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2019-09-10 CC Agenda PacketPLEASE TURN OFF ALL CELL PHONES & PAGERS IN COUNCIL CHAMBERS. CITY OF MOUND MISSION STATEMENT: The City of Mound, through teamwork and cooperation, provides at a reasonable cost, quality services that respond to the needs of all citizens, fostering a safe, attractive and flourishing community. AGENDA MOUND CITY COUNCIL REGULAR MEETING 1. Opening meeting 2. Pledge of Allegiance 3. Approve agenda, with any amendments TUESDAY, SEP 10, 2019 - 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. 9 5. C� *Consent Agenda *A. Approve payment of claims 'age 1677-1705 *B. Approve resolution approving purchase of Hennepin County tax -forfeit 1706-1714 parcel identified as PID No. 24-117-24-44-0128 and determination of 1709 consistency with 2030 Comprehensive Plan as required by Minnesota Statutes 462.356 *C. Approve pay request No. 5 and Final in the amount of $14,953.64 to 1715-1732 Minger Construction for 2018 Lift Station (Shorewood/Beachside) and Wilshire Blvd Sewer Improvement Project PW 18-03, 05 *D. Approve resolution authorizing 2019 Central Business District (CBD) 1733-1738 parking maintenance roll to be certified to the County Auditor at 5% 1733 interest Comments and suggestions from citizens present on any item not on the agenda. (Limit to 3 minutes per speaker.) City Engineer Brian Simmons presenting final construction costs for 2018 Street and 1739-1741 Utility Improvement Project (West Edge Blvd) PW -18-01 for discussion and actions: A. Approve Resolution Declaring Cost to Be Assessed, and Ordering Preparation 1740 of Proposed Assessment on 2018 Street, Utility and Retaining Wall Improvement Project — Westedge Boulevard, City Project PW -18-01 BE IT FURTHER RESOLVED, that the City Council of the City of Mound, Minnesota, does hereby adopt the preliminary overall budget for 2020 as follows: As per above 5,619,313 Capital Replacement Reserve Funds 498,000 Area Fire Service Fund 1,355,691 Dock Fund 169,233 HRA Transit District Maintenance Fund 63.540 TOTAL SPECIAL REVENUE FUNDS 1,588,464 �PYl�1� 7�:76Y�YV�1•� Recycling Fund 196,995 Liquor Fund 633,063 Water Fund 1,949,001 Sewer Fund 2,250,611 Storm Water Utility Fund 384.800 TOTAL ENTERPRISE FUNDS 5,414,470 SUMMARY General Fund 5,619,313 Capital Projects Funds 498,000 Special Revenue Funds 1,588,464 Enterprise Funds 5.414.470 TOTAL ALL FUNDS 13,1201247 Adopted by the City Council this 10th day of September, 2019. Attest: Catherine Pausche, Clerk Mayor Raymond J. Salazar -1750- CITY OF MOUND RESOLUTION NO. 19 - BE IT RESOLVED, that the City Council of the City of Mound, Minnesota, does hereby adopt the following preliminary 2020 General Fund Budget appropriation, including capital: TOTAL GENERAL FUND 6,619,313 BE IT FURTHER RESOLVED, that the City Council of the City of Mound, Minnesota, does hereby direct the County Auditor to levy the following preliminary taxes for collection in 2020: SPECIAL LEVIES 76,093 Fire Relief G.O. Refunding 2018A 215,600 G.O. Tax Increment 2018A 100,000 G.O. Refunding Bonds 2011A 205,511 G.O. Improvement 2011 B 189,353 G.O. Improvement 2012A 50,000 G.O. Refunding Bonds 2012E (PS Building) 349,000 G.O. improvement 2013A 100,000 G.O. improvement 2014A 39,230 G.O. Refunding Bonds 2014B 75,000 G.O. improvement 2015A 272,000 G.O. Improvement 2016A 117,495 G.O. Refunding Bonds 20168 50,000 Total Special Levies 1,839,282 PRELIMINARY REVENUE LEVY 4,153,801 Preliminary Certified Levy 5,993,083 -1749- CITY OF MOUND EXHIBIT A PAGE 1 SPECIAL LEVIES / DEBT LEVIES -1748- NEW LEVY SCHED. FOR 2019+ Improvement& Subsequent Refunding Bonds 2006/07A Ref Tax Increment & Fire Relief 2014A 2014B 2016B REF 2009A -18A 2011A 2011B 2012A 2012B 2012B 2013A 2015A 2016A 2013B 2009D -18A Fire Collect GO Imp. GO Ref. GO Imp. 08B GO Imp. GO Ref. GO Imp. GO Imp. Fire City GO Imp. GO Imp/Ref GO Imp GO TIF Dump Relief Special Year Ed 311 Fd368 Ed 362 Ed 363 Fd370 Ed 364 Fd365 Ed 371 Ed 371 Fd310 Ed 312 Fd313 Fd355 Ed 375 Fd222 Total Change 2010 63,000 172,344 274,600 - - 173,382 219,407 - 45,000 - 76,030 1,316,479 2011 63,000 136,000 419,200 - - 182,789 210,000 - 45,000 120,349 78,311 1,574,099 16.4% 2012 63,000 235,000 387,190 191,368 - 158,858 198,642 - 45,000 125,048 82,069 1,765,025 10.8% 2013 63,000 215,600 376,923 191,105 113,181 160,000 189,000 - 45,000 214,400 83,782 1,969,666 10.4% 2014 63,000 215,600 367,440 190,685 110,346 160,000 189,000 131,154 45,000 200,000 78,920 2,054,571 4.1% 2015 40,069 85,000 63,000 215,600 362,736 190,108 107,511 160,000 189,000 133,044 45,000 200,000 67,171 2,048,239 -0.3% 2016 37,655 75,000 80,000 215,600 351,774 189,373 50,000 160,000 189,000 100,000 287,700 45,000 200,000 67,063 2,048,165 0.0% 2017 42,065 75,000 46,573 215,600 350,079 193,730 50,000 160,000 189,000 100,000 272,000 117,202 45,000 175,000 68,560 2,099,809 2.5% 2018 41,120 75,000 50,000 215,600 342,015 192,523 50,000 160,000 189,000 100,000 272,000 119,246 - - 68,001 1,904,154 -10.3% 2019 40,175 75,000 50,000 215,600 333,279 191,158 50,000 160,000 189,000 100,000 272,000 118,370 - - 74,601 1,869,183 -1.9% 2020 39,230 75,000 50,000 215,600 205,511 189,353 50,000 160,000 189,000 100,000 272,000 117,495 - 100,000 76,093 1,839,282 -1.6% 2021 38,285 50,000 215,600 200,274 192,346 50,000 160,000 189,000 100,000 272,000 121,869 - 100,000 77,615 1,766,989 -4.1% 2022 37,340 50,000 215,600 173,762 189,445 50,000 160,000 189,000 100,000 210,000 120,889 - 100,000 79,167 1,675,203 -5.5% 2023 41,527 50,000 215,600 179,054 191,617 50,000 100,000 70,000 119,908 - 80,751 1,098,457 -52.5% 2024 40,214 215,600 193,113 50,000 100,000 70,000 118,928 - 82,366 870,221 -26.2% 2025 38,639 193,907 50,000 100,000 70,000 117,947 - 84,013 654,506 -33.0% 2026 42,314 183,473 50,000 100,000 70,000 122,217 - 85,693 653,697 -0.1% 2027 40,582 50,000 100,000 70,000 121,131 - 87,407 469,120 -39.3% 2028 38,849 100,000 70,000 120,046 - 89,155 418,050 -12.2% 2029 37,117 70,000 118,199 - 90,938 316,254 -32.2% 2030 70,000 116,885 - 92,757 279,642 -13.1% 2031 70,000 120,288 - 94,612 284,900 1.8% NOTE: DOES NOT INCLUDE FUTURE BOND ISSUES. -1748- CITY OF MOUND RESOLUTION NO. 19 - RESOLUTION AUTHORIZING CHANGES TO DEBT SERVICE LEVY SCHEDULES AND TO APPROPRIATE FUNDS IN THE DEBT SERVICE FUND FOR BOND SERIES 201 1A, 2012A, 2012B, 2016A, 2018A and 2016B WHEREAS, the City of Mound has issued General Obligation Improvement Bonds in association with its annual street improvement projects and General Obligation Tax Abatement Bonds; and WHEREAS, the City of Mound has pledged its full faith, credit and taxing powers to the payment of principle and interest on the Bonds; and WHEREAS, assumptions are made as to the amount of special assessments and special levies associated with a bond issue/street project and those assumptions require periodic adjustments to reflect the actual experience; NOW THEREFORE, BE IT RESOLVED by the City Council of the City of Mound, Minnesota. as follows: 1. The revised debt schedules for the bond issues described in Exhibit A replace the original bond service levy schedules for the remaining life of the bonds. 2. The revised debt levy schedules contained in Exhibit A be submitted to the County Auditor to replace the information currently in the County's bond registers for existing issues. 3. The City of Mound will levy special debt levies according to the schedules provided in Exhibit A, and made a part herein. Adopted by the City Council this 10th day of September, 2019. Attest: Catherine Pausche, Clerk -1747- Mayor Raymond J. Salazar F1 retuunrccmuul Date September 5, 2019 To City Mayor and City Council From Catherine Pausche Director ofFinance and Administrative Services Subject Resolution to Adopt New Debt Service Schedules for General Obligation Bonds BACKGROUND The exercise that started in 2009 continues each year to analyze whether or not we are levying the con ect amount on our general obligation debt When we bonded for the annual street project, we assumed we would special assess to the abutting property owners Dards of the cost and the City will levy 13rd of the cost to repay the debt We assume the special assessments to property owners will be certified to tares over 15 years and charged interest although we give the property owners a chance to `pre -pay" the assessment and not have it go on their tares, therefore not be charged interest In addition many outstanding assessments are paid off when the property changes hands_ The original bond covenant contains debt service schedules chat reflect the assumption chat the assessment will be paid off over 15 years_ It has varied on the amount chat was assessed and how any were prepaid or paid off later on Cities are allowed to change the levy amounts, but the Council is required to pass a resolution authorizing staff to do so_ We have recalcul ated the debt service schedules incorporating the actual amount of special assessments, both those that were prepaid and those that are outstanding as well as the impacts of any refinancing of debt Sometimes Herurepin Cowry ouly changes it for the following year, so that is why we often have to repeat previous requests_ Staffrecommends chat the Council approve the attached resolution adopting the revised debt service levy schedules for the remainder ofthe debt service Please let me know ifyou have any questions regarding this matter at (952)472 0633_ 1]46- CITY OF MOUND RESOLUTION NO. 19 - RESOLUTION APPROVING A LEVY NOT TO EXCEED $248,555 FOR THE PURPOSE OF DEFRAYING THE COST OF OPERATION, PURSUANT TO THE PROVISIONS OF MSA 469, OF THE HOUSING AND REDEVELOPMENT AUTHORITY OF AND FOR THE CITY OF MOUND FOR THE YEAR 2020 WHEREAS, the City Council of the City of Mound is the governing body of the City of Mound; and WHEREAS, the City Council has received a resolution from the Housing and Redevelopment Authority of and for the City of Mound, entitled "Resolution Authorizing The Levy of a Special Benefit Levy Pursuant to Minnesota Statutes Section 469.033, Subdivision 6 and Approval of a Budget for Fiscal Year 2020"; and WHEREAS, the City Council, pursuant to the provisions of MSA 469, must by resolution consent to the proposed tax levy of the Housing and Redevelopment Authority of the City of Mound. NOW, THEREFORE BE IT RESOLVED by the City Council of the City of Mound, Minnesota, that a special tax be levied upon real and personal property within the City of Mound in the amount not to exceed $248,555. BE IT FURTHER RESOLVED that the said levy, not to exceed $248,555, is approved by this Council to be used for the operation of the Mound Housing and Redevelopment Authority pursuant to the provisions of MSA 469, and such proposed special levy shall be certified as a tax levy to the County Auditor of Hennepin County on or before September 30, 2019. The final special levy shall be certified to the County Auditor of Hennepin County by December 15, 2019. Adopted by the City Council this 10th day of September, 2019. Attest: Catherine Pausche, Clerk Mayor Raymond J. Salazar -1745- V T(-''nO DOCUMENTS COMMITTEE Reason for Change Order: The City requests the addition of work to the project to complete the remaining balance on the agreement the City has with Metropolitan Council and their Inflow & Infiltration Program. Contract Modifications: None Detailed Cost Breakdown: 1 MOBILIZATION 1 EACH 2 GROUT RINGS (PER MANHOLE) 21 EACH 3 SEAL/RECONSTRUCT PIPE CONNECTIONS 11 EACH 4 MANHOLE JOINT SEALING (PER JOINT) 104 EACH 5 MANHOLE BENCH/INVERT RECONSTRUCTION 17 EACH 6 INVERT RECONSTRUCTION -SPECIAL 1 EACH 7 MISCELLANEOUS GROUTING 200 GAL 8 MANHOLE LINING (CEMENT) 61 LF $6,000.00 $6,000.00 $325.00 $6,825.00 $300.00 $3,300.00 $475.00 $49,400.00 $500.00 $8,500.00 $900.00 $900.00 $10.00 $2,000.00 $195.00 $11,895.00 TOTAL BID: $88,820.00 EJCDC® C-941, Change Order. Prepared and published 2013 by the Engineers Joint Contract Documents Committee. Page 2 of 2 -1744- T1 T!'l"f-I Change Order No. 1 Date of Issuance: 09/05/2019 Effective Date: 09/10/2019 Owner: City of Mound Owner's Contract No.: Contractor: Thul Specialty Contracting Contractor's Project No.: Engineer: Bolton & Menk, Inc. Engineer's Project No.: C17.119151 Project: 2019 Manhole Rehabilitation Project Contract Name: The Contract is modified as follows upon execution of this Change Order: Description: The project scope has been modified to complete the dollar amount necessary to fulfil the City of Mound and the Metropolitan Council's agreement through the Inflow & Infiltration Program. Attachments: Revised Plans & Schedule of Unit Prices CHANGE IN CONTRACT PRICE CHANGE IN CONTRACT TIMES [note changes in Milestones if applicable] Original Contract Price: Original Contract Times: Substantial Completion: October 25th, 2019 $ 41,860.00 Ready for Final Payment: November 15t, 2019 days or dates [Increase] from Original Contract Price: [Increase] [Decrease] from previously approved Change Orders No. to No. Substantial Completion: No Change $ 46,960.00 Ready for Final Payment: No Change days Contract Price prior to this Change Order: Contract Times prior to this Change Order: Substantial Completion: No Change $ 41,860.00 Ready for Final Payment: No Change days or dates [Increase] `rte of this Change Order: [Increase] [Decrease] -of this Change Order: Substantial Completion: No Change $ 46,960.00 Ready for Final Payment: No Change days or dates Contract Price incorporating this Change Order: Contract Times with all approved Change Orders: Substantial Completion: No Change $ 88,820.00 Ready for Final Payment: No Change days or dates By RECOMMENDED: ACCEPTED: ACCEPTED: By: By: Engineer (if required) Owner (Authorized Signature) Contractor (Authorized Signature) Title: Title: Date: Date: Approved by Funding Agency (if applicable) By: Date: Title: Change Order No. 1 Title: Date: EJCDC® C-941, Change Order. Prepared and published 2013 by the Engineers Joint Contract Documents Committee. Page 1 of 2 -1743- QBOLTON & MENK Real People. Real Solutions. September 10th, 2019 Honorable Mayor and Members of the City Council City of Mound 2415 Wilshire Boulevard Mound, MN 55364 RE: 2019 Manhole Rehabilitation Project Change Order No. 1 City Project No. PW- 19-09 Dear Mayor and Council Members: 2638 Shadow Lane Suite 200 Chaska, MN 55318-1172 Ph: 19521448-8838 Fax: 19521448-8805 Bolton-Menk.com Attached is Change Order No. 1 which increases the amount of manhole rehabilitation project. The engineer's estimate for this work was $87,500, and this amount was also budgeted. The contractor's unit prices were significantly lower, resulting in an initial project of $41,860. To capture the remaining budgeted dollars and perform more manhole rehabilitation work utilizing the low bid price received, we are proposing a change order of an addition of $46,960 to the project, resulting in a project total of $88,820. The added manhole work has been agreed upon by the contractor and we recommend approval. I will be present at the meeting to answer any questions you may have about the project or the change order. Sincerely, Bolton & Menk, Inc. Brian D. Simmons, P.E. City Engineer IT \MOON\C17l l9151\1 Corres\C To Others\2019-09-10 Ld to Council Re Change Order No. 1. dove Bolton & Menk is an CITY OF MOUND RESOLUTION NO. 19 - RESOLUTION FOR HEARING ON PROPOSED ASSESSMENT FOR 2018 STREET, UTILITY AND RETAINING WALL IMPROVEMENT PROJECT— WESTEDGE BOULEVARD — PW -18-01 WHEREAS, by a resolution passed by the Council on September 10, 2019, the City Clerk was directed to prepare a proposed assessment of the cost of the 2018 Street, Utility and Retaining Wall Improvement Project — Westedge Boulevard, AND WHEREAS, the Clerk has notified the Council that such proposed assessment has been completed and filed in her office for public inspection, NOW, THEREFORE BE IT RESOLVED by the City Council of the City of Mound, Minnesota: 1. A hearing shall be held on the 8th day of October, 2019, in the council chambers of city hall, at 7:00 p.m. to pass upon such proposed assessment and at such time and place all persons owning property affected by such improvement will be given an opportunity to be heard with reference to such assessment. 2. The City Clerk is hereby directed to cause a notice of the hearing on the proposed assessment to be published once in the official newspaper at least two weeks prior to the hearing, and she shall state in the notice the total cost of the improvement. She shall also cause mailed notice to be given to the owner of each parcel described in the assessment roll not less than two weeks prior to the hearing. 3. The owner of any property so assessed may, at any time prior to certification of the assessment to the county auditor, pay the whole of the assessment on such property, with interest accrued to the date of payment, to the City of Mound, except that no interest shall be charged if the entire assessment is paid with 30 days from the adoption of the assessment. The property owner may at any time thereafter, pay to the City of Mound the entire amount of the assessment remaining unpaid, with interest accrued to December 31 It of the year in which such payment is made. Such payment must be made before November 15th or interest will be charged through December 31 It of the succeeding year. Adopted by the City Council this 10th day of September, 2019. Attest: Catherine Pausche, City Clerk Mayor Raymond J. Salazar -1741 - CITY OF MOUND RESOLUTION NO. 19 - RESOLUTION DECLARING COST TO BE ASSESSED, AND ORDERING PREPARATION OF PROPOSED ASSESSMENT ON 2018 STREET, UTILITY AND RETAINING WALL IMPROVEMENT PROJECT— WESTEDGE BOULEVARD, CITY PROJECT NO. PW -18-01 WHEREAS, contracts have been let for the 2018 Street, Utility and Retaining Wall Improvement Project, and the construction cost for the City portion of such improvement is $1,245,000 and the expenses incurred or to be incurred in the making of such improvement amount is $415,000 so that the total cost of the improvement will be $1,660,000. NOW, THEREFORE BE IT RESOLVED by the City Council of the City of Mound: 1. The portion of the cost of such improvement to be paid by the City is hereby declared to be $1,432,000 and the portion of the cost to be assessed against benefited property owners is declared to be $228,000. 2. Assessments shall be payable in equal annual installments extending over a period of fifteen (15) years, the first of the installments to be payable on or before the first Monday in January, 2020, and shall bear interest at the rate of five (5) percent per annum from the date of the adoption of the assessment resolution. 3. The City Clerk, with the assistance of the Consulting Engineer, shall forthwith calculate the proper amount to be specially assessed for such improvement against every assessable lot, piece or parcel of land within the district affected, without regard to cash valuation, as provided by law, and she shall file a copy of such proposed assessment in her office for public inspection. 4. The Clerk shall upon the completion of such proposed assessment, notify the Council thereof. Adopted by the City Council this 10th day of September, 2019 Attest: Catherine Pausche, City Clerk Mayor Raymond J. Salazar -1740- QBOLTON & MENK Real People. Real Solutions. September 10, 2019 Mr. Eric Hoversten, City Manager City of Mound 2415 Wilshire Boulevard Mound, MN 55364 2638 Shadow Lane Suite 200 Chaska, MN 55318-1172 RE: 2018 Street, Utility and Retaining Wall Improvements — Westedge Boulevard City Project No. PW- 18-01 Final Costs and Setting Final Assessment Hearing Dear Mr. Hoversten: Ph: 19521448-8838 Fax: 19521448-8805 Bolton-Menk.com Please find enclosed two resolutions for Council consideration, one setting the final costs for the project based on constructed costs and the small amount of work predicted yet to occur, as well as punchlist and warranty items. These final costs also include the administrative and engineering costs to complete the project and project closeout. The second is a resolution setting the Final Assessment Hearing, in keeping with MN Statute 429 that allows us to assess for costs. The Final Assessment Hearing is currently scheduled to be completed at the first council meeting in October. I will be present at the meeting to introduce the two resolutions and answer any questions you may have about the project or the 429 Process. Sincerely, Bolton & Menk, Inc. Brian D. Simmons, P.E. City Engineer Bolton & Menk is an ....._-._-.-... . North Lot of Transit District - 711/18 - 6/30/19 Cost of Hrs per Labor/ event Overhead Materials Total Cost Total Cost Plowing & Salting (Beniek) -. _ 1 $ $.-. $ 8,387.00'. _... Signing - (sign, pole, cap) - Charged individually to owner 0 S - $ 100.00 1 $ 100.00 S - Sweeping 0 $ -.... $ -$... $ Total Cost to Allocate as of 6130/19 $ 8,387.00 Raymar percentage (23 of the 25 spaces in the North Lot) 92% 5 7,71e.o4 n/ Share based on the following: Raymar building footprint SF provided by Hennepin County. Spaces requred. calculated as follows: Business and professional offices -1 space per 400 SF (used to be consistent with Langdon District) 17,1621400 = 43 Spaces .Total Spaces Required: 43 'LESS: Deck I Spaces (no charge) _ (20)'. North Lot spaces owned by Ray Mar (9) -....--. - Additional Spaces Needed from Public 14, North Lot Total Spaces 25 North Lot Spaces owned/need by Ray Mar Properties, Inc (9 + 14) -. _ 23' % of Maintenance Allocation to Ray Mar Properties, Inc. 0.92 Other.... ' Contractu ''..101-43100- al 440 'Services 16 -May -19 $904.00' 5/7/2019! BENIEK PROPERTY SVCS INC.. Other _ '.. Contractu 101-43100- al 440 'Services 10 -Apr -19' $994001 4/3/2019' BENIEK PROPERTY SVCS INC.. ..Other -.. ( Contractu 101-43100- al '.. 440 (Services 27 -Mar -19'. $3,841.00':. 3/15/2019': BENIEK PROPERTY SVCS INC. Other Contractu 101-43100- at 440 '.Services 27 -Feb -19 $775.00' 2/20/2019'. BENIEK PROPERTY SVCS INC. Accounts 101-20200 '.Payable 23 -Jan -19' $775.00; 1/23/2019' BENIEK PROPERTY SVCS INC. -. -- Other _. I Contractu'. 101-43100- al 440 Services 23 -Jan -19--: $775.001 1/15/2019. BENIEK PROPERTY SVCS INC.. -- Other - Contractu '1101-43100- al 440 .Services 21 -Dec -18' $323.00112/14/2018' BENIEK PROPERTY SVCS INC. $8,387.00 -1738- TRUE VALUE -RAMP- -KS APRIL 2019 G& SHOVELING TRUE VALUE -RAMP- -KS MARCH 2019 G& SHOVELING 1EA 42 TRUE VALUE-RAMP- DEWALKS FEB 2019 PLOWING& TRUE VALUE -RAMP- -KS JAN 2019 PLOWING& AREA #2 TRUE VALUE-RAMP- 51DEWALKS DEC 2018 PLOWING &i AREA #2 TRUE VALUE -RAMP - SIDEWALKS DEC 2018 PLOWING AREA#2 TRUE VALUE -RAMP - SIDEWALKS NOV 2018 PLOW] 2415 WILSHIRE BOULEVARD -MOUND, MN 55364-1668 • PH: 952-472-0600 •FAX: 952-472-0620 - WWW.CITYOFMOUND.COM July 9, 2019 Ray Mar Properties, Inc. Attn: Bruce Dodds 2250 Commerce Boulevard Mound, MN 55364 Re: 2018-2019 parking repair and maintenance charges This letter is in regard to the 2018-2019 parking maintenance charge for Raymar Properties, Inc. (RayMar) related to fees incurred by the City for parking maintenance at 2250 Commerce Boulevard and the North Parking Lot as provided by the 2000 Shared Parking Agreement and 2006 Land Agreement. Please see breakdown below: Building Square Footage (as provided by Hennepin County)— 17,162 square feet 1 stall per 400 SF calculation (as used in the CBD Program) — 43 stalls required (less) 20 spaces provided for RayMar in parking ramp (per Agreements) 9 spaces provided on RayMar property Net: 14 parking stall shortage Therefore, RayMar is responsible for (9+14) = 23 of the 25 (92%) of the total spaces in the North Parking Lot. Applying that to the cost formula developed by the City, $7,716.04 is owed by RayMar for the period of 7/1/18 to 6/30/19. As you may recall, an approximate estimate of $2,000 to cover maintenance and repair of the North Parking Lot was included in the Land Agreement between the Mound HRA and RayMar. I have included the transactions for plowing services since this year's allocation is substantially higher. The amount owed is part of this year's special assessment roll which will be included on the Tuesday, September 10, 2019 City Council meeting agenda for action. Please pay this amount in full by November 15, 2019 to avoid interest. After that time, it will be certified to the County Auditor with an interest rate of 5 percent. If you have any questions regarding any of this information, please feel free to contact me via phone at 952.472.0633 or by email at catherinepausche@cityofmound.com. Sincerely, Catherine Pausche Director of Finance and Administrative Services -1737- N O co m I� m O V M O e- N n 4 N CC O O on, di O r � ER EA fR fH ffl O r O _ w N fE O N 61) 1 1 Eff a N r Z a r Q�l O O CO co r 0 O M O 01 r N r r- O M 0 O N 0 0 F- � N N N O O O O L L6 r -N O O c Q Q � f4 fH EFJ fA O ` M O Oco <0 N N Q t M O O r N a U O m N r- �m c (� J > ( O I- r fA Efl ff} /fl i O LO N Nr N O Ofl N O i > O _ O r 0 M O O >' O 0 N 0 COca r_ p_ > 0. 0 O d LU O mY 0)Q 0 -1736- N co I� O 1 n O CC O 61> on, di O r N 1 h 6-1 61) 1 1 Eff N r 1 r Q�l 61) O r 01 r O M 0 O N C � N o w a n l0 v o O dj T Q Q � r � C E c� O a U °Q� �m c n U o U) c a E a a m m � m y j J W N p C ❑ y J W ❑ z ❑ z K D W K z 2 ❑ Z Z O Q Y U J J mL W < d J N Z O w UO W W a V `a E a u d ` a u a u a U v a U m ^' a n E E E E E E a E E U E U E U E U E U c U r y d LL M N N N N N X N Z 01 E � O Y T W a ❑ m U o n a a o 0 0 0 yr m 0 c v o y 0 o 0 0 0 0 0 0 0 0 0 0 0 0 a y m a n 4 n 4 n 4 n 4 r 4 r 4 r 4 -1735- U J w .p- .4- .4- 2415 WILSHIRE BOULEVARD - MOUND, MN 55364-1668 • PH:: 952-472-0600 • FAX: 952-472-0620 - WW W.CITYOFMOUND.COM MEMORANDUM DATE: JULY 2, 2019 TO: CENTRAL BUSINESS DISTRICT (CBD) PROPERTY OWNERS FROM: CATHERINE PAUSCHE, DIRECTOR OF FINANCE & ADMINISTRATIVE SERVICES SUBJECT: 2019 CBD ASSESSMENT ROLL Enclosed is the proposed assessment roll for the period July 1, 2018- June 30, 2019. Under the Langdon District CBD parking agreement approved in 2010, the City will no longer include these assessments in the public hearing before the City Council. The assessment resolution will appear on the September 10, 2019 Consent Agenda. The City contracted with Beniek Property Services to plow the Langdon Area. Recent history includes: Assessment) Total Cost Year 20191 9,696 2018 6,659 20171 3,444 2016. 3,358 2015 3,584 2014 7,755 20131 5,765 2012. 2,279 20111 9,775 Net $ Received Difference from Participants Paid byCity 6,796 2,900 3,759 _ 2,900 544 2,900 458 __. 2,900 684 2,900 4,855 ....2,900 2,865 2,900 _... 729 .......1,550 4,225 1,550 You may pay the balance due by November 15, 2019; otherwise, the City will certify the amount due to the County for inclusion on the property's payable 2020 property tax bill. If you have any questions about this assessment, please contact me at 952-472-0633 or via email at catherinepausche@cityofmound.com. -1734- CITY OF MOUND RESOLUTION NO. 19 - RESOLUTION AUTHORIZING 2019 CENTRAL BUSINESS DISTRICT (CBD) PARKING MAINTENANCE ROLL TO BE CERTIFIED TO THE COUNTY AUDITOR AT 5% INTEREST LEVY # WHEREAS, participants signed a CBD Parking Program Agreement in 2010 that allows for the collection of the CBD Parking Maintenance Fee by means of the assessment process; and WHEREAS, the owner of 2250 Commerce Boulevard signed a Shared Parking Agreement in 2000 and a Land Agreement in 2006 that allows for the collection of maintenance fees by means of the assessment process; and WHEREAS, by entering into these agreements the participants have waived their right to an assessment hearing for said assessment: 2019 CBD PARKING MAINTENANCE FROM JULY 1, 2018 TO JUNE 30, 2019. NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of Mound: 1. Such proposed special assessments as noted below, and made a part hereof, are hereby accepted and shall constitute the special assessment against the lands named herein, and each tract of land therein included is hereby found to be benefited by the proposed improvement in the amount of the assessment levied against it. 2. Such assessments shall be payable in one annual installment as follows: PID Number Amount 14-117-24-44-0042 $1593.91 14-117-24-44-0001 $1747.98 14-117-24-44-0004 $1752.45 14-117-24-44-0003 $1293.93 13-117-24-33-0158 $7716.04 3. Such assessment shall be payable in one installment and shall bear interest at the rate of five (5) percent, to be collectable in 2020. To the assessment shall be added interest from November 15, 2019 through December 31, 2020. 4. The owner of any property so assessed may, at any time prior to certification to the county auditor, pay the whole of the assessment on such property, with interest accrued to the date of payment, to the City of Mound, except that no interest shall be charged if the entire assessment is paid by November 15, 2019. 5. The Clerk shall forthwith transmit a certified duplicate of this assessment to the county auditor to be extended on the property tax lists of the county. Such assessments shall be collected and paid over in the same manner as other municipal taxes. Adopted by the City Council this 10th day of September, 2019. Attest: Catherine Pausche, Clerk -1733- Mayor Raymond J. Salazar RECEIPT AND WAIVER OF MECHANIC'S LIEN RIGHTS - FINAL Dated: August 22, 2019 The undersigned hereby acknowledges that upon receipt of the sum of $424.90 from Minger Construction Co., Inc. CHECK ONLY ONE 1) as partial payment for labor, skill and material furnished 2) as payment for labor, skill and material furnished or to be furnished (Except the sum of $ retainage or holdback) 3) X as full and final payment for all labor, skill and material furnished. To the following real property (legal description, street address or project name): Mound 2018 Lift Station Improvements and for value received hereby waives all rights acquired by the undersigned to file or record mechanic's liens against said real property for labor, skill or material furnished to said real property. The undersigned affirms that all material furnished by the undersigned has been paid for, and all subcontractors employed by the undersigned have been paid in full. Curb Masters, Inc. 496 Farwell South St. Paul, MN 55075 31M Federal I.D.# 141- l(pC)60 ) NOTE: If this instrument is executed by a corporation, it must be signed by an officer, and if executed by a partnership It must be signed by a partner. -1732- /go Lt0 RECEIPT AND WAIVER OF MECHANIC'S LIEN RIGHTS - FINAL Dated: August 22, 2019 The undersigned hereby acknowledges that upon receipt of the sum of $260.00 from Minger Construction Co., Inc. CHECK ONLY ONE I) -as partial payment for labor, skill and material furnished 2) as payment for labor, skill and material furnished or to be furnished (Except the sum of $ retainage or holdback) 3) X as full and final payment for all labor, skill and material furnished. To the following real property (legal description, street address or project name): Mound 2018 Lift Station Improvements and for value received hereby waives all rights acquired by the undersigned to file or record mechanic's liens against said real property for labor, skill or material furnished to said real property. The undersigned affirms that all material furnished by the undersigned has been paid for, and all subcontractors employed by the undersigned have been paid in full. All State Traffic Control, Inc. 875 Prairie Court Cold Spring, MN 56320 Federal I.D.# _5002 - NOTE: If this instrument is executed by a corporation, it must be signed by an officer, and if executed by a partnership It must be signed by a partner. - 1731 - RECEIPT AND WAIVER OF MECHANIC'S LIEN RIGHTS - FINAL Dated: August 22, 2019 The undersigned hereby acknowledges that upon receipt of the sum of $650.25 from Minger Construction Co., Inc. CHECK ONLY ONE 1) as partial payment for labor, skill and material furnished 2) as payment for labor, skill and material furnished or to be furnished (Except the sum of $ retainage or holdback) 3) X as full and final payment for all labor, skill and material furnished. To the following real property (legal description, street address or project name): Mound 2018 Lift Station Improvements and for value received hereby waives all rights acquired by the undersigned to file or record mechanic's liens against said real property for labor, skill or material furnished to said real property. The undersigned affirms that all material furnished by the undersigned has been paid for, and all subcontractors employed by the undersigned have been paid in full. Taylor Electric Co. 19717207 1h Street Big Lake, MN 55309 Federal I.D.# / I/?, — NOTE: If this instrument is executed by a corporation, it must be signed by an officer, and if executed by a partnership It must be signed by a partner. -1730- RECEIPT AND WAIVER OF MECHANIC'S LIEN RIGHTS - FINAL Dated: August 22, 2019 The undersigned hereby acknowledges that upon receipt of the sum of $90.53 from Minger Construction Co,, Inc. CHECK ONLY ONE l) as partial payment for labor, skill and material furnished 2) as payment for labor, skill and material furnished or to be furnished (Except the sum of $ retainage or holdback) 3) X as full and final payment for all labor, skill and material furnished. To the following real property (legal description, street address or project name): Mound 2018 Lift Station Improvements and for value received hereby waives all rights acquired by the undersigned to file or record mechanic's liens against said real property for labor, skill or material furnished to said real property. The undersigned affirms that all material furnished by the undersigned has been paid for, and all subcontractors employed by the undersigned have been paid in full. Neaton Brothers Erosion, LLC PO Box 879 Watertown, MN 55388 BY Federal I.D.# ! g xe�70 NOTE: If this instrument is executed by a corporation., it must he signed by an officer, and if executed by a partnership It must be signed by a partner. -1729- RECEIPT AND WAIVER OF MECHANIC'S LIEN RIGHTS - FINAL Dated: August 22, 2019 The undersigned hereby acknowledges that upon receipt of the sum of $233.75 from Minger Construction Co., Inc. CHECK ONLY ONE 1) as partial payment for labor, skill and material furnished 2) as payment for labor, skill and material furnished or to be furnished (Except the sum of $ retainage or holdback) 3) X as full and final payment for all labor, skill and material furnished. To the following real property (legal description, street address or project name): Mound 2018 Lift Station Improvements and for value received hereby waives all rights acquired by the undersigned to file or record mechanic's liens against said real property for labor, skill or material furnished to said real property. The undersigned affirms that all material furnished by the undersigned has been paid for, and all subcontractors employed by the undersigned have been paid in full. Heineman Painting, Inc. 135 323rd Lane NW Cambridge, MN 55008 BY: Federal I.D.# 1 S 6 6 $�Sz NOTE: If this instrument is executed by a corporation, it must be signed by an officer, and if executed by a partnership It must be signed by a partner. -1728- RECEIPT AND WAIVER OF MECHANIC'S LIEN RIGHTS - FINAL Dated: August 22, 2019 The undersigned hereby acknowledges that upon receipt of the sum of $1,609.41 from Minger Construction Co., Inc. CHECK ONLY ONE 1) as partial payment for labor, skill and material furnished 2) as payment for labor, skill and material furnished or to be furnished (Except the sum of $ retainage or holdback) 3) X as full and final payment for all labor, skill and material furnished. To the following real property (legal description, street address or project name): Mound 2018 Lift Station Improvements and for value received hereby waives all rights acquired by the undersigned to file or record mechanic's liens against said real property for labor, skill or material furnished to said real property. The undersigned affirms that all material furnished by the undersigned has been paid for, and all subcontractors employed by the undersigned have been paid in full. GMH Asphalt Corporation 9180 Laketown Road Chaska, MN 55318 Federal I.D.#41-1662485 NOTE: If this instrument is executed by a corporation, it must be signed by an officer, and if executed by a partnership It must be signed by a partner. -1727- Federal 1727 - DEPARTMENT OF REVENUE Contractor Affidavit Submitted Thank you, your Contractor Affidavit has been approved. Confirmation Summary Confirmation Number: Submitted Date and Time; Legal Name: Federal Employer ID: User Who Submitted: Type of Request Submitted; Affidavit Summary Affidavit Number: Minnesota ID: Project Owner: Project Number: Project Begin Date: Project End Date: Project Location: Project Amount: Subcontractors; 0-821-661-120 20 -Dec -2018 10:02:04 PM ALL STATE TRAFFIC CONTROL, INC. 47-5418502 ASTCMN16 Contractor Affidavit 236429312 4300984 CITY OF MOUND PW -18-03, ETC. 08 -May -2018 10 -Oct -2018 MOUND LIFT STATION $5,200.00 No Subcontractors Important Messages A copy of this page must be provided to the contractor or government agency that hired you. Contact Us If you need further assistance, contact our Withholding Tax Division at 651-282-9999, (toll-free) 800-657-3594, or (email) withholding. tax@state.mn.us. Business hours are 8:00 a.m. - 4:30 p.m. Monday - Friday. Please print this page for your records using the print or save functionality built into your browser. Cassandra Thuening From: Becky Bettcher <bbettcher@neatonbrothers.com> Sent: Friday, December 21, 2018 9:24 AM To: Cassandra Thuening Subject: Neaton IC -134 for Mound Lift Station Please let me know if you need anything further. Thank you, Becky Bettcher Neaton Brothers Erosion PO Box 879 Watertown, MN 55388 Ph: 952-955-2412 Fx: 952-955-3582 Email: bbettcher neatonbrothers.com From: MN Revenue e -Services [mailto:eservices.mdor@state.mn.us] Sent: Friday, December 21, 2018 9:21 AM To: bbettcher@neatonbrothers.com Subject: Your Recent Contractor Affidavit Request This email is an automated notification and is unable to receive replies Contractor Affidavit Completed Thank you, your Contractor Affidavit has been approved. Confirmation Summary Confirmation Number: Submitted Date and Time: Legal Name: Federal Employer ID: User Who Submitted: Type of Request Submitted: Affidavit Summary Affidavit Number: Minnesota ID: Project Owner: Project Number: Project Begin Date: Project End Date: Project Location: Project Amount: Subcontractors: Important Messages 0-614-403-520 21 -Dec -2018 9:20:40 AM NEATON BROTHERS EROSION LLC 41-1976698 NeatonBro Contractor Affidavit 28123136 4990862 CITY OF MOUND PW -18-03 & PW -18-05 19 -Mar -2018 30 -Nov -2018 MOUND $2,788.00 No Subcontractors 1 -1725- Page 1 of 1 �j DEPARTMENT ■ OF REVENUE Contractor Affidavit Submitted Thank you, your Contractor Affidavit has been approved Confirmation Summary Confirmation Number: 0-235-867-584 Submitted Date and Time: 20 -Dec -2018 1:51:18 PM Legal Name: G M H ASPHALT CORP Federal Employer ID: 41-1662485 User Who Submitted: gmhasphalt Type of Request Submitted: Contractor Affidavit Affidavit Summary Affidavit Number: 1052008448 Minnesota ID: 2857091 Project Owner: CITY OF MOUND Project Number: PW -18-03 & PW -18-05 Project Begin Date: 19 -Mar -2018 Project End Date: 30 -Nov -2018 Project Location: MOUND Project Amount: $32,188.20 Subcontractors: No Subcontractors Important Messages A copy of this page must be provided to the contractor or government agency that hired you. Contact Us If you need further assistance, contact our Withholding Tax Division at 651-282-9999, (toll-free) 800-657-3594, or (email) withholding.tax@state.mn.us. Business hours are 8:00 a.m. - 4:30 p.m. Monday - Friday. Please print this nage for your records using the print or save functionality built into your browser https://www.mndor.state.mn.us/tp/eservices/­,/R1t>ji 4e/0/c-/Epoh6jr42zdFHgThYtB54Q_... 12/20/2018 DEPARTMENT OF REVENUE Contractor Affidavit Submitted Thank you, your Contractor Affidavit has been approved. Confirmation Summary Confirmation Number: Submitted Date and Time: Legal Name: Federal Employer ID: User Who Submitted: Type of Request Submitted: Affidavit Summary Affidavit Number: Minnesota ID: Project Owner: Project Number: Project Begin Date: Project End Date: Project Location: Project Amount: Subcontractors: 0-791-449-024 23 -Dec -2018 12:40:02 PM TAYLOR ELECTRIC COMPANY LLC 42-1669427 taylor475 Contractor Affidavit 951787520 7838870 CITY OF MOUND PWA B-03 & PWA B-05 19 -Mar -2018 30 -Nov -2018 MOUND, MN $13.005.00 No Subcontractors Important Messages A copy of this page must be provided to the contractor or government agency that hired you. Contact Us If you need further assistance, contact our Withholding Tax Division at 651-282-9999, (toll-free) 800-657-3594, or (email) withholding.tax@state.mn.us. Business hours are 8:00 a.m. - 4:30 p.m. Monday - Friday. Please orint ibis oaae for your records using the print or save functionality built into your browser. -1723- MDEPARTMENT OF REVENUE Contractor Affidavit Submitted Thank you, your Contractor Affidavit has been approved. Confirmation Summary Confirmation Number: 1-150-455-232 Submitted Date and Time: 20 -Dec -2018 11:47:25 AM Legal Name: CURB MASTERS INC Federal Employer ID: 41-1606037 User Who Submitted: Linda H Type of Request Submitted: Contractor Affidavit Affidavit Summary Affidavit Number: 910811136 Minnesota ID: 2207114 Project Owner: CITY OF MOUND Project Number: 6677 Project Begin Date: 16 -Jul -2018 Project End Date: 12 -Sep -2018 Project Location: 2018 LIFT STATION IMPROVEMENTS, MOUND, MN Project Amount: $8,498.10 Subcontractors: No Subcontractors Important Messages A copy of this page must be provided to the contractor or government agency that hired you. Contact Us If you need further assistance, contact our Withholding Tax Division at 651-282-9999, (toll-free) 800-657-3594, or (email) withholding.tax@state.mn.us. Business hours are 8:00 a.m. - 4:30 p.m. Monday - Friday, Please print this nage for your records using the print or save functionality built into your browser, -1722- DEPARTMENT OF REVENUE Contract®r Affidavit Submitted Thank you, your Contractor Affidavit has been approved. Confirmation Summary Confirmation Number: Submitted Date and Time: Legal Name: Federal Employer ID: User Who Submitted: Type of Request Submitted: Affidavit Summary Affidavit Number: Minnesota ID: Project Owner: Project Number: Project Begin Date: Project End Date: Project Location: Project Amount: Subcontractors: 01793-736-12 22 -Feb -2019 10:14:13 AM HEINEMAN PAINTING INCORP 41-1566882 heinpaint Contractor Affidavit 830373632 3760718 CITY OF MOUND PW -18-03 PW -18-05 19 -Mar -2018 30 -Nov -2018 MOUND LS $4,675.00 No Subcontractors Important Messages A copy of this page must be provided to the contractor or government agency that hired you. Contact Us If you need further assistance, contact our Withholding Tax Division at 01-282r9299, (toll-free) W0,557 J1x94, or (email) with hotding.tax@state.mn.us. Business hours -are 8:00 a.m. - 4:30 p.m. Monday - Friday. Please rint hi page for your records using the print or save functionality built into your browser. ntrs�sL'n;:n:.v mntior sta'e,n!ri ��sYlr'aser•rice5? ;Retr�ce!e%Ohc - -", r ..-iilsE Lo F.35GA '.FIEF-Fi'in[2i�PRfiFMG =;;61��32;%9�=i'o14�:.f, -1721 - 1.22/Te,. 70:14 AM ".l C,e 1 0t "t Page 1 of 1 ADEPARTMENT - OF REVENUE Contractor Affidavit Submitted Thank you, your Contractor Affidavit has been approved. Confirmation Summary Confirmation Number: Submitted Date and Time: Legal Name: Federal Employer ID: User Who Submitted: Type of Request Submitted: Affidavit Summary Affidavit Number: Minnesota ID: Project Owner: Project Number: Project Begin Date: Project End Date: Project Location: Project Amount: Subcontractor Summary 1-955-914-688 25 -Feb -2019 8:35:44 AM MINGER CONSTRUCTION COMPANIES, INC. 46-5108070 MingerComp. Contractor Affidavit 2132926464 3440852 CITY OF MOUND PW -18-03 & PW -18-05 19 -Mar -2018 30 -Nov -2018 MOUND LIFT STATION $299,072.87 Name ID Affidavit Number HEINEMAN PAINTING INCORP 3760718 930373632 CURB MASTERS INC 2207114 910811136 TAYLOR ELECTRIC COMPANY LLC 7838870 951787520 G M H ASPHALT CORP 2857091 1052008448 NEATON BROTHERS EROSION LLC 4990862 28123136 ALL STATE TRAFFIC CONTROL. INC. 4300984 236429312 Important Messages A copy of this page must be provided to the contractor or government agency that hired you. Contact Us If you need further assistance, contact our Withholding Tax Division at 651-282-9999, (toll-free) 800-657-3594, or (email) withholding.tax@state.mn.us. Business hours are 8:00 a,m. - 4:30 p.m. Monday - Friday. Please print this paste for your records using the print or save functionality built into your browser - 1720 - https://www.mndor. state.mn.us/tp/eservices/_/Retrieve/O/c-/UGeZquyAxAOvx49 SDROOJ... 2/25/2019 GREAT AMERICAN INSURANCE COMPANY' Administrative Office: 301 E 4TH STREET • CINCINNATI, OHIO 45202 • 513-369-5000 • FAX 513-723-2740 The number of persons authorized by this power of attorney is not more than ELEVEN POWER OF ATTORNEY Bond No. 2276916 KNOW ALL MEN BY THESE PRESENTS: That the GREAT AMERICAN INSURANCE COMPANY, a corporation organized and existing under and by virtue of the laws of the State of Ohio, does hereby nominate, constitute and appoint the person or persons named below its true and lawful attorney-in- fact, for it and in its name, place and stead to execute on behalf of the said Company, as surety, the specific bond, undertaking or contract of suretyship referenced herein; provided that the liability of the said Company on any such bond, undertaking or contract of suretyship executed under this authority shall not exceed the limit stated below. The bond number on this Power of Attorney must match the bond number on the bond to which it is attached or it is invalid. Name Address Limit of Power MELINDA C. BLODGETT TED JORGENSEN ALL OF ALL R. C. BOWMAN JOSHUA R. LOFTIS MINNEAPOLIS, R. SCOTT EGGINTON KURT C. LUNDBLAD $100,000,000 R.W. FRANK JOHN E. TAUER BRIAN J. OESTREICH MINNESOTA COLBY D. WHITE LIN ULVEN IN WITNESS WHEREOF the GREAT AMERICAN INSURANCE COMPANY has caused these presents to be signed and attested by its appropriate officers and its corporate seal hereunto affixed this 5th day of SEPTEMBER 1 2017 Attest GREAT AMERICAN INSURANCE COMPANY 4fie. 3 4�6 Assistant Secretary Divisional Senior l ice President STATE OF OHIO, COUNTY OF HAMILTON - ss: MARK VICARIO (877-377-2405) On this 5th day of SEPTEMBER , 2017,before mepersonally appeared MARK VICAR 10,tonic known. being duly sworn, deposes and says that he resides in Cincinnati, Ohio, that he is a Divisional Senior Vice President of the Bond Division of Great American Insurance Company, the Company described in and which executed the above instrument; that he knows the seal of the said Company; that the seal affixed to the said instrument is such corporate seal; that it was so affixed by authority of his office under the By -Laws of said Company, and that he signed his name thereto by like authority. Kai• This Power of Attorney is granted by authority of the following resolutions adopted by the Board of Directors of GreatAmerican Insurance Company by unanimous written consent dated June 9, 2008. RESOLVED: That the Divisional President, the several Divisional Senior Vice Presidents, Divisional Ince Presidents and Divisonal Assistant Vice Presidents, or any one of them, be and hereby is authorized, from time to time, to rtppoint one or more Attorneys -in -Fact to execute on behalf'of the Company, as surety, any and till bands, undertakings and contracts ofsurelyship, or other wrillen obligations in the nature thereof,• to preseribe their respective duties and the respective limits of their authority; and to revoke any such appointment at any time. RESOLVED FURTHER: Thar the C•'onipany seal and the signature of any of the q foresaid p jf vem and ane Secretaq or Assr.Clant Sectetaq of the Company tray he affixed by facsimile to any power oJ'atlorney or eery{reale gfeither given fbr the execution of arty bond, undertaking. contract of suretyship, or other uvlffett obligation: in the nature thereof, such signature card seal when so used being hereby adopted by the Comptes{p as the original signature of such officer and the original seal of the Compan}; to be valid and binding upon the Company with the scone fatre and effect as though manually affixed. CERTIFICATION I, STEPHEN C. BERAHA, Assistant Secretary of Great American Insurance Company, do hereby certify that the foregoing Power of Attorney and the Resolutions of the Board of Directors of June 9, 2008 have not been revoked and are now in full force and effect. Signed and sealed this 30th day of January, 2019 S1 1941) (8/18) —1719— 44,r. 3 Assistant Secretary ~� 19 - Document G707"m — 1994 Consent Of Surety to Final Payment Bond No. 2276916 (PROJECT: (,'lame and address) ARCHITECT'S PROJECT NUMBER: OWNER: 2018 Lift Station Improvements & Sanitary Sewer Reroute CONTRACT FOR: Construction ARCHITECT: ER TO OVVNEt (Name and address) City of Mound 2415 Wilshire Blvd. Mound. MN 55364 CONTRACT DATED: March 19, 2018 In accordance with the provisions of the Contract between the Owner and the Contractor as indicated above, the (insert name and address of Surety) Great American Insurance Company 301 E. Fourth Street Cincinnati, OH 45202 on bond of (Insert name and address of Contract op) Minger Construction Companies, Inc. 620 Corporate Drive Jordan, MN 55352 CONTRACTOR: SURETY: SURETY, ,CONTRACTOR, hereby approves of the final payment to the Contractor, and agrees that final payment to the Contractor shall not rel leve the Surety of any of its obDigations to (Insert name and address of Owner) City of Mound 2415 Wilshire Blvd. Mound, MN 55364 , OWNER, as set forth in said Surety`s bond. IN WETNESS WHEREOF, the Surety has hereunto set its hand on this date: January 30, 2019 (Insert in writing the month followed by the mi aerie date and year.) Great American Insurance Com awl _ (Surety) (Signature of aut%orixed representative) Attest:1 Lin Ulven Attorney-! n -Fact (sear): (Printed name and title) ALA Oticumant G7O7TM —1994. Copyright O lga2 and 1994 by The AmerlGan InsiLt le of Architects. All rights reserved. WARNING: This AIA; Document is protected by U.S. Copyright Law and Intematianal Treaties. Unautlsorlxed reproduction or distribution of this AIA''' Document, or any portion of it, may result In severe civil and criminal penalties, and will be prosecuted to the maximum extent possible under the law. -1718- REQUEST FOR PAYMENT DAn PROJECT: 2015 Lik SmdonZ roamenty and Wiisldse BouieanN Sonimrn Sewer Resoufe CONTRACTOR: 1m..ger Co....n..edon REQUESTNO.: 5 & Final TOTAL $299,072.871 -1717- ORIGINAL BID COMPLETED BID UNIT THIS MONTH TO DATE ITEM UNT QUANTITY AMOUNT NO BID ITEM UNIT QUANTITY PRICE SECTION 1: LIFT STATION C6 1 MOBILIZATION LUMPSUM 1 $10,00000 100 $10,000.00 2 TRAFFICCONTROL LUMPSUM 1 $1,20000 100 $1,200.00 3 EROSION AND SEDIMENT CONTROL LUMPSUM 1 $2,50000 100 $2,500.00 4 CLEARING AND GRUBBING LUMPSUM 1 $75000 100 $750.00 5 REMOVE SANITARY SEWER & FORCEMAIN PIPE LF 30 $5.00 30.00 $150.00 6 REMOVE BITUMINOUS PAVEMENT SY 80 $900 80.00 $720.00 7 REMOVE CONCRETE CURB &GUTTER LF 60 $5.00 65.00 $325.00 8 REMOVE CONCRETE PAVEMENT SF 60 $2.00 54.00 $108.00 9 REMOVE LIFT STATION CONTROL PANEL AND CONCRETE PAD EA 1 $75000 100 $750.00 10 REMOVE CASTING ASSEMBLY EA 2 $5000 200 $100.00 11 ABANDON LIFT STATION LUMPSUM 1 $5,00000 100 $5,000.00 12 ABANDON SANITARY SEWER & FORCEMAIN PIPE LF 40 $1600 40.00 $640.00 13 SALVAGE AND REINSTALL CATCH BASIN EA 1 $1,50000 100 $1,500.00 14 8" PVC SDR 35 SANITARY SEWER LF 26 $2800 15 8"DIP SEWER, CL 52 LF 22 $4300 44.00 $1,89200 16 4" DIP FORCEMAIN, CL 52 LF 80 $21 00 68.00 $1,428.00 17 4" GATE VALVE AND BOX EA 6 $2,00000 600 $12,000.00 18 DUCTILE IRON FITTINGS LB 350 $600 36000 $2,160.00 19 CONNECT TO EXISTING FORCEMAIN EA 1 $5,00000 100 $5,000.00 20 CONNECT TO EXISTING MANHOLE EA 4 $1,90000 400 $1,600.00 21 CASTING ASSEMBLY EA 2 $60000 200 $1,200.00 22 CHIMNEY SEAL EA 2 $35000 200 $700.00 23 AGGREGATE BEDDING TON 20 $3000 2000. $600.00 24 SEWAGE PUMP TRUCK HE 16 $5000 400 $200.00 25 60 AFTER MANHOLE LUMPSUM 1 $13,00000 100 $13,000.00 26 72" PRE -CAST CONCRETE WET WELL WITH PIPING AND VALVING LUMPSUM 1 $4$00000 100 $48,000.00 27 ELECTRICAL CONSTRUCTION LUMPSUM 1 $15,00000 100 $15,000.00 28 SITE GRADING LUMPSUM 1 $2,50000 100 $2,500.00 29 REMOVE AND REPLACE UNSUITABLE FILL MATERIAL (EV) CY 120 $3600 30 FLOWABLE FILL CY 17 $12000 17.00 $2,040.00 31 RECONSTRUCT MANHOLE INVERT EA 1 $3,00000 100 $3,000.00 32 4" PERF TP PIPE DRAIN WITH AGGREGATE LF 28 $3800 30.00 $1140.00 33 4"PVCPIPEDRAIN LF 33 $3800 33.00 $1,254.00 34 CONNECT PIPE DRAIN TO EXISTING CATCH BASIN EA 1 $35000 100 $350.00 35 4"PVC CLEAN OUT EA 1 $40000 100 $400.00 36 SELECT GRANULAR BORROW FOR CONCRETE PADS TON 45 $4000 3946 $1,57840 37 5" CONCRETELIFT STATION PAD SF 40 $1000 47.00 $470.00 38 8" CONCRETE GENERATOR PAD SF 154 $1100 14700 $1,617.00 39 6" CONCRETEDRIVEWAY SF 60 $1000 54.00 $540.00 40 CONCRETE CURB AND GUTTER DESIGN 5512 LF 60 $1900 65.00 $1,235.00 41 FURNISH AND PLACE AGGREGATE BASE ,CLS TON 65 $45.00 65.00 $2,925.00 EXCAVATE, SALVAGE, REUSE & COMPACT EXISTING GRAVEL BASE 42 (EV) CY 20 $2500 2000. $500.00 43 TYPE SP 955 BITUMINOUS WEARING COURSE MIX (2 TON 30 $14200 37.15 $5,27530 44 TYPE SP 125 BITUMINOUS NON WEARING COURSE MIX (2 TON 5 $31600 802 $2,53432 45 BOLLARD GUARD POST EA 5 $65000 500 $3,250.00 46 EROSION CONTROL BLANKET, CATEGORY 3N, W/ SEED MIX 25151 SY 200 $250 71300 $1,78250 47 TOPSOIL BORROW (LV) CY 40 $1000 48 SILT FENCE LF 210 $250 16000 $400.00 49 STORM DRAIN INLET PROTECTION EA 3 $15000 300 $450.00 50 ILANDSCAPE ALLOWANCE ALLOWANCE 1 $250000 SECTION 2: WILSHIRE SANITARY SEWER REROUTE 51 MOBILIZATION LUMPSUM 1 $11,00000 100 $11,000.00 52 TRAFFICCONTROL LUMPSUM 1 $10,00000 100 $10,000.00 53 CLEARING & GRUBBING LUMPSUM 1 $2,50000 100 $2,500.00 54 REMOVE CONCRETE CURB &GUTTER LF 160 $350 22700 $79450 55 REMOVE SANITARY MANHOLE EA 1 $50000 100 $500.00 56 ABANDON SANITARY SEWER LF 60 $1100 60.00 $660.00 57 8" PVC SDR 35 SANITARY SEWER LF 184 $16000 18400 $29,440.00 58 CONNECT TO EXISTING SANITARY SEWER EA 3 $80000 300 $2,400.00 59 48" DIAMETER SANITARY MANHOLE LF 30 $50000 2970 $14,850.00 60 CASTING ASSEMBLY EA 2 $1,20000 200 $2,400.00 61 CHIMNEY SEAL EA 2 $40000 200 $800.00 62 SANITARY SEWER BY-PASS PUMPING LUMPSUM 1 $50000 100 $500.00 63 REMOVE AND REPLACE UNSUITABLE FILL MATERIAL (EV) CY 400 $100 64 BITUMINOUS COUNTY ROAD REPLACEMENT SY 350 $8000 52700 $42160.00 65 30" BITUMINOUS TRAIL REPLACEMENT SY 15 $10000 1334 $1,334.00 66 CONCRETE CURB& GUTTER DESIGN B618 LF 160 $2700 23310 $6,29370 67 TOPSOIL BORROW (LV) CY 25 $1000 68 STORM DRAIN INLET PROTECTION EA 3 $15000 300 $450.00 69 EROSION CONTROL BLANKET, CATEGORY 3N, W/ SEED MIX 25151 SY 120 $250 37900 $94750 70 SEDIMENT CONTROL LOG LF 150 $300 15000 $450.00 71 4" SOLID LINE WHITE EPDXY LF 250 $2.10 72 4" SOLID DOUBLE UNEYELLOW-EPDXY LF 200 $410 EW -1 WILSHIRE BOULEVARD GEOTEXTILE FABRIC SY$1 50 52700 $79050 EW -2 WILSHIRE BOULEVARD WATER SERVICE WORK LS $3,58340 100 $3,58340 EW WILSHIRE BOULEVARD MH RECONFIGURATION LS $14,75 100 $145475 TOTAL $299,072.871 -1717- DATE: 8/19/2019 CONTRACTOR'S PAY REQUEST NO. 5 & Final CONTRACTOR Minger Construction 2018 Lift Station Improvements and Wilshire Boulevard Sanitary Sewer Reroute OWNER City of Mound CITY PROJECT NO. PW -18-03 & PW -18-05 ENGINEER Bolton & Menk BMI PROJECT NO. 017.115013 FOR WORK COMPLETED FROM 12/1/2018 THROUGH 8/8/2019 TOTALAMOUNT BID .............. ............... .............. .......... .............................. ............... .......... I ...... I ............ I........ $ 283,161.00 APPROVED CHANGE ORDERS & EXTRA WORK....................................._............................................... $ 5,828.65 CURRENTCONTRACT AMOUNT.................................................................. ......................................... $ 288,989.65 TOTAL, COMPLETED WORK TO DATE.................................................................................................................... $ 299,072.87 TOTAL, STORED MATERIALS TO DATE ...................................... $ - DEDUCTION FOR STORED MATERIALS USED IN WORK COMPLETED...............:............................................. $ - TOTAL, COMPLETED WORK & STORED MATERIALS..............................................._..............._.......:.................... $ 299,072.87 RETAINEDPERCENTAGE ( 0% )..............................................................................:....................... $ TOTAL AMOUNT OF OTHER DEDUCTIONS...---................................................................................................. $ - NET AMOUNT DUE TO CONTRACTOR TO DATE ........... ........ --- ............................... ................... ....................... $ 299,072.87 TOTAL AMOUNT PAID ON PREVIOUS ESTIMATES............................................................................................... $ 284,119.23 PAY CONTRACTOR AS ESTIMATE NO. 5................................................................................................................ $ 14,953.64 Certificate for Payment I hereby certify that, to the best of my knowledge and belief, all items quantities and prices of work and material shown on this Estimate are correct and that all work has been performed in full accordance with the terms and conditions of the Contract for this project between the Owner and the undersigned Contractor, and as amended by any authorized changes, and that the foregoing is a true and correct statement of the amount for the Final Estimate, that the provisions of M. S. 290.92 have been complied with and that all claims against me by reason of the Contract have been paid or satisfactorily secured. Contractor: Minger Construction Co. Inc. 620 Corporate Dr. Jordan, MN 55352 By U Qro%'CCA hvi"ee- Name Til le V 14 l q Date CHECKED AND APPROVED AS TO QUANTITIES AND AMOUNT: BOLTON & MENK, INC., ENGINEERS, 2638 SHADOW LN, SUITE 200, CHASKA MN 55318 Tj! By CITY ENGINEER Brian D. Simmons Date 8/20/19 APPROVED FOR PAYMENT: Owner: CITY OF MOUND By Name Title Date -1716- Q& MLNK Real People. Real Solutions. September 4, 2019 Mr. Eric Hoversten, City Manager & Director of Public Works City of Mound 2415 Wilshire Boulevard Mound, MN 55364 RE: 2018 Lift Station Improvement Project Wilshire Blvd. Sanitary Sewer Reroute Pay Request No. 5 and Final City Project No. PW 18-03 & PW 18-05 Project No.: C17.115013 Dear Mr. Hoversten: 2638 Shadow Lane Suite 200 Chaska, MN 55318-1172 Ph: 19521448-8838 Fax: 19521448-8805 Bolton-Menk.com Please find enclosed Pay Request No. 5 and Final from Minger Construction for work completed on the 2018 Lift Station Improvement Project & Wilshire Blvd. Sanitary Sewer Reroute through August 21, 2019. At this time the contract is complete, and we have accepted the contractor's work. This pay request represents close out of the project and release of previously held retainage. We have reviewed the included close out documents and find the contractor's lien waivers and labor documentation to be in order. We have also reviewed the contractor's request, verified quantities and recommend payment in the amount of $14,953.64 to Minger Construction. Sincerely, Bolton & Menk, Inc. Brian D. Simmons, P.E. City Engineer H'.AMOONVC1911S013\1 CorresVC To Others\2019-09-OS Pay Request No Sand Final Letter docs Bolton & Monk is an 1714- D S 0 3 D zf o$R N N Z y N O Z N Ip �I N 3 O N D a mm mw �+ T N Z c Z T 0 O n 0 N m mm CJS 0 m o 0 0 l I 0 U n o c 3 m J 7 ✓rh N R A •' A O z Roxbury l.l, 5= i a ® o ti QC �(Y cn meat, 0 a nr 0 CD x 'gy .9 S r� d s q ®axter Ln 4j 3 0 O of z a a m m (D n N m8=�w G J S. S & r IDM a Hennepin County Resident and Real Estate Services Tax -Forfeited Land Cost Sheet for Governmental Subdivision n: Abby Majeske - Hennepin County Tax Forfeited Lands ne Number: 612-348-2995 07.22.2019 PID 24-117-24-44-0128 NER# arket Value $1.00 )ecials After Forfeiture $150.00 >surance Fee ON $4.53 ate Deed Preparation Fee: $25.00 ling Fees [TFL to file deed) $51.00 ate Deed Tax: S $ 1.70 / $500 or part thereof -see chart } $1.70 :L Holding Costs per State Statute 282.01 Subd 1.* $0.00, FULL PAYMENT REQUIRED: Total: $233.23 Prepared: 07.22.2019 be postmarked NO LATER thar 08.06.2019 *Valid Through: 15 days after calcluated date :RTIFIED FUNDS PAYABLE AT TIME OF APPLICATION AKE PAYABLE TO: HENNEPIN COUNTY TREASURER JBJECT PARCEL: 85 ADDRESS UNASSIGNED D NUMBER: 24-117-24-44-0128 ED FOR: Sarah Smith - City of Mound NUMBER: 952-472-0604 Calculated: 07.22.2019 *Hennepin County reserves the right to update costs at anytime. *This cost sheet is being provided for informational use only, and is not intended to be, nor should it be construed as, an approval of sale by Hennepin County. -1712- MINUTES - DRAFT MOUND ADVISORY PLANNING COMMISSION SEPTEMBER 3, 2019 Chair Penner called the meeting to order at 7:00 p.m. ROLL CALL Members present: Chair Cindy Penner; Commissioners Kevin Castellano, David Goode, Jake Saystrom, Jason Baker, David Pelka, and Jameson Smieja, Drew Heal and Sherrie Pugh. Staff present: Community Development Director Sarah Smith OLD AND NEW BUSINESS A. Review/discussion/recommendation — proposed purchase of Hennepin County tax forfeit parcel identified as PID No. 24-117-24-44-0128 and consistency determination with 2030 Comprehensive Plan Smith introduced the item which included review of a proposed acquisition of a tax forfeit parcel from Hennepin County. The parcel is PID No. 24-117-24-44-0128. Smith provided an overview of the parcel's location and conditions and summarized Staff's recommendation and findings as to why the parcel should be acquired by the City. Commissioner Goode inquired if the parcel was offered to adjacent owners. Smith responded that Staff requested removal from a future sale so the City could evaluate the proposed acquisition and benefits to the community. Commissioner Penner inquired if the $233.23 amount provided on the cost estimate sheet was still valid. Smith confirmed that the amount remains current and that there is a $150 special assessment. Commissioner Smieja inquired about the property on the east side of the parcel. Smith commented that it is road right of way. Staff recommended approval of the proposed acquisition of the tax forfeit parcel based on findings included in the staff memorandum dated August 27, 2019 regarding its consistency with the approved comprehensive plan. MOTION by Goode to recommend approval of staff recommendation, for purchase of PID No. 24-117-24-44-0128, to include findings of fact determining that the proposed acquisition is consistent with the 2030 Comprehensive Plan and to request removal of the special assessment of $150.00; seconded by Saystrom. MOTION carried unanimously. NOW, THEREFORE, BE IT FURTHER RESOLVED, that the City Council of the City of Mound hereby approves the purchase of PID No. 24-117-24-44-0128 and makes a determination and findings that the acquisition PID No. 24-117-24-44-0128 is consistent with the 2030 Mound Comprehensive Plan as follows: 1. The proposed acquisition is consistent with the 2030 Comprehensive Plan Future Land Use Plan designation of open space. 2. The proposed acquisition is consistent with Parks, Open Space and Recreation Policies 1, 2, 4, 6 and 10 in the 2030 Mound Comprehensive Plan as described below: Parks, Open Space and Recreation Policies (Page 5 ♦ 1 through Page 5 ♦ 2) 1. Provide a park, open space and recreation system that is accessible and available for use by all Mound residents. 2. Coordinate the expenditure of local funds for park, open space and recreation facilities with the provision and development of other municipal services. 4. Ensure development of the park, open space and recreation system is consistent with the future land use plan for Mound. 6. Promote a balanced park and open space system which includes neighborhood parks/playgrounds, community parks, community playfields, lakeview parks, public natural open spaces, special use facilities, school parks and private open spaces. 10. Continue to integrate the preservation and celebration of the community's natural and historic resources into the park, open space and recreation system where feasible. NOW, THEREFORE, BE IT FURTHER RESOLVED, that the City Council of the City of Mound hereby authorizes the City Manager or designee to prepare and execute all required documents to purchase PID No. 24-117-24-44-0128 and also authorizes and requests that Hennepin County remove the $150.00 special assessment from the purchase price of $233.23. Adopted by the City Council this 10th day of September, 2019 Attest: Catherine Pausche, City Clerk Raymond S. Salazar -1710- CITY OF MOUND RESOLUTION NO. 19 - RESOLUTION APPROVING PURCHASE OF HENNEPIN COUNTY TAX FORFEIT PARCEL IDENTIFIED AS PID NO. 24-117-24-44-0128 AND DETERMINATION OF CONSISTENCY WITH THE 2030 COMPREHENSIVE PLAN AS REQUIRED BY MINNESOTA STATUTES 462.356 WHEREAS, PID No. 24-117-24-44-0128, is a tax forfeit lot owned by Hennepin County that is being offered to the City of Mound for purchase; and WHEREAS, Minnesota Statutes 462.356 requires that the Planning Commission review and make findings to the City Council related to a proposed acquisition or disposal of publically-owned property regarding consistency with the City's approved comprehensive plan; and WHEREAS, the proposed acquisition was evaluated under the 2030 Comprehensive Plan as that is the City's current plan at this time; and WHEREAS, the undeveloped property is approximately 0.15 acres and is located north of the intersection of Aberdeen Road and Tuxedo Boulevard in the part of Mound commonly referred to as "the Island"; and WHEREAS, the subject parcel, which abuts road ROW, is immediately adjacent to a large, City - owned wetland and includes very sloped terrain that slopes downward from the road to the wetland; and WHEREAS, Staff recommended the City of Mound acquire the tax forfeit parcel due to benefits to the community as follows: • Provides land which could be dedicated to offset any wetland disruptions to support downtown or other community initiatives. Having assets in play will help respond to restrictions likely to increase overtime. • Parcel is located in vicinity of area designated as parks/open space • Parcel is located adjacent to Type E Shoreline (wetlands, wildlife area, beaches, boat landings and transient docks. No leased dock sites.); and WHEREAS, the Planning Commission, at its September 3, 2019 meeting, reviewed the proposed acquisition and unanimously voted to recommend approval of the proposed acquisition, as recommended by Staff, to include findings and making a determination that the acquisition is consistent with the 2030 Comprehensive Plan. The Planning Commission also recommended the City Council pursue removal of the previous special assessment of $150.00 by Hennepin County. -1709- Based on its review, the Planning Commission unanimously voted to recommend purchase of PID No. 24-117-24-44-0128, based on Staffs recommendation that includes findings, and to request the City Council pursue removal of the special assessment. City Council Consideration and Recommendation for Approval A draft resolution, based on the Planning Commission's recommendation, has been prepared for City Council consideration to authorize purchase of PID No. 24-117-24-44-0128 from Hennepin County, making a determination and findings that the proposed acquisition is consistent with the 2030 Mound Comprehensive Plan and requesting removal of the $150.00 special assessment. Recommended action is for approval. • Page 3 -1708- 1. The proposed acquisition is consistent with the 2030 Comprehensive Plan Future Land Use Plan designation of open space. 2. The proposed acquisition is consistent with Parks, Open Space and Recreation Policies 1, 2, 4, 6 and 10 in the 2030 Mound Comprehensive Plan which are defined below: Parks, Open Space and Recreation Policies (Page 5 ♦ 1 through Page 5 ♦ 2) 1. Provide a park, open space and recreation system that is accessible and available for use by all Mound residents. 2. Coordinate the expenditure of local funds for park, open space and recreation facilities with the provision and development of other municipal services. 4. Ensure development of the park, open space and recreation system is consistent with the future land use plan for Mound. 6. Promote a balanced park and open space system which includes neighborhood parks/playgrounds, community parks, community playfields, lakeview parks, public natural open spaces, special use facilities, school parks and private open spaces. 10. Continue to integrate the preservation and celebration of the community's natural and historic resources into the park, open space and recreation system where feasible. Comments • If the City purchases the property it can be used for any public purpose. The price for the property is $233.23. Per information from Hennepin County provided on the tax forfeit land cost sheet dated July 22, 2019, there is a $150 special assessment related to a 1992 tree removal project which the City can request be removed. Hennepin County staff confirmed that the cost estimate sheet dated July 22, 2019 is valid. • This proposed acquisition can be funded by budget reserves. September 3, 2019 Planning Commission Meeting Overview and Recommendation The Planning Commission, at its September 3, 2019 meeting, reviewed the proposed purchase of the tax forfeit parcel. Staff provided an overview of background information about the parcel and outlined the policies that support the proposed purchase. Smith was asked if the parcel sale by Hennepin County was an Adjacent Owner (AO) sale and Staff indicated that it notified Hennepin County of the City's interest in the parcel, due to its value due to its location to the existing City - owned wetland, and requested it be withheld from sale consideration so the City could confirm its interest and pursue acquisition. If the parcel is purchased by the City of Mound, the lot can be used for any public use. Staff also clarified that the property on the east side of the tax forfeit parcel is road right of way. • Page 2 -1707- 2415 Wilshire Boulevard Mound, MN 55364 (952)472-0604 Memorandum To: Honorable Mayor and City Council From: Sarah Smith, Comm. Dev. Director Date: May 5, 2019 Re: Evaluation of Acquisition of Tax Forfeit Parcel Described as PID No. 24-117-24- 44-0128 for Consistency with 2030 Mound Comprehensive Plan as Required by Minnesota Statutes 462.356 Summary PID No. 24-117-24-44-0128 is a tax forfeit lot owned by Hennepin County and was requested to be withheld from a future Adjacent Owner (AO) sale so the City of Mound could consider possible acquisition. Hennepin County notified the City of Mound on July 22, 2019 regarding the proposed cost for the City to acquire the parcel. The undeveloped property is approximately 0.15 acres and is located north of the intersection of Aberdeen Road and Tuxedo Boulevard in the part of Mound commonly referred to as "the Island." The subject parcel, which abuts road ROW, is immediately adjacent to a large, City -owned wetland and includes very sloped terrain that slopes downward from the road to the wetland. Staff is recommendingthe City of Mound acquire the parcel due to benefits to the community as follows: • Provides land which could be dedicated to offset any wetland disruptions to support downtown or other community initiatives. Having assets in play will help respond to restrictions likely to increase over time. • Parcel is located in vicinity of area designated as parks/open space. Parcel is located adjacent to Type E Shoreline (wetlands, wildlife area, beaches, boat landings and transient docks. No leased dock sites.) Determination that Proposed Property Acquisition is Consistent with Comprehensive Plan Minnesota Statutes 462.356 requires that the Planning Commission and City Council review and make findings related to a proposed acquisition or disposal of publically-owned property. Please be advised that the Planning Commission and City Council's evaluation is to the 2030 Comprehensive Plan as that is the City's current plan at this time. Staff Recommendation Pursuant to Minnesota Statutes 462.356, Subd. 2, Staff recommended that the Planning Commission recommend to the City Council that the proposed acquisition/purchase of the tax forfeit parcel identified as PID No. 24-117-24-44-0128 is consistent with the 2030 Mound Comprehensive Plan. Staff's recommendation was based on the following findings of fact: -1706- CITY OF MOUND Payments Current Period: September 2019 Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX Invoice 0239670 8292019 Cash Payment E 609-49750-265 Freight FREIGHT Invoice 0239670 8292019 Transaction Date 9/42019 Wells Fargo 10100 Refer 332 WINE COMPANY _ Cash Payment E 609-49750-253 Wine For Resale WINE Invoice 116938 8222019 Invoice 00064571 8222019 Cash Payment E 609-49750-265 Freight FREIGHT Invoice 116938 8222019 Cash Payment E 609-49750-253 Wine For Resale WINE Invoice 117616 8292019 Cash Payment E 609-49750-265 Freight FREIGHT Invoice 117616 8292019 Transaction Date 9/42019 Wells Fargo 10100 Refer 334 WINE MERCHANTS _ Cash Payment E 609-49750-253 Wine For Resale WINE Invoice 7248690 8212019 Cash Payment E 609-49750-253 Wine For Resale WINE Invoice 7249646 8282019 Transaction Date 9/42019 Wells Fargo 10100 Refer 333 WINEBOW _ Cash Payment E 609-49750-253 Wine For Resale WINE Invoice 00064571 8222019 WINE Cash Payment E 609-49750-265 Freight FREIGHT Invoice 00064571 8222019 Cash Payment Transaction Date 9/52019 Wells Fargo 10100 Total Total 09/05/19 11:02 AM Page 7 $133.33 $2.50 $497.46 $428.00 $8.25 $144.00 $4.20 $584.45 $232.00 $1,354.00 Total $1,586.00 Total Refer 335 Z WINES USA LLC _ Cash Payment E 609-49750-253 Wine For Resale WINE Invoice 22667 8282019 Cash Payment E 609-49750-265 Freight FREIGHT Invoice 22667 8282019 Transaction Date 9/42019 Wells Fargo 10100 Total Fund Summary 10100 Wells Fargo 609 MUNICIPAL LIQUOR FUND $106,901.33 $106,901.33 Pre -Written Checks $0.00 Checks to be Generated by the Computer $106,901.33 Total $106,901.33 -1705- $448.00 $4.50 $452.50 $364.00 $10.00 $374.00 CITY OF MOUND Payments Current Period: September 2019 Refer 327 SOUTHERN WINE & SPIRITS OF M _ Cash Payment E 609-49750-253 Wine For Resale WINE Invoice 1857442 8222019 Invoice 0239207 Cash Payment E 609-49750-251 Liquor For Resale LIQUOR Invoice 1857441 8222019 Cash Payment Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX Invoice 1857440 8222019 Cash Payment E 609-49750-253 Wine For Resale WINE CREDIT Invoice 0051195PU 8292019 Transaction Date 9/42019 Wells Fargo Refer 326 SOUTHERN WINE & SPIRITS OF M _ Cash Payment E 609-49750-253 Wine For Resale WINE Invoice 1860123 8292019 Invoice 0239207 Cash Payment E 609-49750-251 Liquor For Resale LIQUOR Invoice 1860126 8292019 Cash Payment Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX Invoice 1860124 8292019 Cash Payment E 609-49750-253 Wine For Resale WINE Invoice 1860123 8292019 Transaction Date 9/42019 Wells Fargo Refer 328 STEEL TOE BREWING, LLC Cash Payment E 609-49750-252 Beer For Resale Invoice 29522 8272019 Transaction Date 9/52019 10100 10100 BEER Wells Fargo 10100 Refer 329 SUMMER LAKES BEVERAGE LLC _ Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX Invoice 601 8272019 Transaction Date 9/52019 Wells Fargo Refer 331 VINOCOPIA, INCORPORATED Cash Payment E 609-49750-253 Wine For Resale Invoice 0239207 8222019 Cash Payment E 609-49750-265 Freight Invoice 0239207 8222019 Cash Payment E 609-49750-251 Liquor For Resale Invoice 0239206 8222019 Cash Payment E 609-49750-265 Freight Invoice 0239206 8222019 Transaction Date 9/42019 Refer 330 VINOCOPIA, INCORPORATED Cash Payment E 609-49750-251 Liquor For Resale Invoice 0239668 8292019 Cash Payment E 609-49750-265 Freight Invoice 0239668 8292019 Cash Payment E 609-49750-253 Wine For Resale Invoice 0239669 8292019 Cash Payment E 609-49750-265 Freight Invoice 0239669 8292019 10100 Total 09/05/19 11:02 AM Page 6 $1,425.13 $5,015.56 $23.00 -$112.00 $6,351.69 $2,724.50 $6,827.98 $120.00 $1,470.00 Total $11,142.48 $123.00 Total $123.00 $345.00 Total $345.00 WINE $216.00 FREIGHT $5.00 LIQUOR $40.00 FREIGHT $2.50 Wells Fargo 10100 Total LIQUOR FREIGHT WINE FREIGHT -1704- $263.50 $282.13 $5.00 $72.00 $2.50 Cash Payment E 609-49750-265 Freight Invoice 35524 8/82019 Cash Payment E 609-49750-265 Freight Invoice 35524 8/152019 Transaction Date 9/42019 CITY OF MOUND 09/05/1911: 02 AM Page 5 Payments Current Period: September 2019 DELIVERY SVC 8-08-19 $394.40 DELIVERY SVC 8-15-19 $236.35 Wells Fargo 10100 Total Refer 321 MINNEHAHA BUILDING MAINTENA _ Cash Payment E 609-49750-440 Other Contractual Servic WASH WINDOWS INSIDE & OUT 7-22-19 Invoice 180138162 8/112019 WINE Transaction Date 9/42019 Wells Fargo 10100 Total Refer 322 MOUND, CITY OF _ Cash Payment E 609-49750-382 Water Utilities WATER SERVICE 7-2-19 THRU 8-2-19 HWS Invoice 091019 8202019 8262019 Transaction Date 9/42019 Wells Fargo 10100 Total Refer 323 PAUSTIS AND SONS WINE COMPA _ Cash Payment E 609-49750-253 Wine For Resale WINE Invoice 61688 8262019 Cash Payment E 609-49750-265 Freight FREIGHT Invoice 61688 8262019 Cash Payment E 609-49750-253 Wine For Resale WINE Invoice 62357 9/22019 Cash Payment E 609-49750-265 Freight FREIGHT Invoice 62357 9/22019 Transaction Date 9/42019 Wells Fargo Refer 324 PHILLIPS WINE AND SPIRITS, INC _ Cash Payment E 609-49750-251 Liquor For Resale LIQUOR Invoice 2608474 8212019 Cash Payment E 609-49750-253 Wine For Resale WINE Invoice 2608475 8212019 Cash Payment E 609-49750-253 Wine For Resale WINE Invoice 2612251 8282019 Cash Payment E 609-49750-251 Liquor For Resale LIQUOR Invoice 2612250 8282019 Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX Invoice 2612252 8282019 Transaction Date 9/42019 Wells Fargo Refer 325 SHAMROCK GROUP, INC. _ Cash Payment E 609-49750-255 Misc Merchandise For R ICE Invoice 2409382 8212019 Cash Payment E 609-49750-255 Misc Merchandise For R ICE Invoice 2410442 8242019 Cash Payment E 609-49750-255 Misc Merchandise For R ICE Invoice 2411940 8282019 Cash Payment E 609-49750-255 Misc Merchandise For R ICE Invoice 2413000 8/312019 Cash Payment E 609-49750-255 Misc Merchandise For R ICE Invoice 2414410 9/42019 Transaction Date 9/42019 Wells Fargo -1703- 10100 10100 10100 Total Total $948.30 $65.19 $65.19 $63.94 $63.94 $140.00 $4.50 $206.17 $4.50 $355.17 $147.65 $563.75 $1,176.75 $606.10 $72.00 $2,566.25 $172.05 $209.19 $97.74 $53.52 $57.97 Total $590.47 CITY OF MOUND Payments Current Period: September 2019 Cash Payment E 609-49750-252 Beer For Resale BEER Invoice 3006579 8292019 Cash Payment E 609-49750-252 Beer For Resale BEER Invoice 3006578 8292019 Transaction Date 9/42019 Wells Fargo Refer 317 JOHNSON BROTHERS LIQUOR Cash Payment E 609-49750-251 Liquor For Resale Invoice 1365999 8212019 Cash Payment E 609-49750-253 Wine For Resale Invoice 1365998 8212019 Cash Payment E 609-49750-251 Liquor For Resale Invoice 1365997 8212019 Cash Payment E 609-49750-253 Wine For Resale Invoice 1366000 8212019 Cash Payment E 609-49750-251 Liquor For Resale Invoice 1369430 8262019 Cash Payment E 609-49750-253 Wine For Resale Invoice 1369431 8262019 Transaction Date 9/42019 LIQUOR WINE LIQUOR WINE LIQUOR WINE Wells Fargo 10100 10100 Total Total Refer 318 JOHNSON BROTHERS LIQUOR _ Cash Payment E 609-49750-251 Liquor For Resale LIQUOR Invoice 1372407 8282019 Transaction Date Cash Payment E 609-49750-253 Wine For Resale WINE Invoice 1372408 8282019 Cash Payment E 609-49750-251 Liquor For Resale LIQUOR Invoice 1372410 8282019 Cash Payment E 609-49750-253 Wine For Resale WINE Invoice 1372409 8282019 Cash Payment E 609-49750-253 Wine For Resale WINE CREDIT Invoice 562445 8/192019 Transaction Date 9/42019 Wells Fargo 10100 Total Refer 337 LIBATION PROJECT Cash Payment E 609-49750-252 Beer For Resale Invoice 24355 9/42019 Cash Payment E 609-49750-265 Freight Invoice 24355 9/42019 Transaction Date 9/52019 BEER FREIGHT Wells Fargo 10100 Total Refer 319 LUPULIN BREWING COMPANY _ Cash Payment E 609-49750-252 Beer For Resale BEER Invoice 23349 8292019 Cash Payment E 609-49750-252 Beer For Resale BEER Invoice 23349 8292019 Cash Payment E 609-49750-252 Beer For Resale BEER Invoice 23349 8292019 Transaction Date 9/42019 Wells Fargo 10100 Total Refer 320 MARLIN S TRUCKING DELIVERY Cash Payment E 609-49750-265 Freight Invoice 35524 8/12019 DELIVERY SVC 8-01-19 -1702- 09/05/19 11:02 AM Page 4 $55.35 $3,308.15 $3,363.50 $3,059.20 $1,503.05 $4,009.62 $935.45 $423.30 $690.96 $10,621.58 $6,539.50 $1,589.75 $1,000.00 $400.80 -$13.33 $9,516.72 $256.00 $3.00 $259.00 $230.00 $0.00 $0.00 $230.00 $317.55 CITY OF MOUND 09/05/1911: 02 AM Page 3 Payments Current Period: September 2019 Cash Payment E 609-49750-252 Beer For Resale BEER $144.10 Invoice 7114792 9/42019 Cash Payment E 609-49750-252 Beer For Resale BEER $4,805.45 Invoice 7114793 9/42019 Transaction Date 9/42019 Wells Fargo 10100 Total $4,949.55 Refer 308 CAPITOL BEVERAGE SALES, L.P. _ Cash Payment E 609-49750-252 Beer For Resale BEER $4,491.22 Invoice 7114756 8272019 Cash Payment E 609-49750-252 Beer For Resale BEER $140.60 Invoice 7114757 8272019 Transaction Date 9/42019 Wells Fargo 10100 Total $4,631.82 Refer 310 CLEAR RIVER BEVERAGE CO. _ Cash Payment E 609-49750-252 Beer For Resale BEER $231.76 Invoice 21074244 8292019 Transaction Date 9/42019 Wells Fargo 10100 Total $231.76 Refer 311 DAHLHEIMER BEVERAGE LLC _ Cash Payment E 609-49750-252 Beer For Resale BEER $1,056.86 Invoice 123-1948 8272019 Cash Payment E 609-49750-252 Beer For Resale BEER $52.00 Invoice 123-1949 8272019 Transaction Date 9/42019 Wells Fargo 10100 Total $1,108.86 Refer 312 ENKI BREWING COMPANY _ Cash Payment E 609-49750-252 Beer For Resale BEER $68.25 Invoice 10810 8202019 Transaction Date 9/52019 Wells Fargo 10100 Total $68.25 Refer 313 HOHENSTEINS, INCORPORATED _ Cash Payment E 609-49750-252 Beer For Resale BEER $969.80 Invoice 158654 8222019 Cash Payment E 609-49750-252 Beer For Resale BEER $2,399.55 Invoice 159930 8292019 Transaction Date 9/42019 Wells Fargo 10100 Total $3,369.35 Refer 314 INBOUND BREWCO _ Cash Payment E 609-49750-252 Beer For Resale BEER $92.00 Invoice 4989 8222019 Cash Payment E 609-49750-252 Beer For Resale BEER $777.00 Invoice 5036 8272019 Cash Payment E 609-49750-252 Beer For Resale BEER CREDIT -$134.95 Invoice 249 8282019 Transaction Date 9/52019 Wells Fargo 10100 Total $734.05 Refer 315 JJ TAYLOR. DISTRIBUTING MINN _ Cash Payment E 609-49750-252 Beer For Resale BEER $123.30 Invoice 3006545 8222019 Cash Payment E 609-49750-252 Beer For Resale BEER $2,878.95 Invoice 3006544 8222019 Transaction Date 9/42019 Wells Fargo 10100 Total $3,002.25 Refer 316 JJ TAYLOR. DISTRIBUTING MINN _ - 1701 - CITY OF MOUND Payments Current Period: September 2019 Cash Payment E 609-49750-251 Liquor For Resale Invoice 0080458700 9/42019 Cash Payment E 609-49750-265 Freight Invoice 0080458700 9/42019 Transaction Date 9/42019 Refer 304 BERNICKS BEVERAGES AND VEN Cash Payment E 609-49750-252 Beer For Resale Invoice 525902 8212019 Cash Payment E 609-49750-252 Beer For Resale Invoice 527558 8282019 Cash Payment E 609-49750-252 Beer For Resale Invoice 528216 8292019 Transaction Date 9/42019 LIQUOR FREIGHT Wells Fargo 10100 BEER BEER BEER Wells Fargo Refer 305 BREAKTHRU BEVERAGE MN BEE _ Cash Payment E 609-49750-252 Beer For Resale BEER Invoice 1091044302 8212019 Cash Payment E 609-49750-252 Beer For Resale BEER Invoice 1091044303 8212019 Cash Payment E 609-49750-252 Beer For Resale BEER Invoice 1091048100 8282019 Cash Payment E 609-49750-252 Beer For Resale BEER Invoice 1091050942 9/42019 Cash Payment E 609-49750-252 Beer For Resale BEER Invoice 1091050943 9/42019 Transaction Date 9/42019 Wells Fargo 10100 10100 Refer 307 BREAKTHRU BEVERAGE MN WINE _ Cash Payment E 609-49750-253 Wine For Resale WINE Invoice 1081019929 8282019 Cash Payment E 609-49750-251 Liquor For Resale LIQUOR Invoice 1081019928 8282019 Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX Invoice 1081019930 8282019 Cash Payment E 609-49750-253 Wine For Resale WINE CREDIT Invoice 2080247675 8262019 Cash Payment E 609-49750-251 Liquor For Resale LIQUOR Invoice 1081014360 8/152019 Transaction Date 9/42019 Wells Fargo 10100 Refer 306 BREAKTHRU BEVERAGE MN WINE _ Cash Payment E 609-49750-251 Liquor For Resale LIQUOR CREDIT Invoice 1081006868 -CR 7/312019 Cash Payment E 609-49750-253 Wine For Resale WINE Invoice 1081016797 8212019 Cash Payment E 609-49750-251 Liquor For Resale LIQUOR Invoice 1081016796 8212019 Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX Invoice 1081016798 8212019 Transaction Date 9/42019 Wells Fargo 10100 Refer 309 CAPITOL BEVERAGE SALES, L.P. - 1700 - Total 09/05/19 11:02 AM Page 2 $1,621.20 $18.60 $1,796.80 $748.50 $847.08 $296.00 $1,891.58 $8,014.55 $162.40 $11,425.30 $1,123.93 $72.00 Total $20,798.18 Total Total $764.00 $2,893.05 $81.94 $201.53 $105.00 $4,045.52 -$52.00 $1,056.00 $2,488.69 $22.00 $3,514.69 CITY OF MOUND 09/05/1911: 02 AM Page 1 Payments Current Period: September 2019 Batch Name 091019HWS User Dollar Amt $106,901.33 Payments Computer Dollar Amt $106,901.33 $0.00 In Balance Refer 300 AM CRAFT SPIRITS, INC. _ Cash Payment E 609-49750-253 Wine For Resale LIQUOR $94.64 Invoice 9590 8272019 Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX $37.33 Invoice 9590 8272019 Transaction Date 9/42019 Wells Fargo 10100 Total $131.97 Refer 301 ARTISAN BEER COMPANY _ Cash Payment E 609-49750-252 Beer For Resale BEER $639.00 Invoice 3369467 8292019 Cash Payment E 609-49750-252 Beer For Resale BEER $451.70 Invoice 3367892 8222019 Cash Payment E 609-49750-252 Beer For Resale BEER $80.00 Invoice 3364824 8/82019 Transaction Date 9/42019 Wells Fargo 10100 Total $1,170.70 Refer 302 BELLBOY CORPORATION _ Cash Payment E 609-49750-210 Operating Supplies SUPPLIES, BAGS $151.60 Invoice 0100023400 8212019 Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX $17.00 Invoice 0100023400 8212019 Cash Payment E 609-49750-255 Misc Merchandise For R MDSE- CHAMPAGNE FLUTES $87.00 Invoice 0100023400 8212019 Cash Payment E 609-49750-210 Operating Supplies SUPPLIES- 6 PK GLOSS WHITE $10.40 Invoice 0100081400 8/302019 Transaction Date 9/42019 Wells Fargo 10100 Total $266.00 Refer 303 BELLBOY CORPORATION _ Cash Payment E 609-49750-265 Freight FREIGHT $16.40 Invoice 0080436300 8/302019 Cash Payment E 609-49750-251 Liquor For Resale LIQUOR $937.00 Invoice 0080436300 8/302019 Cash Payment E 609-49750-265 Freight FREIGHT $26.35 Invoice 0080378400 8282019 Cash Payment E 609-49750-251 Liquor For Resale LIQUOR $2,155.10 Invoice 0080378400 8282019 Cash Payment E 609-49750-251 Liquor For Resale LIQUOR $1,733.31 Invoice 0080278500 8212019 Cash Payment E 609-49750-265 Freight FREIGHT $21.64 Invoice 0080278500 8212019 Transaction Date 9/42019 Wells Fargo 10100 Total $4,889.80 Refer 336 BELLBOY CORPORATION _ Cash Payment E 609-49750-210 Operating Supplies SUPPLIES, BAGS $25.00 Invoice 010008600 9/42019 Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX $132.00 Invoice 010008600 9/42019 -1699- Batch Name 091019CITY2 Payments CITY OF MOUND Payments Current Period: September 2019 User Dollar Amt $176.12 Computer Dollar Amt $176.12 Refer 340 TRUE VALUE HWS Cash Payment E 609-49750-210 Operating Supplies Invoice 162340 8/52019 Cash Payment E 609-49750-210 Operating Supplies Invoice 162340 8/52019 Transaction Date 9/52019 Refer 341 TRUE VALUE MOUND (FIRE) Cash Payment E 222-42260-210 Operating Supplies Invoice 162604 8/162019 Cash Payment E 222-42260-210 Operating Supplies Invoice 162628 8/172019 Cash Payment E 222-42260-500 Capital Outlay FA Invoice 162634 8/172019 $0.00 In Balance Refer 339 JUBILEE FOODS _ Cash Payment E 101-41310-430 Miscellaneous STAFF BBQ- AUG 21ST- HOT DOG BUN: Invoice 083119 8212019 9/52019 Cash Payment E 101-41310-430 Miscellaneous STAFF BBQ- AUG 21ST- CELERY SALT Invoice 083119 8212019 $65.25 Cash Payment E 609-49750-255 Misc Merchandise For R LIMES & LEMONS FOR RESALE- HWS Invoice 083119 8/102019 Cash Payment E 222-42260-431 Meeting Expense WAFTA MTG- 8-8-19 COOKIES, SODA Invoice 083119 8/82019 Transaction Date 9/52019 Wells Fargo 10100 Refer 340 TRUE VALUE HWS Cash Payment E 609-49750-210 Operating Supplies Invoice 162340 8/52019 Cash Payment E 609-49750-210 Operating Supplies Invoice 162340 8/52019 Transaction Date 9/52019 Refer 341 TRUE VALUE MOUND (FIRE) Cash Payment E 222-42260-210 Operating Supplies Invoice 162604 8/162019 Cash Payment E 222-42260-210 Operating Supplies Invoice 162628 8/172019 Cash Payment E 222-42260-500 Capital Outlay FA Invoice 162634 8/172019 Cash Payment E 222-42260-210 Operating Supplies Invoice 162643 8/172019 Cash Payment E 222-42260-210 Operating Supplies Invoice 162705 8202019 Transaction Date 9/52019 Fund Summary 101 GENERAL FUND 222 AREA FIRE SERVICES 609 MUNICIPAL LIQUOR FUND BOWL CLEANER, WINDEX, 3 PK CLEAR TAPE- HWS TORXSCREWDRIVER- HWS Wells Fargo 10100 09/05/19 11:51 AM Page 1 $8.00 $5.59 $36.50 $19.46 Total $69.55 $35.08 $6.24 Total $41.32 LSU SHELF PAINT- 12 OZ WHITE GLOSS $3.86 ROPE BINDING HK LOCK- FIRE DEPT $16.52 COMPRESSION FILL STATION- ALMOND $25.80 PAINT, 9" CAULK GUN, 1" CLAMP CONNECTOR, SCREWS, NUTS,- AFG 2017 GRANT FIRE DEPT SCREWS, NUTS, BOLTS $2.90 BAR & CHAIN OIL- FIRE DEPT $16.17 Wells Fargo 10100 Total $65.25 10100 Wells Fargo $13.59 $84.71 $77.82 $176.12 Pre -Written Checks $0.00 Checks to be Generated by the Computer $176.12 Total $176.12 ••: CITY OF MOUND Payments Current Period: September 2019 Cash Payment E 101-45200-220 Repair/Maint Supply Invoice 921752 8/152019 Cash Payment E 101-45200-220 Repair/Maint Supply Invoice 922295 8212019 Transaction Date 9/42019 STIHL VAR & CHAIN, FILE GUIDE, FILE SOFT GRIP MARKING WAND- PARKS GUIDE BAR- CHAIN SAW- PARKS Wells Fargo 10100 Total Refer 133 WASTE MANAGEMENT OF WI -MN Cash Payment E 101-41930-384 Refuse/Garbage Dispose GARBAGE SVC SEPT 2019- CITY HALL & 10100 Wells Fargo FIRE DEPT Invoice 7294175-1593-3 8292019 222 AREA FIRE SERVICES Cash Payment E 222-42260-384 Refuse/Garbage Dispose GARBAGE SVC SEPT 2019- CITY HALL & 281 COMMONS DOCKS FUND FIRE DEPT Invoice 7294175-1593-3 8292019 $28,941.00 Cash Payment E 101-45200-384 Refuse/Garbage Dispose GARBAGE SVC SEPT 2019- PARKS Invoice 7294176-1593-1 8292019 601 WATER FUND Cash Payment E 602-49450-384 Refuse/Garbage Dispose GARBAGE SVC SEPT 2019- PUB WKS BLDG Invoice 7294177-1593-9 8292019 Project 19-3 Transaction Date 9/42019 Wells Fargo 10100 Total Refer 132 XCEL ENERGY _ Cash Payment E 101-43100-381 Electric Utilities SHORELINE -COMMERCE STREET LIGHTS 7- 25-19 THRU 8-25-19 Invoice 651289598 8262019 Cash Payment E 602-49450-381 Electric Utilities ELECTRIC SVC 7-25-19 THRU 8-25-19 CARLOW RD LIFT STATION Invoice 651181096 8262019 Cash Payment E 602-49450-381 Electric Utilities ELECTRIC SVC 7-25-19 THRU 8-25-19 1871 COMMERCE BLVD LIFT STATION Invoice 651321600 8262019 Transaction Date 9/42019 Wells Fargo 10100 Total Fund Summary 10100 Wells Fargo 101 GENERAL FUND $144,342.61 222 AREA FIRE SERVICES $80,117.19 281 COMMONS DOCKS FUND $664.74 403 CAP REPLAC-VEHICLES & EQUIP $28,941.00 405 CAP REPLAC-CITY BUILDINGS $569.07 601 WATER FUND $3,422.71 602 SEWER FUND $87,980.43 609 MUNICIPAL LIQUOR FUND $363.83 670 RECYCLING FUND $14,494.95 $360,896.53 Pre -Written Checks $0.00 Checks to be Generated by the Computer $360,896.53 Total $360,896.53 -1697- 09/05/19 11:03 AM Page 6 $96.28 $29.95 $311.22 $108.10 $108.10 $634.85 $112.86 $963.91 $36.92 $78.45 $107.14 $222.51 CITY OF MOUND Payments Current Period: September 2019 Cash Payment E 101-45200-232 Landscape Material BRUSH DROP OFF- 6 CUBIC YARDS- 8-29-19 Invoice 104027582 8292019 Transaction Date 9/42019 Wells Fargo 10100 Total Refer 124 NELSON ELECTRIC MOTOR REPAI _ Cash Payment E 602-49450-440 Other Contractual Servic REPLACE IMPELLAR & WEAR RING @ B-2 HIGHLAND LIFT STATION Invoice 9033 8262019 Cash Payment E 602-49450-440 Other Contractual Servic REPLACE DIALER @ P-1 LIFT STATION Invoice 9032 8232019 Transaction Date 9/42019 Wells Fargo 10100 Total Refer 125 OFFICE DEPOT (FIRE) Cash Payment E 222-42260-200 Office Supplies Invoice 366800185001 8212019 PO 24967 Transaction Date 9/42019 Refer 126 REPUBLIC SERVICES CASE- COPY PAPER, RED POCKET FOLDERS, 9 X 12 ENVELOPES, TAPE- FIRE DEPT Wells Fargo 10100 Total Cash Payment E 670-49500-440 Other Contractual Servic AUGUST 2019 CITYWIDE RECYCLING SVC Invoice 0894-004980708 8252019 Transaction Date 9/42019 Wells Fargo 10100 Total Refer 127 SUNBURST CHEMICALS, INC. _ Cash Payment E 222-42260-210 Operating Supplies FORCE CLEANER- FIRE DEPT Invoice 0441459 8282019 Transaction Date 9/42019 Wells Fargo 10100 Total Refer 128 TAYLOR ELECTRIC COMPANY _ Cash Payment E 602-49450-500 Capital Outlay FA INSTALL & WIRE NEW GENERTOR DEVON LN LIFT STATION Invoice 1395 8272019 Project PW1905 Cash Payment E 602-49450-404 Machinery/Equip Repairs REPLACE TRANSFER SWITCH, FURNISH & INSTALL NEW 70 AMP 3 POLE BREAKER CARLOW RD LIFT STATION Invoice 1396 8272019 Transaction Date 9/42019 Wells Faroo 10100 Total Refer 129 TRI TECH DISPENSING _ Cash Payment E 222-42260-409 Other Equipment Repair REPLACE START CAPACITOR ON FIRE DEPT COMPRESSOR Invoice 56946 8272019 Transaction Date 9/42019 Wells Fargo 10100 Refer 130 UHL COMPANY _ Cash Payment E 101-41910-400 Repairs & Maintenance REPAIR LEAK ON ROOF NEXT TO DOOR HATCH @ CENTENNIAL BLDG Invoice 16645 8232019 Transaction Date 9/42019 Wells Fargo 10100 09/05/19 11:03 AM Page 5 $10.00 $148.00 $2,155.00 $250.00 $2,405.00 $74.71 $74.71 $14,494.95 $14,494.95 $170.38 $170.38 $2,744.57 $1,030.95 $3,775.52 $317.50 Total $317.50 $2,101.53 Total Refer 131 UNITED FARMERS COOPERATIVE _ Cash Payment E 101-45200-218 Clothing and Uniforms 2019 BOOT ALLOWANCE- T. PALM- PARKS Invoice 922295 8212019 -1696- $2,101.53 $184.99 CITY OF MOUND 09/05/1911: 03 AM Page 4 Payments Current Period: September 2019 Cash Payment E 602-49450-440 Other Contractual Servic MECHANIC SVCS- AUGUST 2019- TRUCK $637.50 #119, #1604. ADJUST FLEET MTCE SCHEDULE FOR 2020 Invoice 2351 8/152019 Project 19-5 Cash Payment E 602-49450-440 Other Contractual Servic MECHANIC SVCS- AUGUST 2019- #216- $680.00 BOBCAT TOOLCAT, BAYWOOD SHORES GENERATOR Invoice 2351 8202019 Project 19-5 Cash Payment E 602-49450-440 Other Contractual Servic MECHANIC SVCS- AUGUST 2019- TYMCO $595.00 #304, ORDER FILTERS FOR GAS GENERATORS, CLEAN SHOP BAY Invoice 2351 8222019 Project 19-5 Cash Payment E 602-49450-440 Other Contractual Servic MECHANIC SVCS- AUGUST 2019- TRUCK $680.00 #219, COMMERCE & SINCLAIR GENERATORS, Invoice 2351 8272019 Project 19-5 Cash Payment E 602-49450-440 Other Contractual Servic MECHANIC SVCS- AUGUST 2019- S250 $255.00 BOBCAT, TRUCK #316 Invoice 2351 8292019 Project 19-5 Transaction Date 9/42019 Wells Fargo 10100 Total $6,162.50 Refer 121 MINNESOTA ELEVATOR, INCORP _ Cash Payment E 101-41910-440 Other Contractual Servic AUGUST 2019- MONTHLY SVCE- $120.00 CENTENNIAL BLDG ELEVATOR Invoice 815960 8/302019 Transaction Date 9/42019 Wells Fargo 10100 Total $120.00 Refer 123 MINT ROOFING, INC. _ Cash Payment E 609-49750-400 Repairs & Maintenance REPAIR ROOF LEAK INTO COOLERS HWS $363.83 Invoice 1010357 8292019 Transaction Date 9/42019 Wells Fargo 10100 Total $363.83 Refer 122 MOUND FIRE RELIEF ASSOCIATIO _ Cash Payment E 222-42260-124 Fire Pens Contrib SEPTEMBER 2019 - FIRE RELIEF PENSION $10,750.00 CONTRIBUTION Invoice 091019 9/12019 Transaction Date 9/42019 Wells Fargo 10100 Total $10,750.00 Refer 134 MULCH STORE, THE _ Cash Payment E 601-49400-224 Street Maint Materials BRUSH DROP OFF- 6 CUBIC YARDS- 8-22-19 $10.00 Invoice 104027078 8222019 Cash Payment E 601-49400-224 Street Maint Materials BRUSH DROP OFF- 6 CUBIC YARDS- 8-22-19 $10.00 Invoice 104027105 8222019 Cash Payment E 601-49400-224 Street Maint Materials BRUSH DROP OFF- 6 CUBIC YARDS- 8-22-19 $10.00 Invoice 104027129 8222019 Cash Payment E 601-49400-224 Street Maint Materials LOGS DROP OFF- 3 CUBIC YARDS- 8-27-19 $24.00 Invoice 104027420 8272019 Cash Payment E 101-45200-232 Landscape Material LOGS DROP OFF- 2.5 CUBIC YARDS- 8-27-19 $20.00 Invoice 104027428 8272019 Cash Payment E 101-45200-232 Landscape Material BRUSH DROP OFF- 6 CUBIC YARDS- 8-29-19 $10.00 Invoice 104027558 8292019 Cash Payment E 101-45200-232 Landscape Material GARDEN BLEND DIRT/MULCH PICK UP- 3 $54.00 TY- 8-30-19 Invoice 104027630 8/302019 -1695- CITY OF MOUND Payments Current Period: September 2019 09/05/19 11:03 AM Page 3 Cash Payment E 602-49450-395 Gopher One -Call AUGUST 2019 LOCATES $76.27 Invoice 9080607 8/312019 Transaction Date 9/42019 Wells Fargo 10100 Total $152.55 Refer 116 GRAINGER _ Cash Payment E 601-49400-210 Operating Supplies WELL HOUSE BARRIERS $52.24 Invoice 9258622001 9/82019 Transaction Date 9/42019 Wells Fargo 10100 Total $52.24 Refer 117 HENNEPIN COUNTYASSESSORS _ Cash Payment E 101-41550-440 Other Contractual Servic 8/12018 THRU 7/31/2019 CONTRACTED $119,000.00 ASSESSMENT SVCS- 2019 ASSESSMENT Invoice 1000135458 8222019 Transaction Date 9/42019 Wells Fargo 10100 Total $119,000.00 Refer 118 HOME DEPOT/GECF (PW _ Cash Payment E 602-49450-210 Operating Supplies 5 QTY 5 GAL BUCKETS, PAINT MARKING $95.58 WANDS- 2, EXECUTIVE MEASURING WHEEL- SEWER DEPT Invoice 1024131 8202019 Transaction Date 9/42019 Wells Fargo 10100 Total $95.58 Refer 338 MAYER LUMBER COMPANY, INCO _ Cash Payment E 405-45200-500 Capital Outlay FA SCHERVEN PARK FENCE- CEDAR SPLIT $569.07 RAILS 10'- 30QTY, 4 SPLIT RAIL CORNER POSTS, 3 SPLIT RAIL LINE POSTS Invoice 173850 8/82019 Transaction Date 9/52019 Wells Fargo 10100 Total $569.07 Refer 119 METROPOLITAN COUNCIL WASTE _ Cash Payment E 602-49450-388 Waste Disposal-MCIS WASTEWATER SVCS OCTOBER 2019 $74,270.98 Invoice 9/52019 Transaction Date 9/42019 Wells Fargo 10100 Total $74,270.98 Refer 120 MIDWEST SERVICES _ Cash Payment E 602-49450-440 Other Contractual Servic MECHANIC SVCS- AUGUST 2019- ARBOR LN $680.00 & WATERSIDE GENERATORS, TYMCO SWEEPER Invoice 2351 9/42019 Project 19-5 Cash Payment E 602-49450-440 Other Contractual Servic MECHANIC SVCS- AUGUST 2019- BOBCAT T- $637.50 190, TRUCKS #515, #218, Invoice 2351 8/12019 Project 19-5 Cash Payment E 602-49450-440 Other Contractual Servic MECHANIC SVCS- AUGUST 2019- TRUCK $680.00 #1604, GLEN ELYN, GRANDVIEW & SUMACH GENERATORS, Invoice 2351 8/62019 Project 19-5 Cash Payment E 602-49450-440 Other Contractual Servic MECHANIC SVCS- AUGUST 2019- $637.50 INVENTORY MGMT, RE -ORGANIZE SHELVES, REMOVE OBSOLETE PARTS, FILE PAPERWORK, INSTALL NEW OIL DRUM & HOOK UP TO BARREL PUMP, ASSIST W/ LEAF VACUUM TRAILER ASSEMBLY Invoice 2351 8/82019 Project 19-5 Cash Payment E 602-49450-440 Other Contractual Servic MECHANIC SVCS- AUGUST 2019- TRUCK $680.00 #412, TYMCO #304 Invoice 2351 8/132019 Project 19-5 -1694- CITY OF MOUND Payments Current Period: September 2019 Cash Payment E 222-42260-500 Capital Outlay FA REVOLVE AIR CHARGE STATION W/ BASE, SMART FILL & SCUBA ADAPTER; HUSH 6000 PSI AIR COMPRESSOR & INSTALLATION - REIMS BY AFG-FEMA Invoice 184121 8/192019 Transaction Date 9/42019 Wells Fargo 10100 Total Refer 110 CORE & MAIN LP Cash Payment E 601-49400-210 Operating Supplies Invoice L052559 8/192019 Cash Payment E 601-49400-210 Operating Supplies Invoice L066510 8212019 Transaction Date 9/42019 WATER METER PARTS- 16 QTY IPERL SMART MODE METERS WATER METER PARTS- 8 QTY IPERL SMART MODE METERS Wells Fargo 10100 Total Refer 111 EGAN COMPANIES _ Cash Payment E 281-45210-440 Other Contractual Servic DOCK LIGHTING PART 11 Invoice JC10194461 8262019 E 101-43100-220 Repair/Maint Supply Cash Payment E 101-43100-400 Repairs & Maintenance STREET LIGHT REPAIRS- INSTALL LIGHT Invoice 15491 POLE & FIXTURE KNOCKED DOWN NEAR 2620 COMMERCE BLVD- INSURANCE CLAIM Transaction Date FILED Invoice JC10194461 8262019 $137.42 Transaction Date 9/42019 Wells Farao 10100 Total 09/05/19 11:03 AM Page 2 $68,230.00 $68,230.00 $2,175.94 $1,054.88 $3,230.82 $664.74 $14,530.25 $15,194.99 Refer 112 ENVIRONMENTAL EQUIPMENT AN _ Cash Payment E 101-43100-220 Repair/Maint Supply RELIEF VALVE TYMCO STREETS SWEEPER $137.42 Invoice 15491 8212019 Transaction Date 9/42019 Wells Fargo 10100 Total $137.42 Refer 113 FIRE EQUIPMENT SPECIALTIES, 1 _ Cash Payment E 222-42260-219 Safety supplies 6- CUSTOM 6" LEATHER FIREFIGHTER $316.50 HELMET FRONTS Invoice 10411 8222019 Transaction Date 9/42019 Wells Farqo 10100 Total $316.50 Refer 114 FIVE TECHNOLOGY _ Cash Payment E 101-41920-440 Other Contractual Servic MONTHLY MANAGED SVC & NETWORK MTCE- SEPTEMBER 2019 Invoice 10919-17 9/12019 Transaction Date 9/42019 Wells Fargo 10100 Total Refer 115 FRONTIERICITIZENS COMMUNICA _ Cash Payment E 222-42260-321 Telephone, Cells, & Radi NETWORK ETHERNET SVC 8-20-19 THRU 9- 20-19 Invoice 091019 8222019 Cash Payment E 101-41920-321 Telephone, Cells, & Radi NETWORK ETHERNET SVC 8-20-19 THRU 9- 20-19 Invoice 091019 8222019 Transaction Date 9/42019 Wells Fargo 10100 Total Refer 136 GOPHER STATE ONE CALL, INC _ Cash Payment E 601-49400-395 Gopher One -Call AUGUST 2019 LOCATES Invoice 9080607 8/312019 -1693- $1,290.00 $1,290.00 $150.00 $175.00 $325.00 $76.28 CITY OF MOUND Payments Current Period: September 2019 Batch Name 091019CITY User Dollar Amt Payments Computer Dollar Amt $360,896.53 $360,896.53 $0.00 In Balance 09/05/19 11:03 AM Page 1 Refer 105 ABM EQUIPMENT AND SUPPLY, IN _ Cash Payment E 101-43100-404 Machinery/Equip Repairs REPAIR TRUCK#504 STREETS- REPLACE $5,264.56 LEAKING HOSES AT BOOM, REPAIR LATCH ON BODY PASS Invoice 0160961 8262019 Transaction Date 9/42019 Wells Fargo 10100 Total $5,264.56 Refer 106 AMERICAN MESSAGING _ Cash Payment E 602-49450-321 Telephone, Cells, & Radi REPLACEMENT PAGER & MESSAGING SVC- $9.37 PUBLIC WORKS Invoice D2062026TI 9/12019 Cash Payment E 601-49400-321 Telephone, Cells, & Radi REPLACEMENT PAGER & MESSAGING SVC- $9.37 PUBLIC WORKS Invoice D2062026TI 9/12019 Cash Payment E 101-43100-321 Telephone, Cells, & Radi REPLACEMENT PAGER & MESSAGING SVC- $9.38 PUBLIC WORKS Invoice D2062026TI 9/12019 Cash Payment E 101-45200-321 Telephone, Cells, & Radi REPLACEMENT PAGER & MESSAGING SVC- $9.38 PUBLIC WORKS Invoice D2062026TI 9/12019 Transaction Date 9/42019 Wells Fargo 10100 Total $37.50 Refer 107 ASPEN EQUIPMENT _ Cash Payment E 403-45200-500 Capital Outlay FA HENDERSON DUMP BODY BUILDOUT- NEW $28,941.00 2019 PARKS TRUCK Invoice 10207259 8292019 PO 24869 Transaction Date 9/42019 Wells Fargo 10100 Total $28,941.00 Refer 108 AUTOMATIC SYSTEMS COMPANY _ Cash Payment E 602-49450-220 Repair/Maint Supply TVSS-REPLACEMENT PART FOR K-1 LIFT $886.76 STATION Invoice 33631 8/192019 Transaction Date 9/42019 Wells Fargo 10100 Total $886.76 Refer 135 BENIEK PROPERTY SVCS INC. Cash Payment E 101-49999-300 Professional Srvs Invoice 152951 9/12019 Cash Payment E 101-49999-300 Professional Srvs Invoice 152951 9/12019 Cash Payment E 101-49999-300 Professional Srvs Invoice 152951 9/12019 Cash Payment E 101-49999-300 Professional Srvs Invoice 152951 9/12019 Transaction Date 9/42019 Refer 109 CLAREY S SAFETY EQUIPMENT, 1 FORCED MOWING & TRIMMING @ 4959 $70.00 LESLIE RD 7-31-19 FORCED MOWING & TRIMMING @ 2024 $70.00 SYCAMORE LN 7-31-19 FORCED MOWING & TRIMMING @ 4893 $70.00 EDGEWATER DR 8-21-19 FIELD MOWING W/ABET TRACTOR @ 6639 $310.00 BARTLETT BLVD 7-17-19 & 7-24-19 Wells Fargo 10100 Total $520.00 -1692- Batch Name 090519CTYMAN Payments CITY OF MOUND Payments Current Period: September 2019 User Dollar Amt $555.16 Computer Dollar Amt $555.16 Refer 342 CARQUEST AUTO PARTS (FIRE Cash Payment E 222-42260-210 Operating Supplies Invoice 358723 7282019 Cash Payment E 222-42260-210 Operating Supplies Invoice 359374 8/42019 Cash Payment E 222-42260-210 Operating Supplies Invoice 355977 6292019 Transaction Date 9/52019 Refer 343 CARQUEST OF NAVARRE (PW Cash Payment E 602-49450-210 Operating Supplies Invoice 356198 7/22019 Cash Payment E 601-49400-210 Operating Supplies Invoice 357479 7/162019 Cash Payment E 601-49400-220 Repair/Maint Supply Invoice 357512 7/162019 Cash Payment E 602-49450-210 Operating Supplies Invoice 356389 7/92019 Cash Payment E 101-43100-220 Repair/Maint Supply Invoice 357510 7/162019 Cash Payment E 101-43100-220 Repair/Maint Supply Invoice 358281 7242019 Cash Payment E 602-49450-210 Operating Supplies Invoice 358471 7252019 Cash Payment E 602-49450-210 Operating Supplies Invoice 358503 7252019 Cash Payment E 602-49450-210 Operating Supplies Invoice 358877 7/302019 Cash Payment E 602-49450-210 Operating Supplies Invoice 359016 7/312019 Transaction Date 9/52019 $0.00 In Balance MINI BUFFING SYSTEM- FIRE DEPT CREDIT RETURN MINI BUFFING SYSTEM - FIRE DEPT RAIN CAP- FIRE TRUCK Wells Fargo 10100 Total LUBE & FUEL TRUCK#1604 OIL FILTER TRUCK#316 2 BRAKE PAD SETS- FLAT CERAMIC, PAINTED ROTORS, TRUCK#316 AIR FILTERS- SHOP Project 19-3 BLACK TRUCK LEATHER SWC TRAILER ADAPTER- STREETS DEPT VEHICLE OIL FILTERS- SHOP Project 19-3 FUEL FILTERS, WIPER BLADES- SHOP Project 19-3 LUBE, FUEL -SHOP Project 19-3 REFRIGERANT, AC HOSE W/ GAUGE Project 19-3 Wells Fargo 10100 Total Fund Summary 10100 Wells Fargo 101 GENERAL FUND $37.38 222 AREA FIRE SERVICES $10.39 601 WATER FUND $347.59 602 SEWER FUND $159.80 $555.16 Pre -Written Checks $0.00 Checks to be Generated by the Computer $555.16 Total $555.16 - 1691 - 09/05/19 11:48 AM Page 1 $26.64 -$26.64 $10.39 $10.39 $17.15 $3.15 $344.44 $12.25 $18.39 $18.99 $32.83 $57.20 $10.85 $29.52 $544.77 CITY OF MOUND Payments Current Period: September 2019 Cash Payment E 601-49400-438 Licenses and Taxes REIMBURSE CDL PERMIT FEE T. SORENSEN Invoice 090419 9/42019 Transaction Date 9/42019 Due 0 Wells Fargo 10100 Total Refer 1 THORESEN, TOM Ck# 059318 9/42019 Cash Payment G 101-23150 New Construction Escrow NEW CONSTRUCTION LANDSCAPE ESCROW REFUND- 4547 ISLAND VIEW DR - T. THORESEN Invoice 090419 9/42019 Transaction Date 9/42019 Due 0 Wells Fargo 10100 Total Refer 2 TUSSING, MARK Ck# 059319 9/42019 Cash Payment G 101-23150 New Construction Escrow NEW CONSTRUCTION ESCROW REFUND - 6195 SINCLAIR RD- M. TUSSING Invoice 090419 9/42019 Transaction Date 9/42019 Due 0 Wells Fargo 10100 Total Fund Summary 609 MUNICIPAL LIQUOR FUND 602 SEWER FUND 601 WATER FUND 281 COMMONS DOCKS FUND 222 AREA FIRE SERVICES 101 GENERAL FUND 10100 Wells Fargo $44.16 $4,113.26 $13.00 $45.82 $125.63 $11,232.14 $15,574.01 Pre -Written Checks $15,574.01 Checks to be Generated by the Computer $0.00 Total $15,574.01 -1690- 09/05/19 11:01 AM Page 3 $13.00 $13.00 $5,000.00 $5,000.00 $5,000.00 $5,000.00 CITY OF MOUND Payments Current Period: September 2019 Cash Payment E 602-49450-500 Capital Outlay FA 4783 ISLAND VIEW DR 2019 DEVPON LIFT STATION GENERATOR-FERNSIDE FORCEMAIN IMPROV PROJ PW 19-05 Invoice 091019 8232019 Project PW1905 Transaction Date 9/42019 Due 0 Wells Fargo 10100 Total Refer 8 CENTERPOINT ENERGY Cash Payment E 101-41930-383 Gas Utilities Invoice 091019-2 8/152019 Cash Payment E 222-42260-383 Gas Utilities Invoice 091019-2 8/152019 Cash Payment E 101-45200-383 Gas Utilities Invoice 091019-2 8/152019 Cash Payment E 101-41910-383 Gas Utilities Invoice 091019-2 8/152019 Cash Payment E 602-49450-383 Gas Utilities Invoice 091019-2 8/152019 Cash Payment E 609-49750-383 Gas Utilities Invoice 091019-2 8/152019 Cash Payment E 101-45200-383 Gas Utilities Invoice 091019-2 8/152019 Transaction Date 9/42019 Ck# 059313 9/42019 GAS SVC 6-21-19 TO 7-22-19 GAS SVC 6-21-19 TO 7-22-19 GAS SVC 6-21-19 TO 7-22-19 GAS SVC 6-21-19 TO 7-22-19 GAS SVC 6-21-19 TO 7-22-19 Project 19-3 GAS SVC 6-21-19 TO 7-22-19 [HGF4.9RH:bi d Fl [�ibYdi F)! �] � Al t:l � �Z5 Due 0 Wells Fargo 10100 Total 09/05/19 11:01 AM Page 2 $3,297.00 $3,655.21 $510.75 $125.63 $152.30 $125.63 $197.30 $44.16 $68.46 $1,224.23 Refer 3 KIVISTO, SCOTT Ck# 059314 9/42019 Cash Payment E 602-49450-321 Telephone, Cells, & Radi REIMBURSE- S. KIVISTO VERIZON CHARGE $10.75 $125.00 TO TRANSFER DATA ON CITY ISSUED SEPT 25 2019 WACONIA MN- M. RADDE Invoice 090419 PHONE Invoice 090419 9/42019 E 602-49450-434 Conference & Training REGISTRATION FEE- OPERATOR EXPO Transaction Date 9/42019 Due 0 Wells Fargo 10100 Total $10.75 Refer 5 MILLER, MICHAEL Ck# 059315 9/42019 Cash Payment E 281-45210-331 Use of personal auto REIMS MILEAGE- DOCK INSPECTIONS- M. $45.82 $125.00 MILLER- 7-30-19 THRU 8-29-19 SEPT 25 2019 WACONIA MN- F. HEITZ Invoice 090419 9/42019 9/32019 Transaction Date 9/42019 Due 0 Wells Fargo 10100 Total $45.82 Refer 6 MINNESOTA RURAL WATER ASSO Ck# 059316 9/42019 Cash Payment E 602-49450-434 Conference & Training REGISTRATION FEE- OPERATOR EXPO $125.00 SEPT 25 2019 WACONIA MN- M. RADDE Invoice 090419 9/32019 Cash Payment E 602-49450-434 Conference & Training REGISTRATION FEE- OPERATOR EXPO $125.00 SEPT 25 2019 WACONIA MN- M. TESSEN Invoice 090419 9/32019 Cash Payment E 101-43100-434 Conference & Training REGISTRATION FEE- OPERATOR EXPO $125.00 SEPT 25 2019 WACONIA MN- F. HEITZ Invoice 090419 9/32019 Cash Payment E 101-43100-434 Conference & Training REGISTRATION FEE- OPERATOR EXPO $125.00 SEPT 25 2019 WACONIA MN- S. PEDERSON Invoice 090419 9/32019 Cash Payment E 101-43100-434 Conference & Training REGISTRATION FEE- OPERATOR EXPO $125.00 SEPT 25 2019 WACONIA MN- T. SORENSEN Invoice 090419 9/32019 Transaction Date 9/42019 Due 0 Wells Fargo 10100 Total $625.00 Refer 4 SORENSEN, TANNER Ck# 059317 9/42019 - 1689 - CITY OF MOUND Payments Current Period: September 2019 Batch Name 090419CTYMAN Payment Computer Dollar Amt $15,574.01 Posted Refer 7 CENTERPOINT ENERGY (MINNEG Ck# 059313 9/42019 Cash Payment E 602-49450-383 Gas Utilities 4948 BARTLETT LS E2 GENERATOR NATL GAS SVC 7-20-19 THRU 8-20-19 Invoice 091019 8232019 Cash Payment E 602-49450-383 Gas Utilities 1717 BAYWOOD SHORES DR. LS GENERATOR NATL GAS SVC 7-20-19 THRU 8-20-19 Invoice 091019 8232019 Cash Payment E 602-49450-383 Gas Utilities Invoice 091019 8232019 Cash Payment E 602-49450-383 Gas Utilities Invoice 091019 8232019 Cash Payment E 602-49450-383 Gas Utilities Invoice 091019 8232019 Cash Payment E 602-49450-383 Gas Utilities Invoice 091019 8232019 Cash Payment E 602-49450-383 Gas Utilities Invoice 091019 8232019 Cash Payment E 602-49450-383 Gas Utilities Invoice 091019 8232019 Cash Payment E 602-49450-383 Gas Utilities Invoice 091019 8232019 Cash Payment E 602-49450-383 Gas Utilities Invoice 091019 8232019 Cash Payment E 602-49450-383 Gas Utilities Invoice 091019 8232019 Cash Payment E 602-49450-383 Gas Utilities Invoice 091019 8232019 Cash Payment E 602-49450-383 Gas Utilities Invoice 091019 8232019 Cash Payment E 602-49450-383 Gas Utilities Invoice 091019 8232019 Cash Payment E 602-49450-383 Gas Utilities Invoice 091019 8232019 Cash Payment E 602-49450-383 Gas Utilities Invoice 091019 8232019 4728 CARLOW RD LS GENERATOR NATL GAS SVC 7-20-19 THRU 8-20-19 1871 COMMERCE BLVD NEW LIFT STATION GENERATOR NATL GAS SVC 7-20-19 THRU 8-20-19 2649 EMERALD DR. LS E3 GENERATOR NATL GAS SVC 7-20-19 THRU 8-20-19 5808 GRANDVIEW BLVD LS GENERATOR NATL GAS SVC 7-20-19 THRU 8-20-19 2990 HIGHLAND BLVD LS B1 GENERATOR NATL GAS SVC 7-20-19 THRU 8-20-19 5260 LYNWOOD BLVD. LS GENERATOR NATL GAS SVC 7-20-19 THRU 8-20-19 4791 NORTHERN RD LS D1 GENERATOR NATL GAS SVC 7-20-19 THRU 8-20-19 1972 SHOREWOOD LN LS GENERATOR NATL GAS SVC 7-20-19 THRU 8-20-19 3172 SINCLAIR RD LS GENERATOR NATL GAS SVC 7-20-19 THRU 8-20-19 1758 SUMACH LANE LS GENERATOR NATL GAS SVC 7-20-19 THRU 8-20-19 4922 THREE PTS BLVD LS GENERATOR NATL GAS SVC 7-20-19 THRU 8-20-19 3303 WATERBURY RD LS GAS SVC 7-20-19 THRU 8-20-19 5077 WINDSOR RD LS GENERATOR NATL GAS SVC 7-20-19 THRU 8-20-19 4783 ISLAND VIEW DR LS GENERATOR NATL GAS SVC 7-20-19 THRU 8-20-19 •:: 09/05/19 11:01 AM Page 1 $31.38 $20.92 $24.06 $18.79 $23.00 $20.38 $20.38 $19.86 $20.38 $18.79 $20.92 $26.70 $20.38 $20.38 $20.92 $30.97 Fund Summary 101 GENERAL FUND 601 WATER FUND 602 SEWER FUND 609 MUNICIPAL LIQUOR FUND CITY OF MOUND Payments Current Period: September 2019 10100 Wells Fargo $342.64 $171.16 $162.58 $188.96 Pre -Written Checks $0.00 Checks to be Generated by the Computer $865.34 Total $865.34 $865.34 -1687- 09/05/19 12:19 PM Page 3 CITY OF MOUND Payments Current Period: September 2019 Cash Payment E 601-49400-210 Operating Supplies Invoice 0900499347 8/72019 Cash Payment E 101-43100-210 Operating Supplies Invoice 0900499347 8/72019 Transaction Date 9/52019 Refer 402 UNIFIRST CORPORATION Cash Payment E 602-49450-210 Operating Supplies Invoice 0900500724 8/142019 Cash Payment E 101-45200-210 Operating Supplies Invoice 0900500724 8/142019 Cash Payment E 601-49400-210 Operating Supplies Invoice 0900500724 8/142019 Cash Payment E 101-43100-210 Operating Supplies Invoice 0900500724 8/142019 Transaction Date 9/52019 Refer 404 UNIFIRST CORPORATION MAT SVC & SHOP SUPPLIES- PUBLIC WORKS 8-07-19 MAT SVC & SHOP SUPPLIES- PUBLIC WORKS 8-07-19 Wells Fargo 10100 09/05/19 12:19 PM Page 2 $17.25 $17.26 Total $69.03 MAT SVC & SHOP SUPPLIES- PUBLIC $45.72 WORKS 8-14-19 MAT SVC & SHOP SUPPLIES- PUBLIC $45.72 WORKS 8-14-19 MAT SVC & SHOP SUPPLIES- PUBLIC $45.73 WORKS 8-14-19 MAT SVC & SHOP SUPPLIES- PUBLIC $45.72 WORKS 8-14-19 Wells Fargo 10100 Total $182.89 Cash Payment E 101-43100-218 Clothing and Uniforms UNIFORM SVC PUBLIC WORKS 8-07-19 Invoice 0900499317 8/72019 UNIFORM SVC PUBLIC WORKS 8-14-19 Cash Payment E 101-45200-218 Clothing and Uniforms UNIFORM SVC PUBLIC WORKS 8-07-19 Invoice 0900499317 8/72019 UNIFORM SVC PUBLIC WORKS 8-14-19 Cash Payment E 602-49450-218 Clothing and Uniforms UNIFORM SVC PUBLIC WORKS 8-07-19 Invoice 0900499317 8/72019 UNIFORM SVC PUBLIC WORKS 8-14-19 Cash Payment E 601-49400-218 Clothing and Uniforms UNIFORM SVC PUBLIC WORKS 8-07-19 Invoice 0900499317 8/72019 UNIFORM SVC PUBLIC WORKS 8-14-19 Transaction Date 9/52019 Wells Fargo 10100 Refer 405 UNIFIRST CORPORATION _ Cash Payment E 101-43100-218 Clothing and Uniforms UNIFORM SVC PUBLIC WORKS 8-14-19 Invoice 0900500691 8/142019 Cash Payment E 101-45200-218 Clothing and Uniforms UNIFORM SVC PUBLIC WORKS 8-14-19 Invoice 0900500691 8/142019 Cash Payment E 602-49450-218 Clothing and Uniforms UNIFORM SVC PUBLIC WORKS 8-14-19 Invoice 0900500691 8/142019 Cash Payment E 601-49400-218 Clothing and Uniforms UNIFORM SVC PUBLIC WORKS 8-14-19 Invoice 0900500691 8/142019 Transaction Date 9/52019 Wells Fargo 10100 •:• $25.94 $20.33 $18.35 $20.33 Total $84.95 $25.94 $20.33 $18.35 $20.33 Total $84.95 Batch Name 0819UNIFIRST Payments CITY OF MOUND Payments Current Period: September 2019 User Dollar Amt $865.34 Computer Dollar Amt $865.34 Refer 400 UNIFIRST CORPORATION Cash Payment E 609-49750-210 Operating Supplies Invoice 0900499348 8/72019 Cash Payment E 609-49750-210 Operating Supplies Invoice 0900500725 8/142019 Cash Payment E 609-49750-210 Operating Supplies Invoice 0900502143 8212019 Cash Payment E 609-49750-210 Operating Supplies Invoice 0900503524 8282019 Transaction Date 9/52019 $0.00 In Balance MATS & CLEANING SUPPLIES- HWS- TERRYCLOTHS, MOPS, WIPERS- 8-07-19 MATS & CLEANING SUPPLIES- HWS- TERRYCLOTHS, MOPS, WIPERS- 8-14-19 MATS & CLEANING SUPPLIES- HWS- TERRYCLOTHS, MOPS, WIPERS- 8-21-19 MATS & CLEANING SUPPLIES- HWS- TERRYCLOTHS, MOPS, WIPERS- 8-28-19 Wells Fargo 10100 Total Refer 406 UNIFIRST CORPORATION _ Cash Payment E 602-49450-218 Clothing and Uniforms UNIFORM SVC PUBLIC WORKS 8-21-19 Invoice 0900502114 8212019 $38.93 Cash Payment E 601-49400-218 Clothing and Uniforms UNIFORM SVC PUBLIC WORKS 8-21-19 Invoice 0900502114 8212019 $38.94 Cash Payment E 101-43100-218 Clothing and Uniforms UNIFORM SVC PUBLIC WORKS 8-21-19 Invoice 0900502114 8212019 $38.94 Cash Payment E 101-45200-218 Clothing and Uniforms UNIFORM SVC PUBLIC WORKS 8-21-19 Invoice 0900502114 8212019 Transaction Date 9/52019 Wells Fargo 10100 Refer 403 UNIFIRST CORPORATION Cash Payment E 602-49450-210 Operating Supplies Invoice 0900502142 8212019 Cash Payment E 101-45200-210 Operating Supplies Invoice 0900502142 8212019 Cash Payment E 601-49400-210 Operating Supplies Invoice 0900502142 8212019 Cash Payment E 101-43100-210 Operating Supplies Invoice 0900502142 8212019 Transaction Date 9/52019 Refer 401 UNIFIRST CORPORATION Total 09/05/19 12:19 PM Page 1 $65.82 $27.51 $35.27 $60.36 $188.96 $23.96 $28.58 $25.94 $20.33 $98.81 MAT SVC & SHOP SUPPLIES- PUBLIC $38.94 WORKS 8-21-19 MAT SVC & SHOP SUPPLIES- PUBLIC $38.93 WORKS 8-21-19 MAT SVC & SHOP SUPPLIES- PUBLIC $38.94 WORKS 8-21-19 MAT SVC & SHOP SUPPLIES- PUBLIC $38.94 WORKS 8-21-19 Wells Fargo 10100 Total $155.75 Cash Payment E 602-49450-210 Operating Supplies MAT SVC & SHOP SUPPLIES- PUBLIC $17.26 WORKS 8-07-19 Invoice 0900499347 8/72019 Cash Payment E 101-45200-210 Operating Supplies MAT SVC & SHOP SUPPLIES- PUBLIC $17.26 WORKS 8-07-19 Invoice 0900499347 8/72019 -1685- CITY OF MOUND 09/05/1911: 02 AM Page 3 Payments Current Period: September 2019 Fund Summary 10100 Wells Fargo 101 GENERAL FUND $1,771.17 401 GENERAL CAPITAL PROJECTS $11,462.00 404 COMMUNITY INVESTMENT RESERVE $2,816.00 427 SEAL COAT FUND $1,028.00 601 WATER FUND $5,365.66 602 SEWER FUND $14,328.16 675 STORM WATER UTILITY FUND $416.50 $37,187.49 Pre -Written Checks $0.00 Checks to be Generated bythe Computer $37,187.49 Total $37,187.49 � CITY OF MOUND Payments Current Period: September 2019 Cash Payment E 601-49400-300 Professional Srvs Invoice 0237257 7/312019 Cash Payment E 101-43100-300 Professional Srvs Invoice 0237251 7/312019 Cash Payment E 601-49400-300 Professional Srvs Invoice 0237251 7/312019 Cash Payment E 602-49450-300 Professional Srvs Invoice 0237251 7/312019 Cash Payment E 675-49425-300 Professional Srvs Invoice 0237251 7/312019 Transaction Date 9/42019 Refer 204 BOLTON AND MENK INCORPORA Cash Payment E 404-45200-303 Engineering Fees Invoice 0237253 7/312019 Cash Payment E 401-43119-303 Engineering Fees Invoice 0237244 7/312019 Cash Payment E 601-49400-500 Capital Outlay FA Invoice 0237246 7/312019 Cash Payment E 602-49450-500 Capital Outlay FA WATER WELLHEAD PROTECTION PLAN ENGINEERING SVCS JUNE 15, THRU JULY 122019 GIS UPDATES ENG SVC JUNE 15, THRU JULY 12 2019 GIS UPDATES ENG SVC JUNE 15, THRU JULY 12 2019 GIS UPDATES ENG SVC JUNE 15, THRU JULY 12 2019 GIS UPDATES ENG SVC JUNE 15, THRU JULY 12 2019 Wells Fargo 10100 Total 09/05/19 11:02 AM Page 2 $744.00 $302.50 $302.50 $302.50 $302.50 $1,954.00 2019 SWENSON PARK TENNIS COURT $2,816.00 IMPROV PROJ PW1906- ENG SVCS JUNE 15, THRU JULY 12 2019 Project PW1906 2019 STREET & UTILITY IMPROV PROJ- $6,177.00 SHERWOOD DR- PW 19-01 ENG SVCS JUNE 15, THRU JULY 12 2019 Project PW1901 2019 COMMERCE BLVD WATERMAIN $2,975.50 REPLACE PROJ PW 19-04 - ENG SVCS JUNE 15, THRU JULY 12 2019 Project PW1904 2019 SANITARY SEWER FERNSIDE $3,869.00 FORCEMAIN PROJ PW 19-05 - ENG SVCS JUNE 15, THRU JULY 12 2019 Invoice 0237248 7/312019 Project PW1905 Transaction Date 9/42019 Due 12/312018 Wells Fargo 10100 Total Refer 205 BOLTON AND MENK, INCORPORA _ Cash Payment E 427-43121-300 Professional Srvs 2019 CRACK & SEAL COAT IMPROV PROJ Invoice 0237242 7/312019 Cash Payment E 602-49450-500 Capital Outlay FA Invoice 0237243 7/312019 Cash Payment E 602-49450-500 Capital Outlay FA PW 19-07 ENG SVCS JUNE 15 THRU JULY 122019 Project PW1907 2019 MANHOLE REHAB PROJ PW 19 -09 - ENG SVCS JUNE 15, THRU JULY 12 2019 Project PW1909 2019 BAYRIDGE SEWER IMPROV PROJ PW 19-11 - ENG SVCS JUNE 15, THRU JULY 12 2019 Invoice 0237245 7/312019 Transaction Date 9/42019 Due 12/312018 Wells Fargo -1683- Project PW1911 10100 Total $15,837.50 $1,028.00 $3,851.00 $4,514.00 $9,393.00 CITY OF MOUND Payments Current Period: September 2019 Batch Name BOLTMNK19#7 User Dollar Amt $37,187.49 Payments Computer Dollar Amt $37,187.49 $0.00 In Balance Refer 200 BOLTON AND MENK INCORPORA _ Cash Payment E 401-43117-303 Engineering Fees Invoice 0237235 7/312019 Cash Payment E 401-43137-303 Engineering Fees Invoice 0237237 7/312019 Cash Payment E 401-43147-303 Engineering Fees Invoice 0237236 7/312019 Cash Payment E 675-49425-300 Professional Srvs Invoice 0237254 7/312019 Transaction Date 9/42019 Refer 201 BOLTON AND MENK, INCORPORA Cash Payment E 101-43100-300 Professional Srvs Invoice 0237250 7/312019 Cash Payment E 602-49450-300 Professional Srvs Invoice 0237250 7/312019 Cash Payment E 601-49400-300 Professional Srvs Invoice 0237250 7/312019 Cash Payment E 401-43118-303 Engineering Fees Invoice 0237241 7/312019 Cash Payment E 602-49450-500 Capital Outlay FA Invoice 0237239 7/312019 Cash Payment E 602-49450-500 Capital Outlay FA Invoice 0237240 7/312019 Transaction Date 9/42019 Refer 202 BOLTON AND MENK, INCORPORA Cash Payment E 101-42400-300 Professional Srvs Invoice 0237238 7/312019 Transaction Date 9/42019 Refer 203 BOLTON AND MENK, INCORPORA 2017 LYNWOOD BLVD STREET IMPROV PROJ PW 17-01 ENG SVCS JUNE 15, THRU JULY 12 2019 Project PW1701 2017 WILSHIRE/MAYWOOD STREET IMPROV PROJ PW 17-02 ENG SVCS JUNE 15, THRU JULY 12 2019 Project PW1702 2017 TUXEDO BLVD PHASE III STREET IMPROV PROJ PW 17-03 ENG SVCS JUNE 15, THRU JULY 12 2019 Project PW1703 WCA ADMINISTRATION STORMWATER SVCS JUNE 15, THRU JULY 12 2019 Wells Fargo 10100 Total 09/05/19 11:02 AM Page 1 $110.00 $510.00 $110.00 $114.00 $844.00 GENERAL ENGINEERING SVCS JUNE 15, $1,343.67 THRU JULY 12 2019 GENERAL ENGINEERING SVCS JUNE 15, $1,343.66 THRU JULY 12 2019 GENERAL ENGINEERING SVCS JUNE 15, $1,343.66 THRU JULY 12 2019 2018 WESTEDGE BLVD ST IMPROV PROJ $4,555.00 PW 18-01 ENG SVCS JUNE 15, THRU JULY 122019 Project PW1801 2018 SHOREWOOD LIFT STATION $118.00 REPLACEMENT PROJ PW 18-03 ENG SVCS JUNE 15, THRU JULY 12 2019 Project PW1803 2018 SAN SEWER CLEAN & TELEVISE $330.00 PROJ PW 18-04- ISLAND PARK- ENG SVCS JUNE 15, THRU JULY 12 2019 Project PW1804 Wells Fargo 10100 Total $9,033.99 2018 COMPREHENSIVE PLAN UPDATE ENG $125.00 SVCS JUNE 15, THRU JULY 12 2019 Wells Fargo 10100 Total $125.00 -1682- CITY OF MOUND Payments Current Period: August 2019 Cash Payment E 101-45200-210 Operating Supplies Invoice 161557 7/52019 Cash Payment E 101-45200-232 Landscape Material Invoice 161656 7/102019 Cash Payment E 101-45200-232 Landscape Material Invoice 161660 7/102019 Cash Payment E 602-49450-210 Operating Supplies Invoice 161680 7/102019 CLEAR SILICONE GLUE, SCREWS, NUTS, BOLTS 1/4 X 50 BLK POLY TUBING -ROLL, 3 PK FULL CIRCULATING BUBBLER 1LB FLOWERNEG PLANT FOOD HAND SOFTSOAP- PUBLIC WORKS SHOP Project 19-3 Transaction Date 8222019 Due 0 Wells Fargo 10100 Total Refer 810 TRUE VALUE, MOUND (PW PKS) Cash Payment E 101-45200-210 Operating Supplies Invoice 161593 7/82019 Cash Payment E 101-45200-210 Operating Supplies Invoice 161624 7/92019 Cash Payment E 101-45200-220 Repair/Maint Supply Invoice 161629 7/92019 Cash Payment E 101-45200-210 Operating Supplies Invoice 161548 7/52019 Cash Payment E 101-45200-220 Repair/Maint Supply Invoice 161516 7/32019 Cash Payment E 101-45200-210 Operating Supplies Invoice 161480 7/22019 Cash Payment E 101-45200-210 Operating Supplies Invoice 161475 7/22019 Cash Payment E 101-45200-210 Operating Supplies Invoice 161458 7/12019 09/05/19 11:00 AM Page 3 $5.75 $10.78 $7.19 $2.06 $135.11 Ck# 059233 8/27/2019 128 OZ BLEACH, A-JAX DETERGENT, 80 PR $27.69 FOAM EAR PLUGS KEYS- DUPLICATES- PARKS- 15 OZ $8.97 CLEANER/POLISH BIT, SCREWS, NUTS, BOLTS $10.51 128 OZ BLEACH, SCREWS, NUTS, BOLTS $3.27 12 OZ SAT WINE PAINT- 2 QTY $5.98 100'16 GA GALVANIZED WIRE $6.74 1 GALLON WEED B GONE WAND- CARLSON $12.99 PARK GALLON CONCENTRATED CLEANER, 320Z $22.17 HANDISPRAYER Transaction Date 8222019 Due 0 Wells Fargo Fund Summary 10100 Wells Fargo 609 MUNICIPAL LIQUOR FUND $36.52 602 SEWER FUND $21.38 601 WATER FUND $201.37 101 GENERAL FUND $673.92 $933.19 Pre -Written Checks $933.19 Checks to be Generated by the Computer $0.00 Total $933.19 - 1681 - 10100 Total $98.32 CITY OF MOUND Payments Current Period: August 2019 Cash Payment E 101-43100-220 Repair/Maint Supply Invoice 161520 7/32019 Cash Payment E 101-43100-220 Repair/Maint Supply Invoice 161494 7/22019 Cash Payment E 101-43100-210 Operating Supplies Invoice 161850 7/172019 9 I 1 FOLD UP HEX KEY SNAP LINKS 96" 60W FLUORESCENT TUBE BULBS- QTY 3 Transaction Date 8222019 Due 0 Wells Fargo 10100 Total Refer 808 TRUE VALUE, MOUND (PW PKS) Cash Payment E 101-45200-210 Operating Supplies Invoice 161941 7202019 Cash Payment E 101-45200-210 Operating Supplies Invoice 162213 7/302019 Cash Payment E 101-45200-220 Repair/Maint Supply Invoice 161971 7222019 Cash Payment E 101-45200-210 Operating Supplies Invoice 161881 7/182019 Cash Payment E 602-49450-210 Operating Supplies Invoice 161838 7/172019 Cash Payment E 101-45200-220 Repair/Maint Supply Invoice 161701 7/112019 Cash Payment E 101-45200-220 Repair/Maint Supply Invoice 161587 7/82019 Cash Payment E 101-45200-210 Operating Supplies Invoice 162182 7292019 Cash Payment E 101-45200-220 Repair/Maint Supply Ck# 059233 8/27/2019 4' GRIP N GRAB EXT REACH, 32" YELLOW ALUMINUM PIKSTICK GAL WEED/GRASS KILLER 540' TWIST LEVEL REEL 128 OZ BLEACH 20" WHITE BOX FAN Project 19-3 GRIND WHEEL, 60G FLAP DISCS 3 PK FULL CIRCULATING BUBLER GLASS CLEANER SPRAY SATIN STAIN, CHALKBOARD PAINT, PAINT BRUSHES, 3 PC TRAY SET, 12 CT W HITE CHALK Invoice 162172 7292019 Cash Payment E 101-45200-210 Operating Supplies GALLON SIMPLE GREEN Invoice 162117 7262019 Cash Payment E 101-45200-210 Operating Supplies 16 OZ MOTOR TUNE UP, 110 OZ 501 FUEL/OIL Invoice 162063 7242019 Transaction Date 8222019 Due 0 Wells Fargo 10100 Refer 809 TRUE VALUE, MOUND (PW PKS) Cash Payment E 101-45200-210 Operating Supplies Invoice 161904 7/182019 Cash Payment E 101-45200-210 Operating Supplies Invoice 161999 7232019 Cash Payment E 101-45200-210 Operating Supplies Invoice 161918 7/192019 Cash Payment E 101-45200-210 Operating Supplies Invoice 161843 7/172019 Cash Payment E 101-45200-210 Operating Supplies Invoice 161839 7/172019 Cash Payment E 101-45200-210 Operating Supplies Invoice 161825 7/162019 Total 09/05/19 11:00 AM Page 2 $6.74 $8.26 $25.62 $66.69 $47.68 $24.29 $12.59 $5.92 $17.09 $14.65 $5.84 $3.14 $39.23 $10.79 $30.58 $211.80 Ck# 059233 8/27/2019 2 PK 14 OZ WASP KILLER $19.98 30 OZ ROUNDUP WEEK KILLER $5.39 2 GAL PLASTIC PAIL, 4LB BLOOM BOOSTER $17.98 1" VARNISH UTILITY BRUSH, CLEAR BRUSH $23.01 ON LEAKSEAL KITCHEN/BATH CLEANER, SCREWS, NUTS, $8.79 BOLTS 2 GALLONS GROUND CLEAR $34.18 � Batch Name 082819CTYMAN Payment Refer 805 TRUE VALUE HWS CITY OF MOUND Payments Current Period: August 2019 Computer Dollar Amt $933.19 Posted Cash Payment E 609-49750-210 Operating Supplies Invoice 161632 7/92019 Transaction Date 8222019 Due 0 Wells Fargo 10100 Total Ck# 059232 8/27/2019 QUICK THICK GLUE, GALLON -LOTION SOAP NATURAL CLEANER- HWS Refer 806 TRUE VALUE, MOUND (PW PKS) Cash Payment E 601-49400-322 Postage Invoice 161506 7/32019 Cash Payment E 601-49400-210 Operating Supplies Invoice 161554 7/52019 Cash Payment E 601-49400-220 Repair/Maint Supply Invoice 161734 7/122019 Cash Payment E 601-49400-220 Repair/Maint Supply Invoice 161801 7/162019 Cash Payment E 601-49400-210 Operating Supplies Invoice 161963 7222019 Cash Payment E 601-49400-220 Repair/Maint Supply Invoice 162204 7/302019 Cash Payment E 601-49400-210 Operating Supplies Invoice 162241 7/312019 Cash Payment E 602-49450-210 Operating Supplies Invoice 161454 7/12019 Cash Payment G 101-22802 Festival Invoice 161827 7/162019 Cash Payment G 101-22802 Festival Invoice 161891 7/182019 Cash Payment G 101-22802 Festival Invoice 161841 7/172019 Cash Payment E 101-41910-210 Operating Supplies Invoice 161451 7/12019 Cash Payment E 101-43100-210 Operating Supplies Invoice 161849 7/172019 Cash Payment G 101-22802 Festival Invoice 161852 7/172019 Ck# 059233 8/27/2019 FED EX SHIPPING CHARGE- WATER DEPT TROWEL, 32 OZ HANDI SPRAYER ENAMEL GLOSS CLEAR GALLON 3" VARNISH UTILITY BRUSH, 2" PAINT BRUSH, PAINT ROLLER TRAY, 2 PK COVERS 10 PK 18" WHITE CABLE TIES, 14 QUART BUCKET ENAMEL GLOSS CLEAR GALLON STORE & POUR PAINT LID SCREWS, NUTS, BOLTS SCREWS, NUTS, BOLTS 75 PK FABRIC PINS, 17 OZ FLOURESCENT MARKING PAINT- SOTL FESTIVAL 100 PK BLADE DISPENSER, 3/4 X 60' ELECTRICIAN TAPE, 100' EXTENSION CORD- SOTL FESTIVAL GE 4 PK 9W A19 BULBS CENTENNIAL BLDG 3" X 60 YD SLIVER DUCT TAPE 17 OZ SAFE RED FLOURESCENT MARKING PAINT- SOTL FESTIVAL Transaction Date 8222019 Due 0 Wells Fargo 10100 Total Refer 807 TRUE VALUE, MOUND (PW PKS) Ck# 059233 8/27/2019 Cash Payment E 101-43100-210 Operating Supplies 1/4 X 100' WHITE POLY ROPE Invoice 161826 7/162019 Cash Payment E 101-43100-210 Operating Supplies 3/4 X 66' ELECTRICIAN TAPE Invoice 161693 7/112019 -1679- 09/05/19 11:00 AM Page 1 $36.52 $36.52 $14.25 $13.02 $40.58 $22.25 $23.37 $84.76 $3.14 $2.23 $0.99 $27.87 $101.94 $12.59 $23.38 $14.38 $384.75 $17.09 $8.98 Batch Name 081319PAYREQ Payments CITY OF MOUND Payments Current Period: August 2019 User Dollar Amt $12,204.28 Computer Dollar Amt $12,204.28 $0.00 In Balance Refer 802 FAHRNER ASPHALT SEALERS, LL _ Cash Payment E 427-43121-300 Professional Srvs PAY REQEST #1 & FINAL 2018 CRACK SEAL IMPROV PROJ- PW18-07 WORK COMPLETED JUNE 1, 2018 THRU NOV 15, 2018 Invoice 082719 7222019 Project PW1807 Transaction Date 8262019 Wells Fargo 10100 Total Refer 800 HYDRO KLEAN 08/27/19 8:35 AM Page 1 $1,210.60 $1,210.60 Cash Payment E 602-49450-500 Capital Outlay FA PAY REQUEST #2 & FINAL- 2018 MANHOLE $6,593.68 INSPECTION JETTING & TELEVISING PROJ PW 18-04- WORK COMPLETED DEC 31 2018 THRU JULY 3, 2019 Invoice 082719 7/92019 Project PW1804 Transaction Date 8262019 Wells Fargo 10100 Total $6,593.68 Refer 801 WELLENS EROSION CONTROL _ Cash Payment E 401-43116-300 Professional Srvs LANDSCAPE- TURF WARRANTY REPAIR- $1,467.00 2016 STREET PROJ- PW16-01 ADD TOPSOIL, FERTILIZE, HYDROMULCH, SEED Invoice 082719 5/102019 Project PW1601 Cash Payment E 401-43136-300 Professional Srvs LANDSCAPE- TURF WARRANTY REPAIR- $1,467.00 2016 STREET PROJ- PW16-02 ADD TOPSOIL, FERTILIZE, HYDROMULCH, SEED Invoice 082719 5/102019 Project PW1602 Cash Payment E 401-43146-300 Professional Srvs LANDSCAPE- TURF WARRANTY REPAIR- $1,466.00 2016 STREET PROJ- PW16-03 ADD TOPSOIL, FERTILIZE, HYDROMULCH, SEED Invoice 082719 5/102019 Project PW1603 Transaction Date 8262019 Wells Fargo 10100 Total $4,400.00 Fund Summary 10100 Wells Fargo 401 GENERAL CAPITAL PROJECTS $4,400.00 427 SEAL COAT FUND $1,210.60 602 SEWER FUND $6,593.68 $12,204.28 Pre -Written Checks $0.00 Checks to be Generated by the Computer $12,204.28 Total $12,204.28 -1678- City of Mound Claims 09-10-19 YEAR BATCH NAME DOLLAR AMOUNT 2019 081319PQYREQ $ 121204.28 2019 082819CTYMAN $ 933.19 2019 BOLTMNKI9#7 $ 371187.49 2019 0819 U N I F I RST $ 865.34 2019 090419CTYMAN $ 15,574.01 2019 090519CTYMAN $ 555.16 2019 091019CITY $ 360,896.53 2019 091019CITY2 $ 176.12 2019 091019HWS $ 106,901.33 TOTAL CLAIMS 11 $ 535,293.45 -1677- COUNCIL BRIEFING September 10, 2019 Upcoming Events Schedule: Don't Forget!! 10 September — 6:55 PM — HRA Regular Meeting (as may be required) 10 September — 7:00 PM — City Council Regular Meeting 24 September — 6:55 PM — HRA Regular Meeting (as may be required) 24 September — 7:00 PM — City Council Regular Meeting 8 October — 6:55 PM — HRA Regular Meeting (as may be required) 8 October — 7:00 PM — City Council Regular Meeting 15 October — 6:30 PM — City Council Special Meeting Budget Workshop 22 October — 6:55 PM — HRA Regular Meeting (as may be required) 22 October — 7:00 PM — City Council Regular Meeting 12 November - 6:55 PM — HRA Regular Meeting (as may be required) 12 November - 7:00 PM — City Council Regular Meeting 26 November - 6:55 PM — HRA Regular Meeting (as may be required) 26 November - 7:00 PM — City Council Regular Meeting 10 December - 6:55 PM — HRA Regular Meeting (as may be required) 10 December - 7:00 PM — City Council Regular Meeting (final meeting of the year) City Offices Closed 11 November— Veterans' Day City Official's Absences Please notify the City Manager in advance of an absence. Inauire 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. PLEASE TURN OFF ALL CELL PHONES & PAGERS IN COUNCIL CHAMBERS. B. Approve Resolution for Hearing on Proposed Assessment for 2018 Street, Utility 1741 and Retaining Wall Improvement Project— Westedge Boulevard — PW -18-01 7. City Engineer Brian Simmons requesting discussion and action to approve a change 1742-1744 Order in the amount of $46,960 for the 2019 Manhole Rehabilitation Project PW -19-09 8. Catherine Pausche, Director of Finance and Administrative Services, with an ** SEE overview of the 2020 Preliminary Budget and Levy and requesting action on the SEPARATE following resolutions: PACKET" A. Action on Resolution Approving a Levy not to Exceed $248,555 for the 1745 Purpose of Defraying the Cost of Operation, Pursuant to the Provisions of MSA 469, of the Housing and Redevelopment Authority of and for the City of Mound for the Year 2020 B. Action on a resolution authorizing changes to debt service levy 1746-1748 schedules and to appropriate funds in the debt service fund for bond 1747 series 2011A, 2012A, 2012B, 2016A, 2018A and 2015B C. Action on Resolution Approving the 2020 Preliminary General Fund Budget 1749-1750 in the amount of $5,619,313; Setting the Preliminary Levy at $5,993,083; and 1749 Approving the Preliminary Overall Budget for 2020 D. Mayor Salazar announcing: The 2020 Final Budget and Levy discussions and decisions will take place at the Dec 10, 2019 Regular Meeting, at 7:00 pm, in the Council Chambers. Public comments will be taken at this meeting. Comments or questions on the 2020 Budget and Levy can be directed to the Finance Director at 952-472-0633. 9. Information/Miscellaneous A. Comments/Reports from Council members B. Reports: C. D. 10. Adjourn Minutes: Correspondence: