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2017-11-14 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. MOUND CITY COUNCIL TUESDAY, NOVEMBER 14, 201'7 - 7:00 PM REGULAR MEETING MOUND CITY COUNCIL CHAMBERS *Consent A enda: Items listed under the Consent Agenda are considered routine in nature and will be enacted by a single roll call vote. There will be no separate discussion of these items unless a Council Member or Citizen so requests. In that event the item will be removed from the Consent Agenda and considered in normal sequence. 1. Opening meeting 2. Pledge of Allegiance 3. Approve agenda, with any amendments *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 dissentiM comment to any items on the Consent Agenda is invited to identify themselves and the item of concern so that the it may be removed from the Consent Agenda and considered after discussion in normal sequence. Separate introduction or further support from petitioners or requestors is not required at this time and removal of an item from the Consent Agenda for this purpose is not required or appropriate. 4. *Consent Aged page *A. Approve payment of claims 3062-3095 *B. Approve Re -appointments to Commissions (note application/interviews for 3096-3097 new commissioners will be processed in January): 1) Planning Commission a. Phil Velsor (Reappt) 3 -year term through 2020 b. Jason Baker (Reappt) 3 -year term through 2020 c. Cindy Penner (Reappt) 3 -year term through 2020 2) Docks & Commons Commission a. Jim Funk, Non -Abutter (Reappt) 3 -year term through 2020 3) Parks & Open Space Commission a. Travis Mills (Reappt) 3 -year term through 2020 b. Jody Smith (Reappt) 3 -year term through 2020 *C. Approve Jay Green as City of Mound representative to the Lake Minnetonka 3098-3099 Conservation District: 1 -year term through 2018 PLEASE TURN OFF ALL CELL PHONES & PAGERS IN COUNCIL CHAMBERS. *D. Approve Resolution Approving the Comprehensive Plan Amendment to 3100-3104 Re -guide the Property at 4873 Shoreline Drive from Medium Density 3101 Residential to Low Density Residential and Putting the Comprehensive Plan Amendment into Effect *E. Approve Pay Request No. 7 from Park Construction in the amount of 3105-3106 $379,608.08 for the 2017 Street, Utility and Retaining Wall Improvement Project; City Project Nos. PW -17-01, PW -17-02, PW -17-03, PW -17-04 *F. Approve Project -related Payment, 2016 Street, Utility, and Retaining Wall 3107-3111 Improvement Project - Tuxedo Blvd PII to Assured Asphalt in the amount of $2,235.00; City Project No. PW -16-02 *G. Approve Pay Request No. 4 & Final from Pember Companies Inc. in 3112-3113 the amount of $25,051.33 for the 2016 Lift Station Improvement Project, City Project No. PW -16-05 *H. Approve Pay Request No. 2 from Barber Construction Inc. in the amount of 3114-3115 $138,744.27 for the 2017 Retaining Wall Improvement Project, City Project No. PW -17-04 *I. Approve Change Order No. 3 for the 2017 Street, Utility and retaining 3116-3123 Wall Improvement Project in the amount of $38,311.54, 3117 City Project No. PW -17-01 5. Comments and suggestions from citizens present on any item not on the agenda. (Limit to 3 minutes per speaker.) 6. Public Hearing Consideration of establishing an infrastructure replacement reserve fund authorized 3124-3130 under Minn. Stat. § 471.572 Requested Action: Approve resolution establishing infrastructure replacement reserve fund pursuant to 3129 & 3130 Minnesota Statutes, Section 471.572 7. Field Officer Stewart Simon requesting action on an Ordinance amending Chapter 14 3131-3156 of the Mound City Code as it relates to Animals 3141 (ord) Field Officer Stewart Simon requesting action on a Resolution to Allow for 3157 Publication of Ordinance No. -2017 by Title and Summary (requires 4155Is vote of City Council to approve) 9. Information/Miscellaneous A. Comments/Reports from Council members B. Reports: Fire Department - Oct 2017 3158-3160 Liquor Store - Sept & Oct 2017 3161-3162 Finance Department - Oct 2017 3163-3165 PLEASE TURN OFF ALL CELL PHONES & PAGERS IN COUNCIL CHAMBERS. C. Minutes: D. Correspondence: Hennepin County - 2018 Per Diem Rates 3166 November 20th Comprehensive Plan Open House Flyer/Info 3167-3170 Memorandum dated November 9, 2017 regarding 2040 Comprehensive Plan update and upcoming open house 2017.Westonka Food Shelf Thanksgiving Dinner Announcement Flier 3171 10. Adjourn L"Orel• . ' �l November t 2017 Upcoming Events Schedule: Don't Forget!! 18 Nov- 5:00 PM - 7:00 PM - Holiday Tree Lighting 20 November - 6:00 PM Comprehensive Plan Update Open House Meeting 23 November - 12:00 - 4:00 Westonka Food Shelf Thanksgiving Dinner - Mound Legion Post 28 November- 6:55 PM - HRA Regular Meeting (as may be required) 28 November- 7:00 PM - City Council Regular Meeting 12 December- 6:55 PM - HRA Regular Meeting (as may be required) 12 December- 7:00 PM - City Council Regular Meeting 26 December Regular HRA and Council Meetings cancelled in observation of Christmas 9 January - 6:55 PM - HRA Regular Meeting (as may be required) 9 January- 7:00 PM - City Council Regular Meeting 23 January- 6:55 PM - HRA Regular Meeting (as may be required) 23 January- 7:00 PM - City Council Regular Meeting City Offices Closed 23 and 24 November in observance of Thanksgiving 22 and 25 December in observance of Christmas 29 Dec and 1 Jan in observation of New Years City Official's Absences Please notify the City Manager in advance of an absence. Some votes require more than a simple majority and Staff needs to plan accordingly. Inquire in advance, please...... Council members are asked to call or email their questions in advance of a public meeting so that more research may be done or additional information may be provided that will assist in your quality decision- making. City of Mound Claims 11-14-17 YEAR BATCH NAME DOLLAR AMOUNT 2017 KENGRAV0917 $ 11538.70 2017 091760LTMNK $ 149,607.77 2017 PAYREQ102417 $ 237,597.60 2017 1017UBREFUND $ 721.01 2017 110217CTYMAN $ 18,907.05 2017 111417CITY $ 204,689.85 2017 111417HWS $ 144,106.81 2017 111417CITY-2 $ 921643.87 T ii OTAL CLAIMS $ 849,812.6 Current Period: November 2017 11/03/17 10:49 AM Page 1 Fund Summary 10100 Wells Fargo 101 GENERAL FUND $1,212.50 281 COMMONS DOCKS FUND $246.50 401 GENERAL CAPITAL PROJECTS $79.70 $1,538.70 Pre -Written Checks $0.00 Checks to be Generated by the Computer $1,538.70 Total $1,538.70 -3063- Batch Name KENGRAV0917 User Dollar Amt $1,538.70 Payments Computer Dollar Amt $1,538.70 $0.00 In Balance Refer 9 KENNEDYAND GRAVEN Cash Payment E 101-41600-314 Legal P/W PUBLIC WORKS LEGAL SERVICES SEPT $22.50 2017 Invoice 139666 10/17/2017 Cash Payment G 101-23349 1861 COMMERCE -TRIDENT DUTCH LAKE PRESERVE 1861 COMMERCE $494.00 BLVD LEGAL SVCS SEPT 2017 Invoice 139666 10/17/2017 Cash Payment G 101-23412 4837 BEDFORD RD ABATE 4837 BEDFORD RD HAZARDOUS BLDG $696.00 ABATEMENT LEGAL SVCS SEPT 2017 Invoice 139666 10/17/2017 Cash Payment E 281-45210-300 Professional Srvs DOCK PROGRAM VILLAS ON LOST LAKE $246.50 HOA AGREEMENT REVIEW- LEGAL SVCS SEPT 2017 Invoice 139666 10/17/2017 Cash Payment E 401-43110-300 Professional Srvs 2017 RETAINING WALL IMPROV PROD PW $79.70 17-04 - LEGAL SVCS SEPT 2017 Invoice 139666 10/17/2017 Project PW1704 Transaction Date 11/3/2017 Due 12/31/2015 Wells Fargo 10100 Total $1,538.70 Fund Summary 10100 Wells Fargo 101 GENERAL FUND $1,212.50 281 COMMONS DOCKS FUND $246.50 401 GENERAL CAPITAL PROJECTS $79.70 $1,538.70 Pre -Written Checks $0.00 Checks to be Generated by the Computer $1,538.70 Total $1,538.70 -3063- CITY OF MOUND 11/03/17 1:27 PM Page 1 Payments Current Period: November 2017 Batch Name 0917BOLTMNK User Dollar Amt $149,607.77 Payments Computer Dollar Amt $149,607.77 $0.00 In Balance Refer 1 BOLTON AND MENK, INCORPORA Cash Payment E 601-49400-300 Professional Srvs WATER WELLHEAD PROTECTION PLAN ENGINEERING SVCS AUG 12 THRU SEPT 8 2017 Invoice 0208901 9/30/2017 Cash Payment E 101-43100-300 Professional Srvs Invoice 0208901 9/30/2017 Cash Payment E 601-49400-300 Professional Srvs Invoice 0208901 9/30/2017 Cash Payment E 602-49450-300 Professional Srvs Invoice 0208901 9/3012017 Cash Payment E 675-49425-300 Professional Srvs GIS UPDATES ENG SVC AUG 12 THRU SEPT 8 2017 GIS UPDATES ENG SVC AUG 12 THRU SEPT 8 2017 GIS UPDATES ENG SVC AUG 12 THRU SEPT 8 2017 GIS UPDATES ENG SVC AUG 12 THRU SEPT 8 2017 $390.00 $303.37 $303.37 $303.38 $303.38 Invoice 0208901 9/30/2017 Transaction Date 11/3/2017 Wells Fargo 10100 Total $1,603.50 Refer 2 BOLTON AND MENK, INCORPORA Cash Payment E 602-49450-500 Capital Outlay FA 2016 LIFT STATION IMPROV PROJ PW 16-05 $4,965.13 ENG SVC AUG 12 THRU SEPT 8 2017 Invoice 0208886 9/30/2017 Project PW1605 Cash Payment G 101-23327 MCESL39 BRADFORDIWIL MCES LS #39 & INTERCEPT REPLACEMENT $512.00 PROJ -ENGINEERING SVCS AUG 12 THRU SEPT 8 2017 Invoice 0208904 9/30/2017 Cash Payment E 401-43146-303 Engineering Fees Invoice 0208889 9/30/2017 Cash Payment E 401-43116-303 Engineering Fees Invoice 0208888 9/30/2017 Cash Payment E 401-43136-303 Engineering Fees Invoice 0208905 9/30/2017 Cash Payment E 675-49425-500 Capital Outlay FA Invoice 0208887 9/30/2017 Cash Payment E 601-49400-500 Capital Outlay FA Invoice 0208906 9/30/2017 Cash Payment E 601-49400-500 Capital Outlay FA 2016 CYPRESS-MAYWOOD STREET IMPROV $2,272.00 PROJ PW 16-03 ENG SVC AUG 12 THRU SEPT 8 2017 Project PW1603 2016 BARTLETT BLVD STREET IMPROV $5,304.00 PROD PW 16-01 ENG SVC AUG 12 THRU SEPT 8 2017 Project PW1601 2016 TUXEDO BLVD EAST STREET IMPROV $3,420.50 PROJ PW 16-02 ENG SVC AUG 12 THRU SEPT 8 2017 Project PW1602 2016 STORM DRAINAGE IMPROV PROJ- PW $1,567.51 16-09 ENG SVCS AUG 12 THRU SEPT 8 2017 Project PW1609 WATERMAIN LOOP BARTLETT TO ISLAND $366.00 PARK PROJ 15-10 ENG SVCS AUG 12 THRU SEPT 8 2017 Project PW1510 2015 WILSHIRE BLVD TRUNK WATERMAIN $5,475.00 IMPROV PROJ PW 15-11 ENG SVC AUG 12 THRU SEPT 8 2017 Invoice 0208908 9/30/2017 Project PW1511 Transaction Date 11/3/2017 Wells F. 10100 Total $23,882.14 �-3064 �,,. Current Period: November 2017 Refer 3 BOLTON AND MENK, INCORPORA Cash Payment E 602-49450-500 Capital Outlay FA 2017 LIFT STATION IMPROV PROD PW 17-05 ENG SVCS AUG 12 THRU SEPT 8 2017 Invoice 0208894 9/30/2017 Project PW1705 Cash Payment E 401-43117-303 Engineering Fees 2017 LYNWOOD BLVD STREET IMPROV PROD PW 17-01 ENG SVCS AUG 12 THRU SEPT 8 2017 Invoice 0208891 9/30/2017 Cash Payment E 401-43137-303 Engineering Fees Invoice 0208893 9/30/2017 Cash Payment E 401-43147-303 Engineering Fees Invoice 0208892 9/30/2017 Cash Payment E 401-43110-303 Engineering Fees Invoice 0208896 9/30/2017 Cash Payment E 427-43121-303 Engineering Fees Project PW1701 2017 WILSHIRE/MAYWOOD STREET IMPROV PROJ PW 17-02 ENG SVCS AUG 12 THRU SEPT 8 2017 Project PW1702 2017 TUXEDO BLVD PHASE III STREET IMPROV PROJ PW 17-03 ENG SVCS AUG 12 THRU SEPT 8 2017 Project PW1703 2017 RETAINING WALL IMPROV PROD PW 17-04 ENG SVC AUG 12 THRU SEPT 8 2017 Project PW1704 2017 CRACK & SEAL COAT IMPROV PROD PW 17-07 ENG SVC AUG 12 THRU SEPT 8 2017 11 /03/17 1:27 PM Page 2 $24,656.00 $22,025.63 $46,209.50 $11,288.00 $3,843.50 $188.00 Invoice 0208890 9/30/2017 Project PW1707 Cash Payment E 602-49450-500 Capital Outlay FA 2017 SAN SEWER & MANHOLE REHAB PROD $3,002.00 17-06- ENG SVCS AUG 12 THRU SEPT 8 2017 Invoice 0208895 9/30/2017 Project PW1706 Transaction Date 11/3/2017 Wells Fargo 10100 Total $111,212.63 Refer 4 BOLTON AND MENK, INCORPORA Cash Payment E 101-43100-300 Professional Srvs GENERAL ENGINEERING SVCS AUG 12 $616.66 THRU SEPT 8 2017 Invoice 0208900 9/30/2017 Cash Payment E 602-49450-300 Professional Srvs Invoice 0208900 9/30/2017 Cash Payment E 601-49400-300 Professional Srvs Invoice 0208900 9/30/2017 Cash Payment E 101-43100-300 Professional Srvs Invoice 0208902 9/30/2017 Cash Payment E 602-49450-300 Professional Srvs Invoice 0208902 9/30/2017 Cash Payment E 601-49400-300 Professional Srvs Invoice 0208902 9/30/2017 Cash Payment E 401-43118-303 Engineering Fees Invoice 0208897 9/30/2017 GENERAL ENGINEERING SVCS AUG 12 $616.67 THRU SEPT 8 2017 GENERAL ENGINEERING SVCS AUG 12 $616.67 THRU SEPT 8 2017 MOUND/MCES DAKOTA RAIL TRAIL $170.67 INTERCEPTOR ENGINEERING SVCS AUG 12 THRU SEPT 8 2017 MOUND/MCES DAKOTA RAIL TRAIL $170.66 INTERCEPTOR ENGINEERING SVCS AUG 12 THRU SEPT 8 2017 MOUND/MCES DAKOTA RAIL TRAIL $170.67 INTERCEPTOR ENGINEERING SVCS AUG 12 THRU SEPT 8 2017 2018 WESTEDGE BLVD ST IMPROV PROJ $9,469.50 PW18-01 - AUG 12 THRU SEPT 8 2017 Project PW1801 1 i • 11/03/17 1:27 PM Page 3 Current Period: November 2017 Cash Payment G 101-23375 MCES L38 WESTEDGE/CR MCES LS #38 WESTEDGE FORCEMAIN $1,020.00 ENGINEERING SVCS AUG 12 THRU SEPT 8 2017 Invoice 0208903 9/30/2017 Cash Payment E 101-43100-300 Professional Srvs GENERAL ENGINEERING SVCS -LIBRARY $58.00 PROJECT- AUG 12 THRU SEPT 8 2017 Invoice 0208899 9/30/2017 Transaction Date 11/3/2017 Wells Fargo 10100 Total $12,909.50 Fund Summary 101 GENERAL FUND 401 GENERAL CAPITAL PROJECTS 427 SEAL COAT FUND 601 WATER FUND 602 SEWER FUND 675 STORM WATER UTILITY FUND 10100 Wells Fargo $2,680.70 $103,832.63 $188.00 $7,321.71 $33,713.84 $1,870.89 $149,607.77 Pre -Written Checks $0.00 Checks to be Generated by the Computer $149,607.77 Total $149,607.77 1•• CITY OF MOUND 10/30/17 3:01 PM Page 1 Payments Current Period: October 2017 Batch Name PAYREQ102417 User Dollar Amt $237,597.60 Payments Computer Dollar Amt $237,597.60 $0.00 In Balance Refer 3 BRAUN INTER TEC CORPORATION Cash Payment E 401-43137-300 Professional Srvs CONSTRUCTION MATERIALS TESTING $5,134.27 SVCS THRU 10-6-17 --2017 STREET IMPROV PROJECT- PW 17-02 MAYWOODNWLSHIRE/HIDDENVALE Invoice B107927 10/13/2017 Project PW1702 Transaction Date 10/30/2017 Wells Fargo 10100 Total $5,134.27 Refer 1 NORLINGS LAKE MINNETONKA IN Cash Payment E 401-43116-300 Professional Srvs LANDSCAPE REPAIR WORK @ 2390 AVON $405.00 DR- SIME- 2016 STREET IMPROV PROJ PW 16-01 Invoice 32989 10/2/2017 Project PW1601 Cash Payment E 401-43136-300 Professional Srvs LANDSCAPE REPAIR WORK @ 4519 $4,277.00 MANCHESTER- 2016 STREET IMPROV PROJ PW 16-02 Invoice 32989 10/2/2017 Project PW1602 Transaction Date 10/30/2017 Wells Fargo 10100 Total $4,682.00 Refer � 2 WIDMER CONSTRUCTION, LLC Cash Payment E 602-49450-500 Capital Outlay FA PAY REQ #2 - 2017 LIFT STATION IMPROV $227,781.33 PROJ PW 17-05 WORK COMPLETED SEPTEMBER 2017 Invoice 102417 10/4/2017 Project PW1705 Transaction Date 10/30/2017 Wells Fargo 10100 Total $227,781.33 Fund Summary 10100 Wells Fargo 401 GENERAL CAPITAL PROJECTS $9,816.27 602 SEWER FUND $227,781.33 $237,597.60 Pre -Written Checks $0.00 Checks to be Generated by the Computer $237,597.60 Total $237,597.60 -3067- CITY OF MOUND 10/31/17 9:54 AM Page 1 Payments Current Period: October 2017 Batch Name 1017UBREFUND User Dollar Amt $721.01 Payments Computer Dollar Amt $721.01 $0.00 In Balance Refer 3 ALL AMERICAN TITLE- EDINA - Cash Payment R 601-49400-36200 Miscellaneous Revenu 1720 AVOCET LN- UTILITY REFUND- P. $142.54 WILLETTE- ALL AMERICAN TITLE- EDINA Invoice 103117 10/26/2017 Transaction Date 10/31/2017 Wells Fargo 10100 Total $142.54 Refer �WaF1 NOME TITLE INC ESCROW CHECK Cash Payment R 60149400-36200 Miscellaneous Revenu 6316 LYNWOOD BLVD- UTILITY REFUND- $102.94 HOME TITLE INC EP Invoice 103117 10/26/2017 _ Transaction Date 10/31/2017 Wells Fargo 10100 Total $102.94 Refer aru ry 2 LAND TITLE - RSVL Cash Payment R 601-49400-36200 Miscellaneous Revenu 4636 HAMPTON RD- UTILITY REFUND- J. $475.53 CURTIS -LAND TITLE RSVL Invoice 103117 10/26/2017 Transaction Date 10/31/2017 Wells Fargo 10100 Total $475.53 Fund Summary 10100 Wells Fargo 601 WATER FUND $721.01 Pre -Written Checks $0.00 Checks to be Generated by the Computer $721.01 Total $721.01 $721.01 1.: CITY OF MOUND 11/03/17 10:28 AM Page 1 Payments Refer 19 HANSON, RAY Cash Payment E 602-49450-218 Clothing and Uniforms 2017 BOOT ALLOWANCE- R. HANSON $147.94 Invoice 110217 11/2/2017 Project 17-5 Transaction Date 11/2/2017 Wells Fargo 10100 Total $147.94 Refer 1 HENNEPIN COUNTY SHERIFF -DIE Cash Payment E 101-45200-440 Other Contractual Servic SENTENCE TO SERVE CREW 9 DAYS 4-1-17 $3,211.20 THRU 9-30-17 Invoice 1000099918 10/19/2017 Transaction Date 10/31/2017 Wells Fargo 10100 Total $3,211.20 Refer 6 HINKER, JUSTIN Cash Payment G 281-22000 Deposits REFUND LOST LAKE DOCKS KEY DEPOSIT- $50.00 2017 - J. HINKER 1 KEY Invoice 110217 10/30/2017 Transaction Date 10/31/2017 Wells Fargo 10100 Total $50.00 Refer 11 JAKUBlK, MATTHEW Cash Payment E 222-42260-434 Conference & Training TRAVEL ADVANCE VOL CHIEF/OFFICER $162.00 SYMPOSIUM CONF 11-08-17 THRU 11-11-17 FLORIDA- M. JAKUBIK Invoice 110217 11/2/2017 Transaction Date 11/2/2017 Wells Fargo 10100 Total $162.00 Refer � 7 K1RBY BUILT QUALITY PRODUCTS Cash Payment E 101-45200-232 Landscape Material Invoice KB000006309 9/28/2017 INGROUND MOUNT HEAVYWEIGHT PARK $1,396.14 BENCH- RIDGEWOOD PARK - TYSON- BUY A BENCH PROGRAM - Is• Current Period: November 2017 Batch Name 110217CTYMAN User Dollar Amt $18,907.05 Payments Computer Dollar Amt $18,907.05 $0.00 In Balance Refer 3 ALCOHOL AND GAMBLING ENFOR Cash Payment E 609-49750-438 Licenses and Taxes 2018 RETAILERS BUYERS CARD FOR $20.00 LIQUOR OR WINE- HWS Invoice 103117 11/2/2017 Transaction Date 10/31/2017 Wells Fargo 10100 Total $20.00 Refer 5 DILLNER, RYAN Cash Payment G 281-22000 Deposits REFUND LOST LAKE DOCKS KEY DEPOSIT- $100.00 2017 - 2 KEYS- R. DILLNER Invoice 110217 10/30/2017 Transaction Date 10/31/2017 Wells Fargo 10100 Total $100.00 Refer 16 FRONTIER/CITIZENS COMMUNICA�rem Cash Payment E 222-42260-321 Telephone, Cells, & Radi NETWORK ETHERNET SVC 110-20-17 THRU $150.00 11-20-17 Invoice 110217 10/22/2017 Cash Payment E 101-41920-321 Telephone, Cells, & Radi NETWORK ETHERNET SVC 110-20-17 THRU $175.00 11-20-17 Invoice 110217 10/22/2017 Transaction Date 11/2/2017 Wells Fargo 10100 Total $325.00 Refer 19 HANSON, RAY Cash Payment E 602-49450-218 Clothing and Uniforms 2017 BOOT ALLOWANCE- R. HANSON $147.94 Invoice 110217 11/2/2017 Project 17-5 Transaction Date 11/2/2017 Wells Fargo 10100 Total $147.94 Refer 1 HENNEPIN COUNTY SHERIFF -DIE Cash Payment E 101-45200-440 Other Contractual Servic SENTENCE TO SERVE CREW 9 DAYS 4-1-17 $3,211.20 THRU 9-30-17 Invoice 1000099918 10/19/2017 Transaction Date 10/31/2017 Wells Fargo 10100 Total $3,211.20 Refer 6 HINKER, JUSTIN Cash Payment G 281-22000 Deposits REFUND LOST LAKE DOCKS KEY DEPOSIT- $50.00 2017 - J. HINKER 1 KEY Invoice 110217 10/30/2017 Transaction Date 10/31/2017 Wells Fargo 10100 Total $50.00 Refer 11 JAKUBlK, MATTHEW Cash Payment E 222-42260-434 Conference & Training TRAVEL ADVANCE VOL CHIEF/OFFICER $162.00 SYMPOSIUM CONF 11-08-17 THRU 11-11-17 FLORIDA- M. JAKUBIK Invoice 110217 11/2/2017 Transaction Date 11/2/2017 Wells Fargo 10100 Total $162.00 Refer � 7 K1RBY BUILT QUALITY PRODUCTS Cash Payment E 101-45200-232 Landscape Material Invoice KB000006309 9/28/2017 INGROUND MOUNT HEAVYWEIGHT PARK $1,396.14 BENCH- RIDGEWOOD PARK - TYSON- BUY A BENCH PROGRAM - Is• CITY OF MOUND 11/03/17 10:28 AM Page 2 Payments Current Period: November 2017 Cash Payment E 101-45200-232 Landscape Material ROUND TOP LOAD WEATHER LID 32 GAL $206.77 AND UP- PARKS Invoice KB000006335 10/27/2017 Transaction Date 10/31/2017 Wells Fargo 10100 Total $1,602.91 Refer 12 LAKE MINNETONKA COMM. COMM Cash Payment E 101-49840-300 Professional Srvs 3RD QTR 2017 PEG ACCESS FEE PER $10,311.56 SUBSCRIBER Invoice 110217 11/24/2017 Transaction Date 11/2/2017 Wells Fargo 10100 Total $10,311.56 Refer 8 LUKES, THOMAS _ Cash Payment R 313-47200-36100 Special Assessments REFUND DUPLICATE PYMT 2016 STREET $104.94 IMPROV PROJ ASSESSMENT LEVY #19673 4379 WILSHIRE BLVD #202- T. LUKES Invoice 110217 11/2/2017 Transaction Date 11/2/2017 Wells Fargo 10100 Total $104.94 Refer 15 MINNESOTA DEPT OF COMMERC Cash Payment R 601-49400-36200 Miscellaneous Revenu UNCLAIMED PROPERTY- REFUND $119.31 OVERPYMT WATER UTILITIES- JOHN BELOWSKI- UNCASHED CK# 47402 11-18-14 Invoice 110217 10/30/2017 Cash Payment R 601-49400-36200 Miscellaneous Revenu UNCLAIMED PROPERTY- REFUND $81.56 OVERPYMT WATER UTILITIES- BURNET TITLE MAPLEWOOD- UNCASHED CK# 47058 10-6-14 Invoice 110217 10/30/2017 Cash Payment R 601-49400-36200 Miscellaneous Revenu UNCLAIMED PROPERTY- REFUND $10.46 OVERPYMT WATER UTILITIES- EXECUTIVE TITLE ASSOC WAYZATA- UNCASHED CK# 47635 12-18-14 Invoice 110217 10/30/2017 Cash Payment R 601-49400-36200 Miscellaneous Revenu UNCLAIMED PROPERTY- REFUND $3.00 OVERPYMT WATER UTILITIES- JUNE FITZ UNCASHED CK# 47409 11-18-14 Invoice 110217 10/30/2017 Cash Payment R 601-49400-36200 Miscellaneous Revenu UNCLAIMED PROPERTY- REFUND $144.58 OVERPYMT WATER UTILITIES- GLOBAL CLOSING - MG- UNCASHED CK# 4707010-6- 14 Invoice 110217 10/30/2017 Cash Payment R 601-49400-36200 Miscellaneous Revenu UNCLAIMED PROPERTY- REFUND $105.67 OVERPYMT WATER UTILITIES- MARK HEATH- UNCASHED CK# 47071 10-6-14 Invoice 110217 10/30/2017 Cash Payment R 601-49400-36200 Miscellaneous Revenu UNCLAIMED PROPERTY- REFUND $132.85 OVERPYMT WATER UTILITIES- REMAX ADVANTAGE PLUS- MPLS- UNCASHED CK# 47085 10-6-14 Invoice 110217 10/30/2017 Cash Payment R 601-49400-36200 Miscellaneous Revenu UNCLAIMED PROPERTY- REFUND $231.80 OVERPYMT WATER UTILITIES- TITLE NEXUS LLC- UNCASHED CK# 47089 10-6-14 Invoice 110217 10/30/2017 Transaction Date 11/2/2017 Wells Fargo 10100 Total $829.23 Refer ��w� 10 PALM, GREG --3070-.� CITY OF MOUND 11103/17 10:28 AM Page 3 Payments Invoice 9794490474 10/13/2017 Cash Payment E 602-49450-321 Telephone, Cells, & Radi CELL PHONE CHARGES 9-14-17 THRU 10-13- Current Period: November 2017 2017 Invoice 9794490474 10/13/2017 Cash Payment E 101-42400-321 Telephone, Cells, & Radi CELL PHONE CHARGES 9-14-17 THRU 10-13- Cash Payment E 222-42260-434 Conference & Training TRAVEL ADVANCE VOL CHIEF/OFFICER $189.00 Cash Payment E 101-45200-321 Telephone, Cells, & Radi CELL PHONE CHARGES 9-14-17 THRU 10-13- SYMPOSIUM CONF 11-08-17 THRU 11-11-17 2017 Invoice 9794490474 10/13/2017 FLORIDA- G. PALM Cash Payment E 101-41310-321 Telephone, Cells, & Radi CELL PHONE CHARGES 9-14-17 THRU 10-13- Invoice 110217 11/2/2017 -3071- Transaction Date 1112/2017 Wells Fargo 10100 Total $189.00 Refer 9 PEDERSON, GREG Cash Payment E 222-42260-434 Conference & Training TRAVEL ADVANCE VOL CHIEF/OFFICER $162.00 SYMPOSIUM CONF 11-08-17 THRU 11-11-17 FLORIDA- G. PEDERSON Invoice 110217 11/2/2017 Transaction Date 11/2/2017 Wells Fargo 10100 Total $162.00 Refer 2 POSTMASTER��� Cash Payment E 101-41110-322 Postage FIRST-CLASS PRESORT ANNUAL MAILING $225.00 PERMIT - CITY NEWSLETTERS Invoice 110217 11/1/2017 Transaction Date 11/1/2017 Wells Fargo 10100 Total $225.00 Refer 13 RADDE, MATTHEW C. Cash Payment E 602-49450-438 Licenses and Taxes REIMBURSE CLASS B DRIVERS LICENSE $11.00 UPGRADE & TANKER ENDORSEMENT- M. RADDE Invoice 110217 10/20/2017 _ Transaction Date 11/2/2017 Wells Fargo 10100 Total $11.00 Refer 20 ROBERTS, GOtLETTE Cash Payment E 101-41500-331 Use of personal auto REIMB MILEAGE- GOVT PAYROLL SEMINAR - $43.34 APPLE VALLEY 10-26-17- C. ROBERTS Invoice 110217 10/26/2017 Transaction Date 11/2/2017 Wells Fargo 10100 Total $43.34 Refer 4 STENSRUD, SUSAN & BARRY Cash Payment G 281-22000 Deposits REFUND LOST LAKE DOCKS KE DEPOSIT- $100.00 2017 - 2 KEYS- S. STENSRUD Invoice 110217 10/30/2017 Transaction Date 10/31/2017 Wells Fargo 10100 Total $100.00 Refer 17 VER/ZON WIRELESS Cash Payment E 101-43100-321 Telephone, Cells, & Radi CELL PHONE CHARGES 9-14-17 THRU 10-13- $148.30 2017 Invoice 9794490474 10/13/2017 Cash Payment E 601-49400-321 Telephone, Cells, & Radi CELL PHONE CHARGES 9-14-17 THRU 10-13- $116.94 2017 Invoice 9794490474 10/13/2017 Cash Payment E 602-49450-321 Telephone, Cells, & Radi CELL PHONE CHARGES 9-14-17 THRU 10-13- $94.54 2017 Invoice 9794490474 10/13/2017 Cash Payment E 101-42400-321 Telephone, Cells, & Radi CELL PHONE CHARGES 9-14-17 THRU 10-13- $38.49 2017 Invoice 9794490474 10/13/2017 Cash Payment E 101-45200-321 Telephone, Cells, & Radi CELL PHONE CHARGES 9-14-17 THRU 10-13- $62.76 2017 Invoice 9794490474 10/13/2017 Cash Payment E 101-41310-321 Telephone, Cells, & Radi CELL PHONE CHARGES 9-14-17 THRU 10-13- $68.30 2017 -3071- Invoice 9794490474 10/13/2017 1103/1710:28AN g4 Current Period: November mn7 Cash Payment E222-4220V-321Telephone, Cells, &Radi CELL PHONE CHARGES 9-1417THRU1043- $101.68 2017 Invoice 9794490474 10/13/2017 Cash Payment E1O142115~321Telephone, Cells, &Rodi CELL PHONE CHARGES S'1447THRU1V'13' $15.09 2017 |nvn|om 9784480474 10/13/2017 Transaction Date 11/2/2817 Wells Fargo 10100 Total *8*6.70 Refer 1ONERIZONWIRELESS _ Cash Payment E222-422OV-321Telephone, Cells, &Radi DATACARDSVC FIRE LADDER TRUCK #44 $35.01 8-11-17T0 10'10-17 Invoice 9794265021 10U02017 Cash Payment E0O2'4945V-321Telephone, Cells, &Rodi SEWER TRUCK #108DATACARDSVC S'11- $35.01 17TO10'10'17 Invoice 8794285021 10U02017 Cash Payment EO824S45O-321Telephone, Cells, 8Rodi PUB WKS GUPVVEHC#113R. HAmGON o35.01 DATA{ARDGVC 9-11'17TO1V-1047 Invoice 9794265021 10/102017 Project 17-3 Cash Payment E0O24845V-321Telephone, Cells, &Redi PUB WKS JET PACK LAPTOP A|RCARDSVC *35.01 9'11'17TO10'10-17 Invoice 9794265021 10/10/2017 Project 17-3 Cash Payment E101'424OV-521Telephone, Cells, &Radi FIELD OFFICER DATACARDSVC 9-11-17TD $17,51 1O -1V'17 Invoice 8794285021 10U0/2017 Cash Payment E1O142115-321Telephone, Cells, &Radi FIELD OFFICER D/TACARDSVC 3'11-17T0 %17.50 1O'10'17 Invoice 9794265021 1010/2017 Cash Payment E222-422OO-321Telephone, Cells, &RediD/HD4CARO SVC FIRE UNIT #42DUTY $8501 OFFICER 9'11'17TO1n-1V'1r Invoice 9794265021 10/10201/ Cash Payment E222422OV-321Telephone, Cells, &RediD/TACARD SVC FIRE UNIT #39FIRE CHIEF $3501 RESCUE UTILITY S'11'17TO1O-1O-17 Invoice 9794265021 10/102017 Cash Payment E 222422OO-321Telephone, Cells, &Rmdi DAJACARDSVC FIRE #43RESCUE TRUCK o35.01 9-11-17TD10-10-17 Invoice 9794265021 1010/2017 Cash Payment E22242260-321Telephone, Cells, &Rudi [x\TACARDSVC FIRE ENGINE #29 9'1147 $35.01 TO 10-10-17 Invoice 9794265021 10/10/2017 Cash Payment E6O1494OO-321Telephone, Cells, &Rudi WATER TRUCK #315D/TACARDSVC 8'11' $35.01 17T010'10-17 Invoice 9794265021 10/10/2017 Cash Payment EOO1'494O0'521Telephone, Cells, &RoUi WATER TRUCK #512R.PR/CHDATACARD $35.01 SVC 8-11'17TO1O-10-17 Invoice 8794265021 10102017 Cash Payment E0V24845O-321Telephone, Cells, &Rudi UTILITY LEAD WORKER TABLET- INTERNET $17.51 SVC 9'11-17nO10'1O-17 Invoice 8/84285021 18M0/2017 Cash Payment E 6O1484OV-321Telephone, Cells, &Rudi UTILITY LEAD WORKER TABLET- INTERNET *17.50 SVC 9-11'17TO1O-1O-17 Invoice 9794265021 10/102017 Cash Payment E1O1-o52O0-921Telephone, Cells, &Rodi PARKS LEAD WORKER TABLET- HOT SPOT- *35.01 9'11-17TO10-10-17 Invoice 879*205021 10/102017 -3072- Current Period: November 2017 11/03/17 10:28 AM Page 5 $18,907.05 Pre -Written Checks $0.00 Checks to be Generated by the Computer $18,907.05 Total $18,907.05 -3073- Cash Payment E 101-43100-321 Telephone, Cells, & Radi STREETS LEAD WORKER TABLET- HOT $35.05 SPOT 9-11-17 TO 10-10-17 Invoice 9794265021 10/10/2017 Cash Payment E 101-43100-321 Telephone, Cells, & Radi STREETS LEAD WORKER TABLET- $35.01 INTERNET SVC- 9-11-17 TO 10-10-17 Invoice 9794265021 10/10/2017 Cash Payment E 602-49450-321 Telephone, Cells, & Radi PUBLIC WORKS SUPER- RAY HANSON - $35.01 TABLET- INTERNET SVC- 9-11-17 TO 10-10- 17 Invoice 9794265021 10/10/2017 Project 17-5 Cash Payment E 602-49450-321 Telephone, Cells, & Radi PUBLIC WORKS SUPER- RAY HANSON - $35.01 TABLET- HOT SPOT 9-11-17 TO 10-10-17 Invoice 9794265021 10/10/2017 Project 17-5 Cash Payment E 602-49450-321 Telephone, Cells, & Radi UTILITY LEAD WORKER TABLET- HOT $17.50 SPOT- 9-11-17 TO 10-10-17 Invoice 9794265021 10/10/2017 Cash Payment E 601-49400-321 Telephone, Cells, & Radi UTILITY LEAD WORKER TABLET- HOT $17.51 SPOT- 9-11-17 TO 10-10-17 Invoice 9794265021 10/10/2017 Cash Payment E 101-45200-321 Telephone, Cells, & Radi PARKS LEAD WORKER TABLET- INTERNET $35.01 SVC 9-11-17 TO 10-10-17 Invoice 9794265021 10/10/2017 Transaction Date 11/2/2017 Wells Fargo 10100 Total $665.23 Fund Summary 10100 Wells Fargo 101 GENERAL FUND $16,077.64 222 AREA FIRE SERVICES $939.73 281 COMMONS DOCKS FUND $250.00 313 2016 IMPROVEMENTS $104.94 601 WATER FUND $1,051.20 602 SEWER FUND $463.54 609 MUNICIPAL LIQUOR FUND $20.00 $18,907.05 Pre -Written Checks $0.00 Checks to be Generated by the Computer $18,907.05 Total $18,907.05 -3073- CITY OF MOUND 11/09/17 12:06 PM Page 1 Payments Current Period: November 2017 Batch Name 111417CITY User Dollar Amt $204,689.85 Payments Computer Dollar Amt $204,689.85 $0.00 In Balance Refer 9 AMERICAN MESSAGING Cash Payment E 602-49450-321 Telephone, Cells, & Radi REPLACEMENT PAGER- PUBLIC WORKS $28.00 Invoice d2062026rk 11/1/2017 Project 17-3 Transaction Date 11/7/2017 Wells Fargo 10100 Total $28.00 Refer 43 BENDICKSON, WES Cash Payment E 101-43100-224 Street Maint Materials STREET SWEEPINGS DUMPED 10-10, 10-12 $825.00 & 10-17 2017 - 11 LOADS @ $75 EA Invoice 111417 11/6/2017 Transaction Date 11/7/2017 Wells Fargo 10100 Total $825.00 Refer 47 BENSON, BRIAN. Cash Payment G 101-23367 PC16-41 6385 BAY RIDGE ESCROW BALANCE REFUND- PC 16-416385 $26.75 BAYRIDGE RD- B. BENSON Invoice 111417 11/6/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $26.75 Refer 49 BIDDLE, JASON Cash Payment G 101-23373 PC17-03-04 1833 SHOREW ESCROW BALANCE REFUND- 1833 $423.50 SHOREWOOD LN- MINOR SUBDV PC 17-03 & 17-04- J. BIDDLE Invoice 111417 11/6/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $423.50 Refer nV�l 1 CENTERPOINT ENERGY (MINNEG Cash Payment E 602-49450-383 Gas Utilities 2649 EMERALD DR. LS E3 GENERATOR $36.32 NATL GAS SVC 10-20-17 THRU 11-20-17 Invoice 111417 10/22/2017 Cash Payment E 602-49450-383 Gas Utilities 4791 NORTHERN RD LS D1 GENERATOR $36.41 NATL GAS SVC 10-20-17 THRU 11-20-17 Invoice 111417 10/22/2017 Cash Payment E 602-49450-383 Gas Utilities 3303 WATERBURY RD LS GAS SVC 10-20-17 $28.43 THRU 11-20-17 Invoice 111417 10/22/2017 Cash Payment E 602-49450-383 Gas Utilities 2990 HIGHLAND BLVD LS B1 GENERATOR $32.86 NATL GAS SVC 10-20-17 THRU 11-20-17 Invoice 111417 10/22/2017 Cash Payment E 602-49450-383 Gas Utilities 4948 BARTLETT LS E2 GENERATOR NATL $39.75 GAS SVC 10-20-17 THRU 11-20-17 Invoice 111417 10/22/2017 Cash Payment E 602-49450-383 Gas Utilities 4728 CARLOW RD LS GENERATOR NATL $28.43 GAS SVC 10-20-17 THRU 11-20-17 Invoice 111417 10/22/2017 Cash Payment E 602-49450-383 Gas Utilities 5808 GRANDVIEW BLVD LS GENERATOR $34.33 NATL GAS SVC 10-20-17 THRU 11-20-17 Invoice 111417 10/22/2017 Cash Payment E 602-49450-383 Gas Utilities 4922 THREE PTS BLVD LS GENERATOR $35.66 NATL GAS SVC 10-20-17 THRU 11-20-17 Invoice 111417 10/22/2017 -3074- CITY OF MOUND 11/09/17 11:15 AM Page 2 Payments Invoice 111417 10/22/2017 Cash Payment E 602-49450-383 Gas Utilities 5260 LYNWOOD BLVD LS GENERATOR $47.76 NATL GAS SVC 10-20-17 THRU 11-20-17 Invoice 111417 10/22/2017 Transaction Date 7/6/2017 Wells Fargo 10100 Total $380.07 Refer 2 CENTRAL MCGOWAN, INCORPOR Cash Payment E 602-49450-210 Operating Supplies Invoice 00099858 10/31/2017 Cash Payment E 602-49450-210 Operating Supplies HIGH PRESSURE ACETYLENE MEDIUM $8.68 CYLINDER RENTALS- QTY 5 Project 17-3 HIGH PRESSURE MEDIUM CYLINDER $26.04 RENTALS- QTY 9 Invoice 00099858 10/31/2017 Project 17-3 Transaction Date 7/6/2017 Wells Fargo 10100 Total $34.72 Refer 3 ELECTRIC PUMP, INC Cash Payment E 602-49450-500 Capital Outlay FA SUBMERSIBLE PUMPS & ACCESSORIES- $29,675.00 2017 LIFT STATION REPLACEMENT PROD PW 17-05 Invoice 0061491 10/30/2017 Cash Payment E 602-49450-500 Capital Outlay FA Project PW1705 JWC MUFFIN MONSTER GRINDER MOTOR- $42,770.00 2017 LIFT STATION REPLACEMENT PROJ PW 17-05 Invoice 0061491 10/30/2017 Project PW1705 Transaction Date 7/6/2017 Wells Fargo 10100 Total $72,445.00 Refer 44 EMERGENCY RESPONSE SOLUTI Cash Payment E 222-42260-219 Safety supplies XCELL SENSOR REPLACEMENT KIT. $638.98 CALIBRATION CYLINDER GAS- FIRE DEPT Invoice 9548 10/10/2017 PO 24757 Transaction Date 11/7/2017 Wells Fargo 10100 Total $638.98 Refer 52 FIRE CHIEF, MN STATE ASSOCIAT Cash Payment E 222-42260-434 Conference & Training 2017 MN STATE FIRE CHIEFS $80.00 CONFERENCE - 2 BANQUET TICKETS- G. PALM Invoice 2005 10/24/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $80.00 Refer 45 FIRSTSOURCE SOLUTIONS Cash Payment E 602-49450-305 Medical Services DOT RANDOM DRUG SCREEN- BREATH $45.75 ALCOHOL TEST- PUB WKS- SEWER DEPT Invoice FL00187208 11/7/2017 Transaction Date 11/7/2017 Wells Fargo 10100 Total $45.75 Refer 4 FIVE TECHNOLOGY Cash Payment E 101-41920-440 Other Contractual Servic MONTHLY MANAGED SVC & NETWORK $1,290.00 MTCE- NOV 2017 Invoice 11117-22 11/1/2017 Transaction Date 11/6/2017 Wells Fargo 10100 Total $1,290.00 Refer 46 FRONTIER/CITIZENS COMMUNICA -3075-� 11/09/17 11:15 AM Page 3 Current Period: November 2017 Cash Payment E 101-45200-321 Telephone, Cells, & Radi PHONE SVC -10-30-17- TO 11-29-17 $124.85 Invoice 111417 10/30/2017 Cash Payment E 602-49450-321 Telephone, Cells, & Radi PHONE SVC -10-30-17- TO 11-29-17 $40.24 Invoice 111417 10/30/2017 Cash Payment E 609-49750-321 Telephone, Cells, & Radi PHONE SVC -10-30-17- TO 11-29-17 $301.11 Invoice 111417 10/30/2017 Cash Payment E602-49450-321 Telephone, Cells, & Radi PHONE SVC -10 -30 -17 -TO 11-29-17 $199.66 Invoice 111417 10/30/2017 Cash Payment E 601-49400-321 Telephone, Cells, & Radi PHONE SVC -10-30-17- TO 11-29-17 $193.79 Invoice 111417 10/30/2017 Cash Payment E 101-43100-321 Telephone, Cells, & Radi PHONE SVC -10-30-17- TO 11-29-17 $193.79 Invoice 111417 10/30/2017 Cash Payment E 101-41930-321 Telephone, Cells, & Radi PHONE SVC -10-30-17- TO 11-29-17 $441.17 Invoice 111417 10/30/2017 Cash Payment E 222-42260-321 Telephone, Cells, & Radi PHONE SVC -10-30-17- TO 11-29-17 $147.06 Invoice 111417 10/30/2017 Cash Payment E 101-41910-321 Telephone, Cells, & Radi PHONE SVC -10-30-17- TO 11-29-17 $73.53 Invoice 111417 10/30/2017 Cash Payment E 101-42110-321 Telephone, Cells, & Radi PHONE SVC -10-30-17- TO 11-29-17 $73.53 Invoice 111417 10/30/2017 Cash Payment E 101-41500-321 Telephone, Cells, & Radi PHONE SVC -10-30-17- TO 11-29-17 -$0.02 Invoice 111417 10/30/2017 Transaction Date 11/6/2017 Wells Fargo 10100 Total $1,788.71 Refer 5 GOPHER STATE ONE CALL Cash Payment E 601-49400-395 Gopher One -Call OCTOBER 2017 LOCATES $116.10 Invoice 111417 10/31/2017 Cash Payment E 602-49450-395 Gopher One -Call OCTOBER 2017 LOCATES $116.10 Invoice 111417 10/31/2017 Transaction Date 11/6/2017 Wells Fargo 10100 Total $232.20 Refer 6 HD SUPPLY WATERWORKS, LTD Cash Payment E 601-49400-210 Operating Supplies WATER METER SUPPLIES- 10 CURB BOX $544.41 REPAIR TOPS 1 1/4" X 12, REPAIR COUPLING Invoice H959224 10/16/2017 Cash Payment E 601-49400-210 Operating Supplies WATER METER SUPPLIES- BALL VALVE $65.11 Invoice H957355 10/16/2017 Cash Payment E 601-49400-210 Operating Supplies WATER METER SUPPLIES- 1" YARD $165.00 HYDRANT Invoice 1023669 10/27/2017 Transaction Date 11/6/2017 Wells Fargo 10100 Total $774.52 Refer 19 HENNEPIN COUNTY INFORMATIO Cash Payment E 602-49450-321 Telephone, Cells, & Radi PW RADIO LEASE & ADMINISTRATION FEE - $152.48 OCT 2017 Invoice 1000100538 11/2/2017 Project 17-3 Cash Payment E 222-42260-321 Telephone, Cells, & Radi FIRE DEPT RADIO LEASE & $1,161.55 ADMINISTRATION FEE - OCT 2017 Invoice 1000100473 11/2/2017 Transaction Date 11/7/2017 Wells Fargo 10100 Total $1,314.03 Refer 7 HUTCHINSON CONCRETE CITY OF MOUND 11/09/17 11:15 AM Page 4 Payments Current Period: November 2017 Cash Payment E 101-43100-224 Street Maint Materials 10 QTY 2 X 2 X 6 BIN BLOCKS -CONCRETE & $737.00 4 QTY2X2X4 BLOCKS Invoice 06258 10/9/2017 Cash Payment E 101-43100-224 Street Maint Materials 10 QTY 2 X 2 X 6 BIN BLOCKS -CONCRETE & $737.00 4 QTY2X2X4 BLOCKS Invoice 06263 10/11/2017 Cash Payment E 101-43100-224 Street Maint Materials 10 QTY 2 X 2 X 6 BIN BLOCKS -CONCRETE & $737.00 4 QTY 2 X 2 X 4 BLOCKS Invoice 06272 10/12/2017 Cash Payment E 101-43100-224 Street Maint Materials 10 QTY 2 X 2 X 6 BIN BLOCKS -CONCRETE & $737.00 4 QTY2X2X4 BLOCKS Invoice 06277 10/13/2017 Cash Payment E 101-43100-224 Street Maint Materials 12 QTY 2 X 2 X 6 BIN BLOCKS -CONCRETE $695.00 Invoice 06279 10/13/2017 Cash Payment E 101-43100-224 Street Maint Materials 15 QTY 2 X 2 X 6 BIN BLOCKS -CONCRETE $800.00 Invoice 06282 10/16/2017 Transaction Date 11/6/2017 Wells Fargo 10100 Total $4,443.00 Refer 8 JESSEN PRESS INCORPORATED Cash Payment E 101-41110-350 Printing PRINT, MAIL -CITY CONTACT NEWS 8 PG $1,490.00 NOV, DEC 2017, JAN 2018, 6,200 COPIES Invoice 677315 10/23/2017 Transaction Date 11/6/2017 Wells Fargo 10100 Total $1,490.00 Refer 10 KENNEDY AND GRAVEN�� _ Cash Payment G 101-23349 1861 COMMERCE -TRIDENT TRIDENT HOUSING DEVELOPMENT LEGAL $477.74 SVCS SEPTEMBER 2017 Invoice 139691 10/19/2017 Transaction Date 11/7/2017 Wells Fargo 10100 Total $477.74 Refer 26 KENNEDY, PAUL & SANDY _ Cash Payment E 401-43135-300 Professional Srvs REIMB LANDSCAPE REPAIR DONE BY $1,224.00 CONCEPT LANDSCAPING- REMOVE & INSTALL DIAMOND TREADS- 5168 TUXEDO BLVD- P. KENNEDY- 2015 STREEP IMPROV PROD REPAIR PW 15-02 Invoice 6849 10/4/2017 Transaction Date 11/7/2017 Wells Fargo 10100 Total $1,224.00 Refer 54 LDK BUILDERS _ Cash Payment R 101-42000-32210 Building Permits REFUND CANCELLED BLDG PERMIT#2017- $1,162.25 00943- 5036 ENCHANTED RD- LDK BUILDERS Invoice 111417 11/8/2017 Cash Payment R 101-42000-34104 Plan Check Fee REFUND CANCELLED BLDG PERMIT #2017- $755.46 00943- 5036 ENCHANTED RD- LDK BUILDERS Invoice 111417 11/8/2017 Cash Payment G 101-20800 Due to Other Governments REFUND CANCELLED BLDG PERMIT #2017- $100.00 00943- 5036 ENCHANTED RD- LDK BUILDERS Invoice 111417 11/8/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $2,017.71 Refer 11 LOFFLER COMPANIES, WCORPOR Cash Payment E 602-49450-202 Duplicating and copying KONICA MINOLTA 8200 PW COPIER $2.46 OVERAGE CHG 10-10-17 THRU 11-09-17 Invoice 2656651 11/1/2017 -3077- 11/09/17 11:15 . ���Y ��F MOUND ' Pages Payments Current Period: November 2017 Invoice 111417 10/2/2017 Transaction Date 6/20/207 Wells Fargo 1008 Total $45,00 Refer 22MARINE COVERS AND INTERIORS _ CaohPaymam E101-452OV-21OOperating Supplies SCREEN CANVAS FOR MTCE LEAF TRUCK $150.00 Invoice 7546 10/11/2017 Transaction Date 11/7/2017 Wells Fargo 10100 Total $150�00 Refer 51MARTIN-8CALLX;7ER _ Cash Payment E222-4228V-8OUProfessional Gmo PUBLIC SAFETY AGGESSMENT-J. $500�00 MORALES- NEW FIREFIGHTER Invoice 11311 10131/2017 Cash Payment E22242200-3O0Professional Jnm PUBLIC SAFETY $50000 CH|NANDER NEW FIREFIGHTER Invoice 11311 10131/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Tota/ $1.000.00 Refer Cash Payment E1[U42400-2O2Duplicating andnopying PRINTER HP41OOP&| COPIER B&VVHT $19.70 EOO2'4g450-388Waste Diepooa|-MC|G WASTEWATER SVCS DEC 2O17 COPIES 7-2O47TMRU1O-1947 Invoice Invoice 2643697 10/17/2017 Transaction Date 11/7/2017 Cash Payment E1U1~*193O-2O2Duplicating and copying COPY ROOM KON|CACO52-B&VV *208.45 _ OVERAGE - 10-14-17THRV11-13-17 G1V1'283Tb1V21RESTHAVENEXP PE Invoice 2657973 11/2/2017 Cash Payment E1U141V3n-2O2Duplicating and copying COPY ROOM KON|CACD52-COLOR $198.63 GALLU8CON8TRUCT|nN OVERAGE -1D-14'17THRU11'13-17 11/0/2017 Invoice 2657973 11/2/2017 Transaction Date 110/2017 Transaction Date 1117/2017 Due 12/31/2013 Wells Fargo 10100 Total $424.24 _ - EO024S450-440Other Contractual Gomiu Cash Payment E 101-49999-300 Professional Srvs LABOR RELATIONS SERVICES - SEPT 2017 $45,00 Invoice 111417 10/2/2017 Transaction Date 6/20/207 Wells Fargo 1008 Total $45,00 Refer 22MARINE COVERS AND INTERIORS _ CaohPaymam E101-452OV-21OOperating Supplies SCREEN CANVAS FOR MTCE LEAF TRUCK $150.00 Invoice 7546 10/11/2017 Transaction Date 11/7/2017 Wells Fargo 10100 Total $150�00 Refer 51MARTIN-8CALLX;7ER _ Cash Payment E222-4228V-8OUProfessional Gmo PUBLIC SAFETY AGGESSMENT-J. $500�00 MORALES- NEW FIREFIGHTER Invoice 11311 10131/2017 Cash Payment E22242200-3O0Professional Jnm PUBLIC SAFETY $50000 CH|NANDER NEW FIREFIGHTER Invoice 11311 10131/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Tota/ $1.000.00 Refer 13METROPOLITAN COUNCIL WASTE _ Cash Payment EOO2'4g450-388Waste Diepooa|-MC|G WASTEWATER SVCS DEC 2O17 $60.051J3 Invoice Transaction Date 11/7/2017 Wells Fargo 10100 Total *60.851.73 Refer 50MICHAEL 8ALLUDCON3TR _ Cash Payment G1V1'283Tb1V21RESTHAVENEXP PE ESCROW BALANCE REFUND- 1821 $428.50 REGTH/VEN'EXPANSION PERMIT 'M. GALLU8CON8TRUCT|nN Invoice 111417 11/0/2017 Transaction Date 110/2017 Wells Fargo 10100 Total $429.50 Refer 14MIDWEST SERVICES _ Cash Payment EO024S450-440Other Contractual Gomiu MECHANIC SVCS- OCT 2O17 - TRUCK #10S. $037.50 #4U7.#113.VVELL#8GENERATOR |nvn|ma 1061 11/3/2017 Project 17-5 Cash Payment EOO2'4g45V44UOther Contractual Oomin MECHANIC SVCS- OCT 2017'TRUCK #512. $680.00 #113.&GT/GA Invoice 1501 11/3/2017 Project 17-5 Cash Payment E0O24G45O44OOther Contractual Gamic MECHANIC SVCS- OCT 2D1zTRUCK #512. $680.00 #109.#1504.&ETIGA#206 /mmioe 1601 110/2017 Project 17-5 Cash Payment E0O24g45O-44OOther Contractual Servic MECHANIC SVCS- OCT 2O17-8ALDOR $680.00 PORTABLE GENERATOR, GT|SA#2OO Invoice 1861 11/3/2017 Project 17-5 -3[>78- CITY OF MOUND 11/09/17 11:15 AM Page 6 Payments Invoice 727660 11/1/2017 Transaction Date 11/7/2017 Wells Fargo 10100 Total $113.30 Refer 16 MOUND FIRE RELIEF ASSOCIATIO Cash Payment E 222-42260-124 Fire Pens Contrib NOV 2017 - FIRE RELIEF PENSION $10,750.00 CONTRIBUTION Invoice 111417 11/1/2017 Transaction Date 1/19/2017 Wells Fargo 10100 Total $10,750.00 Refer 36 MULCH STORE, THE 9/25/2017 Cash Payment E 101-45250-232 Landscape Material 50/50 CONTRACTORS BLEND- MULCH -4 $64.00 $325.06 Invoice 170962 CUBIC YARDS - 10-19-17 Invoice 22691 10/31/2017 E 601-49400-307 Admin/Finance/Compute SEPT 2017 -CIS DATA HOSTING, Transaction Date 11/7/2017 Wells Fargo 10100 Total $64.00 Refer 17 MUTTERER, ERNEST 9/25/2017 Cash Payment R 313-47200-36100 Special Assessments REFUND DUPLICATE ASSESSMENT PYMT- $104.94 4387 WILSHIRE #205 -2016 STREET IMPROV PROJ PW 16-02 LEVY #19673 Invoice 111417 11/3/2017 Transaction Date 11 /71201 7 Wells Fargo 10100 Total $104.94 Refer 20 NORLINGS LAKE MINNETONKA LA Cash Payment E 601-49400-440 Other Contractual Servic LANDSCAPE CONSTRUCTION -4988 $1,622.00 NORTHERN RD FENCE & POST INSTALLATION 10-31-17 Invoice 33009 10/11/2017 Transaction Date 8/6/2014 Wells Fargo 10100 Total $1,622.00 Refer 18 OFFICE DEPOT Cash Payment E 222-42260-200 Office Supplies BATTERIES- 9V, AAA, AA, COPY PAPER, $236.67 FILE FOLDERS, REPORT COVERS, FOLDERS,- FIRE DEPT Invoice 974743325001 10/25/2017 PO 24759 Transaction Date 11/7/2017 Wells Fargo 10100 Total $236.67 Refer 27 OPUS 21 MGMT SOLUTIONS�� Cash Payment E 602-49450-307 Admin/Finance/Compute SEPT 2017 -CIS DATA HOSTING, $1,868.88 PRODUCTION, BILLING, CALL CTR SUPPORT Invoice 170962 9/25/2017 Cash Payment E 601-49400-322 Postage SEPT 2017- UTILITY BILLING POSTAGE $325.05 Invoice 170962 9/25/2017 Cash Payment E 602-49450-322 Postage SEPT 2017- UTILITY BILLING POSTAGE $325.06 Invoice 170962 9/25/2017 Cash Payment E 601-49400-307 Admin/Finance/Compute SEPT 2017 -CIS DATA HOSTING, $1,868.89 PRODUCTION, BILLING, CALL CTR SUPPORT Invoice 170962 9/25/2017 Transaction Date 11/7/2017 Wells F_307g_ 10100 Total $4,387.88 CITY ®F AA®u ® 11/09/17 11:15 AM Page 7 Payments Ii1 Current Period: November 2017 Refer 21 PEDERSON, GREG Cash Payment E 222-42260-434 Conference & Training REIMBURSE MEALS- MN STATE FIRE CHIEF $144.00 CONF 2017- G. PEDERSON- ROCHESTER MN OCT 26-28 2017 Invoice 111417 10/31/2017 Transaction Date 11/2/2017 Wells Fargo 10100 Total $144.00 53 PERFORMANCE PLUS LLC _ _Refer Cash Payment E 222-42260-305 Medical Services FITNESS EVALUATION- RETURN TO DUTY - $579.00 FIREMAN R. CRAWFORD Invoice 4849LF 11/1/2017 Cash Payment E 222-42260-305 Medical Services RESPIRATOR QUALIFICATION- M. JAKUBIK $30.00 Invoice 4849LF 11/1/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $609.00 Refer 23 PIRTEK PLYMOUTH Cash Payment E 602-49450-404 Machinery/Equip Repairs LIFT STATION HYDRAULIC HOSE $85.29 ASSEMBLY & CLEANING Invoice S2583316.001 10/13/2017 Transaction Date 11/7/2017 Wells Fargo 10100 Total $85.29 Refer W� 24 PROPET DISTRIBUTORS, INC. Cash Payment E 101-45200-210 Operating Supplies DOGIPOT LITTER PICK UP BAGS- 200 CASE- $247.00 PARKS Invoice 119619 10/17/2017 Transaction Date 11/7/2017 Wells Fargo 10100 Total $247.00 Refer 25 RAYS SERVICES _ Cash Payment G 101-234116077 ASPEN RD ABATEME CUT & HAUL TREES, CLEANUP BRUSH, $2,000.00 PICK UP GARBAGE- 6077 ASPEN RD ABATEMENT WORK Invoice 111417 10/17/2017 Cash Payment G 101-23415 4938 WILSHIRE ABATEMEN PICK UP LEAVES MOVED TO ROADWAY- $570.00 4938 WILSHIRE BLVD- OCT 2017 Invoice 111417-2 10/17/2017 Cash Payment E 101-45250-400 Repairs & Maintenance TRIM MAPLE TREE @ MOUND CEMETERY $485.00 OCT 2017 Invoice 111417-3 10/17/2017 Transaction Date 11/7/2017 Wells Fargo 10100 Total $3,055.00 Refer 28 REPUBLIC SERVICES Cash Payment E 602-49450-384 Refuse/Garbage Disposa NOV 2017 GARBAGE SVC- PUB WRKS $138.67 Invoice 0894-004478245 10/25/2017 Project 17-3 Cash Payment E 670-49500-440 Other Contractual Servic OCT 2017 CITYWIDE RECYCLING SVC $14,494.95 Invoice 0894-004475905 10/25/2017 Transaction Date 11/3/2017 Wells Fargo 10100 Total $14,633.62 Refer 30 SCHINDLER ELEVATOR CORPORA Cash Payment E 285-46388-440 Other Contractual Servic PARKING DECK ELEVATOR MTCE $2,807.76 CONTRACT 11-01-17 THRU 10-31-18 Invoice 8104654579 11/1/2017 Transaction Date 11/7/2017 Wells Fargo 10100 Total $2,807.76 Refer 29 SIMPLEX GRINNELL Ii1 CITY OF MOUND 11/09/17 11:15 AM Page 8 Payments Current Period: November 2017 Invoice 1972513 10/19/2017 Transaction Date 11/6/2017 Wells Fargo 10100 Total $318.00 Refer 32 STUFF -IT MOVING & STORAGE Cash Payment G 101-23411 6077 ASPEN RD ABATEME 20' CONTAINER RENTAL 10-20-17 THRU 11- $189.00 19-17 @ 6077 ASPEN RD - ABATEMENT Invoice 203295 10/20/2017 Transaction Date 11/6/2017 Wells Fargo 10100 Total $189.00 Refer 33 SUN NEWSPAPERS -HWS ACCT. Cash Payment E 609-49750-340 Advertising HELP WANTED- NWS LEAD SALES CLERK $1,014.80 AD 11-2-17 THRU 11-4-17 EDITIONS Invoice 545792 11/5/2017 Cash Payment E 609-49750-340 Advertising HELP WANTED- HWS LEAD SALES CLERK $50.00 AD 10-28-17 ONLINE SITES Invoice 543714 10/29/1717 Cash Payment E 101-41110-351 Legal Notices Publishing INFRASTRUCTURE REPLACEMENT $69.39 RESERVE FUND -PUB HEARING LEG NTCE- PUBLISHED 10-28 & 11-4-17 Invoice 544141 11/4/2017 Cash Payment E 101-42400-351 Legal Notices Publishing OPEN HOUSE LEGAL NTCE 2040 COMP $164,00 PLAN OPEN HOUSE- PUB 11-4-17 Invoice 544445 11/5/2017 Transaction Date 11/7/2017 N Wells Fargo 10100 Total $1,298.19 Refer 48 SUSTAINABLE 9 DESIGN _ Cash Payment G 101-23374 4908 THREE PTS VAREXP ESCROW BALANCE REFUND- 4908 THREE $710.00 PTS BLVD PC 17-01 & 17-02- SUSTAINABLE 9 DESIGN Invoice 111417 11/6/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $710.00 Refer 35 TONKA PLUMBING HEATING & CL Cash Payment E 601-49400-440 Other Contractual Servic SVC WELLHOUSE #8- EVERGREEN 6-22-17 $188.00 Invoice 9593 11/2/2017 Transaction Date 11/7/2017 Wells Fargo 10100 Total $188.00 Refer 34 USA BLUEBOOK _ Cash Payment E 601-49400-210 Operating Supplies DEIONIZED WATER TYPE 11- FLUORIDE $221.64 TABLETS, STANDARD BLUE WATER TABLETS Invoice 401894 10/24/2017 Transaction Date 11/7/2017 Wells Fargo 10100 Total $221.64 37 VESSCO, INCORPORATED _Refer Cash Payment E 601-49400-404 Machinery/Equip Repairs WELL #3 ONSITE REPAIR 10-26-17 $266.92 Invoice 71124 10/27/2017 Transaction Date 11/8/2017 Wells F,_3Q�1' 10100 Total $266.92 Refer Cash Payment CITY OF MOUND 11/09/17 12:06 PM Page 9 Payments Current Period: November 2017 38 WASTE MANAGEMENT OF WI -MN _ E 101-41930-384 Refuse/Garbage Disposa GARBAGE SVC ANOV 2017- CITY HALL & FIRE DEPT Invoice 7076563-1593-4 10/27/2017 $81.44 Cash Payment E 222-42260-384 Refuse/Garbage Disposa GARBAGE SVC NOV 2017- CITY HALL & $81.43 FIRE DEPT $23,757.66 Invoice 7076563-1593-4 10/27/2017 $14,848.69 Cash Payment E 101-45200-384 Refuse/Garbage Disposa GARBAGE SVC NOV 2017- PARKS $525.86 Invoice 7076564-1593-2 10/27/2017 $104.94 Cash Payment E 602-49450-384 Refuse/Garbage Disposa GARBAGE SVC NOV 2017- PUB WKS BLDG $84.74 Invoice 7076565-1593-9 10/27/2017 Project 17-3 $5,576.91 Transaction Date 11/8/2017 Wells Fargo 10100 Total $773.47 Refer----- 39 XCEL ENERGY _ $1,683.91 Cash Payment E 101-43100-381 Electric Utilities SHORELINE -COMMERCE STREET LIGHTS 9- $45.70 24-17 THRU 10-23-17 Invoice 566873722 10/24/2017 Cash Payment E 602-49450-381 Electric Utilities ELECTRIC SVC 9-23-17 THRU 10-23-17 $89.28 CARLOW RD LIFT STATION Invoice 566933105 10/25/2017 Cash Payment E 101-43100-381 Electric Utilities ELECTRIC SVC 10-03-17 THRU 11-02-17 $4,456.14 MAYWOOD STREET LIGHTS Invoice 568291038 11/3/2017 _ Transaction Date 11/7/2017 Wells Fargo 10100 Total $4,591.12 Refer 40 ZARNOTH BRUSH WORKS, INCOR Cash Payment E 101-43100-220 Repair/Maint Supply ELGIN/TYMCO DISPOSABLE GUTTER $1,090.00 BROOMS -QTY 10 STREETS Invoice 0167210 10/18/2017 _ Transaction Date 11/7/2017 Wells Fargo 10100 Total $1,090.00 Fund Summary $204,689.85 Pre -Written Checks $0.00 Checks to be Generated by the Computer $204,689.85 Total $204,689.85 -3082- 10100 Wells Fargo 101 GENERAL FUND $23,757.66 222 AREA FIRE SERVICES $14,848.69 285 MOUND HRA $3,038.16 313 2016 IMPROVEMENTS $104.94 401 GENERAL CAPITAL PROJECTS $1,224.00 601 WATER FUND $5,576.91 602 SEWER FUND $139,960.63 609 MUNICIPAL LIQUOR FUND $1,683.91 670 RECYCLING FUND $14,494.95 $204,689.85 Pre -Written Checks $0.00 Checks to be Generated by the Computer $204,689.85 Total $204,689.85 -3082- CIT`' OF MOUND 11/09/17 1:56 PM Page 1 Payments Current Period: November 2017 Batch Name 111417HWS User Dollar Amt $144,106.81 Payments Computer Dollar Amt $144,106.81 $0.00 In Balance Refer 1 ARCTIC GLACIER PREMIUM ICE Cash Payment E 609-49750-255 Misc Merchandise For R ICE $42.72 Invoice 1917730805 11/4/2017 Cash Payment E 609-49750-255 Misc Merchandise For R ICE $103.64 Invoice 1990729404 10121/2017 Cash Payment E 609-49750-255 Misc Merchandise For R ICE $100.95 Invoice 1990730104 10/28/2017 Transaction Date 11/8/2017 Due 12/31/2014 Wells Fargo 10100 Total $247.31 Refer 2 ARTISAN BEER COMPANY Cash Payment E 609-49750-252 Beer For Resale BEER $347.00 Invoice 3216046 10/19/2017 Cash Payment E 609-49750-252 Beer For Resale BEER $1,098.25 Invoice 3219594 11/2/2017 Cash Payment E 609-49750-252 Beer For Resale BEER $346.90 Invoice 3217970 10/27/2017 Cash Payment E 609-49750-252 Beer For Resale BEER CREDIT -$24.48 Invoice 401900 10/23/2017 Cash Payment E 609-49750-252 Beer For Resale BEER CREDIT -$60.90 Invoice 402074 10/24/2017 Cash Payment E 609-49750-252 Beer For Resale BEER CREDIT -$37.80 Invoice 402075 10/24/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $1,668.97 Refer 5 BELLBOY CORPORATION Cash Payment E 609-49750-253 Wine For Resale WINE $80.00 Invoice 61350700 10/27/2017 Cash Payment E 609-49750-265 Freight FREIGHT $7.65 Invoice 61350700 10/27/2017 Cash Payment E 609-49750-251 Liquor For Resale LIQUOR $174.30 Invoice 61350700 10/27/2017 Cash Payment E 609-49750-265 Freight FREIGHT $12.81 Invoice 61237400 10/20/2017 Cash Payment E 609-49750-251 Liquor For Resale LIQUOR $964.51 Invoice 61237400 10/20/2017 Cash Payment E 609-49750-251 Liquor For Resale LIQUOR $663.00 Invoice 61456300 11/3/2017 Cash Payment E 609-49750-265 Freight FREIGHT $10.20 Invoice 61456300 11/3/2017 Cash Payment E 609-49750-265 Freight FREIGHT $12.30 Invoice 61259900 10/25/2017 Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX $486.00 Invoice 61259900 10/25/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $2,410.77 Refer 4 BELLBOY CORPORATION Cash Payment E 609-49750-251 Liquor For Resale LIQUOR $2,545.57 Invoice 61366200 10/30/2017 -3083- CITY OF MOUND 11/09/17 1:56 PM Page 2 Payments Cash Payment E 609-49750-210 Operating Supplies SUPPLIES, BAGS, DUM DUM POPS $106.20 Invoice 96640600 10/20/2017 Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX $36.00 Invoice 96678100 10/30/2017 Cash Payment E 609-49750-255 Misc Merchandise For R MDSE- JELLO SHOT CUPS $23.88 Invoice 96640600 10/20/2017 Cash Payment E 609-49750-210 Operating Supplies SUPPLIES, BAGS $39.90 Invoice 96674600 10/27/2017 Cash Payment E 609-49750-255 Misc Merchandise For R MDSE- PLASTIC 5 OZ CLEAR LOW BALL $102.00 GLASSES Invoice 96571000 10/6/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $307.98 Refer 44 BERNICKS SBEVERAGES AND VEN Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX $20.80 Invoice 391221 11/8/2017 Cash Payment E 609-49750-252 Beer For Resale BEER $742.80 Invoice 391222 11/8/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $763.60 Refer 6 BERNICKS BEVERAGES AND VEN Cash Payment E 609-49750-252 Beer For Resale BEER $239.70 Invoice 388788 10/25/2017 Cash Payment E 609-49750-252 Beer For Resale BEER $128.80 Invoice 7435 10/25/2017 Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX $81.60 Invoice 390013 11/1/2017 Cash Payment E 609-49750-252 Beer For Resale BEER $788.85 Invoice 390014 11/1/2017 Transaction Date 11/812017 Wells Fargo 10100 Total $1,238.95 Refer 7 BREAKTHRU BEVERAGE MN BEE Cash Payment E 609-49750-252 Beer For Resale BEER $3,632.60 Invoice 1090778027 10/25/2017 Cash Payment E 609-49750-252 Beer For Resale BEER $35.20 Invoice 1090778028 10/25/2017 Cash Payment E 60949750-252 Beer For Resale BEER CREDIT -$25.60 Invoice R09201681 10/24/2017 Cash Payment E 609-49750-252 Beer For Resale BEER CREDIT -$22.15 Invoice R39589 10/25/2017 Cash Payment E 609-49750-252 Beer For Resale BEER CREDIT -$20.76 Invoice R41479 11/1/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $3,599.29 Refer 8 BREAKTHRU BEVERAGE MN BEE -3084- CITY OF MOUND 11/09/17 1:56 PM Page 3 Payments Current Period: November 2017 WINE Cash Payment E 609-49750-252 Beer For Resale BEER $4,581.95 Invoice 1090780896 11/1/2017 Cash Payment E 609-49750-251 Liquor For Resale LIQUOR Cash Payment E 609-49750-252 Beer For Resale BEER $111.85 Invoice 1090780897 11/1/2017 Cash Payment E 609-49750-253 Wine For Resale WINE Cash Payment E 609-49750-252 Beer For Resale BEER $149.00 Invoice 1090782028 11/2/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Cash Payment E 609-49750-252 Beer For Resale BEER $4,325.19 Invoice 1090783633 11/8/2017 Cash Payment E 60949750-251 Liquor For Resale LIQUOR Cash Payment E 609-49750-252 Beer For Resale BEER $35.20 Invoice 1090783634 11/8/2017 Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX $62.92 Transaction Date 11/8/2017 Wells Fargo 10100 Total $9,203.19 Refer 9 BREAKTHRU BEVERAGE MN WINE Cash Payment E 609-49750-253 Wine For Resale WINE $176.00 Invoice 1080712836 11/2/2017 Invoice 7111241 10/24/2017 Cash Payment E 609-49750-251 Liquor For Resale LIQUOR $2,205.76 Invoice 1080712835 11/2/2017 BEER CREDIT -$1,177.60 Cash Payment E 609-49750-253 Wine For Resale WINE $2,090.00 Invoice 1080708899 10/25/2017 Cash Payment E 609-49750-252 Beer For Resale Transaction Date 11/8/2017 Wells Fargo 10100 Total $4,471.76 Refer45 BREAKTHRU BEVERAGE MN WINE Cash Payment E 60949750-251 Liquor For Resale LIQUOR $1,148.73 Invoice 1080716269 11/9/2017 Refer 12 CAPITOL BEVERAGE SALES, L.P. Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX $62.92 Invoice 1080716270 11/9/2017 Cash Payment E 609-49750-253 Wine For Resale WINE $1,836.15 Invoice 1080716272 11/9/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $3,047.80 Refer 10 BREAKTHRU BEVERAGE MNWINE Cash Payment E 609-49750-251 Liquor For Resale LIQUOR $648.27 Invoice 1080709313 10/26/2017 Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX $96.95 Invoice 1080709354 10/26/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $745.22 Refer 11 CAPITOL BEVERAGE SALES, L.P. Cash Payment E 609-49750-252 Beer For Resale BEER $1,126.40 Invoice 7111241 10/24/2017 Cash Payment E 609-49750-252 Beer For Resale BEER CREDIT -$1,177.60 Invoice 7111242 10/24/2017 Cash Payment E 609-49750-252 Beer For Resale BEER $4,390.15 Invoice 2020435 10/24/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $4,338.95 Refer 12 CAPITOL BEVERAGE SALES, L.P. Cash Payment E 609-49750-252 Beer For Resale Invoice 2023286 10/31/2017 Cash Payment E 609-49750-252 Beer For Resale Invoice 2023287 10/31/2017 Cash Payment E 609-49750-252 Beer For Resale Invoice 355-299 10/31/2017 BEER $77.00 BEER $4,808.20 BEER "'"r -$10.40 -3085- vITY OF MOUND 11/09/17 1:56 PM Page 4 Payments Current Period: November 2017 Cash Payment E 609-49750-252 Beer For Resale Invoice 67-3001 11/2/2017 Cash Payment E 609-49750-252 Beer For Resale Invoice 67-2926 10/19/2017 Cash Payment E 609-49750-252 Beer For Resale Invoice 421657 10/19/2017 BEER $343.00 BEER $215.00 BEER CREDIT -$74.58 Transaction Date 11/8/2017 Wells Fargo 10100 Total $483.42 Refer 14 COCA COLA BOTTLING -MIDWEST Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa COCA COLA PRODUCTS- MIX $379.32 Invoice 3595206192 10/23/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $4,874.80 Refer 46 CAPITOL BEVERAGE SALES, L.P. Referw 15 DAHLHEIMER BEVERAGE LLCM Cash Payment E 609-49750-252 Beer For Resale BEER $42.80 Invoice 2026304 11/7/2017 Invoice 1313456 10/24/2017 Cash Payment E 609-49750-252 Beer For Resale BEER $2,129.20 Invoice 2026305 11/7/2017 Invoice 1313554 10/31/2017 Cash Payment E 609-49750-252 Beer For Resale BEER $120.00 Invoice 2027050 11/8/2017 Invoice 1316830 11/7/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $2,292.00 Refer 13 CLEAR RIVER BEVERAGE CO. Refer xi 16 DONAGHUE DOORS INC. Cash Payment E 609-49750-252 Beer For Resale Invoice 67-3001 11/2/2017 Cash Payment E 609-49750-252 Beer For Resale Invoice 67-2926 10/19/2017 Cash Payment E 609-49750-252 Beer For Resale Invoice 421657 10/19/2017 BEER $343.00 BEER $215.00 BEER CREDIT -$74.58 Transaction Date 11/8/2017 Wells Fargo 10100 Total $483.42 Refer 14 COCA COLA BOTTLING -MIDWEST Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa COCA COLA PRODUCTS- MIX $379.32 Invoice 3595206192 10/23/2017 Invoice 29828 11/2/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $379.32 Referw 15 DAHLHEIMER BEVERAGE LLCM Invoice 29828 11/2/2017 Cash Payment E 609-49750-252 Beer For Resale BEER $2,675.00 Invoice 1313456 10/24/2017 Refer, 18 HOHENSTEINS, INCORPORATED Cash Payment E 609-49750-252 Beer For Resale BEER $921.00 Invoice 1313554 10/31/2017 Invoice 926482 10/26/2017 Cash Payment E 609-49750-252 Beer For Resale BEER $2,512.50 Invoice 1316830 11/7/2017 Refer 19 INDIAN ISLAND WINERY Transaction Date 11/8/2017 Wells Fargo 10100 Total $6,108.50 Refer xi 16 DONAGHUE DOORS INC. Cash Payment E 609-49750-400 Repairs & Maintenance REPAIR SLIDER DOOR- TIGHTEN ANTI $90.00 RISER ROLLERS- HWS Invoice 295 10/30/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $90.00 Refer 17 GRAPE BEGINNINGS, INCORPORA Cash Payment E 609-49750-253 Wine For Resale WINE $640.00 Invoice 29828 11/2/2017 Cash Payment E 609-49750-265 Freight FREIGHT $6.75 Invoice 29828 11/2/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $646.75 Refer, 18 HOHENSTEINS, INCORPORATED Cash Payment E 609-49750-252 Beer For Resale BEER $1,026.00 Invoice 926482 10/26/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $1,026.00 Refer 19 INDIAN ISLAND WINERY _ i:• CITY OF MOUND 11/09/17 1:56 PM Page 5 Payments Current Period: November 2017 Cash Payment E 609-49750-253 Wine For Resale WINE $266.88 Invoice 1826 10/26/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $266.88 Refer 21 JJ TAYLOR. DISTRIBUTING MINN Cash Payment E 609-49750-252 Beer For Resale BEER $2,394.45 Invoice 2754701 11/1/2017 Cash Payment E 609-49750-252 Beer For Resale BEER $21.50 Invoice 2754702 11/1/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $2,415.95 Refer 47 JJ TAYLOR. DISTRIBUTING MINN Cash Payment E 609-49750-252 Beer For Resale BEER $95.30 Invoice 2754738 11/8/2017 Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX $38.80 Invoice 2754738 11/8/2017 Cash Payment E 609-49750-252 Beer For Resale BEER $5,105.75 Invoice 2754737 11/8/2017 Cash Payment E 609-49750-252 Beer For Resale BEER $49.90 Invoice 2754752 11/8/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $5,289.75 Refer 20 JJ TAYLOR. DISTRIBUTING MINN Cash Payment E 609-49750-252 Beer For Resale BEER $28.40 Invoice 2754665 10/25/2017 Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX $81.55 Invoice 2754665 10/25/2017 Cash Payment E 609-49750-252 Beer For Resale BEER $6,828.70 Invoice 2754664 10/25/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $6,938.65 Refer 48 JOHNSON BROTHERS LIQUOR Cash Payment E 609-49750-251 Liquor For Resale LIQUOR $6,844.45 Invoice 5865072 11/8/2017 Cash Payment E 609-49750-253 Wine For Resale WINE $2,789.60 Invoice 5865073 11/8/2017 Cash Payment E 609-49750-253 Wine For Resale WINE CREDIT -$115.85 Invoice 650564 11/2/2017 Cash Payment E 609-49750-253 Wine For Resale WINE CREDIT -$29.66 Invoice 650563 11/2/2017 Cash Payment E 609-49750-253 Wine For Resale WINE CREDIT -$7.58 Invoice 650566 11/2/2017 Cash Payment E 609-49750-253 Wine For Resale WINE CREDIT -$49.60 Invoice 650565 11/2/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $9,431.36 Refer a 23 JOHNSON BROTHERS LIQUOR Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX $36.00 Invoice 5859698 11/1/2017 Cash Payment E 609-49750-251 Liquor For Resale LIQUOR $2,528.29 Invoice 5859696 11/1/2017 Cash Payment E 609-49750-253 Wine For Resale WINE _3087_ $6,411.30 Invoice 5859697 11/1/2017 CITY OF MOUND 11/09/17 1:56 PM Page 6 Payments Invoice 33572 10/30/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $868.55 Refer 25 MINNEHAHA BUILDING MTCE. INC Cash Payment Current Period: November 2017 WASH WINDOWS INSIDE & OUT 9-18-17 $65.19 Invoice 928078757 10/8/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $8,975.59 Refer 22 JOHNSON BROTHERS LIQUOR Cash Payment E 609-49750-251 Liquor For Resale LIQUOR $4,523.09 Invoice 5853923 10/25/2017 Cash Payment E 609-49750-253 Wine For Resale WINE $6,316.97 Invoice 5853924 10/25/2017 _ Cash Payment E 609-49750-251 Liquor For Resale LIQUOR CREDIT -$9.63 Invoice 648649 10/19/2017 Cash Payment E 609-49750-252 Beer For Resale BEER $24.00 Invoice 5853925 10/25/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $10,854.43 Refer 24 MARLIN S TRUCKING DELIVERY Cash Payment E 609-49750-265 Freight DELIVERY SVC 10-16-17 $21.75 Invoice 33527 10/16/2017 Cash Payment E 609-49750-265 Freight DELIVERY SVC 10-19-17 $337.85 Invoice 33542 10/19/2017 Cash Payment E 609-49750-265 Freight DELIVERY SVC 10-23-17 $42.05 Invoice 33550 10/23/2017 Cash Payment E 609-49750-265 Freight DELIVERY SVC 10-26-17 $440.80 Invoice 33564 10/26/2017 Cash Payment E 609-49750-265 Freight DELIVERY SVC 10-30-17 $26.10 Invoice 33572 10/30/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $868.55 Refer 25 MINNEHAHA BUILDING MTCE. INC Cash Payment E 609-49750-440 Other Contractual Servic WASH WINDOWS INSIDE & OUT 9-18-17 $65.19 Invoice 928078757 10/8/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $65.19 Refer 26 MOUND, CITY OF Cash Payment E 609-49750-382 Water Utilities WATER SERVICE 8-31-17 THRU 9-29-17 HWS $61.80 Invoice 111417 10/20/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $61.80 Refer 27 PARLEY LAKE WINERY _ Cash Payment E 609-49750-253 Wine For Resale WINE $186.00 Invoice 17212 11/2/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $186.00 28 PAUSTIS AND SONS WINE COMPA _Refer Cash Payment E 609-49750-253 Wine For Resale WINE $1,343.75 Invoice 8608195 10/23/2017 Cash Payment E 609-49750-265 Freight FREIGHT $18.75 Invoice 8608195 10/23/2017 Cash Payment E 609-49750-253 Wine For Resale WINE $167.00 Invoice 8608769 10/26/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $1,529.50 Refer 49 PAUSTIS AND SONS WINE COMPA Cash Pa ment E 609-49750-253 Wine For Resale WINE $963.73 J Invoice 8609770 11/6/2017 -3088- 11/09/17 1:56 ������������ Page Payments Current Period: November 20nr Cash Payment E 609-49750-265 Freight FREIGHT $10.00 Invoice 8809770 11/6/2017 Transaction Date 11/8/2017 Wells Forgo 10100 Total $97573 Refer 28R4VSTI8AND SONS WINE COMPA _ Cash Payment EUO943750-253Wine For Resale WINE *804.12 Invoice 8008870 1030/2017 Cash Payment E 609-49750-265 Freight FREIGHT $875 Invoice 8608878 10302017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $812.87 Refer 31 PHILLIPS WINE AND SPIRITS, INC _ Cash Payment EO09-49750-253Wine For Resale WINE $061.25 Invoice 2255928 11/1/2017 Cash Payment E8V949r5V-251 Liquor For Resale LIQUOR $850.15 Invoice 2255927 11/1/2017 Cash Payment EOOS'4975O-254Soft Drinks/Mix For Resa MIX %144.00 Invoice 2255929 11/1/2017 Transaction Date 110/2017 Wells Fargo 10100 Total $1.455.40 Refer 30 PHILLIPS NV8E AND SPIRITS,_ Cash Payment E0O9-49r5O'251Liquor For Resale LIQUOR $4.631.50 Invoice 2252166 1025/2017 Cash Payment EOnV49750-253Wine For Resale WINE $1.591D0 Invoice 2252167 1025/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $8.222.50 Refer 50 PHILLIPS WINE AND SPIRITS, INC- Cash Payment EO09-4975D253Wine For Resale WINE *1.844.00 Invoice 2259575 110/2017 Cash Payment EOOS-4S750-251 Liquor For Resale LIQUOR $225.80 Invoice 2259574 11/8/2017 Cash Payment EOV94975V'258Wine For Resale WINE $80.00 Invoice 2256809 11/212017 Transaction Date 110/2017 Wells Fargo 10100 Total $2.149.00 Refer 2 PLUNKETT S, INCORPORATED_ Cash Payment EhO84975O44UOther Contractual Gowic 4TH QTR CONTRACTED PEST CONTROL *52.02 SVC 11'V1-10HWS Invoice W16163785 11/1/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total s5202 Refer 33RED BULL DISTRIBUTION CO. INC _ Cash Payment EVVV-48750-254Soft Drinks/Mix For Raoa MIX $389.00 Invoice K-55432857 11K6/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $389.00 Refer 34OCHGnM WINERY,_ Cash Payment EhO9'497S&253Wine For Resale WINE $252.00 Invoice 1*237 10/31/2017 Cash Payment E0O84875O-Ze3Wine For Resale VV/NE $300.00 Invoice 14240 11/2/2017 Transaction Date 11/8/2017 Wells F,--- 10100 Total $552.00 3[)89~ CITY OF MOUND 11/09/17 1:56 PM Page 8 Payments Invoice 1606442 10/26/2017 Transaction Date Current Period: November 2017 Wells Fargo 10100 Total $6,546.76 Refer 53 ST. CLOUD REFRIGERATION, INC Refer 51 SHANKEN COMMUNICATIONS, INC E 609-49750-400 Repairs & Maintenance REPLACE FAN BLADE - MASERBUILT Cash Payment E 609-49750-255 Misc Merchandise For R WINE SPECTATOR PUBLICATIONS 11-30-17 $15.00 Invoice W23886 EDITION Invoice S0606127 10/31/2017 Cash Payment E 609-49750-400 Repairs & Maintenance Cash Payment E 609-49750-255 Misc Merchandise For R WINE SPECTATOR PUBLICATIONS 11-15-17 $15.00 MICE- 10-12-17- HWS EDITION 11/1/2017 Invoice S0603393 10/17/2017 Transaction Date Transaction Date 1119/2017 Wells Fargo 10100 Total $30.00 Refer 36 SOUTHERN WINE & SPIRITS OF M _Refer Cash Payment E 609-49750-253 Wine For Resale WINE $4,167.50 Invoice 1609153 11/2/2017 SILICONE SPRAY- HWS Cash Payment E 609-49750-251 Liquor For Resale LIQUOR $3,539.46 Invoice 1609154 11/2/2017 Wells Fargo 10100 Total $1,182.57 Cash Payment E 609-49750-253 Wine For Resale WINE CREDIT -$210.00 Invoice 9118150 10/16/2017 Cash Payment E 609-49750-253 Wine For Resale WINE CREDIT -$96.00 Invoice 9118707 10/18/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $7,400.96 Refer 52 SOUTHERN WINE & SPIRITS OF M� Cash Payment E 609-49750-253 Wine For Resale WINE $816.00 Invoice 1611851 11/9/2017 Cash Payment E 609-49750-251 Liquor For Resale LIQUOR $1,643.25 Invoice 1611852 11/9/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total W $2,459.25 Refer 35 SOUTHERN WINE & SPIRITS OF M Cash Payment E 609-49750-253 Wine For Resale WINE $624.00 Invoice 1606444 10/26/2017 Cash Payment E 609-49750-251 Liquor For Resale LIQUOR $3,816.20 Invoice 1606441 10/26/2017 Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX $104.00 Invoice 1606443 10/26/2017 Cash Payment E 609-49750-253 Wine For Resale WINE $2,002.56 Invoice 1606442 10/26/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $6,546.76 Refer 53 ST. CLOUD REFRIGERATION, INC Cash Payment E 609-49750-400 Repairs & Maintenance REPLACE FAN BLADE - MASERBUILT $504.67 CONDENSER #2- HWS COOLERS Invoice W23886 10/31/2017 Cash Payment E 609-49750-400 Repairs & Maintenance HEATING 1 & REFRIG 2 REGULAR SVC- $403.99 MICE- 10-12-17- HWS Invoice W23710 11/1/2017 Transaction Date 11/9/2017 Wells Fargo 10100 Total $908.66 Refer 37 STAN MORGAN & ASSSOC. INC. Cash Payment E 609-49750-400 Repairs & Maintenance STORE FIXTURES & TRACK SHELVES, $1,182.57 SILICONE SPRAY- HWS Invoice 59527 10/30/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $1,182.57 Refer 44 VWOCOPIA, INCORPORATED _3090_ CITY OF MOUND 11/09/17 1:56 PM Page 9 Payments Current Period: November 2017 Refer 38 VINOCOPIA, INCORPORATED Cash Payment E 609-49750-251 Liquor For Resale LIQUOR $1,487.50 Cash Payment E 609-49750-251 Liquor For Resale LIQUOR $502.50 Invoice 0192521 11/2/2017 FREIGHT $16.50 Cash Payment E 609-49750-265 Freight FREIGHT $6.00 Invoice 0192521 11/2/2017 WINE $824.00 Cash Payment E 609-49750-253 Wine For Resale WINE $632.00 Invoice 0192520 11/2/2017 FREIGHT $12.00 Cash Payment E 609-49750-265 Freight FREIGHT $10.00 Invoice 0192520 11/2/2017 MIX $64.00 Transaction Date 11/8/2017 Wells Fargo 10100 Total $1,150.50 Refer 38 VINOCOPIA, INCORPORATED Cash Payment E 609-49750-251 Liquor For Resale LIQUOR $1,487.50 Invoice 0192218 10/27/2017 Cash Payment E 609-49750-265 Freight FREIGHT $16.50 Invoice 0192218 10/27/2017 Cash Payment E 609-49750-253 Wine For Resale WINE $824.00 Invoice 0191980 10/26/2017 Cash Payment E 609-49750-265 Freight FREIGHT $12.00 Invoice 0191980 10/26/2017 Cash Payment E 609-49750-254 Soft Drinks/Mix For Resa MIX $64.00 Invoice 0191981 10/26/2017 Cash Payment E 609-49750-265 Freight FREIGHT $3.00 Invoice 0191981 10/26/2017 Cash Payment E 609-49750-251 Liquor For Resale LIQUOR $333.50 Invoice 0191982 10/26/2017 Cash Payment E 609-49750-265 Freight FREIGHT $3.00 Invoice 0191982 10/26/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $2,743.50 Refer 39 VINOCOPIA, INCORPORATED Cash Payment E 609-49750-251 Liquor For Resale LIQUOR $407.25 Invoice 0191410 10/19/2017 Cash Payment E 609-49750-265 Freight FREIGHT $7.50 Invoice 0191410 10/19/2017 Cash Payment E 609-49750-253 Wine For Resale WINE $160.00 Invoice 0191411 10/19/2017 Cash Payment E 609-49750-265 Freight FREIGHT $5.00 Invoice 0191411 10/19/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $579.75 Refer 40 WINE COMPANY Cash Payment E 609-49750-253 Wine For Resale WINE $640.00 Invoice 51750 10/19/2017 Cash Payment E 609-49750-265 Freight FREIGHT $9.90 Invoice 51750 10/19/2017 Cash Payment E 609-49750-253 Wine For Resale WINE $608.00 Invoice 53130 11/2/2017 Cash Payment E 609-49750-265 Freight FREIGHT $8.25 Invoice 53130 11/2/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $1,266.15 Refer 41 WINE COMPANY - _3001_ CITY OF MOUND 11/09/17 1:56 PM Page 10 Payments $144,106.81 Pre -Written Checks $0.00 Checks to be Generated by the Computer $144,106.81 Total $144,106.81 -3092- Current Period: November 2017 Cash Payment E 609-49750-253 Wine For Resale WINE $1,024.00 Invoice 52464 10/26/2017 Cash Payment E 609-49750-265 Freight FREIGHT $18.15 Invoice 52464 10/26/2017 Cash Payment E 609-49750-255 Misc Merchandise For R MERCHANDISE- SPIEGELAU IPA GLASSES- $128.00 4X6PKS Invoice 52464 10/26/2017 Transaction Date 11/8/2017 �� Wells Fargo 10100 Total ��_ $1,170.15 — Refer �� 42 WINE MERCHANTS Cash Payment E 609-49750-253 Wine For Resale WINE $584.00 Invoice 7155364 10/25/2017 Cash Payment E 609-49750-253 Wine For Resale WINE $369.00 Invoice 7156376 11/1/2017 Cash Payment E 609-49750-253 Wine For Resale WINE $590.00 Invoice 7157363 11/8/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $1,543.00 Refer 43 Z WINES LISA LLC Cash Payment E 609-49750-253 Wine For Resale WINE $80.00 Invoice 18691 11/1/2017 Cash Payment E 609-49750-265 Freight FREIGHT $5.00 Invoice 18691 11/1/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $85.00 Fund Summary 10100 Wells Fargo 609 MUNICIPAL LIQUOR FUND $144,106.81 $144,106.81 Pre -Written Checks $0.00 Checks to be Generated by the Computer $144,106.81 Total $144,106.81 -3092- CITY OF MOUND 11/09/17 12:20 PM Page 1 Payments Current Period: November 2017 Batch Name 111417CITY-2 User Dollar Amt $92,643.87 Payments Computer Dollar Amt $92,643.87 $0.00 In Balance Refer 6IVERSON, NOAH Cash Payment E 101-41500-433 Dues and Subscriptions REIMBURSE ASSOC OF CERTIFIED FRAUD $175.50 EXAMINERS MEMBERSHIP- N. IVERSON Invoice 111417 11/9/2017 P024910 Invoice 111417-2 10/5/2017 Transaction Date 11/9/2017 Wells Fargo 10100 Total $175.50 Refer 2 JUBILEE FOODS E 101-41310-431 Meeting Expense Invoice 111417-2 Cash Payment E 609-49750-340 Advertising OKTOBERFEST 10-5-17 FOOD ITEMS- $157.49 $77.50 BRATS, SNACK MIX, PRETZELS, SAUER COPIER SVC 11-2-17 Invoice 2658249 KRAUT, CONDIMENTS, BUNS- HWS Invoice 111417 10/5/2017 E 101-42400-202 Duplicating and copying KONICA MINOLTA HP3035 FINANCE/P &1 Cash Payment E 609-49750-340 Advertising RETURN UNUSED BRATS- OKTOBERFEST -$43.37 Invoice 2658249 EVENT 10-5-17- HWS Invoice 111417 10/5/2017 PO 1 11/9/2017 Wells F�-3093- 10100 Total Cash Payment E 609-49750-210 Operating Supplies GARBAGE BAGS- HWS $10.42 Invoice 111417 10/27/2017 PO 1 Cash Payment E 609-49750-210 Operating Supplies DAWN DISH SOAP- NWS $6.39 Invoice 111417 10/11/2017 PO 1 Cash Payment E 609-49750-255 Misc Merchandise For R BOTTLED WATER FOR RESALE- HWS $15.96 Invoice 111417 10/6/2017 PO 1 Transaction Date 11/7/2017 Wells Fargo 10100 Total $146.89 Refer 1 JUBILEE FOODS Cash Payment E 101-45200-210 Operating Supplies Invoice 111417-2 10/5/2017 Cash Payment E 101-41910-220 Repair/Maint Supply Invoice 111417-2 10/5/2017 Cash Payment E 101-41310-431 Meeting Expense Invoice 111417-2 10/4/2017 Cash Payment E 101-41310-431 Meeting Expense Invoice 111417-2 10/25/2017 Cash Payment E 101-41310-431 Meeting Expense JOHNNIES- OUTDOOR- PLANTS- $222.81 DOWNTOWN CITY ENTRANCES POTS JOHNNIES- OUTDOOR- PLANTS- $71.92 CENTENNIAL BLDG- POTS COOKIES- 17TH ANNUAL FLU SHOT $24.90 WORKSITE CLINIC- 10-04-17 EMPLOYEE ANNUAL OPEN ENROLLMENT $37.64 BENEFIT ELECTION MTG TREATS - COOKIES, CUPCAKES, CHIPS, HUMUS, APPLES 10-25-17 EMPLOYEE ANNUAL OPEN ENROLLMENT $11.98 BENEFIT ELECTION MTG TREATS - COOKIES, CIDER 10-25-17 Invoice 111417-2 10/25/2017 Transaction Date 11/7/2017 Wells Fargo 10100 Total $369.25 Refer 9 LOFFLER COMPANIES, /NCORPOR Cash Payment E 101-41500-202 Duplicating and copying KONICA MINOLTA HP3035 FINANCE/P &1 $77.50 COPIER SVC 11-2-17 Invoice 2658249 11/2/2017 Cash Payment E 101-42400-202 Duplicating and copying KONICA MINOLTA HP3035 FINANCE/P &1 $77.50 COPIER SVC 11-2-17 Invoice 2658249 11/2/2017 Transaction Date 11/9/2017 Wells F�-3093- 10100 Total $155.00 CITY OF MOUND 11/09/17 12:20 PM Page 2 Payments Current Period: November 2017 Cash Payment E 101-41930-460 Janitorial Services Invoice 1117011 11/1/2017 Cash Payment E 222-42260-460 Janitorial Services Invoice 1117011 11/1/2017 Cash Payment E 101-41910-460 Janitorial Services Invoice 1117011 11/1/2017 Cash Payment E 602-49450-460 Janitorial Services JANITORIAL SVC- OCTOBER 2017-- CITY $474.80 HALL JANITORIAL SVC- OCTOBER 2017-- FIRE $245.20 DEPT JANITORIAL SVC- OCTOBER 2017-- $426.93 CENTENNIAL BLDG JANITORIAL SVC- OCTOBER 2017-- PUBLIC $163.47 WORKS BLDG Invoice 1117011 11/1/2017 Project 17-3 Transaction Date 11/6/2017 Wells Fargo 10100 Total $1,310.40 Refer 5 MNSPECT Cash Payment Invoice 7174 Cash Payment E 101-42400-308 Building Inspection Fees OCT 2017 BUILDING INSPECTION FEES 11/612017 G 101-20800 Due to Other Governments OCT 2017 - ELECTRICAL STATE SURCHARGE FEE CREDIT Invoice 7174 11/6/2017 $10,833.95 -$19.00 Gash Payment R 101-42000-32220 Electrical Permit Fee OCT 2017 ELECTRICAL INSPECTION PERMIT -$361.00 FEE CREDITS Invoice 7174 11/6/2017 Transaction Date 11/8/2017 Wells Fargo 10100 Total $10,453.95 Refer 7 TRAUT COMPANIES, INC. Cash Payment E 601-49400-440 Other Contractual Servic WELL #8 PUMP REPAIR & REPLACEMENT $34,989.00 PARTS Invoice 302009 10/31/2017 Cash Payment E 601-49400-440 Other Contractual Servic ACID CLEAN & JET WELL #8 $44,995.00 Invoice 302008 10/31/2017 Transaction Date 11/9/2017 Wells Fargo 10100 Total $79,984.00 Refer 8 TRUE VALUE MOUND (FIRE) Cash Payment E 222-42260-401 Building Repairs 32 OZ HAIR CLOG BLASTER- FIRE DEPT $7.19 SINKS Invoice 147973 10/21/2017 Cash Payment E 222-42260-210 Operating Supplies 1 GAL LD TANK SPRAYER $16.19 Invoice 148137 10/28/2017 Transaction Date 11/9/2017 Wells Fargo 10100 Total $23.38 Fund Summary 101 GENERAL FUND 222 AREA FIRE SERVICES 601 WATER FUND 602 SEWER FUND 609 MUNICIPAL LIQUOR FUND Rlzmellme Current Period: November 2017 10100 Wells Fargo $12,055.43 $268.58 $80,009.50 $163,47 $146.89 $92,643.87 Pre -Written Checks $0.00 Checks to be Generated by the Computer $92,643.87 Total $92,643.87 -3095- 11/09/17 12:20 PM Page 3 November 9, 2017 To: City Mayor and City Council From: Catherine Pausche, Director of Finance and Administrative Services Re: Commission Reappointments and Vacancies The status of commission appointments is as follows: 1. Planning Commission. All of the Planning Commissioners whose terms expire on December 31, 2017 have asked to be reappointed for a three year term. 2. Parrs and Open Space Commission. Both Commissioners whose terms expire on December 31, 2017 have asked to be reappointed for a three year term. One vacancy occurred because a Commissioner moved out of town and is no longer eligible. Applications for a one year term are being solicited now. 3. Docks and Commons Commission. Jim Funk has asked to be reappointed for a three year term. Commissioner Rodney Beystrom has decided to retire, so applications for an abutting commissioners are being solicited now. Jay Green has asked to be reappointed as Mound representative to the Lake Minnetonka Conservation District for 2018. Please feel free to contact me with any questions. -3096- Commissioner Candidatesg to Fill Vacancies in Mound The bound Parks and Open Spaces Commission (POSC) has one opening with term expiring at the end of December 2018. Mound has over 30 parks and beaches, serving neighborhoods and the extended community and the POSC recommends priorities for improvements and amenities to the City Council. The POSC meets the second Thursday of each month at 7:00 pm, as needed, and considers all matters pertaining to parks, open spaces, and related amenities. Call City Manager Eric Hoversten 952-472-0609 for more info or email jillnorlander@cityofmound.com for an application. Submittal deadline is Wednesday, December 13th, at 11:00 am. Interviews will be held Thursday, January 11th, at 7:00 pm. You must be available for the interview to be considered. Appointments will be made by the City Council at the January 23rd Council Meeting. Prior candidates and participants are encouraged to apply. Candidates must be a resident of Mound. The Mound Docks and Commons Commission (DCC) has one opening with a term expiring at the end of December of 2020 for an Abutter in the Mound Dock Program. Whether you are new to the dock program or a seasoned veteran, your input as an abutting dock site holder is vital to the administration of the program. Regular agenda items include the wait list lottery, budget and capital improvement recommendations, and changes to the fee schedule and/or official dock map. The DCC is also focused on ways to improve the program and administration, including exploring policies related to the dock use area, including side setbacks, number of watercraft, condition of docking materials, use of canopies and lifts, etc. The DCC is comprised of 2 Abutters, 3 Non -Abutters and the Council Liaison and acts as a recommending body to the City Council. The commission meets the third Thursday of each month at 7:00 pm, as needed, which is typically in January, March, September and November. Call Catherine Pausche 952-472-0633 for more info or email jillnorlander@cityofmound.com for an application. Submittal deadline is Wednesday, December 13th, at 11:00 am. Interviews will be held Thursday, January 18th, at 7:00 pm. You must be available for the interview to be considered. Appointments will be made by the City Council at the February 13th Council Meeting. Prior candidates and participants who are Abutters in the program are encouraged to apply. -3097- LAKE MINNETONKA CONSERVATIONITS r `3141 ,aW x;Q)J H fAD, SUITE 200 MOUND, MINNESOTA 55364 TELEPHONE 9,2F745-0789 FAX 2�2--9t 85 s c ATE: October 18, 2017 TO: LMCD Member Cities (Mayors.,,Managers, and Clerks) FROM: Vickie Schleunin, xecutive Director SUBJECT: Appointment of 2018 LMCD Board Members The terms for some members of the Lake Minnetonka Conservation District (LMCD) Board of Directors will expire January 31, 2018. Terms on the LMCD Board extend from February 1St through January 31St of the following year. The state enabling LMCD legislation calls for Board members to be appointed by their respective member cities for a three-year term, with no term limits. If necessary, a city does have the ability to recall its member anytime and appoint another member for the remainder of the three-year term. Some cities have made one-year appointments. Because of the uniqueness of Lake Minnetonka and the important application of the ordinances, it would be beneficial to have Directors serve multiple years. We hope that your current Director will consider serving another term. It has been an exciting year with many achievements and projects underway. We appreciate the time, guidance, and dedication of your Board Member representative in helping to preserve and enhance the "Lake Minnetonka experience." At this time, the cities with the January 2018 expiration terms are requested to reappoint or appoint new members to the Board of Directors. A list of the current City appointment terms is provided in the table below. Please note that officer positions will be considered by the Board tentatively in February through a Nominating Committee process. Bill Cook, Greenwood Dennis Mohs, Minnetonka Beach Ann Hoelscher, Victoria (Secretary) Chris Jewett, Deephaven (Treasurer) Sue Shuff, Minnetonka Mike Molitor, Minnetrista Dan Baasen, Wayzata Deborah Zorn, Shorewood Fred Meyer, Woodland Gary Hughes, Spring Park Gregg Prest, Excelsior Gregg Thomas, Tonka Bay (Vice Chair) Jay Green, Mound (Chair) Mark Kroll, Orono -3098- To preserve and enhance the "Lake Minnetonka experience" Appointment of 2018 LMCD Board Members October 18, 2017 Page 2 This past year, the overall attendance of the Board Members was good. The individual Board Member attendance records for the LMCD Regular meetings are provided on the following table. Members may also contribute through their attendance and participation at Special Meetings, Workgroups, Committees, events, and projects. The attendance records for Special Meetings are generally not included. Please let me know your city's appointments for 2018 by Friday, December 29, 2017 if possible. For those of you who have already sent information, thank you. A copy of the official Council appointment is also required. Appointments typically start February 1, 2018. I look forward to working with your city in the coming year. If you have questions, please contact me at (952) 745-0789 oryschleuning_glmcd.org. -3099- R��u�a� �oar+d rxaeeitn�g��rC�c�o er` �'� �t�ir�ig � te��in�ie1r 2017 Member City Board Total Total Rate of Member Attended Meetings Attendance to Deephaven Jewett 12 22 55% Excelsior Prest 17 22 L77% Greenwood Cook 14 18 78% 4 75% Roy 3 Minnetonka Shuff 21 22 95% Minnetonka Beach Klohs 19 22 86% Minnetrista Molitor 11 12 92% 8 25% Niccum 2 Mound Green 19 22 86% Jabbour 3 5 60% 7 71% Orono Kroll 5 5 60% Rahn 3 Shorewood Zorn 11 22 50% Spring Park Hughes 21 22 95% Tonka Bay Thomas 19 22 86% Victoria Hoelscher 18 22 82% Wayzata Baasen 19 22 86% Woodland Doak 4 6 67% 16 75% Meyer 12 Please let me know your city's appointments for 2018 by Friday, December 29, 2017 if possible. For those of you who have already sent information, thank you. A copy of the official Council appointment is also required. Appointments typically start February 1, 2018. I look forward to working with your city in the coming year. If you have questions, please contact me at (952) 745-0789 oryschleuning_glmcd.org. -3099- TO: Honorable Mayor and City Council FROM: Sarah Smith, Community Development Director DATE: November 8, 2017 SUBJECT: Resolution to Approve Comprehensive Plan Amendment for 4873 Shoreline Drive (Proposed Eva and Abbie Major Subdivision) Summary At its September 26, 2017 meeting, the City Council considered a request for a Comprehensive Plan Amendment to reguide the property at 4873 Shoreline Drive for the proposed Eva and Abbie major subdivision. At the meeting, the City Council preliminarily approved the requested Comprehensive Plan Amendment to reguide the property from Medium Density Residential to Low Density Residential, subject to approval from the Metropolitan Council. In its letter to the City of Mound dated October 24, 2017, the Metropolitan Council approved the requested Comprehensive Plan Amendment for the property at 4873 Shoreline Drive. Therefore, final action by the City Council to approve and put the Comprehensive Plan Amendment into effect is required. • The Comprehensive Plan Amendment was eligible for administrative review by the Metropolitan Council. Therefore, distribution of the requested amendment to adjacent municipalities, public agencies and the school district for review and comment was not required. ® The deadline for City Council action on the Comprehensive Plan Amendment was November 9, 2017. The owners and applicant, on October 24, 2017 and October 25, 2017, provided the City of Mound with 60 -day extensions. Approve the draft resolution approving and putting the Comprehensive Plan Amendment into effect. CITY OF MOUND RESOLUTION NO. 17- WHEREAS, the applicant, Louis Colson of Colson Custom Homes, requested a Comprehensive Plan Amendment to facilitate a major subdivision -preliminary plat; and WHEREAS, the Comprehensive Plan Amendment would reguide the following property as follows: PID Number Property Address Acres Current Comp Plan Proposed Comp Plan 13-117-24-44-0091 4873 Shoreline 0.81 Medium Density Low Density I Drive I I Residential I Residential I Ems WHEREAS, pursuant to Chapter 462, Section 355, Subdivision 2 of the Minnesota State Statutes, the Planning Commission held an official public hearing on September 5, 2017, to allow formal public comment on the proposed comprehensive plan amendment; and WHEREAS, the City Council reviewed the matter at its September 26, 2017, meeting and conditionally approved the Comprehensive Plan Amendment, as described above, and authorized its submittal the Metropolitan Council, following completion of all required public agency and school district distribution requirements, subject to the following conditions: Applicant shall be responsible for payment of all costs associated with the Comprehensive Plan Amendment Request. 2. No future approval of any rezoning, land use, or subdivision application is included as part of this action. 3. No future approval of any development plans and/or building permits is included as part of this action. -3101- 4. The Comprehensive Plan Amendment shall be subject to the review and approval of the Metropolitan Council ; and WHEREAS, it has been determined by Metropolitan Council Staff that the amendment meets Comprehensive Plan Amendment Administrative Review Guidelines, does not affect official forecasts, and may be put into effect by the City of Mound; and WHEREAS, the applicant and owners provided the City of Mound with written extensions regarding the allowed timeframe for action on the Comprehensive Plan Amendment. With the extensions, the City's action approving the Comprehensive Plan Amendment was made within the timelines in Minnesota Statutes 15.99. NOW, THEREFORE BE IT RESOLVED, by the City Council of the City of Mound that the Comprehensive Plan Amendment to reguide the property at 4873 Shoreline Drive from Medium Density Residential to Low Density Residential is hereby approved and put into effect. Adopted by the City Council this 14th day of November, 2017. Attest: Catherine Pausche, Clerk Mark Wegscheid, Mayor -3102- October 24, 2017 Sarah Smith, Community Development Director City of Mound 2415 Wilshire Blvd Mound, MN 55364 RE: City of Mound Eva and Abbie Addition Comprehensive Plan Amendment — Administrative Review Metropolitan Council Review File No. 20438-5 Metropolitan Council District 3 Dear Sarah: The Metropolitan Council received the City's Eva and Abbie Addition Comprehensive Plan Amendment (amendment) on October 3, 2017. The amendment re -guides 0.8I -acre from Medium Density Residential to Low Density Residential, The CPA site is located at 4873 Shoreline Drive. The purpose of the amendment is to subdivide the parcel into five small -lot, single family detached parcels. Council staff finds the amendment meets the Comprehensive Plan Amendment Administrative Review Guidelines revised by the Council on July 28, 2010. The proposed amendment does not affect official forecasts or the City's ability to accommodate its share of the region's affordable and Iifecycle housing need. Therefore, the Council will waive further review and action; and the City may place this amendment into effect. However, staff offers the following advisory comments for your consideration: Wastewater (Roger Janzig, 651-602-1119) Metropolitan Council Forcemain Interceptor (6 -MO -650) is within Shoreline Drive right -of way. The interceptor was built in 1962 and is a 10 -inch cast iron pipe at a depth of approximately 7 feet. To assess the potential impacts to our interceptor system, prior to initiating this project, preliminary plans should be sent to Scott Dentz, Interceptor .Engineering Manager (65I-602-4503) at the Metropolitan Council Environmental Services for review and comment. Environment (Jim Larsen, 651-602-1159) The Minnehaha Creek Watershed District will be responsible for reviewing the stormwater runoff management incorporated into the site. As noted in the submittal materials, a resident expressed concern (at the September 5 Planning Commission Public Hearing) regarding runoff which has historically ponded within Norwood Lane under existing conditions, and that this project could exacerbate the problem if constructed as proposed. It is quite possible that this project could worsen that problem in the future, considering the amount of hard surface driveway area that is proposed to slope directly to Norwood Lane at 10% and potential lawn and roof runoff that homeowners could direct that way. We encourage the City consider construction of one or more additional catch basins within the street gutter connecting to the storm sewer system along Norwood Lane in front of the proposed residences, and that all home gutter downspouts be directed to rear yard infiltration areas so as not to Sarah Smith. Community Development Director Page 2 exacerbate an existing identified Norwood Lane ponding issue, unless that issue is also addressed at the time of the proposed construction. The small scale of this development will likely preclude its triggering any significant level of state or watershed review. The City is advised to prepare for worsening runoff issues in the area, and put those modifications in place now, considering the site will be converted from 1.00% pervious to only approximately 70% pervious in the future, as proposed. Housing (Jonathan Stanley, 651-602-1555) The amendment is consistent with the Council's policies for housing. The City currently provides sufficient land to address its share of the region's 2011-2020 need for affordable housing, which is 68 units. The proposed amendment decreases the City's inventory of land guided at higher densities slightly, but more than enough land remains to promote the development of low- and moderate - income housing. The City should be aware that its share of the region's 2021-2030 need for affordable housing is 69 units. In preparing the 2040 comprehensive plan update, the City should note that the minimum density of land guided to address this need is 8 units per acre. The City is encouraged to contact their Sector Representative or Council housing staff with any questions regarding the Council's housing policy for the 2040 comprehensive plan update. Transit (Steve Mahowald, 651- 612-349-7775) Routes 645 and 677 run past the site, with their bus stop one block before and one block after Norwood Lane at Fernside Lane and Montclair Lane. We encourage the installation of sidewalk along Norwood Lane and the seven -foot right -of --way dedication to provide for future enhancements, including an on -street bikeway. The amendment, explanatory materials, and the information submission form will be appended to the City's Update in the Council's files. If you have any questions please contact Freya Thamman, Principal Reviewer, at 651-602-1750. ince CC: Rita Trapp, HKGi, Consulting City Planner Steve O'Brien, Minnesota Housing Tod Sherman, Development Reviews Coordinator, MnDOT Metro Division Jennifer Munt, Metropolitan Council District 3 Freya Thamman, Principal Reviewer/ Sector Representative Raya Esmaeili, Reviews Coordinator Mr CnmtnDev LPAtC'nmmunities+.MoundLettersHo+md 2017 CPA Ev andAbbie Addition 20438-5 AdtninRev.dacx -3104- Real People. Real Solutions. November 9, 2017 Mr. Eric Hoversten, City Manager City of Mound 2415 Wilshire Boulevard Mound, MN 55364 2638 Shadow Lane Suite 200 Chaska, MN 55318-1172 Ph: (9521448-8838 Fax -(9521448-8805 Bolton-Menk.com RE: 2017 Street, Utility and Retaining Wall Improvements — Lynwood Blvd/Fairview Ln, Wilshire Blvd/Maywood Rd/Hiddenvale Ln, Tuxedo Blvd Phase III City Project Nos. PW -17-01, PW -17-02, PW -17-03, PW -17-04 Pay Request No. 7 Dear Mr. Hoversten: Please find enclosed Pay Request No. 7 from Park Construction Company for work completed on the 2017 Street, Utility and Retaining Wall Improvement Project from October 1, 2017 through October 27, 2017. We have reviewed the contractor's request, verified quantities and recommend payment in the amount of $379,608.08 to Park Construction Company. Sincerely, Bolton & Menk, Inc. Brian D. Simmons, P.E. City Engineer -3105- Bolton & Menk is an equal opportunity DATE: 10/31/2017 CONTRACTOR'S PAY REQUEST NO. 7 CONTRACTOR Park Construction Co 2017 STREET, UTILITY & RETAINING WALL IMPROVEMENTS OWNER City of Mound CITY PROJECT NO. 17-01, 17-02, 17-03, 17-04 ENGINEER Bolton & Menk BMI PROJECT NO. C17.112393, C17.112394, 017.112395 FOR WORK COMPLETED FROM 10/1/2017 THROUGF 10/31/2017 TOTALAMOUNT BID............................................................................................................................................... $ 3,247,178.62 APPROVED CHANGE ORDERS + EXTRA WORK..................................................................................... $ 24,019.00 CURRENTCONTRACT AMOUNT........................................................................................................... $ 3,271,197.62 TOTAL, COMPLETED WORK TO DATE.................................................................................................................... $ 2,267,153.17 TOTAL, STORED MATERIALS TO DATE................................................................................................................ $ DEDUCTION FOR STORED MATERIALS USED IN WORK COMPLETED............................................................... $ TOTAL, COMPLETED WORK & STORED MATERIALS........................................................................................... $ 2,267,163.17 RETAINEDPERCENTAG ( 5.0% )................................................................................................. $ 113,357.66 TOTAL AMOUNT OF OTHER DEDUCTIONS......................................................................................................... $ NET AMOUNT DUE TO CONTRACTOR TO DATE.................................................................................................... $ 2,163,795.51 TOTAL AMOUNT PAID ON PREVIOUS ESTIMATES................................................................................................ $ 1,774,187.43 PAYCONTRACTOR AS ESTIMATE NO.7.............................................................................................................. $ 379,608.08 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: Park Construction Company 148181 st Ave. NE Lepolis, MN 55432 By Pro - e -J Rax. 2.Name r, Title Date CHECKED AND APPROVED AS TO QUANTITIES AND AMOUNT: BOLTON & MENK, INC., ENGINEERS, 2638 SHADOW LN, SUITE 200, CHASKA MN 55318 By CITY ENGINEER Brian D, Simmons Date 11-8-2017 APPROVED FOR PAYMENT: Owner: CITY OF MOUND By Name Title Date -3106- Real People. Real Solutions. November 8, 2017 Mr. Eric Hoversten, City Manager City of Mound 2415 Wilshire Boulevard Mound, MN 55364 RE: Project related pay request Dear Mr. Hoversten: 2638 Shadow Lane Suite 200 Chaska, MN 55318-1172 Ph: 19521448-8838 Fax: (952)448-8805 Botton-Menk.com Please find enclosed the following project related pay request which has been reviewed and is in accordance with the approved quote for the 2016 Street Improvement project — Tuxedo Blvd. Phase Il. Three quotes were received, and are attached for reference, to add an asphalt apron at the gravel drive serving the house located at 4519 Manchester Road. The low quote was from Assured Asphalt in the amount of $2,235.00 This driveway improvement was part of the negotiation with the property for an easement to construct a new modular block retaining wall on the owner's property, as part of the Tuxedo Boulevard improvement project. The old wall was removed in order to add a wider sidewalk on this section of Tuxedo Boulevard, just south of the Manchester Road intersection. We have verified that the work has been satisfactorily completed and I recommend payment in the amount of $2,235.00 to Assured Asphalt. The attached email from Assured Asphalt is to serve as their invoice. They are located at 7490 Chippewa Trail in Chanhassen, MN 55317. Sincerely, Bolton & Menk, Inc. 417� Daniel L. Faulkner, P.E. Senior Project Manager -3107- Bolton & Menk is an equal opportunity employer. Dan Faulkner From: Assured Asphalt <assuredasphalt@gmail.com> Sent: Thursday, November 02, 2017 3:15 P To: Dan Faulkner Subject: e: Assured Asphalt - 4519 Manchester Rd owner Matt Phillippi Follow Up Flag: Follow up Flag Status: Flagged Dan, The asphalt driveway entrance at 4519 Manchester Rd. was installed. Total: $2,235.00 Ass6tr-ed" A-Y�,6-dl Thanks, 7 Ll cy A _ Bruce l "�� ""` �l C� �i/- i Ind On Tue, Oct 31, 2017 at 4:47 PM, Dan Faulkner <danfa(a,bolton-rnenk.com> wrote: Bruce/Jay, I see that you completed this drive paving today, thanks for getting it done — it looks good. I know Pat told you to send the invoice to Brian Simmons at our Chaska BMI office, which is fine, but if you can email it to me this week, I can get the City payment approval ready for the next City Council meeting which will be November 14tH Thanks, Dan From: Dan Faulkner Sent: Monday, October 09, 2017 3:32 PM To:'Assured Asphalt' <assuredasphalt@gmail.com> Cc: Pat Schroepfer <patsc@bolton-menk.com> Subject: RE: Assured Asphalt Bruce, -3108- If this is something you can still get done this year, please put it on your schedule and let me know when you could do it. I just called your cell 1612-749-1217) and left a message as well. Thanks, Dan Faulkner, Senior Project Manager Bolton & Menk, Inc. From: Assured Asphalt[mailto:assuredasphalt@gmail.com] Sent: Tuesday, September 19, 2017 12:13 PM To: Dan Faulkner<danfa@bolton-menk.com> Subject: Assured Asphalt Driveway apron per Pat at 4519 Manchester Rd., Mound. otal: $2,235.00 Thanks, Assured Asphalt Bruce Kaiser This email has been scanned by the Symantec Email Security.cloud service. For more information please visit http://www.symanteecloud.com This email has been scanned by the Symantec Email Security.cloud service. For more information please visit http://www.symanteccloud.com -3109- 2 Dan Faulkner From: Steve Brown <sbrown@parkconstructionco.com> Sent: Tuesday, October 17, 2017 3:37 PM To: Dan Faulkner; Pat Schroepfer Cc: Paul Plieseis Subject: Tuxedo - Extra Grading/Paving Driveways Dan, Paul mentioned that you were looking for pricing to complete some additional grading & paving on driveways on Tuxedo. Driveway Dimensions -No 1 8x2l Driveways Dimensions No 2 17x2O. Work to be completed: Shape Existing Aggregate to drain Pave (2") Bituminous Lift over existing aggregate Total: $3,600 (LS)d.la I-Artt_ ww' Uok, /r°' s- a.,6 s e f k-0097 Let Paul or myself know if you would like to proceed. 01 (V &Le- d,t^l (Y -e w-0,1 — -S ,e r vi Thanks, Steve Brown Project Manager/Estimator Park Construction Company 612-214-9921 Mobile 763-717-6218 Direct 763-717-6237 Fax sbrownPparkconstructlonco.com ftAkw- cefe5rd"I"19 100 years susfrws NOTICE - CONFIDENTIAL INFORMATION The information in this communication is proprietary and strictly confidential. It is intended solely for the use of the individual or entity named above. If the reader of this message is not the intended recipient, or the employee or agent responsible to deliver it to the intended recipient, any dissemination, distribution, copying or other use of the information contained in this communication is strictly prohibited. If you have received this communication in error, please first notify the sender immediately and then delete this communication from all data storage devices and destroy all hard copies. /JI/ AWARQS 0 ,1FT'v inC. A THIRD GENERATION ASPHALT CONTRACTOR 2392 Pioneer Trail, Medina, MN 55340 Ph: (763) 478-6878 Fax: (763) 478.2329 E-mail: dml@dmjasphait.com Date: Check out our website at: www.dmjasphalt,corn �" �/ IMa Coord: Name: t; c, .r" ✓� r2%uc Address: _ r City; , MN Zip �:,r�; /�,.. �u r�� ,�J1� c,T �/ Phone: ( } Email: area code are de q6_1 67 o Address (if different} City (� c�c `'�°''' /j/1 "i �G EIRemove concrete apron. 10, ❑ Cap existing blocks (if blocks are broken or missing - extra charge)..7,,/",1C/al ❑ Remove concrete driveway\ extra charge if over 4" thick ❑ Remove asphalt driveway ) multiple layers / subcut needed JX Remove sod, gravel or dirt., ® Remove All removals include hauling materials off-site, recycle & disposal of, unless otherwise specified. -- ❑ Sawcut `❑ Grade for drainage, utilize your existing base,vCl add Class 5 recycle as necessary, grade and compact.l , Subcut to a depth of ", install Class 5 recycle base, grade and compact to a minimum depth of ❑ Install geotextile soil fabric. }� Install Minnesota Department of Transportation Specification '23d_ 4 asphalt with self-propelled paver and compact to a depth of ❑ year guarantee. ❑ Sealcoat, as per specifications, and crack filling. ❑ Permit. ❑ Other WE propose hereby to furnish material and labor - complete in accordance with above specifications, including all applicable taxes and discounts for the sum of dollars {$ All material is guaranteed to be as specified. All work is to be completed in a workmanship like manner according to standard practices. Any alter- ation or doviation from above specifications involving extra costs will be executed only upon written orders and will be an extra charge over and above the estimate. All agreements contingent upon strikes, accidents or delays beyond our control. Owner to carry fire, tornado and other neces- sary insurance upon work above Is fully covered by worker's compensation and General Liability Insurance. Estimator's Signatures V_r:— ` �' 1—,2 Estimator's Phone /tet'--�,Ci��✓ j -3111- Real People. Real Solutions. November 9, 2017 Mr. Eric Hoversten, City Manager City of Mound 2415 Wilshire Boulevard Mound, MN 55364 RE: 2016 Lift Station Improvement Project City Project No. PW -16-05 Pay Request No. 4 & Final Dear Mr. Hoversten: 2638 Shadow Lane Suite 200 Chaska, MN 55318-1172 Ph: (952) 448-8838 Fax: (952) 448-8805 Bolton-Menk.com Please find enclosed Pay Request No. 4 & Final from Pernber Companies, Inc. for work completed on the 2016 Lift Station Improvement Project from July 1, 2017 through October 30, 2017. We have reviewed the contractor's request, verified quantities and recommend payment in the amount of $25,051.33 to Pember Companies, Inc. At this point we also consider the project to be substantially complete, and ready for final payment, which will also begin the warranty period. This payment also includes previously held retainage (5%). Sincerely, Bolton & Menk, Inc. Brian A Simmons, P.E. City Engineer -3112- Bolton & Menk is an equal opportunity employer. DATE: 11/8/2017 CONTRACTOR'S PAY REQUEST NO. 2016 Lift Station Improvements City Project No. PW -16-05 BMI PROJECT NO. 012.111100 FOR WORK COMPLETED FROM 4 & FINAL 7/1/2017 THROUGH 10/31/2017 CONTRACTOR Pember Companies, Inc OWNER City of Mound ENGINEER Bolton & Menk TOTALAMOUNT BID ................. --................. -..... .............................. ......... ................................ ........ .................... $ APPROVED CHANGE ORDERS + EXTRA WORK...................................................................................... $ CURRENT CONTRACT AMOUNT .................................. -.................... .............. ................................ ...... $ TOTAL, COMPLETED WORK TO DATE..................................................................................................................... $ TOTAL, STORED MATERIALS TO DATE................................................................................................................. $ DEDUCTION FOR STORED MATERIALS USED IN WORK COMPLETED................................................................. $ TOTAL, COMPLETED WORK & STORED MATERIALS............................................................................................. $ RETAINED PERCENTAGE ( 0.0% )....................................................................................................... $ TOTAL AMOUNT OF OTHER DEDUCTIONS ................... ............................ ........... ....... ................... I ............. ........ $ NET AMOUNT DUE TO CONTRACTOR TO DATE..................................................................................................... $ TOTAL AMOUNT PAID ON PREVIOUS ESTIMATES ..... ....... ................ ....... ............. ....... ................ I......................... $ 168,112.05 74,940.26 243,052.31 226,610.91 226,610.91 226,610.91 201,559.58 PAY CONTRACTOR AS ESTIMATE NO.4 & FINAL................................................................................................. $ 25,051.33 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: Pember Companies, Inc. N 4449 469th Street Menomonie, WI 547 By Name Title Date r�"" CHECKED AND APPROVED AS TO QUANTITIES AND AMOUNT: BOLTON & MENK, INC., ENGINEERS, 2638 SHADOW LN, SUITE 200, CHASKA MN 55318 By PROJECT ENGINEER Brian D. Simmons Date 11-08-2017 APPROVED FOR PAYMENT: Owner: CITY OF MOUND By Name Title Date -3113- Real People. Real Solutions. November 9, 2017 Mr. Eric Hoversten, City Manager City of Mound 2415 Wilshire Boulevard Mound, MN 55364 RE: 2017 Retaining Wall Improvement Project City Project No. PW -17-04 Pay Request No. 2 Dear Mr. Hoversten: 2638 Shadow Lane Suite 200 Chaska, MN 55318-1172 Ph: (952) 448-8838 Fax: (952) 448-8805 Bolton-Menk.com Please find enclosed Pay Request No. 2 from Barber Construction, Inc. for work completed on the 2017 Retaining Wall Improvement Project from September 28, 2017 through November 3, 2017. We have reviewed the contractor's request, verified quantities and recommend payment in the amount of $138,744.27 to Barber Construction, Inc. Sincerely, Bolton & Menk, Inc. Brian D. Simmons, P.E. City Engineer -3114- Bolton & Menk is an equal opportunity employer. DATE: 11/6/2017 CONTRACTORS PAY REQUEST NO. 2 CONTRACTOR Barber Construction 2017 Retaining Wall Improvements OWNER City of Mound CITY PROJECT NO, PW -17-04 ENGINEER Bolton & Menk SMI PROJECT NO. C17.114002 FOR WORK COMPLETED FROM 9/2812017 THROUGH 11/6/2017 TOTALAMOUNT BID ........... ........... ........................ -- ......... -- ................. ................. ................. ................... $ 268,355.00 APPROVEDCHANGE ORDERS .................. .............. ......................................... ................................. $ 1,800.00 CURRENT CONTRACT AMOUNT .................................... ............... -- ........... --- .............................. $ 260,155.00 TOTAL, COMPLETED WORK TO DATE ........... ............ ..................................... ........... ......... _ ...................... ..... $ 258,344.60 TOTAL, STORED MATERIALS TO DATE .......................................... - ...... ............... ...... - ............ ...................... $ DEDUCTION FOR STORED MATERIALS USED IN WORK COMPLETED ..............................................1.............. $ - TOTAL, COMPLETED WORK & STORED MATERIALS, ...... ........................ ............................... ........... ............... $ 268,344,60 RETAINED PERCENTAGE 6% ) ..................... ...................... ................ _ .... ................................. $ 12,917.23 TOTAL AMOUNT OF OTHER DEDUCTIONS ................................ ...... ........................................... ............... $ - NET AMOUNT DUE TO CONTRACTOR TO DATE ................ ................................................................................... $ 245,427.37 TOTAL AMOUNT PAID ON PREVIOUS ESTIMATES .................... ..................................................................... $ 106,683.10 PAY CONTRACTOR AS ESTIMATE NO. 2 .......... ......................................................................... ................ $ 138,744.27 Certificate for Payment I hereby certify that, to the best of my knowtedge 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: Barber Construction, Inc. 4350 Main Street St. Bonifacius, MN 55375 13Y P- TitleVie,C--!rZ ZFV Date 1-,7 CHECKED AND APPROVED AS TO QUANTITIES AND AMOUNT: BOLTON & MENK, INC., ENGINEERS, 2638 SHADOW LN, SUITE 200, CHASKA MN 55318 By CITY ENGINEER Brian D. Simmons Date 11-8-2017 APPROVED FOR PAYMENT: Owner. CITY OF MOUND By Name Title Date 9 -3115- Real People. Real Solutions. November 9, 2017 Honorable Mayor and Members of the City Council City of Mound 2415 Wilshire Boulevard Mound, MN 55364 RE: 2017 Street, Utility and Retaining Wall Improvement Project Change Order No. 3 City Project Nos. PW -17-01 Dear Mayor and Council Members: 2638 Shadow Lane Suite 200 Chaska, MN 55318-1172 Ph: (952) 448-8838 Fax: (952) 448-8805 Bolton-Menk.com Attached is Change Order No. 3 which increases the contract amount by $38,311.54 and adds additional items, 155-158, to the contract items, and increases quantities forbid items 15, 146, 147, 148, 149, 150. This Change Order is necessary to add a metering manhole and associated excavation, equipment and traffic control necessary to maintain access to the post office during construction, at the request of city staff. Because there are large regional flows that enter the Metropolitan Council Regional Sewer system near our project and downstream from the Lift Station recently rebuilt as part of the 2016 Lift Station project, having knowledge of the flows we send to their system at this point will be valuable in the future for both determining when we have excessive UI in our system and for analyzing sewer system performance. We have reviewed the contractor's proposal and recommend approval. Attached is a Resolution approving Change Order No. 3. Sincerely, Bolton & Menk, Inc. Brian D. Simmons, P.E. City Engineer -31 Botton & Menk is an eq • 1, • 9 • gel Its] 0 1 kq [on liffim RESOLUTION APPROVING CHANGE ORDER NO. 3, 2017 STREET, UTILITY & RETAINING WALL IMPROVEMENTS — CITY PROJECT NO. PW -17-01 WHEREAS, Resolution 17-51 awarded the contract for the 2017 Street, Utility and Retaining Wall Improvement Project to Park Construction Company (Contractor) in the amount of $3,247,178.52; and WHEREAS, Resolution 17-42 approved Change Order No. 1 in the amount of $9,625.00, to be added to the current Contract with the Contractor, in the amount of $3,247,178.52; and WHEREAS, Change Order No. 2 was approved administratively, in the amount of $14,394.00, to be added to the current Contract with the Contractor, in the amount of $3,271,197.52; and WHEREAS, the City has requested a quote from the Contractor for the addition of a meter manhole and associated metering equipment to be placed near the intersection of Lynwood Blvd and Belmont Lane which will add additional items, 155-158, to the contract items, and increases quantities for bid items 15, 146, 147, 148, 149, 150 at a total cost of $38,311.54 to the current contract with the Contractor; and WHEREAS, Change Order No. 3 has been prepared, signed by the contractor and submitted to the City for approval; NOW, THEREFORE BE IT RESOLVED by the City Council of the City of Mound, Minnesota: That Change Order No. 3, attached to this Resolution, totaling $38,311.54 is hereby approved and further, the new total contract amount is increased from $3,271,197.52 to $3,309,509.06; there is no change to the completion dates. Adopted by the City Council this 14th day of November, 2017. Attest: Catherine Pausche, City Clerk Mayor, Mark Wegscheid -3117- EJCI)C,= .. . rr+ruternscum MCEars i onrmsmam aa rur"v.mmnec Date of Issuance: 10/10/2017 Owner: City of Mound Contractor: Park Construction Co. Engineer: Bolton & Menk, Inc. Project: 2017 Street, Utility & Retaining Wall Improvements Change Order No. 3 Effective Date: Owner's Contract No.: Contractor's Project No.: Engineer's Project No.: Contract Name: 10/25/2017 C17.112393, C17.112394, C17.112395 The Contract is modified as follows upon execution of this Change Order: Description: The monitoring manhole shall be installed near the intersection of Lynwood Boulevard and Belmont Lane. Attachments: Additional Traffic Control Devices and Extended Use of Traffic Control Devices. Traffic Control Estimate Breakdown, CHANGE IN CONTRACT PRICE Original Contract Price: $ 3,247,178.52 [Increase] {Decrease} from previously approved Change Orders No. 1 to No. 2 : $24,019.00 Contract Price prior to this Change Order: $ 3,271,197.52 CHANGE IN CONTRACT TIMES [note changes in Milestones if applicable] Original Contract Times: Substantial Completion: November 3 2017 Ready for Final Payment: June 29 2018 days or dates [Increase] [Decrease] from previously approved Change Orders No. to No. Substantial Completion: Ready for Final Payment: da Contract Times prior to this Change Order: Substantial Completion: Ready for Final Payment: or dates [increase] {Dee -cease} of this Change Order: [Increase] [Peer -ash of this Change Order: Substantial Completion: November 10 2017 $38,311.54 Ready for Final Payment: No Change days or dates Contract Price incorporating this Change Order: Contract Times with all approved Change Orders: Substantial Completion: November 10 2017 $ 3,309,509.06 Ready for Final Payment: June 29 2018 days or dates REC MMENA ' By: — E neer (i quired) Title: -10//// ; Date: � ,^ — Approved by Funding Agency (if applicable) By: Title: By;- Owner Authorized Signature) Title: 61,-4f An';6,-C i,,— Title: Date: 144 ;2-41 1 Date: Date: E1CDC11 C-941, Change Order. Prepared and published 2013 by the r - - 'pint Contract Documents Committee. -3118- actor 713 re) I1 JCDC= E.3:J'�"fCFfiS 14stS CO§?Naf.i CLc:ULtF!.rT$ CO'A 3Ai U. Change Order No. 3 Reason for Change Order: City requests the installation of a manhole capable of monitoring sewer flows be installed in the intersection of Lynwood Boulevard and Belmont Lane. Contract Modifications: The following table is an estimated quantity cost breakdown for items to be paid for installation of the manhole. Final quantities will be tracked in the field and paid as Lynwood/Fairview Non -Participating under items 155-158 and existing bid items as listed. Any item not specifically mentioned shall be tracked with existing line item quantities and paid under the Lynwood/Fairview section (Concrete Curb and Gutter, Sidewalk, Landscape, etc), Substantial Completion for Stage 3B, as shown on Plan Sheet C3.01, shall be extended to November 10, 2017, to allow for coordinating the installation of the meter manhole and restoring the affected surface improvements. Item 155: "Extra Work — 72" Monitor Manhole" shall be considered full compensation for furnishing and installing the precast 72"-4020 concrete manhole, adjusting rings, casting, chimney seal, Palmer-Bowlus Flume, or approved equal, installing owner supplied transducer and connecting to existing sewer pipe. Payment for this item shall also include bypass of sewer flows, Item 156: "Extra Work -2 -inch NMC shall be considered full compensation for furnishing and installing a 2 -inch non-metallic conduit from the manhole to the public works building. Item 157: "Extra Work — Connect Conduit to Building" shall be considered full compensation for core drilling into the public works building and sealing the conduit entry. Item 158: "Extra Work—Traffic Control Detour" shall be paid as an Allowance by prices and payment listed within "Additional Traffic Control Devices and Extended Use of Traffic Control Devices" for the quantities and days used. An estimate for this work is attached for reference. Detailed Cost Breakdown: ITEM NO. BID ITEM UNIT UNITPRICE EST. QUANTITY TOTAL 155 1EXTRA WORK- 72" MONITOR MANHOLE - LYNWOOD BLVD LUMP SUM $23,435,50 1 1$23,435.50 156 EXTRA WORK- 2 -INCH NMC- LYNWOOD BLVD LIN FT $17.95 220 1 $3,949.44 157 EXTRA WORK -CONNECT CONDUIT TO BUILDING-LYNWOODBLVD LUMPSUM $731,50 1 1 $731.50 158 EXTRA WORK - TRAFFIC CONTROL DETOUR - LYNWOOD BLVD ALLOWANCE $8,000-0 1$8,000.00 15 REMOVE BITUMINOUS PAVEMENT SQYD $1.15 45 $51.75 146 COMMON EXCAVATION (EV) CU YD $27.50 15 1 $412.50 147 ISUBGRADE PREPARATION SQ YD $1.451 45 1 $65.25 148 AGGREGATE BASE (CV) CLASS 5 CU YD $78.40 10 $784.00 149 TYPE SP 9.5 WEARING COURSE MIX (3,B) TON $99.20 4 1 $396.80 150 TYPE SP 12.5 NON WEARING COURSE MIX (3,B) TON $80.80 6 $484.80 TOTAL $38,311.54 EJCDC® C-941, Change Order. Prepared and published 2013 by the Engineers Joint Contract Documents Committee, F-3119- ADDITIONAL TRAFFIC CONTROL DEVICES AND EXTENDED USE OF TRAFFIC CONTROL DEVICES The Engineer may require extra traffic control devices in addition to the traffic control devices shown on the plan Traffic Control Layouts, or in the Field Manual, as warranted by traffic conditions. The Department will pay for extra traffic control devices ordered under this section according the schedule of pre- determined prices in Table 2563-1. The Department will also use the predetermined prices in Table 2563-1 to pay for (1) additional temporary lane closures for Extra Work; and (2) extended use for all traffic control devices which are impacted by excusable and compensable delays, as defined in MnDOT 1806.2B. The Department will not use the predetermined unit prices listed in 'fable 2563-1 if payment for a device is specifically provided for elsewhere in the Contract or was part of the original Contract work. (A) General Requirements: The Contractor must furnish the additional traffic control devices as ordered by the Engineer. The devices installed must meet contract requirements and be in a functional and legible condition as determined in the sole discretion of the Engineer. Devices not meeting these requirements must be immediately replaced or repaired. (B) Measurement: Flashers, barricades, reflectorized drums, portable changeable message signs, 48 x 48 inch signs, and flashing arrow boards will be measured by the number of individual units of each type multiplied by the number of Calendar Days each unit is in service. Driven post supports and all mounting hardware for 48 inch x 48 inch signs and Standard Signs are considered incidental. Standard Signs, other than 48 x 48 inch signs, will be measured by the face area of signs furnished multiplied by the number of Calendar Days each square foot of sign is in service. Standard Signs with Portable Supports will be calculated and paid for as follows: Total Standard Sign Sq. Ft + Portable Support Cost (listed in Table 2563-1) = Standard Signs with Portable Supports Cost per day. Construction Signs - Special will be measured by the sign face area thereof furnished, installed including supports, and removed as specified. Temporary Molded Plastic Barrier and Temporary Concrete Barrier will be measured by the number of linear feet furnished multiplied by the number of Calendar Days each linear foot the barrier is in service. Flaggers and Police Officers will be measured by the number of hours each is in service on the job. Police Officers shall be equipped with a patrol vehicle at all times on the job. (C) Payment: For contracts without a sub -contract agreement for traffic control services; reasonable invoices may be accepted for additional traffic control devices obtained. The reasonableness of the invoice for additional traffic control is subject to audit in accordance with MnDOT 1721. Total compensation for Additional Traffic Control Devices and the Extended Use of Traffic Control Devices wilt have a maximum payout allowance based on average lifespan as determined by the department. The following devices will have a 180 Day maximum pay out allowance: Reflectorized Cones/Weighted Channelizer Devices, Surface Mounted/Weighted Delineators, Opposing Traffic Lane Divider, Reflectorized Safety Drum, Reflectorized Safety Drum w/Down Arrow, Flasher Type A (Low Intensity), Flasher Type B (High Intensity) and Flasher Type C (Steady Burn). -3120- The following devices will have a 365 Day maximum pay out allowance: Type I Barricade, Type 11 Barricade, Direction Indicator Barricade, Type III Barricade, 48 X 48 Inch Standard Sign, 48 X 48 Inch Standard Sign with Portable Supports, Standard Signs, Standard Signs with Portable Supports, Standard Signs Portable Support Cost per day, Construction Sign - Special, Temporary Plastic Molded Barrier and Temporary Concrete Barrier Energy Absorption End Treatment System. The following devices have a maximum pay out allowance five years or greater: Temporary Concrete Barrier, Portable Changeable Message Board, Flashing Arrow Board and Portable Radar Trailer. (C.1) Devices, Flagger and Police Officers: Payment for all additional traffic control devices, Flaggers and police officers, as ordered by the Engineer, will be made in accordance with the following schedule: Table 2563-1 ADDITIONAL TRAFFIC CONTROL DEVICES FLAGGERS and POLICE OFFICERS Item Number Item Unit Pre -determined Price 2563.610 Flagger Hour * 1 2563.610 Police Officer Hour * 2 2563.613 Reflectorized Cones/Weighted Channelizer Devices Each/Day $0.16 2563.613 Surface Mounted/Weighted Delineators Each/Day $0.25 2563.613 Opposing Traffic Lane Divider Each/Da $1.44 2563.613 Type I Barricade Each/Day $0.34 2563.613 1 Type II Barricade Each/Da $0.31 2563.613 Direction Indicator Barricade Each/Day $0.46 2563.613 Type III Barricade Each/Day $1.76 2563.613 Reflectorized Safety Drum Each/Day $0.61 2563.613 Reflectorized Safety Drum w/Down Arrow Each/Day $0.75 2563.613 Flasher Type A Low Intensi Each/Day $0.29 2563.613 Flasher Type B (High Intensity) Each/Day $0.61 2563.613 Flasher Type C (Steady Burn) Each/Day $0.26 2563.613 48 X 48 Inch Standard Sign Each/Day $0.86 2563.613 48 X 48 Inch Standard Sign W/Port. Sup. Each/Day $1.39 2563.613 Roll up Sign W/Stand Each/Day $1.43 2563.617 Standard Signs Square Footpay $0.17 2563.613 Standard Signs W/ Portable Supports Each/Day $TBD Standard Sign Portable Support Cost per da $0.53 2563.618 Construction Sign Special * 5 Square Foot $44.09 2563.603 Temporary Plastic Molded Barrier Linear Foot/Day $0.29 2563.603 Temporary Concrete Barrier Linear Foot/Day $0.05 2563.613 Temp. Concrete Barrier Energy Absorption End Treat. Sys. Each/Day $39.10 2563.613 Portable Changeable Message Board * 3 Each/Day $25.65 2563.613 Flashing Arrow Board * 4 Each/Da $7.88 2563.613 Portable Radar Trailer * 4 Each/Da $24.40 *1 Will be paid in accordance with MnDOT 1904.4A. *2 Will be paid at the invoice price plus 10%. -3121- *3 (PCMS) Type C Trailer Mounted Message Signs will be permitted. The Contractor shall continually operate each PCMS at maximum legibility. *4 The Contractor shall continually operate each Flashing Arrow Board or Portable Radar Trailer at maximum legibility. *5 Construction Signs — Special includes fabrication, installation, supports and removal as specified. Construction Signs - Special are not eligible for additional compensation due to extended use as described in Sections C.2 "Labor" and C.3 "Equipment" listed below. (C.2) Labor: Payment for labor to fuinish, install, and remove additional traffic control devices listed in Table 2563-1 as set forth in C.1 "Devices, Flagger and Police Officers", will be in accordance with 1904.3(4) or 1904.4A. Payment for labor to inspect and maintain additional traffic control devices will be incidental to the 2563.601 (Traffic Control) Item already contained in the Plan during the original contract period, unless a contract revision meets the requirements listed in MnDOT 1402.3. Payment for labor to inspect and maintain all traffic control devices, when an extension of contract time is due to an excusable and compensable delay in accordance with MnDOT 1806.28, will be in accordance with WDOT 1904.3(4) or 1904AA (C.3) Equipment: Payment for equipment to furnish, install, and remove additional traffic control devices listed in Table 2563-1 as set forth in C.1 "Devices, Flagger and Police Officers", shall be in accordance with MnDOT 1904.3(4) or 1904AC Payment for equipment to inspect and maintain additional traffic control devices will be incidental to the 2563.601 (Traffic Control) Item already contained in the Plan during the original contract period, unless a contract revision meets the requirements listed in MnDOT 1402.3. Payment for equipment to inspect and maintain all traffic control devices, when an extension of contract time is due to an excusable and compensable delay in accordance with MnDOT 1806.213, will be in accordance with MnDOT 1904.3(4) or 1904.4C. -3122- CITY OF MOUND 2415 WILSHIRE BOULEVARD - MOUND, MN 55364-1668 - PH: 952-472-0600 - FAX: 9S2-472-0620 - WWW.CITYOFMOUND.COM DATE: November 9, 2017 TO: Mayor Wegscheid and Council Members FROM: Catherine Pausche, Director of Finance and Administrative Services SUBJECT: Establishment of an Infrastructure Replacement Reserve Fund At the October 17, 2017 Special Meeting Workshop, the Council directed staff to pursue the establishment of an infrastructure replacement reserve fund. There is a public process required to do so which is outlined in the attached memo from City Attorney Troy Gilchrist. The attached notice was published in the Laker on October 28 and November 4 per the statutory requirements and the Public Hearing will be held at the November 14 regular meeting. In addition, a resolution setting the initial levy will be acted upon after the vote to establish the fund, both of which require 2/3 of the Council to vote in favor. That resolution will be published on November 25 and residents will have 10 days to file a petition requesting the issue be put on the ballot for the voters to decide whether a reserve fund tax levy should be established. This timing was in an effort to have this all in place in time for the final budget approval at the December 12 final meeting of the year. Establishing a capital reserve fund will allow the City to adequately plan for the next generation of street improvements and reduce the reliance on debt and, possibly, special assessments. As the City completes the street improvement projects in 2019, the debt will also begin to mature. Redirecting the debt service special levies to a reserve fund will provide capital to finance the remaining utility improvements that are needed prior to mill and overlay of streets that is estimated to begin around 2028 (25 years after the 2003 inaugural street project). It should be noted that the actual expenditure of these reserve funds is limited to replacement of streets, bridges, curbs, gutters, sidewalks, trees, and storm sewers. The 2018 preliminary levy was set at a 2% increase over 2017 and the final levy cannot exceed this amount. Therefore, Staff is proposing to temporarily postpone levies for the TIF 1-2 (Mound Marketplace) and 1-3 (Mound Harbor Redevelopment) debt in the amounts of $45,000 and $175,000, respectively, in order to reallocate the $220,000 to the initial reserve fund levy. The City will reassess the need for levies for the TIF 1-2 and 1-3 debt service by 2022, when the public safety building debt matures and we have a better idea of what tax increment in these districts is being generated. Please let me know if you have any questions regarding these matters. -3124- NOTICE IS HEREBY GIVEN that the City Council of the City of Mound, Minnesota will meet on Tuesday, the 14th day of November, 2017, at 7:00 P.M. in the Council Chambers in the Centennial Building, 5341 Maywood Road, Mound, MN 55364, to hold a public hearing on a proposed resolution establishing an Infrastructure Replacement Reserve Fund pursuant to Minnesota Statutes, Section 471.572. A copy of the proposed resolution is available for public inspection in the Clerk's Office in City Hall and at the Westonka Public Library and on the City's website at www.cityofmound.com. Objections to the proposed resolution establishing an Infrastructure Replacement Reserve Fund pursuant to Minnesota Statutes, Section 471.572 may be made in person or in writing and submitted to the City Clerk at any time prior to the public hearing set forth herein. By: Catherine Pausche, Clerk October 23, 2017 Published in the Laker on October 28, 2017 and November 4, 2017 -3125- 470 U.S. Bank Plaza 200 South Sixth Street Minneapolis MN 55402-1458 (612) 337-9300 telephone (612) 337-9310 fax http://www.kennedy-graven.com Affirmative Action, Equal Opportunity Employer Rate: October 12, 2017 TROY J. GILCRIS Attorney at Law Direct Dial (612) 337-9214 Email: tgilchristlii�kennedy_graven.com To: Catherine Pausche, Director of Finance and Administration From: Troy J. Gilchrist, City Attorney Re: Establishing an infrastructure replacement reserve fund under Minnesota Statutes, section 471.572 An infrastructure replacement reserve fund ("Reserve Fund") is expressly authorized under Minn. Stat. § 471.572 (copy attached). The statute provides cities with the ability to collect an additional property tax levy in order to fund the Reserve Fund, which must be kept entirely separate from a city's general fund. Once the Reserve Fund is established, the City is also authorized to dedicate any additional money into it. Once established, money within the Reserve Fund "may be used only for the replacement of streets, bridges, curbs, gutters, sidewalks, trees, and storm sewers." Minn. Stat. § 471.572, subd. 3 (emphasis added). The statute allows the City to establish a Reserve Fund by resolution or ordinance. This memo will just speak in terms of acting by resolution. Establishing a Reserve Fund requires the following steps: (1) The City must first hold a public hearing on the question of whether it should establish a Reserve Fund. Notice of the time, place, and purpose of the hearing must be published for two consecutive weeks in the City's official newspaper, and the second publication must occur at least seven days before the date of the public hearing. Minn. Stat. § 471.572, subd. 5. (2) The City Council conducts the public hearing. Minn. Stat. § 471.572, subd. 5. -3126- 508636v2 DTA MU220-2 (3) Following the public hearing, the City Council, by "at least a two-thirds vote of all of its members," may adopt a resolution establishing the Reserve Fund. This voting requirement means that at least four councilmembers must vote to establish the Reserve Fund regardless of how many councilmembers are present during the meeting. Minn. Stat. § 471.572, subd. 2. (4) The City Council then needs to act by resolution to authorize the initial tax levy for the Reserve Fund. Minn. Stat. § 471.572, subd. 2. (5) The initial resolution imposing a tax levy for the Reserve Fund must be publish the resolution in its official newspaper. Minn. Stat. § 471.572, subd. 2. (6) Within 10 days from the publication of the resolution a petition may be submitted to the City requesting a vote on the establishment of the Reserve Fund tax levy. The petition must be signed by a number of qualified voters greater than 10% of the number who voted in the City at the last general election. If the City received a valid petition within the 10 -day period, the tax may not be levied until a majority of voters approve it at either a regular or special election. Minn. Stat. § 471.572, subd. 2. (7) If no petition is filed, or if a petition is filed and the levy is upheld by the voters at the election, the City is then authorized to annually levy the special property tax in order to fund its Reserve Fund. Minn. Stat. § 471.572, subd. 2. (8) All proceeds of the tax levied under this authority must be paid into the Reserve Fund. The City may also place other revenues into the Reserve Fund that are not required by law to be paid into another fund. Minn. Stat. § 471.572, subd. 2. Once the Reserve Fund is properly established, the City may use the funds only for the purposes set forth above (replacement of streets, bridges, curbs, gutters, sidewalks, trees, and storm sewers). Minn. Stat. § 471.572, subd. 3. The City may, but is not required to, submit to its voters at a regular or special election the question of whether use of the Reserve Fund should be restricted to a specific improvement or type of improvement. Minn. Stat. § 471.572, subd. 4. If a majority of voters approve the limitation, the Reserve Fund may be used only for that purpose. Finally, terminating a Reserve Fund must occur in the same manner is the fund was established (public hearing, 2/3 vote, publication, and opportunity for voter petition). Minn. Stat. § 471.572, subd. 6. Upon termination, any balance is irrevocably appropriated to the City's debt service fund to be used solely to reduce tax levies for or bonded indebtedness of the City. If the City has no bonded indebtedness, it must be solely used for the capital improvements that are expressly authorized in the Reserve Fund statute. Please let me know if you have any additional questions. -3127- 508636v2 DTA MU220-2 Subdivision 1. Definitions. For purposes of this section, the following terms have the meanings given: "Reserve fund" means the infrastructure replacement reserve fund. "City" means a statutory or home rule charter city. Subd. 2. Tax levy. The governing body of a city may establish, by a two-thirds vote of all its members, by ordinance or resolution a reserve fund and may annually levy a property tax for the support of the fund. The proceeds of taxes levied for its support must be paid into the reserve fund. Any other revenue from a source not required by law to be paid into another fund for purposes other than those provided for the use of the reserve fund may be paid into the fund. Before a tax is levied under this section, the city must publish in the official newspaper of the city an initial resolution authorizing the tax levy. If within ten days after the publication a petition is filed with the city clerk requesting an election on the tax levy signed by a number of qualified voters greater than ten percent of the number who voted in the city at the last general election, the tax may not be levied until the levy has been approved by a majority of the votes cast on it at a regular or special election. Subd. 3. Purposes. The reserve fund may be used only for the replacement of streets, bridges, curbs, gutters, sidewalks, trees, and storm sewers. Subd. 4. Use of fund for a specific purpose. If the city has established a reserve fund, it may submit to the voters at a regular or special election the question of whether use of the fund should be restricted to a specific improvement or type of capital improvement. If a majority of the votes cast on the question are in favor of the limitation on the use of the reserve fund, it may be used only for the purpose approved by the voters. Subd. 5. hearing; notice. A reserve fund may not be established until after a public hearing is held on the question. Notice of the time, place, and purpose of the hearing must be published for two successive weeks in the official newspaper of the city. The second publication must be not later than seven days before the date of the hearing. Subd. 6. Termination of fund. The city may terminate a reserve fund at any time in the same manner as the fund was established. Upon termination of the fund any balance is irrevocably appropriated to the debt service fund of the city to be used solely to reduce tax levies for or bonded indebtednes city or, if the city has no bonded indebtedness, for capital improvements authorized by this section. -31R8- 508636v2 DTA MU220-2 1 will go IUI10501435& WHEREAS, Minnesota Statutes, section 471.572 authorizes the City of Mound ("City") to establish an infrastructure replacement reserve fund ("Reserve Fund") to be used for the replacement of streets, bridges, curbs, gutters, sidewalks, trees, and storm sewers; and WHEREAS, once the Reserve Fund is established, the City is further authorized to levy an annual property tax in order to support the fund and may place other revenues that are not dedicated to another purpose into the Reserve Fund; and WHEREAS, the proceeds from the tax levied for this purpose must be placed in the Reserve Fund and can only be used for the purposes authorized by the statute; and WHEREAS, the City Council held, after the due notice having been provided, a public hearing on the establishment of a Reserve Fund at its November 14, 2017 meeting; and WHEREAS, the City desires to establish and operate a Reserve Fund. NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of Mound as follows: 1. A Reserve Fund, as provided for in Minnesota Statutes, section 471.572, is hereby established for the City of Mound, Minnesota effective immediately. 2. The City may, by resolution and in accordance with state law,'annually levy a property tax for the purpose of supporting the Reserve Fund. 3. The revenues placed in the Reserve Fund shall only be expended for the replacement of streets, bridges, curbs, gutters, sidewalks, trees, and storm sewers. Adopted by at least a 2/3 vote of the City Council this 14th day of November, 2017. ATTEST: Catherine Pausche, Clerk -3129- Mark Wegscheid, Mayor ry, to lei W . , i, WHEREAS, the City Council, at its November 14, 2017 meeting, adopted Resolution #17- to establish an infrastructure replacement reserve fund ("Reserve Fund") pursuant to its authority under Minnesota Statutes, section 471.572; and WHEREAS, the City Council is to annually set a property tax to be levied in support of the Reserve Fund; and WHEREAS, the Revenue Fund may only be used for the replacement of streets, bridges, curbs, gutters, sidewalks, trees, and storm sewers; and WHEREAS, because this is the initial Resolution authorizing the imposition of a tax levy for the Reserve Fund, at least ten percent of the number of qualified voters who voted in the City at the last general election may file a petition with the City within 10 days of the date of publication of this Resolution requesting an election on the tax levy and, if properly filed, the levy will not be imposed until it is approved by a majority of the votes cast at a regular or special election. NOW, THEREFORE, RE IT RESOLVED by the City Council of the City of Mound as follows: 1. A property tax for the Reserve Fund in the amount of $220,000 is hereby set and approved for certification to the County Auditor in 2017 for collection in 2018. 2. The City Clerk is hereby authorized and directed to publish this Resolution once in the City's official newspaper and to certify the property tax amount to the County Auditor if a proper petition calling for an election on the tax levy is not received within 10 days from the date of publication. Adopted by at least a 2/3 vote of the City Council this 14th day of November, 2017. ATTEST: Catherine Pausche, Clerk -3130- Mark Wegscheid, Mayor 2415 Wilshire Boulevard Mound, MN. 55364 (952) 472-0605 N=11 Memorandum To: Honorable Mayor and Members of the Mound City Council From: Field Officer Stewart B. Simod Date: November 9, 2017 Regular Agenda Items #7 and 8: Proposed Amendments to Chapter 14 of the Re: Mound City Code, as it Relates to Animals At its November 14, 2017 regular meeting, the City Council will consider adopting an Ordinance to repeal and replace Chapter 14 of the Mound City Code as it relates to animals. A copy of the amended Ordinance follows this memo. The replacement Chapter as proposed aligns the Code to reflect current Minnesota Statutes related to animal control and is presented in a more cohesive manner, making the Code easier to understand and enforce. Staff deems the changes incorporated into the revised Chapter to be housekeeping in nature. An overview of the proposed revisions is included in the attached presentation. Staff recommends the City Council adopt the attached Ordinance, repealing and replacing Chapter 14 of the Mound City Code (Agenda Item #7). Staff further recommends the City Council approve a Resolution, authorizing publication of an Ordinance by title and summary, based on the full revision of Chapter 14 (Agenda Item #8). A draft resolution follows this memo. As a courtesy reminder, adoption of this Resolution requires a four-fifths vote of the Council Members. -3131- Chapter 14 of the Mound City Code Stewart B. Simon, Field Officer Proposed Revision of Chapter 14 it Relevant background information Review of REVISED versionof Discussion• Recommendations -3132- Proposed Revision of Chapter 14 of the Mound City Code BACKGROUND INFORMATION 0 Relevant Background Information What is contained within Chapter 14 How is Chapter 14 applied Relationship eao•Minnesota State Statutes Repeal • • • -3133- W hat is Chapter 14? Animal Code ! certainGives ! Commercial • Wild animal feeding regulations a What is Chapter 14? III i Applicability of Chapter 14 • Regulation ee i of familyes • Prohibited activities Animal quarantine Delegation f authority for enforcement — Prevention of rl l Cruelty • m Animals (in general) Cats .' D.• .- -3135- rxepeal & Replace vs. Revise & Amend Majority of the existing Code back • �t � • Existing Code • procedures and is not fully compatible with applicable State Statut• ChapterStructure of contents within confusing and redundant Proposed Revision of Chapter 14 of the Mound City Code REVIEW OF REVISED VERSION OF CHAPTER 14 —Article I: In General — Article II: Commercial Kennels —Article III: Rabies Control — Article IV: Prohibitions and Requirements — Article V: Potentially Dangerous and Dangerous Dogs Article VI: Impounding Article VII: Enforcement and Penalties Police rtment remains a authorityr the city Commercial e l i s Number s• i pets General • • ping of domesticated animaLs Keeping - es icaeanimals prohibited -3137- /'"'\ Sec. 1 Location of .• - and barns • of premises •. animal i • * Sec. 14-14 Proceedings for destruction of New o. Content Definitions Rabies control Potentially s Dog and Dangerous Dog regulations,replace Sec. 14-14 -3138- Potentially Dangerous vs. Dangerous PotentialivDaneer ous Dog Unprovoked, dog bites human or other domesticated animal; or Unprovoked, dog chases or approaches person, in an APPARENT attitude of attack; or Known propensity, tendency, or disposition to unprovoked attack, causing injury or threatening the safety of humans or domesticated animals cera Dangerous Do • Unprovoked dog bite, causing substantial bodily harm; or ® Unprovoked, kills a domesticated animal off propertv: or • After being found potential[ dangerous, dog aggressively bites, attacks, or endangers the safety of humans or domesticated animals. MOUND NOW11- - rN uangerous Dotv 6 Registration required Posting of warning symbol Restraint requirements Identification requirements Sterilization requirements Disclosure requirements -3139- Proposed 1, Chapter 14 of the Mound City Code U RECOMMENDATIONS 0 Staff recommends "•r•i ••`" "i an i • amending ..i " • 4 of the Mound • • •c animalsas it relates to (item Staff recommends the Council approve a Resolution, • i" • publication of an Ordinance by i(itemi; — This requires a 415 vote by the Councilfor 1 t 1 I CITT OF MOUND ORDINANCE AN ORD[ - , • . .. - . ANIMALS The City Council of the City of Mound does ordain: Section 1. Chapter 14 of the Mound City Code is hereby repealed in its entirety and replaced as follows: Chapter 14 ANIMALS* *State law reference — General Authority to regulate animals, Minn. Stat. $412.221 subd. 21 animal health, Minn. Stat Ch. 35; cruelty to animals, Minn Stat. Ch. 343; animals Minn. Stat. Ch. 346; dogs and cats, Minn. Stat. Ch. 347; and such other authority as may apply. ARTICLE I. IN GENERAL Sec. 14-1. Definitions. The following words, terms, and phrases, when used in this Chapter, shall have the meanings ascribed to them in this section, except where the context clearly indicates a different meaning Any term not defined in this section shall have the meaning given the term in Minnesota Statutes, Chapters 346 and 347, to the extent defined therein. (a) Abandoned means to leave a dog, cat, or other domesticated animal at large within the city without intending to return to or recover it. It shall also mean to purposefully leave a dog, cat, or other animal in the possession of the Animal Warden. Animal Control Officer means the person or agency designated by the City Council to provide animal control operations within the City. The Animal Control Officer shall also be construed to include any licensed law enforcement officer. (c) Animal Warden means any person or entity designated by the City Council to house, hold, confine, or board any animal seized or impounded herein. At large means off the premises owned or rented by the owner or owner's agent and not under restraint by a leash not exceeding six (6) feet in length or within a vehicle being driven or parked on a street or within the property limits of the owner's premises. An unattended animal on the property of another within the consent of such property owner shall be deemed at large and not under restraint, even though it may be on a leash. (e) Cat means a domesticated member of the Felidae family (Fells silvestris catus) born raised, and kept as a pet. The term does not include any type of cougar, lynx puma or similar type of wild animal. -3141- City means City of Mound Hennepin County Minnesota Lcl) Commercial Kennel means a "kennel" where dogs cats or other domesticated animals are bred or sold for re -sale individually or in litter lots whether or not anv are also kept for personal use. Commercial kennels shall also include places where dogs cats or other domesticated animals are boarded groomed or trained for a fee or other in-kind consideration. Dog means a domesticated member of the Canidae family (Canis tubus familiaris) born raised, and kept as a pet. The term does not include any type of fox wolf, or similar type of wild animal. Domesticated Animal means those animals usually and customarily considered a domestic pet breed including but not limited to dog cat ferret house bird rabbit mice rat, gerbil, hamster, chinchilla, guinea pip fish non-poisonous spider non-poisonous reptile, amphibian, or insect (i.e. butterfly or grasshopper) House birds shall not include farm poultry as identified in this section as non -domesticated animals Great bodily harm means bodily iniury which creates a high probability of death or which causes serious permanent disfigurement or which causes a permanent or protracted loss of impairment of the function of any bodily member or organ or other serious bodily harm. Owner means any person, firm, corporation organization or department possessing, harboring, keeping, having an interest in or havinq care custody, or control of a dog cat or other domesticated animal it Non -domesticated animal means those animals commonly considered to be naturally wild and not naturally trained or domesticated or which are commonly considered to be inherently dangerous to the health safety, and welfare of people Unless otherwise defined, non -domesticated animals shall include: 1. Any member of the large cat family (family Felidae) including lions tigers cougars, bobcats, leopards, lynx, and iaquars but excluding commonly accepted domesticated house cats,• 2. Any naturally wild member of the canine family (family Canidae) jncludjng wolves, foxes, coyotes, dingoes and jackals but excluding commonly accepted domesticated dogs; 3. Any of the various species of farm animals including, but not limited to horses cattle, mules, donkeys, goats sheep llamas alpacas potbellied pips pigs or bees; 4. Any of the various species of farm poultry including but not limited to chickens roosters, ducks, geese, turkeys peacocks pigeons swans and doves -3142- 5. Any member or relative of the rodent family, including any skunk (whether or not descented), raccoon, squirrel, or chipmunk, but excluding those members otherwise defined or commonly accepted as domesticated pets; 6. Any poisonous, venomous, constricting, or inherently dangerous member of the reptile or amphibian families, including rattlesnakes, boa constrictors pit vipers, crocodiles, and alligators; 7. Any other animal which is not explicitly listed above but which can be reasonably defined by the terms of this section, including but not limited to bears, deer, monkeys, apes, game fish; or any other animal as determined by the Community Development Director. Lm) Proper enclosure means a space securely confined indoors or in a securely locked pen or structure suitable to prevent a dog from escaping and to provide protection for the dog from the elements. A proper enclosure does not include a porch, patio, or any part of a house, garage, or other structure that would allow the dog to exit of its own volition, or any house or structure in which windows are open or in which a door or window screens are the only barriers that prevent the dog from exiting. The enclosure must not allow the egress of the dog in any manner without human assistance and must meet all of the following specifications: 1. Have a minimum overall floor size of 32 square feet; 2. Sidewalls must have a minimum height of five feet and be constructed of 11 - gauge or heavier wire. Openings in the wire may not exceed two inches, support posts must be steel pipe 1.25 inches or larger in diameter buried in the ground 18 inches or more. When a concrete floor is not provided, the side walls must be buried a minimum of 18 inches in therq ound; 3. A cover must be constructed over the enclosure that consists of the same gauge wire as the sidewalls or greater. The cover must not have any openings in the wire greater than two inches; and 4. An entrance/exit pate must be provided. It must be constructed of the same material as the sidewalls and have no openings in the wire greater than two inches. The gate must be equipped with a device capable of being locked and must be locked at all times when the dog is in the enclosure. 5. Constructed in accordance with all requirements of the zoning district in which it is located and upon the issuance of any required building permits. to Provocation means an act that an adult could reasonably expect may cause a dog or animal to attack or bite. (o) Substantia/ bodily harm means bodily injury, which involves a tem porarr r but substantial disfigurement, which causes a temporary but substantial loss or impairment of the -3143- function of any bodily member or organ or which causes a fracture of any bodily member. Sec. 14-2. Exemptions. Except where duties are expressly stated this Ordinance does not apply to hospitals clinics and other premises operated by licensed veterinarians exclusively for the care and treatment of dogs cats, and other domesticated animals. This Ordinance does not apply to dogs used in law enforcement activities within the City by or with the permission of the Police Department and that are actively involved in law enforcement duties. Sec. 14-3. Animal Control Authority. The Police Department is the animal control authority for the purposes of Minn Stat 047.50 to 347.56 and is the agency responsible for animal control operations within the City as provided in this Ordinance. Sec. 14-4. Animal Control Officer. The Animal Control Officer shall have police powers necessary for enforcement of this Ordinance, including authority to issue citations for violations. Sec. 14-5. Coordination with Veterinarians. The City or police department may enter into agreements with veterinarians to assist in the administration of the provisions of this Ordinance. Said agreements shall ensure that an orderly system is set up to coordinate the vaccination, impoundment, quarantine or euthanization as needed, of dogs, cats, and domestic animals within the City. Said agreements shall also provide for a reasonable method of compensating veterinarians for the services that they provide to the City. Sec. 14-5. Constitutionality. If any portion of this Ordinance is for any reason held invalid or unconstitutional such portion shall be deemed a separate, distinct, and independent provision, and such holding shall not affect the validity of the remaining portions thereof. Sec. 14-6. License and Fees. No person shall operate a commercial kennel in the City without first obtaining a commercial kennel license. Application for such license shall be made to the City Clerk. The City Clerk shall refer the application to the City Council, which may grant or deny the license. The annual license fee for a commercial kennel shall be as established in accordance by the City, due on or before May 1 of each year. Licenses may only be granted in commercial, business or industrial zoning districts. -3144- Sec. 14-7. Commercial Kennel Reaulations. Commercial kennels shall be kept in a clean and sanitary conditions at all times and shall be open to inspection by any health officer, sanitarian Animal Control Officer, or other person charqed with the enforcement of this Code, or any health or sanitary regulations of the City at all reasonable times. Sec. 14-8. Revocation of license. Any commercial kennel license may be revoked by the City Council by reason of any violation of this Code or by reason of the violation of any other health or nuisance ordinance order, law, state statute, or regulation. Before revoking a commercial kennel license the licensee shall be given written notice of the meeting at which such revocation will be considered and if the licensee is present at such meeting, shall first be given an opportunity to be heard Such written notice shall be mailed to the address of the licensee as set forth in the licensee's application for the commercial kennel license at least five (5) calendar days before the date of the meeting at which such revocation is to be considered by the City Council. All dogs and cats in the City over the age of six months shall be inoculated for rabies and shall be re -inoculated according to standard veterinary practices thereafter. Such vaccination must be performed by or under the direct supervision of a veterinarian duly licensed to practice veterinarian medicine in the state in which the vaccine is administered. A certificate from the veterinarian inoculating said dog or cat shall be presented to the Animal Control Officer or Animal Warden upon demand. Sec. 14-10. Animal Bites and Animals Exposed to Rabies. La Enter property. Any Animal Control Officer or Animal Warden may enter upon the private property of any person while in pursuit of any animal under probable cause to believe that such animal has bitten a person or other animal, or that such animal is rabid. Quarantine required. Whenever any person who owns, possesses, or harbors any dog within the City learns that the dog has bitten any human being or other animal such person shall immediately quarantine such dog for a period of not less than ten tin) calendar days, in the City designated kennel, veterinary hospital, or other location at the owner's expense, or on the owner's premises, as determined by the Animal Control Officer or Animal Warden. After the required 10 -day quarantine the dog shall be examined by a licensed veterinarian to ensure that there are no clinical signs of rabies If the doq is found to be rabid, it shall be humanely euthanized at the owner's expense tc Manner of keeping. Any animal on quarantine shall not be permitted off the quarantine premises or in contact with any other animal, except for examination by a licensed veterinarian. -3145- Impoundment. If the doq owner cannot be located or a report of dog bite made to the Animal Control Officer or Animal Warden within two hours of the occurrence or of the owner fails to quarantine the dog as required by this Ordinance the Animal Control Officer or Animal Warden shall cause the dog to be impounded and so quarantined at the owner's expense. After the required 10 -day quarantine if the doq is still unclaimed the dog shall be humanely euthanized and tested for rabies If the dog is claimed by the owner, it shall be examined by a licensed veterinarian at the owner's expense to ensure there are no clinical signs of rabies. If no signs are observed the dog shall be released to the owner as provided in this Ordinance after payment by the owner of such impoundment and examination costs. If the dog is found to be rabid it shall be humanely euthanized at the owner's expense. (e) Verification of quarantine. The Animal Control Officer, or Animal Warden shall have the authority to verify if the dog is being quarantined properly. Any veterinarian quarantining a dog shall first give notice to the Animal Control Officer or Animal Warden before the release of such dog to the owner. Exposure to rabies. Any dog or cat known to have been bitten by a rabid animal shall be immediately impounded. If, however, such dog or cat is at large and cannot be apprehended after reasonable effort, the dog or cat may be immediately destroyed After impoundment, if proof of rabies immunization is furnished and booster injections are given by a licensed veterinarian at the expense of the owner, the dog or cat may be released to the owner as provided in this Ordinance. If it cannot be proven that the animal has a current rabies immunization, the owner may, at his or her discretion and upon approval by the Animal Control Officer or Animal Warden and the City Council make provisions for a suitable quarantine for a period of not less than six (6) months Sec. 14-11. Abandonment Prohibited. No person shall abandon any dog, cat, or domesticated animal within the City. Sec. 14-12. Prohibited Nuisances. The following are hereby declared public nuisances, are prohibited by this Ordinance and are unlawful: (a) Running at large prohibited. No person shall allow a dog or cat to run at large at any time. The Animal Control Officer or Animal Warden may impound any dog or cat found running at large. u Property damage. Any dog or cat that damages property (that is not the property of the owner), including plantings, lawns, or structures, or that deposits fecal matter off the owner's property that the owner fails to remove promptly. -3146- Dogs chasing. Any dog that without provocation chases molests or approaches pedestrians or bicyclists in a threatening manner upon the streets sidewalks right-of- way or any public property, or habitually chases automobiles on the public streets or highways. Unsanitary conditions. Any dog, cat, or other domesticated animal that is kept in unsanitary or inhumane conditions such that the maintenance or keeping of the dog cat or other domesticated animal creates odors that reasonably annoy the public in the vicinity. (e) Kills or attacks. Any dog, cat, or other domesticated animal that kills or attacks another domestic animal without provocation while off the owner's property. Disturbing the peace. The owning, keeping or harboring of any doa cat or other domesticated animal, which shall by any noise, unreasonably or excessively disturb the peace and quiet of any person in the vicinity. The phrase "unreasonably or excessively disturb the peace and quiet" shall include, but is not limited to, the creation of any noise which can be heard by any person, including an Animal Control Officer or law enforcement officer, from a location off the animal owner's property where the animal is being kept, and which noise occurs repeatedly over at least a 15 -minute period. This provision shall not apply to animals that are responding to trespassers or that are teased or similarly provoked to bark, cry, or howl. Not more than three (3) dogs or cats over six months of age shall be kept on any one property, except on a property duly licensed as a commercial kennel pursuant to this Code. Sec. 14-14. Interference with Enforcement. No unauthorized person shall break open or attempt to break open the Animal Warden's pound or to take or let out any animals there from, or to take or attempt to take from any Animal Control Officer or Animal Warden any animal taken up by him or her in compliance with this Ordinance or any applicable statute, or in any manner to interfere with or hinder such Animal Control Officer, Animal Warden, or other duly authorized enforcement officer in the discharge of his or her duties. Sec. 14-15. Females in Heat. Every female dog or cat in heat shall be confined in a building or other secure enclosure in such manner that such female cannot come in contact with another dog or cat except for the express purpose of planned breeding, or otherwise shall be controlled on a leash while being exercised. Sec. 14-15. Sanitation. Any person who owns, keeps, or harbors any domesticated animal must remove on a daily basis, any accumulations of feces from any open yard area on that person's property, and must -3147- remove immediatelv, any accumulation of dog or cat feces which are visible from anv location outside the borders of that person's property, Sec. 14-17. Basic Care. All domesticated animals shall receive from their owners or keepers kind treatment housina in the winter, and sufficient food and water for their comfortAny person found not treating_a domesticated animal in a humane manner will be subiect to the penalties provided in this section. Sec. 14-18. Non -Domesticated Animals. It shall be a violation of this Ordinance for any person to own possess harbor, intentionallv feed or offer for sale, any non -domesticated animal with the City, with the exception of non - domesticated animals brought into the City as part of a veterinarian clinic licensed show, or licensed exhibition. Non -domesticated animals feeding on naturally growing materials including gardens, landscaping, and other materials maintained as a mulch pile or from unmodified commercially purchased bird feeders and bird seed shall be exempt from this Section .• •. .• ,, • •• (a) Designation as a Potentially Dangerous Dog. The Animal Control Officer Animal Warden, or City will designate any dog as a "potentially dangerous" doq upon receipt of sufficient evidence that such dog: 1. When unprovoked, inflicted bites on a human or domesticated animal on public or private property; 2. When unprovoked, chased or approached a person including a person on a bicycle upon the streets sidewalks or any public or private property other than the dog owner's property, in an apparent attitude of attack: or 3. Has a known propensity, tendency, or disposition to attack unprovoked causing injury or otherwise threatening the safety of humans or domesticated animals Notification. If a dog is declared "potentially dangerous" the Animal Control Officer Animal Warden, or City must cause the owner of the potentially dangerous dog to be notified in writing that such dog has been declared potentially dangerous The notice must be provided in accordance with the notice requirements set forth in Minn Stat §347.541, subdivision 3 as may be amended from time to time The notice shall inform the owner of the right to request a hearing regarding the potentially dangerous dog designation. (c) Exemptions. A doq may not be declared "potentially dangerous" if the threat injury, or damage was sustained by a person: -3148- 1. Who was committing at the time a willful trespass or other tort upon the premises occupied by the owner of the dog: 2. Who was provoking tormenting abusing or assaulting the dog or who can be shown to have repeatedly, in the past provoked tormented abused or assaulted the dog; or 3. Who was committing or attempting to commit a crime. Sec. 14-20. Hearing Regarding Declaration. La) Right to hearing. The owner of any doq declared by the Animal Control Officer Animal Warden, or the City to be "potentially dangerous" has the right to a hearing by the City Council concerning the "potentially dangerous" declaration. The hearing must be requested by the owner in writing and received by the City Clerk within 14 -calendar days of the date of the notice. ( /Notice of hearing. Upon an owner's timely request for a hearing the City Clerk shall schedule a hearing by the City Council to be held within 30 -calendar days of the date of the hearing request. The City Clerk shall make notice in writing to the owner, stating the time, date, and location of the City Council hearing and must be given at least ten (10) calendar days before the hearing. (c) Hearing by City Council. The City Council shall conduct the hearing at which the owner shall be provided an opportunity to present evidence regarding the designation After holding the hearing, the City Council shall decide whether to uphold or overturn the potentially dangerous dog declaration. The City shall deliver the decision to the dog's owner by hand delivery or registered mail as soon as practical and a copy provided to the Animal Control Officer or Animal Warden. Sec. 14-21. Declaration Review. Beginning six months after a dog is declared potentially dangerous by the Animal Control Officer, Animal Warden, or the City, an owner may request annually that the declaration as a potentially dangerous dog be reviewed. The owner must provide evidence that the dog's behavior has changed due to the dog's age, neutering, environment completion of obedience training that includes modification of aggressive behavior, or other factors. If the Animal Control Officer, Animal Warden, or the City finds sufficient evidence that the dog's behavior has changed, it may rescind the declaration as a potentially dangerous dog. The owner of a potentially dangerous dog must have a microchip implanted in the dog for identification. The name of the microchip manufacturer and identification number of the microchip must be provided to the Animal Control Officer or Animal Warden If the microchip is not implanted by the owner, it may be implanted by the Animal Control Officer or Animal -3149- Warden, with all costs related to the purchase and implantation of the microchip being the responsibility of the dog's owner. Sec. 14-23. Notification of Potentially Dangerous Dog An owner of a dog declared as a potentially dangerous dog must notify the Animal Control Officer or Animal Warden of such declaration annually until the dog is deceased Any owner bringing a dog declared a potentially dangerous doq in another location must notify the Animal Control Officer or Animal Warden of such declaration within 7 -calendar days of re -locating to the 9b Sec. 14-24. Dangerous Dogs. (a) Designation as a dangerous dog. The Animal Control Officer Animal Warden or City will designate any dog as "dangerous" upon receiving sufficient evidence that such dog has: 1. Without provocation, inflicted substantial bodily harm on a human being on public or private property; 2. Killed a domesticated animal without provocation while off the owner's property or 3. Has been found to be potentially dangerous and after the owner has notice that the dog is potentially dangerous the dog aggressively bites attacks or endangers the safety of humans or domesticated animals Notification. If a dog is declared dangerous the Animal Control Officer Animal Warden, or City must cause the owner of the dangerous dog to be notified in writing that such dog has been declared dangerous. The notice must be provided in accordance with the requirements set forth in Minn. Stat. §347.541 subd. 3 as it may be amended from time to time. The notice shall inform the owner of the right to request a hearing regarding the dangerous dog designation. (c) Exemptions. Dogs may not be declared dangerous if the threat injury, or damage was sustained by a person: 1. Who was committing at the time a willful trespass or other tort upon the premises occupied by the owner of the dog; Who was provoking, tormenting abusing or assaulting the dog or who can be shown to have repeatedly, in the past, provoked tormented abused or assaulted the dog; or 3. Who was committing or attempting to commit a crime. (a) Right to hearing. The owner of any dog declared by the Animal Control Officer Animal Warden, or the City to be "dangerous" has the right to a hearing by the City Council -3150- concerning the "dangerous" declaration. The hearing must be requested by the owner in writinq and received by the ON Clerk within 14 -calendar days of the date of the notice Notice of hearing. Upon an owner's timely request for a hearing the City Clerk shall schedule a hearing by the City Council to be held within 30 -calendar days of the date of the hearing request. The City Clerk shall make notice in writing to the owner, stating the time, date, and location of the City Council hearing and must be given at least ten (10) calendar days before the hearing. (c) Hearing by City Council. The City Council shall conduct the hearing at which the owner shall be provided an opportunity to present evidence regarding the designation After holding the hearing, the City Council shall decide whether to uphold or overturn the dangerous dog declaration. The Citv shall deliver the decision to the dog's owner by hand delivery or registered mail as soon as practical and a copy provided to the Animal Control Officer or Animal Warden. Sec. 14-26. Requirements Upon Designation as Dangerous (a) Registration. If a dog is declared "dangerous" it must be registered with the City. A certificate of registration will be issued by the City to the owner of a dangerous dog if the owner presents sufficient evidence that: 1. _A_proper enclosure exists for the dangerous dog and a posting on the premises with a clearly visible warning sign including a warning symbol to inform children that there is a dangerous dog on the property; 2. A surety bond issued by a surety company authorized to conduct business in this state in a form acceptable to the Animal Control Officer or Animal Warden and the Citv in the sum of at least $300,000, payable to any person iniured by the dangerous dog, or a policy of liability insurance issued by an insurance company authorized to conduct business in this state in the amount of at least $300,000, insuring the owner for any personal iniuries inflicted by the dangerous dog; 3. The owner has paid the City an annual fee of $500 to obtain a certificate of registration for a dangerous dog under this Section; and 4. The owner has had microchip identification implanted into the dangerous doq as required under Minn. Stat. X347.515 as may be amended from time to time Post Warning Symbol. Upon issuing the certificate of registration the City shall provide for posting on the owner's property, a warninq symbol from the Minnesota Department of Public Safety to inform children that there is a dangerous dog on the property. The owner shall be responsible for paving the City for the costs of obtaining the warning symbol from the Department of Public Safety. (c) Additional requirements for dangerous does. -3151- 1. Dog Restraint. An owner of a dangerous dog shall keep the doa while on the owner's property in a proper enclosure If the dog is outside the proper enclosure, the doa must be muzzled and restrained by a substantial chain or leash and under the physical restraint of a responsible person The muzzle must be made in a manner that will prevent the clop from biting any person or animal but that will not cause iniury to the dog or interfere with its vision or respiration 2. Renew Registration. An owner of a dangerous dog must renew the certificate of registration for a danaerous dog annually with the City until the dog is deceased 3. Notice of Relocation. An owner of a danaerous dog must notify the City in writing upon the death of the danaerous dog or its transfer to a new location outside of the City within 30 -calendar days of the death or transfer, and must if requested by the City, execute an affidavit under oath setting forth either the circumstances of the dog's death and disposition or the complete name address and telephone number of the person to whom the dog has been transferred If the dog is removed from the City, it must be registered as a dangerous dog in its new location. 4. Sterilization. A dangerous dog must be sterilized at the owner's expense If the owner does not have the animal sterilized within 30 -calendar days of notification by the City, the City shall seize the dog and have the animal sterilized at the owner's expense. 5. Disclosure. A person who owns a dangerous dog and who rents property from another where the dog will reside must disclose to the property owner prior to entering the lease agreement and at the time of any lease renewal that the person owns a dangerous dog that will reside at the property. (d,) Identification Required. 1. Microchip Identification. The owner of a dangerous dog must have a microchip implanted in the dog for identification The name of the microchip manufacturer and identification number of the microchip must be provided to the City. If the microchip is not implanted by the owner, it may be implanted by the City In either case, all costs related to the purchase and implantation of the microchip must be borne by the dog's owner. 2. Tag Identification. A dangerous dog must have a standardized easily identifiable taq identifying the dog as dangerous and containing the uniform dangerous dog symbol affixed to the dog's collar at all times as specified in Minn Stat §347.51. as may be amended from time to time. (e) Seizure. 1. By City. The City must immediately seize any dog that has been declared dangerous if: -3152- i. Failure to Register Dangerous Dog After 14 -calendar days after the owner has notice that the dog is declared dangerous the doq is not validly registered as dangerous pursuant to this Chapter; ii. No Insurance or Surety. After 14 -calendar days after the owner has notice that the doq is declared dangerous the owner does not secure the proper liability insurance or surety coveraqe as required by this Chapter and Minn. Stat. §347.51, subd. 2 as may be amended from time to time iii. Not Enclosed. The doq is not maintained in the proper enclosure; iv. Failure to Restrain. The doq is outside of a proper enclosure and not under physical restraint of a responsible person as required under this Chapter and Minn. Stat. §347.52 as may be amended from time to time; or _ v. Failure to Sterilize. The doq is not sterilized within 30 -calendar days pursuant to this Chapter and Minn. Stat. §347.52 (d) as may be amended from time to time. 2. By Court. If an owner of a doq is convicted of a crime for which the dog was originally seized, the court may order that the doq be confiscated and destroyed in a proper and humane manner and that the owner pay the costs incurred in confiscating, confining and destroying the dog 3. Appeal. Seizure may be appealed by the dog's owner to the district court by serving a summons and complaint upon the City and filing it with the district court. Reclaiming dogs. A dangerous dog seized under this Chapter may be reclaimed by the owner of the doq upon payment of impounding and boarding fees and presenting proof to the Animal Control Officer or Animal Warden that each of the requirements under this Chapter and Minn. Stat. §347.51 and 347.52 will be fulfilled A dog not reclaimed under this subdivision within seven (7) calendar days may be disposed of by the City, and the owner is liable to the City for costs incurred in confining and disposing of the doq iq) Subsequent offenses. If a person has been convicted of a misdemeanor for violating a provision of Minn. Stat. &347.51 347.515 or 347 52 and the person is charged with a subsequent violation relating to the same doq the dog must be seized by the City. If the owner is convicted of the crime for which the dog was seized the court shall order that the doq be destroyed in a proper and humane manner and the owner pay the cost of confining and destroying the animal. If the owner is not convicted and the doq is not reclaimed by the owner within seven (7) calendar days after the owner has been notified that the dog may be reclaimed, the doq may be disposed of by the City Dangerous doq designation review. Beginning six (6) months after a doq is declared dangerous by the City, an owner may request annually that the City review the -3153- designation. The owner must provide evidence that the dog's behavior has changed due to the dog's age neutering environment completion of obedience training that includes modification of aggressive behavior or other factors If the City finds sufficient evidence that the dog's behavior has changed it may rescind the dangerous dog designation. Sec. 14-27. Dog Attacks Regardless of Designation or Lack of Designation (a) Destruction of dog in certain circumstances A dog may be destroyed in a proper and humane manner by the Animal Control Officer Animal Warden or the City if the dog: 1. Inflicted substantial or great bodilv harm on a human on public or private property without provocation; 2. Inflicted multiple bites on a human on public or private property without provocation; 3. Bit multiple human victims on public or private property in the same attack without provocation• or 4. Bit a human on public or private property without provocation in an attack where more than one dog participated in the attack. Lb Right to hearing. The City may not destroy the dog until the owner has had the opportunity for a hearing before the City Council. (c) Exemptions. The exemptions provided in Minn. Stat. §347.51, subd 5 app) to o this Section. (d) Failure to restrain. It is unlawful for an owner to fail to restrain a doq from inflicting or attempting to inflict bodily injury to any person or other animal regardless of whether the owner of the other animal is present This paragraph does not app to dogs being used by law enforcement for police work. 'e Conditioning equipment. No person shall use or possess any device equipment treatment or products for the strengthening or conditioning of a dog with the intent to enhance the dog's ability to inflict bodily iniury upon humans or other animals on public or private property. .6 (a) Setting fees. The Animal Control Officer and Animal Warden may charge such reasonable impounding fees for the care and boarding of any dog restrained or impounded and any and all such fees so imposed shall be paid to the Animal Control Officer and Animal Warded at the time of delivery or reclaiming the dog The police department shall annually review all fees so imposed by the Animal Control Officer and -3154- Animal Warden to determine their reasonableness and may impose such additional fees reasonably related to the necessary and reasonable expenses incurred by the Animal Control Officer and Animal Warden for the capture transportation and care of impounded dogs. All such fees must be paid to the Animal Control Officer and Animal Warden prior to the release of the animal The Animal Control Officer and Animal Warden shall issue a receipt to the owner evidencing such payment (b) Prerequisite to release. In the case where any dog has been impounded whose rabies vaccination is not current, said dog shall not be released unless the owner first provides written evidence from a licensed veterinarian that arrangements have been made and fees have been paid to that veterinarian to vaccinate the dog upon its release Sec 14-29. Violation. Any person, firm, or corporation violating any of the provisions of this Chanter shall be quilts fa misdemeanor. It is a misdemeanor to remove a microchip from a dangerous or potentially dangerous dog to fail to renew the registration of a dangerous dog to fail to account for a dangerous dog's death or change of location where the doq will reside to sign a false affidavit with respect to a dangerous dog's death or change of location where the dog will reside or to fail to disclose ownership of a dangerous dog to a property owner from whom the person rents property. It is also a misdemeanor to violate Minn. Stat. §347.51 (registration of dangerous dogs) §347,515 (dangerous dog microchip identification requirements) or §347 52 (dangerous dog requirements). If a person is convicted of subsequent or second violation of either the aforementioned sentences that person shall be guilty of a gross misdemeanor. A person shall also be guilty of a gross misdemeanor if that person violates Minn Stat _647.542 subds 1 or 2 (restrictions on dog ownership). Section 2. Effective Date. This ordinance becomes effective on the first day following the date of its publication, or upon the publication of a summary of the ordinance as provided by Minn. Stat. § 412.191, subd. 4, as it may be amended from time to time, which meets the requirements of Minn. Stat. § 331A.01, subd. 10, as it may be amended from time to time. Passed by the City Council this 14th day of November, 2017 Mark Wegscheid, Mayor -3155- Attest: Catherine Pausche, City Clerk Published in the Laker the of , 2017. Effective the day of 2017. (atrikeou indicates matter to be deleted, underline indicates new matter.) -3156- CITY OF t D "OkESOLUTION17- WHEREAS, the City Council of the City of Mound has adopted Ordinance No. 2017 amending Chapter 14 of the Mound City Code as it relates to animals; and WHEREAS, Minnesota Statutes, Section 412.191, subdivision 4, allows publication by title and summary in the case of lengthy ordinances; and WHEREAS, the following summary of Ordinance -2017 has been approved by the City Council of the City of Mound as clearly informing the public of the intent and effect of the Ordinance. NOW, THEREFORE, BE IT RESOLVED that the City Council of the City of Mound has reviewed the following summary of the ordinance and approved its publication in accordance with Minnesota Statutes, Section 412.191, subdivision 4: Ordinance -2017 has been approved by the City Council of the City of Mound. The Ordinance amends Chapter 14 of the Mound City Code as it relates to animals, by repealing and replacing the Chapter in its entirety. A copy of the full text of the Ordinance is available at City Hall and at the Mound Public Library, BE IT FURTHER RESOLVED that the City Clerk keep a copy of the entire text of the ordinance in her office at city hall for public inspection and that she post of the entire text of the ordinance at Westonka Public Library in the City. Passed by the City Council this 14th day of November, 2017. [requires a four-fifths vote of the council members] Attest: Catherine Pausche, City Clerk -3157- Mark Wegscheid, Mayor S Z O All Mound Fire Department City of Mound January - October, 2017 Fire Alarm / False Alarm Report 2017 YTD TOTALS J:\admin\REPORTS - Fire Incident & Perrormancet2017 Performance Reportsl2017 Fire Alarm - False Alarm Reports by City Fire Date No Address Alarm Type Fire ISmoke CO Activity or Action Taken False Pre - Alarm ventable 10 1/8/2017 5967 Idlewood Road x CO levels found N Y 18 1/11/2017 2590 Commerce Blvd x Nothing found Y Y 20 1/12/2017 5600 Grandview Blvd x Extinguished Fire N Y 36 1/30/2017 4743 Richmond Road x CO levels found N N 44 2/8/2017 2020 Commerce Blvd x Set off by construction Y Y 50 2/13/2017 5227 Bartlett Blvd x Cancelled enroute N Y 65 2/24/2017 2020 Commerce Blvd x Set off by construction Y Y 88 3/13/2017 2020 Commerce Blvd x Set off by construction Y Y 90 3/15/2017 2670 Commerce Blvd x Reset alarm N Y 96 3/20/2017 2020 Commerce Blvd x Burnt Food N Y 97 3/22/2017 2131 Commerce Blvd x Cancelled - on site testing Y Y 99 3/24/2017 2333 Wilshire Blvd x Alarm Reset N Y 128 4/12/2017 2451 Fairview Lane x Cancelled upon arrival N Y 133 4/17/2017 2948 Pelican Point Circle x Replaced Battery N Y 134 4/18/2017 2308 Driftwood Lane x Burnt Food N Y 149 4/29/2017 2333 Wilshire Blvd x Canceled enroute Y Y 202 6/5/2017 5308 Three Points Blvd x Fire in Garage - Extinguished N Y 204 6/5/2017 2451 Fairview Lane x Child pulled pull station Y Y 218 6/9/2017 2020 Commerce Blvd x Set off by construction Y Y 244 6/11/2017 2501 Commerce Blvd x Faulty Detector N N 262 6/21/2017 5616 Grandview Blvd x Low Battery N Y 263 6/22/2017 2020 Commerce Blvd x Cancelled enroute Y Y 270 1 6/25/2017 5600 Grandview Blvd, #213 x Nothing Found N Y 272 6/25/2017 2650 Lakewood Lane x Cancelled burnt food N Y 281 6/28/2017 2150 Old School Road, #251 x Low Battery N Y 286 7/1/2017 2020 Commerce Blvd x Set off by Burnt Food N Y 300 7/7/2017 4939 Grandview Blvd x Replaced Battery N Y 308 7/9/2016 2020 Commerce Blvd x Burnt Food N Y 310 7/10/2017 2020 Commerce Blvd x Set off by construction Y Y 327 7/19/2017 2133 Cedar Lane x Low Battery N Y 345 7/29/2017 1545 Bluebird Lane x Cancelled Y Y 393 8/25/2017 2141 Commerce Blvd x Set off by pressure washer Y Y 366 8/9/2017 2020 Commerce Blvd x Set off by construction Y Y 364 8/8/2017 4646 Island View Drive x Low Battery N Y 379 8/15/2017 3136 Wested a Blvd x Changed Batteries N Y 353 8/4/2017 3002 Highland Blvd x Alarms System Malfunction Y N 359 8/7/2017 5340 Shoreline Drive x Accidental Pull Station Y Y 431 9/10/2017 4731 Wilshire Blvd x Setoff by Shower Steam Y Y 435 9/13/2017 2102 Balsam Road x System being Tested Y Y 446 9/17/2017 4371 Wilshire Blvd x Investigated - Nothing Found Y Y 453 9/22/2017 2670 Bartlett Blvd x Set off by Bldg Maintenance Y Y 413 9/3/2017 5200 Waterbury Road x Cancelled - Burnt Food N Y 477 10/11/2017 5321 Bartlett Blvd x Cancelled N N 471 10/5/2017 2020 Commerce Bvld x Burnt Food - Ventilated N Y 491 10/20/2017 5495 Lost Lake Road x Replaced Battery N Y 2017 YTD TOTALS J:\admin\REPORTS - Fire Incident & Perrormancet2017 Performance Reportsl2017 Fire Alarm - False Alarm Reports by City Harbor Wine & Spirits September 2017 Date Weather 9/l/2017 PT SUN 77 Cust17 Cwot1G Variance 2017 2016 Difference +�. y/2/2O17sun 8O 583 572 389 194 1539453 904784 ^ 554�'6g 9/3/2O17sun 8U 471 694 '122 16OO9'93 �8��'g4 -21g4'O3 9/4/2O1775-58/train 294 725 -254 112818203.948J �17�4'94 ' ' -10487.1� g/5/2O17««ind65 313 �94 6�36'57 6S��.6� 9/6/2O17sun hi6Os 299 330 '17 6207'97 7033.43 -O25.4G 9/7/2017 Sun 75 334 328 '28 5489'O6 6D78.�Z -589.1G '-'-01�sun7Oa 6D3 279 7039'52 5384.88 1654.64 g/g/»O17ptsun 78 565 355 255 e48 148gg'6 6G27.5S 8272.05 g/1O/2O17PTSUN�� 278 614 -49 14746'5 15026.52 '280.02 g/11_O17sun 8O 326 G88 -41O 5743'83 18340'24 -12496.41 9/12/2017 SUN 83 344 �26 61��'77 614�.77 g/13'_O17sun88 346 289 55 7056'36 5974'51 1081.85 9/14/2O17ovrcstrain 335 3OG 4O 7S�O'95 S8OS.7 177S.�S g/15/2O17yunh�8Us �52 ]OS 6239'17 6531.36 '282.19 g/16/2O17ovrcstrain 466 3�4 3�O 28 16198'59 7423'75 8774'84 g/1�/JO17aunmn/d6Os �6G 603 1 `3/ I0720'9 14357.61 -3538.71 g/1Q/JO17domnp62 254 �3� -- -369 S9O846 1734725 ' ' '11438.79 9/Ig/2017ptsun OS 299 254 487147 4871'47 9/2O/2017sun nn/dBOa 318 325 -26 5758'83 638973 '63O'9 9/21/JO17sun 8Q 351 322 -3 7Og7'7O 673O'37 367'61 9/23/ZD17sun #Os 612 307 44 7628'61 6734'41 9/23/201/ sun hi 80s 369 318 294 1S712'21 666l'G8 gO794`2 5O'�3 9/24/J017sun h/QOs 291 541 -172 9729.15 13173'81 '3444'66 9Y35/ZO17RAIN 72 260 597 -306 S977'9Z 1S3��'85 ' ' -9397.94 g/2G/2O17damp 70 295 �6O 4788'�4 4�8D.34 9/27/2D17ptsun 65 308 336 �8- -41 �895�0 66773 ' ' 9 -7O1.91 ._ .� g/78/2O17PT�UN67 36G ��5 23 6186'32 6180.03 639 ' g/2g/2O17SUN 70 536 318 47 842993 674586 16�4'O7 9y30y2017SUN/[LDY72 486 417 119 12Gl'4 SD84'4S J7]4'9G 603 '117 222Q�'4 146D9'61 ~' ' -2326.21 TOTALS 11783 11234 O 549 270081.5 264810.8 537D.GO Date Weather Cust 17 Cust 16 Variance 2017 2016 Difference +/- 10/1/2017 cool rain 60s 237 631 -394 4910.84 15635.01 -10724.17 10/2/2017 rain 72 260 260 5159.69 5159.69 10/3/2017 damp 65 316 343 -27 6823.51 6856.4 -32.89 10/4/2017 sun 60 315 288 27 5846.75 5879.97 -33.22 10/5/2017 ovrest/rain 60 362 324 38 8056.95 6264.68 1792.27 10/6/2017 rain 6 523 338 185 12852.82 7080.34 5772.48 10/7/2017 rain/3sun70 496 432 64 12660.06 11611.52 1048.54 10/8/2017 Sun 75 264 645 -381 5656.5 17162.69 -11506.19 10/9/2017 cldy 50 315 315 6330.31 6330.31 10/10/2017 sun 60 309 330 -21 7139.05 6940.74 198.31 10/11/2017 sun hi 50s 268 319 -51 5087.03 7335.77 -2248.74 10/12/2017 dreary 62 357 294 63 8220.77 6500.7 1720.07 10/13/2017 ovrest 60 602 354 248 16448.73 8065.74 8382.99 10/14/2017 ovrest /rain 529 567 -38 13818.15 15062.55 -1244.4 10/15/2017 sun 60 289 609 -320 5285.79 14766.74 -9480.95 10/16/2017 sun 62 286 286 5517.41 5517.41 10/17/2017 SUN 65 342 291 51 7732.54 6089.27 1643.27 10/18/2017 SUN 65 338 330 8 7584.29 7898.33 -314.04 10/19/2017 sun 73 367 304 63 8631.32 7479.21 1152.11 10/20/2017 545 328 217 14873.68 8275.38 6598.3 10/21/2017 rain 65 491 555 -64 14211.27 14279.43 -68.16 10/22/2017 sun 62 267 649 -382 5795.24 17349.48 -11554.24 10/23/2017 wind 60 237 237 4761.73 4761.73 10/24/2017 pt sun 60 303 264 39 6708.05 5196.58 1511.47 10/25/2017 sun hi 60s 308 291 17 6455.69 5508.07 947.62 10/26/2017 c1dy/wnd 55 290 316 -26 6999.53 6805.4 194.13 10/27/2017 snow 35 509 310 199 12796.41 7135.87 5660.54 10/28/2017 ovrest 30s 464 629 -165 11953.75 14929.21 -2975.46 10/29/2017 ovrest 30s 255 629 -374 5187.07 16765.62 -11578.55 10/30/2017 HG WND 32 259 259 5693.1 5693.1 10/31/2017 SUN 35 429 435 -6 10610.06 9906.98 703.08 TOTALS 11132 10805 327 259105 256781.7 2323.31 -3162- w w m 2 w U W O W Z Z fNN- O a. 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W C7 Z H O 0.N W Z�� It oF- w W N ma hU.ow �W amo O ' F- U) U W O Z w w U' X W m o \ o o \ o \ \ \ \ \ \ o 0 0 0 0 0 0 0 0 0 0 0 0 0 0 O U) m O r n V r LO r N t- t, M M 0) W m O i` Co O r O U) r M r r Ih M Cl) P (D O N O tO V N O M m U) W V O U) W W W V N co V t` W 0) U) co t- N O 00 m 00 00 r V (N M m M O M m O_ U) W V N O V 0 w W W W U) U) V 0 V W V m 0 m W (D m 0 W N M U) m 0 n M V O r N W r cc m m M r N m N N r ZD W N m N V' W V 00 W N m r V V ti V r zz W r W N m m' W O U) N V ti m M 0 U) V' W 0 Cl) VO d m U) W 0 U) m w M t- V 1�- N -q- W 0 00 O W r- OD ao O CO 00 m (D U) V 00 M U)M U) _V W m O1-7 U) ' M ' W ' V mO0 N t-mM t --t-- i W O U) N M M` W f 1` O W U) U) O m O W V U) W r N V r- W M N U7 h m r N r M -- U) M r r h tom- M M N 0 N 0 O O O O O U) m h O M 0 t'- O M O O M M U) O O O V W m 0 0 W 0 N U) W 0 n O U) U) U) (D (O r (D N U) 00 m O 1�.(D(DN MO 0)r r mo U)t�I�NO O O U) M f� M VN' OMD U) r (WO U7 0 0 0 0 N N N OS t6 0 0 0 0 0 n O M to C c c C C I-. 00 (D M et 0) 00 0 W U)NMCl) 0~0 00 V W 00i r t` W 000 m r N Y V1 U o N `0 U U .C: U) fl. •� to cn 0)of ro c a) •w c CO 0 0 0 ) (D w m J r r- = o o c 10 m m= a °) c 0 v, a� N (1) d D O w N c y N .- o o E m N N i wUd0wiL<-j c>0CLwa(nac��-c3165- w 0 O N(t)O CO - ' � m m V U)h V W to 00 t-- P (D CO W N V m N 00 WIlit� t` (D tl W V: N r M 00 yr 000 r- LO c0 � h- W W M m W U) M O O 00 V 1` _ W O co 00 00 V- W r U) N m _M (0 (0 V M V 00 mr(D M N r N (0 I+ M t- ' ' ' In W 0 U') m WD M (ND U) 00 O w V O ( m W N V O LO V. etO- m co in O t- O' ' ' ' ' r W N (M O M ccnN V V (WD((00M (6 V c0 U) U) U7 M t - V MN mM(Dr00 V 0 U C C 0) V d C C m '(p = ++ O C o co cr- N 0 N cc (n 4) LL lL y 6 N O =¢aa`U�(nF-I-?tnJacn 1- O N T o v1 0) r N CL N (0 N 0 a� U .a •3 U 3 v 0 N Q U 0 0) N c N N N C CL N c LL 0 N .Q N c W (D E 0 0) HEN NEPIN COUNTY MINNESOTA MEMO To: Jurisdictions Committing Inmates to the Adult Corrections Facility From: Sean Chapman, Superintendent's Date: October 23, 2017 Re: 2018 Daily Charges (Per Diem Rates) Based on our actual operating expenses for fiscal year 2016 and the inflation rates from July 1, 2016 through June 30, 2017 the daily charges for 2018 will be: • $163.50 per prisoner day for straight time inmates compared to $156.50 in 2017 ® $163.50 per prisoner day for Work Release inmates compared to $156.50 in 2017 • $42.00 per prisoner day for Electronic Home Monitoring inmates compared to $41.00 in 2017. The daily charge for Work Release inmates will be split: ® $143.50 per prisoner day billed to the committing jurisdiction, and ® $20.00 per prisoner day billed to the inmate The daily charge for Work Release Electronic Home Monitoring inmates will be split: • $22.00 per prisoner day billed to the committing jurisdiction, and ® $20.00 per prisoner day billed to the inmate The daily charge for Straight -time Electronic Home Monitoring inmates will not be split: O $42.00 per prisoner day billed to the committing jurisdiction Additionally, please note that for any person committed for 48 hours for an alcohol related driving offense, the jurisdiction will be billed at the rate of $109.00 per day for a total cost of $327.00. The reason for this is that our computer billing system charges a daily rate each time the date changes (e.g., at midnight). If we did not make this adjustment, your jurisdiction would be billed at a rate of $163.50 per day for three days for a total of $489.00. If there are any questions regarding the above, please call Kathi Tolan at 612-596-0074. Thank you. cc: Chester Cooper, DOCCR Director Fred Bryan, DOCCR Area Director Greg Wagner, DOCCR Financial Officer Kathi Tolan, Sr. Adm. Assistant Rita Beltrand, POS ACF Management Team ACF Booking Offices File Hennepin County Department of Community Corrections and Rehabilitation Adult Corrections Facility 1145 Shenandoah Lane, Plymouth, MN 55447 "3166- 612-596-0001 hennepin.us/acf TO: Honorable Mayor and City Council FROM: Sarah Smith, Community Development Director DATE: November 9, 2017 SUBJECT: November 20th Open House for 2040 Comprehensive Plan - Land Use and Parks Concepts As the City Council is aware, an open house for the 2040 Comprehensive Plan land use and parks concepts is scheduled for Monday, November 20th from 6:00 p.m. to 8:00 p.m. at the Centennial Building. As part of the open house, Staff will be giving brief presentations of the concepts at 6:15 p.m. and 7:15 p.m. In addition, an informational session with the property owners of the Eden focus area has been scheduled for 4:30 p.m. to 5:30 p.m. prior to the open house to provide an opportunity for the owners to visit with Staff about the mixed-use land designation being included in the proposed plan. Below is a summary of some of the activities undertaken to promote the upcoming open house being held on Monday, November 20th: ® An announcement about the open house was included in the fall/winter edition of the City of Mound newsletter. ® A press release announcing the open house was published in the November 4th edition of the Laker newspaper. The press release was also posted on the City bulletin board. A Code Red notification about open house was sent out on November 3rd. A reminder notification will be sent out using the Code Red system the week of November 13th. • The land use and parks concepts being presented at the open house were posted on the City website on November 3rd. • Letters about the open house were mailed to the owners, per Hennepin County tax records, for properties located in the Downtown Lakes, Village Center, Promenade, Eden and East Gateway focus areas. The letter to the Eden property owners included an FAQ about the proposed mixed use designation. Letters were also sent to the owners of properties outside of the focus areas that are proposed to be reguided as part of the 2040 Comprehensive Plan. -3167- ® A flyer regarding the open house was prepared and posted on the City website on November 2nd. The flyers are available for pick up on the front counter at City Hall. o An expanded press release about the open house was forwarded to the Laker on November 7th for publication in the November 11th edition of the Laker. ® A notice regarding the open house is being published in the Community Calendar section of the November lith and November 18th editions of the Laker. Posting of the open house flyer on Next Door Mound and other local web or social media sites is being pursued. ® Staff contacted the Laker editor and extended an invitation to attend the open house and to discuss the preparation of an article in an upcoming edition of the newspaper. Members are advised that a public notice about a possible quorum of the City Council and the Planning Commission, the Parks and Open Space Commission and the Docks and Commons Commissions at the upcoming open house for the Comprehensive Plan was posted on the City bulletin board on November 9th. OPEN HOUSE THE CITY OF MOUNDis seeking input on concepts for land use and parks for its 2040 Comprehensive Plan. The planning process developed the concepts based on community input received this spring, an analysis of existing conditions, a review of market trends, and meetings with elected and appointed officials. Please join us at the November 20th Open House to review the concepts and provide input on how the community should look, feel, and function in the next 20 years. The Open House is being held from 6:00 p.m. to 8:00 p.m. in the Council Chambers the Centennial Building (former Mound City Hall) located at 5341 Maywood Road. A brief, 10 - 15 minute overview presentation will be given at 6:15 p.m. and 7:15 p.m. i For more information on the Comprehensive Plan, check out the City's website at www.cityofmound.com Questions can be directed to Community Development Director Sarah Smith at 952-472-0604 or Sarahsmith@cityofmound.com 2040 COMPREHENSIVE PLAN -3169- HOISINGTON KOEGLER GROUP M13 W14 • •oil, 16CUBUIPUCALIVIII C NOTICE IS HEREBY GIVEN that members of the Mound City Council, Mound Planning Commission, Mound Parks and Open Space Commission and the Mound Docks and Commons Commission may be attending the open house for review and discussion of the 2040 Mound Comprehensive Plan to be held on Monday, November 20, 2017 from 6:00 p.m. to 8:00 p.m. in the Council Chambers in the Centennial Building (former City Hall), 5341 Maywood Road, Mound, MN. An informational session with the property owners in the Eden Focus Area and Staff is also scheduled to be held on November 20, 2017 from 4:30 p.m. to 5:30 p.m. in advance of the open house for the 2040 Comprehensive Plan which City Council and Commission members may also attend. A quorum of the Mound City Council, the Mound Planning Commission, the Mound Parks and Open Space Commission and the Mounds Docks and Commons Commission may be present at both the Eden Focus Area informational session and the open house for the 2040 Comprehensive Plan being held on Monday, November 20, 2017. -3170- On behalf of The Westonka Food Shelf, American Legion Post #398, DECA, and our local churches and businesses, we invite our community to attend a complimentary Thanksgiving Day Meal. A special welcome is extended to seniors, active military, veterans, and those who might not be able to prepare a meal or would like to join with others. fifflmmvgq11 * �11 �Ip � We are still in need of volunteers on Thanksgiving Day! Please consider signing up at: http:/Itinyurl.comlWFSThanksgiv[MI7 Additionally, The Westonka Food Shelf provides holiday baske at Thanksgiving, Christmas and Easter to nearly 300 families i need. Your donation of $30 will cover the cost of a holiday mec for a family. Your generosity helps local families in need celebrate the holidays! -3171-