Loading...
2018-03-27 CC Agenda PacketPLEASE TURN OFF ALL CELL PHONES & PAGERS IN COUNCIL CHAMBERS. MOUND CITY COUNCIL REGULAR MEETING 1. Opening meeting 2. Pledge of Allegiance 3. Approve agenda, with any amendments TUESDAY, MAR 27, 2018 - 7:00 PM MOUND CITY COUNCIL CHAMBERS *Consent Agenda: Items listed under the Consent Agenda are considered routine in nature, have been evaluated by staff, recommended by staff for approval by the Council, and will be enacted by a single roll call vote. There will be no separate discussion of these items unless a Council Member or Citizen so requests. At this time, anyone present who wishes to offer dissenting comment to any items on the Consent Agenda is invited to identify themselves and the item of concern so that the it may be removed from the Consent Agenda and considered after discussion in normal sequence. Separate introduction or further support from petitioners or requestors is not required at this time and removal of an item from the Consent Agenda for this purpose is not required or appropriate. Page 4. *Consent Agenda *A. Approve payment of claims 523-554 *B. Approve minutes: February 27, 2018 regular meeting 555-557 March 13, 2018 Concurrent Special Meeting 558-560 with the Housing & Redevelopment Authority *C. Approve Labor Agreement between the City of Mound and the Minnesota 561-581 Teamsters Public and Law Enforcement Employees Union No. 320 (Public Works Union), effective Jan 1, 2017 through Dec 31, 2018 *D. Approve resolution amending Resolution 18-02 Appointing City Council 582 Members as Representatives of the City Council to Commissions and Committees for 2018 5. Comments and suggestions from citizens present on any item not on the agenda. (Limit to 3 minutes per speaker.) 6. Action to approve minutes of the March 13, 2018 regular meeting (due to absence) 583-585 7. Planning Commission Recommendation 586-602 A. Public Hearing - vacation of 15 -foot street easement 588 1567 Bluebird Lane and 1571 Bluebird Lane Applicants: Ahmad and Anna Hamzehpour and Keith and Debra Kullberg PLEASE TURN OFF ALL CELL PHONES & PAGERS IN COUNCIL CHAMBERS. 8. City Manager Eric Hoversten requesting discussion and action on a resolution of support from the City of Mound for the efforts of the Island Park Village Hail Revitalization organization 9. Information/Miscellaneous A. Comments/reports from Councilmembers B. Reports: BMI - YTD 12-31-17 C. Minutes: Parks & Open Spaces Commission: 10-12-17, 12-14-17, 1-11-18 and 2-8-18 D. Correspondence: Hennepin County Assessor's Office 2018 Sales Book and Open Book Meeting Info E. WeCAN Annual Report and events 603-606 bus 623-624 625-634 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.cityofmound.com. ffi i I M, r IT„Ucoming Events Schedule: Don't Forget!! March is Food Share Month! 10 April - 6:55 PM - HRA Regular Meeting (as may be required) 10 April - 7:00 PM - City Council Regular Meeting Commissioner Jan Callison Presenting update on Hennepin County 17 April - 6:30 - Annual Reports to Council and Long Range Financial Plan Workshop 24 April - 6:55 PM - HRA Regular Meeting (as may be required) 24 April - 7:00 PM - City Council Regular Meeting 26 April - 7:00 AM- WeCAN Community Breakfast at Gillespie Center 30 April - Resume Summer Hours: 7:30 AM - 5:00 PM M -Th, 7:30 - 11:30 F 8 May - 6:55 PM - HRA Regular Meeting (as may be required) 8 May - 7:00 PM - City Council Regular Meeting 17 May - 4:00 - 6:00 - WeCAN Open House 22 May - 6:55 PM - HRA Regular Meeting (as may be required) 22 May - 7:00 PM - City Council Regular Meeting 12 June - 6:55 PM - HRA Regular Meeting (as may be required) 12 June - 7:00 PM - City Council Regular Meeting 19 June - 6:30 PM - Long Range Financial Plan Workshop 26 June - 6:55 PM - HRA Regular Meeting (as may be required) 26 June - 7:00 PM - City Council Regular Meeting Cily Closed 28 May 2018 Memorial Day Cily Official's Absences Please notify the City Manager in advance of an absence. Some votes require more than a simple majority and Staff needs to plan accordingly. Inquire in advance. please.... Council members are asked to call or email their questions in advance of a public meeting so that more research may be done or additional information may be provided that will assist in your quality decision- making. City of Mound Claims 03-27-18 YEAR BATCH NAME DOLLAR AMOUNT 17 2017B&M-AP18 $ 30,269.74 2018 B&MlSTJAN18 $ 29,155.50 2018 B 2-2018 33,178.50 2018 0218ELANCC 3,309.65 2018 0218HOISINGT $ 3,874.14 2018 FEB18C UST 914.03 2018 NORTHHENNPCC 1,473.36 2018 141T 5,978.05 2018 271IT 49,421.85 2018 032718CITY2 26,226.67 2018 032718HWS106,539.53 -523- CITY OF MOUND 03/22/1811:50AM Page 1 Payments Current Period: Closing 2017 Batch Name 2017B&M-AP18 Payment Computer Dollar Amt $30,269.74 Posted Refer AP Payment 1 BOLTON AND MENK, INCORPORA _ E 675-49425-300 Professional Srvs SURFACE WATER MGMT ENG SVCS DEC 16 THRU DEC 31 2017 Invoice 0213631 1/31/2018 AP Payment E 402-43120-300 Professional Srvs Invoice 0213629 1/31/2018 AP Payment E 101-42400-300 Professional Srvs MSA SYSTEM COORD UPDATE SVCS DEC 16 THRU DEC 31 2017 2018 COMPREHENSIVE PLAN UPDATE- ENG SVCS DEC 16 THRU DEC 31 2017 $2,226.00 $115.00 $1,340.00 Invoice 0213617 1/31/2018 Transaction Date 3/19/2018 Due 0 Accounts Payable 20200 Total $3,681.00 Refer 2 BOLTON AND MENK, INCORPORA AP Payment E 601-49400-300 Professional Srvs WATER WELLHEAD PROTECTION PLAN $4,790.50 ENGINEERING SVCS DEC 16 THRU DEC 31 2017 Invoice 0213632 1/31/2018 AP Payment E 101-43100-300 Professional Srvs GIS UPDATES ENG SVC DEC 16 THRU DEC $856.25 31 2017 Invoice 0213624 1/31/2018 AP Payment E 601-49400-300 Professional Srvs GIS UPDATES ENG SVC DEC 16 THRU DEC $856.25 31 2017 Invoice 0213624 1/31/2018 AP Payment E 602-49450-300 Professional Srvs GIS UPDATES ENG SVC DEC 16 THRU DEC $856.25 31 2017 Invoice 0213624 1/31/2018 AP Payment E 675-49425-300 Professional Srvs GIS UPDATES ENG SVC DEC 16 THRU DEC $856.25 31 2017 Invoice 0213624 1/31/2018 Transaction Date 3/19/2018 Due 0 Accounts Payable 20200 Total $8,215.50 Refer 3 BOLTON AND MENK, INCORPORA _ AP Payment E 401-43146-303 Engineering Fees 2016 CYPRESS-MAYWOOD STREET IMPROV $115.00 PROJ PW 16-03 ENG SVC DEC 16 THRU DEC 31 2017 Invoice 0213603 1/31/2018 Project PW1603 AP Payment E 401-43116-303 Engineering Fees 2016 BARTLETT BLVD STREET IMPROV $51.00 PROD PW 16-01 ENG SVC DEC 16 THRU DEC 31 2017 Invoice 0213601 1/31/2018 Project PW1601 Transaction Date 3/19/2018 Due 0 Accounts Payable 20200 Total $166.00 Refer 4 BOLTON AND MENK, INCORPORA _ AP Payment E 602-49450-500 Capital Outlay FA 2017 C-5 LIFT STATION IMPROV PROJ PW $231.50 17-05 ENG SVCS DEC 16 THRU DEC 31 2017 Invoice 0213611 1/31/2018 Project PW1705 AP Payment E 401-43117-303 Engineering Fees 2017 LYNWOOD BLVD STREET IMPROV $6,986.50 PROJ PW 17-01 ENG SVCS DEC 16 THRU DEC 31 2017 Invoice 0213605 1/31/2018 -524- Project PW1701 Current Period: Closing 2017 AP Payment E 401-43137-303 Engineering Fees Invoice 0213609 1/31/2018 AP Payment E 401-43147-303 Engineering Fees 2017 WILSHIRE/MAYWOOD STREET IMPROV PROD PW 17-02 ENG SVCS DEC 16 THRU DEC 31 2017 Project PW1702 2017 TUXEDO BLVD PHASE III STREET IMPROV PROJ PW 17-03 ENG SVCS DEC 16 THRU DEC 31 2017 03/22/18 11:50 AM Page 2 $1,439.00 $1,272.50 Invoice 0213607 1/31/2018 Project PW1703 $5,726.66 AP Payment E 401-43110-303 Engineering Fees 2017 RETAINING WALL IMPROV PROD PW $820.50 401 GENERAL CAPITAL PROJECTS $12,064.50 17-04 ENG SVCS DEC 16 THRU DEC 31 2017 $3,547.91 Invoice 0213615 1/31/2018 Project PW1704 AP Payment E 602-49450-500 Capital Outlay FA 2017 SAN SEWER & MANHOLE REHAB PROJ $64.00 17-06- ENG SVCS DEC 16 THRU DEC 31 2017 Invoice 0213613 1/31/2018 Project PW1706 Transaction Date 3/19/2018 Due 0 Accounts Payable 20200 Total $10,814.00 Refer 5 BOLTON AND MENK, /NCORPORA AP Payment E 101-43100-300 Professional Srvs GENERAL ENGINEERING SVCS DEC 16 $86.66 THRU DEC 31 2017 Invoice 0214866 1/31/2018 AP Payment E 602-49450-300 Professional Srvs Invoice 0214866 1/31/2018 AP Payment E 601-49400-300 Professional Srvs Invoice 0214866 1/31/2018 AP Payment E 401-43118-303 Engineering Fees GENERAL ENGINEERING SVCS DEC 16 THRU DEC 31 2017 GENERAL ENGINEERING SVCS DEC 16 THRU DEC 31 2017 2018 WESTEDGE BLVD ST IMPROV PROD PW 18-01 ENG SVCS DEC 16 THRU DEC 31 2017 Invoice 0213621 1/31/2018 Project PW1801 AP Payment G 101-23375 MCES L38 WESTEDGE/CR MCES LS #38 WESTEDGE FORCEMAIN ENGINEERING SVCS DEC 16 THRU DEC 31 2017 $86.66 $86.67 $1,380.00 $1,265.00 Invoice 0213626 1/31/2018 AP Payment E 602-49450-500 Capital Outlay FA 2018 C-6 LIFT STATION IMPROV PROJ PW $4,488.25 18-03 ENG SVCS DEC 16 THRU DEC 31 2017 Invoice 0213619 1/31/2018 Project PW1803 Transaction Date 3/19/2018 Due 0 Accounts Payable 20200 Total $7,393.24 Fund Summary 20200 Accounts Payable 675 STORM WATER UTILITY FUND $3,082.25 602 SEWER FUND $5,726.66 601 WATER FUND $5,733.42 402 MUNICIPAL ST AID ST CONSTUCT $115.00 401 GENERAL CAPITAL PROJECTS $12,064.50 101 GENERAL FUND $3,547.91 $30,269.74 Pre -Written Checks $0.00 Checks to be Generated by the Computer $30,269.74 Total $30,269.74 .WIM CITY OF MOUND Payments Current Period: March 2018 Batch Name B&M1STJAN18 Payment Computer Dollar Amt $29,155.50 Posted Refer 1 BOLTON AND MENK, INCORPORA Ck# 055803 3/20/2018 Cash Payment E 402-43120-300 Professional Srvs MSA SYSTEM COORD UPDATE SVCS JAN 1 THRU JAN 121 2018 Invoice 0213630 1/31/2018 Cash Payment E 101-42400-300 Professional Srvs 2018 COMPREHENSIVE PLAN UPDATE- ENG SVCS JAN 1 THRU JAN 121 2018 Invoice 0213618 1/31/2018 Transaction Date 3/19/2018 Due 0 Wells Fargo 10100 Total Refer 2 BOLTON AND MENK, INCORPORA Ck# 055803 3/20/2018 Cash Payment E 601-49400-300 Professional Srvs WATER WELLHEAD PROTECTION PLAN ENGINEERING SVCS JAN 1 THRU JAN 121 2018 Invoice 0213633 1/31/2018 Cash Payment E 101-43100-300 Professional Srvs Invoice 0213625 1/31/2018 Cash Payment E 601-49400-300 Professional Srvs Invoice 0213625 1/31/2018 Cash Payment E 602-49450-300 Professional Srvs Invoice 0213625 1/31/2018 Cash Payment E 675-49425-300 Professional Srvs GIS UPDATES ENG SVC JAN 1 THRU JAN 121 2018 GIS UPDATES ENG SVC JAN 1 THRU JAN 121 2018 GIS UPDATES ENG SVC JAN 1 THRU JAN 1212018 GIS UPDATES ENG SVC JAN 1 THRU JAN 121 2018 03/22/18 11:39 AM Page 1 $189.50 $964.00 $1,153.50 $256.00 $1,743.25 $1,743.25 $1,743.25 $1,743.25 Invoice 0213625 1/31/2018 Transaction Date 3/19/2018 Due 0 Wells Fargo 10100 Total $7,229.00 Refer 4 BOLTON AND MENK, INCORPORA Ck# 055803 3/20/2018 Cash Payment E 602-49450-500 Capital Outlay FA 2017 C-5 LIFT STATION IMPROV PROD PW $660.00 17-05 ENG SVCS JAN 1 THRU JAN 121 2018 Invoice 0213612 1/31/2018 Project PW1705 Cash Payment E 401-43117-303 Engineering Fees 2017 LYNWOOD BLVD STREET IMPROV $2,735.00 PROJ PW 17-01 ENG SVCS JAN 1 THRU JAN 121 2018 Invoice 0213606 1/31/2018 Cash Payment E 401-43137-303 Engineering Fees Invoice 0213610 1/31/2018 Cash Payment E 401-43147-303 Engineering Fees Invoice 0213608 1/31/2018 Cash Payment E 401-43110-303 Engineering Fees Invoice 0213616 1/31/2018 Cash Payment E 602-49450-500 Capital Outlay FA Invoice 0213614 1/31/2018 Transaction Date 3/19/2018 Project PW1701 2017 WILSHIREIMAYWOOD STREET IMPROV PROJ PW 17-02 ENG SVCS JAN 1 THRU JAN 121 2018 Project PW1702 2017 TUXEDO BLVD PHASE III STREET IMPROV PROJ PW 17-03 ENG SVCS JAN 1 THRU JAN 121 2018 Project PW1703 2017 RETAINING WALL IMPROV PROJ PW 17-04 ENG SVCS JAN 1 THRU JAN 121 2018 Project PW1704 2017 SAN SEWER & MANHOLE REHAB PROD 17-06- ENG SVCS JAN 1 THRU JAN 121 2018 Project PW1706 Due 0 Wells Fargo 10100 Total -526- $2,650.50 $1,394.00 $57.50 $1,184.00 $8,681.00 om_uon�11�e�w CITY OF MOUND _ -- Page 2 Payments Current Period: March 2018 Refer 5 BOLTON AND MENK, INCORPORA Ck# 055803 3/20/2018 Cash Payment E01+Q100-300Professional Grvs GENERAL ENGINEERING SVCS JAN 1THRU $397.50 JAN 121 2018 Invoice 0213623 1/31/2018 Cash Payment E602-49450-30OProfessional Grvs GENERAL ENGINEERING SVCS JAN 1THRU $397.50 JAN 1212n18 Invoice 0213623 1/31/20 18 Cash Payment EVO1'48400-3DOProfessional 8mu GENERAL ENGINEERING SVCS JAN 1THRU $397.50 JAN 121 2018 Invoice 0213623 1/31/2018 Cash Payment E4o143118-30JEngineering Fees 2018VvsGTEDGEBLVD GTIMPROV PR0J $1.159.50 Pvv1O'O1ENG SVCS JAN 1T*RUJAN 121 2018 Invoice 0213622 1/31/2018 Pn4ectPvv18U1 Cash Payment G1O1-23375MCEGL3DVVESTEDGE^CR MCEGLG*O0vVESTEDGErOnCENm|N $1.088.00 ENGINEERING SVCS JAN ITHRUJAN 121 2018 Invoice 0213627 1/31/2018 Cash Payment EOV24943U'5OOCapital Outlay FA 2O18C'OLIFT STATION IMPROV PROJPVV $7.484.50 18'o3ENG SVCS JAN 1THRUJAN l212018 Invoice 0213620 1/31/2018 Px4emPVV18O3 Transaction Date 3/19/2018 Due Wells Fargo 10100 Total *10.e24.50 Refer 3 BOLTON AND MENK, 0RA Ck# 055803 3/20/2018 Cash Payment E0O2494oV'5OOCapital Outlay FA 201OLIFT STATION IMPROV PROJPIN 18'O5 $880.00 ENG SVC JAN 1THRUJAN 1212O10 Invoice 0211600 1/31/2018 Pn4octPvx10O5 Cash Payment G1O1'2332rMCEOL3SBRADFORD0N}L MCESLS#38&INTERCEPT REPLACEMENT $287.50 PROJ-ENGINEERING SVCS JAN 1THRU JAN 1212018 Invoice 0211628 101/2018 Transaction Date 8/19/2018 Due Wells Fargo 10100 Total $1.167,50 Fund Summary 10100 Wells Fargo O75STORM WATER UTILITY FUND $1.743.25 0O2SEWER FUND $12.349.25 601 WATER FUND $2.39875 4O2MUNICIPAL STAID 8TCDNGTUCT $188.58 4U1GENERAL CAPITAL PROJECTS $7.986.50 1O1GENERAL FUND $4.48025 *uo.1oo.50 Pre -Written Checks $29,155.50 Checks mbeGenerated by the Computer $0.00 Total $29,155.50 -527- Payments Current Period: March 2018 Batch Name B&M#2-2018 User Dollar Amt $33,178.50 Payments Computer Dollar Amt $33,178.50 Refer Cash Payment $0.00 In Balance 1 BOLTON AND MENK, INCORPORA E 675-49425-300 Professional Srvs SURFACE WATER MGMT ENG SVCS JAN 13 THRU FEB 9 2018 Invoice 0214882 2/28/2018 03/22/18 10:29 AM Page 1 $5,203.50 Cash Payment E 101-42400-300 Professional Srvs MOUND 2018 COMP PLAN UPDATE ENG $2,034.50 Invoice 0214880 2/28/2018 SVCS JAN 13 THRU FEB 9 2018 E 601-49400-300 Professional Srvs Invoice 0214876 2/28/2018 Cash Payment E 602-49450-300 Professional Srvs Transaction Date 3/20/2018 Wells Fargo 10100 Total $7,238.00 Refer 2 BOLTONAND MENK, INCORPORA Cash Payment E 601-49400-500 Capital Outlay FA Cash Payment E 601-49400-300 Professional Srvs WATER WELLHEAD PROTECTION PLAN $1,650.00 ENGINEERING SVCS JAN 13 THRU FEB 9 2018 Invoice 0214885 2/28/2018 Cash Payment E 101-43100-300 Professional Srvs Invoice 0214880 2/28/2018 Cash Payment E 601-49400-300 Professional Srvs Invoice 0214880 2/28/2018 Cash Payment E 602-49450-300 Professional Srvs Invoice 0214880 2/28/2018 Cash Payment E 675-49425-300 Professional Srvs Invoice 0214880 2/28/2018 Cash Payment E 601-49400-500 Capital Outlay FA Invoice 0214886 2/28/2018 Cash Payment E 602-49450-500 Capital Outlay FA Invoice 0214868 2/28/2018 Cash Payment E 601-49400-500 Capital Outlay FA GIS UPDATES ENG SVC JAN 13 THRU FEB 9 $315.00 2018 GIS UPDATES ENG SVC JAN 13 THRU FEB 9 $315.00 2018 GIS UPDATES ENG SVC JAN 13 THRU FEB 9 $315.00 2018 GIS UPDATES ENG SVC JAN 13 THRU FEB 9 $315.00 2018 2015 WILSHIRE BLVD TRUNK WATERMAIN $240.00 IMPROV PROJ PW 15-11 ENG SVC JAN 13 THRU FEB 9 2018 Project PW1511 2016 LIFT STATION IMPROV PROD PW 16-05 $1,536.00 ENG SVC JAN 13 THRU FEB 9 2018 Project PW1605 WATERMAIN LOOP BARTLETT TO ISLAND $168.00 PARK PROJ 15-10 ENG SVCS THRU FEB 13 2015 Invoice 0214883 2/28/2015 Project PW1510 Transaction Date 3/20/2018 Wells Fargo 10100 Total $4,854.00 Refer 3 BOLTON AND MENK, INCORPORA Cash Payment E 602-49450-500 Capital Outlay FA 2017 LIFT STATION IMPROV PROD PW 17-05 $1,904.00 ENG SVCS JAN 13 THRU FEB 9 2018 Invoice 0214872 2/28/2018 Project PW1705 Cash Payment E 401-43117-303 Engineering Fees 2017 LYNWOOD BLVD STREET IMPROV $1,133.00 PROD PW 17-01 ENG SVCS JAN 13 THRU FEB 9 2018 Invoice 0214869 2/28/2018 Cash Payment E 401-43137-303 Engineering Fees Invoice 0214871 2/28/2018 Project PW1701 2017 WILSHIRE/MAYWOOD STREET $508.50 IMPROV PROJ PW 17-02 ENG SVCS JAN 13 THRU FEB 9 2018 -528- Project PW1702 CITY OF MOUND 03/22/18 10:29 AM Page 2 Payments Invoice 0214879 Current Period: March 2018 Cash Payment Cash Payment E 401-43147-303 Engineering Fees 2017 TUXEDO BLVD PHASE III STREET $901.00 E 601-49400-300 Professional Srvs Invoice 0214879 IMPROV PROJ PW 17-03 ENG SVCS JAN 13 Cash Payment E 675-49425-300 Professional Srvs Invoice 0214884 THRU FEB 9 2018 Cash Payment Invoice 0214870 2/28/2018 Project PW1703 Cash Payment E 401-43110-303 Engineering Fees 2017 RETAINING WALL IMPROV PROJ PW $160.00 17-04 ENG SVCS JAN 13 THRU FEB 9 2018 Invoice 0214875 2/28/2018 Project PW1704 Cash Payment E 602-49450-500 Capital Outlay FA 2017 SAN SEWER & MANHOLE REHAB PROD $967.00 17-06- ENG SVCS JAN 13 THRU FEB 9 2018 Invoice 0214874 2/28/2018 Project PW1706 Transaction Date 3/20/2018 Wells Fargo 10100 Total $5,573.50 Refer 4 BOLTON AND MENK, /NCORPORA Cash Payment E 101-43100-300 Professional Srvs GENERAL ENGINEERING SVCS JAN 13 $835.33 THRU FEB 9 2018 Invoice 0214879 2/28/2018 Cash Payment E 602-49450-300 Professional Srvs Invoice 0214879 2/28/2018 Cash Payment E 601-49400-300 Professional Srvs Invoice 0214879 2/28/2018 Cash Payment E 675-49425-300 Professional Srvs Invoice 0214884 2/28/2018 Cash Payment E 401-43118-303 Engineering Fees GENERAL ENGINEERING SVCS JAN 13 THRU FEB 9 2018 GENERAL ENGINEERING SVCS JAN 13 THRU FEB 9 2018 WCA ADMINISTRATION STORMWATER SVCS JAN 13 THRU FEB 9 2018 2018 WESTEDGE BLVD ST IMPROV PROD PW 18-01 ENG SVCS JAN 13 THRU FEB 9 2018 Invoice 0214878 2/28/2018 Project PW1801 Cash Payment G 101-23375 MCES L38 WESTEDGE/CR MCES LS #38 WESTEDGE FORCEMAIN ENGINEERING SVCS JAN 13 THRU FEB 9 2018 $835.33 $835.34 $53.00 $6,744.50 $2,613.00 Invoice 0214881 2/28/2018 Cash Payment E 602-49450-500 Capital Outlay FA 2018 LIFT STATION IMPROV PROJ PW 18-03 $3,596.50 ENG SVCS JAN 13 THRU FEB 9 2018 Invoice 0214877 2/28/2018 Project PW1803 Transaction Date 3/20/2018 Wells Fargo 10100 Total $15,513.00 Fund Summary 10100 Wells Fargo 101 GENERAL FUND $5,797.83 401 GENERAL CAPITAL PROJECTS $9,447.00 601 WATER FUND $3,208.34 602 SEWER FUND $9,153.83 675 STORM WATER UTILITY FUND $5,571.50 $33,178.50 Pre -Written Checks $0.00 Checks to be Generated by the Computer $33,178.50 Total $33,178.50 -529- Payments Current Period: February 2018 Batch Name 0218ELANCC Payment Computer Dollar Amt $3,309.65 Posted 03/22/18 11:42 AM Page 1 Refer 1 ELAN CREDIT CARD Ck# 080120E 2/23/2018 Cash Payment E 101-41930-210 Operating Supplies IKEA CITY HALL BREAKROOM- $30.01 SILVERWARE & DISH TOWELS Invoice 032718-2 2/23/2018 Cash Payment E 601-49400-430 Miscellaneous NATL FIRE PROTECTION- 2018 STANDARD $115.98 FOR ELECTRICAL SAFETY IN THE WORKPLACE MANUAL Invoice 032718-2 2/23/2018 Cash Payment E 602-49450-434 Conference & Training NATL FIRE PROTECTION- 2018 STANDARD $115.97 FOR ELECTRICAL SAFETY IN THE WORKPLACE MANUAL Invoice 032718-2 2123/2018 Cash Payment E 101-43100-434 Conference & Training FRESHWATER SOCIETY- SALT SYMPOSIUM $67.50 TRAINING- B. KRESS Invoice 032718-2 2/23/2018 Cash Payment E 101-43100-434 Conference & Training FRESHWATER SOCIETY- SALT SYMPOSIUM $67.50 TRAINING- R. HANSON Invoice 032718-2 2/23/2018 Cash Payment E 602-49450-205 Computer Hardware/Soft MALWAREBYTES- SOFTWARE PUB WKS $8.94 Invoice 032718-2 1/30/2018 Cash Payment E 601-49400-205 Computer Hardware/Soft MALWAREBYTES- SOFTWARE PUB WKS $8.94 Invoice 032718-2 1/30/2018 Cash Payment E 101-43100-205 Computer Hardware/Soft MALWAREBYTES- SOFTWARE PUB WKS $8.95 Invoice 032718-2 1/30/2018 Cash Payment E 101-45200-434 Conference & Training INTL SOC ARBORICULTURE- PARK $104.85 MANUALS CHAINSAW SAFETY -POLICY Invoice 032718-2 1/31/2018 Cash Payment E 609-49750-340 Advertising IN PRIME ADVERTISING- MONTHLY $100.00 WEBSITE HOSTING HWS Invoice 032718-2 1/27/2018 Cash Payment E609-49750-210 Operating Supplies OFFICE MAX -PADFOIL 1X1X13- REFILL $92.02 REGISTER PAPER- HWS Invoice 032718-2 1/17/2018 Cash Payment E 609-49750-200 Office Supplies WALGREENS- CLEAR LABELS- HWS $5.35 Invoice 032718-2 2/2/2018 Cash Payment E 609-49750-205 Computer Hardware/Soft USB FLASH DRIVE FOR PD SURVEILLANCE- $29.02 HWS Invoice 032718-2 1/8/2018 Cash Payment E 101-43100-322 Postage UPS GROUND PICKUP - RETURN FREE $28.06 TRIAL CONCRETE DIAMOND BLADE Invoice 032718-2 2/1/2018 Transaction Date 3/8/2018 Due 0 Wells Fargo 10100 Total $783.09 Refer 2 ELAN CREDIT CARD Ck# 080121 E 2/23/2018 Cash Payment E 222-42260-325 Pagers -Fire Dept. ACTIVE 911 12 MONTH RENEWAL 50 $562.50 DEVICES- FIRE DEPT Invoice 032718 1/3/2018 Cash Payment E 222-42260-205 Computer Hardware/Soft APPLE -ONLINE STORE- I PAD FIRE DEPT $493.54 Invoice 032718 1/6/2018 -530- 03/22/18 11:42 AM Page 2 Payments Current Period: February 2018 Cash Payment E222-42260-205 Computer Hardware/Soft SALES TAX REFUND- APPLE -ONLINE STORE -$34.54 PURCHASE- FIRE DEPT Invoice 032718 1/6/2018 Cash Payment E 222-42260-210 Operating Supplies Invoice 032718 1/7/2018 Cash Payment E 222-42260-210 Operating Supplies Invoice 032718 1/9/2018 Cash Payment E 222-42260-200 Office Supplies Invoice 032718 1/10/2018 Cash Payment E 222-42260-200 Office Supplies Invoice 032718 1/12/2018 Cash Payment E 222-42260-200 Office Supplies Invoice 032718 1/12/2018 Cash Payment E 222-42260-210 Operating Supplies Invoice 032718 1/14/2018 Cash Payment E 222-42260-200 Office Supplies Invoice 032718 2/2/2018 Cash Payment E 222-42260-210 Operating Supplies Invoice 032718 2/3/2018 Cash Payment E 222-42260-434 Conference & Training Invoice 032718 1/18/2018 Cash Payment E 222-42260-434 Conference & Training AMAZON.COM- 2 QTY BLACK BASKETWEAVE LEATHER BELTS- FIRE DEPT AMAZON.COM- 1 BLACK BASKETWEAVE LEATHER BELT- FIRE DEPT AMAZON.COM- 2 QTY PORTABLE CLIPBOARDS & STORAGE CASE, 24 PK POLY FOLDERS W. SNAP CLOSURE, - FIRE DEPT AMAZON.COM- 3 -RING PENCIL POUCH - FIRE DEPT AMAZON.COM- LEGAL SIZE CLIPBOARD, PK OF 6 HARD CLIPBOARD- FIRE DEPT AMAZON.COM- ENTRANCE INDOOR/OUTDOOR FLOOR MATS- 3 QTY - FIRE DEPT AMAZON.COM- 3 -RING PENCIL POUCH - FIRE DEPT AMAZON.COM- 2 STAINLESS STEEL TALL STORAGE CABINETS W/ WHEELS- FIRE DEPT MN STATE FIRE CHIEFS ASSOC FIRE SCHOOL REG -A. DRILLING MARCH 16 THRU 18 DULUTH MN MN STATE FIRE CHIEFS ASSOC FIRE SCHOOL REG - B. BERENT MARCH 16 THRU 18 DULUTH MN Invoice 032718 1/19/2018 Cash Payment E 222-42260-205 Computer Hardware/Soft MICROSOFT STORE- UPGRADE TO WINDOWS 10 -FIRE DEPT TRAINING COMPUTER $47.98 $23.99 $47.09 $5.79 $15.95 $203.82 $5.84 $469.56 $235.00 $235.00 $215.04 Invoice 032718 1/18/2018 Transaction Date 2/23/2018 Due 0 Wells Fargo 10100 Total $2,526.56 -531 - Fund Summary 609 MUNICIPAL LIQUOR FUND 602 SEWER FUND 601 WATER FUND 222 AREA FIRE SERVICES 101 GENERAL FUND CITY OF MOUND Current Period: February 2018 10100 Wells Fargo $226.39 $124.91 $124.92 $2,526.56 $306.87 $3,309.65 Pre -Written Checks $3,309.65 Checks to be Generated by the Computer $0.00 Total $3,309.65 -532- 03/22/18 11:42 AM Page 3 CITY OF MOUND03/22/1810:30 AM Page 1 Payments Current Period: March 2018 Batch Name 0218HOISINGT User Dollar Amt $3,874.14 Payments Computer Dollar Amt $3,874.14 Refer 2 HOISING TON KOEGLER GROUP, I $0.00 In Balance Cash Payment E 101-42400-300 Professional Srvs MISC PLANNING SVCS FEBRUARY 2018 Invoice 007-001-115 3/10/2018 Cash Payment E 101-42400-300 Professional Srvs MOUND COMPREHENSIVE PLAN 2040 PLANNING SVCS FEBRUARY 2018 Invoice 017-003-11 3/10/2018 Cash Payment G 101-23389 PC 18-03 1571 BLUEBIRD L 1571 BLUEBIRD STREET VACATION PC 18- 03 - PLANNING SVCS FEBRUARY 2018 Invoice 015-015-33 3/10/2018 Cash Payment G 101-23388 2851 CAMBRIDGE VAR AN 2851 CAMBRIDGE EP VARIANCE - PLANNING SVCS FEBRUARY 2018 Invoice 015-015-33 3/10/2018 Cash Payment E 101-42400-300 Professional Srvs 2020 COMMERCE BLVD- PP- CUP- ZA- PLANNING SVCS FEBRUARY 2018 Invoice 015-015-33 3/10/2018 Transaction Date 3/19/2018 Wells Fargo 10100 Total Fund Summary 10100 Wells Fargo 101 GENERAL FUND $3,874.14 $3,874.14 Pre -Written Checks $0.00 Checks to be Generated by the Computer $3,874.14 Total $3,874.14 -533- $954.14 $2,058.75 $315.00 $522.50 $23.75 $3,874.14 CITY OF • l Payments Current Period: March 2018 Batch Name FEB18CARQUST User Dollar Amt $914.03 Payments Computer Dollar Amt $914.03 $0.00 In Balance 03/22/18 10:28 AM Page 1 Refer 3 CARQUEST AUTO PARTS (FIRE) Cash Payment E 222-42260-409 Other Equipment Repair 5W-30 SYNTHETIC OIL FOR FANS & $51.28 GENERATORS- FIRE DEPT Invoice 6974-313897 2/3/2018 Transaction Date 3/19/2018 Wells Fargo 10100 Total $51.28 Refer 4 CARQUEST OF NAVARRE (PA49 - Cash Payment E 601-49400-220 Repair/Maint Supply OIL FILTER, WIPER BLADES #316 WATER $33.98 DEPT Invoice 6974-314237 2/8/2018 Cash Payment E 101-43100-220 Repair/Maint Supply Invoice 6974-314441 2/12/2018 Cash Payment E 602-49450-220 Repair/Maint Supply Invoice 6974-314511 2/13/2018 Cash Payment E 101-43100-220 Repair/Maint Supply Invoice 6974-314599 2/14/2018 Cash Payment E 101-43100-220 Repair/Maint Supply Invoice 6974-314600 2/14/2018 Cash Payment E 601-49400-220 Repair/Maint Supply Invoice 6974-315160 2/22/2018 Cash Payment E 101-43100-220 Repair/Maint Supply Invoice 6974-315161 2/22/2018 Cash Payment E 101-45200-220 Repair/Maint Supply Invoice 6974-315205 2/22/2018 Cash Payment E 101-45200-220 Repair/Maint Supply Invoice 6974-315429 2/26/2018 Cash Payment E 101-45200-220 Repair/Maint Supply Invoice 6974-315545 2/28/2018 Cash Payment E 101-45200-220 Repair/Maint Supply Invoice 6974-315572 2/28/2018 Cash Payment E 101-45200-220 Repair/Maint Supply BACK UP ALARM HEAVY STREETS $28.51 BATTERY- WATERSIDE GENERATOR- D2 $109.87 LIFT STATION FARM TRUCK BATTERY- STREETS $85.75 BATTERY CHARGER- MTNR 1.5A- STREETS $26.79 BRAKE PADS, PAINTED ROTOR, OIL SEAL- $263.35 #112 DISC BRAKE CALLIPERS #112 $213.58 VENTRAC TUBING ALS STRAIGHT- PARKS $12.79 GAS CANS FOR PARK SHOP $78.14 INDUSTRIAL V BELT, STEERING WHEEL $23.99 COVER -PARKS RETURN INDUSTRIAL V BELT- PARKS -$20.99 INDUSTRIAL V BELT- GARAGE DOOR PARK $6.99 SHOP Invoice 6974-315571 2/28/2018 Transaction Date 3/19/2018 Wells Fargo 10100 Total $862.75 -534- CITY OF MOUND 03/22/18 10:28 AM Page 2 Payments Current Period: March 2018 Fund Summary 10100 Wells Fargo 101 GENERAL FUND $455.55 222 AREA FIRE SERVICES $51.28 601 WATER FUND $297.33 602 SEWER FUND $109.87 $914.03 Pre -Written Checks $0.00 Checks to be Generated by the Computer $914.03 Total $914.03 -535- CITY OF LOIR Payments Current Period: March 2018 Batch Name NORTHHENNPCC Payment Computer Dollar Amt $1,473.36 Posted Refer 38 NORTH HENNEPIN COMMUNITY C Ck# 055711 3/7/2018 03/22/18 10:58 AM Page 1 Cash Payment E 601-49400-434 Conference & Training SPRING 2018 TUITION- R. PRICH- $368.34 TECHNICAL ASPECTS OF PUBLIC WORKS - N. HENN COMM COLL Invoice 2018513353988- 3/2/2018 Cash Payment E 602-49450-434 Conference & Training SPRING 2018 TUITION- R. PRICH- $368.34 TECHNICAL ASPECTS OF PUBLIC WORKS - N. HENN COMM COLL Invoice 2018513353988- 3/2/2018 Cash Payment E 101-43100-434 Conference & Training SPRING 2018 TUITION- B. KRESS- $736.68 TECHNICAL ASPECTS OF PUBLIC WORKS - N. HENN COMM COLL Invoice 2018513321422- 3/2/2018 Transaction Date 3/7/2018 Fund Summary 602 SEWER FUND 601 WATER FUND 101 GENERAL FUND Due 0 Wells Fargo 10100 10100 Wells Fargo $368.34 $368.34 $736.68 $1,473.36 Pre -Written Checks $1,473.36 Checks to be Generated by the Computer $0.00 Total $1,473.36 Total $1,473.36 UMMOTSLIS] Payments Current Period: March 2018 03/22/18 11:45 AM Page 1 Batch Name 031418CTYMAN Payment Computer Dollar Amt $5,978.05 Posted Refer 1 BERENT, BRIAN Ck# 055718 3/14/2018 Cash Payment E 222-42260-434 Conference & Training TRAVEL ADVANCE -MEALS- B. BERENT- 2018 $128.00 FIRE OFFICER SCHOOL - 3-16 TO 3-18 2018 DULUTH, MN Invoice 102516 10/24/2016 Transaction Date 3/14/2018 Due 0 Wells Fargo 10100 Total $128.00 Refer 2 DRILLING, ANDREW Ck# 055719 3/14/2018 Cash Payment E 222-42260-434 Conference & Training TRAVEL ADVANCE -MEALS- A. DRILLING- $128.00 2018 FIRE OFFICER SCHOOL - 3-16 TO 3-18 2018 DULUTH, MN Invoice 102516 10/24/2016 Transaction Date 3/14/2018 Due 0 Wells Fargo 10100 Total $128.00 Refer 3 LOST LAKE HOMEOWNERS ASSO Ck# 055720 3/14/2018 Cash Payment E 281-45210-381 Electric Utilities REIMBURSE 2016 VILLA DOCKS $830.41 ELECTRICITY Invoice 031418 3/13/2018 Cash Payment E 281-45210-381 Electric Utilities REIMBURSE 2017 VILLA DOCKS $744.64 ELECTRICITY Invoice 031418 3/13/2018 Cash Payment E 281-45210-430 Miscellaneous REIMBURSE 2016 VILLA DOCKS WATER $219.58 Invoice 031418 3/13/2018 Cash Payment E 281-45210-430 Miscellaneous REIMBURSE 2017 VILLA DOCKS WATER $226.92 Invoice 031418 3/13/2018 Transaction Date 3/14/2018 Due 0 Wells Fargo 10100 Total $2,021.55 Refer 4 TARGET SOLUTIONS LEARNING, L Ck# 055721 3/14/2018 Cash Payment E 222-42260-434 Conference & Training 2018 TARGET SOLUTIONS ONLINE $3,593.00 TRAINING PLATFORM LICENSE- CAREER TRACKING- ANNUAL MTCE FEE Invoice 21516 12/29/2017 Transaction Date 3/14/2018 Due 0 Wells Fargo 10100 Total $3,593.00 Refer 5 THORESEN, TOM Ck# 055722 3/14/2018 Cash Payment R 281-45210-34725 Dock Permits REFUND EXTRA WATERCRAFT FEE- T. $100.00 THORESEN MTKA Invoice 031418 3/12/2018 Cash Payment R 281-45210-34705 LMCD Fees REFUND EXTRA WATERCRAFT LMCD FEE- $7.50 T. THORESEN MTKA Invoice 031418 3/12/2018 Transaction Date 3/14/2018 Due 0 Wells Fargo 10100 Total $107.50 -537- CITY OF MOUND Payments Current Period: March 2018 Fund Summary 10100 Wells Fargo 281 COMMONS DOCKS FUND $2,129.05 222 AREA FIRE SERVICES $3,849.00 $5,978.05 Pre -Written Checks $5,978.05 Checks to be Generated by the Computer $0.00 Total $5,978.05 -538- 03122/18 11:45 AM Page 2 CITY OF MOUND 03/22/18 10:30 AM Page 1 Payments -539- Current Period: March 2018 Batch Name 032718CITY User Dollar Amt $49,421.85 Payments Computer Dollar Amt $49,421.85 $0.00 In Balance Refer 1 CANON FINANCIAL SERVICES, INC _ Cash Payment E 222-42260-202 Duplicating and copying MARCH 2018- COPIER RENTAL- FIRE DEPT $31.75 Invoice 18426373 3/13/2018 Transaction Date 3/20/2018 Wells Fargo 10100 Total $31.75 Refer 2 CENTERPOINT ENERGY (MINNEG _ Cash Payment E 101-41930-383 Gas Utilities GAS SVC 1-18-18 TO 2-18-18 $1,013.38 Invoice 032718 3/8/2018 Cash Payment E 222-42260-383 Gas Utilities GAS SVC 1-18-18 TO 2-18-18 $1,013.38 Invoice 032718 3/8/2018 Cash Payment E 101-45200-383 Gas Utilities GAS SVC 1-18-18 TO 2-18-18 $1,151.69 Invoice 032718 3/8/2018 Cash Payment E 101-41910-383 Gas Utilities GAS SVC 1-18-18 TO 2-18-18 $1,382.49 Invoice 032718 3/8/2018 Cash Payment E 602-49450-383 Gas Utilities GAS SVC 1-18-18 TO 2-18-18 $1,436.15 Invoice 032718 3/8/2018 Project 18-3 Cash Payment E 609-49750-383 Gas Utilities GAS SVC 1-18-18 TO 2-18-18 $525.97 Invoice 032718 3/8/2018 Cash Payment E 101-45200-383 Gas Utilities GAS SVC 1-18-18 TO 2-18-18 DEPOT BLDG $343.60 Invoice 032718 3/8/2018 Transaction Date 3/20/2018 Wells Fargo 10100 Total $6,866.66 Refer 16 CENTRAL MCGOWAN, INCORPOR Cash Payment E 602-49450-210 Operating Supplies HIGH PRESSURE MEDIUM CYLINDER $26.04 RENTALS- QTY 9 Invoice 00016150 1/31/2018 Project 18-3 Cash Payment E 602-49450-210 Operating Supplies HIGH PRESSURE ACETYLENE MEDIUM $8.68 CYLINDER RENTALS- QTY 5 Invoice 00016150 1/31/2018 Project 18-3 Transaction Date 3/22/2018 Wells Fargo 10100 Total $34.72 Refer 17 GRADY, DANIEL _ Cash Payment E 101-45200-438 Licenses and Taxes REIMS DRIVERS LICENSE UPGRADE TO $11.00 CLASS B & ENDORSEMENTS- D. GRADY Invoice 02252014 2/10/2014 Transaction Date 3/22/2018 Wells Fargo 10100 Total $11.00 Refer 3 HOME DEPOT CREDIT (FIRE) Cash Payment E 222-42260-401 Building Repairs PRESSURE WASHER MOUNTING $27.19 ACCESSORIES- CEILING PLATE, TUBING HANGAR, TOGGLE SWITCH & COVER, WHIPKIT- FIRE DEPT Invoice 7564672 3/2/2018 Transaction Date 3/18/2018 Wells Fargo 10100 Total $27.19 Refer 4 MADDEN, GALANTER, HANSON, L _ Cash Payment E 101-49999-300 Professional Srvs LABOR RELATIONS SERVICES - FEBRUARY $105.00 2018 Invoice 032718 3/1/2018 Transaction Date 3/20/2018 Wells Fargo 10100 Total $105.00 -539- oJ�un8�o�Omm CITY ��F MOUND__Page 2 Refer OOFFICE DEPOT _ CeehPoymem E1V1'4193O-2OOOffice Supplies COPY PAPER, PENS, PERFORATED PADS - %100.30 CITY HALL Invoice 114371698001 3/9/2018 PO 24890 CoahPayment E1V1'4193O~2OOOffice Supplies MOUSE PAD- WRIST REST $15.90 Invoice 114371380001 3/9/2018 PO 24890 CouxPayment E101415VU-2DOOffice Supplies DOCUMENT HOLDER 'C.ROBERTS $13.09 FINANCE Invoice 114371697001 3/9/2018 PO 24890 Transaction Date 3/20/20 18 Wells Forgo 10100 Total $128�89 Refer 9SPIRIT 0FTHE LAKES FESTIVAL _ Cash Payment E1O1-411154:0Miscellaneous CITY SPONSORSHIP SPIRIT 0FTHE LAKES $1.500.00 FESTIVAL 2018 Invoice 1587S 3/15/2018 Transaction Date 3/202018 Wells Fargo 10100 Total $1.500.00 Refer 10 STUFF -IT MOVING & STORAGE CaohPoymom G1O1-234110O7rASPEN nDABATEME Invoice 203614 1/21/2018 2JC0NTA|NERRENTAL 1-1948THRU24S' $188.00 Current Period: March 2018 Refer 5MEZI4C0M _ Cash Payment E1O1-4211V-321Telephone, Cells, &Radi ORONOPDINTERNET SVC 43-1018THRV4- $9590 15-18 Invoice 032718 30/2018 Transaction Date 3o6/2018 Wells Fargo 10100 Total $95.90 Refer 8MIDWEST SERVICES _ Cash Payment E0024945O440Other Contractual Semio MECHANIC SVCS- FEB 2018'TRUCK #512. %680.00 #312.#412.#21O Invoice 1752 3/5/2018 Project 18-5 Cash Payment E0O2-49450-410Other Contractual 8ervio MECHANIC SVCS- FEB 2V1&'TRUCK #515. $880,80 #510.#*07.#210 Invoice 1752 3/5/2018 Project 18-5 Cash Payment E0U2~^S*50-*4OOther Contractual Gemin MECHANIC SVCS- FEB 2O18TRUCK #21U p276.25 Invoice 1752 3/5/2018 Project 18-5 Cash Payment E6O248450-44OOther Contractual Gnwiu MECHANIC SVCS- FEB 2O18TRUCK #2iO. $637�50 #312. Invoice 1752 3/5/2018 Project 18-5 Cash Payment EOO2-4945O'44OOther Contractual 8emio MECHANIC SVCS- FEB 2O18TRUCK #21U. $680.00 #112.#515 Invoice 1752 3/5/2018 Project 18-5 Cash Payment E0Ou'4S45O-**OOther Contractual Gomin MECHANIC SVCS- FEB 2O18TRUCK #4O7' $2.780.45 2OO7DODGE DAKOTA- REBUILD 42RLE AUTOMATIC TRANSMISSION- 3YR WARRANTY Invoice 1751 3/512018 Project 18-5 Transaction Date 3/20/2010 Wells Fargo 10100 Total $5.714.20 Refer 7 MULCH STORE, THE - Cash Payment E0704eSnU-*3OMiscellaneous 2U1OCITY WIDE RESIDENT YARD WASTE $13.300�00 DISPOSAL Invoice 23209 3/1/2018 Transaction Date 3/202010 Wells Fargo 10100 Tme| $13.300.00 Refer OOFFICE DEPOT _ CeehPoymem E1V1'4193O-2OOOffice Supplies COPY PAPER, PENS, PERFORATED PADS - %100.30 CITY HALL Invoice 114371698001 3/9/2018 PO 24890 CoahPayment E1V1'4193O~2OOOffice Supplies MOUSE PAD- WRIST REST $15.90 Invoice 114371380001 3/9/2018 PO 24890 CouxPayment E101415VU-2DOOffice Supplies DOCUMENT HOLDER 'C.ROBERTS $13.09 FINANCE Invoice 114371697001 3/9/2018 PO 24890 Transaction Date 3/20/20 18 Wells Forgo 10100 Total $128�89 Refer 9SPIRIT 0FTHE LAKES FESTIVAL _ Cash Payment E1O1-411154:0Miscellaneous CITY SPONSORSHIP SPIRIT 0FTHE LAKES $1.500.00 FESTIVAL 2018 Invoice 1587S 3/15/2018 Transaction Date 3/202018 Wells Fargo 10100 Total $1.500.00 Refer 10 STUFF -IT MOVING & STORAGE CaohPoymom G1O1-234110O7rASPEN nDABATEME Invoice 203614 1/21/2018 2JC0NTA|NERRENTAL 1-1948THRU24S' $188.00 O3m�1u1V�omw ������������ Page Payments Current Period: March 2018 Coo»Puymem G1O1-234118O77ASPEN RDABATEME 20'C0NTANERRENTAL 2-19^18TMRU3-19- $188.00 18@OOr7ASPEN RD -ABATEMENT Invoice 203711 2/21/2018 Transaction Date 3/20/2018 Wells Fargo 10100 Total $378.00 Refer 11SUN NENSPAfER3-HINS A CCT _ Cash Payment E8U9-*8T5O'328Employment Advertising HELP WANTED -LEAD SALESCLERK AO3-1O- $1.00480 18-HVVG Invoice 583133 3n8/2018 Transaction Date 6/202017 Wells Fargo 10100 Tum| %1.064�80 Refer 13SUN PATRIOT NEWSPAPER -CITY _ Cash Payment G1O1-2338SPC18'031571 BLUEBIRD PUB HEARING -LEGAL NTCE-STREET $10023 EAGEMENETVACAT|ON- 1571 BLUEBIRD LN -3-1O-18 Invoice 579856 3M02018 Cash Payment E1O1-42115-328Employment Advertising HELP WANTED -FIELD OFFICER- $99.00 EMERGENCY MGMTCOORDINATOR AD3-1n- 18 Invoice 581114 3/11/2018 Cash Payment E101-42400-328Employment Advertising HELP WANTED -FIELD OFFICER- $89.00 EMERGENCY MGMTCOORDINATOR AD3-1& 18 Invoice 581114 3/11/2018 Transaction Date 3/20/2018 Wells Fargo 10100 Total *298.23 Refer 1uSUN PATRKJTNEWSPAPfR-C1TY Cash Payment E1O1'*5aOO'32OEmployment Advertising PARKS-OEAGONALHELPVvANTEDxD 3'17' $74.00 10 Invoice 583142 3/18/2018 Transaction Date 3/22/2017 Wells Fargo 10100 Total $74.00 Refer 1sXC£IENERGY Cash Payment E1V1-452OO-381 Electric Utilities ELECTRIC SVC -1-25-18TD2'25'1n $27827 Invoice 583880138 3/13/2018 Cash Payment E1V14520V-3B1 Electric Utilities ELECTRIC SVC -1'25~18T02-25'18 $67.97 Invoice 583880138 3/13/2018 Cash Payment EOO2'4945O'3O1 Electric Utilities ELECTRIC SVC -1-25'1OT02'25'18 '$124.20 Invoice 583880138 8/13/2018 Cash Payment E1U1431OO'381 Electric Utilities ELECTRIC SVC -1-25-18TO2-25-18 $1.916.67 Invoice 583880138 3/13/2018 Cash Payment EOO1494OO-381 Electric Utilities ELECTRIC SVC '1'25'18TV2-25-10 *4.08092 Invoice 583880138 3/13/2018 Cash Payment E8O9-497sO-381 Electric Utilities ELECTRIC SVC -1`2548TO2-25-1D *1.334.17 Invoice 583880138 5/13/2018 Cash Payment E1O1'4193O'3O1 Electric Utilities ELECTRIC SVC -1'25'18T02-25-1O $1.847.38 Invoice 583880138 3/1312018 Cash Payment E222'122OO'301 Electric Utilities ELECTRIC SVC -1-25-1OTO2'25-1D $1.847.33 Invoice 583880138 3/13/2018 Cash Payment E1U1'4181V301 Electric Utilities ELECTRIC SVC -1-25-18T02-25'18 $757.35 Invoice 583880138 3/13C2018 Cash Payment E285-4858O'3O1 Electric Utilities ELECTRIC SVC '1'25'1OT02-25-18 $3.008,29 Invoice 583880138 3v13/2018 -541- CITY OF MOUND 03/22/1810:30 AM Page 4 Payments Current Period: March 2018 Cash Payment E 101-42115-381 Electric Utilities ELECTRIC SVC - 1-25-18 TO 2-25-18 $47.36 Invoice 583880138 3/13/2018 Transaction Date 3/20/2018 Wells Fargo 10100 Total $15,102.52 Refer 14 XCEL ENERGY Cash Payment E 101-43100-381 Electric Utilities ELECTRIC SVC 2-03-18 THRU 3-02-18 CITY $4,687.99 OWNED STREET LIGHTS Invoice 582744080 3/5/2018 Transaction Date 3/20/2018 Wells Fargo 10100 Total $4,687.99 Fund Summary $49,421.85 Pre -Written Checks $0.00 Checks to be Generated by the Computer $49,421.85 Total $49,421.85 MM 10100 Wells Fargo 101 GENERAL FUND $16,086.18 222 AREA FIRE SERVICES $2,919.71 285 MOUND HRA $3,069.29 601 WATER FUND $4,060.92 602 SEWER FUND $7,060.81 609 MUNICIPAL LIQUOR FUND $2,924.94 670 RECYCLING FUND $13,300.00 $49,421.85 Pre -Written Checks $0.00 Checks to be Generated by the Computer $49,421.85 Total $49,421.85 MM CITY OF MOUND 03/22/18 11:05 AM Page 1_ ._. Current Period: March 2018 Batch Name 032718CITY2 User Dollar Amt $26,226.67 Payments Computer Dollar Amt $26,226.67 $0.00 In Balance Refer 12 ASPEN EQUIPMENT Cash Payment E 101-43100-404 Machinery/Equip Repairs CHANGE ORDER- ADDTL LABOR NEEDED $4,627.80 Cash Payment TO REMOVE EXISTING CONTROL SYSTEM WATER METER PARTS- CAPS, GASKETS Invoice 10188103 3/15/2018 Invoice 0274868 3/8/2018 Transaction Date 3/20/2018 Wells Fargo 10100 Total $4,627.80 Refer 1 CUMMINS INC. Invoice 0274980 3/12/2018 Cash Payment E 602-49450-440 Other Contractual Servic NORTHERN RD GENERATOR SVC CALL- $822.11 Wells Fargo 10100 Total $542.74 FAILED COOLANT HEATER 3 GRAINGER Invoice EA -7362 3/9/2018 Transaction Date 3/20/2018 Refer 2 FERGUSON WATERWORKS Cash Payment E 601-49400-210 Operating Supplies Wells Fargo 10100 Total $822.11 WATER METER PARTS- CAPS, GASKETS, $183.14 LINERS Invoice 0274499 3/1/2018 Cash Payment E 601-49400-210 Operating Supplies WATER METER PARTS- CAPS, GASKETS $333.35 Invoice 0274868 3/8/2018 Cash Payment E 601-49400-210 Operating Supplies WATER METER PARTS- GASKETS $26.25 Invoice 0274980 3/12/2018 Transaction Date 3/20/2018 Wells Fargo 10100 Total $542.74 Refer 3 GRAINGER Cash Payment E 602-49450-220 Repair/Maint Supply WALL MOUNT HOSE REEL- STEEL, DEAD $132.21 BLOW HAMMER Invoice 9725026679 3/13/2018 Cash Payment E 602-49450-218 Clothing and Uniforms ARC FLASH COVERALL KIT NAVY 2XL, $533.60 Invoice 9725276688 3/13/2018 Cash Payment E 602-49450-218 Clothing and Uniforms ARC FLASH COVERALL KIT NAVY 3XL, $559.52 Invoice 9725276696 3/13/2018 Transaction Date 3/20/2018 Wells Fargo 10100 Total $1,225.33 Refer 4 HD SUPPLY WATERWORKS, LTD _ Cash Payment E 601-49400-210 Operating Supplies WATER METER SUPPLIES- REPAIR CLAMPS $843.30 Invoice 1537683 3/5/2018 Cash Payment E 601-49400-210 Operating Supplies WATER METERS - M2 WIRED UNITS W/ $1,400.00 HOURLY READ & LEAK DETECT Invoice 1560818 3/9/2018 Cash Payment E 601-49400-210 Operating Supplies 24 WATER METERS- 1 PERIL W/ COUPLING $3,932.07 Invoice 1576627 3/13/2018 Transaction Date 3/20/2018 Wells Fargo 10100 Total $6,175.37 Refer 18 HOME DEPOT/GECF (P/l/10 Cash Payment E 101-43100-224 Street Maint Materials 12 BAGS SELF LEVELING CONCRETE- $0.00 STREETS DEPT Invoice 5074268 3/14/2018 Cash Payment E 602-49450-220 Repair/Maint Supply FIBERGLASS METAL FILTER, BACKER ROD, $158.56 CAULK, WATERHOSE, CAULK GUN, THUMB CONTROL NOZZLE, PHILLIPS MAGNETIC DRIVE GUIDE- PUB WKS Invoice 6061072 3/13/2018 -543- ' CITY OF MOUND 08/22n811:05mw _ Page 2 Payments Current Period: March 2018 Transaction Date 3122/2018 Wells Fargo 10100 Total $15&58 Rafe, 13 MN SERVICES, INC. _ Cash Payment E1O1'41S3O-40OJanitorial Services |mmice0418PPO2 4/1/2018 Cash Payment E222-422OO-48OJanitorial Services mvnioeO418PPO2 4/1/2018 Cash Payment E 1O1'4191O46OJanitorial Services Invoico0418PP02 4M/208 Cash Payment EO02-49450-460Janitorial Services |nvoico04U8PPO2 4U/2018 Transaction Date 2/16/2018 Refer 0RAYS SERVICES CashPayment s 1U14u2oU-533Tree Removal Invoice 032718 3/14/20 18 cas»Paymom E1O1-^o200-o33Tree Removal Invoice O327 O 3U4/2018 Transaction Date 3/20/2018 JANITORIAL SVC- MARCH 2V1D—CITY HALL $474.80 JANITORIAL SVC- MARCH 2018-- FIRE DEPT $245.20 JANITORIAL SVC- MARCH 2018-- $426.93 CENTENNIAL BLDG JANITORIAL SVC- MARCH 2U1V—PUBLIC $183,47 WORKS BLDG Project 18-3 Wells Fargo 10100 Total $1,310.40 - REMOVE BOXELDEROVER BOAT LIFT & $89.00 DOCKS NEAR DENBIGH RD REMOVE DEADWOOD 0NLARGE $1.250.00 COTTONWOOD -ON LAKE NEAR |GLANDV|EVVDRIVE Wells Fargo 10100 Total $2.14500 Refer 53{HARBERAND SONS OFLONG L_ Cash Payment E101-452OV-21OOperating Supplies PARKS- FILTERS FOR WEED WHIPS & $33.80 BLOWERS Invoice P05541 30/2018 Transaction Date 3/202018 Wells Fargo 10100 Total $39.66 Refer 7SIMPLEX GR8VKELL _ Cash Payment E0O2-4945O-440Other Contractual SemiuSVC CALL -PUB WKS -PHONE LINE 1 $256�00 INDICATING ATROUBLE CONDITION- N0 DIAL TONE Invoice 84617662 3/13/2018 Project 18-3 Transaction Date 3/20201e Wells Fargo 10100 Total $256.00 Refer 8 TONKA PLUMBING HEATING & CL Cash Payment EVO1-4S40O44OOther Contractual Gemio INSTALL NEW 8w''WATER METER & $290.00 ADAPTERS Invoice 9849 30/2018 Transaction Date 3/10/2018 Wells Fargo 10100 Total $290.00 Refer 9ULKVE _ CeohPayment EOO2-4945O-21OOperating Supplies DELUXE SHOE COVERS, 12X17WIPER 1 $197.58 BOX CT&WIPER DISPENSER- PUB WKS SHOP Invoice 95681704 3/13/2018 Project 18-3 Transaction Date 3/202018 Wells Fargo 10100 Total *197.58 Refer 14VBRIZ0VWIRELESS - Cash Payment E222-42260-321Telephone, Cells, &RadiDATACARD SVC FIRE LADDER TRUCK #44 $35.01 2-11-18 TO 3-10-18 Invoice 9803259587 3U0/2018 CITY 4F MOUND -... 03/22/1811:05 AM Page 3 Payments Current Period: March 2018 Cash Payment E 602-49450-321 Telephone, Cells, & Radi SEWER TRUCK #109 DATACARD SVC 2-11- $35.01 18 TO 3-10-18 Invoice 9803259587 3/10/2018 Cash Payment E 602-49450-321 Telephone, Cells, & Radi PUB WKS SUPV VENC #113 R. HANSON $35.01 DATACARD SVC 2-11-18 TO 3-10-18 Invoice 9803259587 3/10/2018 Project 18-3 Cash Payment E 602-49450-321 Telephone, Cells, & Radi PUB WKS JET PACK LAPTOP AIRCARD SVC $35.01 2-11-18 TO 3-10-18 Invoice 9803259587 3/10/2018 Project 18-3 Cash Payment E 101-42400-321 Telephone, Cells, & Radi FIELD OFFICER DATACARD SVC 2-11-18 TO $17.51 3-10-18 Invoice 9803259587 3/10/2018 Cash Payment E 101-42115-321 Telephone, Cells, & Radi FIELD OFFICER DATACARD SVC 2-11-18 TO $17.50 3-10-18 Invoice 9803259587 3/10/2018 Cash Payment E 222-42260-321 Telephone, Cells, & Radi DATACARD SVC FIRE UNIT #42 DUTY $35.01 OFFICER 2-11-18 TO 3-10-18 Invoice 9803259587 3/10/2018 Cash Payment E 222-42260-321 Telephone, Cells, & Radi DATACARD SVC FIRE UNIT #39 FIRE CHIEF $35.01 RESCUE UTILITY SVC 2-11-18 TO 3-10-18 Invoice 9803259587 3/10/2018 Cash Payment E 222-42260-321 Telephone, Cells, & Radi DATACARD SVC FIRE #43 RESCUE TRUCK $35.01 SVC 2-11-18 TO 3-10-18 Invoice 9803259587 3/10/2018 Cash Payment E 222-42260-321 Telephone, Cells, & Radi DATACARD SVC FIRE ENGINE #29 SVC 2-11- $35.01 18 TO 3-10-18 Invoice 9803259587 3/10/2018 Cash Payment E 601-49400-321 Telephone, Cells, & Radi WATER TRUCK #315 DATACARD SVC 2-11- $35.01 18 TO 3-10-18 Invoice 9803259587 3/10/2018 Cash Payment E 601-49400-321 Telephone, Cells, & Radi WATER TRUCK #512 R. PRICH DATACARD $35.01 SVC 2-11-18 TO 3-10-18 Invoice 9803259587 3/10/2018 Cash Payment E 602-49450-321 Telephone, Cells, & Radi UTILITY LEAD WORKER TABLET- INTERNET $17.51 SVC 2-11-18 TO 3-10-18 Invoice 9803259587 3/10/2018 Cash Payment E 601-49400-321 Telephone, Cells, & Radi UTILITY LEAD WORKER TABLET- INTERNET $17.50 SVC 2-11-18 TO 3-10-18 Invoice 9803259587 3/10/2018 Cash Payment E 101-45200-321 Telephone, Cells, & Radi PARKS LEAD WORKER TABLET- HOT SPOT- $35.01 SVC 2-11-18 TO 3-10-18 Invoice 9803259587 3/10/2018 Cash Payment E 101-43100-321 Telephone, Cells, & Radi STREETS LEAD WORKER TABLET- HOT $35.01 SPOT 2-11-18 TO 3-10-18 Invoice 9803259587 3/10/2018 Cash Payment E 101-43100-321 Telephone, Cells, & Radi STREETS LEAD WORKER TABLET- $35.01 INTERNET SVC- 2-11-18 TO 3-10-18 Invoice 9803259587 3/10/2018 Cash Payment E 602-49450-321 Telephone, Cells, & Radi PUBLIC WORKS SUPER- RAY HANSON - $35.01 TABLET- INTERNET SVC- 2-11-18 TO 3-10-18 Invoice 9803259587 3/10/2018 Project 18-5 Cash Payment E 602-49450-321 Telephone, Cells, & Radi PUBLIC WORKS SUPER- RAY HANSON - $35.01 TABLET- HOT SPOT SVC 2-11-18 TO 3-10-18 Invoice 9803259587 3/10/2018 Project 18-5 16102 MAZWELTR Payments Current Period: March 2018 03/22/18 11:05 AM Page 4 Cash Payment E 602-49450-321 Telephone, Cells, & Radi UTILITY LEAD WORKER TABLET- HOT $17.50 SPOT- SVC 2-11-18 TO 3-10-18 Invoice 9803259587 3/10/2018 Cash Payment E 601-49400-321 Telephone, Cells, & Radi UTILITY LEAD WORKER TABLET- HOT $17.51 SPOT- SVC 2-11-18 TO 3-10-18 Invoice 9803259587 3/10/2018 Cash Payment E 101-45200-321 Telephone, Cells, & Radi PARKS LEAD WORKER TABLET- INTERNET $35.01 SVC 2-11-18 TO 3-10-18 Invoice 9803259587 3/10/2018 Cash Payment E 101-43100-321 Telephone, Cells, & Radi NEW STREETS TABLET DATACARD $35.01 INTERNET SVC 2-11-18 TO 3-10-18 Invoice 9803259587 3/10/2018 Cash Payment E 601-49400-321 Telephone, Cells, & Radi UTILITY 7726- NEW TABLET- INTERNET SVC $17.50 2-11-18 TO 3-10-18 Invoice 9803259587 3/10/2018 Cash Payment E 602-49450-321 Telephone, Cells, & Radi UTILITY 7726- NEW TABLET- INTERNET $17.51 SVC 2-11-18 TO 3-10-18 Invoice 9803259587 3/10/2018 Transaction Date 3/22/2018 Wells Fargo 10100 Total $735.21 Refer 10 WACONIA FORD MERCURY Cash Payment E 101-45200-404 Machinery/Equip Repairs INSPECT PARKS TRUCK #210- CHECK $2,533.41 ENGINE LIGHT ON- REPLACE FAILED TURBOCHARGER, REPLACE MAP SENSOR, INSTALL NEW GASKETS, CLAMPS OIL FEED TUBE Invoice FOCS119399 3/8/2018 Transaction Date 3/20/2018 Wells Fargo 10100 Total $2,533.41 Refer 11 WIDMER CONSTRUCTION, LLC Cash Payment E 601-49400-440 Other Contractual Servic REPAIR WATERMAIN @ 4921 DRUMMOND $5,167.50 RD 3-2-18 Invoice 4429 3/8/2018 Transaction Date 3/20/2018 Wells Fargo 10100 Total $5,167.50 Fund Summary 10100 Wells Fargo 101 GENERAL FUND $10,457.66 222 AREA FIRE SERVICES $420.25 601 WATER FUND $12,298.14 602 SEWER FUND $3,050.62 $26,226.67 Pre -Written Checks $0.00 Checks to be Generated by the Computer $26,226.67 Total $26,226.67 CITY OF MOUND 03/22/18 10:27 AM Page 1 Payments Current Period: March 2018 Batch Name 032718HWS User Dollar Amt $106,539.53 Payments Computer Dollar Amt $106,539.53 $0.00 In Balance Refer 33 ARCTIC GLACIER PREMIUM ICE Cash Payment E 609-49750-255 Misc Merchandise For R ICE Invoice 1993808005 3/21/2018 Transaction Date 3/22/2018 Wells Fargo Refer 1 ARTISAN BEER COMPANY $154.41 10100 Total $154.41 Cash Payment E 609-49750-252 Beer For Resale BEER $375.60 Invoice 3246774 3/8/2018 Cash Payment E 609-49750-252 Beer For Resale BEER $314.50 Invoice 3248311 3/16/2018 Transaction Date 3/21/2018 Wells Fargo 10100 Total $690.10 Refer 4 BELLBOY CORPORATION Cash Payment E 609-49750-253 Wine For Resale WINE $288.00 Invoice 63318900 3/16/2018 Cash Payment E 609-49750-265 Freight FREIGHT $6.66 Invoice 63318900 3/16/2018 Cash Payment E 609-49750-251 Liquor For Resale LIQUOR $2,271.55 Invoice 63179700 3/7/2018 Cash Payment E 609-49750-265 Freight FREIGHT $23.25 Invoice 63179700 3/7/2018 Cash Payment E 609-49750-251 Liquor For Resale LIQUOR $182.10 Invoice 63319100 3/16/2018 Cash Payment E 609-49750-265 Freight FREIGHT $6.15 Invoice 63319100 3/16/2018 Cash Payment E 609-49750-251 Liquor For Resale LIQUOR CREDIT -$157.00 Invoice 63081600 2/27/2018 Transaction Date 3/21/2018 Wells Fargo 10100 Total $2,620.71 Refer 3 BELLBOY CORPORATION _ Cash Payment E 609-49750-251 Liquor For Resale LIQUOR $1,964.15 Invoice 63234100 3/12/2018 Cash Payment E 609-49750-251 Liquor For Resale LIQUOR $1,988.90 Invoice 63335100 3/19/2018 Transaction Date 3/21/2018 Wells Fargo 10100 Total $3,953.05 Refer 2 BELLBOY CORPORATION _ Cash Payment E 609-49750-210 Operating Supplies SUPPLIES, BAGS $96.30 Invoice 97330300 3/16/2018 Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX $35.00 Invoice 97330300 3/16/2018 Gash Payment E 609-49750-210 Operating Supplies SUPPLIES, BAGS $20.45 Invoice 97284000 3/7/2018 Transaction Date 3/21/2018 Wells Fargo 10100 Total $151.75 Refer 5 BERNICKS BEVERAGES AND VEN Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX $58.00 Invoice 414095 3/14/2018 -547- CITY OF MOUND 03/22/18 10:27 AM Page 2 Payments Current Period: March 2018 Cash Payment E 609-49750-252 Beer For Resale BEER $570.80 Invoice 414096 3/14/2018 Cash Payment E 609-49750-252 Beer For Resale BEER $1,048.35 Invoice 415426 3/21/2018 Transaction Date 3/21/2018 Wells Fargo 10100 Total $1,677.15 Refer 6 BLU SKY PUBLISHING Cash Payment E 609-49750-340 Advertising 1/4 PAGE AD APRIL 2018 BALANCE MN $180.00 Invoice 1080769661 3/8/2018 MAGAZINE Invoice 17289 3/15/2018 LIQUOR $1,727.20 Transaction Date 3/21/2018 Wells Fargo 10100 Total $180.00 Refer 7 BREAKTHRU BEVERAGE MN BEE LIQUOR CREDIT -$134.50 Cash Payment E 609-49750-252 Beer For Resale BEER $8,820.70 Invoice 1090832426 3/14/2018 Wells Fargo 10100 Total $4,824.84 Cash Payment E 609-49750-252 Beer For Resale BEER $159.75 Invoice 1090829317 3/17/2018 WINE $109.72 Cash Payment E 609-49750-252 Beer For Resale BEER $4,295.10 Invoice 1090829316 3/17/2018 LIQUOR $2,345.38 Transaction Date 3/21/2018 Wells Fargo 10100 Total $13,275.55 Refer 34 BREAKTHRU BEVERAGE MN BEE Wells Fargo 10100 Total $2,455.10 Cash Payment E 609-49750-252 Beer For Resale BEER $3,938.05 Invoice 1090834971 3/21/2018 BEER $1,702.77 Cash Payment E 609-49750-252 Beer For Resale BEER $111.85 Invoice 1090834972 3/21/2018 Transaction Date 3/21/2018 Wells Fargo 10100 Total $4,049.90 Refer 8 BREAKTHRU BEVERAGE MN WINE Cash Payment E 609-49750-253 Wine For Resale WINE $826.65 Invoice 1080772116 3/14/2018 Cash Payment E 609-49750-251 Liquor For Resale LIQUOR $1,305.49 Invoice 1080772115 3/14/2018 Cash Payment E 609-49750-253 Wine For Resale WINE $1,100.00 Invoice 1080769661 3/8/2018 Cash Payment E 609-49750-251 Liquor For Resale LIQUOR $1,727.20 Invoice 1080768845 3/7/2018 Cash Payment E 609-49750-251 Liquor For Resale LIQUOR CREDIT -$134.50 Invoice 2080194675 2/7/2018 Transaction Date 3/21/2018 Wells Fargo 10100 Total $4,824.84 Refer 35 BREAKTHRU BEVERAGE MN WINE Cash Payment E 609-49750-253 Wine For Resale WINE $109.72 Invoice 1080775155 3/21/2018 Cash Payment E 609-49750-251 Liquor For Resale LIQUOR $2,345.38 Invoice 1080775154 3/21/2018 Transaction Date 3/21/2018 Wells Fargo 10100 Total $2,455.10 Refer 9 CAPITOL BEVERAGE SALES, L.P. _ Cash Payment E 609-49750-252 Beer For Resale BEER $1,702.77 Invoice 2078030 3/13/2018 Cash Payment E 609-49750-252 Beer For Resale BEER $79.60 Invoice 2078036 3/13/2018 161• CITY OF MOUND 03/22/1810:27 AM Page 3 Payments Current Period: March 2018 Transaction Date 3/21/2018 Wells Fargo 10100 Total $1,782.37 Refer 36 CAPITOL BEVERAGE SALES, L.P Cash Payment E 609-49750-252 Beer For Resale BEER $2,021.45 Invoice 2081056 3/20/2018 Cash Payment E 609-49750-252 Beer For Resale BEER $68.40 Invoice 2081057 3/20/2018 Transaction Date 3/21/2018 Wells Fargo 10100 Total $2,089.85 Refer 10 CLEAR RIVER BEVERAGE CO. Cash Payment E 609-49750-252 Beer For Resale BEER $477.20 Invoice 67-3622 3/15/2018 Transaction Date 3/21/2018 Wells Fargo 10100 Total $477.20 Refer 11 CREATIVE TWIST, LLC _ Cash Payment E 609-49750-340 Advertising DESIGN & LAYOUT OF HWS WINE SALE $200.00 POSTERS/BANNERS 34 X 34, 40 X 108, & 47 X47 Invoice 2216 3/7/2018 Transaction Date 3/21/2018 Wells Fargo 10100 Total $200.00 Refer 37 DAHLHEIMER BEVERAGE LLC _ Cash Payment E 609-49750-252 Beer For Resale BEER $1,905.50 Invoice 1337360 3/20/2018 Transaction Date 3/22/2018 Wells Fargo 10100 Total $1,905.50 Refer 38 ENKI BREWING COMPANY Cash Payment E 609-49750-252 Beer For Resale BEER $201.56 Invoice 8756 3/20/2018 Transaction Date 3/22/2018 Wells Fargo 10100 Total $201.56 Refer 12 GRAPE BEGINNINGS, INCORPORA Cash Payment E 609-49750-253 Wine For Resale WINE $788.00 Invoice MN00036323 3/8/2018 Cash Payment E 609-49750-265 Freight FREIGHT $15.75 Invoice MN00036323 3/8/2018 Cash Payment E 609-49750-253 Wine For Resale WINE $162.00 Invoice MN00036323 3/8/2018 Transaction Date 3/21/2018 Wells Fargo 10100 Total $965.75 Refer 13 HAMMERHEART BREWING COMP Cash Payment E 609-49750-252 Beer For Resale BEER $162.00 Invoice 2018-150 3/13/2018 Transaction Date 3/21/2018 Wells Fargo 10100 Total $162.00 Refer 14 HOHENSTEINS, INCORPORATED Cash Payment E 609-49750-252 Beer For Resale BEER $488.00 Invoice 950732 3/8/2018 Cash Payment E 609-49750-252 Beer For Resale BEER $629.50 Invoice 951948 3/15/2018 Transaction Date 3/21/2018 Wells Fargo 10100 Total $1,117.50 Refer 15 JJ TAYLOR. DISTRIBUTING MINN Cash Payment E 609-49750-252 Beer For Resale BEER $2,455.32 Invoice 2773978 3/14/2018 03/22/18 10:27 AM Page 4 Payments Current Period: March 2018 Cash Payment E 609-49750-252 Beer For Resale BEER CREDIT -$67.60 Invoice 2771413 3/7/2018 Cash Payment E 609-49750-252 Beer For Resale BEER $105.35 Invoice 2802719 3/14/2018 Transaction Date 3/21/2018 Wells Fargo 10100 Total $2,493.07 Refer 39 JJ TAYLOR. DISTRIBUTING MINN Cash Payment E 609-49750-252 Beer For Resale BEER $1,918.55 Invoice 2774895 3/21/2018 Cash Payment E 609-49750-252 Beer For Resale BEER $25.55 Invoice 2774896 3/21/2018 Transaction Date 3/21/2018 Wells Fargo 10100 Total $1,944.10 Refer 17 JOHNSON BROTHERS LIQUOR Cash Payment E 609-49750-251 Liquor For Resale LIQUOR CREDIT -$11.50 Invoice 668802 2/22/2018 Cash Payment E 609-49750-253 Wine For Resale WINE CREDIT -$8.96 Invoice 668803 2/22/2018 Cash Payment E 609-49750-253 Wine For Resale WINE CREDIT -$148.90 Invoice 668216 2/19/2018 Cash Payment E 609-49750-253 Wine For Resale WINE CREDIT -$21.38 Invoice 667849 2/16/2018 Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX CREDIT -$43.00 Invoice 669159 2/26/2018 Transaction Date 3/21/2018 Wells Fargo 10100 Total -$233.74 Refer 40 JOHNSON BROTHERS LIQUOR Cash Payment E 609-49750-252 Beer For Resale BEER $21.99 Invoice 5965671 3/21/2018 Cash Payment E 609-49750-251 Liquor For Resale LIQUOR $2,715.49 Invoice 5965669 3/21/2018 Cash Payment E 609-49750-253 Wine For Resale WINE $3,366.75 Invoice 5965670 3/21/2018 Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX $24.00 Invoice 5965672 3/21/2018 Transaction Date 3/21/2018 Wells Fargo 10100 Total $6,128.23 Refer 16 JOHNSON BROTHERS LIQUOR Cash Payment E 609-49750-252 Beer For Resale BEER $24.00 Invoice 5955464 3/7/2018 Cash Payment E 609-49750-251 Liquor For Resale LIQUOR $5,241.95 Invoice 5955462 3/7/2018 Cash Payment E 609-49750-253 Wine For Resale WINE $1,851.42 Invoice 5955463 3/7/2018 Cash Payment E 609-49750-251 Liquor For Resale LIQUOR $2,496.50 Invoice 5960511 3/14/2018 Cash Payment E 609-49750-253 Wine For Resale WINE $3,993.70 Invoice 5960512 3/14/2018 Transaction Date 3/21/2018 Wells Fargo 10100 Total $13,607.57 Refer 18 LUPULIN BREWING COMPANY Cash Payment E 609-49750-252 Beer For Resale BEER $417.00 Invoice 10991 3/5/2018 on�una�o�7mw CITY ��F MOUND Page 5Payments -551- Current pe,mu March 2018 Transaction Date 3/21/2018 Wells Fargo 10100 Total $417.00 Refer 41MARLIN STRUCKING DELIVERY _ Cash Payment E0O9'4S75O-2O5Freight DELIVERY SVC 3-01-18 $319.00 Invoice 33968 3/1/2018 Cash Payment EOO8-49750-205Freight DELIVERY SVC 3'O2'18 $4.35 Invoice 33951 3/2/2018 Cash Payment E8V9-4875O'205Freight DELIVERY SVC 3-U8'18 $205.35 Invoice 33991 30/2018 Transaction Date 3/22/3018 Wells Fargo 10100 Total $58870 Refer 42MARLIN JTRUCKING DELIVERY _ Cash Payment E8n9-4Sr50-aGeFreight DELIVERY SVC 3 -OS -18 $24�85 Invoice 33997 5/9/2018 Cash Payment EOOg49r5V-28oFreight DELIVERY SVC 3-12'18 $2320 Invoice 34002 3/12/2018 Cash Payment EhO9-*8750'u85Freight DELIVERY SVC 3-15-18 $287.18 Invoice 34020 3/15m018 Transaction Date 3122/2018 Wells Fargo 10100 Total $334.95 Refer 1Sh0AKvs*AHABUILDING MAN/TEJVA _ Cash Payment E5VS497nO-*4OOther Contractual Gemic WASH WINDOWS INSIDE & OUT 2 -OS -18- $05.18 HvVG Invoice 180102054 2/25/2018 Transaction Date 3/21/2018 Wells Fargo 10100 Total $65.19 Refer 20 MOUND MARKETPLACE ASSOC _ Cash Payment EsOS4975D-412Building Rentals APRIL 2018COMMON AREA MTCE & $1.315.32 INSURANCE HWS invoice 040118 4/1/2018 Cash Payment EVO84S750-412 Building Rentals 2O17COMMON AREA MTCE& INSURANCE $874�57 RECONCILIATION CHARGE -HWS Invoice 040118 4/1/2018 Transaction Date 3/21/2018 Wells Fargo 10100 Total $1.90e.8e Refer 21 MOUND, _ Cash Payment EOO9-4S/5U-382Water Utilities WATER SERVICE 1'2-16THRU2'2'16HWS $6289 Invoice 032718 2/20/2018 Transaction Date 3/21/2018 Wells Fargo 10100 Total $52.89 Refer 22 NEGOCE, LLC_ Cash Payment E6n8'4g75U'2S1 Liquor For Resale LIQUOR $18396 |n"nkm 179963 3/8/2018 Cash Payment EUOS4875O-2U5Freight FREIGHT $2.50 Invoice 178983 30/2018 Transaction Date 3121/2018 Wells Fargo 10100 Total $186.46 Refer 43R4U3nGAND SONS WINE COMPA _ Cash Payment E8O9-*975O'as3Wine For Resale WINE $34500 Invoice 4693 3/19/2018 Cash Payment E 609-49750-265 Freight FREIGHT $7.00 Invoice 4693 3/19/2018 Transaction Date 3/21/2018 Wells Fargo 10100 Total $35200 Refer 23 PAUSTIS AND SONS WINE COMPA -551- Cash Payment Invoice 3799 Cash Payment Invoice 3799 Cash Payment Invoice 4300 Cash Payment Invoice 4300 Transaction Date Refer Cash Payment Invoice 2323825 Cash Payment Invoice 2323824 Cash Payment Invoice 2323826 CITY OF MOUND 03/22/1810:27 AM Page 6 Payments Current Period: March 2018 E 609-49750-253 Wine For Resale WINE 3/12/2018 $618.65 E 609-49750-265 Freight FREIGHT 3/12/2018 E 609-49750-253 Wine For Resale WINE 3/14/2018 $1,155.00 E 609-49750-265 Freight FREIGHT 3/14/2018 3/21/2018 Wells Fargo 25 PHILLIPS WINE AND SPIRITS, INC E 609-49750-253 Wine For Resale WINE 3/14/2018 E 609-49750-251 Liquor For Resale LIQUOR 3/14/2018 E 609-49750-254 Soft Drinks/Mix For Resa MIX 3/14/2018 f os $410.92 $10.50 $496.00 $10.50 Total $927.92 $374.60 $323.35 $117.50 Transaction Date 3/21/2018 Wells Fargo 10100 Total $815.45 Refer 44 PHILLIPS WINE AND SPIRITS, INC Cash Payment E 609-49750-251 Liquor For Resale LIQUOR $618.65 Invoice 2327517 3/21/2018 Cash Payment E 609-49750-253 Wine For Resale WINE $1,155.00 Invoice 2327518 3/21/2018 Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX $198.00 Invoice 2327519 3/21/2018 Transaction Date 3/21/2018 Wells Fargo 10100 Total $1,971.65 Refer 16 PHILLIPS WINE AND SPIRITS, INC Cash Payment E 609-49750-253 Wine For Resale WINE $977.85 Invoice 2735461 1/28/2015 Cash Payment E 609-49750-251 Liquor For Resale LIQUOR $1,023.20 Invoice 2735460 1/28/2015 Cash Payment E 609-49750-252 Beer For Resale BEER $207.60 Invoice 273546 1/28/2015 Cash Payment E 609-49750-253 Wine For Resale WINE $56.00 Invoice 2735462 1/28/2015 Transaction Date 1/7/2015 Wells Fargo 10100 Total $2,264.65 Refer 24 PHILLIPS WINE AND SPIRITS, INC Cash Payment E 609-49750-251 Liquor For Resale LIQUOR $1,129.70 Invoice 2320338 3/7/2018 Cash Payment E 609-49750-253 Wine For Resale WINE $704.00 Invoice 2320339 3/7/2018 Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX $72.00 Invoice 2320340 3/7/2018 Transaction Date 3/21/2018 Wells Fargo 10100 Total $1,905.70 Refer 26 SHANKEN COMMUNICATIONS, INC _ Cash Payment E 609-49750-255 Misc Merchandise For R WINE SPECTATOR PUBLICATIONS 3-31-18 $15.00 EDITION Invoice 50624500 2/20/2018 -552- CITY OF MOUND 03/22/18 10:27 AM Page 7 Payments Current Period: March 2018 Transaction Date 3/21/2018 Wells Fargo 10100 Total $15.00 Refer 27 SOUTHERN WINE & SPIRITS OF M WINE $1,242.00 Cash Payment E 609-49750-253 Wine For Resale WINE $1,812.00 Invoice 1656999 3/8/2018 LIQUOR $1,000.13 Cash Payment E 609-49750-251 Liquor For Resale LIQUOR $1,871.60 Invoice 1657000 3/8/2018 $38.87 Invoice 1249615 Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX $50.00 Invoice 1657001 3/8/2018 $1,470.00 Invoice 1247328 Cash Payment E 609-49750-253 Wine For Resale WINE $3,234.00 Invoice 1659728 3/15/2018 $643.85 Invoice 1247329 Cash Payment E 609-49750-251 Liquor For Resale LIQUOR $5,237.69 Invoice 1659727 3/15/2018 Total $4,394.85 Refer Cash Payment E 609-49750-253 Wine For Resale WINE CREDIT -$10.00 Invoice 9130310 1/25/2018 $2,444.02 Invoice 1662398 Transaction Date 3/21/2018 Wells Fargo 10100 Total $12,195.29 Refer 29 SOUTHERN WINE & SPIRITS OF M _ Invoice 1662399 Cash Payment E 609-49750-253 Wine For Resale WINE- CREDIT PAYBACK -WAS TAKEN $42.00 E 609-49750-254 Soft Drinks/Mix For Resa MIX TWICE AS 0037890 & 0037020 Invoice 1662400 Invoice 9130894 1/29/2018 Transaction Date Cash Payment E 609-49750-253 Wine For Resale WINE- $42 CREDIT WAS TAKEN AS 0037586- $28.00 30 VINOCOPIA, INCORPORATED _ BUT IT WAS REDUCED TO A $14 CREDIT ON Cash Payment E 609-49750-251 Liquor For Resale LIQUOR cm 9132078 Invoice 0202038 Invoice 9132078 1/29/2018 Transaction Date 3/21/2018 Wells Fargo 10100 Total $70.00 Refer 9 SOUTHERN WINE & SPIRITS OF M Cash Payment E 609-49750-253 Wine For Resale WINE $1,242.00 Invoice 1249614 1/29/2015 Cash Payment E 609-49750-251 Liquor For Resale LIQUOR $1,000.13 Invoice 1249613 1/29/2015 Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX $38.87 Invoice 1249615 1/29/2015 Cash Payment E 609-49750-253 Wine For Resale WINE $1,470.00 Invoice 1247328 1/22/2015 Cash Payment E 609-49750-251 Liquor For Resale LIQUOR $643.85 Invoice 1247329 1/22/2015 Transaction Date 1/7/2015 Wells Fargo 10100 Total $4,394.85 Refer 45 SOUTHERN WINE & SPIRITS OF M _ Cash Payment E 609-49750-253 Wine For Resale WINE $2,444.02 Invoice 1662398 3/22/2018 Cash Payment E 609-49750-251 Liquor For Resale LIQUOR $3,368.05 Invoice 1662399 3/22/2018 Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX $38.87 Invoice 1662400 3/22/2018 Transaction Date 3/22/2018 Wells Fargo 10100 Total $5,850.94 Refer 30 VINOCOPIA, INCORPORATED _ Cash Payment E 609-49750-251 Liquor For Resale LIQUOR $294.75 Invoice 0202038 3/8/2018 -553- CITY OF MOUND 03/22/1810:27 AM Page 8 Payments Current Period: March 2018 Cash Payment E 609-49750-265 Freight FREIGHT $7.50 Invoice 0202038 3/8/2018 Cash Payment E 609-49750-253 Wine For Resale WINE $664.00 Invoice 0202533 3/15/2018 Cash Payment E 609-49750-265 Freight FREIGHT $12.00 Invoice 0202533 3/15/2018 Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX $32.00 Invoice 0202039 3/8/2018 Cash Payment E 609-49750-265 Freight FREIGHT $2.50 Invoice 0202039 3/8/2018 Transaction Date 3/21/2018 Wells Fargo 10100 Total $1,012.75 Refer 46 VITAL SIGNS Cash Payment E 609-49750-340 Advertising 2 BANNERS W/ HEM & GROMMETS @ 34" X $397.58 34", 2 QTY @ 47" X 47", 1 @ 108" X 40" Invoice V-18166 3/7/2018 Transaction Date 3/2212018 Wells Fargo 10100 Total $397.58 Refer 31 WINE COMPANY Cash Payment E 609-49750-253 Wine For Resale WINE $472.00 Invoice 64846 3/8/2018 Cash Payment E 609-49750-265 Freight FREIGHT $8.40 Invoice 64846 3/8/2018 Transaction Date 3/21/2018 Wells Fargo 10100 Total $480.40 Refer 32 WINE MERCHANTS _ Cash Payment E 609-49750-253 Wine For Resale WINE $516.00 Invoice 7173843 3/7/2018 Cash Payment E 609-49750-253 Wine For Resale WINE $719.00 Invoice 7174728 3/14/2018 Transaction Date 3/21/2018 Wells Fargo 10100 Total $1,235.00 Refer 47 WINE MERCHANTS _ Cash Payment E 609-49750-253 Wine For Resale WINE $2,112.00 Invoice 7175668 3/21/2018 Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX $19.75 Invoice 7175669 3/21/2018 Transaction Date 3/22/2018 Wells Fargo 10100 Total $2,131.75 Fund Summary 10100 Wells Fargo 609 MUNICIPAL LIQUOR FUND $106,539.53 $106,539.53 Pre -Written Checks $0.00 Checks to be Generated by the Computer $106,539.53 Total $106,539.53 -554- MOUND CITY COUNCIL MINUTES February 27, 2018 The City Council of the City of Mound, Hennepin County, Minnesota, met in regular session on Tuesday, February 27, 2018 at 7:00 p.m. in the council chambers of the Centennial Building. Members present: Mayor Mark Wegscheid; Council members Kelli Gillispie, Jeff Bergquist, Ray Salazar and Jennifer Peterson Members absent: None Others present: City Manager Eric Hoversten, City Engineer Brian Simmons, Finance Director/Clerk/Treasurer Catherine Pausche, Tom Bakritges, Mike Kevitt, Scott Kevitt, Jeff Habish, Skip Johnson, Terry Purcell, Candice Anderson, Cody Anderson, Shelly Zimmerschied, Karla Skeie, Bart Skeie, John Binder, Don Dedon, Shari Erickson, Colin Schwartz, Trofim Borisov 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 Wegscheid called the meeting to order at 8:30 p.m. 2. Pledae of Alleaiance 3. Approve Agenda Hoversten requested item 4B of the consent agenda be removed to item 5.1 for attendance reasons. MOTION by Salazar, seconded by Bergquist, to approve the agenda as amended. All voted in favor. Motion carried. 4. Consent Agenda MOTION by Salazar, seconded by Gillispie, to approve the consent agenda as amended. Upon roll call vote, all voted in favor. Motion carried. A. Approve payment of claims in the amount of $594,454.87. C. Approve 1 Day to 4 Day Temporary On -Sale Liquor Licenses for the following Northwest Tonka Lions' fundraisers, with fees paid: 1) March 24, 2018 Spaghetti Dinner at Gillespie Center 2) April 22, 2018 Pancake Breakfast at Gillespie Center 5. Comments and suggestions from citizens present on any item not on the agenda. Skip Johnson, 3018 Island View Drive, said he thought the Island park Hall project was going to be on agenda, so instead he gave handouts to the City Clerk, including a bid to fix the roof that should be included on the next Council Agenda. Johnson congratulated the Council on moving redevelopment forward and noted that the Mound Visions started when he was on the Council. Johnson cautioned the Council not to lose the old stuff and he loves that the pump house was -555- Mound City Council Minutes — February 27, 2018 saved -in the Harbor District. Johnson said he wants to know if the -City is going to stand with this group who is trying to restore Island Park Hall. Mayor Wegscheid said the Council can't take official action tonight, but it sounded like everyone sounded supportive last meeting, noting that it is a step at a time. Hoversten said he would like to talk about the parameters with Johnson, but that the snow will delay analysis. Johnson said he is thinking about a turbine ventilator to help with moisture and that the information he provided included previous studies. 5.1 Approve minutes: February 13, 2018 regular meeting MOTION by Gillispie, seconded by Peterson, to the approve the minutes from the February 13, 2018 regular meeting. The following voted in favor: Gillispie, Wegscheid, Bergquist and Peterson. The following voted against: none. The following abstained: Salazar. Motion carried. 6. Consideration/Action on Amendment to Restoration Agreement with Respect to the Hazardous Building Existing at 4837 Bedford Road in the City of Mound, MN* *The City Council may conduct a closed session pursuant to Minnesota Statutes, section 13D.05, subdivision 3(b) to engage in an attorney-client privileged discussion with the City's attorney regarding the 4837 Bedford Road hazardous building matter currently being litigated. Sarah Smith said Troy Purcell is purposing to purchase 4837 Bedford Road and has requested an amendment to the agreement and to the deadline on the restoration order of March 1St Smith said Purcell is in the audience and is proposing a handful of additional activities, including relocating the front entry, construction of new deck, roof and shingles, siding, fascia and soffits, all within 120 days. window. Smith said one condition was a structural engineering report which Staff is amenable to waiving if the building permit process determines it is not necessary. Smith said the action requested is to consider and approve the amendment to the restoration order to allow an additional 120 days with the City maintaining the right to remove if conditions not met. Smith said purchaser and City Attorney Elizabeth Brodine are present. Mayor Wegscheid said it seems like a win —win. MOTION by Salazar, seconded by Peterson, to approve a resolution Discussion ensued. Gillispie asked what if property does not close. Attorney Brodine said if it does not close within 10 days, the current owner would still have until July 1 st because the amendment runs with the land. Hoversten said Staff has been in conversation with the purchaser for over a month and he has thoroughly discussed matters with Staff and Staff is comfortable with his abilities. All voted in favor. Motion carried. RESOLUTION NO. 18-22: RESOLUTION APPROVING AMENDMENT TO RESTORATION AGREEMENT WITH RESPECT TO THE HAZARDOUS BUILDING EXISTING AT 4837 BEDFORD ROAD, IN THE CITY OF MOUND, MINNESOTA 55364 7. Action closing the meeting under Minnesota Statutes, Section 13D.03, to consider strategies related to labor negotiations under the Public Employment Labor relations Act, Minnesota Statutes, Chapter 179A MOTION to Salazar, seconded by Gillispie, to close the meeting under the Public Employment Labor Relations Act, Minnesota Statutes, Chapter 179A. All voted in favor. Motion carried. Mayor Wegscheid closed the meeting at 8:46 pm -556- Mound City Council Minutes — February 27, 2018 MOTION by Wegscheid, seconded by Salazar, to reopen the meeting. All voted in favor. Motion carried. Mayor Wegscheid reopened the meeting at 9:25 pm. 8. Catherine Pausche, Director of Finance and Administration Services, requesting action on a resolution approving the 2018 Devon Commons Rip Rap Project Pausche said a Request for Quotes (RFQ's) were sent to five perspective vendors and one response was received for the 2018 Devon Commons Rip Rap project from Dock and Lift, who has done many rip rap projects for Mound previously. Pausche said that although Dock Administration did not rate three alternate properties as in need of replacement, the owners asked the Docks and Commons Commission (DCC) to reconsider. Pausche showed photos of the shoreline in question and said that Staff did not change their recommendation, but recognizes a public benefit if the improvements are made, and therefore recommended the City fund a portion of the cost of replacement. Pausche noted that the fee schedule allows for charging dock licensees part of the cost of improvements on public lands that they benefit from. Discussion ensued on the shoreline rating scale. Pausche said only one of the three abutting property owners were interested in a cost share arrangement and that the resolution is to accept the one bid without getting more and to approve a cost share not to exceed $1,750 or 25% of the cost to replace rip rap at 4743 Island View Drive. MOTION by Salazar, seconded by Gillispie, to approve the following resolution. All voted in favor. Motion carried. RESOLUTION NO. 18-23: RESOLUTION APPROVING THE 2018 DEVON COMMONS RIP RAP PROJECT 9. Information/Miscellaneous A. Comments/reports from Council members/City Manager: Hoversten noted that there will be another concurrent City Council and HRA meeting on March 13th and City Council and Planning Commission on March 20th. Hoversten said the LMCD is hosting a boater safety training on March 17th from 8 am to 6 pm at the Westonka Public Schools Education Center. Lastly, the Westonka Historical Society is hosting an Open House in the Centennial Building on March 3rd from 10 am to 2 pm to honor outgoing president Pam Myers and everyone is welcome to attend. B. Minutes: C. Reports: Finance Dept - Nov & Dec 2017, Jan 2018 D. Correspondence: Westonka Historical Society Invitation - Mar 3 Open House 10. Adiourn MOTION by Bergquist, seconded by Peterson, to adjourn at 9:37 p.m. All voted in favor. Motion carried. Attest: Catherine Pausche, Clerk -557- Mayor Mark Wegscheid MINUTES OF THE CONCURRENT MEETING OF THE MOUND CITY COUNCIL AND MOUND HOUSING AND REDEVELOPMENT AUTHORITY March 13, 2018 The Mound City Council and Mound Housing and Redevelopment Authority in and for the City of Mound, Minnesota, met in concurrent special session on Tuesday, March 13, 2018, immediately following the regular City Council meeting that started at 7:00 p.m. in the council chambers of the Centennial Building. Members present: Mayor/Chair Mark Wegscheid, Council Members/Commissioners Kelli Gillispie, Jennifer Peterson, Jeff Bergquist, Ray Salazar (7:45 pm) Members absent: None Others present: City Manager and Director of Public Works Eric Hoversten, Finance Director/Clerk/Treasurer Catherine Pausche, Community Development Director Sarah Smith, and Administrative Assistant Rebecca Kress, Tom Backritges, Tim Whitten, Mike Kevitt. 1. Open meeting MOTION made by Chair Mark Wegscheid, seconded by Peterson, to reconvene the February 27, 2018 concurrent special session with the City Council and the Mound Housing and Redevelopment Authority at 7:30 p.m. All voted in favor. Motion carried. 2. Approve agenda MOTION by Wegscheid, seconded by Peterson, to approve the agenda. All voted in favor. Motion carried. 3. Council Action: Approve minutes from February 27, 2018 concurrent meeting. MOTION by Peterson, seconded by Gillispie, to approve minutes from February 27, 2018 concurrent meeting. All voted in favor. Motion carried. 4. HRA Action: Approve minutes from February 27, 2018 concurrent meeting. MOTION by Peterson, seconded by Bergquist, to approve minutes from February 27, 2018 concurrent meeting. All voted in favor. Motion carried. 5. Request for Qualifications and Interest in a Townhome Development in the Mound Harbor District in Mound, MN: Discussion and action to select the preferred developer Catherine Pausche, Finance Director, summarized review of what was discussed at the previous February 27, 2018 meeting in which staff were directed to provide recommendations in response to the presentations and material submitted by the developers in response to the City request for qualifications and interest in the Mound Harbor District Townhome Development. The Council heard from 2 developers: Tom Bakritges, Director of Land Development, Homestead Partners and Mike Kevitt, Vice President of Land Development, SVK Development. Pausche reviewed the objectives from the previous meeting which are (1) obtain a competitive price for the land and maximize the market value of the completed development, (2) balance the intensity of use with preservation of public enjoyment of the area; and (3) complete the development in a timely manner with the developer independently financing all improvements. Pausche continued the review of the concept plans presented from each developer. Homestead Partners proposed a 21 unit development, which Pausche pointed out fits within the footprint of the Staff concept plan and the idea there would be more circulation for the public to the downtown area and allowing for a restaurant parcel which will be set aside for future use. SVK Development, although similar, presented a detached style of townhome with a bit less public space being proposed. Pausche added that the SVK Development proposal suggested a build of 16-17 units and offered $960K for the -558- Concurrent City Council/HRA Meeting Minutes — March 13, 2018 parcel of land and Homestead offered $660K with 21 units. Pausche said more units"will provide higher tax revenue to the City over time and noted that both concepts were desireable, formidable offers of high quality. Pausche stated that both participants stated they were able and willing participants in moving forward in the land use process. Pausche reiterated that both proposals have many similarities which the City is looking for such as owner occupied properties with both presented proposals which are complimentary to the Villas on Lost Lake. Pausche also mentioned that Homestead provided for additional off-street parking and SVK for stormwater management, as well as both demonstrated high end finishes which will support higher market value. Pausche referenced the Staff memo observation that although there are many benefits to the stand alone units in SVK's proposal, including windows which takes advantage of views, the City does not want the development to have a single-family residential neighborhood feel. Pausche said Homestead's design compliments the Villas by using slab -on -grade flush with the trails and public spaces and achieves the medium density targets for the area, therefore Staff recommends proceeding to negotiate a purchase and development agreement with Homestead Partners with SVK as the alternate. Mayor Wegscheid said he was glad all City parties took the time to pause and condsider all the information presented by the developers. Wegscheid stated he appreciated Staffs reflection on both proposals. Wegscheid also stated that both participants are highly qualified parties and thanked both parties for their time and effort in this process. Peterson added that she felt both proposals were great but that the Homestead Partners option feels more like downtown and more aligned with what the public has been requesting. 6. Council Action: Action on a resolution authorizing staff to negotiate the terms of a purchase agreement for consideration by the HRA Board and City Council with Homestead Partners MOTION by Peterson, seconded by Bergquist, to authorize staff to negotiate the terms of a purchase agreement for consideration by the HRA Board and City Council with Homestead Partners. All voted in favor. Motion carried. RESOLUTION NO.18-29 : RESOLUTION AUTHORIZING STAFF TO NEGOTIATE THE TERMS OF A PURCHASE AGREEMENT FOR CONSIDERATION BY THE HRA BOARD AND CITY COUNCIL WITH HOMESTEAD PARTNERS 7. HRA Action: Action on a resolution authorizing staff to negotiate the terms of a purchase agreement for consideration by the HRA Board and City Council with Homestead Partners Gillispie asked if there is a timeline as to when we would see a purchase agreement come back from the developer. Pausche stated that the City would be back with a progress report by the last meeting in April. Pausche added that the timeline is hopeful but there are variables to consider that could affect the proposed timeline. Pausche said that the intention is to keep the process moving forward. Smith added that Staff would like to meet with Homestead Partners and get the timeline nailed down and agreed that the timeline should keep moving forward for both the City and the developers benefit. MOTION by Bergquist, seconded by Peterson, to authorize staff to negotiate the terms of a purchase agreement for consideration by the HRA Board and City Council with Homestead Partners. All voted in favor. Motion carried. RESOLUTION NO. 18-03H: RESOLUTION AUTHORIZING STAFF TO NEGOTIATE THE TERMS OF A PURCHASE AGREEMENT FOR CONSIDERATION BY THE HRA BOARD AND CITY COUNCIL WITH HOMESTEAD PARTNERS -559- Concurrent City Council/HRA Meeting Minutes — March 13, 2018 8. Council Action: Action on a resolution approving amended and restated Master Subordination Agreement and Estoppel Certificate related to the Indian Knoll Manor Project Pausche stated that Aeon is modifying the Master Subordination Agreement for the mortgages on Balsam Hill to move the primary to MHFA (the end loans) in place of Wells Fargo who was the construction lender. Pausche noted that the City/HRH's place in line doesn't change and this is just a housekeeping issue. MOTION by Gillispie, seconded by Salazar, to approve amended and restated Master Subordination Agreement and Estoppel Certificate related to the Indian Knoll Manor Project. All voted in favor. Motion carried. RESOLUTION NO. 18-30: RESOLUTION APPROVING AMENDED AND RESTATED MASTER SUBORDINATION AGREEMENT AND ESTOPPEL CERTIFICATE RELATED TO THE INDIAN KNOLL MANOR PROJECT 9. HRA Action: Action on a resolution approving amended and restated Master Subordination Agreement and Estoppel Certificate related to the Indian Knoll Manor Proiect MOTION by Gillispie, seconded by Salazar, to approve amended and restated Master Subordination Agreement and Estoppel Certificate related to the Indian Knoll Manor Project. All voted in favor. Motion carried. RESOLUTION NO: 18-04H: RESOLUTION APROVING AMENDED AND RESTATED MASTER SUBORDINATION AGREEMENT AND ESTOPPEL CERTIFICATE RELATED TO THE INDIAN KNOLL MANOR PROJECT 10. Adjourn MOTION by Bergquist, seconded by Gillispie, to adjourn at 7:53 p.m. All voted in favor. Motion carried. Attest: Catherine Pausche, Clerk -560- Chair Mark Wegscheid 111h ,; " • 0 2415 WILSHIRE BOULEVARD • MOUND, MN 55364-1668 • PH: 952-472-0600 ^ FAX: 952-472-0620 • WWW.CITYOFMOUND.COM Date: March 22, 2018 To: Mayor Wegscheid and Council Members From: Eric Hoversten, City Manager and Public Works Director Catherine Pausche, Director of Finance and Administrative Services Subject: Collective Bargaining Agreement for 2017 - 2018 with Teamsters Local 320 The City and Public Works Union had a tentative agreement on the 2017 - 2018 contract, which was approved by the Council on 10-24-17. Highlights included: • A 2.5% general wage increase in 2017 and 2018 • No change in the employer's contribution to health insurance (currently $775 for single and $1050 for dependent coverage) • The opportunity for the union to propose a seasonal flex schedule • Clarification of call-back procedures • Simplification of the uniform provisions The bargaining unit members did not approve this version and asked for the following: 1) An increase of $25 to the employer contribution for health insurance for dependent coverage effective 01-01-2017 (no change to single or the opt -out) (Impact $7,200) 2) Do not add new language in 29.2 that only allows back -pay for current active employees once a contract settles. A mediation session was held on March 7th and the parties agreed to the following: 1) Effective April 1, 2018, employer contributions to health care will change as follows: • Employer contribution to single coverage will change from $775 to $750 per month • Opt -out payment in lieu of coverage will change from $219.50 to $175 per month • Employer contribution to dependent coverage will change from $1,050 to $1,100 per month (Net impact in 2018: $1,948) 2) The new language for 29.2 back pay will be added, but a Memorandum of Agreement will be executed to provide back pay for Leroy Giese who retired in September after 18 years of service. (Net impact in 2018: $1,287) Management recommends approval of this revised contract. Please let us know if you have any questions. -561- • I mms . 1 1 • • • • Representing 1 -562- 1&W-130 1010 R PAGE ARTICLE,L Purpose of Agreement.................................................................................. l ARTICLE� Recognition..................................................................................................1 ARTICLEBUnion Security.............................................................................................1 ARTICLE,j Employer Security........................................................................................2 ARTICLE 7 Employer Authority.....................................................................................2 ARTICLE,6 Employee Rights - Grievance Procedure.....................................................3 ARTICLE,7 Definitions....................................................................................................5 ARTICLE,8 Savings Clause.............................................................................................6 ARTICLE2Work Schedule.............................................................................................7 ARTICLE,0 oOvertime Pay............................................................................................................7 ARTICLEI Call Back......................................................................................................8 ARTICLEJ2 On Call Pay..................................................................................................8 ARTICLE�3 Legal Defense...............................................................................................9 ARTICLE7_4 Discipline.....................................................................................................9 ARTICLE,_S Seniority, Layoff & Recall......................................................................... 0 DeletE ARTICLE J6 Probationary Periods.................................................................................. 0 ARTICLE7 Safety.........................................................................................................11 ARTICLE8 Job Postings...............................................................................................11 ARTICLE �9 Insurance....................................................................................................11 ARTICLE„ Q Holidays.....................................................................................................A _ ARTICLE, ll Vacation Schedule.....................................................................................13 ARTICLE22 Sick Leave and Family Medical Leave Act(FMLA)................................. 3 ARTICLE, 33 Severance Pay............................................................................................ 4 ARTICLE 74 Funeral Leave.............................................................................................14 ARTICLE, 5 Uniforms and Licenses...............................................................................14 ARTICLE �( Eye Examinations......................................................................................15 ARTICLE, 77 Safety Glasses............................................................................................15 ARTICLE�8 Working Out of Classification...................................................................16 ARTICLE�9 Wages.........................................................................................................16 ARTICLE�Q Waiver....................................................................................................... 6 ARTICLE, ll Non-Discrimination...................................................................................17 ARTICLE�2 Duration.....................................................................................................17 :— ..............:.--�T Forma Delete DeletE DeletE DeletE DeletE Delete DeletE DeletE DeletE DeletE DeletE DeletE Forma Delete _- DeletE {DeletE D� eletE DeletE DeletE DeletE DeletE DeletE DeletE DeletE DeletE DeletE DeletE DeletE DeletE DeletE DeletE iD t i -563- LABOR AGREEMENT between THE CITY OF MOUND and MINNESOTA TEAMSTERS PUBLIC AND LAW ENFORCEMENT EMPLOYEES' UNION, LOCAL #320 ARTICLE J. PURPOSE OF AGREEMENT This Agreement is entered into between the City of Mound, hereinafter called the Employer, and the Minnesota Teamsters Public and Law Enforcement Employees' Union, Local No. 320, hereinafter called the Union. The intent of this Agreement is to: 1.1 Establish certain hours, wages and other conditions of employment; 1.2 Establish procedures for the resolution of disputes, concerning this Agreement's interpretation and/or application; 1.3 Specify the full and complete understanding of the parties; and 1.4 Place in written form, the parties' agreement upon terms and conditions of employment, for the duration of this Agreement. The Employer and the Union, through this Agreement, continue their dedication to the highest quality of public service. Both parties recognize this Agreement as a pledge of this dedication. ARTICLE,. RECOGNITION The Employer recognizes the Union as the exclusive representative, under Minnesota Statutes, Section- Fo 179A.03, Subdivision 3, as an appropriate bargaining unit, consisting of the following job classifications Xaintenance Person Lead Maintenance Person ARTICLE,. UNION SECURITY In recognition of the Union as the exclusive representative, the Employer shall: 3.1 Deduct each payroll period, an amount sufficient to provide the payment of dues established by the Union, from the wages of all employees authorizing in writing such deduction, or a "fair share" deduction, as provided in Minnesota Statutes, Section 179A.06, Subdivision 3, if the employee elects not to become a member of the Union. 3.2 Remit such deduction to the appropriate designated officer of the Union. 1 -564- 3.3 The Union may designate certain employees from the bargaining unit to act as stewards and shall inform the Employer, in writing, of such choice. For regular contract negotiations, up to two stewards will be paid regular time for meetings and discussions with City management that take place during the emplovee's regularly scheduled work schedule on the employer's premises. Any other union designees attending regular contract negotiations will be allowed to use unpaid union time or vacation or comp time if the wish to be compensated. 3.4 The Union agrees to indemnify and hold the Employer harmless against any and all claims, suits, orders, or judgments brought or issued against the Employer as a result of any action taken or not taken by the Employer under the provisions of this Article. ARTICLE,,4. EMPLOYER SECURITY 4.1 The Union agrees that during the life of this Agreement it will not cause, encourage, participate in or support any strike, slowdown or other interruption of or interference with the normal functions of the Employer. 4.2 An employee who engages in a strike may have his/her appointment terminated by the Employer, effective the date the violation first occurs. Such termination shall be effective upon written notice served upon the employee. 4.3 An employee who is absent from any portion of his/her work assignment, without permission, or who abstains wholly or in part, from the full performance of his/her duties, without permission from his/her Employer, on the date or dates when a strike occurs, is prima facie presumed to have engaged in a strike on such date or dates. 4.4 An employee who knowingly strikes and whose employment has been terminated for such action, may subsequent to such violation, be appointed or reappointed or employed or reemployed, but the employee shall be on probation for two (2) years with respect to such tenure of employment, or contract of employment, as he/she may have heretofore been entitled. 4.5 No employee shall be entitled to any daily pay, wages or per diem for the days on which he/she engaged in a strike. ARTICLE,5. EMPLOYER AUTHORITY C 5.1 The Employer retains the full and unrestricted right to operate and manage all manpower, facilities and equipment; to establish functions and programs; to set and amend budgets; to determine the utilization of technology; to establish and modify the organizational structure; to select, direct and determine the number of personnel; to establish work schedules and to perform any inherent managerial function not specifically limited by this Agreement. 5.2 Any term and condition of employment not specifically established or modified by this Agreement shall remain solely within the discretion of the Employer, to modify, establish or eliminate. 2 -565- 6.1 Definition of a Grievance. A grievance is a dispute or disagreement as to the interpretation or application of the specific terms and conditions of this Agreement. 6.2 Union Representative. The Employer will recognize representatives designated by the Union, as the grievance representatives of the bargaining unit, having the duties and responsibilities established by this Article. The Union shall notify the Employer, in writing, of the names of such Union representatives and of their successors, when so designated. 6.3 Processing of a Grievance. It is recognized and accepted by the Union and the Employer that the processing of grievances, as hereinafter provided, is limited by the job duties and responsibilities of the employees and, therefore, shall be accomplished during normal working hours only when consistent with such employee duties and responsibilities. The aggrieved employee and the Union representative shall be allowed a reasonable amount of time without loss in pay when a grievance is investigated and presented to the Employer during normal working hours provided the employee and the Union representative have notified and received the approval of the designated supervisor who has determined that such absence is reasonable and would not be detrimental to the work programs of the Employer. 6.4 Procedure. Grievances, as defined by Section 6. 1, shall be resolved in conformance with the following procedure. STEP 1. An employee, claiming a violation concerning the interpretation or application of this Agreement shall, within fourteen (14) working days after such alleged violation has occurred, present such grievance to the employee's immediate supervisor, as designated by the Employer. The Employer -designated representative, will discuss and give an answer to such Step 1 grievance within ten (10) calendar days after receipt. A grievance not resolved in Step 1 and appealed to Step 2 shall be placed in writing, setting forth the nature of the grievance, the facts on which it is based, the provision of the Agreement allegedly violated and the remedy requested and shall be appealed to Step 2 within ten (10) calendar days after the Employer - designated representative's final answer in Step 1. Any grievance not appealed in writing to Step 2 by the Union, within ten (10) calendar days, shall be considered waived. STEP 2. If appealed, the written grievance shall be presented by the Union and discussed with the Employer -designated Step 2 representative, City Manager. The Employer -designated representative shall give the Union the Employer's Step 2 answer, in writing, within ten (10) calendar days after receipt of such Step 2 grievance. A grievance not resolved in Step 2 may be appealed to Step 3 within ten (10) calendar days following the Employer -designated representative's final answer in Step 2. Any grievance not appealed in writing to Step 3 by the Union within ten (10) calendar days shall be considered waived. STEP 2A. If the Employer and the Union mutually agree, a grievance unresolved in Step 2 may be submitted to the Minnesota Bureau of Mediation Services for mediation within ten (10) I -566- calendar days following the Step 2 Empioyer response. If the grievance is submitted to mediation and is not resolved, it may be appealed to Step 3 within ten (10) calendar days of the date of the mediation meeting. Any grievance not appealed in writing to Step 3 within said ten (10) calendar day period shall be considered waived. STEP 3. A grievance unresolved in Step 2 or Step 2A and appealed to Step 3 shall be submitted to arbitration, subject to the provisions of the Public Employment Labor Relations Act of 1971, as amended. The selection of an arbitrator shall be made in accordance with the "Rules Governing the Arbitration of Grievances" as established by the Bureau of Mediation Services. If the Public Employment Relations Board begins operating in the future, the reference herein to Bureau of Mediation Services will revert back to the Public Employment Relations Board. 6.5 Arbitrator's Authority A. The arbitrator shall have no right to amend, modify, nullify, ignore, add to or subtract from, the terms and conditions of this Agreement. The arbitrator shall consider and decide on the specific issue(s) submitted in writing by the Employer and the Union and shall have no authority to make a decision on any other issue, not so submitted. B. The arbitrator shall be without power to make decisions contrary to, or inconsistent with, or modifying or varying in any way, the application of laws, rules or regulations having the force and effect of law. The arbitrator's decision shall be submitted in writing within thirty (30) days following the close of the hearing or the submission of briefs by the parties, whichever be later, unless the parties agree to an extension. The decision shall be binding on both the Employer and the Union and shall be based solely on the arbitrator's interpretation or application of the express terms of this Agreement and to the facts of the grievance presented. C. The fees and expenses for the arbitrator's services and proceedings shall be borne equally by the Employer and the Union, provided that each party shall be responsible for compensating its own representatives and witnesses. If either party desires a verbatim record of the proceedings, it may cause such a record to be made, providing it pays for the record. If both parties desire a verbatim record of the proceedings, the cost shall be shared equally. 6.6 Waiver If a grievance is not presented within the time limits set forth above, it shall be considered waived. If a grievance is not appealed to the next Step within the specified time limit or any agreed extension thereof, it shall be considered settled on the basis of the Employer's answer. If the Employer does not answer a grievance or an appeal thereof, within the specified time limit, the Union may elect to treat the grievance as denied at that step and immediately appeal the grievance to the next Step. The time limit in each Step may be extended by mutual agreement of the Employer and the Union. M -567- 6.7 Choice of Remedy If, as a result of the written Employer response in Step 2, the grievance remains unresolved, and if the grievance involves the suspension, demotion or discharge of an employee who has completed the required probationary period, the grievance may be appealed either to Step 3 of Article 6 or a procedure such as: Veterans Preference or Fair Employment. If appealed to any F procedure other than Step 3 of Article 6 the grievance is not subject to the arbitration -De procedure, as provided in Step 3 of Article VI. The aggrieved employee shall indicate, in _C writing, which procedure is to be utilized, Step 3 of Article 6 or another appeal procedure and rDe shall sign a statement to the effect that the choice of any other hearing precludes the aggrieved employee from making a subsequent appeal through Step 3 of Article 6 The election set forth above shall not apply to claims subject to the jurisdiction of the United States Equal Employment Opportunity Commission. Should a court of competent jurisdiction rule contrary to the Board of Governors of State Colleges and Universities, or if the Board of Governors is judicially or legislatively overruled, then the interpretation of the election of remedies clause referenced above will no longer apples ARTICLE 7. DEFINITIONS E 7.1 UNION: The Minnesota Teamsters Public and Law Enforcement Employees' Union, Local No. 320. 7.2 EMPLOYER: The City of Mound, Minnesota. 7.3 UNION MEMBER: A member of the Minnesota Teamsters Public and Law Enforcement Employees' Union, Local No. 320. 7.4 EMPLOYEE: A member of the exclusively recognized bargaining unit. 7.5 BASE PAY RATE: The employee's hourly pay rate, exclusive of longevity or any other special allowances. 7.6 SENIORITY: Length of continuous service with the Employer. De SEVERANCE PAY: made to an u on ermination of while in Payment off Sir.77 good standing. FDe E 7,8 OVERTIME: Work performed at the express authorization of the Employer in excess of either C—De eight (8) hours within a twenty-four (24) hour period (except for shift changes) or more than forty (40) hours within a seven (7) day period. 7.,9 CALL BACK: Return of an employee to a specific work site to perform assigned duties at the express authorization of the Employer at a time other than an assigned shift. An extension of or 5 -568- an early report -to an assigned shift is not a call back. An employee shouid respond to a call Fo back as soon as reasonably possible. Call back time begins when an employee responds to the call:, including drive time. Call backs will first be offered to full time bargaining unit members. Fo d pe 07J0 STRIKE: Concerted action in failing to report for duty, the willful absence from one's F position, the stoppage of work, slowdown, or abstinence in whole or in part from the full, F faithful and proper performance of the duties of employment for the purpose of introducing, influencing or coercing a change in the conditions or compensation or the rights, privileges or obligations of employment. 7.1 WORK YEAR: The work year shall consist of 2,080 hours and shall run from 12:01 a.m., t De January 1 through 12:00 Midnight, December 31. 7.2 ON-CALL TIME: (See j2). Time that an employee is required to be available for an immediate response by telephone, in person, or electronically, and must respond in an appropriate time period and manner when the situation requires a personal response. 7, 33 WORK TIME: Time that employees are required to be on the employer's premises, or at a F workplace designated by the employer. Should an employee respond by telephone or electronically to an employer need, time spent responding is also work time Afor any response requiring 10 or more Fo minutes, but will not qualify as a call back. Compensation begins when the employee reports to the worksite and can include time spent walking to a work station or putting on protective gear and then washing or cleaning after work. Compensation for hours worked will not include time spent �De coming to work or returning home, unless responding to a call back, or for other activities that are not closely related to the work. 7, 4 PYRAMIDED HOURS: (See L.3). For the purpose of computing compensation, the De employee will not be paid twice for the same hours worked. If the employee is paid two hours for one call-back, the full two hours must expire before another two hours of call back can be paid for a separate occurrence. ARTICLE E. SAVINGS CLAUSE L This Agreement is subject to the laws of the United States, the State of Minnesota and the City of Mound. In the event any provision of this Agreement shall be held to be contrary to law by a court of competent jurisdiction from whose final judgment or decree no appeal has been taken within the time limits provided, such provision shall be voided. All other provisions of this Agreement shall continue in full force and effect. The voided provision may be renegotiated at the written request of either party. ARTICLE g. WORK SCHEDULE 9.1 The sole authority in work schedules is the Employer. The normal work day for any employee shall be eight (8) hours. The normal work week shall be forty (40) hours, Monday through Friday. The Bargaining Unit may opt to propose a seasonal schedule which would include four (4) ten (10) Fo hour days and / or a start time as early as 6 AM for consideration and approval by the City. The City un ti 6 -569- will not unduly deny so long as minimum staffing levels are maintained Monday - Friday. Any seasonal schedule will be approved through a Memorandum of AgreementAandreviewed annually. 9.2 Service to the public may require the establishment of regular shifts for some employees on a daily, weekly, seasonal or annual basis, other than the normal 7:00 a.m. - 3:30 p.m. day. The Employer will give 48 hours advance notice to the employee affected by the establishment of work days different from the employee's normal eight (8) hour work day. The 48 hour advance notice requirement shall not apply to emergencies, snow -related events, early call outs or shift extensions. In these events, the employee will be given the option of extending the eight hour shift and work up to three hours of overtime, with supervisor approval. The supervisor retains the right to require or allow additional overtime in these situations. 9.3 In the event that work is required because of unusual circumstances, such as, but not limited to, fire, flood, snow, sleet or breakdown of municipal equipment or facilities, no advance notice need be given. It is not required that an employee, working other than the normal work day, be scheduled to work more than eight (8) hours. However, each employee has an obligation to work overtime on call backs, if requested, unless unusual circumstances prevent him/her from so working. 9.4 Service to the public may require the establishment of regular work weeks that schedule work on Saturdays and/or Sundays. 10.1 Hours worked in excess of eight (8) hours, within a twenty-four (24) hour period, except for shift changes, or more than forty (40) hours within a seven (7) day period, will be compensated for at one and one-half (1 %2) times the employee's regular base pay rate. All work performed on Sundays shall be compensated for at two and one-half (21/2) times the employee's regular base pay rate, unless Sundays fall within the provisions of Article IX, 9.4. 10.2 The City will offer unplanned or unscheduled overtime to the member who was assigned and fulfilled the On Call shift of the precedin weekend eekend (ARTICLE 12. On Call Pay). Scheduled or planned overtime will be offered to the most senior member of the department normally functionally responsible for the task. 0.3 For the purpose of computing overtime compensation, overtime hours worked shall not be pyramided, compounded or paid twice for the same hours worked. 10.4 Holiday pay shall be paid at a rate three and one-half (31/2) times the employee's regular base pay rate. 10.5 4Comp time is accrued at the overtime rates as described above in Section 10.1 and 10.4 for each hour of overtime or holiday worked. At no time will any employee be allowed to accrue more than sixty (60) hours of comp time. The employee may request the use of accumulated comp time at any time. The City will attempt to allow the employee to take the time off within a 7 -570- reasonable time of the request unless the operations of the department will be unduly disrupted by the employee's absence. I ARTICLE j 1. CALL BACK 11.1 An employee called in for work at a time other than his/her normal scheduled shift will be compensated for a minimum of two (2) hours pay at one and one-half (1 %2) times the employee's regular base pay rate, except on Sunday when it shall be two and one-half (21/2 ) times the employee's regular base pay rate or on holidays when it shall be three and one-half (3 %2) times the employee's regular base pay rate. A11.2 [NEW] The City will first attempt to contact the employee assigned and who fulfilled the preceding weekend "on call" period for any callback work required. Should additional personnel or skills be needed to complete the required tasks, the City will call back additional personnel based upon the department normally functionally responsible for the task. ,When the domicile of the "on call" employee does not allow for timely response and immediate action is required the City will contact a member of the department normally functionally responsible for the task while the "on call" employee is in route. If the employee assigned the preceding weekend "on call" period is non-responsive after two attempts; the City will contact a member of the department normally functionally responsible Lor the tasl . Should the department normally functionally responsible for the task be unable to assist, the City will extend offers to bargaining unit members in the other two departments. If an employee is assigned to be "on call" for a twenty-four (24) hour period (over weekends, holidays or other specifically assigned periods), the employee shall remain available for a an immediate response by telephone in person or electronically employees need not live within a certain distance of their work site however, must be in route within 10 minutes when the situation requires an in-person reams onse. Individuals on call will carry an on call cell phone and be the first person requested to respond to an employer need at the work site. Only full-time employees who volunteer to be on the rotating list, by seniority, shall work on call. On call employees map or change on call rotations at their liberty provided they update the master list and Supervisor prior to the close of business of the day prior to the start of the on call period. Individuals need not be a Lead Maintenance Person to qualify for on call rotation.. The employee will receive two (2) hours of pay at one and one-half (1-1/2) times the employee's regular base pay rate if on a weekday evening and will receive four (4) hours of pay at one and one-half (1 %2) times the employee's regular base pay rate if on Saturday; at two and one-half (21/2) times the employee's regular base pay rate if on Sunday; and at three and one-half (31/2) times the employee's regular base pay rate if on an approved holiday (Article XXI). - 571 - De [_FO_ Fo Lam _O_ Fo Fo r De r F_ Fo Re De the Fo Fo Ai+y empleyee plaeed on standby dtAy by the Empleyef shall feeeive one half (174) haiir- pay for- eae ARTICLE 13. LEGAL DEFENSE X3.1 Employees involved in litigation because of negligence, ignorance of laws, non-observance of C laws, or as a result of employee judgmental decision, may not receive legal defense by the municipality. J 33.2 Any employee who is charged with a traffic violation, ordinance violation, or criminal offense, De arising from acts, performed within the scope of his/her employment, when such act is performed in good faith, as defined in Minnesota Statutes, Chapter 466, Section 466.07 and under direct order of his/her supervisor, shall be reimbursed for reasonable attorney's fees and court costs actually incurred by such employee, in defending against such charge. ARTICLEJ4. DISCIPLINE J4.1 The Employer will discipline employees for "just cause" only. Discipline will be in the form of. A. Oral reprimand; B. Written reprimand; C. Suspension; D. Demotion; or E. Discharge. ,4.2 Reprimands, suspensions, demotions and discharges will be in written form. X4.3 Written reprimands, to become part of an employee's personnel file, shall be read and CDe acknowledged by signature of the employee. Employees and the Union will receive a copy of such reprimands and notices of suspension and discharge. J-4.4 Employees may examine their own individual personnel files at reasonable times under the C direct supervision of the Employer. At the request of the employee, oral reprimands will be removed after 12 months and written reprimands will be removed after 24 months provided there has been no similar disciplinary action taken against the employee during this period. This paragraph does not apply to discipline involving sexual harassment and discrimination based on race, color, creed, religion, national origin, sex, marital status, status with regard to public assistance, disability, sexual orientation, or age. 9 -572- 14.5 Employees will not be questioned concerning an investigation of disciplinary action unless the De employee has been given an opportunity to have a Union representative present at such questioning. X4.6 Grievances relating to this Article shall be initiated by the Union in Step 2 of the grievance CDe procedure under Article VI. ARTICLE 15. SENIORITY, LAYOFF & RECALL C J.l Seniority will be the determining criterion for transfers, promotions and layoffs, only when all [RIE other qualification factors are equal. J55.2 Layoff Application. An employee on layoff shall retain his/her seniority and right to recall C within classification in seniority order for a period of two (2) years after date of layoff. J5.3 Layoff. In the event the City of Mound determines to reduce a position or positions, employees CDe shall be laid off with at least two (2) weeks notice, in inverse order of seniority within areas of classification. A senior employee shall not be placed on layoff while a junior employee on the seniority list occupies a position with the same or lower grade, providing the senior employee has the qualifications to satisfactorily perform the job. 15.4 Recall. Employees shall be recalled in order of seniority for a position within the same CDe classification held prior to layoff available for a qualified employee on layoff. The Employer shall mail, by certified mail, the notice to such employee who shall have fourteen (14) calendar days from the date of mailing of such notice to accept the reemployment. If written acceptance is not received by the City Manager within such fourteen (14) calendar day period, it shall constitute a waiver on the part of such employee to any further rights of employment or reinstatement and shall forfeit any future reinstatement of employment rights. The employee must accept the first offer of hiring at same classification from which the employee was laid off or the employee shall be removed from the recall list. The employee may refuse an offer for a lower classification position without losing recall rights to a position at the same classification from which the employee was laid off. However, once an employee is offered a lower classification position and refuses such offer, only higher classification positions need be offered. ARTICLE J6. PROBATIONARY PERIODS J6.1 All newly hired employees will serve a one (1) year probationary period. CDe X6.2 All existing employees will serve a six (6) month Uial period in any job description in which De the employee has not served a probationary period. { De 6.3 At any time during the probationary period1( 6.1) a newly hired employee may be terminated at De the sole discretion of the Employer. 10 -573- 16.4 At any time during the JELal period, a promoted or reassigned employee may be demoted or® - F reassigned to the employee's previous position at the sole discretion of the Employer, or upon request E of the employee if within 30 days of transfer. ARTICLE J7. SAFETY EDe The Employer and Union agree to jointly promote safe and healthful working conditions, to cooperate in safety matters and to form a Safety Committee to help advise the Employer of any unsafe conditions that exist or need attention. The Supervisors shall serve as this Committee. ARTICLE J8. JOB POSTINGS 8.1 The Employer and the Union agree that permanent job vacancies within the designated bargaining unit shall be filled based on the concept of promotion from within, provided that applicants: A. Have the necessary qualifications to meet the standards of the job vacancy; or B. Have the ability to perform the duties and responsibilities of the job vacancy. J �.2 Employees filling a higher job class, based on the provision of this Article shall be subject to the conditions of Article XVII, Probationary Periods. .3 The Employer has the right of final decision in the selection of employees to fill posted jobs, (_De based on qualifications, abilities and experience. Personnel records and prior performance can be considered. %8.4 Job vacancies, within the designated bargaining unit, will be posted for five (5) working days so C that members of the bargaining unit can be considered for such vacancies. 18.5 (New) The Lead worker will participate on the hiring team which means they will sit in all interviews and selection decisions during the hiring process. Should an exit interview take place, the lead worker will also participate in said interview. ARTICLE 19. INSURANCE F J9.1 The Employer agrees to contribute to hospitalization/major medical insurance for each full-time employee from the first of the month following thirty (30) days of continuous employment. The Employer agrees to contribute up to ,$775 per month effective January 1, 2017 and $750 I - Oe per month effective April 1, 2018¢toward the cost of single coverage from the first of the month De following thirty (30) days of continuous employment for each full-time employee who elects E single coverage under this agreement and up to 51,050.00 per month effective January 1, 2017 and $1.100 per month effective April 1, 2018 -toward the cost of dependent coverage from the 20p first of the month following thirty (30) days of continuous employment for each full-time E employee who elects dependent coverage under this agreement. Any additional costs for such EDe 11 -574- coverage shall be paid by the employee through payroll deduction. Employee must be enrolled in one of the Employer's group health insurance plans in order to be eligible to receive Employer's contribution to health insurance. Employees who opt -out of the health insurance plan will receive a payment in lieu of $219.50 per month effective January 1, 2017 and $175 per month effective April 1, 2018. Any excess of Employer contribution to health insurance and the cost of the premium may be used to fund the employee's Health Savings Account (HSA) to the maximum allowed by the IRS, or towards the purchase of a voluntary supplemental insurance plan offered by the Employer. 9.2 The Employer agrees to pay the full premium payment for awen thousand dollar ($,,20,000) t"° life insurance policy and a long-term disability insurance policy for each full-time employee, F from the first of the month following thirty (30) days of continuous employment. ,9.3 The Employer agrees to pay the full premium for dental insurance coverage for each full-time e employee who elects employee only coverage from the first of the month following thirty (30) days of continuous employment. The Employer agrees to contribute up to the equivalent of the employee -cost per month for family coverage from the first of the month following thirty (30) days of continuous employment for each full-time employee who elects family coverage. 9.4 When the City of Mound offers a Health Care Savings Plan, the pertinent language stated in the E City Administrative Code will apply to employees covered under this contract. Short Term Disability Insurance: When the City of Mound offers a Short Term Disability Insurance Plan, the pertinent language stated in the City Administrative Code will apply to employees covered under this contract. Long Term Disability Insurance: When the City of Mound offers an upgrade to the Long -Term Disability Insurance Plan, the pertinent language stated in the City Administrative Code will apply to employees covered under this contract. X9.5 Employees shall be able to review all Insurance policies before the Employer incorporates any policy. 19.6 (NEW) Employees shall accrue fringe benefits at the full-time rate if unpaid time does not- Fo exceed 8 hours per week for into six weeks per calendar year. If unpaid time exceeds 8 hours per o.i week for six weeks in a calendar year, vacation leave, sick leave, and insurance benefits will berop rated based on the number of paid hours. While on leave of absence without pay, the employee shall not be entitled to accrue vacation leave, sick leave, receive insurance benefits, or earn seniority. ARTICLE 0. HOLIDAYS , 00.1 The Employer agrees to provide the following paid holidays: E New Year's Day Thanksgiving Day Martin Luther King Day The Day After Thanksgiving Day 12 -575- m 1 X0.3 President's Day %a Day Christmas Eve Day Memorial Day Christmas Day Independence Day %2 Day New Year's Eve Day Labor Day Veteran's Day One (1) Floating Holiday If any of the above holidays fall on a Saturday, the preceding Friday shall be the holiday. If any of the above holidays fall on a Sunday, the following Monday shall be the holiday. (If New Year's Day or Christmas Day falls on a Sunday or Monday, the %2 day holiday allowed for New Year's Eve or Christmas Eve shall be the preceding Friday.) Any employee required to work on a holiday shall receive three and one-half (3-1/2) times his/her hourly rate for all hours worked. i ,211.1 Employees shall accrue vacation according to the following schedule: 1 211.4 YEARS OF HOURS EARNED PER NUMBER OF DAYS SERVICE WEEKLY PAY PERIOD PER YEAR 0 - 5 3.077 10 6-10 4.616 15 11-15 6.154 20 16-20 7.693 25 21-25 8.308 27 26+ 9.230 30 Paid vacation shall be earned during the first year of employment, but cannot be taken until the end of the first year of employment without the approval of the Employer. An employee can carry-over up to one and one-half (1-1/2) times earned vacation from one calendar year to the next. At the time of termination or retirement, payout of all accrued vacation and/or compensatory time will be paid out according to Section 14A of the Administrative Code. ARTICLE �2. SICK LEAVE AND FAMILY MEDICAL LEAVE ACT (FMLA) , 22.1 Sick leave shall be accumulated at the rate of one (1) day per month. Each permanent full-time and probationary full-time employee shall earn sick leave at the rate of one (1) day per month for each month of full-time employment with the City or 3.693 hours per pay period. There shall be no limit on the maximum accumulation of sick leave. -2.2 ,Sick leave shall be used for absences due to illness, injury, disability, exposure to contagious disease (where such exposure would endanger the health of others the employee comes into contact with)or the necessity of medical or 13 MUM De De pri dis per em der the is E "In em gra me ser as em acc sta crit em me Ac Sic oth api An s acc abe for am san her pul acc 4a ind sec wa her dental care or safety leave of the employee or other family member as defined in Minn. Stat. $ 181.9413 as amended and the Minnesota Parenting Leave Act (Minn. Stat. 181.941 - 181.944 as amended.). 22.3 Employees claiming sick leave may be required to file competent written evidence that he/she-Fo has been absent as authorized above, or if more than three (3) days, that the employee has been under treatment and supervision of a doctor or dentist who recommends work not be performed. If the employee has been incapacitated for the period of his/her absence or a major part thereof, the employee may be required to provide evidence that he/she is again physically able to perform his/her duties. j De X2.4 The FMLA language stated in the Administrative Code will apply to employees covered under this contract. ARTICLE,23. SEVERANCE PAY X3.1 The following is the severance pay schedule, based upon accumulated sick leave, which shall become effective for all full-time employees upon reaching tenure of five (5) years (60 months). After 5 years of service V 53% After 10 years of service V 59% After 15 years of service 66% After 20 years of service o 73% After 25 years of service V 80% (3.2 Sick leave shall be paid to the Health Care Savings Plan in accordance with Section 14A of the Administrative Code. The bargaining unit may present and propose changes to the City for the distribution of the existing Health Care Savings Plan benefit. ,233.3 An employee who is discharged from employment for just cause shall not be entitled to severance pay under this Article. De the par of: 26. Wil yel rep em par 1I 24.1 Funeral leave for immediate family not to exceed three (3) days will be allowed by the City® 26. sys Manager. If more than three (3) days are required, the employee may choose to deduct the extra days yez over three (3) from either vacation leave or accumulated sick leave. "Immediate family" is defined as <#: mother, father, siblings, spouse, children, grandparents and grandchildren and spouse's mother, father, apl siblings, children, grandparents and grandchildren. em 111111;111111111111 11� em 25.1 Medium weight denim jeans provided through a uniform service to include laundering, mending, and replacement if detennined unserviceable in sufficient quantities to insure proper appearance and hygiene for employees as made necessary by the turn -around cycle of the service provider. 14 - 577 - cur Sys Lic T 26. bib prc nee < em bib 25.2 Collared shirts provided similarly to jeans service above or; 4 solid -color logo T-shirts and 4 solid color logo light- weight sweat sW laull-overs per year as selected in coordination between the Employer and the Unit to be laundered mended, and maintained solely by the employee High -visibility T-shirts may be substituted for solid color logo T's for the year at the employee's election. 25.3 High -visibility vests will be supplied by the Employer as required and in quantity to ensure serviceability to meet OSHA work -zone visibility requirements. 25.4 Daily wear boots appropriate for the prevailing work environments will be reimbursed one pair per year under a voucher system not to exceed $200.00 per vear or may be charred at a pre -authorized vendor if the grand total of the transaction is less than $200.00. Safety toe and chain saw boots will be purchased by employer as needed 25.5 Two high -visibility, heavy -weight fleece hooded logo zip -ups I high -visibility logo parka and I pair cold weather bib -overalls (may be charged at Waconia Farm Supply) will be provided at initial employment and replaced as necessary to ensure serviceability, hygiene and appropriate appearance Employees are required to maintain these items to ensure serviceability and appropriate appearance. 25.6 Laundering facilities will be maintained in the shop space for employee use 25.7 (new) Training. The City will reimburse via voucher or pay direct all registration and renewal fees tuition courseware costs, per diem and lodging costs associated with fulfilling mandatory licensing and certifications as determined by the City. If course conference expo or symposium registration includes availability of meal appropriate food, per them will not be paid. Employees electing own transportation to events when city transportation is made available will not be reimbursed mileage Should a City vehicle not be available mileage will be paid at the IRS rate. ARTICLE 6. EYE EXAMINATIONS �De The Employer agrees to pay up to fifty dollars ($50.00) in each twenty-four (24) month period of full- time employment toward an eye examination or the purchase of prescriptive eyewear for each full-time employee. ARTICLE ,27. SAFETY GLASSES C The Employer agrees to pay the cost of single correction safety glasses, with employee paying the difference for any upgrades for correction or other features that exceed the basic. ARTICLE 8. WORKING OUT OF CLASSIFICATION e Any employee designated by the Employer to work at a higher job classification shall be paid at the higher Lead Maintenance Person xate of pay for the duration of the assignment. Upon completion of the assignment, the CDe employee shall revert to his/her original or assigned pay rate. Designations shall not be based upon seniority. The City agrees to fill pre -planned absences exceeding two consecutive shifts with an out -of -classification temporary fill This will not apply to unplanned or day -of absences even when sequential if they are announced day-by-day on the day of. 15 -578- ARTICLE,29- WAGES 29.1 A�- 50% wage increase effective January 1, 2017 and a2.50% wage increase effective January 1, 2018. Maintenance Person 1/1/201_7 1/1/201 Start 22.32 22.88 After 12 Months 24.68 2530_ After 24 Months 27.30 27.98 Lead Maintenance Perso 1/1/201.7 1/1/2018 Start 28.34 29.05 After 12 Months 29.39_ 30.12 El 29.2 Upon signatures of a new contract only current active employees will receive back pay and benefits for the hourse they worked in the new contract term. 30.1 Any and all prior agreements, resolutions, practices, policies, rules and regulations, regarding terms and conditions of employment, to the extent inconsistent with the provisions of this Agreement are hereby superseded. , 00.2 The parties mutually acknowledge that during the negotiations which resulted in this Agreement, each had the unlimited right and opportunity to make demands and proposals, with respect to any term or condition of employment not removed by law, from bargaining. All agreements and understandings arrived at by the parties are set forth in writing in this Agreement for the stipulated duration of this Agreement. The Employer and the Union, each voluntarily and unqualifiedly waive the right to meet and negotiate regarding any and all terms and conditions of employment referred to or covered in this Agreement or with respect to any term or condition of employment not specifically referred to or covered by this Agreement, even though such terms or conditions may not have been within the knowledge or contemplation of either or both the parties at the time this Agreement was negotiated or executed. ' • • , Ll Neither the Employer nor the Union shall discriminate against any employee because of Union membership or because of race, color, creed, religion, national origin, sex, marital status, status with regard to public assistance, membership or activity in a local commission, disability, sexual orientation, or age. X1.2 The Employer will take such actions as are necessary to comply with the Americans With Disabilities Act in order to reasonably accommodate an employee. When a reasonable IR -579- C De LIE E C C accommodation is required or requested, the Employer will meet and discuss reasonable accommodation options with the employee and the Union before the Employer takes action. This Agreement shall be effective as of January 1, 2017 and shall remain in full force and effect until December 31, 2018. IN WITNESS WHEREOF, the parties hereto have executed this Agreement on this day of 2017• FOR THE CITY OF MOUND FOR MINNESOTA TEAMSTERS PUBLIC & LAW ENFORCEMENT EMPLOYEES' UNION, LOCAL #320 Mayor City Manager 17 Business Agent Steward �C C Ai 10105 to] :Z10111qu'to] VEX" R m 304I301f 1 This Memorandum of Agreement is entered into between the City of Mound (hereafter "Employer") and Minnesota Teamsters Public and Law Enforcement Employee's Union, Local No. 320 (hereafter "Union"). WHEREAS, the Employer and the Union are parties to a collective bargaining agreement effective January 1, 2017 through December 31, 2018; and WHEREAS, the collective bargaining agreement effective January 1, 2017 added the following new language: 29.2 Upon signatures of a new contract, only current active employees will receive back pay and benefits for the hours they worked in the new contract term; and WHEREAS, Leroy Giese, Maintenance Worker and bargaining unit member, retired on September 15, 2017 after 18 years of service and prior to the 2017 - 2018 collective bargaining agreement being ratified. NOW, THEREFORE, the parties hereto have agreed as follows: 1. Leroy Giese, retired Maintenance Worker, will receive back pay and severance benefits for the hours he worked in the new contract term effective January 1, 2017 through September 15, 2017 based on the effective hourly rate in the collective bargaining agreement. 2. It is understood that the terms of this Agreement are without precedent or prejudice to future similar cases involving other employees. This Agreement is based upon the unique circumstances of the present case and shall not constitute a precedent with respect to any other claim, negotiations or dispute arising between the Employer and the Union or any member of the bargaining unit covered by the Agreement between the Employer and the Union. 3. This Memorandum of Agreement represents the complete and total agreement between the parties regarding this matter. IN WITNESS WHEREOF, the parties have caused this Memorandum of Agreement to be executed this day of , 2018. FOR THE CITY OF MOUND FOR TEAMSTERS LOCAL NO. 320 /s/ /s/ -581- l0 lie 8 IM 0 10 MMU iffm WHEREAS the City Council of the City of Mound approved Resolution No. 18-02 Appointing City Council Members as representatives of the City Council to Commissions and Committees for 2018 on January 9, 2018; and WHEREAS the resolution did not include the established Development Committee; and WHEREAS the City Council wishes to formalize the appointments of City Council Members as representatives to the Development Committee; NOW, THEREFORE, BE IT RESOLVED that the City Council of the City of Mound, Minnesota, does hereby amend Resolution No. 18-02 Appointing City Council Members as Representatives of the City Council to Commissions and Committees for 2018 and appoints the following Council Members as Council Representatives to the following City Advisory Committee for the year 2018: Development Committee -- Kelli Gillispie & Mark Wegscheid Approved by the City Council this 27th day of March, 2018. Mayor Mark Wegscheid Attest: Catherine Pausche, Clerk MOUND CITY COUNCIL MINUTES March 13, 2018 The City Council of the City of Mound, Hennepin County, Minnesota, met in regular session on Tuesday, March 13, 2018 at 7:00 p.m. in the council chambers of the Centennial Building. Members present: Mayor Mark Wegscheid; Council members Kelli Gillispie, Jeff Bergquist, and Jennifer Peterson Members absent: Ray Salazar Others present: City Manager Eric Hoversten, Community Development Director Sarah Smith, Administrative Assistant Rebecca Kress, Debbie Hagberg, Rick Hagberg, Holly Schluter, Tom Bakritges, Mike Kevitt, Skip Johnson, Candice Anderson, Shelly Zimmerschied, Holly Thumann, and Jenny Bodula. 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 Wegscheid called the meeting to order at 7:00 p.m. 2. Pledge of Allegiance 3. Approve Agenda City Manager Eric Hoversten requested item 6 of the agenda be removed due to Dr. Pamela Myers absence and advised it will be rescheduled in April 2018. MOTION by Wegscheid, seconded by Bergquist, to approve the agenda as amended. All voted in favor. Motion carried. 4. Consent Agenda MOTION by Gillispie, seconded by Peterson, to approve the consent agenda. Upon roll call vote, all voted in favor. Motion carried. A. Approve payment of claims in the amount of $311,786.61. B. Approve 1 st and final pay request in the amount of $51,617.65 to Hydro-Klean for 2017 Manhole Rehabilitation Project, Three Points, PW -17-06 C. Approve resolution accepting bid for the 2018 Lift Station Improvement Project and Wilshire Blvd Sanitary Sewer Reroute, (PW -18-03 & PW 18-05), LS C6 RESOLUTION NO. 18-24: RESOLUTION ACCEPTING BID FOR THE 2018 LIFT STATION IMPROVEMENT PROJECT AND WILSHIRE BLVD SANITARY SEWER REROUTE, (PW -18-03 & PW 18-05), LS C6 D. Approve resolution approving Construction Cooperative Agreement for construction of Sanitary Sewer Pipe in Mound, MN RESOLUTION NO. 18- 25: RESOLUTION APPROVING CONSTRUCTION COOPERATIVE AGREEMENT FOR CONSTRUCTION OF SANITARY SEWER PIPE IN MOUND, MN Mound City Council Minutes — March 13, 2018 E. Approve Resolution approving Variances and Expansion Permit for 2851 Cambridge Lane, Planning Case No. 18-01 and 18-02, PID No. 24-117-24-42-0023 RESOULTION NO. 18- 26: RESOLUTION APPROVING VARIANCES AND EXPANSION PERMIT FOR 2851 CAMBRIDGE LANE, PLANNING CASE NO. 18-01 AND 18-02, PID NO. 24-117-24-42-0023 F. Approve Resolution approving Public Gathering Permit and Musical Concert Permit for 2018 Tour de Tonka and reduced Fee Due to Public Purpose of Gathering RESOLUTION NO. 18-27: RESOLUTION APPROVING PUBLIC GATHERING PERMIT AND MUSICAL CONCERT PERMIT FOR 2018 TOUR DE TONKA AND REDUCED FEE DUE TO PUBLIC OF GATHERING 5. Comments and suggestions from citizens present on any item not on the agenda. None 6. (REMOVED) Dr. Pamela Myers of the Westonka Historical Society presenting a copy of her book Classroom Voices 7. Skip Johnson, requesting discussion on Island Park Hall revitalization concept Skip Johnson, 3018 Island View Drive, presented historical information on past activity and use of Island Park Hall and asked the Council for support on moving forward with the project to restore Island Park Hall and asked if the City would stand behind this effort. Mayor Wegscheid stated from prior discussions it sounded like the City Council would not stand in the way of the group's efforts. Johnson asked if permits will need to be pulled and if the City had the ability to help them with that. City Manager Eric Hoversten confirmed various permits would be required. Peterson confirmed that the City would not be paying for the permits. Wegscheid clarified that the group is not looking for financial assistance and Johnson confirmed that the intent is to incorporate as a non-profit for fundraising purposes. Johnson read a proposed resolution of support, that may include waiving of fees and possible engineering support. Hoversten said the City's engineers focus on transportation. Johnson asked if the Island Park Hall group should be working with the Parks Commission and/or the Planning Commission to gather their input. Wegscheid said Planning. Johnson requested the City formally prepare a resolution stating support for the revitalization project. Mayor Wegscheid said the City would be willing to draft a resolution to be reviewed by Staff before presenting the resolution at the March 27, 2018 meeting. Hoversten suggested the group to come up with a name to reference in the resolution. 8. Planning Commission Recommendation A. Consideration/action on Resolution Authorizing the distribution of the draft 2040 Comprehensive Plan to adjacent and affected jurisdictions as required by Minnesota State Law (Metropolitan Land Planning Act) Sarah Smith, Community Development Director, requested consideration by the City Council of a resolution to authorize distribution of the 2040 Comprehensive Draft Plan Update. Smith said research was reviewed by the Planning and Parks Commissions and presented at the Open House in November 2017 in order to share findings and to get comments from residents. Smith stated that resident information and input was reviewed and incorporated into the Draft Plan. Smith said the general public feedback from the March 6, 2018 Planning Commission meeting Mound City Council Minutes — March 13, 2018 supports mixed use areas in and around the downtown. Smith added the recurring themes expressed during the Open House community engagement were to improve appearance, fill vacant spaces, and thoughtful design in regard to redevelopment. Smith said a consistent comment was for the City to look options with City parks and to invest where needed to meet the community's needs. Smith mentioned some other themes coming through in the public feedback are the desire for safety features in and around the regional trail. Smith requested a response from the Council and consideration of a resolution to put the Draft Plan out to the public agencies and the affected adjacent jurisdictions for six months. Smith added that following the conclusion of the six-month time period staff will review the comments and incorporate any changes needed at that time. Mayor Wegscheid thanked all involved in planning and working on this plan. Peterson asked if the public can still respond during this next six month timeframe. Mayor Wegscheid stated that this time period is part of the regulatory response and the community had a chance to respond previously. Smith stated that this draft has already gone through two phases of community engagement and this next part of the formal process is for our adjacent jurisdictions to review and comment. MOTION by Gillispie, seconded by Bergquist, to authorize the distribution of the Draft 2040 Comprehensive Plan to adjacent and affected jurisdictions as required by Minnesota State Law (Metropolitan Land Planning Act). All voted in favor. Motion carried. RESOLUTION NO: 18-28: RESOLUTION AUTHORIZING THE DISTRIBUTION OF THE DRAFT 2040 COMPREHENSIVE PLAN TO ADJACENT AND AFFECTED JURISDICTIONS AS REQUIRED BY MINNESOTA STATE LAW (METROPOLITAN LAND PLANNING ACT) 9. Information/Miscellaneous A. Comments/reports from Council members/City Manager: City Manager Eric Hoversten: • March 20, 2018 special joint Planning Commission and Council meeting which will include discussion on short-term vacation rentals. • Westonka School District Spring Break is March 23, 2018 through April 1, 2018. • Commissioner Jan Callison will address the Council at the regular City Council Meeting on April 10, 2018. • City Hall will resume summer hours on the 30th of April. B. Minutes: Planning Commission: January 16, 2018 C. Reports: Fire Department: January YTD 2018 & February YTD 2018 D. Correspondence: Westonka Historical Society Invitation - Mar 3 Open House 10. Adiourn MOTION made by Bergquist, seconded by Peterson, to adjourn at 7:24 p.m. All voted in favor. Motion carried. Attest: Catherine Pausche, Clerk -585- Mayor Mark Wegscheid HIK, 1 W0k9kyj*1111 UT,T�T i'J TO: Honorable Mayor and City Council FROM: Sarah Smith, Community Development Director, Rita Trapp, Consultant Planner DATE: March 21, 2018 SUBJECT: Vacation Application - Street Easement on 1567 and 1571 Bluebird Lane APPLICANTS: Ahmad and Anna Hazemehpour and Keith and Debra Kullberg PLANNING CASE NUMBER: 18-03 ZONING: R -1A Single Family Residential COMPREHENSIVE PLAN: Low Density Residential Summary At its March 27, 2018 meeting, the City Council will hold a public hearing to consider an application from Ahmad and Anna Hamzehpour and Keith and Debra Kullberg to vacate a 15 -foot street easement located on the properties at 1567 Bluebird Lane (PID No. 12- 117-24-43-0060) and 1571 Bluebird Lane (PID No. 12-117-24-43-0049). The properties at 1567/1571 Bluebird Lane were the subject of a 2017 minor subdivision that rearranged the existing parcels to create a lakeshore and non-lakeshore (vacant) lot. Variances were also approved to allow one setback to be 6 feet and to allow 40 percent hardcover for the non-lakeshore/vacant lot. A condition included in the city's approval of the minor subdivision required the dedication of drainage and utility easements, which are in the vicinity of the existing street easement. Keith and Debra Kullberg are the current owners of the properties of 1567 Bluebird Lane and 1571 Bluebird Lane. Ahmad and Anna Hamzehpour are the proposed purchasers of the vacant lot at 1571 Bluebird Lane. The street easement to be vacated is described as follows: The southerly 15 feet of Lots 11 and 26, Block 6, "Woodland Point`; Hennepin County PROCESS Minnesota statutes includes publication and notification requirements for vacation applications. Members are advised that the notice of City Council public hearing was posted at City Hall on February 27th and was published in the March 3rd and March 10th editions of the Laker. The notice of public hearing was mailed to property owners in the Woodland Point plat, per Hennepin County property tax records, on March 13, 2018. BACKGROUND Details regarding the street vacation request are outlined in the application, the Planning Report and the supporting materials which have been included as an attachment to this report. RECOMMENDATION The Planning Commission, at its March 6, 2018 meeting, reviewed the street easement vacation request. The applicants were present at the meeting. Based on its review, the Planning Commission unanimously voted to recommended City Council approval of the street easement vacation, as recommended by staff. Details regarding the Planning Commission's review of the vacation request are outlined in the draft minute excerpts from the March 6th meeting, which are included as an attachment to this report. ADDITIONAL INFORMATION 1. Excel Energy and Center Point Energy notified the City of Mound that they have no objections to vacation of the 15 -foot street easement. REQUESTED ACTION A draft resolution for approval of the street vacation request, based on staff and Planning Commission recommendations, has been prepared for City Council consideration. OEM CITY OF MOUND RESOLUTION NO. 18 - RESOLUTION TO APPROVE VACATION OF 15 -FOOT STREET EASEMENT AT 1567 BLUEBIRD LANE AND 1571 BLUEBIRD LANE WHEREAS, an vacation application was submitted on January 29, 2018 from from Ahmad and Anna Hamzehpour and Keith and Debra Kullberg to vacate a 15 -foot street easement located on the properties at 1567 Bluebird Lane (PID No. 12-117-24-43-0060) and 1571 Bluebird Lane (PID No. 12-117-24-43-0049); and WHEREAS, the properties at 1567 Bluebird Lane and 1571 Bluebird Lane were the subject of a 2017 minor subdivision and variances that rearranged the existing parcels to create a Lakeshore and non-lakeshore (vacant) lot and a condition included in the city's approval of the minor subdivision required the dedication of drainage and utility easements, which are in the vicinity of the existing street easement; and WHEREAS, Keith and Debra Kullberg are the current owners of the properties of 1567 Bluebird Lane and 1571 Bluebird Lane and Ahmad and Anna Hamzehpour are the proposed purchasers of the vacant lot at 1571 Bluebird Lane; and WHEREAS, the street easement to be vacated is described as follows: The southerly 15 feet of Lots 11 and 26, Block 6, "Woodland Point" Hennepin County �. WHEREAS, vacation requests are reviewed by the Planning Commission prior to review and consideration by the City Council; and WHEREAS, Mound Staff recommended approval of the vacation request; and WHEREAS, the vacation request was reviewed by the Planning Commission at its March 6, 2018 meeting who voted to recommend approval of the vacation subject to conditions as recommended by Mound Staff; and WHEREAS, pursuant to Minnesota Statutes Section 412.851, the City Council of the City of Mound held a public hearing on the vacation request on March 27, 2018 and provided proper notice thereof pursuant to state law; and WHEREAS, in granting approval of the street easement vacation, the City Council makes the following findings of fact: 1. The existing 15 -foot street easement does not extend to Lake Minnetonka as it terminates at the west side of Lot 11 and Lot 26, Block 6, Woodland Point and Wawonaissa Commons is now part of the property at 1567 Bluebird Lane following the Woodland Point Settlement Agreement. 2. The street easement does not run to the shoreline and does not provide public access to any public shoreline. 3. There is no public benefit to retaining the street easement as new drainage and utility easements were required to be dedicated with the minor subdivision approved in 2017. 4. The street easement area to be vacated is unopened/undeveloped and has not been developed as a public street. NOW, THEREFORE, BE IT RESOLVED that the City Council of the City of Mound does hereby incorporate and restate the recitals set forth above and approves vacation of the 15 -foot street easement, as requested, and authorizes Staff to prepare the resolution and any other required documents to vacate the street easement. BE IT FURTHER RESOLVED, by the City Council of the City of Mound, the City Council's approval of the request is based on information contained in the record including but not limited to, the applicant's request and submitted information, the Planning Report, and the Planning Commission's review and recommendation. Adopted by the City Council this 27th day of March, 2018. Mark Wegscheid, Mayor Attest: Catherine Pausche, Clerk RAMAX414,02 Wei 0 110 LC11401• 1 Vice Chair Goode called the meeting to order at 7:00 pm. ROLL CALL Members present: Commissioners Jason Baker, Vice -Chair David Goode, David Pelka, Jake Saystrom, Jameson Smieja, and Jennifer Peterson. Absent: Chair Cindy Penner, Dean Bussey, Philip Velsor. Staff present: Community Development Director Sarah Smith, Consultant Planner Rita Trapp, and Secretary Jill Norlander. Members of the public: Gene & Marilyn Hostetler, 6168 Sinclair Ct; Debbie & Rick Hagberg, 2851 Cambridge La; Jason Staffihe, 2627 Commerce Blvd; Keith & Wilma Kullberg, 1567 Bluebird La; Anna Hamzehpour, 1571 Bluebird La; Kristin & John Beise, 3124 Tuxedo Blvd. BOARD OF APPEALS C. PC CASE 18-03 EASEMENT VACATION 1567 & 1571 BLUEBIRD LANE APPLICANTS: AHMAD AND ANNA HAMZEHPOUR & KEITH AND DEBRA KULLBERG Sarah Smith introduced the request to vacate a 1978 street easement on the property at 1567 and 1571 Bluebird Lane. There is storm sewer in the easement. The City Council can vacate when there is no public benefit. The easement to be vacated runs from Bluebird on the east to the east edge of the Wawonaissa Commons. The new easement taken with the 2017 subdivision of the properties is essentially the same but was extended to the lake and also includes new easement on the south side of the developed/lakeshore lot. Staff commented that the 60 -day formal comment period for DNR review of vacation applications that extend to water did not apply. Saystrom asked if the utility easement affects the buildability of the lot. There is a 10 -foot new drainage and utility easement in this area; also a 10 foot side setback. Baker was concerned about utilities in the ground. Smith indicated that there are utilities in the new easement area and that the builder will have to work cooperatively with the Public Works Department. DRAFT -Planning Commission Minutes March 6, 2018 Smieja recalled that there was a case a few years ago regarding construction over an easement. Smieja asked about the difference between a street easement and street right of way. Smith said that the property is owned by the property owner and an a street easement was granted to the city in 1978 and this is not dedicated right of way. The new easement takes into account the existing utilities and was a requirement of the minor subdivision and variance approved last year. Keith Kullberg (1567 Bluebird Lane) stated that he knew there was a culvert but the street easement was a surprise. Anna Hamzehpour (buyer) said that the street easement was ars issue for the lender and the vacation of the easement improves the buildability and satisfies the lender. MOTION by Smieja, second by Baker, recommending approval for the requested easement vacation, based on staff recommendations 1-4. MOTION carried unanimously. Inem PLANNING REPORT TO: Planning Commission FROM: Sarah Smith, Community Development Director, Rita Trapp, Consultant Planner DATE: K4@[Ch 1,2Ol8(revised March 21, 24z8'month and numbering corrections) SUBJECT; Vacation Application - Street Easement onl567and l571Bluebird Lane APPLICANTS: Ahmad and Anna Hazernehpourand Keith and Debra Ku/|berg PLANNING CASE NUMBER: I8-03 ZONING: R-1ASing|a Family Residential COMPREHENSIVE PLAN: Low Density Residential SUMMARY At its K4Gnch 6, 20I8 meeting, the Planning Commission will consider an application from Ahmad and Anna Hamzehpour and Keith and Debra Kullberg to vacate a 15 -foot street easement located on the properties at 1567 Bluebird Lane (PID No. 12-lI7-24-43- DO6O)and I572Bluebird Lane (PID No. 12-117-24'43-O049\. The properties at1557/1571Bluebird Lane were the subject ofaZOI7minor subdivision and variances that rearranged the existing parcels to create |akeshore and non-|akeshung/Vacant\lot. Acondition included iDthe city's approval 0fthe minor subdivision required the dedication Of drainage and utility easements, which are in the vicinity of the existing street easement. Keith and DebraKu/|herg are the current owners ofthe properties of1S67Bluebird Lane and 1571 Bluebird Lane. Ahmad and Anna Hmmnzehpourare the proposed purchasers of the vacant lot atI57IBluebird Lane. The street easement to bevacated |sdescribed aS The southerly 15 feet of Lots 11 and 26, Block 6, "Woodland Point", Hennepin Vacation. Minnesota Statutes (MS) 412.851 states that a statutory city may abandon ownership or control over all or any part of the land they have set aside, dedicated or used as streets or alleys. This action may be initiated by the City Council by resolution or by the submission of a petition by the owners of at least 50 percent of the surrounding land area. The process for vacating a public easement is the same process used for a public road. Procedurally, state statute requires that the City Council must hold a public hearing on the proposal following two weeks of published notice and posted notice. The city must also provide written notice to each affected owner at least ten days before the public hearing. Members are advised that the City Council public hearing is scheduled for Tuesday, March 27, 2018. The notice of public hearing was posted at City Nall on February 27th and is being published in the March 3rd and March 10th editions of the Laker. The notice of public hearing will also mailed out at least ten days prior to the City Council hearing to affected owners in accordance with the statute requirements. If the street, alley, public grounds, public way, or any part thereof that is proposed to be vacated terminates at or abuts upon any public water, no vacation shall be made unless written notice of the petition or proposed resolution is served by certified mail upon the Commissioner of Natural Resources at least 60 days before the hearing on the matter. The notice is for notification purposes only and does not create a right of intervention by the Commissioner of Natural Resources. As the easement being vacated ends at the former commons, Staff has determined that the MnDNR does not have to be formally notified. MnDNR did receive standard notification of the vacation request as part of the City's staff/consultant/agency review process. MnDNR staff concurred with Staff's determination. IMELINE FOR ACTION There are no required timelines in Minnesota Statutes or City Code that require action on a vacation application within a specific time period. PLANNING COMMISSION MEETING NOTIFICATION An informational notice about the March 6, 2018 Planning Commission meeting and review of the vacation application was mailed on February 28, 2018 to property owners, per Hennepin County records, in the Woodland Point plat. -593- BACKGROUND AND DISCUSSION 1. A 2 -lot combination minor subdivision of the properties addressed at 1567 Bluebird Lane and 1571 Bluebird Lane and variances that created a new, buildable non -Lakeshore lot was approved in 2017. A condition included in the city's approvals stated the property owner was responsible for requesting the vacation of easements on the property, if needed, as part of a future, separate application. This condition would also apply to a proposed buyer. 2. The vacation application was signed by Ahmad and Anna Hamzehpour, who have a purchase agreement to buy the property at 1571 Bluebird Lane, which is the undeveloped/vacant lot. The current vacation application requests the portion of the 15 -foot street easement located on the vacant/buildable parcel addressed at 1571 Bluebird Lane be vacated. The current owners of the properties at 1567 and 1571 Bluebird Lane, Keith and Debbie Kullberg, who were the applicants for the minor subdivision, provided written consent to the vacation application. 3. The 1978 easement created a temporary construction easement and a permanent street easement dedicated to the City of Mound. The city has storm sewer within the easement. 4. The existing 15 -foot street easement does not extend to Lake Minnetonka as it terminates at the west side of Lot 11 and Lot 26, Block 6, Woodland Point. The existing street easement is physically separated from public water as the former Wawonaissa Commons is now part of the property at 1567 Bluebird following the Woodland Point Settlement Agreement, The Woodland Point Settlement Agreement attached for the former commons to the abutting properties, therefore the easement no longer has access to the shoreline and does not provide public access to any public shoreline. Staffs evaluation is that the entire length of the 15 foot street easement can be vacated as new drainage and utility easements that provide for access and maintenance of the existing city utilities were provided as part of the 2017 minor subdivision. -594- 5. The street easement area tobevacated isunopened and has not been developed as a street. G. Following the Woodland Point Settlement Agreement, the properties at 1567/1571 Bluebird Lane are not part of the city's dock program. 7. The former commons area abutting the 1567 Bluebird Lane property does not include dock program site. STAFF/CONSULTANT/PUBLIC AGENCY/PRIVATE AGENCY/PRIVATEUTILITY REVIEW AND COMMENTS Copies ofthe request and supporting materials were forwarded toinvolved staff/consultant/public agency/private utilities for review and comment. See comments provided below: City Attorney Troy Gilchrist |donot see any problems. | agree with your assessment that the 60 day DNR notice requirement isnot triggered. Be sure foprovide the full two weeks' published and posted notice Vfthe hearing. 0NCWD District Representative Chase Vanderbilt, From apreliminary review, nnK8[VVDpermits will beneeded for the vacation nf8 portion ofthe l5foot street easement and replacement with Drainage and Utility Easement associated with l57l&1567Bluebird Lane, Mound. Mn/DNR Acquisition and Development SpecialistPdmnoySpooner-Mueller /t does not _appear that the proposed road vacation /15 Foot Street Easement on Lots 11/J6,Block 6|DWoodland Point, Mound, MN) terminates Orabuts apublic water. |will send you a letter ofnocomment noting that the petition tovacate isnot need byusfor rgVigVV. Staff recommends that the Planning Commission recommend Council approval ofthe street easement vacation existing On the southerly 15 feet of Lots 11 and 26` Block 6` Woodland Point that involves the properties addressed a51567and l57lBluebird Lane. In recommending approval of the street vacation, the following findings are offered: l. The existing 15 -foot street easement does not extend to Lake Minnetonka as it terminates at the west side of Lot 11 and Lot 26, Block 6, Woodland Point and VVavvonaissaCommons isnow part ofthe property at1567Bluebird following the Woodland Point Settlement Agreement. 2. The street easement does not run to the shoreline and does not provide public access to any public shoreline. There is no public benefit to retaining the street easement as new drainage and utility easements were required to be dedicated with the minor subdivision approved in 2017, 4. The street easement area to be vacated is unopened/undeveloped and has not been developed as a public street. CITY COUNCIL REVIEW Required. The City Council public hearing for review of the vacation application for the 15 -foot street easement at 1567/1571 Bluebird lane is Tuesday, March 27, 2018 at 7:00 p.m. Jav VACATION 2415 Wilshire Boulevard, Matind, MN S5364 APPLICAT10N Phone 952472-0600 tax 952472-0620 Application Fee and Escrow Deposit required at time Of application. Planning Commission Date Case No, City Council Date Please type or print clearly APPLICANT Name &P34Pa�`tc+Mq ( -J7 p,,qM Z CHPot) 6)m!!! L 5!!yj Address 2 11 X 4!M jY't Lrl- 15 - M Q" S'S Phone (Home) {Work} (Cell) E -Mail Address Fax AdjacantAddr..s 21UCVt(-0— a-ro 4_ ADJACENT PROPERTY Nam of Business (APPLICANTS Lot PROPERTY) Block I — ZONING Subdivision PID#— DISTRICT Circle. R-1 R -1A R-2 R-3 B-1 B-2 8-3 AREA :5� TO BE VACATED REASON FOR REQUEST IS THERE A PUBLIC NEED FOR THIS LAND? I certify that all of the statements above and statements Contained in any required papers or plans to be submitted herewith are true and accurate. I acknowledge that I have read all of the information provided and that I am responsible for all costs incurred by the City related to the processing of utas ap 1" tion Print Applicant"i Name Date i41na Print Applicant's Name Aliplfcarif's Signature Date Vacation Information (111=017)Page 404 IRM Authentisign iD:3ASOFIDC-8DBA452F-871D-E736ECOF741E 1129/2018 City of Mound Dear Council, City Manager, Planners and Staff We, the owners of 1567 Bluebird Lane and 1571 Bluebird Lane are aware of a street easement on our property that remains after our recent minor subdivision and establishment of utility and drainage easements and offer our full consent for Ahmad and Anna Hamzehpour to make application for the vacation of this street easement. We will cooperate and participate in any way necessary to expedite this process. Thank You �Autheri is,c , 6er, t L, --D 01/29/2018 ra - 1129201910-10"0 AM CST 1/2?l2UU 12;S&14 PU Cyr Keith Kullberg Debra Kullberg Keith Kullberg 952-334-2347 Keithkull86@aol.com 01/2912016 TP 157 _• TRIS AGRj;�MEKT made this le2a day of ,p, between Merriam S. Anderson and Dorothy," A4nd2rson,4U1sJban FKnd1978 wii part ies Of the first part, and THE CITY OF MOUND, a municipal corporation under the laws of the State of !Minnesota, party Of the second part, WITNESSETH: That the Parties Of the first part in consideration of the 'SUM Of ONE DOLLAR AND OTMM--aOOD AND VALUABLE CONSIDERATION to them in hand paid by said party of the second part, the receipt OT Whic"s hereby acknowledged, do hereby grant andconvey unto the ✓ said party of the second part, its successors and assigns, the following; Description Of Parcel: Lots 11 and 26, Block 6, "Woodland point", Hennepin County, Minn. - Description of Easement: A Perpetual easement and a temporary construction easement street purposes over and across the following described pxo r forty: Lots 11 and 26, Block 6, tWOodlatd'Point",'Hennepin County, Minn. Said Perpetual easement being the southerly 15 feet Of the above described property, and said temporary construction easement being the southerly 25 feet of said Lots 11 and 26 and the easterly 5 feet of said Lot 26, Said temporary construction easement expires August 1, 1979. Affecting Certific� ate 110. 499589 This instrument drafted by. State Deed Tax Due Hereon: None LeFevere, Lefler, Pearson, O'Brien te Urawz 2100 First National Bank Building Minneapolis, Minnesota 55402 IN TESTIMONY WHEREOF the said parties hav hereunto set -their hand the day and year first a56—ve wriMe-n. Ttj IC rsam S, An eii 4, STAT4 or MIM ES0111A Dorothy COU11TY OF IMNAEL On this I day o,52 -5-r- 19 before inc, a Notary Public—w-i-Mrn and foF-��a—j-a*—C�yu-iTt—y Sonai-ITy appeared , per Merriam S. Anderson and Dorothy A. Anderson, husband and wife, -a�4 , to me known to be tj)e persons escrxpeuYn and--Uie fore-goinq instrument- anA 40 nt � P, z \ & x + oy,Ap'llo,)JO. 14� Nq 15 Irt DEMM MCD (D Cr CD f4 pt la, pHA ua In. eD eD 01 rD r+ m ih (D (D m - 601 - TO: City Council FROM: Eric Hoversten, City Manager and Director of Public Works DATE: March 22, 2018 SUBJECT: Island Park Hall Revitalization Organization LOCATION: Island Park Hall, Manchester Road, Mound MN REQUEST: Council approve a resolution expressing support and identifying early project expectations for The Island Park Hall Revitalization Organization (the Group) efforts to organize, plan, and finance the restoration and long term operation of Island Park Hall as a community events venue, meeting hall, etc (the Project). CITY STAFF REVIEW The Group has presented concepts for their proposed initiative which is to privately fund restoration, renovation and future operation of the Island Park Hall at the 13 Feb, 27 Feb, 13 Mar 2018 regular meetings of the City Council. At these meetings they have requested an expression of support from the Council for their efforts in order to begin organizing and fundraising on behalf of the project. Staff has prepared a resolution to provide supportive language for the group's efforts to begin organizing, planning, and financing (fund raising) the Project. While a commendable initiative, it should be anticipated that significant resources will be required to accomplish the desired outcomes. The City does not have the financial resources to undertake this project. However; if the project can be responsibly resourced with private funds it will be a benefit to the community. While the formal request from the Group was an expression of City endorsement and general support for the Project; this initial communication must also set clear expectations for the project structure and work that follows. The magnitude of resources anticipated to be required for the project indicates that a demonstration of financial viability for the lifecycle of the Project be provide by the Group early in Project development. Various building permits, land use approvals, other approvals, and agreements should be anticipated for approval separate from this expression of support for organizing, planning and financing the Project with no expression of future approvals for the Project implied herein. All work for the Project must be consistent with appropriate building and zoning codes. The resolution also approves minor, temporary repairs by the group to shore up and weather -tight the building. Staff will work with the Group to facilitate these minor work 1 -603- items, mainly focused on roof repair and dewatering the basement and other minor work which may be identified in the course of these repairs. RECOMMENDATION The City Council for the City of Mound approve the Resolution supporting the efforts of the Group and setting the initial expectations for the project structure and work that follows. CITY OF MOUND RESOLUTION NO. 18 - RESOLUTION OF SUPPORT FROM THE CITY OF MOUND FOR THE EFFORTS OF THE ISLAND PARK VILLAGE HALL REVITALIZATION ORGANIZATION WHEREAS, a group of residents referring to themselves as the Island Park Village Hall Revitalization Organization (the Group) has requested a letter of support from the MoundCity Council; and WHEREAS, the Group intends to organize, plan, and finance the restoration and long term operation of Island Park Hall as a community events venue, meeting hall, etc (the Project); and WHEREAS, the City Council recognizes the 1936 Island Park Hall as a place of significant importance for many past and present Mound residents; and WHEREAS, the City Council supports efforts to preserve community image and value by repurposing vacant or underutilized buildings and believes that exploring the feasibility of this Project is a worthwhile exercise; and WHEREAS, Island Park Hall (PID No. 24-117-24-41-0015) is owned by the City of Mound and currently used for cold storage which could be vacated but would need significant investment to achieve the objectives of the Project; and WHEREAS, the City forecasts ongoing needs and municipal uses for the adjoining garage building and parking aprons (PID No. 24-117-24-41-0014) precluding their inclusion in any plans for the Project; and WHEREAS, the City Council wishes to clarify its expectations and role as the owner and the governing authority for land use and building permits in the City; and WHEREAS, various building permits, land use approvals, other approvals, and agreements should be anticipated for approval separate from any expression of support for organizing, planning and financing the Project with no expression of future approvals for the Project implied herein; and WHEREAS, approval of any building permits, land use applications, other approvals, and agreements will require demonstration of financial viability for the lifecycle of the Project; and WHEREAS, no City financial resources are available to support such a restoration Project or continued operation of the facility under any expanded or new future uses. NOW, THEREFORE, BE IT RESOLVED: that the City Council of the City of Mound does hereby incorporate and restate the recitals set forth above and approves this resolution subject to the following conditions: 1. The City of Mound expresses support for the efforts of the Island Park Village Hall Revitalization Organization to organize, plan and finance restoration and long term operation of Island Park Hall as a community events venue, meeting hall, etc; and 2. The City of Mound approves minimal maintenance and repair activities by the Group to shore up and weather -tight the structure in advance of other work of the Project with no expression of future approvals for the Project implied; and 3. The City of Mound directs Staff to assist the Group with reviewing and processing the necessary permits, land use applications, other approvals, and agreements to support the Project separately and as their need is identified; and 4. The City of Mound expects all work for the Project will be completed according to current Building Codes for the anticipated occupancies and uses. 5. No approval of any future development plans and/or building permits is included as part of this action. Adopted by the City Council this 27th day of March, 2018. Attest: Catherine Pausche, Clerk Mayor Mark Wegscheid 2 -606- BIVII Engineering Hours YTD as of 12/31/17 Proiect 1 Hours I 5 Billed I Fund I Fund/Funding Source RA Indian Knoll Manor/Commerce 2.50 275.00 Escrows Escrow Accounts - Billed to property owners ound/MCES L39/Interceptor Sewer Project 69.50 9,112.50 Escrows Escrow Accounts -Billed to MCES ound/Development Reviews 8.00 1,145.00 Escrows Escrow Accounts - Billed to property owners Iled to Escrow - paid by property owners 80.00 10,532.50 ound/General Engineering (1/3) 129.33 10,230.83 101 General Fund/Taxes (1/3) ound/2018 Comprehensive Plan Update 44.50 4,963.50 101 General Fund/Taxes ound/MCES Dakota Rail Trail Interceptor 15.00 1,975.67 101 Streets/Taxes (1/3) ound/GIS Updates (1/4) 93.25 8,900.00 101 Streets/Taxes (1/4) 282.08 26,070.00 ound/2014 Street, Utility & Retaining Wall 36.00 3,950.00 401 Capital Proj Fund/Bonds ound/Grandview Boulevard Street 80.00 8,725.00 401 Capital Proj Fund/Bonds ound/2016 Street Project- Bartlett Blvd 639.00 71,807.50 401 Capital Proj Fund/Bonds ound/Tuxedo Boulevard, Phase II 399.00 44,783.00 401 Capital Proj Fund/Bonds ound/2016 Street - Cyress/Maywood 291.00 32,369.00 401 Capital Proj Fund/Bonds ound/2017 Retaining Wall Improvement 246.00 28,058.00 401 Capital Proj Fund/Bonds ound/2017 Crack Seal & Seal Coat Improv 36.50 4,636.00 401 Capital Proj Fund/Bonds ound/2018 Westedge Blvd Street/Utility 1,093.50 124,987.00 401 Capital Proj Fund/Bonds ound/2017 Improvements Wilshire/Maywood 2,900.00 294,322.56 402 Capital Proj Fund/Bonds ound/2017 Improvements Tuxedo Blvd 111 11750.50 183,202.50 401 Capital Proj Fund/Bonds ound/Tuxedo Boulevard Street 279.00 31,020.50 401 Capital Proj Fund/Bonds ound/MSA System Update 16.50 2,476.00 401 Capital Proj Fund/Bonds ound/2017 Improvements Lynwood/Fairview 2,701.50 279,724.81 401 Capital Proj Fund/Bonds 10,468.50 1,110,061.87 ound/General Engineering (1/3) 129.33 10,230.83 601 Water Fees (1/3) ound/MCES Dakota Rail Trail Interceptor 15.00 1,975.67 601 Water Fees (1/3) ound/Wellhead Protection Plan 28.50 4,011.00 601 Water Fees ound/2015 Bartlett Boulevard Watermain Repl. 4.00 440.00 601 Water Fee! ound/Bartlett Boulevard Watermain Repl 11.50 1,265.00 601 Water Fee! ound/Watermain Loop, Avon Pk -Tyrone Ln 491.50 57,863.50 601 Water Fee! ound/Wilshire Blvd Trunk Watermain 594.00 66,702.50 601 Water Fees ound/Water Supply Plan Update 40.50 5,301.50 601 Water Fees ound/GIS Updates (1/4) 93.25 8,900.00 601 Water Fees (1/4) 1,407.58 156,690.00 ound/General Engineering (1/3) 129.33 10,230.83 602 Sewer Fees (1/3 ound/2014/2015 Sanitary Sewer Rehabilitation 4.50 646.00 602 Sewer Fees ound/2015 Lift Station Improvements 13.50 1,539.00 602 Sewer Fees ound/2016 Lift Station Improvements 306.00 49,853.52 602 Sewer Fees ound/2017 Lift Station & Forcemain Improvements 1,097.00 127,877.20 602 Sewer Fees ound/2018 Lift Station Improvements 64.50 7,699.00 602 Sewer Fees ound/2016 Sanitary Sewer Rehabilitation 1.50 231.00 602 Sewer Fees ound/MCES L38/Westedge/CR 44 Forcemain 112.50 13,598.50 602 Sewer Fees ound/2017 Manhole Rehabilitation 118.50 12,356.50 602 Sewer Fees ound/MCES Dakota Rail Trail Interceptor 15.00 1,975.67 602 Sewer Fees (1/3; ound/GIS Updates (1/4) 93.25 8,900.00 602 Sewer Fees (1/4; 1,955.58 234,907.22 ound/WCA Administration 14.50 1,479.00 675 Storm Water Fee! ound/SWPPP Update 12.00 1,384.00 675 Storm Water Fee! ound/GIS Updates (1/4) 93.25 8,900.00 675 Storm Water Fees (1/4) ound/Surface Water Management 162.50 17,072.00 675 Storm Water Fee! ound/2016 Storm Drainage Improvements 430.50 45,948.51 675 Storm Water Fee! 712.75 74,783.51 lotal 14,906.50 1,613,045.10 PARKS AND OPEN SPACE COMMISSION MEETING MINUTES OCTOBER 12, 2017 The Mound Parks and Open Spaces Commission met on Thursday, October 12, 2017, at 7:00 p.m. in the Council chambers of the Centennial Building. Present: Chair Travis Mills, Commissioners Linda Cordie, Jody Smith, and Council Representative Jeff Bergquist Absent: Commissioner Shawn Seiler Others Present: City Manager and Director of Public Works Eric Hoversten, and Administrative Assistant Mary Mackres Public Present: none 1. Call to Order The meeting was called to order at 7:00 p.m. 2. Roll Call 3. Approval of Agenda MOTION by Bergquist, seconded by Cordie, to approve the agenda. All voted in favor. Motion carried. 4. Approval of Minutes: MOTION by Cordie, seconded by Bergquist, to approve the minutes from Sept. 14, 2017 regular meeting. All voted in favor. Motion carried. S. Comments and Suggestions from Citizens Present: none 6. Follow-up Report from Tree Sale Hoversten recapped that the City processed about 68 trees at the recent Tree Trust tree sale. City of Mound took the balance of the unsold trees offered and planted them on the boundaries of Highland End Park. This delineates the snowmobile trail from the sledding hill. Hoversten says the use by the City of the surplus trees was a win for the community. Hoversten says that those Mound residents that bought trees, bought two, servicing a total of 34 residents. Hoversten thinks the distribution went smoothly. The only feedback was that residents wish they had known about this program earlier. If Cordie had received the information earlier, she could have conveyed this information to the Westonka Garden Guild. Hoversten says the brochures from Tree Trust were not prepared early enough. Another point that Hoversten brought up is that he would like to offer a greater variety of ornamental or dwarf type trees, but this would depend on who the financial partners are. Larger trees take too much room for most lots in Mound. Using the Minnehaha Creek Watershed District(MCWD) as a financial partner includes offering Mound residents the bigger trees that will suck the water out of the ground, which is what the MCWD looks for. Hoversten notes that no other organization has come forward thus far from a grant perspective. •1: Mound POSC Meeting Minutes October 12, 2017 Hoversten says the City's total buy -in for the tree sale was $2,000 plus $30 per tree for 22 trees that the City bought. Smith says that the trees seemed really nice for $30. Hoversten commented that these trees would probably cost around $120-150 at your basic box store. The trees from this program came from Bachman's stock, which are pretty high-end and expensive. Overall, Hoversten thinks this was a successful event. Cordie said Minnetrista had a tree planting class. Hoversten informed the Commission that anyone who purchased a tree through this program in either city were allowed to go to the class. Hoversten thinks that Minnetrista had more press for their event. Smith said that Minnetrista properties have more acreage for trees. Mills said it would be good to talk about a diversification partner for different trees for the canopy. 7. Discussion of Budget Process Hoversten included a budget cover letter in the Commission's packet explaining budget challenges. Hoversten reminded the Commission that next Tuesday, Oct. 17 at 6:30 p.m., the City will be having a budget workshop with the Council. There will be some community information pieces in that agenda, expanding a bit of background about ongoing budget challenges. This affects what the City has to charge for utility rates. Hoversten does not anticipate any immediate 2018 impacting strategy or changes to come out of the discussions. City Staff will be proposing a few different methods to address utility rates. A longer term approach to financing capital improvements will be discussed as well. Hoversten says that within the budget proposal are the capital expenditure requests, which are Itemized. From the Parks perspective, Hoversten says there is a piece of equipment that will replace a number of ageing assets. There is a $30,000 budget for a play structure at Sorbo Park. Hoversten read a letter from a resident in the neighborhood of Sorbo Park asking for the play structure to be updated at Sorbo. Hoversten will write her back and let her know it is in the budget for 2018. Hoversten reviewed the budget including the cost to operate, landscape materials, machinery & equipment repairs, professional services for the master plan for Surfside Park, and pesticide applications on parks. At beaches, the City has contracts with services that we don't have the capability for. The budget also covers a number of things that are budget transferred over from the Docks Commission like removing multi -slip docks, dock repairs, etc. Hoversten says there is a fairly healthy budget for tree removal. Mills asked about a comment in the budget stating "cemetery move to parks." Hoversten said that the Parks maintenance workers perform all of the cemetery maintenance, so the dollars associated with that maintenance was moved to the Parks budget. Cordie noticed there was a sizable reduction between 2016 to 2017 in machinery equipment repairs and other contractual services. Hoversten explained that some contract services that were not anticipated occurred expenses in 2016 so were put into the budget in 2017. For •1• Mound POSC Meeting Minutes October 12, 2017 equipment repairs, the budget goes down when new equipment is purchased as having new equipment is less expensive than fixing old equipment. Hoversten updated the Commission on the parks dedication funds balance, which is $40,000. The City has closed on the sale and development approval of Trident Harrison Bay senior living site and as part of that closing, there was a $58,600 park dedication fee taken. Current balance for the park dedication fund is now $97,000. Hoversten says the City is anticipating $61,800 associated with the Halstead Bay Serenity senior active living facility that is soon to close. Another subdivision, Eva and Abbie, is being subdivided into five separate lots. A $7,000 park dedication fee is anticipated for that subdivision. These deposits will bring the total in the parks dedication fund to $166,000. These funds can be used to enhance the City's current park inventory to be able to support the added population capacity of those new number of lots. Hoversten said these funds could be used to add things at Surfside Park. There must be a capacity component or a new amenity component to what the dollars are spent on. Staff is going to discuss the dedication amounts with the Council on Oct. 24, as part of a compendium of Planning -focused agenda items. The draft of the Comp Plan will also be discussed. Hoversten says that the amount that the City has in its ordinance now is for a minor subdivision, which is anything that results in less than four lots in the new configuration, $1,100 for each new lot. A major sub division, which is anything that results in more than four new lots in the new configuration, is 10% of the unimproved lot value. The discussion piece for the Council is whether 10% is the right amount. Hoversten says this amount is In line with Mound's surrounding communities. Mills expressed that he hopes the percentage won't go lower than the current 10%. Hoversten says that Mound needs to remain competitive as a development opportunity to developers. Mills asked what the procedure is for dipping into this fund. Hoversten says that the Parks Commission would review requests and make recommendation to the Council. Mills feels it is important to use the money that is already budgeted for the master planning of Surfside Park. Cordie commented on the work being done at Carlson Park. Hoversten says that people may comment that the improvements will take up space in the park. However, the trees will be less intrusive once they are established. Use of the space will be improved because there will be a split trail to both sides of parking on the street. The visual now with the shoreline restoration is much improved. There will also be grade improvements getting close to the water's edge, providing winter ice access that is more stable. In the summertime, this will provide a walk-in launch for kayaks, paddle boards, etc. Hoversten says that the Minnehaha Creek Watershed District (MCWD) is paying 75% of the cost. Mound's contribution is less than $30,000. Hoversten feels the demonstration value of the project is that you can do natural shoreline in an attractive way. Smith asked if there were any benches at Carlson Park. Hoversten says that the covered bench will be put back. Hoversten wants to see how much use the walk-in launch area will get. Hoversten would then consider asking the Docks Commission to put in canoe storage in the dock program as a revenue source and see if the City could sell six canoe spaces. Hoversten recommends exploring paddle share. There are several stations on the Emm Mound POSC Meeting Minutes October 12, 2017 Mississippi, north of St. Anthony Falls where you can go online and reserve a kayak. Paddling downstream, the kayaker can then take a Nice Ride bike back up -stream to retrieve their car. Hoversten would like to eventually approach the MCWD as Paddle Share operates in conjunction with the MCWD on the Mississippi, to see if something similar can be put here in Lake Minnetonka and on Minnehaha Creek to allow people the same opportunity. Hoversten is talking with the people at MCWD to explore the possibility of bringing in some sort of paddle share here in the Lost Lake or Carlson Park areas in Mound. Smith commented that there a lot of residents who don't have boats and the paddle share option would be nice. 8. Discussion of the Playset Composition Options for Sorbo Park Hoversten says there is a lot of public appeal to be working in Sorbo Park. Hoversten shared with the Commission pictures of the playset that is currently at the park as well as a list with pictures of various play structures that could be purchased. Hoversten says there are three vendors on the State contract that have been pre -competed. This is a good starting point for determining what the Commission could recommend. Hoversten says that the current park playset footprint is 36x40. Commission should consider playsets that would accommodate play for ages 2-12 and support around 25 kids playing. Installation cost will be %2 of the purchase price. Hoversten suggested "homework" for the Commissioners prior to the November meeting — look at the play structures provided and pick a couple that might work for Sorbo Park. Hoversten thinks it would be nice to be able to give choices to the neighborhood to see what they would like. Mills asked about having volunteers putting the playsets together. Hoversten says it's probably better for professionals to put together as there could be a great liability risk if they are not done correctly. Hoversten says that Game Time offers a cost match grant; however, the City must spend the grant dollars before Nov. 15, and there is no budget authority until the Council approves those dollars in December. Consequently, Hoversten informed the vendor that the City can't spend the money until January 1. Mills commented that he lived near Three Points Park when that new play structure was installed and got feedback from neighbors that there needs to be play space for little guys. Mills said that the neighborhood was also upset that the swings were taken out. Cordie says she likes the idea of letting the neighborhood choose the play structure. Hoversten thinks it would be best for the Commission to narrow down the choices for the neighborhood. Mills directed the Commissioners to pick what they deem to be the coolest 2-12 year-old playset and bring that to the next Commission meeting in November. Smith asked if this new playlet is projected to be installed in 2018. Hoversten says that Staff's goal is to have something delivered and installed as soon as the frost is out of the ground in Spring 2018. Mills asked what happens to the old playset. Hoversten says that certain pieces will get reused if possible, but there is no market for used play structures. There is a possibility that some of the components are recyclable. Mound POSC Meeting Minutes October 12, 2017 Smith wondered if the City would ask Kevin Sorbo to contribute to the new playground equipment. Mills said he would be happy to draft an email to Sorbo. Hoversten says the City would be more than willing to accept a donation. Conversation ensued about different parks throughout Mound and the people they were named after. Cordie suggested it would be nice to see a bit of history of why a certain park is named after certain people. Hoversten said that City Staff will research the reasons for the parks' naming history and put that information on the City's website. 9. Reports City Council Representative Bergquist informed the Commission of the Council special meeting on Tuesday, Oct. 17. There was also a groundbreaking for Harrison Bay senior living on Tuesday, Oct. 10. Commissioner Comments - Mills asked about the proposed ordinance amendment for parking that was discussed at the Council meeting, wondering if it passed. Bergquist informed the Commission that this new ordinance did not pass and it has been tabled until the next meeting. Hoversten said that the added language is about no storage of dropped trailers parked on the street. Council would like to allow dropped trailers on streets up to 24-hrs and not more. Discussion ensued about the website and its accessibility and content. 10. Adjourn MOTION by Bergquist, seconded by Cordie, to adjourn at 8:30 p.m. All voted in favor. Motion carried. Submitted by: Mary Mackres PARKS AND OPEN SPACE COMMISSION MEETING MINUTES DECEMBER 14, 2017 The Mound Parks and Open Spaces Commission met on Thursday, December 14, 2017, at 7:00 p.m. in the Council chambers of the Centennial Building. Present: Chair Travis Mills, Commissioners Linda Cordie, Jody Smith, Shawn Seiler, and Council Representative Jeff Bergquist Absent: none Others Present: City Manager and Director of Public Works Eric Hoversten Public Present: none 1. Call to Order The meeting was called to order at 7:00 p.m. 2. Roll Call 3. Approval of Agenda MOTION by Bergquist, seconded by Cordie, to approve the agenda. All voted in favor. Motion carried. 4. Approval of Minutes: MOTION by Bergquist, seconded by Cordie, to approve the minutes from Oct. 12, 2017 regular meeting. All voted in favor. Motion carried. 5. Comments and Suggestions from Citizens Present: none 6. Selection of 2-3 Playset Options for Sorbo Park Chari Travis Mills mentions that two play structures stand out. The Marshlands and the Waterspout options are the suggested. They encompass the 2 to 12 ages ranges which is more inclusive. Both are water themed and align with the City of Mound and its surroundings. Hoversten states that the council is allocated approximately $30,000 in the budget and propose using park dedication money will be used. The prior structure has an age range of around 5 to 12 years old. The language in using the park dedication money is that it be used for expansion of play. With the proposed options on the table to include the ages of 2 to 12, we would be expanding the usability of play. Hoversten states installation could stretch the budget but there are options in play. Cordie asked how much installation would run the City. Hoversten stated that it could be hard to tell at this point. The hardest part about putting these sets together is how to get the pillar holes exactly the same height. Then once the poles were in place the rest of the structure would be built. At that point the holes would then need to be cemented in to set the structure in place. Hoversten went on to state that the Parks Department could be used to work with someone from the manufacturing company to fulfill the process of putting the set together and getting it set in place. Discussion ensues with comparing the features between the two options. The current swings are proposed to stay in place with a possible primer and paint facelift instead of tearing them down and rebuilding new. Cordie adds that -613- Mound POSC Meeting Minutes December 14, 2017 the Waterspout option is the only option within the price point that has a variety of activities for visitors. Hoversten suggests sending out a flyer to the public to request feedback about which options the community would prefer. Mills suggests adding a note regarding the inclusion the expanded age range from 2 to 12. Hoversten will draft a flyer and distribute to the area around the Sorbo Park neighborhood to get some community feedback. MOTION made by Cordie, seconded by Mills, to direct staff to get public input about the two suggested play structures of Marshlands and Waterspout as presented in the packet. All voted in favor. Motion carried. 7. Discuss Staff Findings and Recommendations Regarding Park Dedication Policies City Manager Eric Hoversten states that staff had been asked by the Council to look into Park Dedication language. The Park Dedication process is a requirement to either provide a portion of land to the City when you develop previously un -divided or when you re -divide parcels to help ensure that our park capacity meets the population demands. Hoversten goes on to say that some information was collected and summarized for the Council. The City's Park Dedication procedure is if the Action is a major subdivision, in that it creates an outcome of 4 or more lots, the dedication is either 10 percent of land or 10 percent of the bare land value of that parcel prior to its split. These procedures are found to be consistent with surrounding communities in the major subdivision language. Hoversten adds that our findings were reported to the Council and recommended no change which the Council carried as no change. Hoversten adds that there is currently approximately $90,000 in the Park Dedication Fund now and after the completion of the Serenity closing the City will have roughly $170,000 in the budget. Hoversten will bring in a financial report after the first meeting of the calendar year that can be reviewed. Mills asks why the budget is so tight on the Sorbo Park Project. Hoversten explains that the City is showing budget discipline to allow allocation of funds for future projects. 8. Reports City Council Representative - Bergquist mentions that the water bill debate has been put to rest for another year. However, there is still a fair amount of discussion out there as to the high price of the water bills. Cordie adds that there seems to some backlash as to the base fees being assessed. Hoversten would like to take a close look at 2018 to see if there may be a better rate structure for a sewerage base fee and to see if some incentives could be put in place for residents that will do a direct debit or monthly payment system. Hoversten would like to discuss some options with the billing company to see if some different pay structures could be implemented for residents such as installment payment options. Smith adds that the utility bill is the only bill that she pays with a check which can be limiting for residents. Hoversten states the budget did pass and all of the Parks line items were carried in the budget. The plan for Parks this year is to replace the sidewalk snow removal equipment according to Hoversten. We will auction off the 2 previous pieces of equipment. Bergquist also adds that the council has strengthened the animal ordinances. Hoversten adds that the language strengthened ordinances that align closer to state guidelines. He continues that there is some amount of discord in our community because our code does not specifically prohibit certain breeds nor does it state that if your dog bites someone that it would be -614- Mound POSC Meeting Minutes December 14, 2017 removed from the community immediately. Neither of those issues are supportable under the state statute and as a statutory city we have to fall in line with the intent and the language in the state statutes. Commissioner Comments - Smith made a comment in regard to Next Door Mound and some of the comments that have been made in regards to Carlson Park and if City money was spent. Hoversten adds that this was actually a cost share with the MWSD. Hoversten extended a Thank You to Shawn Seiler who stayed on through the end of the calendar year. Hoversten adds that there are three candidates being considered to replace Shawn and the information about these candidates will be distributed after the first of the year. Interviews will be done with the candidates at the meeting on the January 11, 2018. It is requested to have question prepared for these candidates at the meeting in January from the Commission. Chair Travis Mills will also be re -appointed at the first meeting of next year and Jody Smith will also be sworn in at that time by Eric Hoversten. 9. Adiourn MOTION by Cordie, seconded by Bergquist, to adjourn at 8:01 p.m. All voted in favor. Motion carried. Submitted by: Rebecca -615- PARKS AND OPEN SPACE COMMISSION MEETING MINUTES January 11, 2018 The Mound Parks and Open Spaces Commission met on Thursday, January 8, 2018, at 7:00 p.m. in the Council chambers of the Centennial Building. Present: Chair Travis Mills, Commissioners Linda Cordie, and Council Representative Jeff Bergquist Absent: Jody Smith Others Present: City Manager and Director of Public Works Eric Hoversten, Parks Lead Gavin Ball Public Present: Mark Stehlik and Anna Peters 1. Call to Order The meeting was called to order at 7:03 p.m. 2. Swear in Re -Appointee: City Manager Eric Hoversten delivered the Oath of Office, swearing in Chair Travis Mills. City Manager Eric Hoversten thanked Travis Mills 3. Election of Officers for 2018 Bergquist asked if he could serve as Vice Chair considering he is a current City Council Representative. Mills confirmed that he could serve as Vice Chair of the POSC and went on to make a MOTION to elect Bergquist as Vice Chair of the POSC, which was seconded by Cordie. All voted in favor. Motion carried. Bergquist went on to make a MOTION, to re -appoint Travis Mills as POSC Chair for 2018, which was seconded by Cordie. All voted in favor. Motion carried. 4. Roll Call S. Approval of Agenda MOTION made by Mills, seconded by Bergquist, to approve the agenda. All voted in favor. Motion carried. 6. Comments and Suggestions from Citizens Present: None 7. Interview 2018 Commission Candidates: City Manager Eric Hoversten states that Jen Degn had informed Hoversten that she will need to withdraw from consideration for personal reasons and she has expressed her disappointment. The Commission discussed and decided that each member would ask 2-3 questions to be asked in alternating fashion. City Manager Hoversten asked the candidates to enter Chambers in order to begin interviews. Mills stated that he introduced himself to the two candidates in the hallway and expressed his disappointment that the commission would need to turn one of the candidates -616- Mound POSC Meeting Minutes January 11, 2018 away at the end of this process. Mills also expressed a Thank you to the candidates for being present. Mills asked to have each candidate state their name and address for the record. Candidate Anna Peters, a resident of 3004 Highland Blvd Mound, and became a resident about a year ago. Cordie went on to ask how she had heard about the opening? Peters responded that she had spoken to City Manager Eric Hoversten about a year ago during a random conversation and was advised that there would be an opening for the Park Commission and she decided she would apply for that position. Mills asked Peters she would consider the most valuable public space in Mound and why? Peters responded by saying she believed Surfside Park because it is very family friendly and as the City grows it is attracting many new young families. She feels that it is a great open space for family activities. It is one of her favorite spots because it has a little bit of everything to offer. Bergquist asked if Peters envisions any new uses at existing parks, what those uses might include, and how she would propose they be coordinated with the hosting neighborhood ? Peters responded thinks that the parks that Mound has are great but could use some updating such as playground equipment and things of that nature. She could see the depot used more for other uses. She believes that incorporating neighboring business could help in collaborating the expanded uses together. Cordie asked Peters if she was aware of what invasive species are and Peters responded affirmatively. Cordie went on to ask if Peters knew of any new invasive species, plant or animal, that could pose a threat the health and sustainability of Mound public open spaces? Peters' response was that other than those that are already present, she was not aware of any other species that would pose a threat to Mound open spaces. Mills asked Peters if there was one thing that stands out, either in a park or something in general, that could be handled right away that could either be a low-cost or no - cost issue? Peters stated that aside from new playground equipment, possibly a dog park that could be an asset at low-cost. The dog park in Orono charges to be able to use it and having a free option for Mound residents could be beneficial. Cordie asked Peters how she would choose between animal or human use in public parks? Peters responded with humans because that is where her life is right now with having small children and not owning a dog at this time. Cordie went on to ask Peters if she had to choose to tear down a tree with animals living in it or not, would she choose to tear it down or leave the habitat alone? Peters responded that she would leave the tree because even though development is necessary, green space is also an asset and should be preserved when able. Mills asked if Peters had any grant writing experience and Peters responded with not having any grant writing experience however she has helped in the school district and helped write a grant alongside her employer. Peters added that she has been an employee of Hilltop School for 12 years. Peters was dismissed from Chambers in order to continue on with the next candidate interview. Candidate Mark Stehlik, 2927 Cambridge Lane, Mound. Cordie began by asking how Stehlik heard about the opening. Stehlik stated that he found the announcement in the Laker Newspaper. Mills asked what Stehlik thought was the most valuable public space in Mound. Stehlik responded that he felt the Lake was the most valuable and even though it is not owned by Mound or considered a Park, the Lake is still a huge asset to the community. Bergquist proceeded to inquire if Stehlik envisions any new uses at existing parks? Stehlik states that the park near him, Swenson Park, the could be some opportunities going forward including Tennis courts and such as improvements. Beyond that Stehlik didn't have any other thoughts in mind at this time. Bergquist added an inquiry as to how he would Imm Mound POSC Meeting Minutes January 11, 2018 propose they be coordinated with the hosting neighborhood? Stehlik stated that one of the things of importance is making sure that the parks fit the needs of the particular neighborhood that it sits. He went on to say that getting feedback from the direct neighborhood that the park services works for them specifically. Stehlik added that on a personal note, he would like to see cycling trails or skills parks added. Mound could possibly explore some options in that area. He reference Northfield that has added something like that which has benefited the community. Cordie asked Stehlik if he knows any invasive species, of plant or animal nature, that could pose a threat to the health of Mound's public open spaces? Stehlik responded that there are certainly many already known in regards to the lakes. He also added that Buckthorn is a known hazard that could put spaces in jeopardy. Mills asked if there was one that stands out to Stehlik that he would like to see done such as a low-cost or no -cost improvement either in general or at a specific park. Stehlik stated that he has given this some thought when he knew he would be applying for this position. He went on to say that there would be an opportunity to involve the community to possibly adopt a park or green space. Stehlik feels that if the neighborhood invested more into their local parks, it could be advantageous to the community as a whole. it doesn't have to fall entirely on the shoulders of the Park Department in Mound. This would be a low/no cost option which is actually already implemented in Mound. Stehlik added that there is one more thing that could be beneficial is a possible community garden for those that cannot have a garden of their own on their property. Stehlik worked for the City of Bloomington and they have had one added and it was highly successful for the community. A water source would be needed to be most beneficial. Cordie asked if Stehlik had to choose between space in a public park for wild creatures or space for humans, which would he choose? Stehlik responded that it could depend on the intent of the park. He went onto say that Parks are generally built with human needs in mind but it is also important to be conscious of the wildlife and animals that exist there. Mills asked if Stehlik has any grant writing experience and Stehlik answered that he has a small amount of experience in grant writing. Stehlik has dealt in grant management with the City of Bloomington. He has been responsible for managing million dollar grants in the past but not writing the grants. Bergquist asked Stehlik how long he has resided in the City and he stated that he has been in Mound for nearly 20 to 25 years. Bergquist asked if he has children currently in the community and his daughter went through the Mound area schools. Stehlik was dismissed from Chambers for commission discussion. 8. Discuss Candidates/Vote to determine selection Discussion between members ensues in regard to each candidate interview. Silent votes were cast by each member. City Manager Eric Hoversten tallied the votes whereas two first choice votes were cast for Mark Stehlik and one first place vote was cast for Anna Peters. City Manager Eric Hoversten states under the recommendation of the commission, based on the balloting, to seat Mr. Stehlik on the commission. MOTION made by Mills, seconded by Bergquist, to seat Mark Stehlik on the commission based on the silent ballots. All voted in favor. Motion carried. 9. Review: Work Rules Motion made by Mills, seconded by Cordie. All voted in favor. Motion carried. Emm Mound POSC Meeting Minutes January 11, 2018 10. Create and Review: 2018 Calendar Cordie suggested we work on the tree sale for Spring and add that to the calendar. City Manager Eric Hoversten would like the Sorbo Park Project to be in place by the end of Summer and a ribbon cutting should be planned as well. Some other items to be added include edibles discussion with Parks Lead Gavin Ball, the addition of a dog park to Mound, and the communication plan for October/November MOTION made by Mills, seconded by Bergquist, to add tree sale discussion, edibles park discussion, and dog park discussion in February, Sorbo Park re -opening activities in March, and a communications plan discussion in October to finalize in November. All voted in favor. Motion carried. 11. Reports City Council Representative - City Manager Eric Hoversten states the original options that were presented to the commission originally are no longer available. A letter is proposed to go to the Evergreen neighborhood to get feedback on the new Sorbo Park options as to the play structure. Commissioner Comments - Cordie congratulated City Manager Eric Hoversten on the beautiful job of the Christmas lights and really enjoyed the new location of the Christmas tree. He thanked the commission for the feedback. 12. Adiourn MOTION by Bergquist, seconded by Cordie, to adjourn at 8:43 p.m. All voted in favor. Motion carried. Submitted by: Rebecca Kress PARKS AND OPEN SPACE COMMISSION MEETING MINUTES February 8, 2018 The Mound Parks and Open Spaces Commission met on Thursday, February 8, 2018, at 7:00 p.m. in the Council chambers of the Centennial Building. Present: Chair Travis Mills, Commissioners Linda Cordie, Jody Smith, Mark Stehlik, and Council Representative Jeff Bergquist Absent: Commissioner Shawn Seiler Others Present: City Manager and Director of Public Works Eric Hoversten, Parks Lead Gavin Ball, and Administrative Assistant Rebecca Kress Public Present: none 1. Call to Order The meeting was called to order at 7:00 p.m. 2. Swear in Re -Appointees: Jody Smith Mark Stehlik 3. Roll Call 4. Approval of Agenda MOTION made by Bergquist, seconded by Cordie, to approve the agenda. All voted in favor. Motion carried. S. Comments and Suggestions from Citizens Present: Mound Resident present asked about the ground material that will be used around the playground. Eric Hoversten stated that playground mulch material will be used and the pea gravel will be removed. 6. Review and Adopt: 2018 Calendar MOTION made by Cordie, seconded by Smith, to adopt the 2018 Calendar. All voted in favor. Motion carried. 7. Sorbo Park Neighborhood Feedback City Manager Eric Hoversten received two additional playground preferences. The public preference is for the Game Time structure and the Stringer's Ridge variety. The City received a 20% hit rate of responses from the public. It was suggested to have the swing sets replaced and to have two youth strapped seats, one toddler bucket, and one adapted swing added. Hoversten suggest we wait and see to see if we have budget room to accommodate the add on and the additional costs that keeping the original swing structure on site. The Community would rather have cream and natural colored material rather than bright colors to give it more of a natural look. Mills states that the play structure and swing should be separate of each other as far as installation is concerned. Mills also mentioned site prep could be done by residents. -620- Mound POSC Meeting Minutes February 08, 2018 MOTION made by Bergquist, seconded by Cordie, to move forward in natural color. All voted in favor. Motion carried. 8. Gavin Ball Providing Preview of 2018 Plans for Three Points Park Edibles Parks Lead Worker, Gavin Ball, is planning to build planter boxes in 3 pts park on the concrete pad area. There will either be 2- 48 boxes or a 6x12 box built. Any more than that will cause issues with them getting enough sun. The cost to build $500-600 to build planter from the ground up. They will be approximately 4 feet deep which is standard board height. The size suggested is 48. Some of the plants to be included should be hearty and low maintenance plants such as rhubarb and plant some bushier at the edge such as asparagus, chives and perennial veggies. It is suggested to make it an adopted green space. Cordie asked will the neighborhood would be notified. Provide the space to public to come participate and for the whole community to partake in but to be clear it is not considered garden plots. Cordie suggests the City put it up for community green space and flyer the neighborhood and signage can be made as well. City Manager Hoversten suggested we see if we can get contributions for the materials to be planted versus purchasing them first. Motion made by Cordie, seconded by Bergquist to move forward with building 2- 48 32 inch tall beds to be made and planted in the spring. All voted in favor. Motion carried. 9. Linda Cordie Providing Information on Potential 2018 Tree Program Cordie received information for the 2018 tree program and stated that there are no grants this year as there were in previous years. The City is looking to get 100 same size trees like in 2017. At $35 /tree, the City would recoup $3500 - $4000 for 100 trees. This program could possibly be dead in the water unless City council would provide funding. Hoversten suggested sitting on this until June and then incorporating this in the budget for next year. Smith asked what we paid last year including grant was approximately $2300. Cordie stated that when we had the grant we were restricted in the kinds of trees we could get which is limiting. It would be advantageous for the City to be able to choose species of trees, but could come at a price. It helps us diversify the City canopy. 10. Commission Discussion Regarding Framework and Options for Off -Leash Dog Amenities in City Parks Bruce Miller Nature Conservancy was dedicated to the school for conservation classroom but it is still school property. Land immediately to the east is a city owned out lot which is 4 acres which make 10 acres total. We would have to reach out to the school to find out if it is an easement. The City would need to bring the proposal to the planning commission to make sure that it is neighborly. Smith is concerned about the plant life and the effects that dog activity could have on it. Two big things needed is to coordinate with school to use the land and to go through the planning process and consider the community's input. Cedar post and woven wire would be used instead of chain link fence for confinement for dogs. This would allow low visibility at a lower cost. Smith suggested having multiple gates for access as to keep dogs from escaping the area. Hoversten also suggests sampling cities near us and how they handle jurisdiction of the park and any licensing/permitting policies. He also stated that having unruly animal problems may be more simple than permitting all pets. Bergquist asked about how much fencing would be needed and Hoversten thought that the City would fence the full perimeter which would potentially become a budget line item. The -621 - Mound POSC Meeting Minutes February 08, 2018 approximate area to fence around the school are would be considerable. Mills asked what the planning commission would do and Hoversten responded that they would assist in bringing notification to all of the adjoining neighbors and bring them in for public discussion. The City needs to balance the impact of meeting community wide needs in the area it might be located which can create tension in regards to traffic, hours, and noise impact. The planning commission would help with these issues and conflicts. Hoversten would want the proposals sketched out and then take it to the planning commission. Mills asks who would sketch them up with all the amenities needed. Hoversten will use resources at hand to get sketches and initiate talks with the school. Smith asks what kind of cost and Hoversten stated he will include that in proposal. No official motion is necessary. 11. Reports City Council Representative - None Commissioner Comments - Cordie inquired about whether or not the mound depot is under the Parks Commission jurisdiction. Hoversten stated it's an amenity in Surfside park. No one really takes full responsibility but the City holds pieces. Cordie mentions that there is a movement growing in the community to create private support to for Island Park Village Town hall community building. Cordie asks if whoever takes care of the depot would then take care of the community building. Hoversten mentions the monetary obligations it could pose to the City. Do we need another building based on the ones we already have at our disposal. Cordie asked if it can it be sold? Hoversten states it could be rentable. The Parks Dept. uses it for storage currently. 12. Adjourn MOTION by Bergquist, seconded by Cordie, to adjourn at 8:13 p.m. All voted in favor. Motion carried. Submitted by: Rebecca Kress MWE HENN EPI N COUNTY MINNESOTA To: City of Mound, Mayor and Council From: Shane Larsen, Residential Appraiser Date: March 12, 2018 Re: 2018 Assessment and Board of Appeal and Equalization The 2018 Open Book meeting is scheduled for Wednesday, May 2nd, from 5:00 to 7:00 p.m. in the City Council Chambers. In preparation for the upcoming Open Book Meeting, please find the enclosed data to help you. There is market data, open book procedures, and sales photos with characteristics from a sample of sales throughout the city. Annual Revaluation, Sales, and New Construction Reviews Each year, one fifth of the properties in the city are reviewed and the records are updated. For the 2018 assessment we viewed single-family homes to the west of County Road 110 and to the north of Hawthorne Road. Roughly, these are the areas surrounding Dutch and Langdon Lakes. Included in this sales book is a map of our revaluation areas over the next five year assessment cycle (See 2018 Reval Map). The viewing, reviewing, and statistical analysis of all sales that sold between October 1, 2016 and September 30, 2017 in the City of Mound were made. Summary of the 2018 Assessment Each year the estimated market values are analyzed along with sales data from the market. A recalculation of land and building values were made to all property types. The results of the adjustments for the following property types are: Residential + 8.9% Residential Lakeshore + 7.1% Commercial + 3.9% Industrial + 4.0% Apartment + 6.8% Hennepin County Assessor's Office 300 South Sixth Street, Minneapolis, MN 55487 612-348-3046 1 hennepin.us -623- Condos + 14.1% Townhouses + 7.1 % Double Bungalow's + 4.2% Residential Zero Lot Line + 8.1 % Hennepin The City of Mound has a total market value of approximately $1,339,666,300. This value includes $16,596,000 in new construction improvements. The overall value increase for all property types in the City of Mound is +7.96%. The Open Book Processes Value notices are scheduled to be mailed March 30, 2017. Taxpayers with value or classification concerns should contact the assessor's office. During the initial conversation the property owner may discuss their concerns and review sales information with an appraiser. The majority of the callers are satisfied after a conversation with an appraiser. If additional attention is necessary the appraiser will review the property. The City of Mound has decided to use the alternative method to the formal Local Board of Appeal and Equalization meeting held by the city council and mayor and hold an informal open book meeting. During an open book meeting, the valuation and classification issues are handled by the assessor's staff on a one-on-one basis with the property owner. The open book meeting allows property owners to address questions about their property assessment directly to the assessing staff. Homeowners should still call the number listed on their value notice in March to address questions and set up interior inspections prior to the open book meeting. If homeowners concerns are addressed prior to the open book meeting and the homeowner is satisfied with the results, the homeowner would not need to attend the open book meeting. If the homeowner is unsatisfied with the results of their property value or classification after speaking with an assessor they can appeal their value to the County Board of Appeal and Equalization. The County Board of Appeal and Equalization will begin meeting on June 11, 2018. All requests for appointments at the County Board must be received before May 16, 2018. To make an appointment, taxpayers should call 612-348-7050. If you have any questions or concerns, please contact Shane Larsen @ 612-715-3026. A COMPLETE COPY OF THE HENNEPIN COUNTYASSESSOR'S OFFICE 2018 SALES BOOK FOR MOUND CAN BE VIEWED AT • # •AL AV FU • ..) / -624- Thursday, A 7 Gittesplie Ce f1 Re4lisaltration begIns at 6:145 am. ��tii� i oN a delicious uS ,'a`.cNw o�� ,, . B "s Re st m u ra breakfast d ' e `l il, w'' u+ ws h", withfirlitminds and communlity member!.;,, tt� Speaker f; k �i K' il" Bore .Superintendeent o'fl est nk Scho llis l 952,472m,0742 to reserve a seat a .'.° ., Free t Impact: to have a strong effect on someone or something I cannot think of another word that so wholly describes the work that WeCAN does in our community. Every day, our staff and volunteers are there to help those who are struggling: with a crisis payment for rent, a hot noontime meal or assistance finding a job. In 2017, WeCAN was able to have a positive impact on the lives of 1,407 people in our community, and we were able to do so because of the generous support we received from our donors and volunteers. Our annual report highlights just some of the ways WeCAN has provided assistance in the last year. In the coming months, we are looking forward to strengthening the support we offer, while evaluating our programs to meet needed gaps in services. We are proud to partner with residents, businesses and community groups who care about one another and share our commitment to making our area a better place to live. Your ongoing support allows us to provide help and resources for those in the community who need it most. Thank you for your help in creating a vibrant community where all residents can thrive and succeed. In gratitude, Christie Larson Executive Director 1,407 individuals served 188 volunteers 589 households served 9,716 total volunteer hours 6,809 services provided $256,496 value of volunteer time — at MN volunteer rate of $26.40 -628- 2017 WeCAN ANNUAL REPORT A GLANCE AT WECAN'S PROGRAMS ///// EMERGENCY ASSISTANCE WeCAN's Emergency Assistance program provides financial assistance to individuals and families facing an immediate crisis. Qualifying clients can receive a one-time payment for rent, mortgage or utility assistance. Coverage for medical appointments, prescriptions, and transportation assistance is also available. - - ------ ------- - - 27 households stabilized through rent or mortgage assistance . . . ....... . ......... ..... ... ... . .. ...... .. ... . . .. ...... . ...... A GLANCE AT WECAN'S PROGRAMS ///// FAMILY SUPPORT Family Support encompasses many programs at WeCAN. These programs are designed to help stretch the budget of struggling families. Some services include Ready to Learn school supplies, warm winter coats and gear, Adopt -a -Family holiday gifts, children's birthday shelf, pet food, personal care and household cleaning products. 1,005 coats, hats and mittens distributed 233 Ready to Learn participants that received school supplies 361 children served with Adopt -a -Family holiday gift program WeCAN ANNU. REPO _; A GLANCE AT ' S ///// FOOD PROGRAMS about findi othe i meat WeCAN believes that no one should worry about how they're going to get their next meal. When alt the money has gone to pay the bills, you are no longer able to cook your own meals or you can't get to the local food shelf, WeCAN has two food assistance programs to provide food for you and your family. 515 Kids' Food Bags distributed 69,978total pounds of food distributed -631- No 631- MEALS ON WHEELS 8,660 hot meals delivered 78 volunteer drivers 2,702 hours given by drivers 2017 ANNUAL REPORT A GLANCE AT WECAN'S PROGRAMS ///// EMPLOYMENT PROGRAM Overcoming obstacle to emptoyment i Unemployment and underemployment are the reality of many of our clients; therefore, our Employment Program is a vital component of our service offerings. Residents applying for services often experience multiple barriers to obtaining employment, so counselors provide intensive one-on-one job search assistance, resume building, and interview skill training. 42 clients utilized job services 14 clients attended money management classes BOARD OF DI Chris Fischer President David Senior Vice President Sarah Grimm Secretary Joe|D8h( Treasurer Carolyn Brooks A3t8 Gersovitz Bruce Olson Camille Pearson -Walz Jessie Pinney STAFF Christie Larson Executive Director Samantha Smetana Associate Director Lisa Fk]8t8r Client Services Coordinator BrittGnyVVautterS Mobile Market Coordinator Terrence Somerville Meats onWheels Coordinator LOniC HGnl Office Manager and Volunteer Coordinator Fiscal �O1���O17 /��{��� /`.���u�u-�u�/ Revenue Contributions ----------------- _____________________________ $241,680 Gran\sandCnntracts ------------------------------------------ $112/422 PrognamRevenue ___________------ _________ -`------- $65618 ----------- _______ Other .............................. $30,005 __________________ lotai $449'725 Expenses Emergency Assistance $136,286 ------------------------- Family Support $84054 -------------- ---------- _............... ___________----- Food Programs __FoodProgmnns $131,028 _____________.............. ________________ ManagementandGenerai $128'766 ------------------------------------ _________________ Total $480,136 In -Kind -_---------------------- Donated Items $186934 ----------------------------------------- ...... ___________ Volunteers - 9,716 hours $256,498 -----------`--`-'-`—`--------`------- Totai $443'430 WITH A FINANCIALIF A contribution of any size has the greatest impact. With these gifts, WeCAN is able to provide our valuable programs to individuals and families, leading them down the path toward self-sufficiency. Mail a check, drop off your donation, or give online. There are many items which our families need throughout the year. Here is a glimpse of items that are regularly needed: personal hygiene items, cleaning supplies, paper products, baby diapers, non-perishable foods. Our volunteers ensure that our programs continue to meet the needs of those we serve. If you are looking for a hands-on approach to making a difference, consider becoming a WeCAN volunteer. Contact us to see how your talents can help those in need in your community. %W WeCAN 5213 Shoreline Drive, Mound, MN 55364 952.472.0742 - vvecammn.org -634-