cash Payment E 101 -43100 -221 Equipment Parts STOCK FUEL FILTER Invoice 6974 - 158508 6/13/2011 Transaction Date 7/7/2011 Wells Fargo 10100 Total Refer 94 CARQUEST OF NAVARRE (PA40 _ • Cash Payment E 602 -49450 -221 Equipment Parts REFLECTOR 3 ROUND #7604 Invoice 6974 - 158426 6/13/2011 Cash Payment E 101 -43100 -221 Equipment Parts STARTER SOLENOID #175 Invoice 6974 - 158426 6/13/2011 Cash Payment E 602 -49450 -221 Equipment Parts FUEL FILTER 1604 Invoice 6974 - 158485 6/13/2011 Cash Payment E 101 -43100 -221 Equipment Parts ANCHOR POINT #302 Invoice 6974 - 158514 6/13/2011 Cash Payment E 101 -43100 -221 Equipment Parts ANCHOR POINT #302 SPECIAL ORDER Invoice 6974 - 158546 6/14/2011 Cash Payment E 101 43100 -221 Equipment Parts ANCHOR POINT #302 - SPECIAL ORDER Invoice 6974 - 158454 6/13/2011 Cash Payment E 101 -43100 -221 Equipment Parts ANCHOR POINT #302 RETURNED Invoice 6974 - 158563 6/14/2011 Cash Payment E 60149400 -221 Equipment Parts LIFT SUPPORT #302 SPECIAL ORDER Invoice 6974 - 158681 6/15/2011 Cash Payment E 10135200 -220 Repair /Maint Supply MAG PICK -UP & MAGNETIC TOOLS FOR PARKS Invoice 6974 - 159651 6/27/2011 Transaction Date 7/7/2011 Wells Fargo 10100 Total Refer 38 CLERK/FINANCE MUNICIPAL ASS _ Cash Payment E 101 - 41310 -433 Dues and Subscriptions ANNUAL MEMBERSHIP CLERKS ASSOCIATION JULY 12011 THRU JUNE 30, 2012 - RITTER Invoice 071211 7/1/2011 • Transaction Date 7/5/2011 Wells Fargo 10100 Refer 15 COCA COLA BOTTLING- MIDWEST Cash Payment E 609 -49750 -254 Soft Drinks/Mix For Resa COKE PRODUCTS Invoice 0198051436 6/23/2011 -1289- 07/07/11 11:41 AM Page 4 $161.40 $40.00 Total $535.00 $380.00 $1,295.00 $24.49 $4.39 $24.00 $37.41 $10.57 $100.86 $5.57 $11.36 $10.57 $12.39 $12.39 $15.54 - $15.54 $93.84 $15.28 $40.00 $485.05 / / � CITY OF MOUND CITY OF MOUND Payments Current Period: July 2011 Cash Payment E 609 -49750 -254 Soft Drinks/Mix For Resa COKE PRODUCTS Invoice 0198052030 6/30/2011 Cash Payment E 609 -49750 -254 Soft Drinks /Mix For Resa COKE PRODUCTS Invoice 0198052031 6/30/2011 07/07/11 11:41 AM Page 5 $144.30 - $41.50 Transaction Date 7/5/2011 Wells Fargo 10100 Total $587.85 Refer 16 DAHLHEIMER BEVERAGE LLC _ Cash Payment E 609 -49750 -252 Beer For Resale BEER $784.00 Invoice 52881 6/20/2011 Transaction Date 7/5/2011 Wells Fargo 10100 Total $784.00 Refer 101 DAHLHEIMER BEVERAGE LLC _ Cash Payment E 609 -49750 -252 Beer For Resale BEER $90.00 Invoice 54684 7/5/2011 Transaction Date 7/7/2011 Wells Fargo 10100 Total $90.00 Refer 85 DAVES MULCH STORE Cash Payment E 101 - 42110 -402 Building Maintenance 17 YDS OF NORTHERN WHITE CEDAR $308.87 MULCH Invoice 0538 6/1/2011 PO 23243 Cash Payment E 222 - 42260 -402 Building Maintenance 17 YDS OF NORTHERN WHITE CEDAR $308.87 MULCH Invoice 0538 6/1/2011 PO 23243 Transaction Date 7/6/2011 Wells Fargo 10100 Total $617.74 Refer 18 DAY DISTRIBUTING COMPANY _ Cash Payment E 609 -49750 -252 Beer For Resale BEER $3,583.65 Invoice 606902 6/28/2011 Cash Payment E 609 -49750 -255 Misc Merchandise For R GLASSES, MUGS $45.00 Invoice 605709 6/20/2011 Transaction Date 7/5/2011 Wells Fargo 10100 Total $3,628.65 Refer 20 DAY DISTRIBUTING COMPANY _ Cash Payment E 609 -49750 -252 Beer For Resale BEER $4,110.02 Invoice 605900 6/21/2011 Cash Payment E 609 -49750 -252 Beer For Resale BEER $36.80 Invoice 605901 6/21/2011 Transaction Date 7/5/2011 Wells Fargo 10100 Total $4,146.82 Refer 102 DAY DISTRIBUTING COMPANY _ Cash Payment E 609 -49750 -252 Beer For Resale BEER $86.30 Invoice 607845 7/6/2011 Cash Payment E 609 -49750 -252 Beer For Resale BEER $3,826.60 Invoice 607844 7/6/2011 Transaction Date 7/7/2011 Wells Fargo 10100 Total $3,912.90 Refer 21 DOCK AND LIFT, INCORPORATED _ Cash Payment E 101 -45200 -220 Repair/Maint Supply HOLOGRAPHIC SCORE TAPE $8.99 Invoice 4466 6/29/2011 Transaction Date 7/5/2011 Wells Fargo 10100 Total $8.99 Refer 19 DURKIN, DAVID _ Cash Payment E 401 -43109 -500 Capital Outlay FA 4844 IVD RE- INSTALL EXISTING $2,012.00 FLAGSTONE & ADD ON TO EAST WALL Invoice 071211 6/27/2011 _1290_ Project PWO902 7 • CITY OF MOUND 07/07/11 11:41 AM I , Page 6 • CITY OF MOUND Payments Current Period: July 2011 Transaction Date 7/5/2011 Wells Fargo 10100 Total Refer 47 EMERYS TREE SERVICE, INCORP Cash Payment E 101 -45200 -533 Tree Removal TREE REMOVAL 6 -15 -11 THREE POINTS, 2161 OVERLAND & NOBLE Invoice 16631 6/30/2011 Transaction Date 7/6/2011 Wells Fargo 10100 Total Refer 17 EXTREME BEVERAGE _ Cash Payment E 609 -49750 -254 Soft Drinks/Mix For Resa MIX Invoice W- 388675 6/29/2011 Transaction Date 7/5/2011 Wells Fargo 10100 Total Refer 22 FRONTIER/CITIZENS COMMUNICA _ Cash Payment E 101 -42110 -321 Telephone & Cells ETHERNET SERVICE 6 -20 -11 THRU 7 -20 -11 Invoice 3507034 6/20/2011 Cash Payment E 222.42260 -321 Telephone & Cells ETHERNET SERVICE 6 -20 -11 THRU 7 -20 -11 Invoice 3507034 6/20/2011 Cash Payment E 101 -41910 -321 Telephone & Cells ETHERNET SERVICE 6 -20 -11 THRU 7 -20 -11 Invoice 3507034 6/20/2011 Cash Payment E 101 -41920 -321 Telephone & Cells ETHERNET SERVICE 6 -20 -11 THRU 7 -20 -11 Invoice 3507034 6/20/2011 Transaction Date 7/5/2011 Wells Fargo 10100 Total Refer 48 FRONTIER/CITIZENS COMMUNICA _ Cash Payment E 101 -43100 -321 Telephone & Cells PHONE SERVICE 6 -30 TO 7 -29 -11 Invoice 071211 6/30/2011 Cash Payment E 601 -49400 -321 Telephone & Cells PHONE SERVICE 6 -30 TO 7 -29 -11 Invoice 071211 6/30/2011 Cash Payment E 602 -49450 -321 Telephone & Cells PHONE SERVICE 6 -30 TO 7 -29 -11 Invoice 071211 6/30/2011 Cash Payment E 101 -45200 -321 Telephone & Cells PHONE SERVICE 6 -30 TO 7 -29 -11 Invoice 071211 6/30/2011 Cash Payment E 609 -49750 -321 Telephone & Cells PHONE SERVICE 6 -30 TO 7 -29 -11 Invoice 071211 6/30/2011 Cash Payment E 101 -41910 -321 Telephone & Cells PHONE SERVICE 6 -30 TO 7 -29 -11 Invoice 071211 6/30/2011 Cash Payment E 101 -42110 -321 Telephone & Cells PHONE SERVICE 6 -30 TO 7 -29 -11 Invoice 071211 6/30/2011 Cash Payment E 222 -42260 -321 Telephone & Cells PHONE SERVICE 6 -30 TO 7 -29 -11 Invoice 071211 6/30/2011 Transaction Date 7/6/2011 Wells Fargo 10100 Total Refer 23 G & K SERVICES _ Cash Payment E 101 - 41910 -460 Janitorial Services MATS & SHOP SUPPLIES 6 -27 -11 Invoice 1006230382 6/27/2011 Transaction Date 7/5/2011 Wells Fargo 10100 Total Refer 24 G & K SERVICES _ Payment E 609- 49750 -460 Janitorial Services MAT SERVICE 6 -20 -11 • Cash Invoice 1006219417 6/20/2011 Cash Payment E 609- 49750 -460 Janitorial Services MAT SERVICE & SHOP SUPPLIES 6 -27 -11 Invoice 1006230377 6/27/2011 -1291- $2,012.00 $1,715.34 $1,715.34 $123.00 $123.00 $146.71 $146.71 $146.71 $293.40 $733.53 $497.01 $497.01 $512.07 $115.05 $621.56 $940.53 $391.90 $235.14 $3,810.27 $174.45 $174.45 $55.88 $78.40 CITY OF MOUND 07/07/11 11:41 AM Page 7 Payments CITY OF MOUND Current Period: July 2011 Transaction Date 7/5/2011 Wells Fargo 10100 Total $134.28 Refer 25 G & K SERVICES _ Cash Payment E 101 -43100 -218 Clothing and Uniforms UNIFORM SERVICE 6 -13 -11 $23.21 Invoice 1006208543 6/13/2011 Cash Payment E 601 -49400 -218 Clothing and Uniforms UNIFORM SERVICE 6 -13 -11 $25.10 Invoice 1006208543 6/13/2011 Cash Payment E 602 -49450 -218 Clothing and Uniforms UNIFORM SERVICE 6 -13 -11 $73.80 Invoice 1006208543 6/13/2011 Cash Payment E 602 -49450 -230 Shop Materials SHOP SUPPLIES & MAT SERVICE 6 -13 -11 $208.91 Invoice 1006208543 6/13/2011 Project SA -2 Transaction Date 7/5/2011 Wells Fargo 10100 Total' $331.02 Refer 59 G & K SERVICES Cash Payment E 101 -45200 -218 Clothing and Uniforms UNIFORM, SERVICE 6 -27 -11 $44.56 Invoice 1006230383 6/27/2011 Cash Payment E 101 -45200 -210 Operating Supplies MAT & SHOP SERVICE 6 -27 -11 $73.57 Invoice 1006230383 6/27/2011 Transaction Date 7/6/2011 Wells Fargo 10100 Total $118.13 Refer 103 G & K SERVICES _ Cash Payment E 609 - 49750 -460 Janitorial Services MAT SERVICE 7-4 -11 $55.88 Invoice 1006241160 7/4/2011 Transaction Date 7/7/2011 Wells Fargo 10100 Total $55.88 • Refer 26 GILLESPIE CENTER _ Cash Payment E 101 - 41115 -430 Miscellaneous 1ST INSTALLMENT SENIOR SERVICES $30,000.00 CONTRACT 2011 Invoice 071211 6/30/2011 Cash Payment E 101 - 41115 -430 Miscellaneous 2011 SNOW REMOVAL SUPPORT $1,500.00 Invoice 071211 6/30/2011 Transaction Date 7/5/2011 Wells Fargo 10100 Total $31,500.00 Refer 27 GLACIAL RIDGE, INCORPORATED _ Cash Payment E 285 - 46388 -440 Other Contractual Servic VETERANS PARK & TRANSIT PARKING LOT $2,295.00 PAVER REPAIRS Invoice 1702 6/15/2011 Transaction Date 7/5/2011 Wells Fargo 10100 Total $2,295.00 Refer 28 GLENWOOD INGLEWOOD _ Cash Payment E602-49450-210 Operating Supplies HOT & COLD WATER FILTER- PUBLIC $60.76 WORKS ACCT #851 Invoice 7263169 6/22/2011 Project SA -2 Transaction Date 7/5/2011 Wells Fargo 10100 Total $60.76 Refer 49 GLENWOOD INGLEWOOD _ Cash Payment E 101 -41310 -210 Operating Supplies HOT & COLD WATER COOLER CITY $6.73 MANAGER Invoice 7265948 6/27/2011 Transaction Date 7/6/2011 Wells Fargo 10100 Total $6.73 Refer 62 GLENWOOD INGLEWOOD _ Cash Payment E 101- 42110 -430 Miscellaneous HOT & COLD FILTERED WATER $121.52 • Invoice 7259862 6/21/2011 Transaction Date 7/6/2011 Wells F 1292- 10100 Total - $121.52 CITY OF MOUND Invoice 071211 7/6/2011 • CITY Payments OF MOUND Wells Fargo 10100 Total Current Period: July 2011 Refer 29 GRAND PERE WINES, INCORPOR _ Cash Payment E 609 -49750 -253 Wine For Resale WINE Invoice 00027233 6/29/2011 Cash Payment G 101 -22802 Festival Cash Payment E 609 -49750 -265 Freight FREIGHT Invoice 00027233 6/29/2011 Transaction Date 7/5/2011 Wells Fargo 10100 Refer 30 GRAPE BEGINNINGS, INCORPORA _ Cash Payment E 609 -49750 -253 Wine For Resale WINE Invoice 129318 6/29/2011 Transaction Date 7/6/2011 Cash Payment E 609 -49750 -265 Freight FREIGHT Invoice 129318 6/29/2011 Refer 52 HENRICKSEN PSG _ 07/07/11 11:41 AM Page 8 $348.00 $12.00 Total $360.00 $180.00 $2.25 Transaction Date 7/5/2011 Wells Fargo 10100 Total Refer 53 HANSON, KANDIS Cash Payment E 101 - 41310 -434 Conference & Training REIMBURSEMENT FOR MEALS AT LMC CONFERENCE 6 -14 THRU 6 -16 Invoice 071211 7/6/2011 Cash Payment E 101 - 41110 -430 Miscellaneous REIREIMBURSEMENT FOR PUBLIC RESTROOM OPEN HOUSE 6 -16 -11 DOLLAR STORE $182.25 $17.89 $5.36 Invoice 071211 7/6/2011 • Transaction Date 7/6/2011 Wells Fargo 10100 Total $23.25 Refer 51 HECKSEL MACHINE SHOP _ Cash Payment G 101 -22802 Festival 12 UMBRELLA STANDS ASSEMBLED & $416.82 PAINTED FOR SOL FESTIVAL Invoice 92564 6/3/2011 Transaction Date 7/6/2011 Wells Fargo 10100 Total $416.82 Refer 52 HENRICKSEN PSG _ Cash Payment E 101 -41110 -210 Operating Supplies 18 EXECUTIVE HIGH BACK CHAIRS FOR $3,667.97 COUNCIL MEMBERS & COUNCIL CHAMBERS Invoice 474466 6/30/2011 Transaction Date 7/6/2011 Wells Fargo 10100 Total $3,667.97 Refer 34 HOHENSTEINS, INCORPORATED _ Cash Payment E 609 -49750 -252 Beer For Resale BEER $270.00 Invoice 62711 6/27/2011 Transaction Date 7/5/2011 Wells Fargo 10100 Total $270.00 Refer 54 INTRCOMM TECHNOLOGY _ Cash Payment E 101 - 41920 -440 Other Contractual Servic MONTHLY MANAGED NETWORK SERVICE & $1,800.00 MAINTENANCE JULY 2011 Invoice 122893 7/1/2011 Transaction Date 7/6/2011 Wells Fargo 10100 Total $1,800.00 Refer 55 JANI -KING OF MINNESOTA, INCOR _ Cash Payment E 101 - 41910 -460 Janitorial Services MONTHLY CONTRACT JULY 2011 $519.15 Invoice MIN07110332 7/1/2011 Transaction Date 7/6/2011 Wells Fargo 10100 Total $519.15 Refer 31 JJ TAYLOR. DISTRIBUTING MINN Cash Payment E 609 -49750 -254 Soft Drinks /Mix For Resa MIX $80.50 Invoice 1562581 4/21/2011 -1293- // - I -- I CITY OF MOUND CITY OF MOUND Payments Current Period: July 2011 Transaction Date 7/5/2011 Wells Fargo Refer 32 JJ TAYLOR. DISTRIBUTING MINN Cash Payment E 609 -49750 -254 Soft Drinks /Mix For Resa MIX Invoice 1573417 6/27/2011 Transaction Date 7/5/2011 Wells Fargo Refer 33 JJ TAYLOR. DISTRIBUTING MINN _ Cash Payment E 60949750 -252 Beer For Resale BEER Invoice 1573416 6/27/2011 Cash Payment E 60949750 -252 Beer For Resale BEER Invoice 1562580 6/20/2011 Invoice 1081079 Transaction Date 7/5/2011 Wells Fargo Refer 104 JJ TAYLOR. DISTRIBUTING MINN _ Cash Payment E 60949750 -252 Beer For Resale BEER Invoice 1573446 7/1/2011 Cash Payment E 60949750 -252 Beer For Resale BEER Invoice 1573442 7/1/2011 6/22/2011 Cash Payment E 60949750 -254 Soft Drinks/Mix For Resa MIX Invoice 1573447 7/1/2011 BEER Transaction Date 717/2011 Wells Fargo Refer 105 JJ TAYLOR. DISTRIBUTING MINN Cash Payment E 609 -49750 -254 Soft Drinks/Mix For Rasa MIX Invoice 1573449 7/5/2011 Refer 37 JUBILEE FOODS Cash Payment E 60949750 -252 Beer For Resale BEER Invoice 1573448 7/5/2011 $51.61 Transaction Date 7/7/2011 Wells Fargo Refer 35 JOHNSON BROTHERS LIQUOR _ Cash Payment E 60949750 -253 Wine For Resale WINE Invoice 1081080 6/22/2011 Cash Payment E 60949750 -253 Wine For Resale WINE Invoice 366913 6/22/2011 Cash Payment E 60949750 -253 Wine For Resale WINE Invoice 1085557 6/29/2011 07/07/11 11:41 AM Page 9 10100 Total $80.50 $77.60 10100 Total $77.60 $6,670.50 $4,661.85 10100 Total $11,332.35 $1,580.65 $113.00 $38.80 10100 Total $1,732.45 $15.00 $1,803.80 10100 Total $1,818.80 $1,330.50 $1,368.50 $2,195.55 Transaction Date 7/5/2011 Wells Fargo 10100 Total $4,894.55 Refer 36 JOHNSON BROTHERS LIQUOR _ Cash Payment E 609 -49750 -251 Liquor For Resale LIQUOR $1,908.61 Invoice 1081079 6/22/2011 Cash Payment E 609 -49750 -251 Liquor For Resale LIQUOR $2,496.77 Invoice 1085556 6/29/2011 Cash Payment E 609 -49750 -252 Beer For Resale BEER $20.99 Invoice 1081081 6/22/2011 Cash Payment E 609 -49750 -252 Beer For Resale BEER $29.25 Invoice 1085558 6/29/2011 Transaction Date 7/5/2011 Wells Fargo 10100 Total $4,455.62 Refer 37 JUBILEE FOODS Cash Payment E 609 -49750 -255 Misc Merchandise For R LIMES & LEMONS FOR RESALE $51.61 Invoice 071211 6/21/2011 PO 20366 -1294- C7 • • CITY OF MOUND 07/07/11 11:41 AM Page 10 Payments CITY OF MOUND Current Period: July 2011 Wells Fargo 10100 Total $51.61 Cash Payment E 101 - 41110 -430 Miscellaneous PUBLIC REST ROOM RECEPTION REFRESHMENTS Invoice 071211 6/16/2011 Cash Payment E 101 - 42110 -431 Meeting Expense JUICE FOR MEETING Invoice 071211 6/1/2011 Transaction Date 7/5/2011 Refer 50 JUBILEE FOODS Refer 107 JUBILEE FOODS _ Cash Payment E 609 -49750 -255 Misc Merchandise For R LEMONS & LIMES FOR RESALE Invoice 071211 7/1/2011 Cash Payment E 609 -49750 -255 Misc Merchandise For R LEMONS & LIMES FOR RESALE Invoice 071211 7/2/2011 Transaction Date 7/7/2011 Wells Fargo 10100 Total Refer 74 KENNEDYAND GRAVEN Transaction Date 7/6/2011 Wells Fargo 10100 Total $7.57 $14.19 $21.76 $4.99 $54.74 $59.73 Cash Payment E 101 -41600 -300 Professional Srvs MISC LEGAL SERVICES THRU 5 -31 -11 $49.50 Invoice 071211 5/31/2011 Cash Payment E 101 -41600 -300 Professional Srvs BRENSHELULANDFORM DEVELOPMENT $280.00 LEGAL SERVICE THRU 5 -31 -11 • Invoice 071211 Cash Payment 5/31/2011 E 475 -46386 -300 Professional Srvs AUDITOR'S RD LAND PURCHASES /BECKEL $35.00 LEGAL SERVICE THRU 5 -31 -11 Invoice 071211 5/3112011 Transaction Date 7/6/2011 Wells Fargo 10100 Total $364.50 Refer 108 MARLIN'S TRUCKING DELIVERY _ Cash Payment E 60949750 -265 Freight FREIGHT - DELIVERY SERVICE 06 -16 $275.80 Invoice 25531 6/16/2011 Cash Payment E 609 -49750 -265 Freight FREIGHT - DELIVERY SERVICE 06 -20 $39.20 Invoice 25545 6/20/2011 Cash Payment E 609 - 49750 -265 Freight FREIGHT - DELIVERY SERVICE 06 -23 $176.40 Invoice 25566 6/23/2011 Cash Payment E 609 -49750 -265 Freight FREIGHT - DELIVERY SERVICE 06 -30 $278.60 Invoice 25586 6/30/2011 Transaction Date 717/2011 Wells Fargo 10100 Total $770.00 Refer 109 MINNESOTA PUBLISHING _ Cash Payment E 609 -49750 -340 Advertising 1/4 PAGE AD JULY 2011 ISSUE WEST LAKE $130.00 BUSINESS PUBLICATION Invoice 13413 6/29/2011 Transaction Date 7/7/2011 Wells Fargo 10100 Total $130.00 Refer 39 MUZAK - MINNEAPOLIS Cash Payment E 609 - 49750 -440 Other Contractual Servic MUSIC SERVICES JULY 2011 $106.07 Invoice A330679 7/1/2011 Transaction Date 7/5/2011 Wells Fargo 10100 Total $106.07 40 NORLINGS LAKE MINNETONKA LA • Refer Cash Payment E 60249450 -440 Other Contractual Servic BARTLETT & LAKEWOOD LIFTSTATION $1,200.00 LANDSCAPE INSTALLATION - GRADE TOPSOIL & SOD 6 -8 -11 Invoice 25675 6/13/2011 -1295- CITY OF MOUND 07/07/11 11:41 AM Page 11 I , Payments • CITY OF MOUND Current Period: July 2011 Cash Payment E 602 - 49450 -440 Other Contractual Servic SINCLAIR DR & WESTEDGE BLVD $665.00 LANDSCAPE INSTALL 7 ARBORVITAE - 6-8- 11 Invoice 25676 6/13/2011 Transaction Date 715/2011 Wells Fargo 10100 Total $1,865.00 Refer 41 OCWEN LOAN SERVICING LLC Cash Payment R601-49400-36200 Miscellaneous Revenu REFUND UTILITY BILLING OVERPAYMENT $588.45 5031 WOODRIDGE RD Invoice 071211 6/29/2011 Transaction Date 7/5/2011 Wells Fargo 10100 Total $588.45 Refer 42 OFFICE DEPOT _ Cash Payment E 101 -41910 -200 Office Supplies REFUND FOR CASE OF COPIER PAPER - $168.33 RETURNED Invoice 566078532001 6/14/2011 Cash Payment E 101 -41500 -200 Office Supplies 2 PRINTER TONER CARTRIDGES, FILE $491.80 FOLDER LABELS Invoice 569063331001 6/22/2011 PO 22583 Cash Payment E 101 -41910 -200 Office Supplies CORRECTION TAPE $12.45 Invoice 569063331001 6/22/2011 PO 23579 Cash Payment E 602 -49450 -200 Office Supplies COPY PAPER $42.45 Invoice 566078532001 6/22/1111 PO 23579 Transaction Date 7/5/2011 Wells Fargo 10100 Total $378.37 • Refer 56 OFFICE DEPOT _ Cash Payment E 609 -49750 -210 Operating Supplies HIGH BACK HAWKINS CHAIR FOR LIQUOR $376.20 STORE OFFICE Invoice 569314968001 6/24/2011 PO 20367 Transaction Date 7/6!2011 Wells Fargo 10100 Total $376.20 Refer 60 OFFICE DEPOT _ Cash Payment G 101 -22802 Festival NAME BADGES & LAMINATING POUCHES $14.64 FOR SPIRIT OF THE LAKES FESTIVAL Invoice 569280055001 6/24/2011 PO 23578 Transaction Date 7/6/2011 Wells Fargo 10100 Total $14.64 Refer 43 PAUSTIS AND SONS WINE COMPA _ Cash Payment E 609 -49750 -253 Wine For Resale WINE $634.70 Invoice 8309833 -IN 6/27/2011 Cash Payment E 609 -49750 -265 Freight FREIGHT $11.25 Invoice 8309833 -IN 6/27/2011 Transaction Date 7/5!2011 Wells Fargo 10100 Total $645.95 Refer 57 PHILLIPS WINE AND SPIRITS, INC _ Cash Payment E 609 -49750 -253 Wine For Resale WINE $91.00 Invoice 2086538 6/22/2011 Cash Payment E 609 -49750 -253 Wine For Resale WINE $505.20 Invoice 2086540 6/22/2011 Cash Payment E 609 -49750 -253 Wine For Resale WINE $873.30 Invoice 2089535 6/29!2011 Transaction Date 7/612011 Wells Fargo 10100 Total $1,469.50 • Refer 58 PHILLIPS WINE AND SPIRITS, INC -1296- CITY OF MOUND • CITY OF MOUND Payments Current Period: July 2011 Cash Payment E 609 -49750 -251 Liquor For Resale LIQUOR Invoice 2086539 6/22/2011 Cash Payment E 609 -49750 -251 Liquor For Resale LIQUOR Invoice 2086536 6/29/2011 Cash Payment E 609 -49750 -254 Soft Drinks/Mix For Resa MIX Invoice 2089537 6/29/2011 Transaction Date 7/6/2011 Wells Fargo 10100 Refer 64 QUALITY WINE AND SPIRITS Cash Payment E 609 -49750 -251 Liquor For Resale LIQUOR Invoice 473080 -00 6/22/2011 Cash Payment E 609 -49750 -251 Liquor For Resale LIQUOR Invoice 476342 -00 6/29/2011 Cash Payment E 609 -49750 -251 Liquor For Resale LIQUOR Invoice 473081 -CO 6/22/2011 Transaction Date 7/6/2011 Wells Fargo 10100 Refer 65 QUALITY WINE AND SPIRITS _ Cash Payment E 609 -49750 -253 Wine For Resale WINE Invoice 476369 -00 6/29/2011 Cash Payment E 609 -49750 -253 Wine For Resale WINE • Invoice 473079 -00 6/22/2011 Cash Payment E 609 -49750 -254 Soft Drinks/Mix For Resa MIX Invoice 476341 -CO 6/29/2011 Cash Payment E 60949750 -254 Soft Drinks/Mix For Resa MIX Invoice 473082 -CO 6/22/2011 Cash Payment E 609 -49750 -255 Misc Merchandise For R OLIVES FOR RESALE Invoice 473083 -00 6/22/2011 Transaction Date 7/6/2011 Wells Fargo 10100 Refer 61 READY WATT ELECTRIC _ 07/07/11 11:41 AM Page 12 $110.65 $1,929.25 $41.95 Total $2,081.85 $1,730.20 $2,735.42 $100.88 Total $4,566.50 $807.70 $671.38 $48.00 $16.00 $85.06 Total $1,628.14 Cash Payment E 101 -42115 -329 Sirens /Phone Linesl REPLACE OLD RUSTED ELECTRICAL PARTS $595.00 & CONTROLLERS ON SIREN LOCATED AT PUBLIC WORKS BLDG Invoice 95758 6/24/2011 PO 23228 Transaction Date 7/6/2011 Wells Fargo 10100 Total Refer 66 ROBERTS, COLLETTE Cash Payment E 101 -41500 -331 Use of personal auto Invoice 071211 7/1/2011 Transaction Date 7/6/2011 Refer 67 ROCKYS HANDYMAN SERVICES L Cash Payment E 101 - 49999 -430 Miscellaneous Invoice 2011 -229 7/5/2011 Cash Payment E 101 - 49999 -430 Miscellaneous Invoice 2011 -225 7/5/2011 Cash Payment E 101 - 49999 -430 Miscellaneous Invoice 2011 -228 7/5/2011 REIMBURSE MILEAGE TO BENEFIT MTG 6- 21-11 MTKA Wells Fargo 10100 Total FORCED MOWING SERVICES 2621 CLARE LANE FORCED MOWING SERVICE 4869 HANOVER RD FORCED MOWING SERVICES 4876 BARTLETT BLVD. $595.00 $15.71 $15.71 $106.88 $106.88 $106.88 -1297- CITY OF MOUND 07/07/11 11:41 AM Page 13 Payments • CITY OF MOUND Current Period: July 2011 Cash Payment E 101- 49999430 Miscellaneous FORCED MOWING SERVICES 5061 AVON $213.75 DRIVE Invoice 2011 -227 7/5/2011 Cash Payment E 10149999430 Miscellaneous FORCED MOWING SERVICES 1943 $128.25 SHOREWOOD LANE Invoice 2011 -226 7/5/2011 Cash Payment E 101 - 49999430 Miscellaneous FORCED MOWING SERVICES 5778 $106.88 BARTLETT BLVD Invoice 2011 -224 7/5/2011 Cash Payment E 101 - 49999 -430 Miscellaneous FORCED MOWING SERVICES 5782 $106.87 BARTLETT BLVD Invoice 2011 -224 7/5/2011 Cash Payment E 101 - 49999430 Miscellaneous FORCED MOWING SERVICES 4724 $106.88 BEACHSIDE LANE Invoice 2011 -223 7/5/2011 Cash Payment E 10149999430 Miscellaneous FORCED MOWING SERVICES 4739 $128.25 BEDFORD Invoice 2011 -222 7/5/2011 Cash Payment E 101 - 49999430 Miscellaneous FORCED MOWING SERVICES 4626 $106.88 BEDFORD Invoice 2011 -221 715/2011 Cash Payment E 101 - 49999 -430 Miscellaneous FORCED MOWING SERVICES 2901 $106.88 Invoice 2011 -230 7/5/2011 MEADOW LANE • Transaction Date 7/6/2011 Wells Fargo 10100 Total $1,325.28 Refer 68 SCHINDLER ELEVATOR CORPORA Cash Payment E 285 - 46388 -400 Repairs & Maintenance ELEVATOR SERVICE AT PARKING DECK $324.22 ELEVATOR STUCK ON 4TH FLOOR W /DOORS OPEN Invoice 7151446063 6/29/2011 Transaction Date 7/6/2011 Wells Fargo 10100 Total $324.22 Refer 75 SHANKEN COMMUNICATIONS, INC Cash Payment E 60949750 -255 Misc Merchandise For R WINE SPECTATOR NEWS 6 -30 -11 ISSUES $15.00 Invoice 792387 6/21/2011 Transaction Date 7/6/2011 Wells Fargo 10100 Total $15.00 Refer 72 SPEEDWAY SUPERAMERICA (P/W _ Cash Payment E 101 -45200 -212 Motor Fuels GASOLINE CHARGES THRU 6 -22 -11 PARKS $225.04 Invoice 071211 6/22/2011 Cash Payment E 28546388 -212 Motor Fuels GASOLINE CHARGES THRU 6- 22 -11- $9.80 PARKING RAMP Invoice 071211 6/22/2011 Cash Payment E 101 -43100 -212 Motor Fuels GASOLINE CHARGES THRU 6 -22 -11 $1,407.07 STREETS Invoice 071211 6/22/2011 Cash Payment E 60149400 -212 Motor Fuels GASOLINE CHARGES THRU 6 -22 -11 WATER $545.26 Invoice 071211 6/22/2011 Cash Payment E 60249450 -212 Motor Fuels GASOLINE CHARGES THRU 6 -22 -11 $749.49 Invoice 071211 6/22/2011 Transaction Date 7/612011 Wells Fargo 10100 Total $2,936.66 • Refer 71 SPEEDWAY SUPERAMERICA (PAR _ -1298- CITY OF MOUND 07/07111 11:41 AM Page 14 Payments • CITY OF MOUND Current Period: July 2011 Cash Payment E 10145200 -212 Motor Fuels GASOLINE CHARGES THRU 6 -22 -11 $2,463.91 Invoice 071211 6/22/2011 Transaction Date 7/6/2011 Wells Fargo 10100 Total $2,463.91 Refer 70 SPEEDWAY SUPERAMERICA (POL _ Cash Payment E 10142110 -212 Motor Fuels FUEL CHARGES THRU 6 -22 -11 $4,009.25 Invoice 071211 6/22/2011 Transaction Date 7/6/2011 Wells Fargo 10100 Total $4,009.25 Refer 73 SPIRIT OF THE LAKES FESTIVAL _ Cash Payment E 10141115430 Miscellaneous 2011 SPONSORSHIP $1,500.00 Invoice 071211 6/30/2011 Transaction Date 7/6/2011 Wells Fargo 10100 Total $1,500.00 Refer 76 STREICHER'S _ Cash Payment E 10142110 -210 Operating Supplies MJ DRUG TEST KITS $70.97 Invoice 1844397 6/14/2011 PO 23239 Transaction Date 7/6/2011 Wells Fargo 10100 Total $70.97 Refer 77 THORPE DISTRIBUTING COMPAN _ Cash Payment E 60949750 -252 Beer For Resale BEER $7,687.05 Invoice 644387 6/21/2011 Payment E 609 -49750 -252 Beer For Resale BEER $66.10 • Cash Invoice 644263 6/21/2011 Cash Payment E 609 -49750 -254 Soft Drinks/Mix For Resa MIX $50.00 Invoice 644387 6/21/2011 Cash Payment E 609 -49750 -252 Beer For Resale BEER $240.00 Invoice 00770155 6/20/2011 Transaction Date 7/6/2011 Wells Fargo 10100 Total $8,043.15 Refer 78 THORPE DISTRIBUTING COMPAN - Cash Payment E 60949750 -252 Beer For Resale BEER $5,337.25 Invoice 645340 6/28/2011 Cash Payment E 60949750 -252 Beer For Resale BEER $88.50 Invoice 645341 6/28/2011 Cash Payment E 609 -49750 -254 Soft Drinks/Mix For Resa MIX $18.90 Invoice 645341 6/28/2011 Cash Payment E 60949750 -252 Beer For Resale BEER $681.00 Invoice 00770223 6/27/2011 Transaction Date 716/2011 Wells Fargo 10100 Total $6,125.65 Refer 81 THORPE DISTRIBUTING COMPAN _ Cash Payment E 60949750 -252 Beer For Resale BEER $48.60 Invoice 645123 6/24/2011 Transaction Date 7/6/2011 Wells Fargo 10100 Total $48.60 Refer 110 THORPE DISTRIBUTING COMPAN _ Cash Payment E 60949750 -252 Beer For Resale BEER $83.30 Invoice 646262 7/5/2011 Payment E 60949750 -252 Beer For Resale BEER $7,106.70 • Cash Invoice 646265 7/5/2011 Transaction Date 7/7/2011 Wells Fargo 10100 Total $7,190.00 Refer 79 TOTAL REGISTER SYSTEMS, INC. _ -1299- CITY OF MOUND I, Payments CITY OF MOUND Current Period: July 2011 Cash Payment E609-49750-210 Operating Supplies REGISTER TAPES Invoice 26699 6/20/2011 6/23/2011 Transaction Date 7/6/2011 Wells Fargo 10100 Refer 95 TRUE VALUE, MOUND (PW PKS) _ GAL BAR & CHAIN OIL Cash Payment E 101 -43100 -221 Equipment Parts GRAFFITI REMOVER SPRAY Invoice 083937 6/13/2011 Cash Payment Cash Payment E 101 -43100 -220 Repair/Maint Supply GOOF -OFF REMOVERS Invoice 083953 6/13/2011 HANGING FLOWER BASKETS DOWNTOWN Cash Payment E 602 -49450 -220 Repair/Maint Supply BLACK FOAM TAPE Invoice 083964 6/13/2011 Cash Payment Cash Payment E 602 -49450 -220 Repair/Maint Supply EXPAND FOAM Invoice 083970 6/13/2011 Cash Payment E 101 -43100 -226 Sign Repair Materials POLY ROPE AND CABLE TIE Invoice 083985 6/14/2011 Cash Payment E 601 -49400 -210 Operating Supplies 2 PK 9VOLT ALK BATTERY Invoice 084115 6/17/2011 Cash Payment E 602 -49450 -218 Clothing and Uniforms 4 PR LEATHER PALM GLOVES Invoice 084197 6/20/2011 Cash Payment E 602 -49450 -220 Repair/Maint Supply RETURN LEATHER GLOVES Invoice 084198 6/20/2011 Cash Payment E 609 -49750 -210 Operating Supplies TRASH BAGS Invoice 084231 6/21/2011 Transaction Date 7/7/2011 Wells Fargo 10100 Refer 96 TRUE VALUE, MOUND (PW PKS) _ Cash Payment E 101 -45200 -220 Repair/Maint Supply SCREWS, NUT, BOLTS Invoice 084293 6/22/2011 Cash Payment E 101 - 41910 -401 Building Repairs SUMP PUMP FOR CITY HALL Invoice 084295 6/22/2011 Cash Payment E 101 -43100 -226 Sign Repair Materials SCREWS, NUT, BOLTS & BIT Invoice 084308 6/23/2011 07/07/11 11:41 AM Page 15 $179.52 • Total $179.52 $40.05 $20.28 $8.54 $11.75 $24.55 $8.54 $11.99 -$4.00 $21.36 • Total $143.06 $8.48 $133.58 $21.67 Cash Payment E 602 -49450 -210 Operating Supplies DISH SOAP AND BOWL CLEANER $10.22 Invoice 084328 6/23/2011 Project SA -2 Cash Payment E 101 -45200 -220 Repair /Maint Supply GAL BAR & CHAIN OIL $12.81 Invoice 084353 6/24/2011 Cash Payment E 101 -45200 -220 Repair/Maint Supply PLANT FOOD AND TEFLON TAPE FOR $14.91 HANGING FLOWER BASKETS DOWNTOWN Invoice 084363 6/24/2011 Cash Payment E 101 -45200 -220 Repair /Maint Supply LINE LEVEL, TWINE, QUICK LINKS $34.44 Invoice 084588 6/30/2011 Transaction Date 7/7/2011 Wells Fargo 10100 Total $236.11 Refer 97 TRUE VALUE, MOUND (PW PKS) _ Cash Payment E 602 -49450 -220 Repair/Maint Supply SCREWS, NUTS, BOLTS FOR SHOP $10.90 Invoice 083850 6/10/2011 Project SA -2 Cash Payment E 101 -43100 -220 Repair/Maint Supply PADDED GLASSES Invoice 084354 6/24/2011 Transaction Date 7/7/2011 Wells Fargo 10100 Refer 98 TRUE VALUE, MOUND (PW PKS) _ $12.81 Total $23.71 • -1300- CITY OF MOUND Payments CITY OF MOUND • Invoice 084592 6/30/2011 Transaction Date 717/2011 Wells Fargo 10100 Refer 86 VINOCOPIA, INCORPORATED _ Cash Payment E 609 -49750 -253 Wine For Resale WINE Invoice 0040942 -IN 6/23/2011 Cash Payment E 609 -49750 -265 Freight FREIGHT Invoice 0040942 -IN 6/23/2011 Transaction Date 7/6/2011 Wells Fargo 10100 Refer 80 WINE COMPANY Cash Payment E 609 -49750 -253 Wine For Resale Invoice 273414 -00 6/30/2011 Cash Payment E 609 -49750 -265 Freight Invoice 273414 -00 6/30/2011 WINE FREIGHT Project SA -2 Total Total Transaction Date 7/6/2011 Wells Fargo 10100 Total Refer 82 WINE CONNECT _ Cash Payment E 609 -49750 -340 Advertising JULY ADVERTISING WINE CONNECT PUBLICATION 07/07/11 11:41 AM Page 16 $19.23 $12.15 $7.47 $12.81 $11.73 $14.34 $11.21 $24.34 $10.67 $8.10 $132.05 $359.25 $8.00 $367.25 $476.00 $9.90 $485.90 $95.12 Invoice 834 7/1/2011 Current Period: July 2011 Cash Payment E 602 -49450 -230 Shop Materials KITCHEN BAGS Invoice 084430 6/27/2011 Project SA -2 Cash Payment E 602 -49450 -322 Postage FED EX SHIPPING CHARGE Invoice 084430 6/27/2011 Project SA -2 Cash Payment E 602 -49450 -230 Shop Materials LYSOL WIPES SHOP Invoice 084450 6/27/2011 Project SA -2 Cash Payment E 101 -43100 -210 Operating Supplies SAFETY GLASSES Invoice 084495 6/28/2011 Cash Payment E 602 -49450 -210 Operating Supplies DEEP WOODS REPELLENT Invoice 084531 6/29/2011 Project SA -2 Cash Payment E 602 -49450 -322 Postage BACKUP GENERATOR FED EX SHIPPING Invoice 084567 6/30/2011 Project SA -2 Cash Payment E 101 -43100 -220 Repair /Maint Supply 4' REC BAR FOR #308 Invoice 084577 6/30/2011 Cash Payment E 285 -46388 -220 Repair /Maint Supply 9V ALK BATTERY, TOILET BOWL CLEANER & GAL LOTION SOAP FOR PARKING DECK BATHROOM Invoice 084584 6/30/2011 Cash Payment E 602 -49450 -210 Operating Supplies 4 PKS AA & AAA BATTERIES, Invoice 084586 6/30/2011 Cash Payment E 602 -49450 -210 Operating Supplies TOILET BOWL CLEANER • Invoice 084592 6/30/2011 Transaction Date 717/2011 Wells Fargo 10100 Refer 86 VINOCOPIA, INCORPORATED _ Cash Payment E 609 -49750 -253 Wine For Resale WINE Invoice 0040942 -IN 6/23/2011 Cash Payment E 609 -49750 -265 Freight FREIGHT Invoice 0040942 -IN 6/23/2011 Transaction Date 7/6/2011 Wells Fargo 10100 Refer 80 WINE COMPANY Cash Payment E 609 -49750 -253 Wine For Resale Invoice 273414 -00 6/30/2011 Cash Payment E 609 -49750 -265 Freight Invoice 273414 -00 6/30/2011 WINE FREIGHT Project SA -2 Total Total Transaction Date 7/6/2011 Wells Fargo 10100 Total Refer 82 WINE CONNECT _ Cash Payment E 609 -49750 -340 Advertising JULY ADVERTISING WINE CONNECT PUBLICATION 07/07/11 11:41 AM Page 16 $19.23 $12.15 $7.47 $12.81 $11.73 $14.34 $11.21 $24.34 $10.67 $8.10 $132.05 $359.25 $8.00 $367.25 $476.00 $9.90 $485.90 $95.12 Invoice 834 7/1/2011 Transaction Date 7/6/2011 Wells Fargo 10100 Total $95.12 Refer 83 WINE MERCHANTS _ Cash Payment E 609 -49750 -253 Wine For Resale WINE $284.00 Invoice 367816 6/29/2011 Transaction Date 7/6/2011 Wells Fargo 10100 Total $284.00 69 WINE NEWS INCORPORATED _ • Refer Cash Payment E 609 -49750 -255 Misc Merchandise For R WINE ENTHUSIAST JULY 2011 $15.00 Invoice 791282 6/20/2011 Transaction Date 7/6/2011 Wells F ---- 10100 Total $15.00 -1301- CITY OF MOUND 07/07/11 11:41 AM I , Page 17 Payments CITY OF MOUND • Current Period: July 2011 Refer 84 WIRTZ BEVERAGE MN BEER _ Cash Payment E 609 -49750 -252 Beer For Resale BEER $7,751.30 Invoice 764025 6/22/2011 Cash Payment E 609 - 49750 -252 Beer For Resale BEER $4100 Invoice 766956 6/29/2011 Cash Payment E 60949750 -252 Beer For Resale BEER $5,918.70 Invoice 766955 6/29/2011 Transaction Date 7/6/2011 Wells Fargo 10100 Total $13,713.00 Refer 87 WIRTZ BEVERAGE MN WINE SPIRT _ Cash Payment E 609 -49750 -253 Wine For Resale WINE $47.95 Invoice 591018 6/23/2011 Cash Payment E 609 -49750 -253 Wine For Resale WINE $818.10 Invoice 591017 6/23/2011 Cash Payment E 609 -49750 -253 Wine For Resale WINE $0.00 Invoice 590618 6/23/2011 Cash Payment E 60949750 -254 Soft Drinks/Mix For Resa MIX $112.18 Invoice 591020 6/23/2011 Cash Payment E 609 -49750 -251 Liquor For Resale LIQUOR $890.20 Invoice 591019 6/23/2011 Transaction Date 7/6/2011 Wells Fargo 10100 Total $1,868.43 Refer 88 WIRTZ BEVERAGE MN WINE SPIRT _ Cash Payment E 60949750 -253 Wine For Resale WINE $735.40 Invoice 594406 6/30/2011 Cash Payment E 60949750 -254 Soft Drinks/Mix For Resa MIX $167.00 Invoice 593908 6/30/2011 Cash Payment E 609 -49750 -251 Liquor For Resale LIQUOR $2,418.40 Invoice 594407 6/30/2011 Cash Payment E 609 -49750 -254 Soft Drinks/Mix For Resa MIX $90.20 Invoice 594408 6/30/2011 Transaction Date 7/6/2011 Wells Fargo 10100 Total $3,411.00 Refer 90 XCEL ENERGY _ Cash Payment E 101 -43100 -381 Electric Utilities SHORELINE/COMMERCE STREET LIGHTS 5- $737.15 25 THRU 6 -26 -11 Invoice 378070227 6/28/2011 Cash Payment E 602 -49450 -381 Electric Utilities PIN PARKING LOT TEMP LIGHTS $134.27 ELECTRICITY 5 -24 THRU 6 -23 -11 Invoice 377611212 6/24/2011 Project SA -2 Cash Payment E 602 -49450 -381 Electric Utilities 5502 SHORELINE DRIVE LIFT STATION $832.95 ELECTRICITY 5 -25 THRU 6 -25 -11 Invoice 377827566 6/27/2011 Transaction Date 7/6/2011 Wells Fargo 10100 Total $1,704.37 Refer 91 XCEL ENERGY _ Cash Payment E 602 -49450 -381 Electric Utilities 4873 IVD LIFT STATION ELECTRICITY 5 -29 $219.94 THRU 6 -27 -11 Invoice 378254689 6/29/2011 Transaction Date 7/6/2011 Wells Fargo 10100 Total $219.94 • -1302- CITY OF MOUND Fund Summary 101 GENERAL FUND 222 AREA FIRE SERVICES 285 MOUND HRA 401 GENERAL CAPITAL PROJECTS 475 TIF 1 -3 Mound Harbor Renaissan 601 WATER FUND 602 SEWER FUND 609 MUNICIPAL LIQUOR FUND 670 RECYCLING FUND CITY OF MOUND Payments Current Period: July 2011 10100 Wells Fargo $58,883.92 $789.34 $2,653.36 $2,012.00 $35.00 $1,758.20 $5,009.05 $106,037.45 $14,280.21 $191,458.53 07/07/11 11:41 AM Page 18 Pre - Written Checks $0.00 Checks to be Generated by the Compute $191,458.53 Total $191,458.53 • �J -1303- 5341 Maywood Road City of • • Mound, MN 55364 Planning • i • Department • (952) 472 -0604 MEMORANDUM To: Honorable Mayor and City Council From: Sarah Smith, Community Development Director Date: 7/7/2011 Re: 2011 Tour de Tonka — Temporary Sign Permit (Portable Sign) SUMMARY. Tim Litfin, on behalf of the Tour de Tonka organization, is requesting approval of a temporary sign permit to allow placement of a portable sign at Grandview Middle School on Commerce Boulevard /CSAH 110 to promote the 2011 Tour de Tonka race which is being held on Saturday, August 6, 2011. The sign will be on site from 7 -29 -2011 through 8-6 -2011. A copy temporary sign permit application has been included as an attachment Respectfully, Staff offers the following comments: Portable Siens. • City Code Section 119 allows for the placement of portable signs and is eligible for • administrative approval in most instances subject to conditions. However, Council approval is required for portable sign placement on public property. • Portable signs are subject to a 10 -day allowance. • There is no fee for a portable sign permit. RECOMMENDATION. City staff recommends that the City Council approve the temporary sign permit request for the portable sign for the 2011 Tour de Tonka subject to the following conditions: 1. The applicant shall be responsible for obtaining permission from the current property owner. 2. The portable sign shall be removed immediately following the event. 3. No signs can be placed within any County Road right -of -way unless approval is granted by Hennepin County. 4. No sign shall be placed in the sight triangle or obstruct vehicle or pedestrian traffic. Sign placement shall be subject to field modification by Mound Staff, if needed. • -1304- 0 IP tOl 5341 Maywood Road, Mound, MN 55354 Phone $52 -472 -0600 Fax 952 -472 -0620 SEASONAL, BANNER, & PORTABLE SIGN PERMIT APPLICATION SITE Property Address MMF1 D , Zone Business Name CL2& &Vt6W (m tDPL45 6(� Phone APPLICANT Name �0�! t¢. D�[.TQN A Email '� lh't •I i ffi rii rvtr<n•1u Phone 446 t401 +3 Fax Other OWNER Name Phone Fax Other SIGN Company Name J;�X.Pglr. St6J-J : '9ArWQ>)5, /NG. CONTRACTOR dress ?. 0 BQ4 KNO . M oJ _ 33 Contact Person F✓kG Ill kPa- � Emati f Ww_ 1(gC�hOfVVaj (• C*i1 Phone 11031 �_ Fax Other See City Code Chapter 1194 ❑ Seasonal Sign $25 - Dates from to Size feet x feet = sf Message Seasonal Signs - Seasonal signs of a temporary or portable nature may be used in the non - residential districts to promote or advertise on premise seasonal services or merchandise. Such signs shall be limited to a maximum of thirty -two (32) square feet and shall not be left in place for more than a two (2) month period. Permits and fees shall be required for all seasonal signs, and permits may be issued no more than two (2) times per calendar year per business. ❑ BannedPennant $25 - Dates from to Describe event Sign locations (list or attach map) 0 Temporary banners and pennants employed for grand openings or business establishments, special events or promotions and holidays are not exempt from permits and fees and shall be removed within fifteen (15) days upon permit Issuance unless an alternate schedule is approved by the City Council. Temporary banners and pennants are prohibited from being placed upon any decorative fencing unless the banner or pennant is used in conjunction with a government, a quasi- public function, or similar- related special event. Permits for banners and pennants can be issued no more than four (4) times per calendar year. Portable Sign (nsa fee) - Dates from• . x ' 1 to '6 Number of signs Sign locations (list or attach map) Cg E ft >pViC o J At 0 .urlri • US Describe sign (message, materials, etc.) A 4a V wxt S. e f a S a 4C Fra A e , .� 2e = •eo`� $ ' )e V ' a Y' x 6 . �' / w ` , I/ b *W0 S Z Se4Q J s a y ovr o0e- Tv n Kq A S - 1305 -m( /1 9130-//130 Portable Signs used for the purpose of directing the public may be permitted under the following conditions: (a) Said sign is coincidental to, or used in conjunction with, a governmental unit or quasi - public function; and • (b) The period of use of said sign shah not exceed ten (10) consecutive days; and (c) Signs shall not be used more than four (4) times during a calendar year; and (d) Signs shall be placed on the premises of the advertised event and/or on such other premises following approval of a temporary sign permit by the City of Mound. Administrative approval of a portable sign permit is permitted if the following conditions are met; 1. The sign is.not.being placed. oh public property. 2. 'Written permission from the property owner of record is provided N being located off- premises. 3. The criteria reference in subsections (a), (b), and (c) above are met. 4. The proposed location of the sign is reviewed and deemed acceptable by Mound Staff, which shall include the Police, Planning, and Engineering Departments, based on the following criteria: • The sign is not being placed in the road right -of -way. • The sign does not obstruct the sight triangle for pedestrian or vehicular traffic. • Placement of the sign does not create any potential traffic or other related hazard; and (e) Portable sign placement on public property requirew ty Council approval; and (f) Such signs shall require the Issuance of a permit but will be exempt from all fees; and (g) In the instance of a multi -use facility, only one seasonal sign may be placed on the premises at any one time. Applicants are advised that incomplete applications or insufficient Information can delay the processing of the permit request or may result in the application being rejected. Please fully complete all involved sections of the application and provide as much detail as possible, including, but not limited to, the proposed locations of signs, using addresses or landmarks, and written permission from the property owner for off -site locations. ✓11i/1+1"e_ A APPLICAN S IGNA URE DATE (OFFICE USE ONLY) SPECIAL CONDITIONS & COMMENTS: RECEIVED BY & DATE PLANS CHECKED BY APPROVED BY & DATE COPIED APPROVED ioAIING • -1306- • Public Employees Retirement Association of Minnesota 60 Empire Drive, Suite 200 AM, Ak Saint Paul, Minnesota 55103 -2088 Member Information Services: 651- 296 -7460 or 1 -800- 652 -9026 �- Employer Response Lines: 651 - 296 -3636 or 1- 888 - 892 -7372 Q�v� PERA Fax Number: 651 - 297 - 2547 PERA Website: www.mnpera.org PERA ID No.: 6430 -00 • • June 27, 2011 COLLETTE ROBERTS PAYROLL /ACCOUNTING CITY OF MOUND 5341 MAYWOOD RD MOUND MN 55364 -1627 Dear Collette Roberts: Our records indicate that we do not have the position information or certification form needed to finalize the plan coverage that has been given to certain employees who recently became PERA members. Minnesota law requires employers to certify the eligibility of all employees who contribute to PERA's Correctional Plan or the Defined Contribution Plan for Physicians, as well as Police and Fire Plan members who are not employed full -time as police officers or fire fighters. The law sets a filing deadline for physicians of 90 days of their first DCP contribution and for the Correctional and Police and Fire plans the filing deadline is six months from the date of PERA's request for the form. This reporting requirement applies regardless of whether or not the individual still holds the position that provided this pension plan coverage. Our computer records indicate that the following current or former employee(s) had retirement deductions for a plan that requires written certification of eligibility. If we do not receive the necessary certification, we must deem the contributions received to be invalid and transfer the pension coverage to the Coordinated Plan. Employee Name SSN PERA ID PERA Plan Position Title ' Position Require - No Recorded at PERA Class ment' SZCZEPANIK, JANE J 833500 Police and Fire Police Officer PT a) For each current or former member listed above we ask that you take the following steps: 1. Verify that the position title shown above (police officer, correctional officer, etc.) is accurate. If we are missing the title or if our information is incorrect, please provide the correct data to us. 2. Verify that the position class listed (full -time, part-time, etc.) is accurate. If the classification is missing or if what is printed is incorrect, please contact our office so we can update our records. NOTE: Please advise us if any listed employee is employed full -time as either a police officer or firefighter. In these instances, no additional certification materials will be required. 3. If this is a position that requires a certification document, use the alphabet letter (a, b, c) in the last column above and the enclosed instructions to determine the step you need to take to finalize this enrollment.. Please give this matter your immediate attention to continue the PERA plan membership of the above -named member(s). To discuss the membership requirements of any of the above -named members, please call our Emplo e� r Response Line and press 3. Or, if you have already provided the certification form or resolution, we apologize for this request and ask that you inform us by calling 651 - 296 -3636 or 1- 888 -892 -7372 (press 6). Cami Correspondence PUBLIC EMPLOYEES RETIREMENT ASSOCIATION I If we are missing both a person's position title and class, please check to see that you sent a completed enrollment form to us when employment began. Please provide an enroll—­ 7 "--rn now if appropriate. Z Refer to the enclosed Plan Certification Requirements a for further information and instructions. RE1300101003610.Doc Equal OpporhmiTy Employer CITY OF MOUND — • RESOLUTION NO. 11- RESOLUTION DECLARING THAT POLICE OFFICER MEETS ALL OF THE POLICE AND FIRE REQUIREMENTS OF THE PUBLIC EMPLOYEES RETIREMENT ASSOCIATION WHEREAS, the policy of the State of Minnesota as declared in Minnesota Statutes 353.63 is to give special consideration to employees who perform hazardous work and devote their time and skills to protecting the property and personal safety of others; and WHEREAS, Minnesota Statutes Section 353.64 permits governmental subdivisions to request coverage in the Public Employees Police and Fire plan for eligible employees of police departments whose position duties meet the requirements stated therein and listed below. NOW, THEREFORE BE IT RESOLVED that the City of Mound hereby declares that the position titled Police Officer, currently held by Jane J. Szczepanik, meets all of the following Police and Fire membership requirements: 1. Said position requires a license by the Minnesota peace officer standards and training board under sections 626.84 to 626.863 and this employee is so licensed; 2. Said position's primary (over 50 %) duty is to enforce the general criminal laws of the state; 3. Said position charges this employee with the prevention and detection of crime; 4. Said position gives this employee the full power of arrest, and 5. Said position is assigned to a designated Police Department. BE IT FURTHER RESOLVED that this governing body hereby requests that the above -named is employee be accepted as a member of the Public Employees Police and Fire Plan effective the date of this employee's initial Police and Fire salary deduction by the governmental subdivision. Adopted by the City Council this 12 day of July, 2011. Mayor Mark Hanus Attest: Bonnie Ritter, City Clerk C7 -1308- • • l � u Minnesota Lawful Gambling Page 1 of 2 5/11 LG220 Application for Exempt Permit Application fee If i a' marked r receiv less than 30 days ore than 30 days An exempt permit may be issued to a nonprofit organization that: - conducts lawful gambling on five or fewer days, and before the event before the event - awards less than $50,000 in prizes during a calendar year. $100 $50 ORGANIZATION INFORMATION Check# $ Organization name Previous gambling permit number Our Lady of the Lake Church X -27340 Minnesota tax ID number, if any Federal employer ID number, if any ES 29286 41- 0718339 Type of nonprofit organization. Check one. Fraternal € �/ Religious 7 Veterans 1 Other nonprofit organization Mailing address City State Zip Code County 2385 Commerce Blvd. Mound MN 55364 Hennepin Name of chief executive officer (CEO) Daytime phone number Email address Rhonda M. Eurich, Administrator 952 -472 -1284 ext. 161 reurich @oll.pvt.k12.mn.us Attach a copy ol of the following for proof of nonprofit status. Do not attach a sales tax exempt status or federal employer ID number as they are not proof of nonprofit status. D onprofit Articles of Incorporation OR a current Certificate of Good Standing . Don't have a copy? This certificate must be obtained each year from: Secretary of State, Business Services Div., 180 State Office Building, St. Paul, MN 55155 Phone: 651 -296 -2803 F IRS income tax exemption [501(c)] letter in your organization's name. Don't have a copy? To obtain a copy of your federal income tax exempt letter, have an organization officer contact the IRS at 877 - 829 -5500. i — {, ✓_;IRS - Affiliate of national, statewide, or international parent nonprofit organization (charter) If your organization falls under a parent organization, attach copies of both of the following: a. IRS letter showing your parent organization is a nonprofit 501(c) organization with a group ruling, and b. the charter or letter from your parent organization recognizing your organization as a subordinate. GAMBLING PREMISES INFORMATION Name of premises where the gambling event will be conducted. For raffles, list the site where the drawing will take place. Our Lady of the Lake Church Address (do not use PO box) City or township Zip Code County 2 385 Commerce Blvd. Mound 55364 Hennepin Date(s) of activity (for raffles, indicate the date of the drawing) September 9, 10 & 11 of 2011 Check the box or boxes that indicate the type of gambling activity your organization will conduct: / Bingo* V( Raffles Paddlewheels* Pull -Tabs* Tipboards* 1 � * Gambling equipment for pull -tabs, bingo paper, tipboards, and paddlewheels must be obtained from a distributor licensed by the Gambling Control Board, EXCEPTION: Bingo hard cards and bingo number selection devices may be borrowed from another organization authorized to conduct bingo. To find a licensed distributor, go to www.gcb.state.mn.us and click on List of Licensed Distributors, or call 651 - 639 -4000. -1309- LG220 Application for Exempt Permit Page 2 of 2 5/11 LOCAL UNIT OF GOVERNMENT ACKNOWLEDGMENT If the gambling premises is within city limits, If the gambling premises is located in a township, a a city official must check the action that the city is county official must check the action that the county is taking on this application and sign the application. taking on this application and sign the application. attachments) will be used by the Gambling A township official is not required to sign the requires access to the information; Minnesota's application. The application is acknowledged with no waiting The application is acknowledged with no waiting period. period. application is acknowledged with a 30 day The application is acknowledged with a 30 day _The waiting period, and allows the Board to issue a waiting period, and allows the Board to issue a permit after 30 days. permit after 30 days (60 days for a 1st class city). The application is denied. The application is denied. Print county name Print city name On behalf of the county, I acknowledge this application. organization refuses to supply this Signature of county personnel receiving application On behalf of the city, I acknowledge this application. information, the Board may not be able to Signature of city personnel receiving application authorized by state or federal law to have access determine your organization's qualifications issue a permit, all information Title Date and, as a consequence, may refuse to issue (Optional) TOWNSHIP: On behalf of the township, 1 acknowledge that the organization is applying for exempted Title Date a permit. If your organization supplies the exception of your organization's gambling activity within the township limits. [A township has no information requested, the Board will be statutory authority to approve or deny an application [Minnesota and anyone with your written consent. Statute 349.166)] remain public -1310- Print township name Signature of township official acknowledging application Title Date Print form and have CEO sign CHIEF EXECUTIVE OFFICER'S SIGNATURE The information provided in this application is complete and accurate to the best of my knowledge. I acknowledge that the financial report will be comp nd returned to the and wit in 30 days of the date of our gambling activity. _ ^ l J W Date Chief executive officer's signature . Complete a separate application for each gambling event: Financial report and recordkeeping • one day of gambling activity required • two or more consecutive days of gambling activity A financial report form and instructions will • each day a raffle drawing is held be sent with your permit, or use the online fill -in form available at Send application with: www.gcb.state.mn.us. Within 30 days of the • a copy of your proof of nonprofit status, and activity date, complete and return the • application fee for each event financial report form to the Gambling Make check payable to "State of Minnesota." Control Board. Questions? To: Gambling Control Board Call the Licensing Section of the Gambling 1711 West County Road B, Suite 300 South Control Board at 651- 639 -4000. Roseville, MN 55113 • This form will be made available in alternative format (i.e. large p Brai upon r equest. Data privacy notice: The information Your organization's name and Private data about your organization are available requested on this form (and any address will be public information to: Board members, Board staff whose work attachments) will be used by the Gambling when received by the Board. All requires access to the information; Minnesota's Control Board (Board) to determine your other information provided will be Department of Public Safety; Attorney General; organization's qualifications to be involved private data about your Commissioners of Administration, Minnesota in lawful gambling activities in Minnesota. organization until the Board Management & Budget, and Revenue; Legislative Your organization has the right to refuse to issues the permit. When the Auditor, national and international gambling supply the information; howeve r, if your Board issues the permit, all regulatory agencies; anyone pursuant to court organization refuses to supply this information provided will become order; other individuals and agencies specifically information, the Board may not be able to public. If the Board does not authorized by state or federal law to have access determine your organization's qualifications issue a permit, all information to the information; individuals and agencies for • and, as a consequence, may refuse to issue provided remains private, with the which law or legal order authorizes a new use or a permit. If your organization supplies the exception of your organization's sharing of information after this notice was given; information requested, the Board will be name and aririrPac which will and anyone with your written consent. able to process your organization's remain public -1310- application. RPOO fOCIl1 THIRD AMENDED AND RESTATED • JOINT & COOPERATIVE AGREEMENT FOR PUBLIC SAFETY PURCHASING 1. Purpose This Agreement is made pursuant to Minnesota Statutes 471.59 which authorizes the joint and cooperative exercise of governmental powers common to contracting parties. The intent of this Agreement is to make available joint public safety purchasing and leasing to the governmental agencies who are parties to this Agreement. The intent of this agreement is to also replace and rescind the Amended and Restated Joint & Cooperative Agreement For The Acquisition and Use of SCBA executed and approved by the parties in March, April and May, 2009, and the Second Amended and Restated Joint & Cooperative Agreement For The Acquisition and Use of Firefighting Equipment executed and approved by some or all of the parties in August and September 2010 ( "Prior Agreements "). 2. Parties The initial parties to this Agreement are the cities of Bloomington, Brooklyn Park, Eden Prairie, Edina, Hopkins, Saint Louis Park, and Minnetonka, all of which are municipal corporations and • subdivisions of the state of Minnesota. Additional governmental agencies may become parties to this Agreement by adopting a resolution approving this Agreement and sending an original execution page and a certified copy of the resolution to the secretary of the Operating Committee established below. The secretary of the Operating Committee must maintain a current list of the parties to this Agreement and must notify the contact person for each party whenever there is a change in the parties to this Agreement. 3. Operating Committee 3.1. Creation. There will be an Operating Committee (the "Committee ") to administer this Agreement. The Committee will consist of one representative appointed by each of the parties to the Agreement. In the absence of a specific appointment, a party's representative will be its fire chief. Each member of the Committee is entitled to one vote. 3.2. Procedural Rules. The Committee must adopt procedural rules to govern its operations. -1311- Public Safety Purchasing Joint Agreement Page 2 3.3. Officers. • The Committee will select from its members a chair to conduct meetings, a vice -chair to act in the place of the chair, and a secretary to keep the records of the Committee. 3.4. Powers, Duties. The Committee has the authority and responsibility to administer this Agreement on behalf of the parties and to take all necessary actions allowed by law to implement its terms. 4. Procedures 4.1. Acquisition. The Committee will take the necessary actions for obtaining contracts for the purchase or lease of public safety uniforms, supplies, equipment, and other items, and for contracting for services, as selected by the Committee. The Committee will comply with the Municipal Contracting Law, including the preparation of specifications and requests for proposals. The Committee will designate one of the member parties to act as the lead agency for selecting the contractor for a contract, based on the recommendation of the Committee. 4.2. Contract Terms. is The contract with each selected contractor (the "Contract ") must provide that each party to this Agreement will have the option to order items directly from each selected contractor and make payments directly to the contractor. No party will have any responsibility for paying for the items ordered by any other party. When appropriate, the Contract may include an option for the contractor to maintain and certify designated equipment. The Contract must provide the terms of payment to the contractor for this service. 4.3. Rules for Use. When appropriate, the Committee will establish rules and procedures for the parties' use of items acquired pursuant to this Agreement, including determining the responsibility for damage to, or loss of, the items. 5. Responsibility for Employees All persons engaged in the work to be performed by a party under this Agreement may not be considered employees of any other party for any purpose, including worker's compensation and other claims that may or might arise out of the employment context on behalf of the employees. All claims made by a third party as a result of any act or omission of a party's employees while engaged on any of the work performed under this Agreement are not the obligation or • responsibility of any other party. Each party is responsible for injuries or death of its own -1312- Public Safety Purchasing Joint Agreement Page 3 • personnel. Each party will maintain workers' compensation insurance or self - insurance coverage, covering its own personnel while they are providing services under this Agreement. Each party waives the right to sue any other party for any workers' compensation benefits paid to its own employee or volunteer or their dependants, even if the injuries were caused wholly or partially by the negligence of any other party or its officers, employees, or volunteers. 6. Indemnification Each party agrees to defend, indemnify, and hold harmless the other parties against any and all claims, liability, loss, damage, or expense arising under the provisions of this Agreement and caused by or resulting from negligent acts or omissions of the party and/or those of its employees or agents. Under no circumstances, however, may a parry be required to pay on behalf of itself and another party any amounts in excess of the limits on liability established in Minnesota Statutes Chapter 466 applicable to any one party. The limits of liability for two or more parties may not be added together to determine the maximum amount of liability for one party. The intent of this paragraph is to impose on each party a limited duty to defend and indemnify each other subject to the limits of liability under Minnesota Statutes Chapter 466. The purpose of creating this duty to defend and indemnify is to simplify the defense of claims by eliminating conflicts among the parties and to permit liability claims against both parties from a single occurrence to be defended by a single attorney. • 7. Duration This agreement will be in force from the date of execution by at least two parties and notification to the secretary of the Operating Committee. Any party may withdraw from this Agreement upon 30 days written notice to the other party or parties to the Agreement. Upon execution of all of the parties to the Prior Agreements, the Prior Agreements will terminate. 8. Execution A separate execution page is provided for each party. [Signature pages follow] • -1313- Execution Page for the • Third Amended and Restated Joint & Cooperative Agreement For Public Safety Purchasing The party listed below has read, agreed to and executed this Agreement on the date indicated. Date Entity: City of Mound By Title And Title • LJ -1314- EEs c> L_TON & M E= N K Consulting Engineers & Surveyors • 2638 Shadow Lane, Suite 200 - Chaska, MN 55318 -1172 Phone (952) 448 -8838 • Fax (952) 448 -8805 www.bolton- menk.com July 7, 2011 Ms. Kandis Hanson, City Manager City of Mound 5341 Maywood Road Mound, MN 55364 RE: 2011 Street, Utility and Retaining Wall Improvement Project City Project Nos. PW- 11 -01, 11- 02,11 -04 Pay Request No. 1 Dear Ms. Hanson: 1 N(=* • Please find enclosed Pay Request No. 1 from GMH Asphalt Corporation for work completed on the 2011 Street, Utility and Retaining Wall Improvement Project from May 18, 2011 through June 25, 2011. We have reviewed the contractor's request, verified quantities and recommend payment in the amount of $290,880.14 to GMH Asphalt Corporation. Sincerely, BOLTON & MEN) Daniel L. Faulkner, P.E. Mound City'Engineer cc: Carlton Moore, Director of Public Works Catherine Pausche, Director of Finance • FAMOUNW12101482U'ay EstimatesU r of Reedn, Pay Request Ldoc DESIGNING FOR A BETTER TOMORROW Bolton & Menk is an eouaI opportunity employer -1315- DATE., 7/812011 CONTRACTOR'S PAY REQUEST NO. 1 CONTRACTOR GMH Asphalt Corp. 2011 STREET IMPROVEMENTS OWNER City of Mound CITY PROJECT NOS. PW -11- 01,11- 02,11 -04 ENGINEER Bolton & Monk BMI PROJECT NO. C12.101482 FOR WORK COMPLETED FROM 5/18/2011 THROUGH 612512011 TOTALAMOUNT BID ....:,:.« :.f..,,::..r ... ......:. : .............. ..:.. r > . ...... .. . ,.....« .........,........., .,. $ 3,634,297.96 APPROVEDCHANGE w ............, ».,.........: :.... -,. ..,<..... ......... ......•..<.... $ CURRENTCONTRACT AMOUNT ....................:.. , ........ ..... .<... , .. ....................... $ TOTAL COMPLETED WORK TO DATE ............ ..............................................................:>... .....................,......... $ TOTAL, STORED MATERIALS TO DATE » ::.. t .....:: . :::.:.. .:: ..._: ,:. ;...::.:,,,:.;. $ DEDUCTION FOR STORED MATERIALS USED IN WORK COMPLETED.. . ...:.... .... :.... :: :... :. ....... .......... $ TOTAL, COMPLETED WORK & STORED MATERIALS.. ........ : $ RETAINED PERCENTAGE ( 6% ) , _ ,,..,, » ...... ,_.. .:. ,: :r.::..,.. $ TOTAL AMOUNT OF OTHER DEDUCTIONS., , ......... .. .�, $ NET AMOUNT DUE TO CONTRACTOR TO DATE,......, .......... ..., „...,... S TOTAL AMOUNT PAID ON PREVIOUS ESTIMATES .... . -. .•,.•_ ••• $ PAY CONTRACTOR AS ESTIMATE NO. 1.,...... ... _ $ Certificate. for Payment I hereby certify that, to the best of my knowledge and belief, all items quantities and prices of work and material shown on this Estimate are corned and that all work has been performed in full accordance with the terms and conditions of the Contract for this project between the Owner and the undersigned Contractor, and as amended by any authorized changes, and that the foregoing is a true and correct statement of the amount for the Final Estimate, that the provisions of M. S..290.92 have been compiled with and that all claims against me by reason of the Contract have been paid or satisfactorily secured. Contractor: GMH Asphalt Corporation 9180 Lake Town Road Chaska, MN 55318 By Name Title Date CHECKED AND APPROVED AS TO QUANTITIES AND AMOUNT: BOLTON & ME K, INC., ENGINEERS, 2 8 SHADO LN, SUITE 200, CHASKA MN 55318 By �ap / PROJECT ENGINEER Daniel L. Faulkner Date - 71 - 71 1 1 APPROVED FOR PAYMENT: Owner. CITY OF MOUND By Name Title Date 3,634,297.96 306,189.63 306,189.63 15,309.48 290,880,14 290,880,14 • r� -1316- • • • • = BO LT'ON & M RE N K Consulting Engineers & Surveyors " 2638 Shadow Lane, Suite 200 • Chaska, MN 55318 -1172 Phone (952) 448 -8838 • Fax (952) 448 -8805 www.bolton- menk.com July 7, 2011 Honorable Mayor and Members of the City Council RE: 2011 Street, Utility & Retaining Wall Improvement Project City Project Nos. PW- 11 -01, PW- 11 -02, PW -11 -04 Change Orders No. 1 and No. 2 Dear Mayor and Council Members: 1 NC® Attached are Change Orders No. 1 and No. 2 for the 2011 Street, Utility and Retaining Wall Improvement Project for a net change in contract amount of $26,863.48 and $62,419.41 respectively. Change Order No. I simply moves some required construction from one City project (2011 Lift Station Improvements) to another (2011 Street Reconstruction Project). The 2011 Lift Station Improvement Project consists of one lift station replacement, LS N 1, which is adjacent to Waterbury Road. Initially this plan included replacing the adjacent section of Waterbury Road, some storm sewer improvements and replacement of the existing parking area. Upon further consideration and analysis, it was determined that these ancillary lift station project improvements could be more efficiently constructed as part of the 2011 Street Reconstruction project. These improvements were removed from the Final set of 2011 Lift Station Improvement plans. It is now necessary to officially include them with the 2011 Street Reconstruction project. In addition, Change Order No. 1 also includes the installation of a sump storm sewer manhole insert. This insert will be purchased directly by the City but will need to be installed by the City's contractor. Both the purchase and installation of this insert (total cost $4,415), which will aid in the collection of small solids before entering Lake Minnetonka, is included in the Minnehaha Creek Watershed District (MCWD) grant, approved by the City Council on June 28, 2011. Change Order No. 2 includes the cost to purchase and install two Storm Water Treatment Units (STD's), as well as the necessary street and storm sewer items, within the boundaries of the 2011 Street Reconstruction Project. One of the STU's will be installed in the boulevard area on the north side of Donald Drive at the Alexander Road intersection. The other STU will be installed at the intersection of Dickens Lane and Hawthorne Road. These two storm water treatment units will remove some of the solids that are suspended in the storm water collected from the adjacent street. The smallest of these solids contain a certain amount of phosphorous which will also be removed. While the percentage of phosphorous removed is relatively small, this will help in meeting the City's phosphorous removal requirements as set by the MCWD. F: \MOUN \C 12101482 \Correspondence\DRAFT Co. Rept COs 1 and 2 6,23, I l .doc DESIGNING FOR A BETTER TOMORROW Bolton & Menk is ^^ ����� �� opportunity employer -1317- Name Date Page 2 • The MCWD grant will provide funding for 50 of the project cost of these two STU installations, along with the manhole insert installation for a total maximum cost share of $30,787.50. The City funded portion of these water quality improvements will come from the Storm Water Utility Fund. We recommend the approval of attached Change Order No. 1 in the amount of $26,863.48 and Change Order No. 2 in the amount of $62,419.41. Sincerely, BOLTON & MENK, INC. Daniel L. Faulkner, P.E. Mound City Engineer F°\MOUMC121U1482\Conospondence \DRAFT Co. Rept COs l and 2 6,23,1 l.doc • NICK -01 CHANGE ORDER NO.1 • PROJECT: 2011 Street, Utility & Retaining Wall Improvements Still PROJECT NO. C12.101482 OWNER: City of Mound, Minnesota DATE: July 8, 2011 CONTRACTOR: GMH Asphalt Corporation DESCRIPTION: WHEREAS, the 2011 Lit Station Improvement Plate for IM statim Ni (Waterbury Road) Initially included improvements to the adjacent section of Waterbury Road as well as parking lot and storm sewer improvememe; and Whereas, R was determined that these noted improvements would be mare efficiently constructed! as part of the Waterbury Road improvement in the 2011 Street, Utility & Reta6tlrp Wall Improvement project and was # motors deleted from the Find 2011 LIrt Station Improvement plans;. NOW THEREFORE,, BE IT MUTUALLY AGREED THAT; AAkte 4,1 of the 2011 Street, Utility & Retaining Wait Improvement Project Agreement is hereby modified to Include the Remo on the attached Schedule of Unit Prices for street, parkng lot and storm sewer Improvements. • • CHANGE IN CONTRACT AMOUNT - Net Change in Contras 528.88348 Previous Contract Amount 53:834,287,go New Contract Amount 53,851.181.44 CITY• • Name TRIG rate - SCHEDULE OF UNIT PRICES Rem i Unit No. _ _ Pdoe - Amount TION 3 . 1 CLEARING "& GRUBBING 00 3 FA REMOVE M SEWER PIPE 3tJ : 542 40 3 REM VE DRAINAGE STRUCTURE 180:00 ; 1 " EA 18000 4 .. SALVAG CASTING' TO „ 150.00 f EA 150.00 - 5 COMMON EXCAVATION 11.85 54 CY ; g0 e SU EXCAVATION 11.85 91 C t S TABILIZING AGGREGATE t 17 " TON 10.17 8 GE TEXTILE FABRIC -ROAD ONSTRUCTION 1:50 8 44.50 0 SUBGRADE PREPARATIONIPI !i0 171 `, BY 10 AGGREGATE BASE CLAS8 5;; 81 39 „ CY 1005.90 11 12" RC PIPE EWER DES 3008 50 8 LP s2n 12 ONN , Tl�l .;QRM PIP s2 1 13 G D E STR SIGSI R- s1 7.00 " 2,21 LF 740 ING ASSIEEMB L �e 15 INSTALL SALVAGED.M N TO ll0 17 S E' CHINE LI ED -1.38 2 F 1 INL PROTF4ON' 12 .. 19 D TYPE.LAWN " $2. , {1 20 , REMOVE& REPLACE GUARD PO .00 3 * E7 0$0.00 21 1 -1/r. TYPE tV4 WEARING`COURSE MIXTURE 8 $1a.60 1 BY .015.50 . . 22 TYPE LV3 NON-WEARING COURSE B' 1111; _20 : TON 23 15" RC PIPE APRON J TRASHGUARD 6826 Q0 1 : EA 5823�OD 24 15" RQ PIPE SEWER' DES 3005' CL V 00 .' 05:" LF s4'6BU:00 25 CONSTRUCT DRAJNAGESTRUCTURE-DESIGN 804022 1.80 11.04 LP 25 C 5716 00 1 ,, 715:00 27 _ R CLASS 11 -76 00 CY 28 _ ' CONCRETE CURB B . _ R-DESI N 8612 P 0 23 ' L UBTOTAL. 883.48 Net Contract ., 853.. Prevlo Cor>gadAntOrnt 7.g5 New Con : 881.:1 -1319- CHANGE ORDER NO.2 PROJECT;. 2011 Street, Utility & Retaining Wall lmprovemgrde BMI PROJECT NO.: 012101482 OWNER: City or Mound, Minnesota DATE Juy8,2011 CONTRACTOR: GMH Asphalt Corporation WHEREAS, the Minnehaha Creek Watershed District (MCWD) Board recently approved a City of Mound grant request to provide 509E of the funding for the purchase and Installation of two Storm Water Treatment Units (STU) to be purchased and installed by GMH Asphalt Corporation Mthin the boundaries of the 2011 Street Improvement Project now the Inlereaclions of Donald OnvefAlarandw Lane and Dickens Lane fHewlhorns Road. NOW THEREFORE, BE IT MUTUALLY AGREED THAT: Article 41 of On 2011 Street. Utility & Retaining Wag Improvement Agreement is hereby modified to Include the Items on the attached Schedule of Unit Prices for 2 Storm Water Treatment Units and the necessary Waet and storm sewer Improvements CNANGE IN CONTRACT AMOUNT. . Net Charge in contract $82.41841 previous Contract Mount with CO 1 $366116144 161.44 New Contract Amount 723580. ,�/ ♦� r t APPROVE Name T CONTRACTOR: Name T. � M CITY: Nam" TifM fSdte SCHEDULE OF UNIT PRICES Rein Um No. Desor Nos O' Unit Amo AIM SECTION 2 ST EWER P. $5.30 R1 M «: CON R RB &'GUTTER $3.50 LF 3 C EXCAVATION 1 16 CY 188:80 S BGRAD EX AVATtON. E $11.85 Cr 5 STABIUZINGAGGREGATE 1 t78 GEOT F R ON8TR TION' 44 SY 7 PRIs SY 525:7 A 6 P' 6.1 12 $WI x200' 9 - . 1,112" TYPE LV4 WEARIKQ COURSE MIXTURE B 55. 44 0 TYPE LV3 NON-WEARING COURSE MIXTURE B SH.25 . 6 — TON 5325. 11 . : CONNECT TO.EXISTI G STORM PIPE 1272.50 1 EA, 2212. 12 15' RC PIPES RIDES CL V 1 F : 1 CASTI G _ : MB . 5452. EA :.. .. 14 J UST-CASTING T __ 3 F11 15 CONCRETE CLIRS & GUTTER 13. 27 LF 16 N ALL MQ L 2 "EC , T RtJF . „� PTH 1 EA $23 870:00 INSTALL IR IN S. U RE _ . C .00 . 1 EA lime AD DS: N PIPE' $266.00 1 EA 1 CON . CT - DESIGN W- 4022 5400.00 66 LF S1 72: OIL RR .00 Y 138:00 2 TNPE WN 30 BY : 5116. 22 TIN G ASSEMBLY 25.00 �s 23 INSTALL MO L 2 ECOSTORM 86" 11 ' DEPTH " 00 1 ;EA 2i RE ORM SEWER' P 00 1 0 LF 25 : 12" RC PPE S IDES = CL V S9111.00 24 - 52:304.00 26 : 16" RC PIPE §EWRDES3MCLV LF :00 27 CONSTRUCT DRAINAGE STRUCTURE-DESIGN W-4020 . 5550.00 ' 4.00 'LF $3`44QOD 26 INSTALL WEIR IN STRUCTURE 122 70.00 EA 5330.00 DEDUCTS: SECTION 4 28 CONE4Y DRAINA E UCTURE SIGN 9CM LF $1.472.1001 TAIL 561415:41 Net Che InCordrrrcl F�SUBB 562418.41 Provtpus C 44 Cgetract.. $3,723 • • -1320- C7 • 0 BCD L_TC�N 8L NA B N K Consulting Engineers & Surveyors 2638 Shadow Lane, Suite 200 - Chaska, MN 55318 -1172 Phone (952) 448 -8838 - Fax (952) 448 -8805 www.bolton - menk.com July 7, 2011 Honorable Mayor and Members of the City Council City of Mound 5341 Maywood Road Mound, MN 55364 RE: 2011 Crack Repair Project City Project No. PW -11 -06 Award of Bid Dear Mayor and Members of the City Council: i NC® The area to be repaired with this project is the Highland Area, not including the 2011 Street Project area streets. The contractor is required to complete this work by August 5, 2011. This will be followed with the Seal Coat Project that is required to be completed by the end of August. Quotes were received for the 2011 Crack Repair Project on July 6, 2011. Two quotes were received as shown below. 1. Precision Sealcoating, Inc. 2. Gopher State Seal Coat $11,286.00 $26,100.00 The low quote is less than the engineer's estimate of $12,160. Precision Sealcoating, out of Princeton, WI, has successfully completed several crack sealing projects throughout both Minnesota and Wisconsin, including the City of Mound's 2010 crack repair project. It is our recommendation to award the 2011 Crack Repair Project to Precision Sealcoating, Inc. in the amount of $11,286.00. A resolution is included recommending award of contract in this amount to Precision Sealcoating, Inc. Sincerely, BOLTON & MENK, INC. Daniel L. Faulkner, P. E. City Engineer cc: Carlton Moore, Director of Public Works F: \MOUMC 12101983 \Correspondence \Ltr of Rec,May 6, 2010, Award of Crack Seal Contract.doc DESIGNING K- 1321 -TIER TOMORROW Bolton & Menk is an equal opportunity employer CITY OF MOUND • RESOLUTION NO. 11 = RESOLUTION AWARDING CONTRACT FOR 2011 CRACK REPAIR PROJECT WHEREAS, on June 14, 2011, the City Council approved the receiving of quotes for the 2011 Crack Repair Project; and WHEREAS, the following quotes were received on July 6, 2011: Precision Sealcoating, Inc. $11,286.00 Gopher State Seal Coat $26,100.00 and WHEREAS, the low responsible bidder appears to be Precision Sealcoating, Inc, of Princeton, WI, and WHEREAS, the Engineer's Estimate for this project was $12,160.00, NOW, THEREFORE BE IT RESOLVED by the City Council of the City of Mound, Minnesota, to award the contract for the 2011 Crack Sealing Repair Project to Precision Sealcoating, Inc. of Princeton, WI, in the amount of $11,286.00. Adopted by the City Council this 12'' day of July, 2011. • Mayor Mark Hanus Attest: Bonnie Ritter, City Clerk U -1322- • • soD July 7, 2011 BC>LTON&NAF=NK, Consulting Engineers & Surveyors 2638 Shadow Lane, Suite 200 - Chaska, MN 55318 -1172 Phone (952) 448 -8838 - Fax (952) 448 -8805 www.bolton- menk.com Honorable Mayor and Members of the City Council City of Mound 5341 Maywood Road Mound, MN 55364 RE: 2011 Bituminous Seal Coat Improvement Project City Project No. PW -11 -06 Award of Bid Dear Mayor and Members of the City Council: NC® Quotes were received for the 2011 Bituminous Seal Coat Improvement Project on July 6, 2011. Three quotes were received as shown below. 1. Allied Blacktop Company 2. Pearson Brothers, Inc. 3. Caldwell Asphalt Co. Inc. $107,125.00 $114,250.00 $119,050.00 The low quote is over the engineer's estimate of $96,625. The price per square yard of the seal coating was exactly the same as the engineer's estimate, but the mobilization, traffic control and two street sweepings were more than the engineer's estimate for these items. It is acceptable per State Statutes, to award a quote in excess of $100,000 as long as the Engineer's Estimate was below this amount and was determined in a reasonable manner. Allied Blacktop Company, out of Maple Grove, MN, has successfully completed several seal coat projects throughout the State including the City of Mound's 2010 Seal Coat Project. It is our recommendation to award the 2011 Bituminous Seal Coat Project to Allied Blacktop Company in the amount of $107,125.00. A resolution is included recommending award of contract in this amount to Allied Blacktop Company. Sincerely, BOLTON & MENK, INC. Daniel L. Faulkner, P. E. City Engineer cc: Carlton Moore, Director of Public Works F:\MOUN\Cl2103581\Cormpondencc\Ltr of Rec,7,7,11 Seal Coat Award.doe DESIGNING F(- - * - 7TER TOMORROW Bolton & Menk is an equal opportunity employer CITY OF MOUND • RESOLUTION NO. 11 RESOLUTION AWARDING CONTRACT FOR 2011 BITUMINOUS SEAL COAT IMPROVEMENT PROJECT WHEREAS, on June 14, 2011, the City Council approved the receiving of quotes for the 2011 Bituminous Seal Coat Project; and WHEREAS, the following quotes were received on July 6, 2011: Allied Blacktop Company $107,125.00 Pearson Brothers, Inc. $114,250.00 Caldwell Asphalt Co., Inc. $119.050.00 and WHEREAS, the low bidder appears to be Allied Blacktop Company of Maple Grove, MN; and WHEREAS, it is acceptable per State Statutes, to award a quote in excess of $100,000 as long as the Engineer's Estimate was below this amount and was determined in a reasonable manner; and WHEREAS, the Engineer's Estimate for this project was $96,625. NOW, THEREFORE BE IT RESOLVED by the City Council of the City of Mound, Minnesota, to award the contract for the 2011 Bituminous Seal Coat Improvement Project to Allied Blacktop • Company of Maple Grove, Minnesota, in the amount of $107,125.00. Adopted by the City Council this 12 day of July, 2011. Mayor Mark Hanus Attest: Bonnie Ritter, City Clerk • -1324- Kandis Hanson From: Stacy .Chouinard @co.hennepin.mn.us on behalf of steptoit @co.hennepin.mn.us Sent: Wednesday, June 15, 2011 3:09 PM Subject: Step To It • Hello Step To It participant, The 2011 Step To It Community Challenge has come to an exciting conclusion! All the totals are in and winners have been determined. RESULTS This year's Step To It Challenge participants logged over 608 million steps! The winner of "Most Overall Steps" is Brooklyn Park with over 101 million steps. As for the "Highest Average Number of Steps per Participant" award, most of the cities were "neck and neck" throughout the competition. In the end, Mound pulled away with the win. This year many city councils participated in the City Council challenge. All the city councils participating demonstrated their competitive edge. Ultimately, Golden Valley's city council took the honors for both "Most Steps Walked by a City • Council," and the "Highest Average Number of Steps per Councilmember" award. The top-stepper, four additional residents from each of the 22 cities, and ten youth will receive tickets to a Minnesota Twins game! We greatly appreciate your participation in the Step To It Community Challenge and look forward to your participation in 2012. SURVEY We want your valuable feedback about the 2011 Step To It Challenge. Please go to http://www.surveymonkey.com/s/201IStepToIt to complete the 2011 Step To It Challenge evaluation survey. The deadline for completing the questionnaire is June 26. All completed survey respondents will be entered in a drawing for one of 10 Step To It prize bags. If you are interested in being included in the drawing, be sure to complete the last page of the survey with your contact information. Disclaimer: Information in this message or an attachment may be government data and thereby subject to the Minnesota Government Data Practices Act, Minnesota Statutes, Chapter 13, may be subject to attorney - client or work product privilege, may be confidential, privileged, proprietary, or otherwise protected, and the unauthorized • review, copying, retransmission, or other use or disclosure of the information is strictly prohibited. If you are not the intended recipient of this message, please immediately notify the sender of the transmission error and th delete this message from your computer system. 5341 Maywood Road • • • Uty Mound, MN 55364 Planning • Building Department • (952) 472 -0604 MEMORANDUM To: Honorable Mayor and City Council From: Sarah Smith, Community Development Director Date: 7/7/2011 Re: Mound Marketplace Shopping Center SUMMARY. Staff has been working with PBK Investments to address on -going maintenance, landscaping a (i.e. dead /unpruned trees and shrubs, lack of mulch, weeds, etc.) and other related concerns at the Mound Marketplace shopping center. As many issues continue to remain unresolved, this matter is being included on the Councirs agenda for formal review and discussion. COMMENTS. • Staff was recently provided a copy of a landscaping proposal from PBK Investments to address the landscaping concerns which they are presently reviewing. It is Staffs understanding that work is anticipated to commence as soon as possible upon acceptance by PBK Investments • and could begin as early as this week. • Mound Marketplace has also been notified by Staff regarding unauthorized tenant sign boards for H &R Block that were recently installed on the identification sign near the center entrance without permit(s). • The waterfall feature, at times, is not functional and therefore needs to be addressed and /or corrected. • Members are advised that Staff has requested Brian Pellowski of PBK Investments attend the 7/12 City Council meeting. • -1326- City of Mound Cash/Investments Balances by Fund At the End of May 2011 • FUND NAME $ Amount C7 • General Fund 225,099 Park Dedication Fees 13,075 Area Fire Protection Services 254,852 Dock 314,094 Mound HRA (16,183) G.O. Equip. Certf. 2006 - C G.O. Equip. Certf. 2007 - C (18,305) G.O. Equip. Certf. 2008 - D (23,699) G.O. Equip. Certf. 2009 - C 31,575 Mound Transit Center Series 200E 59,382 G.O. Bonds 2001 - C (359,443) G.O. Bonds 2003 -C TIF 1 -2 323,156 G.O. Bonds 2001 - A (147,951) G.O. Bonds 2003 - A (2,091,219) G.O. Bonds 2004 - A (1,470,178) G.O. Bonds 2005 - A 292,685 G.O. Bonds 2006 - A 300,923 G.O. Bonds 2007 - A 294,202 G.O. Bonds 2008 - B 246,086 Plee4f `-o G.O. Bonds 2009 - A (48 G.O. Refunding Bonds 2011 - A 5,345,387 G.O. Bonds 2011 - B 6,286,120 - t - B Taxable G.O. TIF Bonds 2008 A 108,031 HRA Lease Rev Bonds (126,282) Capital Improvement (62,175) MSA 504,035 Sealcoat 68,345 Downtown TIF 1 -2 63,910 Downtown TIF 1 -3 MHR 117,032 Water (861,131) Sewer (44,395) Liquor Store (408,761) Recycling (10,242) Storm Water (1,382,640) Total. Cash; 7,777,307 clgSCOJ- old �-nd5 " c` -r- ` 4 ru�5 240,594 Note: The above schedule shows the combined cash and investment balances by fund for the months indicated as recorded in the General Ledger. The balances do not reflect receivable, payables, authorized transfers, encumbered funds, or dedicated /reserved resources, etc. Only some accrued transactions are reflected. Investment income will be distributed to the funds at the end of the year and is not included. A long and complete process is followed to record all transactions, before we close the books, at the end of the year. In addition, the audit from the independent auditor is performed and an official Comprehensive Report will be presented to the City Council and made available to interested parties. In no way this schedule is intended to represent balances of funds available for spending. -1327- CITY OF MOUND BUDGET REVENUE REPORT MAY 2011 41.67% MAY 2011 YTD PERCENT BUDGET REVENUE REVENUE VARIANCE RECEIVED GENERAL FUND Taxes 3,901,424 - - (3,901,424) 0.00% Business Licenses 17,800 12,171 20,146 2,346 113.18% Non - Business Licenses /Permit 126,100 19,401 52,604 (73,496) 41.72% Intergovernmental 134,060 - 15,000 (119,060) 11.19% Charges for Services 79,600 20,595 84,595 4,995 106.27% Court Fines 55,000 5,732 20,215 (34,785) 36.76% Street Lighting Fee 250,178 18,496 90,965 (159,213) 36.36% Franchise Fees 397,000 10,387 114,586 (282,414) 28.86% G.O. Equipment Certificates - - - - #DIV /01 Charges to Other Dpts 12,000 713 4,681 (7,319) 39.01% Park Dedication Fees - - 5,400 5,400 0.00% Other Revenue 273,950 56,408 112,079 (161,871) 40.91% TOTAL REVENUE 5,247,112 143,903 520,272 (4,726,840) 9.92% FIRE FUND 1,061,672 49,017 417,934 (643,738) 39.37% DOCK FUND 176,115 5,625 188,639 12,524 107.11% MOUND HRA - - - - #DIV 101 WATER FUND 1,580,256 115,566 568,259 (1,011,997) 35.96% SEWER FUND 1,387,775 112,638 560,691 (827,084) 40.40% LIQUOR FUND 2,800,000 220,798 945,078 (1,854,922) 33.75% RECYCLING FUND 225,276 24,924 88,972 (136,304) 39.49% STORM WATER UTILITY 437,500 29,612 145,752 (291,748) 33.31% INVESTMENTS (Net of Expense) 670 1,303 1,303 • -1328- 6/14/2011 CITY OF MOUND BUDGET EXPENDITURES REPORT • May 2010 41.67% May 2010 YTD PERCENT BUDGET EXPENSE EXPENSE VARIANCE EXPENDED GENERAL FUND 1,061,672 69,979 421,358 640,314 39.69% Council 77,960 3,013 30,939 47,021 39.69% Promotions 73,000 0 0 73,000 0.00% City Manager /Clerk 312,053 24,407 113,830 198,223 36.48% Elections 2,650 0 1,806 844 68.15% Finance 301,783 20,881 102,978 198,805 34.12% Assessing 95,600 8 24 95,576 0.03% Legal 131,500 8,774 37,187 94,313 28.28% City Hall Building & Srvcs 110,100 8,787 45,668 64,432 41.48% Computer 40,700 2,435 16,931 23,769 41.60% Police 1,932,171 142,353 726,961 1,205,210 37.62% Emergency Prepardeness 8,150 1,695 3,051 5,099 37.44% Plan ning/inspections 310,619 26,875 100,256 210,363 32.28% Streets 715,439 56,521 247,256 468,183 34.56% Parks 479,199 19,393 211,626 267,573 44.16% Park Dedication Fees - 0 0 0 #DIV 101 Cemetery 11,100 7,600 8,554 2,546 77.06% Recreation 2,500 0 0 2,500 0.00% Transfers 559,000 42,373 211,868 347,132 37.90% • Cable TV 47,492 11,345 11,345 36,147 23.89% Contingencies 36,800 4.796 4.921 31.879 13.37% GENERAL FUND TOTAL 5,247,816 381,256 1,875,201 3,372,615 35.73% Area Fire Service Fund 1,061,672 69,979 421,358 640,314 39.69% Dock Fund 200,811 20,619 114,201 86,610 56.87% HRA Fund 53,300 2,019 24,597 28,703 46.15% Capital Projects 1,500 73,410 287,076 - 285,576 TIF 1 -2 Downtown Mound - 0 0 0 TIF 1 -3 MHR - 0 756 -756 Water Fund 1,579,357 93,153 652,504 926,853 41.31% Sewer Fund 1,786,799 144,871 794,726 992,073 44.48% Liquor fund • 598,624 49,953 277,619 321,005 46.38% Recycling Fun cy g d 221,407 23,509 80,408 140,999 36.32% Storm Water Utility 354,270 -13 ?9,,.446 140,801 213,469 39.74% v 7 .~ CIO TION LADE MINNETONKA CONSERVATION DISTRICT 23505 SMITHTOWN ROAD, SUITE 124 • SHOREWOOD, MINNESOTA 55331 • TELEPHONE 952/745-0789 • FAX 9521745-9085 • Gregory S. Nybeck, EXECUTIVE DIREC.1Of? June 23, 2011 TO: LMCD Mayors LMCD City Administrators LMCD Board Members FROM: Greg Nybeck, Executive Director SUBJECT: Adopted 2012 LMCD Budget Enclosed is a copy of the 2012 Lake Minnetonka Conservation District (LMCD) Budget, which was recently adopted and certified by the LMCD Board of Directors. Minnesota State Statute 103B.635, Subd. 1 requires the LMCD Board, on or before July 1 of each year, to prepare and submit a detailed budget of the LMCD's needs for the next calendar year to the governing body of each municipality in the LMCD with a statement of the proportion of the budget to be provided by each municipality. Per enabling legislation, the maximum levy the LMCD could forward to its member cities in 2012 is $487,461. We are pleased to forward an approved 2012 LMCD Budget that is well below the maximum levy at $322,208. In fact, the 2012 levy is a 2.6% decrease when compared to the $330,649 levy for the adopted 2011 LMCD Budget. The LMCD recognizes the economic challenges that the member cities are currently facing and this was taken into consideration by the LMCD Board. If your city has any comments or objections about the adopted 2012 LMCD Budget, please let me know. The LMCD is glad to discuss this further and is required by state statute to schedule a public hearing on this matter, if requested. On behalf of the LMCD Board of Directors, I would like to thank all 14 LMCD member cities for your continued participation and support of LMCD related activities. Please feel free to contact me if you have questions. 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(» 0 c m E v� Ct s of o> of �n N 0 69 � N d +r c m E a w 3 w c d E d Cf m t m a N Q c 0 Ma c 'O Q N Q Z C Q N D Z m LL W ca W o 0 o 60 EA fA 40 N 0 N (O (O O H9 � v 0 0 o 0 0 v r (fl (A 64 o 69 q- (o o m It o_ N Efl N 69 Vol V1 C O m Q a c v c 0)2.0 =LL N j LL m Z m N I r a aU : c Cl) m � = 2 0 °3 LL ° CD m m d r M 01 (` N N N c` f O �130it a .-0000 N .91 61 61 N O O N v o o 0 o v co V),0 e IT o ui of N N W W �� M c m a v — v c r rno �LL C N m N Z d m a- C C N N � o. U . 5 7 � aW=EWa a LL ° 0 v O m N R .O aow a \° 0 N CV) M 0 O C) M N O 7 m �a c Q O N 0 0 w U d 'O CL -1336- M N • l0 a • M • Theresa Sunde Community Relations Coordinator Mediacom, Fox Sports North Agree to Extra Twins games Effective Monday, June 27, 2011, a multi -year programming agreement between Mediacom and FOX Sports Network will provide viewing access to the series of Twins baseball "surcharge" games. Mediacom cable subscribers can see the extra Minnesota Twins baseball games • on Fox Sports North in standard definition and high definition (HDTV). For a complete Twins television schedule, please go to http: / /minnesota.twins.mlb.com. Thanks, Theresa Sunde • Mediacom Communications Corporation 1504 2 "d Street SE Waseca, MN 56093 -1337- • -1338- Harbor Wine & Spirits June 2011 Date Weather Cust 11 Cust 10 • Variance Sales 11 Sales 10 Difference +/- Cash +/- 6/1/2011 sun 60s 280 264 16 5255.44 5564.1 - 308.66 4.05 6/2/2011 sun 60s 293 292 1 6075.31 6049.87 25.44 1.17 6/3/2011 sun hi 80s 795 323 472 19396.19 7944.18 11452.01 -0.51 6/4/2011 sun hi 80s 749 592 157 18989.39 13584.79 5404.6 -2.96 6/5/2011 545 14228.96 6/6/2011 sun 100+ 298 298 5811.41 5811.41 -0.97 6/7/2011 sun 80s 371 300 71 8045.59 5608.91 2436.68 1.8 6/8/2011 sun 70s 330 274 56 7100.01 5448.63 1651.38 -1.86 6/9/2011 sun 60s 299 339 -40 6939.15 7212.21 - 273.06 -0.9 6/10/2011 sun 60s 559 333 226 14112.67 7616.64 6496.03 0 6/11/2011 sun 70s 694 545 149 17698.81 12157.6 5541.21 1.1 6/12/2011 558 15766.65 6/13/2011 sun 70s 287 287 5293.67 5293.67 0.01 6/14/2011 sunitrain 74 278 285 -7 5842.16 5597.29 244.87 0.09 6/15/2011 rain 72 277 293 -16 5976.8 5371.32 605.48 1.06 6/16/2011 sun 76 335 370 -35 7557.86 7644.33 -86.47 -2.09 6/17/2011 PTSUN 86 594 351 243 14845.73 7108.84 7736.89 3.21 6/18/2011 ovrest 80s 625 631 -6 16321.71 14766.69 1555.02 -0.11 6/19/2011 703 20044.1 6/20/2011 pt sun 80 282 282 5004.36 5004.36 -30.53 6/21/2011 rainrainrain 296 314 -18 5583.17 6071.66 - 488.49 -0.17 6/22/2011 rainnosun60 296 360 -64 6420.37 7492.01 - 1071.64 0.01 6/23/2011 rain It sun 299 319 -20 6846.36 7204.51 - 358.15 -0.01 • 6/24/2011 ovcst 78 597 384 213 14786.78 7710.2 7076.58 0 6/25/2011 ovrest 80s 654 541 113 16831.1 12682.17 4148.93 -0.01 6/26/2011 708 16910.79 6/27/2011 sun 70s 291 291 6284.94 6284.94 0 6/28/2011 perfect 82 340 315 25 7408.27 5821.14 1587.13 0.13 6/29/2011 sun 90 323 334 -11 7130.72 6946.62 184.1 0.04 6/30/2011 93 humid 429 358 71 11421.36 7713.92 3707.44 0.04 Totals 10871 10395 476:262-979.43 239774.43 13204:9 -26.59 • -1338-