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City Council Agenda Packet 02-13-2012AGENDA SPECIALWORKSHOP/MEETING–MONTICELLOCITYCOUNCIL Monday,February13,2012–6:00p.m. MississippiRoom,MonticelloCommunityCenter Mayor:ClintHerbst CouncilMembers:LloydHilgart,TomPerrault,GlenPosusta,BrianStumpf 1.CalltoOrder 2.PurposeofWorkshop:DiscussionofoptionsrelatedtoChadwickassessments 3.ConsiderationofdirectingstaffregardingactiononChadwickproperty 4.Adjournment SpecialCouncilWorkshop:2/13/12 1 ConsiderationofspecialassessmentremediesforOutlotD,OtterCreekCrossings(John Chadwick)(AS/TK) A.REFERENCEANDBACKGROUND: PropertyownerJohnChadwickhasrequestedthattheCityCouncilconsiderarequestto adjustthespecialassessmentfortheChelseaRoadExtensionatOtterCreekCrossingsby eitherreducing(reapportionmentof)theassessmentsorthroughlandpurchase.The specialassessmentsarerelatedtotheinfrastructureandimprovementsassociatedwith ChelseaRoadfrom90th StreettoCSAH39throughOtterCreekCrossing.Theproject wasfundedbythe2005ImprovementBondtheCityissued,withtheassessments providingthefundingfortheannualbondpayments. Theprojectwasconstructedin2005/2006withtheassessmentsbeingleviedin2006for payable2007taxes.Aspartofanassessmentagreement,Mr.Chadwickandhisbusiness partneratthetime,Mr.Bowers,agreedtopay79%oftheassessmentcosts,or $2,311,908.93,withMoonMotorsbeingassessed$284,680.40andtheCity$704,844.46. Thesewereassessedat5.5%interestoveraten-yearperiod.The$2,311,908.93in assessmentswassplitbetweenOutlotCandDofOtterCreekCrossingwithOutlotC beingassessed$855,406.30andDassessed$1,456,502.63. In2008/2009,Mr.ChadwickandBowersdissolvedthispartnershipwitheachtaking approximatelyanequalpropertysplitandassessmentsplit.Mr.Chadwicktook ownershipofOutlotD,whichisaparcelofabout19.08acresandassessed$797,034.80, andMr.Bowerstookownershipofabout19.09acresofOutlotCandassessed $938,639.40.Alsoin2009,bothrequestedandreceivedCouncilapprovaltoreassessthe balanceoftheassessmentsoveranew15-yeartermbeginningin2010at5.5%. Attheendof2011,thebalanceoftheassessmentswouldhavebeen$586,649.70on OutlotCand$690,763.44forOutlotD.However,Mr.Bowershasnotpaidtheproperty taxessince2008andowesdelinquenttaxesandassessmentsof$619,932.48asof 1/31/12.Mr.Chadwickstoppedpayingtaxeshalfwaythrough2010andowes $170,796.11indelinquenttaxesandassessments. Mr.Chadwickhasthepropertylistedforsalebutnotestheinabilitytosellpropertygiven currenteconomicconditions,otherlandavailableforcommercialdevelopment,andhigh amountofspecialassessments.Mr.ChadwickhasmeetwithCitystaffseveraltimesto discussremedies. Onesuggestionwastoreducehisassessmentstowhattheywouldbeiftheassessments wereoriginallylevied50%forhisparceland50%fortheCityparcels.Theproblem withthisproposalwouldbethattheCitywouldhavetoterminatetheoriginalassessment rollandreassessallpropertiesaffectedbytheassessmentsincludingMoonMotorsand Mr.Bowers.Thisincludesallthelegallyrequirednoticesanditwouldbehardforthe CitytoreduceMr.Chadwick’sassessmentswithoutreassessingtheotherpropertiesina similarmanor.SinceMoonMotorspaidofftheirassessment,anyreductionintheir assessmentamountwouldrequiretheCityrefundingmoneytoMoonMotors.TheCity SpecialCouncilWorkshop:2/13/12 2 wouldbecomeresponsibleformoreoftheassessmentsandwouldthereforehaveto increasethetaxleviesinthefuturetomeetbondobligations. AsecondoptionwouldbetocalculatetheassessmentasiftheCitylevied50%tothe Cityand,insteadofrefundingMr.Chadwick,wouldapplytheperceivedoverpayment towardstheCitypurchasingapproximately2.5acresofMr.Chadwick’s19plusacres. Atthistimestaffdoesnotfeelit’sagoodideatosplitupthe19acreparcelintosmaller parcels. ThenextoptionwouldbefortheCitytopurchaseallofMr.Chadwick’sproperty.The Countyvaluesthispropertysomewhereinthe$1.25to$1.50persquarefootrange.Ifwe weretocalculatethecostjustforthespecialassessmentbalanceanddelinquenttaxes owed,itwouldbeabout$1.04persquarefoot.TheissuewiththisproposalistheCity wouldstillneedtoincreasethepropertytaxlevytomeetfuturebondobligationsandlevy additionaltaxesforthelandpurchase. Also,atthistime,theonlyusetheCitywouldhaveforaparcelinthisareawouldbefor resale.Inaddition,sinceMr.Bowersisfurtherbehindonhistaxesandcurrentlyhasthe samedistortedassessmentsonhisproperty,theCityshouldexpecttoprovidethesame relieftoMr.BowersasitprovidesMr.Chadwick. TheseareoptionsMr.Chadwickandstaffhavediscussedinthepastmonths. A1.BudgetImpact:AnyreductionwouldrequiretheCitytolevyadditional propertytaxesinthefuturetomeetfuturebondobligations. A2.StaffWorkloadImpact:Therewillbeasmallamountofstafftimeinvolvedin preparingtheassessmentinformationforWrightCountyorcloseonasaleofthe property. B.ALTERNATIVEACTIONS: 1.ProvidestaffwithdirectiononhowtoproceedwithMr.Chadwickregardinghis propertyandspecialassessments. C.STAFFRECOMMENDATION: Staffhasnorecommendationatthistime. D.SUPPORTINGDATA: Originalassessmentrollandrelatedagendaitem Mr.Chadwick’s2.5acrelandswapcalculations Delinquenttaxcalculations FinanceDirector’sSpecialAssessment/DelinquentTaxlandcostcalculations AerialmapofChadwick/Bowersproperty AGENDA REGULARMEETING–MONTICELLOCITYCOUNCIL Monday,February13,2012–7p.m. Mayor:ClintHerbst CouncilMembers:LloydHilgart,TomPerrault,GlenPosusta,BrianStumpf 1.CalltoOrderandPledgeofAllegiance 2A.ApprovalofMinutes–January23,2012SpecialMeeting 2B.ApprovalofMinutes–January23,2012RegularMeeting 2C.ApprovalofMinutes–February6,2012SpecialMeeting 3.Considerationofaddingitemstotheagenda 4.Citizencomments,publicserviceannouncements,andstaffupdates a.CitizenComments: 1)MonticelloUnitedProject/ImpactLives b.PublicServiceAnnouncements: 1)DMVAward 2)CAFRAward 3)MCCValentineDanceParty(2/14) 4)SpringTreeorders c.StaffUpdates: 1)WellheadProtectionaudit(Bob) 5.ConsentAgenda: A.ConsiderationofapprovingpaymentofbillsforFebruary13th B.ConsiderationofapprovingnewhiresanddeparturesforCitydepartments C.ConsiderationofadoptingResolution#2012-014approvingaGamblingPremises PermitapplicationforMonticelloYouthHockeyProgramtoconductgamblingat TheStationBarandGrill D.Considerationofapprovinganapplicationforatemporarycharitablegambling permitforarafflebytheKickingBearFoundation E.ConsiderationofappointingarepresentativetotheMonticelloParksCommission tofillavacancyforatermtoexpireon12/31/2013 SPECIALMEETING 6p.m.–Chadwickpropertyoptions F.Considerationofapprovingthe2011OperatingTransfers G.ConsiderationofrenewingannualpawnshoplicenseforMichaelHelm,dba MonticelloPawn,GunandBargainCenterat1219SouthHwy25 H.ConsiderationofadoptingResolution#2012-015accepting2008haildamage repairscompletedonCitypropertiesbyDayleVechesConstructionand approvingfinalpayment I.ConsiderationofcontinuingtheBusinessExpansionIncentiveProgramfor2012 J.ConsiderationofadoptingCityofMonticelloStreetSignMaintenancePolicy K.ConsiderationofacceptingquotesandauthorizingreplacementofflooringatHi WayLiquorStore 6.Considerationofitemsremovedfromtheconsentagendafordiscussion 7.ConsiderationofadoptingResolution#2012-016authorizingpreparationofFeasibility Reportfor2012RuralRoadImprovements,CityProjectNo.12C001 8.ConsiderationofapprovingCitymatchfora2012PhaseIVacquisitionattheBertram ChainofLakesRegionalPark/YMCACampManitou 9.Addeditems 10.Adjournment CityCouncilAgenda:02/13/12 1 5A.ConsiderationofapprovingpaymentofbillregistersforFebruary13th (TK) A.REFERENCEANDBACKGROUND: TheattachedbillregisterscontainallinvoicesprocessedsincethelastCouncilmeeting. SubjecttoMNStatutes,mostinvoicesrequireCouncilapprovalpriortoreleasingchecks forpayment.ThedayfollowingCouncilapproval,paymentswillbereleasedunless directedotherwise. IfCouncilhasnoquestionsorcommentsonthebillregisters,thesecanbeapprovedwith theconsentagenda.Ifrequested,thisitemcanberemovedfromconsentanddiscussed priortomakingamotionforapproval. A1.BudgetImpact:None A2.StaffWorkloadImpact:Noadditionalworkrequired B.ALTERNATIVEACTIONS: 1.Motiontoapprovethebillregistersforatotalamountof$905,452.70. 2.MotiontoapprovethebillregisterswithchangesdirectedbyCouncil. C.STAFFRECOMMENDATION: CitystaffrecommendsAlternative#1or#2,perdirectionofCouncil. D.SUPPORTINGDATA: Billregisters User: Printed:02/03/2012 - 11:49AM Ann.Zimmerman Computer Check Proof List by Vendor Accounts Payable Batch:00201.02.2012 Invoice No Description Amount Payment Date Acct Number Reference Vendor:2258 LIBRARY OF CONGRESS Check Sequence: 1 ACH Enabled: True 2/3/12 LOC Copyright Royalty Fee 7/1 - 12/31/11 52.00 02/15/2012 655-49860-443720 52.00Check Total: Vendor:1426 CITY OF MONTICELLO Check Sequence: 2 ACH Enabled: True 10128 Qtr4 2011 118 6th St W Prairie Center 32.37 02/15/2012 101-41941-438200 10250 Qtr4 2011 3698 1/2 School Blvd HE Garage 32.37 02/15/2012 655-49870-438200 5248 Qtr 4 2011 Bridge Park East sprinkler 206.20 02/15/2012 101-45201-438200 5250 Qtr 4 2011 Bridge Park West 69.05 02/15/2012 101-45201-438200 7224 Qtr 4 2011 WWTP 3,589.40 02/15/2012 602-49480-438200 7885 Qtr 4 2011 Help Center 36.45 02/15/2012 217-41990-438200 8086 Qtr 4 2011 4th St Warming House 32.37 02/15/2012 101-45201-438200 8114 Qtr 4 2011 Hi-Way Liquors 122.03 02/15/2012 609-49754-438200 8117 Qtr 4 2011 MCC 2,952.74 02/15/2012 226-45122-438200 8119 Qtr 4 2011 Fire Station 64.98 02/15/2012 101-42200-438200 8120 Qtr 4 2011 Bldg Inspection Garage 32.37 02/15/2012 101-41940-438200 8177 Qtr 4 2011 Library 209.77 02/15/2012 211-45501-438200 8528 Qtr 4 2011 2171 River St W Softball Fld 78.53 02/15/2012 101-45203-438200 8631 Qtr 4 2011 203 Chelsea Rd Animal Shelter 65.98 02/15/2012 101-42700-438200 8673 Qtr 4 2011 HeadEnd Building 32.37 02/15/2012 655-49870-438200 8903 Qtr 4 2011 PW Shop/Clerical 101.65 02/15/2012 101-43127-438200 8904 Qtr 4 2011 PW Vehicle Storage 142.41 02/15/2012 101-43127-438200 8905 Qtr 4 2011 PW Office 93.50 02/15/2012 101-43127-438200 7,894.54Check Total: Vendor:2438 VANCO SERVICES LLC Check Sequence: 3 ACH Enabled: True 00004927241 Vanco Fitness Rewards January 2012 103.25 02/15/2012 226-45122-430700 103.25Check Total: Vendor:2546 WELLS FARGO BANK NA Check Sequence: 4 ACH Enabled: True 2/1/12 1/12 annual requirement 41,666.66 02/15/2012 656-00000-101230 AP-Computer Check Proof List by Vendor (02/03/2012 - 11:49 AM)Page 1 Invoice No Description Amount Payment Date Acct Number Reference 2/2/12 FNM Series 2008 interest 147,111.46 02/15/2012 657-00000-101210 188,778.12Check Total: Total for Check Run: Total of Number of Checks: 196,827.91 4 AP-Computer Check Proof List by Vendor (02/03/2012 - 11:49 AM)Page 2 User: Printed:02/08/2012 - 8:19AM Ann.Zimmerman Computer Check Proof List by Vendor Accounts Payable Batch:00202.02.2012 Invoice No Description Amount Payment Date Acct Number Reference Vendor:1001 2ND WIND EXERCISE EQUIPMENT INC Check Sequence: 1 ACH Enabled: False 21-032568 Treadmill - new belt & computer board 1,099.55 02/14/2012 226-45122-422105 1,099.55Check Total: Vendor:2282 ALBIN ACQUISITION CORPORATION Check Sequence: 2 ACH Enabled: False 0120125487S (1) liquor license background check 23.00 02/14/2012 101-41310-431990 23.00Check Total: Vendor:1026 AMERICAN COMMUNITY NEWSPAPERS INC Check Sequence: 3 ACH Enabled: False 1085313 2012 Zoning Map 12/22; 12/29 163.61 02/14/2012 101-41910-435100 1085625 Ice Fishing Circ 334.00 02/14/2012 655-49870-434990 1085628 Ice Fishing Circ 209.00 02/14/2012 655-49870-434990 1088711 Ordinance 541 1/19 307.65 02/14/2012 101-41910-435100 1088712 Ordinance 542A 1/19 113.54 02/14/2012 101-41310-435100 1088831 Health and Wellness 1/29 231.00 02/14/2012 226-45122-434990 1,358.80Check Total: Vendor:1767 AMERICAN PUBLIC WORKS ASSOCIATION Check Sequence: 4 ACH Enabled: False 2012 Membership 2/1/12 - 1/1/13 ID No. 748699 Bruce Westby 112.25 02/14/2012 101-43111-443300 112.25Check Total: Vendor:1027 AMERICAN WATER WORK ASSOCIATION Check Sequence: 5 ACH Enabled: False 7000428162 4/1/12 - 3/31/13 membership 310.00 02/14/2012 601-49440-443300 310.00Check Total: Vendor:1028 AMERIPRIDE LINEN AND APPERAL SERVICES Check Sequence: 6 ACH Enabled: False 2200200930 17.90 02/14/2012 226-45122-441700 2200200930 49.10 02/14/2012 226-45122-431110 2200200930 12.36 02/14/2012 226-45122-441710 AP-Computer Check Proof List by Vendor (02/08/2012 - 8:19 AM)Page 1 Invoice No Description Amount Payment Date Acct Number Reference 2200203453 17.72 02/14/2012 226-45122-441700 2200203453 48.37 02/14/2012 226-45122-431110 2200203453 19.68 02/14/2012 226-45122-441710 2210015433 6.41 02/14/2012 226-45122-431110 223354800 17.60 02/14/2012 226-45122-441700 223354800 60.65 02/14/2012 226-45122-431110 223354800 12.04 02/14/2012 226-45122-441710 261.83Check Total: Vendor:1030 ANCOM TECHNICAL CENTER INC Check Sequence: 7 ACH Enabled: False 27235 Programmed new radio Unit 6; tested; ect. 200.00 02/14/2012 101-42200-440440 27259 Channel knob broken - replaced w/another unit; tested 105.00 02/14/2012 101-42200-440440 27260 Channel knob broken - replaced w/another unit; tested 95.00 02/14/2012 101-42200-440440 400.00Check Total: Vendor:1038 APPERTS FOOD SERVICE Check Sequence: 8 ACH Enabled: False 1679734 20.91 02/14/2012 226-45127-421460 1679734 re-sale 631.54 02/14/2012 226-45127-425410 1682963 4.75 02/14/2012 226-45122-433300 1682963 73.83 02/14/2012 226-45127-421460 1682963 re-sale 316.19 02/14/2012 226-45127-425410 1686300 4.75 02/14/2012 226-45122-433300 1686300 41.82 02/14/2012 226-45127-421460 1686300 re-sale 627.00 02/14/2012 226-45127-425410 1,720.79Check Total: Vendor:1040 ARAMARK UNIFORM SERVICES Check Sequence: 9 ACH Enabled: False 629-7408947 3.78 02/14/2012 101-43110-441700 629-7408947 32.90 02/14/2012 101-45201-441700 629-7408947 14.48 02/14/2012 602-49490-441700 629-7408947 14.48 02/14/2012 601-49440-441700 629-7408947 46.21 02/14/2012 101-43120-441700 629-7408947 47.74 02/14/2012 101-43127-421990 629-7413893 4.15 02/14/2012 101-43110-441700 629-7413893 33.24 02/14/2012 101-45201-441700 629-7413893 14.85 02/14/2012 602-49490-441700 629-7413893 14.85 02/14/2012 601-49440-441700 629-7413893 46.57 02/14/2012 101-43120-441700 629-7413893 79.29 02/14/2012 101-43127-421990 629-7418861 3.78 02/14/2012 101-43110-441700 AP-Computer Check Proof List by Vendor (02/08/2012 - 8:19 AM)Page 2 Invoice No Description Amount Payment Date Acct Number Reference 629-7418861 32.90 02/14/2012 101-45201-441700 629-7418861 14.48 02/14/2012 602-49490-441700 629-7418861 14.48 02/14/2012 601-49440-441700 629-7418861 46.21 02/14/2012 101-43120-441700 629-7418861 47.74 02/14/2012 101-43127-421990 629-7423831 3.78 02/14/2012 101-43110-441700 629-7423831 32.90 02/14/2012 101-45201-441700 629-7423831 14.48 02/14/2012 602-49490-441700 629-7423831 14.48 02/14/2012 601-49440-441700 629-7423831 46.21 02/14/2012 101-43120-441700 629-7423831 47.74 02/14/2012 101-43127-421990 671.72Check Total: Vendor:1041 ARCTIC GLACIER INC Check Sequence: 10 ACH Enabled: False 412202609 re-sale 69.40 02/14/2012 609-49750-425500 69.40Check Total: Vendor:1368 AUTO VALUE MONTICELLO Check Sequence: 11 ACH Enabled: False 21025576 Buffer - (1) extender bolt 5.88 02/14/2012 101-45201-421990 21025601 (1) miniature lamp; (1) socket 4.57 02/14/2012 101-45201-422100 21025628 Utility #6 - (1) battery 109.75 02/14/2012 101-42200-422110 21025692 (3) 40lb floor dry 25.62 02/14/2012 101-45201-421990 21025808 (1) 40lb floor dry 8.54 02/14/2012 101-45201-421650 154.36Check Total: Vendor:2319 AVAIL TVN CORPORATION Check Sequence: 12 ACH Enabled: False Jan-12 PPV Avail-TVN PPV January 2012 62.99 02/14/2012 655-49860-430920 Jan-12 VOD Avail-TVN VOD January 2012 798.74 02/14/2012 655-49860-430920 861.73Check Total: Vendor:1053 KATHLEEN M BALTOS Check Sequence: 13 ACH Enabled: True 2/1/12 2011 fall softball league winners - shirts 154.34 02/14/2012 226-45127-443990 154.34Check Total: Vendor:1062 BEAUDRY OIL COMPANY Check Sequence: 14 ACH Enabled: False 767904 537 gallons (unleaded plus) 1,619.06 02/14/2012 101-43120-421200 767905 620 gallons (kodiak plus 30) 2,228.90 02/14/2012 101-43120-421200 3,847.96Check Total: AP-Computer Check Proof List by Vendor (02/08/2012 - 8:19 AM)Page 3 Invoice No Description Amount Payment Date Acct Number Reference Vendor:1065 BELLBOY CORPORATION Check Sequence: 15 ACH Enabled: False 71909100 13.20 02/14/2012 609-49750-433300 71909100 1,259.95 02/14/2012 609-49750-425100 86303800 0.08 02/14/2012 609-49750-433300 86303800 (2) 100/bx razor blades 17.63 02/14/2012 609-49754-421990 1,290.86Check Total: Vendor:1066 BERNATELLO'S PIZZA INC Check Sequence: 16 ACH Enabled: False 1354411 (21) pizzas 105.00 02/14/2012 226-45127-421460 1354411 (39) pizzas 195.00 02/14/2012 226-45127-425410 1354527 (27) pizzas 135.00 02/14/2012 226-45127-421460 1354527 (45) pizzas re-sale 225.00 02/14/2012 226-45127-425410 660.00Check Total: Vendor:1067 BERNICK'S Check Sequence: 17 ACH Enabled: False 124668 re-sale 35.60 02/14/2012 609-49750-425400 124668 re-sale 16.40 02/14/2012 609-49750-425500 124669 284.25 02/14/2012 609-49750-425200 124674 12.80 02/14/2012 226-45127-421460 124674 re-sale 380.00 02/14/2012 226-45127-425410 127117 re-sale 139.60 02/14/2012 609-49750-425400 127117 re-sale 32.80 02/14/2012 609-49750-425500 127118 492.25 02/14/2012 609-49750-425200 127119 117.00 02/14/2012 609-49750-425300 127121 12.80 02/14/2012 226-45127-421460 127121 re-sale 287.00 02/14/2012 226-45127-425410 1,810.50Check Total: Vendor:1072 BNSF RAILWAY COMPANY Check Sequence: 18 ACH Enabled: False 90050409 11C001 - Crossing Rehab - West River St service from 12/1-12/31 28,066.21 02/14/2012 400-43300-459010 28,066.21Check Total: Vendor:2535 BORDER STATES ELECTRIC SUPPLY Check Sequence: 19 ACH Enabled: False 903501774 (60) TP Link routers; (20) 5 port TP Link switch 2,043.45 02/14/2012 656-49877-421800 903551988 (25) SARS01SBSBXXXUX-10F - used for installs at customer premise 450.06 02/14/2012 656-49877-421800 903558186 (2) 8pt layer 2 mgd switch 273.60 02/14/2012 656-49877-421800 2,767.11Check Total: Vendor:1749 CALIX NETWORKS INC Check Sequence: 20 ACH Enabled: False AP-Computer Check Proof List by Vendor (02/08/2012 - 8:19 AM)Page 4 Invoice No Description Amount Payment Date Acct Number Reference 967783 utx - (10) 1000 ft spool UPS to ONT power cable 3,679.50 02/14/2012 656-49877-421800 967811 utx - (5) quantity 20 7-position power connector 700 ONT 210.59 02/14/2012 656-49877-421800 3,890.09Check Total: Vendor:2798 BRANDON AND CHRISTEL CALLSTROM Check Sequence: 21 ACH Enabled: False Refund FiberNet Monticello acct 67794 9.58 02/14/2012 655-00000-115040 9.58Check Total: Vendor:1091 CAMPBELL KNUTSON PA Check Sequence: 22 ACH Enabled: False 2348-001G61 Code enforcement 930.00 02/14/2012 101-42400-430400 930.00Check Total: Vendor:2799 JACOB AND RAECHEL CARD Check Sequence: 23 ACH Enabled: False Refund FiberNet Monticello acct 67969 58.67 02/14/2012 655-00000-115040 58.67Check Total: Vendor:1096 RUSS CARTER Check Sequence: 24 ACH Enabled: False 1/25/12 Lobby directory 1/1/12 - 12/31/12 125.00 02/14/2012 226-45122-434990 125.00Check Total: Vendor:2220 CBS SPORTS NETWORK Check Sequence: 25 ACH Enabled: False Annual Minimum Balance of 2011 Annual Minimum Payment 379.02 02/14/2012 655-49860-430920 379.02Check Total: Vendor:1098 CCG CONSULTING LLC Check Sequence: 26 ACH Enabled: False 3020M 1/12 Period ending 12/30/11 1,344.20 02/14/2012 655-49870-431990 1,344.20Check Total: Vendor:1102 CENTERPOINT ENERGY Check Sequence: 27 ACH Enabled: False 1/31/12 8000014331-5 45.98 02/14/2012 217-41990-438300 1/31/12 8000014331-5 86.56 02/14/2012 101-45201-438300 1/31/12 8000014331-5 495.40 02/14/2012 101-42200-438300 1/31/12 8000014331-5 2,523.25 02/14/2012 101-43127-438300 2/2/12 5864452-7 499.14 02/14/2012 211-45501-438300 2/2/12 5788570-9 219.33 02/14/2012 609-49754-438300 2/2/12 5768542-2 314.95 02/14/2012 101-41940-438300 2/2/12 5768542-2 7,283.26 02/14/2012 226-45122-438300 2/2/12 5768542-2 118.11 02/14/2012 101-45175-438300 AP-Computer Check Proof List by Vendor (02/08/2012 - 8:19 AM)Page 5 Invoice No Description Amount Payment Date Acct Number Reference 2/2/12 5768542-2 157.48 02/14/2012 101-42800-438300 2/2/12 5828859-8 67.73 02/14/2012 101-41940-438300 2/2/12 8235331-9 164.42 02/14/2012 101-41941-438300 2/2/12 8235333-5 62.46 02/14/2012 101-41941-438300 12,038.07Check Total: Vendor:1103 CENTRAL HYDRAULICS INC Check Sequence: 28 ACH Enabled: False 20332 #225 - (2) DUR O-rings 3.59 02/14/2012 101-45201-422100 3.59Check Total: Vendor:1112 CINTAS FIRST AID AND SAFETY Check Sequence: 29 ACH Enabled: False 470764606 Weekly bathroom cleaning 64.13 02/14/2012 609-49754-431100 470767984 Weekly bathroom cleaning 64.13 02/14/2012 609-49754-431100 470771303 Weekly bathroom cleaning 64.13 02/14/2012 609-49754-431100 470774721 Weekly bathroom cleaning 64.13 02/14/2012 609-49754-431100 256.52Check Total: Vendor:2804 CLEARWATER FIRE DEPARTMENT Check Sequence: 30 ACH Enabled: False Haz Mat Train Haz Mat Training (2) Clearwater firefighters - Cargill to reimb 1,080.00 02/14/2012 101-42200-431990 1,080.00Check Total: Vendor:1123 CRABTREE COMPANIES INC Check Sequence: 31 ACH Enabled: False 105977 3/21-12/31/12 Laserfiche 2,608.70 02/14/2012 101-41940-431900 105977 1/1-3/21/13 Laserfiche 521.76 02/14/2012 101-00000-155010 3,130.46Check Total: Vendor:1124 CREATIVE FORMS AND CONCEPTS INC Check Sequence: 32 ACH Enabled: False 110757 (4200) A/P checks 661.87 02/14/2012 101-41520-420300 661.87Check Total: Vendor:2802 STEVE CROSS Check Sequence: 33 ACH Enabled: False Refund FiberNet Monticello acct 69235 57.87 02/14/2012 655-00000-115040 57.87Check Total: Vendor:2476 CSI DIGITAL INC Check Sequence: 34 ACH Enabled: True 101180 1/4 - STARZ receiver reprogram; ect.; 1/5 Bloomberg receiver 140.00 02/14/2012 655-49870-431990 AP-Computer Check Proof List by Vendor (02/08/2012 - 8:19 AM)Page 6 Invoice No Description Amount Payment Date Acct Number Reference 140.00Check Total: Vendor:1126 CUB FOODS - MONTICELLO Check Sequence: 35 ACH Enabled: False 01/28/2012 re-sale produce 9.90 02/14/2012 609-49750-425500 01/28/2012 windex refil; (4) clorox wipes 19.04 02/14/2012 101-43127-421100 01/28/2012 (3) coffee; coffee filters 39.10 02/14/2012 101-43127-443990 01/28/2012 ziploc bags; klnx; flatware; dixie bowls, plates; ect 58.94 02/14/2012 101-43127-421990 01/28/2012 re-sale produce 9.57 02/14/2012 609-49750-425500 01/28/2012 re-sale produce 8.32 02/14/2012 609-49750-425500 01/28/2012 re-sale produce 9.51 02/14/2012 609-49750-425500 154.38Check Total: Vendor:1129 DAHLHEIMER BEVERAGE LLC Check Sequence: 36 ACH Enabled: False 1012261 11,936.65 02/14/2012 609-49750-425200 1012261 re-sale 126.00 02/14/2012 609-49750-425400 1012283 5,041.75 02/14/2012 609-49750-425200 1012319 15,255.88 02/14/2012 609-49750-425200 1012338 345.70 02/14/2012 609-49750-425200 1012338 re-sale 12.80 02/14/2012 609-49750-425400 2191 90.70 02/14/2012 609-49750-425200 2234 333.06 02/14/2012 609-49750-425100 2287 211.00 02/14/2012 609-49750-425200 2299 100.00 02/14/2012 609-49750-425200 2339 143.65 02/14/2012 609-49750-425200 33,597.19Check Total: Vendor:1134 DAY DISTRIBUTING COMPANY Check Sequence: 37 ACH Enabled: False 635298 1,311.30 02/14/2012 609-49750-425200 636198 1,150.40 02/14/2012 609-49750-425200 2,461.70Check Total: Vendor:1681 DELEGARD TOOL CO Check Sequence: 38 ACH Enabled: False 655151 (1) 7T puller 165.44 02/14/2012 101-43127-424100 165.44Check Total: Vendor:1140 DEX MEDIA EAST INC Check Sequence: 39 ACH Enabled: False 650957055 1/12 1/1-1/31/12 Buffalo White & Yellow; Buffalo lyp 205.28 02/14/2012 655-49870-434990 205.28Check Total: AP-Computer Check Proof List by Vendor (02/08/2012 - 8:19 AM)Page 7 Invoice No Description Amount Payment Date Acct Number Reference Vendor:2606 DIGICOM INC Check Sequence: 40 ACH Enabled: False 35918 Quarterly DMX music Feb - April 2012 128.25 02/14/2012 655-49870-432500 128.25Check Total: Vendor:2114 ABBY DOMBROZKI Check Sequence: 41 ACH Enabled: False Refund FiberNet Monticello acct 67473 9.66 02/14/2012 655-00000-115040 9.66Check Total: Vendor:1152 ECHOSTAR SATELLITE LLC Check Sequence: 42 ACH Enabled: False 0652 01/12 (1/22/12 - 2/21/12) digital music 68.39 02/14/2012 226-45122-432500 9710 01/12 (2/2/12 - 3/1/12) digital music 42.74 02/14/2012 609-49754-432500 111.13Check Total: Vendor:2787 TRACEY ECKMAN Check Sequence: 43 ACH Enabled: False Refund FiberNet Monticello acct 63528 25.12 02/14/2012 655-00000-115040 25.12Check Total: Vendor:1157 EHLERS AND ASSOCIATES INC Check Sequence: 44 ACH Enabled: False 344076 Embracing Downtown - prep of Redevelopmt Grant App to DEED 2,755.00 02/14/2012 213-46522-431990 2,755.00Check Total: Vendor:2434 ELECTRIC MOTOR SERVICE INC Check Sequence: 45 ACH Enabled: False 157705 Boiler circulating pump 714.97 02/14/2012 226-45122-422100 714.97Check Total: Vendor:2795 MELISSA AND CALEB ENGSTROM Check Sequence: 46 ACH Enabled: False Refund FiberNet Monticello acct 66908 48.93 02/14/2012 655-00000-115040 48.93Check Total: Vendor:1167 EXTREME BEVERAGE LLC Check Sequence: 47 ACH Enabled: False 122-322 re-sale 167.50 02/14/2012 609-49750-425400 167.50Check Total: Vendor:1170 FASTENAL COMPANY Check Sequence: 48 ACH Enabled: False MNMON67174 (200) boot cover; (10) earplugs; (5) eyewear 242.31 02/14/2012 656-49877-421990 MNMON67271 (100) 1/x-20x2 1/4 tap Z 15.96 02/14/2012 101-45201-421990 MNMON67361 (1) SDS+ 3/4"x12" oal 29.99 02/14/2012 601-49440-421990 AP-Computer Check Proof List by Vendor (02/08/2012 - 8:19 AM)Page 8 Invoice No Description Amount Payment Date Acct Number Reference MNMON67444 (1) MNS 1/4" 1/4x5/8; (250) 9x2 Mti-Wd SMS BS PW 30.65 02/14/2012 101-45201-421650 MNMON67499 (100) 8x1/2KLath SDS #2 Z 2.84 02/14/2012 101-45201-421650 321.75Check Total: Vendor:1171 FEDERAL EXPRESS Check Sequence: 49 ACH Enabled: False 7-762-50809 Recipient - AMT Deerfield Beach FL 39.22 02/14/2012 655-49870-432400 39.22Check Total: Vendor:2273 FIBERNET MONTICELLO Check Sequence: 50 ACH Enabled: False 2/2/12 Cust #63340 Fibernet Office Building 317.81 02/14/2012 655-49870-432100 317.81Check Total: Vendor:1174 FINKEN WATER CENTERS Check Sequence: 51 ACH Enabled: False 1884502 Cust #405689 February 2012 Cooler Rental 5.34 02/14/2012 655-49870-441500 1884512 Cust #405689 February 2012 Cooler Rental 5.34 02/14/2012 655-49870-441500 1884522 Cust #405689 February 2012 Keurig Rental 5.34 02/14/2012 655-49870-441500 1887312 Cust #401437 February 2012 Cooler Rental 10.15 02/14/2012 609-49754-441500 1893142 Cust #5232 February 2012 Cooler Rental 9.62 02/14/2012 217-41990-441500 1893162 Cust #5221 February 2012 Cooler Rental 5.34 02/14/2012 101-41940-441500 1893172 Cust #1064 February 2012 Cooler Rental 10.15 02/14/2012 226-45122-441500 88506TB Cust #5232 (2) 5 gal drinking water 11.90 02/14/2012 217-41990-443990 88534TB Cust #4067 PW salt 22.28 02/14/2012 101-43127-422990 88547TB Cust #401437 (6) 5 gal drinking water 41.70 02/14/2012 609-49754-443990 88547TB Cust #401437 (3) 5 oz cups 11.22 02/14/2012 609-49754-421990 88549TB Cust #5221 (8) 5 gal drinking water 47.60 02/14/2012 101-41940-443990 90829TB Cust #405689 (2) 5 gal drinking water 11.90 02/14/2012 655-49870-443990 90846TB Cust #405689 (1) 5 gal driking water 5.95 02/14/2012 655-49870-443990 203.83Check Total: Vendor:1175 DONNA FINNELL Check Sequence: 52 ACH Enabled: False 1/25/12 Silver Sneaker Water Certifcation 40.00 02/14/2012 226-45122-433200 40.00Check Total: Vendor:1180 FIRST HOSPITAL LABORATORIES INC Check Sequence: 53 ACH Enabled: False 00489825 (1) DOT drug screen random 12/16/11 39.95 02/14/2012 101-43120-431990 39.95Check Total: Vendor:2142 FITNESS WHOLESALE Check Sequence: 54 ACH Enabled: False AP-Computer Check Proof List by Vendor (02/08/2012 - 8:19 AM)Page 9 Invoice No Description Amount Payment Date Acct Number Reference 917838 utx - (16) 5lb dumbbells; (10) 8lb dumbbells; ect 551.69 02/14/2012 226-45127-421720 551.69Check Total: Vendor:1186 FLEXIBLE PIPE TOOL COMPANY Check Sequence: 55 ACH Enabled: False 14955 (2) pigtail conn; (1) test cable; (1) scotchcast kit; ect 2,175.79 02/14/2012 602-49490-422100 2,175.79Check Total: Vendor:1188 FORESTEDGE WINERY Check Sequence: 56 ACH Enabled: False 1963 763.20 02/14/2012 609-49750-425300 763.20Check Total: Vendor:1194 G AND K SERVICES Check Sequence: 57 ACH Enabled: False 1043889988 Floor mats 53.97 02/14/2012 609-49754-431900 1043897999 Floor mats 43.20 02/14/2012 217-41990-431900 1043899844 Floor mats 123.36 02/14/2012 609-49754-431900 220.53Check Total: Vendor:1198 GENERAL RENTAL CENTER OF MONTICELLO LLC Check Sequence: 58 ACH Enabled: False 621653 (1) 20 lbs Propane fill 20.50 02/14/2012 656-49877-421990 20.50Check Total: Vendor:2788 MOSES GETUGI Check Sequence: 59 ACH Enabled: False Refund FiberNet Monticello acct 63747 21.88 02/14/2012 655-00000-115040 21.88Check Total: Vendor:1201 RAYMOND J GLUNZ Check Sequence: 60 ACH Enabled: False 677579 1/11/12 A McIntire 500.00 02/14/2012 651-49010-431150 500.00Check Total: Vendor:2437 GMRPT COALITION Check Sequence: 61 ACH Enabled: False 2012 Membership Greater MN Regional Parks & Trails Coalition - govt agency mmbr 150.00 02/14/2012 101-41910-443300 150.00Check Total: Vendor:1859 GODFATHER'S EXTERMINATING INC Check Sequence: 62 ACH Enabled: False 42124 Quarterly Extermination 53.44 02/14/2012 101-41941-431990 42167 Quarterly Extermination 85.50 02/14/2012 226-45122-431900 42168 Quarterly Extermination 37.41 02/14/2012 217-41990-431900 AP-Computer Check Proof List by Vendor (02/08/2012 - 8:19 AM)Page 10 Invoice No Description Amount Payment Date Acct Number Reference 42169 Quarterly Extermination 53.44 02/14/2012 211-45501-431990 42170 Quarterly Extermination 58.78 02/14/2012 609-49754-431900 288.57Check Total: Vendor:1413 GOPHER STATE ONE CALL Check Sequence: 63 ACH Enabled: True 33006 January 2012 7.25 02/14/2012 601-49440-422770 33006 January 2012 7.25 02/14/2012 656-49877-422770 14.50Check Total: Vendor:1591 GRADY'S ACE HARDWARE Check Sequence: 64 ACH Enabled: False 847698/1 clorox; paper towels; (2) mopheads; ect 68.06 02/14/2012 101-42700-421100 847698/1 batteries; 4pk angel soft; keyblanks; ect 28.90 02/14/2012 101-42700-421990 861326/1 Shop - strap plast 1 1/2" 2 rule pk10 5.33 02/14/2012 101-43127-421990 863997 (2) 3/8x12 steel yellow rod thread 5.96 02/14/2012 602-49490-421990 864003 (5) 7/6" external rings 2.14 02/14/2012 226-45122-422990 866480 (3) key blanks; (2) key rings 6.66 02/14/2012 101-43127-421990 866713 (1) 1/4" bit drill percussion; (1) 1/4x4 bit drill rotary 10.13 02/14/2012 656-49877-421990 866714 (25) ft cable; (1) thimble wire rope; (2) clip wire rope 38.67 02/14/2012 101-43120-422110 867457 Pool mech air - (5) furnace filters 7.96 02/14/2012 226-45122-422990 867459 (2) 2 pk bulbs; (1) snow pusher 51.27 02/14/2012 609-49754-421990 868082 (1) cooper 10" snip pattern 17.09 02/14/2012 101-43127-421990 868083 (1) 3 pk fiberglass spreaders 5.33 02/14/2012 101-45201-421990 869309 (1) lb floor wax paste; (1) 16 oz carwax cleaner 21.89 02/14/2012 226-45122-421610 869311 (1) ball hammer; (1) L-set bondhus; (1) punch pin 30.96 02/14/2012 226-45122-422990 869312 Reservoir - (1) qt blue pnt; (1) gal wht pnt; (1) tray linr; ect 46.23 02/14/2012 601-49440-422300 869593 Spirit Hills Townhome Fire Alarm - (1) kyblnk; (1) 6" slim taper 9.06 02/14/2012 601-49440-421990 869594 (1) file saw chain 5.87 02/14/2012 601-49440-421990 869669 (1) 6" slim taper return -6.94 02/14/2012 601-49440-421990 869687 (1) file saw chain return -5.87 02/14/2012 601-49440-421990 869698 (1) adapter socket 4.26 02/14/2012 601-49440-421990 870143 (1) 1/2x1/2x.040" spring comp 4.80 02/14/2012 226-45122-422990 870149 (2) 19" wiper blades 17.08 02/14/2012 601-49440-422110 870156 (1) galv nipple; (1) female boiler pan 10.99 02/14/2012 101-43127-421990 870627 reflect numbers and letters 7.63 02/14/2012 217-41990-421990 871927 Pool - (4) clamps 10.64 02/14/2012 226-45122-421610 872275 (1) 9/16x1x.054 spring comp 4.80 02/14/2012 226-45122-422990 872281 (2) bolt eye closed 3.18 02/14/2012 602-49490-421990 872282 (1) 2 gal premium sprayer 37.40 02/14/2012 226-45122-422990 872660 (1) sealant remvl 9.07 02/14/2012 217-41990-422990 874880 Cable ties; teflon tape; elec tape 33.50 02/14/2012 226-45122-421610 874880 Friction cloth tape 2.45 02/14/2012 226-45122-422105 AP-Computer Check Proof List by Vendor (02/08/2012 - 8:19 AM)Page 11 Invoice No Description Amount Payment Date Acct Number Reference 494.50Check Total: Vendor:1206 GRAPE BEGINNINGS INC Check Sequence: 65 ACH Enabled: False 135640 13.50 02/14/2012 609-49750-433300 135640 480.00 02/14/2012 609-49750-425300 493.50Check Total: Vendor:2435 GTS Check Sequence: 66 ACH Enabled: False 981330-39928417 3/20/12 Elections Workshop St. Paul - Kerry Burri 235.00 02/14/2012 101-41310-433200 235.00Check Total: Vendor:2794 TAMMY AND GARY HAMM Check Sequence: 67 ACH Enabled: False Refund FiberNet Monticello acct 66301 29.36 02/14/2012 655-00000-115040 29.36Check Total: Vendor:2793 KRISTEN HANSON Check Sequence: 68 ACH Enabled: False Refund FiberNet Monticello acct 66030 130.76 02/14/2012 655-00000-115040 130.76Check Total: Vendor:1750 HBC HIAWATHA BROADBAND COMM INC Check Sequence: 69 ACH Enabled: True 6226 January 2012 contract 15,000.00 02/14/2012 655-49870-430700 15,000.00Check Total: Vendor:1224 HD SUPPLY WATERWORKS LTD Check Sequence: 70 ACH Enabled: False 4278478 (100) SR 5/8 register ECR; (2) #12A SR 5/8 chamb; ect 5,726.30 02/14/2012 601-49440-422701 4319239 utx - (1) SRII 3/4 ECR 100CF 145.98 02/14/2012 601-49440-422701 5,872.28Check Total: Vendor:2791 GERALD HELLMAN Check Sequence: 71 ACH Enabled: False Refund FiberNet Monticello acct 64734 53.04 02/14/2012 655-00000-115040 53.04Check Total: Vendor:1233 HIRSHFIELD'S INC Check Sequence: 72 ACH Enabled: False 030202828 (2) 9 oz turbokrete conct rep 58.05 02/14/2012 101-45201-421990 030202845 (2) gal wht trim; (1) housecoat primer; (2) pro doo Z 1/2"x9 124.99 02/14/2012 101-43127-421510 030203015 WB Park - (1) masking tape; (1) frog tape; (1) duct tape; ect 47.97 02/14/2012 101-45201-422300 030203027 WB & Pioneer Parks - (10) 1lb black chips; (4) chip brush; ect 527.75 02/14/2012 101-45201-422300 AP-Computer Check Proof List by Vendor (02/08/2012 - 8:19 AM)Page 12 Invoice No Description Amount Payment Date Acct Number Reference 030203071 PW & Pioneer Prk - (4) gal activator; (8) leveling additive; ect 660.10 02/14/2012 101-45201-422300 1,418.86Check Total: Vendor:1241 HOISINGTON KOEGLER GROUP INC Check Sequence: 73 ACH Enabled: False 010-032 - 1 Monticello Comp Plan Amendment 373.50 02/14/2012 101-41910-431990 373.50Check Total: Vendor:1242 HOLIDAY CREDIT OFFICE Check Sequence: 74 ACH Enabled: False 01/18/12 Motor fuel 12/20/11 33.24 02/14/2012 101-42200-421200 01/18/12 Motor fuel 12/30/11 43.95 02/14/2012 101-42200-421200 01/18/12 Motor fuel 12/30/11 83.41 02/14/2012 101-42200-421200 01/18/12 Motor fuel credit 12/20/11 - 12/30/11 -10.62 02/14/2012 101-42200-421200 01/18/2012 Motor fuel 12/29/11 26.50 02/14/2012 101-42200-421200 01/18/2012 Motor fuel credit 12/29/11 -1.68 02/14/2012 101-42200-421200 01/18/2012 Motor fuel 1/12/12 23.29 02/14/2012 101-42200-421200 01/18/2012 Motor fuel 1/14/12 23.02 02/14/2012 226-45122-421200 01/18/2012 Motor fuel credit 1/12/12 - 1/14/12 -2.76 02/14/2012 101-42200-421200 1/18/12 Motor fuel 1/3/12 19.71 02/14/2012 101-42200-421200 1/18/12 Motor fuel 1/3/12 31.00 02/14/2012 101-42200-421200 1/18/12 Motor fuel 1/3/12 28.27 02/14/2012 101-42200-421200 1/18/12 Motor fuel 1/3/12 60.01 02/14/2012 101-42200-421200 1/18/12 Motor fuel 1/10/12 54.71 02/14/2012 101-42200-421200 1/18/12 Motor fuel 1/10/12 57.00 02/14/2012 101-42200-421200 1/18/12 Motor fuel 1/18/12 26.55 02/14/2012 101-42200-421200 1/18/12 Motor fuel credit 1/3/12 - 1/18/12 -17.91 02/14/2012 101-42200-421200 477.69Check Total: Vendor:1243 HOME DEPOT CREDIT SERVICES Check Sequence: 75 ACH Enabled: False 24197 (1) WR GFCI; (1) 4 square cover; ect. 27.94 02/14/2012 101-43120-421990 9012088 (1) 2 pc kit; (1) 48" marker; (1) KFD Char; 2 in 1 RAP Drv; ect. 91.46 02/14/2012 656-49877-421990 119.40Check Total: Vendor:1244 HORIZON COMMERCIAL POOL SUPPLY Check Sequence: 76 ACH Enabled: False 12011608 Pool chemicals 1,347.46 02/14/2012 226-45122-421600 1,347.46Check Total: Vendor:1642 HUSKY SPRING Check Sequence: 77 ACH Enabled: False 01EP1331 (4) shackle bolts; (2) F250 rear; ect 504.30 02/14/2012 601-49440-422110 AP-Computer Check Proof List by Vendor (02/08/2012 - 8:19 AM)Page 13 Invoice No Description Amount Payment Date Acct Number Reference 504.30Check Total: Vendor:2441 ANITA M ISENOR Check Sequence: 78 ACH Enabled: False 1/10/12 Middle Eastern Dance 11/3/11 - 12/15/11 83.81 02/14/2012 226-45127-430120 83.81Check Total: Vendor:1253 J H LARSON COMPANY Check Sequence: 79 ACH Enabled: False S100027805.001 (60) Syl 28w; (6) 4-32w ballast 287.32 02/14/2012 226-45122-422990 S100027805.003 (1) emer ballast 74.93 02/14/2012 226-45122-422300 S100038563.001 (50) syl 26w; (30) syl 28w 354.33 02/14/2012 226-45122-422990 716.58Check Total: Vendor:2625 JIGSAW BUILDERS INC Check Sequence: 80 ACH Enabled: False 10287 Labor - install 2 way door hinges 375.00 02/14/2012 609-49754-440100 375.00Check Total: Vendor:2797 BRAD JOHNSON Check Sequence: 81 ACH Enabled: False Refund FiberNet Monticello acct 70351 58.72 02/14/2012 655-00000-115040 58.72Check Total: Vendor:1263 JOHNSON BROS WHOLESALE LIQUOR Check Sequence: 82 ACH Enabled: False 1220742 23.98 02/14/2012 609-49750-433300 1220742 1,984.06 02/14/2012 609-49750-425100 1220743 61.50 02/14/2012 609-49750-433300 1220743 1,512.91 02/14/2012 609-49750-425300 1220743 re-sale 92.80 02/14/2012 609-49750-425400 1222877 16.68 02/14/2012 609-49750-433300 1222877 648.50 02/14/2012 609-49750-425300 1223978 64.41 02/14/2012 609-49750-433300 1223978 3,883.40 02/14/2012 609-49750-425100 1223979 5.56 02/14/2012 609-49750-433300 1223979 166.40 02/14/2012 609-49750-425300 1224810 44.25 02/14/2012 609-49750-433300 1224810 3,128.65 02/14/2012 609-49750-425100 1224811 48.41 02/14/2012 609-49750-433300 1224811 1,432.10 02/14/2012 609-49750-425300 1224811 re-sale 66.90 02/14/2012 609-49750-425400 1224812 5.56 02/14/2012 609-49750-433300 1224812 83.96 02/14/2012 609-49750-425200 AP-Computer Check Proof List by Vendor (02/08/2012 - 8:19 AM)Page 14 Invoice No Description Amount Payment Date Acct Number Reference 1227389 25.26 02/14/2012 609-49750-433300 1227389 2,270.25 02/14/2012 609-49750-425100 1227390 34.98 02/14/2012 609-49750-433300 1227390 1,215.26 02/14/2012 609-49750-425300 16,815.78Check Total: Vendor:1266 KALTEC OF MINNESOTA INC Check Sequence: 83 ACH Enabled: False 69466 January 2012 Host and Manage TLS Networking Phase I 449.00 02/14/2012 101-41920-430900 69481 February 2012 Host and Manage TLS Networking Phase I 479.87 02/14/2012 101-41920-430900 69482 February 2012 Monticello Air - Hosted Air Control Server 108.99 02/14/2012 655-49860-430930 1,037.86Check Total: Vendor:1270 KENNEDY AND GRAVEN CHARTERED Check Sequence: 84 ACH Enabled: False 106321 EDAPET - Pet Hospital GMEF Loan 144.00 02/14/2012 213-46301-430400 106485 General - relates to future gond issues/financial policy 342.00 02/14/2012 101-41610-430400 106485 General EDA Matters through 12/31/11 1,278.00 02/14/2012 213-46301-430400 1,764.00Check Total: Vendor:2159 NATHAN PHILLIP KROHN Check Sequence: 85 ACH Enabled: True 1/23/2012 UFC classes 1/2/12 thru 1/23/12 59.50 02/14/2012 226-45127-430120 10/18/11 UCF classes 10/18/11 thru 12/26/11 186.50 02/14/2012 226-45127-430120 246.00Check Total: Vendor:2803 MATTHEW AND ALISHA KUCERA Check Sequence: 86 ACH Enabled: False Refund FiberNet Monticello acct 69835 98.14 02/14/2012 655-00000-115040 98.14Check Total: Vendor:2163 KWIK TRIP CREDIT DEPARTMENT Check Sequence: 87 ACH Enabled: False 2/2/12 Motor fuel 71.53 02/14/2012 655-49870-421200 71.53Check Total: Vendor:2786 LANDFORM Check Sequence: 88 ACH Enabled: False Escrow Refund ZMCDRD - net refund 12/13/11 deposit 111.03 02/14/2012 101-00000-220110 111.03Check Total: Vendor:1631 LANO EQUIPMENT INC Check Sequence: 89 ACH Enabled: False 207484 (2) charcoal spray paint; (1) orange spray paint 28.19 02/14/2012 101-45201-422100 AP-Computer Check Proof List by Vendor (02/08/2012 - 8:19 AM)Page 15 Invoice No Description Amount Payment Date Acct Number Reference 28.19Check Total: Vendor:1291 LEAGUE OF MN CITIES INS TRUST Check Sequence: 90 ACH Enabled: False 2/1/12 LMCIT Claim #C0010868 DOL 11/17/11 1,000.00 02/14/2012 101-49240-436990 1,000.00Check Total: Vendor:1291 LEAGUE OF MN CITIES INS TRUST Check Sequence: 91 ACH Enabled: False 2/1/2012 Claim no C0006059 date of injury 1/2/11 M.V. 114.59 02/14/2012 101-49240-436990 114.59Check Total: Vendor:1902 VICKI LEERHOFF Check Sequence: 92 ACH Enabled: True 1/25-2/2/12 Publisher class - Bloomington; WalMart; Monti Printing; ect. 58.22 02/14/2012 101-41310-433100 58.22Check Total: Vendor:2800 FRED AND NICHOLE LERBERG Check Sequence: 93 ACH Enabled: False Refund FiberNet Monticello acct 68481 20.41 02/14/2012 655-00000-115040 20.41Check Total: Vendor:1292 LEROY JOB TRUCKING INC Check Sequence: 94 ACH Enabled: False 14433 (9) animal charges 90.00 02/14/2012 101-42700-431990 90.00Check Total: Vendor:1300 DOUGLAS WILLIAM LYSENG Check Sequence: 95 ACH Enabled: True 1222 On-site labor - city network backup system software & install 726.75 02/14/2012 101-41920-430900 1222 Ciity network backup system software 3,069.04 02/14/2012 101-41920-430910 3,795.79Check Total: Vendor:1303 M AMUNDSON LLP Check Sequence: 96 ACH Enabled: False 125137 re-sale 260.40 02/14/2012 609-49750-425400 125137 re-sale 901.77 02/14/2012 609-49750-425500 1,162.17Check Total: Vendor:1386 M-R SIGN CO INC Check Sequence: 97 ACH Enabled: False 170147 (31) misc signs 1,205.73 02/14/2012 101-43120-422600 1,205.73Check Total: AP-Computer Check Proof List by Vendor (02/08/2012 - 8:19 AM)Page 16 Invoice No Description Amount Payment Date Acct Number Reference Vendor:2624 MAC TOOLS Check Sequence: 98 ACH Enabled: False 6527 Tools - (1) master disconn set; (5) pc straight extractor set 168.84 02/14/2012 101-43127-424100 168.84Check Total: Vendor:2044 MAINE CONDITIONING INC Check Sequence: 99 ACH Enabled: False 120101 utx - dumont controller - (1) display; (1) 5' conn cable 575.00 02/14/2012 226-45122-422100 575.00Check Total: Vendor:1229 MAJIRS ADVERTISING & DESIGN INC Check Sequence: 100 ACH Enabled: True 739 (4,050) Spring Tree Order forms included with Jan UB 381.67 02/14/2012 224-46102-435200 746 (4,050) inserts to put in Jan UB billing 420.09 02/14/2012 226-45122-434990 801.76Check Total: Vendor:1317 MDRA Check Sequence: 101 ACH Enabled: False 1/25/12 2012 MDRA dues 414.00 02/14/2012 217-41990-443300 414.00Check Total: Vendor:1318 JONATHAN CALEB MELLBERG Check Sequence: 102 ACH Enabled: True 1/23/12 City Council meeting recording 1/23/12 80.00 02/14/2012 101-41110-431990 80.00Check Total: Vendor:1327 MIDSTATES EQUIPMENT & SUPPLY Check Sequence: 103 ACH Enabled: False 212006 (23,136) maxwell nuvo 3405 15,701.39 02/14/2012 101-43120-422400 15,701.39Check Total: Vendor:2792 JIM AND SHERI MILLER Check Sequence: 104 ACH Enabled: False Refund FiberNet Monticello acct 64977 12.80 02/14/2012 655-00000-115040 12.80Check Total: Vendor:2206 MINNESOTA COMMERCIAL ASSOC OF REALTORS Check Sequence: 105 ACH Enabled: False 2012 Sponsor 2012 MNCAR Sponsorship Package 3,500.00 02/14/2012 213-46301-434600 3,500.00Check Total: Vendor:2071 MINVALCO INC Check Sequence: 106 ACH Enabled: False 836634 (1) ball valve; (1) rotary actuator 163.08 02/14/2012 101-41940-422300 AP-Computer Check Proof List by Vendor (02/08/2012 - 8:19 AM)Page 17 Invoice No Description Amount Payment Date Acct Number Reference 163.08Check Total: Vendor:1337 CORINNE MITCHELL Check Sequence: 107 ACH Enabled: True 1/23/12 Mileage reimbursement - Aquatic Section Mtg (62) miles 34.41 02/14/2012 226-45122-433100 34.41Check Total: Vendor:1350 MN DNR WATERS Check Sequence: 108 ACH Enabled: False 2011 Fee Permit 1964-0152 Major Crop Irrigation 140.00 02/14/2012 601-49440-443700 140.00Check Total: Vendor:1350 MN DNR WATERS Check Sequence: 109 ACH Enabled: False 2011 Fees Permit 1964-1059 - 2011 MN DNR Annuarl Report of Water Use 8,245.62 02/14/2012 601-49440-443700 8,245.62Check Total: Vendor:1359 MN RURAL WATER ASSOCIATION Check Sequence: 110 ACH Enabled: False 1/19/12 Manager/Operator training 2012 M.T.; D.J.; S.W. 525.00 02/14/2012 601-49440-433200 525.00Check Total: Vendor:1361 MN SHREDDING LLC Check Sequence: 111 ACH Enabled: False 253895416 Documentation shredding 13.00 02/14/2012 101-41520-431990 13.00Check Total: Vendor:1743 CITY OF MONTICELLO Check Sequence: 112 ACH Enabled: False 12/31/11 utx - (1) Deluxe Santa beard/wig/eyebrow set 17.71 02/14/2012 226-45127-421780 12/31/11 $5 Pizza for staff meetings - 12/2;12/27;12/29 37.40 02/14/2012 226-45122-443990 12/31/11 Replace customer's stolen Ipod shuffle 47.00 02/14/2012 226-45122-443990 12/31/11 Cupcakes - 12/10/11 Walmart 24.00 02/14/2012 226-45127-421460 126.11Check Total: Vendor:2135 MONTICELLO BASEBALL Check Sequence: 113 ACH Enabled: False 1/25/12 2012 Baseball Season - MCC banner @ H.S. ballfields 300.00 02/14/2012 226-45122-434990 300.00Check Total: Vendor:1370 MONTICELLO DEPUTY REG #002 Check Sequence: 114 ACH Enabled: False 106069 Tabs #36 '81 Intl 16.00 02/14/2012 602-49480-443700 148787 Tabs #1167 '82 Ford 16.00 02/14/2012 101-42200-443700 158824 Tabs #101 '92 Ford 16.00 02/14/2012 101-43120-443700 AP-Computer Check Proof List by Vendor (02/08/2012 - 8:19 AM)Page 18 Invoice No Description Amount Payment Date Acct Number Reference 166352 Tabs #111 '95 Ford 16.00 02/14/2012 101-43120-443700 171352 Tabs #562 '97 Dodge 16.00 02/14/2012 101-42400-443700 171367 Tabs #203 '99 Ford 16.00 02/14/2012 101-45201-443700 172897 Tabs #205 '99 Ford 16.00 02/14/2012 101-45201-443700 172902 Tabs '99 Ford 16.00 02/14/2012 602-49480-443700 172904 Tabs #553 '99 Dodge 16.00 02/14/2012 101-42400-443700 172910 Tabs #402 '99 Intl 16.00 02/14/2012 602-49490-443700 185675 Tabs '77 Hale 16.00 02/14/2012 101-43120-443700 185678 Tabs '06 Fell 16.00 02/14/2012 101-43120-443700 185681 Tabs #153 '08 Hmde 16.00 02/14/2012 101-43120-443700 196503 Tabs #262 '88 Dnco 16.00 02/14/2012 101-45201-443700 197485 Tabs '98 Pola 16.00 02/14/2012 602-49480-443700 197486 Tabs #124 '98 Town 16.00 02/14/2012 101-43120-443700 197491 Tabs '86 Dressen trailer 16.00 02/14/2012 101-42200-443700 197492 Tabs #263 '01 Bisn 16.00 02/14/2012 101-45201-443700 197493 Tabs #261 '99 H&S 16.00 02/14/2012 101-45201-443700 197494 Tabs #152 '86 LGCH 16.00 02/14/2012 101-43120-443700 902597 Tabs #204 '01 Dodg 16.00 02/14/2012 101-45201-443700 905275 Tabs #401 '00 Ford 16.00 02/14/2012 602-49490-443700 910377 Tabs #178 '01 Ford 16.00 02/14/2012 101-43120-443700 910985 Tabs '02 Chev 16.00 02/14/2012 655-49870-443700 911511 Tabs #107 '03 Strg 16.00 02/14/2012 101-43120-443700 914291 Tabs #113 '03 Ford 16.00 02/14/2012 101-43120-443700 914292 Tabs #114 '03 Ford 16.00 02/14/2012 101-43120-443700 914293 Tabs #612 '03 Chev 16.00 02/14/2012 101-43115-443700 914294 Tabs #130 '03 Chev 16.00 02/14/2012 101-43120-443700 914322 Tabs #301 '03 Ford 16.00 02/14/2012 601-49440-443700 916002 Tabs #112 '99 Ford 16.00 02/14/2012 101-43120-443700 916071 Tabs #206 '04 Ford 16.00 02/14/2012 101-45201-443700 919350 Tabs #277 '05 Ster 16.00 02/14/2012 101-43120-443700 921678 Tabs #404 '05 Ford 16.00 02/14/2012 602-49490-443700 923338 Tabs '97 Jeep 16.00 02/14/2012 655-49870-443700 923393 Tabs #209 '07 Ford 16.00 02/14/2012 101-45201-443700 927928 Tabs #214 '07 Ford 16.00 02/14/2012 101-45201-443700 929588 Tabs #613 '08 Chev 16.00 02/14/2012 101-43115-443700 930531 Tabs #109 '08 Strg 16.00 02/14/2012 101-43120-443700 930571 Tabs #302 '08 Ford 16.00 02/14/2012 601-49440-443700 930623 Tabs #800 '08 Ford 16.00 02/14/2012 217-41990-443700 931644 Tabs #132 '09 Intl Sweeper 16.00 02/14/2012 101-43120-443700 934089 Tabs '08 GMC 16.00 02/14/2012 655-49870-443700 934090 Tabs '09 GMC 16.00 02/14/2012 655-49870-443700 934855 Tabs '10 Ford 16.00 02/14/2012 655-49870-443700 934856 Tabs '10 Ford 16.00 02/14/2012 655-49870-443700 AP-Computer Check Proof List by Vendor (02/08/2012 - 8:19 AM)Page 19 Invoice No Description Amount Payment Date Acct Number Reference 936286 Tabs #105 '00 Strg 16.00 02/14/2012 101-43120-443700 752.00Check Total: Vendor:1392 MONTICELLO NAPA Check Sequence: 115 ACH Enabled: False 484820CORR invoice paid twice 8/9/11 & 9/13/11 -12.26 02/14/2012 101-43127-420650 510814 #114 - (1) sanding disc; (1) tack rag; (1) topcoat hardner; ect 258.54 02/14/2012 101-43127-421510 510949 (2) oil filters 7.99 02/14/2012 101-43127-422120 510980 (2) ptex cold weld 12.93 02/14/2012 101-43127-421510 511873 #302 - (2) mud flaps; (1) 20a red toggle 25.61 02/14/2012 602-49490-422110 511988 (1) 2pc floor mat rub bk 26.98 02/14/2012 101-45201-422110 512423 (3) respirtr 54.47 02/14/2012 101-45201-420650 512724 (1) plastic spreader 0.43 02/14/2012 101-45201-421510 512724 utx - masking tape; JB weld kwik 6.48 02/14/2012 101-45201-421510 512726 (2) self etching primer 12.80 02/14/2012 101-45201-421510 393.97Check Total: Vendor:2512 MONTICELLO PLBG HTG AC LLC Check Sequence: 116 ACH Enabled: False 001560 Labor - PW shop front offices - furnace repair 110.00 02/14/2012 601-49440-440100 001560 Materials - PW shop front offices - furnace repair 218.43 02/14/2012 601-49440-440100 328.43Check Total: Vendor:1376 MONTICELLO PUBLIC LIBRARY Check Sequence: 117 ACH Enabled: False 1/1-1/31/12 Program supplies 84.53 02/14/2012 211-45501-421990 1/1-1/31/12 Program services 420.00 02/14/2012 211-45501-430150 504.53Check Total: Vendor:1377 MONTICELLO SENIOR CENTER Check Sequence: 118 ACH Enabled: False Jan 2012 Bal Monthly appropriation 62.50 02/14/2012 101-45175-444310 62.50Check Total: Vendor:1380 MONTICELLO VACUUM CENTER Check Sequence: 119 ACH Enabled: False 61050 Labor 29.95 02/14/2012 226-45122-440440 29.95Check Total: Vendor:1629 MP NEXLEVEL LLC Check Sequence: 120 ACH Enabled: True 93729 Commercial installs Dec 2011 (Job: 10166106) 907.50 02/14/2012 656-49877-431990 907.50Check Total: AP-Computer Check Proof List by Vendor (02/08/2012 - 8:19 AM)Page 20 Invoice No Description Amount Payment Date Acct Number Reference Vendor:2112 MPELRA Check Sequence: 121 ACH Enabled: False 1/31/12 Winter 2010/Winter 2011 conference handouts 60.00 02/14/2012 101-41800-443500 60.00Check Total: Vendor:1389 MPSTMA Check Sequence: 122 ACH Enabled: False 2012 Mmbrship 2012 General membership - Tom Pawelk 50.00 02/14/2012 101-45201-443300 50.00Check Total: Vendor:2449 NATIONAL RECREATION AND PARK ASSOCIATION Check Sequence: 123 ACH Enabled: False 2012 Membership Member ID Number 208009 - Tom Pawelk 150.00 02/14/2012 101-45201-443300 150.00Check Total: Vendor:1393 NBP NORTHERN BUSINESS PRODUCTS INC Check Sequence: 124 ACH Enabled: False 404828-0 (80) rm copy paper 277.88 02/14/2012 101-41940-420300 404828-1 (1) "draft" red ink stamp 10.04 02/14/2012 101-41940-420990 404828-2 (3) blk ltr pocket strt 3.5" 2.53 02/14/2012 101-41940-420990 405256-0 (2) 8 oz cleaner 5.68 02/14/2012 655-49870-421100 405256-0 (2) pk post-it notes; (1) bx batteries 33.84 02/14/2012 655-49870-420990 405256-0 (1) pk tissue; (1) pk paper towels; (1) bx plastic spoons 46.66 02/14/2012 655-49870-421990 405412-0 (1) bx #10 envelopes 53.27 02/14/2012 101-41940-420990 405770-0 (1) 12x12 calendar; (5) pk rnd labels 106.02 02/14/2012 101-41940-420990 407102-0 (150) blk ltr pocket strt 3.5" 126.65 02/14/2012 101-41940-420990 408127-0 (2) pk 5" bind comb; (1) bx 5tab index; (1) bx clear bind; ect 187.14 02/14/2012 101-41940-420990 411193-0 (10) log bks; (1) bx file folders; (8) rm laser paper; ect 290.80 02/14/2012 226-45122-420990 411193-0 (5) rm multi paper; (10) rm copy paper 54.25 02/14/2012 226-45122-420300 412189-0 (20) dz mm clips; (1) planner; (20) dz sm clips 31.98 02/14/2012 101-41940-420990 412189-0 (20) dz mm clips; (1) planner; (20) dz sm clips 59.36 02/14/2012 101-41940-420300 413578-0 (7) pk clips; (10) bx butterfly clamps; (5) rl tape; ect 211.09 02/14/2012 217-41990-420990 414511-0 (1) pk 5tab index; (2) pk post-it; (1) wireless trackball 111.70 02/14/2012 101-41940-420990 C382675-0 return (2) dz legal paper -28.83 02/14/2012 101-41940-420990 C405412-0 #10 envelp return x/ref w/#405412-0 -53.27 02/14/2012 101-41940-420990 1,526.79Check Total: Vendor:1150 NCH CORPORATION Check Sequence: 125 ACH Enabled: False 20540014 (1) e-z cut coolant; (200) cap screws; (200) washers; ect 375.96 02/14/2012 101-43127-421990 20540015 (1) cryobit w/no flats; (3) cryobit w/flats; (1) drill bit 117.11 02/14/2012 101-43127-421990 20543378 (1) hand tap HS-cryo bottomin 31.94 02/14/2012 101-43127-424100 525.01Check Total: AP-Computer Check Proof List by Vendor (02/08/2012 - 8:19 AM)Page 21 Invoice No Description Amount Payment Date Acct Number Reference Vendor:2518 NEOFUNDS BY NEOPOST Check Sequence: 126 ACH Enabled: False 1/23/12 Account Number 7900 0440 6327 5196 1,000.00 02/14/2012 101-00000-155010 1,000.00Check Total: Vendor:2082 NEUSTAR INC Check Sequence: 127 ACH Enabled: False M-10563955 12/1-12/31/11 Local Number Portability Charges 23.33 02/14/2012 655-49870-431990 23.33Check Total: Vendor:1401 NORTHWEST ASSOCIATED CONSULTANTS INC Check Sequence: 128 ACH Enabled: False 20109 General - 1/24/12 Site Plan Review meeing 386.61 02/14/2012 101-41910-431990 20110 General - Cargill PUD 795.20 02/14/2012 101-41910-431990 20110 General - Quarry Chruch - Simonson's 56.80 02/14/2012 101-41910-431990 20110 General - Sawatzke garage 127.80 02/14/2012 101-41910-431990 20111 1/3/12 Planning Commission meeting 150.00 02/14/2012 101-41910-431990 20111 1/9; 1/23/12 City Council meetings 300.00 02/14/2012 101-41910-431990 1,816.41Check Total: Vendor:1666 O'REILLY AUTOMOTIVE INC Check Sequence: 129 ACH Enabled: False 3799-250299 (1) drain pan 3.20 02/14/2012 655-49870-422110 3799-250299 (2) 1 qt motor oil 8.52 02/14/2012 655-49870-422990 11.72Check Total: Vendor:1405 OFFICEMAX INCORPORATED Check Sequence: 130 ACH Enabled: False 125803 (1) all-in-one case; (3) view ltr folders; (1) 2012 rfll; ect 90.57 02/14/2012 101-43110-420990 228312 (1) pk glue stics; (1) dz flexgrip pens; (5) pk div tabs; ect 54.90 02/14/2012 101-43110-420990 593049 (5) 2" binders; (2) pk packaging tape; (1) pk corr film; ect 103.42 02/14/2012 101-43110-420990 593362 (1) stereo speaker 21.36 02/14/2012 101-43110-420990 935038 (10) pk sm bind clips; (1) 2012 dly rfll; ect 21.68 02/14/2012 101-43110-420990 935608 (1) alm frm crx mg de cal 128.24 02/14/2012 101-43110-420990 420.17Check Total: Vendor:1411 OLSON & SONS ELECTRIC INC Check Sequence: 131 ACH Enabled: False 15641 (1) 150W lamp 57.16 02/14/2012 101-45201-422990 15641 (1) 150W lamp 57.16 02/14/2012 101-43127-421530 15677 utx - (1) 3-phase monitor 152.49 02/14/2012 602-49490-422100 15684 (1) 2 speed fan switch 15.98 02/14/2012 226-45122-422990 44151 Labor - replace lay-in fix ballast at food shelf building 78.00 02/14/2012 101-41940-440100 44303 Labor - replaced ballast in entryway & lamps as needed 194.00 02/14/2012 226-45122-440100 44303 Labor - replaced ballast library emergency light 78.00 02/14/2012 211-45501-440100 AP-Computer Check Proof List by Vendor (02/08/2012 - 8:19 AM)Page 22 Invoice No Description Amount Payment Date Acct Number Reference 44351 Troubleshoot 3 ext lghts & replaced GFI in garage 78.00 02/14/2012 101-43127-431990 44363 Replaced ballast in men's room, replaced lamp over bck door; ect 180.27 02/14/2012 609-49754-440100 44383 (1) 100w clr mog; installed HPS lamp 107.56 02/14/2012 609-49754-440100 44426 PK,WB,Pioneer - light; batteries; inspection fee 165.17 02/14/2012 101-45201-422300 44426 utx - freight on materials 18.40 02/14/2012 101-45201-422300 44452 Credit 2 hrs labor ref to invoice #44303 -116.00 02/14/2012 226-45122-440100 1,066.19Check Total: Vendor:2131 ONVOY VOICE SERVICES Check Sequence: 132 ACH Enabled: True 120202010582 Voice - Wholesale Switching Services 1,125.92 02/14/2012 655-49860-430910 120202010582 Voice - Wholesale 800 Switched 333.37 02/14/2012 655-49860-430910 120202010582 Voice - Operator Services 179.96 02/14/2012 655-49860-430910 1,639.25Check Total: Vendor:2131 ONVOY VOICE SERVICES Check Sequence: 133 ACH Enabled: True 120202008669 Voice - Dips services 1,399.99 02/14/2012 655-49860-430910 1,399.99Check Total: Vendor:1674 JAMIE ANN PAULSON Check Sequence: 134 ACH Enabled: False 11573 (10) assorted clothing 194.48 02/14/2012 101-42400-421110 11573 (10) embroidery 141.50 02/14/2012 101-42400-421110 335.98Check Total: Vendor:1273 PAUSTIS & SONS WINE CO Check Sequence: 135 ACH Enabled: False 8336318-IN 8.75 02/14/2012 609-49750-433300 8336318-IN 221.00 02/14/2012 609-49750-425300 8336685-IN 11.25 02/14/2012 609-49750-433300 8336685-IN 1,018.97 02/14/2012 609-49750-425300 1,259.97Check Total: Vendor:1427 PHILLIPS WINE & SPIRITS CO Check Sequence: 136 ACH Enabled: False 2187202 26.41 02/14/2012 609-49750-433300 2187202 1,349.44 02/14/2012 609-49750-425100 2187203 21.65 02/14/2012 609-49750-433300 2187203 735.57 02/14/2012 609-49750-425300 2188676 29.19 02/14/2012 609-49750-433300 2188676 3,775.00 02/14/2012 609-49750-425100 2188677 432.50 02/14/2012 609-49750-425200 2189415 44.48 02/14/2012 609-49750-433300 AP-Computer Check Proof List by Vendor (02/08/2012 - 8:19 AM)Page 23 Invoice No Description Amount Payment Date Acct Number Reference 2189415 4,289.29 02/14/2012 609-49750-425100 2189416 9.73 02/14/2012 609-49750-433300 2189416 re-sale 217.75 02/14/2012 609-49750-425400 2189989 31.96 02/14/2012 609-49750-433300 2189989 44.35 02/14/2012 609-49750-425200 2189989 824.80 02/14/2012 609-49750-425300 3475846 -50.00 02/14/2012 609-49750-425200 3475847 -380.44 02/14/2012 609-49750-425200 3475848 -225.00 02/14/2012 609-49750-425200 3475849 -1.39 02/14/2012 609-49750-433300 3475849 -45.50 02/14/2012 609-49750-425100 3476071 -13.34 02/14/2012 609-49750-425300 3476072 -3.85 02/14/2012 609-49750-425300 3476073 -88.20 02/14/2012 609-49750-425300 3476074 -6.00 02/14/2012 609-49750-425300 3476075 -8.67 02/14/2012 609-49750-425300 3476076 -5.69 02/14/2012 609-49750-425300 3476077 -41.35 02/14/2012 609-49750-425300 3476078 -5.74 02/14/2012 609-49750-425100 10,956.95Check Total: Vendor:1428 PINNACLE PUBLISHING LLC Check Sequence: 137 ACH Enabled: False INV0162657 Big Lake Connections Ect 1/1/12 - 12/31/12 108.60 02/14/2012 226-45122-434990 108.60Check Total: Vendor:1852 POWER & TEL Check Sequence: 138 ACH Enabled: True 5118127-01 utx - (70) A130 HD comp cbl 6XRCA 474.95 02/14/2012 656-49877-421800 474.95Check Total: Vendor:1852 POWER & TEL Check Sequence: 139 ACH Enabled: True 5134104-00 utx - (20) pkg 100/bx connector EZ-RJ45 CAT5/5E; (100) clamp 1,011.65 02/14/2012 656-49877-421800 1,011.65Check Total: Vendor:1852 POWER & TEL Check Sequence: 140 ACH Enabled: True 5134104-01 utx - (100) Vise #6 sol copper connector 206.88 02/14/2012 656-49877-421800 206.88Check Total: Vendor:1852 POWER & TEL Check Sequence: 141 ACH Enabled: True 5134106-00 utx - (1) BTR-07 battery splice mate 375.06 02/14/2012 656-49877-421990 AP-Computer Check Proof List by Vendor (02/08/2012 - 8:19 AM)Page 24 Invoice No Description Amount Payment Date Acct Number Reference 375.06Check Total: Vendor:1852 POWER & TEL Check Sequence: 142 ACH Enabled: True 5140598-00 utx - Assorted Cable CAT5E 1,518.72 02/14/2012 656-49877-421800 5140598-00 utx - (1) 25 pkg replacement blades; (6) towel hand & tool clnr 104.59 02/14/2012 656-49877-421990 1,623.31Check Total: Vendor:1437 PRECISION DYNAMICS CORP Check Sequence: 143 ACH Enabled: False 879737 utx - (259) bx wristbands 7,770.00 02/14/2012 226-45122-421990 7,770.00Check Total: Vendor:2021 PUREPLAY LLC Check Sequence: 144 ACH Enabled: False 1203 utx - (1) 24" tube slide 1,083.96 02/14/2012 226-45122-421610 1,083.96Check Total: Vendor:1444 QUALITY WINE & SPIRITS CO Check Sequence: 145 ACH Enabled: False 565871-00 43.32 02/14/2012 609-49750-433300 565871-00 328.61 02/14/2012 609-49750-425100 565871-00 1,214.02 02/14/2012 609-49750-425300 568353-00 -4.60 02/14/2012 609-49750-433300 568353-00 -180.00 02/14/2012 609-49750-425100 568734-00 15.72 02/14/2012 609-49750-433300 568734-00 537.22 02/14/2012 609-49750-425100 568734-00 84.00 02/14/2012 609-49750-425300 2,038.29Check Total: Vendor:1453 RECREATION SUPPLY COMPANY Check Sequence: 146 ACH Enabled: False 234297 (4) keyhole plate for 1.9" rail 74.15 02/14/2012 226-45122-421610 74.15Check Total: Vendor:1455 RED'S MARATHON Check Sequence: 147 ACH Enabled: False 1/29/12 Gasoline 26.78 02/14/2012 217-41990-421200 1/29/12 Gasoline 27.00 02/14/2012 217-41990-421200 1/29/12 Gasoline 70.50 02/14/2012 101-45201-455010 1/29/12 utx - (1) battery 110.00 02/14/2012 101-43127-422100 1/29/12 #206 - (1) battery 128.25 02/14/2012 101-45201-422110 1/29/12 Gasoline 29.48 02/14/2012 101-42200-421200 12/29/11 Gasoline 34.70 02/14/2012 217-41990-421200 AP-Computer Check Proof List by Vendor (02/08/2012 - 8:19 AM)Page 25 Invoice No Description Amount Payment Date Acct Number Reference 426.71Check Total: Vendor:1455 RED'S MARATHON Check Sequence: 148 ACH Enabled: False 1/29/12 FNM Gasoline 75.00 02/14/2012 655-49870-421200 1/29/12 FNM Bal Gasoline 516.02 02/14/2012 655-49870-421200 1/29/12 FNM Bal 1/24/12 (1) tire; balance; disposal 99.84 02/14/2012 655-49870-422200 690.86Check Total: Vendor:2104 RELIABLE OFFICE SUPPLIES Check Sequence: 149 ACH Enabled: False CMQ33400 (1) bx hng fldrs; (1) bx clasp envelopes; (1) dz sharpies; etc 81.13 02/14/2012 217-41990-420990 81.13Check Total: Vendor:1465 ROTHHAMMER INTERNATIONAL INC Check Sequence: 150 ACH Enabled: False 79215A Goggles; whistle lanyards; whistles; ear plugs 1,519.53 02/14/2012 226-45127-425490 1,519.53Check Total: Vendor:1983 THADDAEUS ROUSU Check Sequence: 151 ACH Enabled: True 1/15-1/21/12 Metaswitch training TX - meals; bag fee; rental car gas refill 202.07 02/14/2012 655-49870-433100 202.07Check Total: Vendor:1467 ROYAL TIRE INC Check Sequence: 152 ACH Enabled: False N310064909 (4) tire; (4) valve stems; labor - mount & balance 692.95 02/14/2012 101-42200-422110 692.95Check Total: Vendor:1468 RUFF TUFF PRODUCTS LLC Check Sequence: 153 ACH Enabled: False 11-11750 utx - (1) 2003 Ford saddle blanket 106.56 02/14/2012 601-49440-422110 106.56Check Total: Vendor:2789 JUSTIN RUZICKA Check Sequence: 154 ACH Enabled: False Refund FiberNet Monticello acct 63910 18.34 02/14/2012 655-00000-115040 18.34Check Total: Vendor:1474 PATRICIA A SALZWEDEL Check Sequence: 155 ACH Enabled: True 2/15/12 Contract 1,520.13 02/14/2012 101-42700-431200 1,520.13Check Total: AP-Computer Check Proof List by Vendor (02/08/2012 - 8:19 AM)Page 26 Invoice No Description Amount Payment Date Acct Number Reference Vendor:2790 NAOMI SCHIBONSKI Check Sequence: 156 ACH Enabled: False Refund FiberNet Monticello acct 64649 7.67 02/14/2012 655-00000-115040 7.67Check Total: Vendor:2495 SCHWAAB INC Check Sequence: 157 ACH Enabled: False 854692 (2) exel mark dater stamps 161.36 02/14/2012 217-41990-420990 161.36Check Total: Vendor:2443 SECURITAS SECURITY SERVICES USA INC Check Sequence: 158 ACH Enabled: False W3417960 Security - 1/14/12 Julie Kasper wedding 149.63 02/14/2012 226-45122-431992 W3425062 Security - 1/21/12 & 1/22/12 - MN Pinto Assoc Banquet 209.48 02/14/2012 226-45122-431992 359.11Check Total: Vendor:2497 SHERBURNE WRIGHT CABLE COMMISSION Check Sequence: 159 ACH Enabled: False Qtr 4 2011 Fran FiberNet Francise Fees Qtr 4 2011 9,560.26 02/14/2012 655-00000-332732 9,560.26Check Total: Vendor:2245 SIEMENS INDUSTRY INC Check Sequence: 160 ACH Enabled: False 900574977 Labor - Booster pump 806.20 02/14/2012 601-49440-431990 900574977 utx - refurbished parts 1,542.00 02/14/2012 601-49440-431990 2,348.20Check Total: Vendor:1490 CYNTHIA R SIMPSON Check Sequence: 161 ACH Enabled: False 690637 Firehall cleaning 1/14-1/21/12 100.00 02/14/2012 101-42200-431100 100.00Check Total: Vendor:1494 SNOW PLOWS PLUS INC Check Sequence: 162 ACH Enabled: False 5383 Motor relay kit 20.47 02/14/2012 101-45201-422110 20.47Check Total: Vendor:2796 JOE SODERLUND Check Sequence: 163 ACH Enabled: False Refund FiberNet Monticello acct 67533 57.79 02/14/2012 655-00000-115040 57.79Check Total: Vendor:1497 SPECTRUM SUPPLY COMPANY Check Sequence: 164 ACH Enabled: False 216086 (1) case kleenex 51.15 02/14/2012 101-41940-421990 216088 (3) cases can liners; (1) case bleach; (1) case nitrile gloves 114.73 02/14/2012 226-45122-421100 AP-Computer Check Proof List by Vendor (02/08/2012 - 8:19 AM)Page 27 Invoice No Description Amount Payment Date Acct Number Reference 216088 (1) splash goggles; (1) vinyl apron 10.25 02/14/2012 226-45122-422990 216088 (4) cases 9" 2 ply tissue; (1) A/P wiper 1st aid kits 197.26 02/14/2012 226-45122-421990 216089 (1) splash goggles; (1) vinyl apron; (1) bx nitrile gloves 17.43 02/14/2012 101-41941-421990 216090 (1) splash goggles; (1) vinyl apron; (1) 100/bx nitrile gloves 17.43 02/14/2012 655-49870-420650 216091 Safety supplies - (1) splash goggles; (1) vinyl apron; bx glvs 17.43 02/14/2012 217-41990-443990 216328 (2) bags scouring sponge; (2) case wipes; (2) case can liners 215.25 02/14/2012 226-45122-421100 216328 (1) 8/1000ml hand sanitzer; (2) 3/1250ml handwash; ect 640.73 02/14/2012 226-45122-421990 216328 (28) bx batteries; (1) pair hearing protectors; (12) pr earplugs 85.20 02/14/2012 226-45122-422990 216329 (5) case kitchen towels; (2) mops; (2) cases cups 200.47 02/14/2012 101-43127-421100 216533 (1) case 9" plates 30.98 02/14/2012 226-45127-425410 216534 (3) 3/1250ml handwash; (6) 4/bx batteries 165.41 02/14/2012 226-45122-421990 216534 (1) 12/bx urinal screen; (1) 6/case bleach; (3) case can liners 226.71 02/14/2012 226-45122-421100 216781 (1) case 2ply tissue 47.73 02/14/2012 101-41941-421990 216782 (10) 100/box disp med gloves 69.00 02/14/2012 226-45127-425410 216783 (2) 3/1250ml hair & body wash; (5) case 9" 2ply tissue; ect 322.83 02/14/2012 226-45122-421990 216783 (1) 4/1gal detergent; (2) case wipes; (2) case can liners 195.46 02/14/2012 226-45122-421100 216785 (1) case perfumed wall blocks 29.13 02/14/2012 101-45201-421650 2,654.58Check Total: Vendor:1612 SPRINGBROOK SOFTWARE INC Check Sequence: 165 ACH Enabled: False 0018953 utx - 20% - 2012 Annual software mtc 4,902.27 02/14/2012 101-41920-430900 0018953 80% not subject to utx - 2012 Annual software mtc 19,609.06 02/14/2012 101-41920-430900 24,511.33Check Total: Vendor:1506 STRATEGIC EQUIPMENT & SUPPLY COMPANY Check Sequence: 166 ACH Enabled: False 1745299CORR paid invoice #1745299 twice 6/14/11 & 6/28/11 -65.71 02/14/2012 609-49750-443990 1745299CORR paid invoice #1745299 twice 6/14/11 & 6/28/11 -77.21 02/14/2012 609-49750-425400 1745299CORR paid invoice #1745299 twice 6/14/11 & 6/28/11 -105.07 02/14/2012 609-49754-421990 1847928 (1) case bloody mary mix - resale 39.55 02/14/2012 609-49750-425400 1847928 ST3 - (1) case 2 oz plastic souffle resale 34.33 02/14/2012 609-49750-425400 1847928 (1) bale 57# brown bags; (2) bales quart bags; ect 226.48 02/14/2012 609-49750-443990 52.37Check Total: Vendor:1507 STREICHERS INC Check Sequence: 167 ACH Enabled: False CM253177 return (1) 2-3 comm org x/ref w/#I884553 -52.37 02/14/2012 101-42200-421990 CM253606 Refer to invoice I895023 - linear tube for lightbar mounting -42.74 02/14/2012 101-42200-422100 I899258 (1) Ice Commander Suit 694.69 02/14/2012 101-42200-421990 I900336 (4) traffic vests 119.70 02/14/2012 101-42200-421990 719.28Check Total: AP-Computer Check Proof List by Vendor (02/08/2012 - 8:19 AM)Page 28 Invoice No Description Amount Payment Date Acct Number Reference Vendor:1616 SUSA Check Sequence: 168 ACH Enabled: False 1/24/12 2012 membership - Matt Theisen 100.00 02/14/2012 601-49440-443300 2012 Membership Membership - Bob Paschke 100.00 02/14/2012 101-43110-443300 200.00Check Total: Vendor:1515 TARGET BANK Check Sequence: 169 ACH Enabled: False 1/18/12 Ink cartridges 69.88 02/14/2012 101-42200-420990 69.88Check Total: Vendor:1522 THORPE DISTRIBUTING COMPANY Check Sequence: 170 ACH Enabled: False 673386 13,059.40 02/14/2012 609-49750-425200 673386 re-sale 12.35 02/14/2012 609-49750-425400 674334 9,626.60 02/14/2012 609-49750-425200 22,698.35Check Total: Vendor:1537 UHL COMPANY INC Check Sequence: 171 ACH Enabled: False 8899 Zone temp not calculating - labor/supplies 436.00 02/14/2012 226-45122-440100 8899 Zone temp not calculating - labor/supplies 595.00 02/14/2012 101-41940-440100 1,031.00Check Total: Vendor:1544 US POSTAL SERVICE Check Sequence: 172 ACH Enabled: False Permit #42 Permit #42 First-Class Presort annual fee (1/2) 95.00 02/14/2012 601-49440-443700 Permit #42 Permit #42 First-Class Presort annual fee (1/2) 95.00 02/14/2012 602-49490-443700 190.00Check Total: Vendor:2801 MARGUERITE VECHES Check Sequence: 173 ACH Enabled: False Refund FiberNet Monticello acct 68519 5.86 02/14/2012 655-00000-115040 5.86Check Total: Vendor:1550 VEOLIA WATER N AM OPERATING SERV LLC VEOLIA WATER N AM OPERATIONS INC Check Sequence: 174 ACH Enabled: False 00010293 February 2012 64,399.08 02/14/2012 602-49480-430800 64,399.08Check Total: Vendor:2429 VERIZON WIRELESS Check Sequence: 175 ACH Enabled: False 2689842405 763-688-5387 1/21-2/20/12 26.02 02/14/2012 101-41920-432100 2689842405 763-688-5616; 763-688-5936 1/21-2/20/12 52.06 02/14/2012 101-43115-432100 2689842405 763-954-1070 1/21-2/20/12 37.24 02/14/2012 101-43120-432100 2689842405 763-954-1076 1/21-2/20/12 26.02 02/14/2012 101-43110-432100 AP-Computer Check Proof List by Vendor (02/08/2012 - 8:19 AM)Page 29 Invoice No Description Amount Payment Date Acct Number Reference 141.34Check Total: Vendor:1552 VIKING COCA COLA BOTTLING CO Check Sequence: 176 ACH Enabled: False 25221458 re-sale 185.40 02/14/2012 609-49750-425400 25221570 re-sale 206.40 02/14/2012 609-49750-425400 391.80Check Total: Vendor:2125 VIKING TROPHIES Check Sequence: 177 ACH Enabled: False 106715 (1) Custom plaque w/fireman cast & engraved plate 147.49 02/14/2012 101-42200-421990 147.49Check Total: Vendor:1684 VINOCOPIA Check Sequence: 178 ACH Enabled: False 51314-IN 10.00 02/14/2012 609-49750-433300 51314-IN 118.50 02/14/2012 609-49750-425100 51314-IN 318.50 02/14/2012 609-49750-425300 447.00Check Total: Vendor:2533 WELLS FARGO BANK NA Check Sequence: 179 ACH Enabled: False 7206009 Acct HBS000724 10/1-12/31/11 HSA Administration 303.75 02/14/2012 101-49240-413500 303.75Check Total: Vendor:1567 WES OLSON ELECTRIC LLC Check Sequence: 180 ACH Enabled: False 5305 Swan Cam - (1) GFI receptacle; (1) romex conn; (10) wires; ect 30.94 02/14/2012 101-45201-421650 5311 Labor - Install datecomm wiring & ends for new camera 570.00 02/14/2012 609-49754-431990 5311 Supplies - (100) locking tire; (4) tap con anchors; ect 382.05 02/14/2012 609-49754-431990 5330 Labor - Well #1 replaced 1964 control unit 980.00 02/14/2012 601-49440-431990 5330 Supplies - Well #1 replaced 1964 control unit 530.82 02/14/2012 601-49440-431990 2,493.81Check Total: Vendor:2651 WILSON DEVELOPMENT SERVICES LLC Check Sequence: 181 ACH Enabled: False 22657 Acquisition & Relocation Consultant Serv - Embracing Downtown 1,311.85 02/14/2012 213-46502-431990 22658 Acquisition & Relocation Services - Montgomery Farms 1,554.43 02/14/2012 213-46522-431990 2,866.28Check Total: Vendor:1572 THE WINE COMPANY Check Sequence: 182 ACH Enabled: False 290522-00 8.40 02/14/2012 609-49750-433300 290522-00 424.00 02/14/2012 609-49750-425300 291371-00 6.30 02/14/2012 609-49750-433300 AP-Computer Check Proof List by Vendor (02/08/2012 - 8:19 AM)Page 30 Invoice No Description Amount Payment Date Acct Number Reference 291371-00 408.00 02/14/2012 609-49750-425300 846.70Check Total: Vendor:1573 WINE MERCHANTS INC Check Sequence: 183 ACH Enabled: False 394920 10.19 02/14/2012 609-49750-433300 394920 702.46 02/14/2012 609-49750-425300 712.65Check Total: Vendor:1209 WIRTZ BEVERAGE MINNESOTA WINE & SPIRITS Check Sequence: 184 ACH Enabled: False 695032 53.65 02/14/2012 609-49750-433300 695032 3,810.84 02/14/2012 609-49750-425100 695033 27.55 02/14/2012 609-49750-433300 695033 1,246.88 02/14/2012 609-49750-425300 697600 1.45 02/14/2012 609-49750-433300 697600 95.90 02/14/2012 609-49750-425300 698396 20.30 02/14/2012 609-49750-433300 698396 1,904.87 02/14/2012 609-49750-425100 852871 -1.45 02/14/2012 609-49750-433300 852871 -80.55 02/14/2012 609-49750-425100 7,079.44Check Total: Vendor:2556 WOLD ARCHITECTS INC Check Sequence: 185 ACH Enabled: False 38572 11C006 - Natatorium Improvemts Ph 2 - Contract 9,128.25 02/14/2012 226-45122-453010 38572 11C006 - Natatorium Improvemts Ph 2 - Reimbursables 1,149.49 02/14/2012 226-45122-453010 38655 11C006 - Natatorium Improvemts PH 2 - Contract 2,130.00 02/14/2012 226-45122-453010 38655 11C006 - Natatorium Improvemts PH 2 - Reimbursables 411.51 02/14/2012 226-45122-453010 12,819.25Check Total: Vendor:1657 WORLD CLASS WINES INC Check Sequence: 186 ACH Enabled: False 1686454 3.75 02/14/2012 609-49750-433300 1686454 68.48 02/14/2012 609-49750-425100 1686455 1.25 02/14/2012 609-49750-433300 1686455 191.45 02/14/2012 609-49750-425100 1716823 12.50 02/14/2012 609-49750-433300 1716823 412.79 02/14/2012 609-49750-425100 1716823 600.00 02/14/2012 609-49750-425300 1716829 5.00 02/14/2012 609-49750-433300 1716829 480.00 02/14/2012 609-49750-425300 AP-Computer Check Proof List by Vendor (02/08/2012 - 8:19 AM)Page 31 Invoice No Description Amount Payment Date Acct Number Reference 1,775.22Check Total: Vendor:1577 WRIGHT CO AUDITOR-TREAS - ACH Check Sequence: 187 ACH Enabled: True 2/1/12 Fines and Fees Dec-EFT recpt 00047696 2/1/12 2,730.19 02/14/2012 101-00000-208020 2,730.19Check Total: Vendor:1577 WRIGHT CO AUDITOR-TREAS - ACH Check Sequence: 188 ACH Enabled: True Patrol-12-2 February 2012 94,763.50 02/14/2012 101-42100-430500 94,763.50Check Total: Vendor:1581 WRIGHT CO RECORDER Check Sequence: 189 ACH Enabled: False I201200000006 Doc# A-1192367 Vacation 48.00 02/14/2012 101-41310-431990 I201200000006 Doc# A-11923270 Easement 46.00 02/14/2012 101-41310-431990 94.00Check Total: Vendor:1583 WRIGHT HENNEPIN COOP ELECTRIC ASSOCIATION Check Sequence: 190 ACH Enabled: False 1/26/12 HADCO lights @ East 7th St 357.75 02/14/2012 101-43160-431900 357.75Check Total: Vendor:1584 WSB & ASSOCIATES INC Check Sequence: 191 ACH Enabled: False 1010000172 General - 12/14/11 EDA meeting 268.00 02/14/2012 213-46301-431990 116061148 ZRCFOS - Traffic Engineering Serv - prep & review for council 804.00 02/14/2012 101-43111-430300 148847045 10C001 - Prairie Rd Reconst - Ph 3 Const - as-builts 818.50 02/14/2012 400-43300-459010 149405028 Trunk Fee Analysis - report/resibility study 3,570.00 02/14/2012 101-43111-430300 149434025 10C001 - 2010 St Reconst - Ph 3 Const - meetings 60.50 02/14/2012 400-43300-459010 149434025 10C001 - 2010 St Reconst - Ph 3 Const - pay voucher 183.00 02/14/2012 400-43300-459010 149434025 10C001 - 2010 St Reconst - Ph 3 Const - as-builts 2,669.00 02/14/2012 400-43300-459010 149437019 10C005 - NE Quad 25/75 Tran Analysis-Ph 3 Const-proj mgmt/coord 423.50 02/14/2012 400-43300-459010 149437019 10C005 - NE Quad 25/75 Tran Analysis-Ph 3 Const- pay voucher 212.50 02/14/2012 400-43300-459010 149437019 10C005 - NE Quad 25/75 Tran Analysis-Ph 3 Const- as-builts 215.00 02/14/2012 400-43300-459010 149442014 11C001 - 2011 St Reconst - Ph 3 - proj mgmt/coord 1,483.50 02/14/2012 400-43300-459010 149442014 11C001 - 2011 St Reconst - Ph 3 - pay voucher 243.50 02/14/2012 400-43300-459010 149442014 11C001 - 2011 St Reconst - Ph 3 - as-biults 3,495.50 02/14/2012 400-43300-459010 149442014 11C001 - 2011 St Reconst - Ph 3 - administrative 15.50 02/14/2012 400-43300-459010 149443011 10C010 - CSAH 75 Ped Underpass - proj mgmt/coord 60.50 02/14/2012 400-43300-459010 149443011 10C010 - CSAH 75 Ped Underpass - meetings 60.50 02/14/2012 400-43300-459010 149448010 ZRCFOS - Fallon Overpass Prelim Design - proj mgmt/coord 1,072.00 02/14/2012 101-43111-430300 16275106 12C002 - 7th St Ext - proj mgmt/coord 121.00 02/14/2012 400-43300-459010 16275106 12C002 - 7th St Ext - quantity/cost opinion 605.00 02/14/2012 400-43300-459010 AP-Computer Check Proof List by Vendor (02/08/2012 - 8:19 AM)Page 32 Invoice No Description Amount Payment Date Acct Number Reference 16,381.00Check Total: Vendor:1585 XCEL ENERGY Check Sequence: 192 ACH Enabled: False 1/23/12 51-6505910-7 1,169.84 02/14/2012 609-49754-438100 1/23/12 51-6505911-8 1,399.31 02/14/2012 101-41940-438100 1/23/12 51-6505911-8 6,076.98 02/14/2012 226-45122-438100 1/23/12 51-6505911-8 359.82 02/14/2012 101-45175-438100 1/23/12 51-6505911-8 159.92 02/14/2012 101-42800-438100 1/23/12 51-6505913-0 445.70 02/14/2012 101-42200-438100 1/23/12 51-9348896-7 261.47 02/14/2012 101-41940-438100 1/30/12 51-6505908-3 17.33 02/14/2012 101-42500-438100 1/30/12 51-6505907-2 54.17 02/14/2012 101-43140-438100 1/30/12 51-6505916-3 13,307.12 02/14/2012 101-43160-438100 1/31/12 51-6505905-0 5,229.97 02/14/2012 601-49440-438100 1/31/12 51-4271112-2 411.80 02/14/2012 601-49440-438100 2/2/12 51-6505914-1 1,103.18 02/14/2012 101-43127-438100 2/2/12 51-6505906-1 1,084.45 02/14/2012 602-49490-438100 2/2/12 51-6505915-2 1,014.68 02/14/2012 101-45201-438100 2/2/12 51-6505915-2 241.51 02/14/2012 601-49440-438100 2/2/12 51-6505915-2 40.98 02/14/2012 226-45203-438100 2/2/12 51-6505915-2 62.71 02/14/2012 101-45203-438100 32,440.94Check Total: Vendor:2732 YELLOW PAGES Check Sequence: 193 ACH Enabled: False 1955571-103 7/17-4/16/12 National & Regional Yellow Pages 229.00 02/14/2012 655-49870-434990 229.00Check Total: Vendor:2076 ZAYO BANDWIDTH LLC Check Sequence: 194 ACH Enabled: False 3293 2/12 Voice - back office services - 2/1-2/29/12 1,932.00 02/14/2012 655-49860-430910 1,932.00Check Total: Vendor:1588 ZEE MEDICAL SERVICE Check Sequence: 195 ACH Enabled: False 54037245 First Aid Supplies 246.21 02/14/2012 101-43127-420650 54037246 First Aid Supplies 77.51 02/14/2012 609-49754-420650 323.72Check Total: Vendor:1679 ZEP SALES AND SERVICE Check Sequence: 196 ACH Enabled: False 57438116 (1) dz brake wash; (1) dz ZEP 40; (1) 5 gal blue marvel; ect 364.10 02/14/2012 101-43127-421100 AP-Computer Check Proof List by Vendor (02/08/2012 - 8:19 AM)Page 33 Invoice No Description Amount Payment Date Acct Number Reference 364.10Check Total: Total for Check Run: Total of Number of Checks: 556,196.62 196 AP-Computer Check Proof List by Vendor (02/08/2012 - 8:19 AM)Page 34 User: Printed:01/27/2012 - 11:03AM Ann.Zimmerman Computer Check Proof List by Vendor Accounts Payable Batch:00205.01.2012 Invoice No Description Amount Payment Date Acct Number Reference Vendor:1041 ARCTIC GLACIER INC Check Sequence: 1 ACH Enabled: False 412201208 re-sale 35.20 01/30/2012 609-49750-425500 35.20Check Total: Vendor:1065 BELLBOY CORPORATION Check Sequence: 2 ACH Enabled: False 71739100 33.46 01/30/2012 609-49750-433300 71739100 1,743.93 01/30/2012 609-49750-425100 71739100 240.00 01/30/2012 609-49750-425300 71824500 28.80 01/30/2012 609-49750-433300 71824500 492.15 01/30/2012 609-49750-425100 71824500 544.00 01/30/2012 609-49750-425300 3,082.34Check Total: Vendor:1067 BERNICK'S Check Sequence: 3 ACH Enabled: False 119561 re-sale 115.20 01/30/2012 609-49750-425400 119561 re-sale 32.80 01/30/2012 609-49750-425500 119562 492.25 01/30/2012 609-49750-425200 122072 re-sale 739.25 01/30/2012 226-45127-425410 122073 re-sale 25.20 01/30/2012 609-49750-425400 122073 re-sale 32.80 01/30/2012 609-49750-425500 122074 746.75 01/30/2012 609-49750-425200 122075 re-sale return -1.58 01/30/2012 609-49750-425500 122076 80.04 01/30/2012 609-49750-425300 2,262.71Check Total: Vendor:2784 BUELL CONSULTING FOR CINGULAR WIRELESS Check Sequence: 4 ACH Enabled: False Refund ZATANT - net refund of escrow deposit 12/13/11 1,133.80 01/30/2012 101-00000-220110 1,133.80Check Total: Vendor:2050 BULLSEYE PROPERTIES Check Sequence: 5 ACH Enabled: False AP-Computer Check Proof List by Vendor (01/27/2012 - 11:03 AM)Page 1 Invoice No Description Amount Payment Date Acct Number Reference Refund Dup pmt for rental applicatn 1128 W River St recpt 46013; 46475 60.00 01/30/2012 101-42400-342110 60.00Check Total: Vendor:1129 DAHLHEIMER BEVERAGE LLC Check Sequence: 6 ACH Enabled: False 1004582 8,555.55 01/30/2012 609-49750-425200 1012202 6,752.97 01/30/2012 609-49750-425200 1012202 re-sale 42.00 01/30/2012 609-49750-425400 1012236 3,567.50 01/30/2012 609-49750-425200 1504 914.75 01/30/2012 609-49750-425200 1508CORR x/ref w/ck dated 1/10/12 correction 156.00 01/30/2012 609-49750-425200 1869 2,665.60 01/30/2012 609-49750-425200 1931 24.60 01/30/2012 609-49750-425200 2047 376.00 01/30/2012 609-49750-425200 59324CORR x/ref w/ck dated 8/10/11 see attached corrected invoice -846.00 01/30/2012 609-49750-425200 61480 152.00 01/30/2012 226-45203-425200 22,360.97Check Total: Vendor:1134 DAY DISTRIBUTING COMPANY Check Sequence: 7 ACH Enabled: False 633611 958.40 01/30/2012 609-49750-425200 634371 1,338.80 01/30/2012 609-49750-425200 2,297.20Check Total: Vendor:1680 EPIC PRODUCTS INC Check Sequence: 8 ACH Enabled: False 0359046-IN 71.52 01/30/2012 609-49750-433300 0359046-IN re-sale 766.90 01/30/2012 609-49750-425400 838.42Check Total: Vendor:1167 EXTREME BEVERAGE LLC Check Sequence: 9 ACH Enabled: False 122-274 re-sale 268.00 01/30/2012 609-49750-425400 268.00Check Total: Vendor:1206 GRAPE BEGINNINGS INC Check Sequence: 10 ACH Enabled: False 135239 22.50 01/30/2012 609-49750-433300 135239 1,093.32 01/30/2012 609-49750-425300 135548 9.00 01/30/2012 609-49750-433300 135548 756.00 01/30/2012 609-49750-425300 1,880.82Check Total: AP-Computer Check Proof List by Vendor (01/27/2012 - 11:03 AM)Page 2 Invoice No Description Amount Payment Date Acct Number Reference Vendor:1685 GUARDIAN PROPERTY MGMT Check Sequence: 11 ACH Enabled: False Refund Duplicate for rental applicatoin receipts 45991 and 46640 60.00 01/30/2012 101-42400-342110 60.00Check Total: Vendor:1259 JJ TAYLOR DISTRUBTING Check Sequence: 12 ACH Enabled: False 1646715 3.00 01/30/2012 609-49750-433300 1646715 887.65 01/30/2012 609-49750-425200 1673309 3.00 01/30/2012 609-49750-433300 1673309 1,106.46 01/30/2012 609-49750-425200 2,000.11Check Total: Vendor:1263 JOHNSON BROS WHOLESALE LIQUOR Check Sequence: 13 ACH Enabled: False 1210828 46.57 01/30/2012 609-49750-433300 1210828 4,284.60 01/30/2012 609-49750-425100 1210829 30.58 01/30/2012 609-49750-433300 1210829 775.90 01/30/2012 609-49750-425300 1212306 46.09 01/30/2012 609-49750-433300 1212306 3,517.73 01/30/2012 609-49750-425100 1212307 77.84 01/30/2012 609-49750-433300 1212307 2,365.50 01/30/2012 609-49750-425300 1212308 15.29 01/30/2012 609-49750-433300 1212308 219.92 01/30/2012 609-49750-425200 1214291 13.21 01/30/2012 609-49750-433300 1214291 662.63 01/30/2012 609-49750-425300 1215585 37.53 01/30/2012 609-49750-433300 1215585 1,265.60 01/30/2012 609-49750-425300 1216590 31.51 01/30/2012 609-49750-433300 1216590 2,427.08 01/30/2012 609-49750-425100 1216591 46.57 01/30/2012 609-49750-433300 1216591 53.30 01/30/2012 609-49750-425200 1216591 1,090.85 01/30/2012 609-49750-425300 1216591 re-sale 89.98 01/30/2012 609-49750-425400 1218562 13.90 01/30/2012 609-49750-433300 1218562 1,352.50 01/30/2012 609-49750-425100 1218563 30.58 01/30/2012 609-49750-433300 1218563 1,092.81 01/30/2012 609-49750-425300 522424 -0.12 01/30/2012 609-49750-433300 522424 -9.79 01/30/2012 609-49750-425100 19,578.16Check Total: AP-Computer Check Proof List by Vendor (01/27/2012 - 11:03 AM)Page 3 Invoice No Description Amount Payment Date Acct Number Reference Vendor:1303 M AMUNDSON LLP Check Sequence: 14 ACH Enabled: False 124271 re-sale 117.97 01/30/2012 609-49750-425400 124271 re-sale 700.18 01/30/2012 609-49750-425500 818.15Check Total: Vendor:1308 MARCO INC Check Sequence: 15 ACH Enabled: False 195028154 1/10 - 2/10/12 5,451.86 01/30/2012 101-41940-431900 5,451.86Check Total: Vendor:2217 MLB NETWORK LLC AFFILIATE SALE Check Sequence: 16 ACH Enabled: False 016215 MLB December 2011 259.31 01/30/2012 655-49860-430920 259.31Check Total: Vendor:2785 MONTICELLO APTS Check Sequence: 17 ACH Enabled: False Refund Overpayment for rental application receipt 46491 60.00 01/30/2012 101-42400-342110 60.00Check Total: Vendor:1913 NEW FRANCE WINE Check Sequence: 18 ACH Enabled: False 71182 20.00 01/30/2012 609-49750-433300 71182 943.50 01/30/2012 609-49750-425300 963.50Check Total: Vendor:1395 NEXTEL WEST CORP Check Sequence: 19 ACH Enabled: False 571273315-122 12/13/11 - 1/12/12 0.97 01/30/2012 101-41520-432100 571273315-122 12/13/11 - 1/12/12 9.22 01/30/2012 101-42200-432100 571273315-122 12/13/11 - 1/12/12 30.93 01/30/2012 101-42400-432100 571273315-122 12/13/11 - 1/12/12 54.50 01/30/2012 101-42700-432100 571273315-122 12/13/11 - 1/12/12 46.00 01/30/2012 101-43110-432100 571273315-122 12/13/11 - 1/12/12 4.61 01/30/2012 101-43111-432100 571273315-122 12/13/11 - 1/12/12 14.62 01/30/2012 101-43115-432100 571273315-122 12/13/11 - 1/12/12 64.61 01/30/2012 101-43120-432100 571273315-122 12/13/11 - 1/12/12 136.49 01/30/2012 101-45201-432100 571273315-122 12/13/11 - 1/12/12 64.61 01/30/2012 226-45122-432100 571273315-122 12/13/11 - 1/12/12 147.01 01/30/2012 601-49440-432100 571273315-122 12/13/11 - 1/12/12 65.38 01/30/2012 602-49490-432100 571273315-122 12/13/11 - 1/12/12 464.54 01/30/2012 655-49870-432100 1,103.49Check Total: AP-Computer Check Proof List by Vendor (01/27/2012 - 11:03 AM)Page 4 Invoice No Description Amount Payment Date Acct Number Reference Vendor:2134 NFL NETWORK Check Sequence: 20 ACH Enabled: False 101640 NFL December 2011 895.82 01/30/2012 655-49860-430920 895.82Check Total: Vendor:1419 PAN O GOLD CO ST CLOUD Check Sequence: 21 ACH Enabled: False 0100004202022 re-sale 29.88 01/30/2012 226-45127-425410 29.88Check Total: Vendor:1626 PAT KERNS WINE MERCHANTS Check Sequence: 22 ACH Enabled: False 8098 10.00 01/30/2012 609-49750-433300 8098 808.00 01/30/2012 609-49750-425300 818.00Check Total: Vendor:1273 PAUSTIS & SONS WINE CO Check Sequence: 23 ACH Enabled: False 8335155-IN 25.00 01/30/2012 609-49750-433300 8335155-IN 1,011.99 01/30/2012 609-49750-425300 1,036.99Check Total: Vendor:1427 PHILLIPS WINE & SPIRITS CO Check Sequence: 24 ACH Enabled: False 2174346 31.22 01/30/2012 609-49750-433300 2174346 2,049.16 01/30/2012 609-49750-425100 2180144 111.20 01/30/2012 609-49750-433300 2180144 9,734.94 01/30/2012 609-49750-425100 2180145 37.53 01/30/2012 609-49750-433300 2180145 1,137.50 01/30/2012 609-49750-425300 2181233 14.48 01/30/2012 609-49750-433300 2181233 1,256.99 01/30/2012 609-49750-425100 2181234 34.05 01/30/2012 609-49750-433300 2181234 898.23 01/30/2012 609-49750-425300 2183573 172.36 01/30/2012 609-49750-433300 2183573 9,260.20 01/30/2012 609-49750-425100 2183574 47.96 01/30/2012 609-49750-433300 2183574 1,713.60 01/30/2012 609-49750-425300 2184347 24.20 01/30/2012 609-49750-433300 2184347 738.08 01/30/2012 609-49750-425300 2184347 re-sale 32.25 01/30/2012 609-49750-425400 3475383 -1.39 01/30/2012 609-49750-433300 3475383 -60.00 01/30/2012 609-49750-425300 AP-Computer Check Proof List by Vendor (01/27/2012 - 11:03 AM)Page 5 Invoice No Description Amount Payment Date Acct Number Reference 27,232.56Check Total: Vendor:1444 QUALITY WINE & SPIRITS CO Check Sequence: 25 ACH Enabled: False 560098-00 88.55 01/30/2012 609-49750-433300 560098-00 1,144.48 01/30/2012 609-49750-425100 560098-00 1,411.04 01/30/2012 609-49750-425300 560098-00 re-sale 108.60 01/30/2012 609-49750-425500 562896-00 43.70 01/30/2012 609-49750-433300 562896-00 1,209.24 01/30/2012 609-49750-425100 562896-00 286.00 01/30/2012 609-49750-425300 562896-00 re-sale 37.21 01/30/2012 609-49750-425500 4,328.82Check Total: Vendor:2602 RFD TV Check Sequence: 26 ACH Enabled: False 1582-1227 RFD TV December 2011 41.40 01/30/2012 655-49860-430920 41.40Check Total: Vendor:2497 SHERBURNE WRIGHT CABLE COMMISSION Check Sequence: 27 ACH Enabled: False Qtr 4 2011 PEG PEG Capitol Fees - Qtr 4 2011 2,824.55 01/30/2012 655-00000-341180 2,824.55Check Total: Vendor:1745 THE STANDARD Check Sequence: 28 ACH Enabled: False 00 147036 0001 February 2012 Life insurance premiums 2,120.62 01/30/2012 101-00000-217066 2,120.62Check Total: Vendor:1506 STRATEGIC EQUIPMENT & SUPPLY COMPANY Check Sequence: 29 ACH Enabled: False 1842489 (263) stem glasses w/log 646.49 01/30/2012 609-49754-425550 1842490 (1) bale 57# bags; (2) bales 20# bags; (3) bales 12# bags; ect 199.37 01/30/2012 609-49750-443990 1842490 re-sale 81.33 01/30/2012 609-49750-425400 927.19Check Total: Vendor:1518 TDS TELECOM Check Sequence: 30 ACH Enabled: False 655-837-0005 Voice - nonpublished number charges 252.66 01/30/2012 655-49860-430910 655-837-0005 Voice - LNP conversion charges 720.00 01/30/2012 655-49870-432600 655-837-0005 Voice - Long distance 0.17 01/30/2012 655-49860-430910 972.83Check Total: Vendor:1518 TDS TELECOM Check Sequence: 31 ACH Enabled: False AP-Computer Check Proof List by Vendor (01/27/2012 - 11:03 AM)Page 6 Invoice No Description Amount Payment Date Acct Number Reference 271-3248 1/12 11.50 01/30/2012 217-41990-432100 11.50Check Total: Vendor:1522 THORPE DISTRIBUTING COMPANY Check Sequence: 32 ACH Enabled: False 669823CREDIT xref w/#669823 -11,248.95 01/30/2012 609-49750-425200 671520 14,931.80 01/30/2012 609-49750-425200 672419 16,379.45 01/30/2012 609-49750-425200 672419 re-sale 114.65 01/30/2012 609-49750-425400 755399 124.25 01/30/2012 609-49750-425200 20,301.20Check Total: Vendor:1552 VIKING COCA COLA BOTTLING CO Check Sequence: 33 ACH Enabled: False 25221230 re-sale 147.40 01/30/2012 609-49750-425400 25221346 re-sale 145.80 01/30/2012 609-49750-425400 293.20Check Total: Vendor:2728 WINDSTREAM COMMUNICATIONS Check Sequence: 34 ACH Enabled: False 12009-15206 12/10/11-1/9/12 Instrastate usage charges 124.43 01/30/2012 655-49860-430910 124.43Check Total: Vendor:1572 THE WINE COMPANY Check Sequence: 35 ACH Enabled: False 289414-00 8.25 01/30/2012 609-49750-433300 289414-00 672.00 01/30/2012 609-49750-425300 680.25Check Total: Vendor:1573 WINE MERCHANTS INC Check Sequence: 36 ACH Enabled: False 392657 51.43 01/30/2012 609-49750-433300 392657 4,400.00 01/30/2012 609-49750-425300 393282 37.53 01/30/2012 609-49750-433300 393282 1,935.75 01/30/2012 609-49750-425300 6,424.71Check Total: Vendor:1209 WIRTZ BEVERAGE MINNESOTA WINE & SPIRITS Check Sequence: 37 ACH Enabled: False 685692 15.95 01/30/2012 609-49750-433300 685692 1,494.10 01/30/2012 609-49750-425100 688649 10.15 01/30/2012 609-49750-433300 688649 386.41 01/30/2012 609-49750-425300 688649 re-sale 119.85 01/30/2012 609-49750-425400 AP-Computer Check Proof List by Vendor (01/27/2012 - 11:03 AM)Page 7 Invoice No Description Amount Payment Date Acct Number Reference 688650 65.25 01/30/2012 609-49750-433300 688650 4,302.23 01/30/2012 609-49750-425100 691782 15.95 01/30/2012 609-49750-433300 691782 1,139.92 01/30/2012 609-49750-425100 691783 43.50 01/30/2012 609-49750-433300 691783 2,261.80 01/30/2012 609-49750-425300 852257 -2.90 01/30/2012 609-49750-433300 852257 -708.98 01/30/2012 609-49750-425100 852258 -64.34 01/30/2012 609-49750-425100 9,078.89Check Total: Vendor:1657 WORLD CLASS WINES INC Check Sequence: 38 ACH Enabled: False 1676434 3.75 01/30/2012 609-49750-433300 1676434 248.04 01/30/2012 609-49750-425300 1686417 35.73 01/30/2012 609-49750-433300 1686417 2,829.72 01/30/2012 609-49750-425100 1686417 121.32 01/30/2012 609-49750-425300 3,238.56Check Total: Vendor:2219 WORLD FISHING NETWORK LTD Check Sequence: 39 ACH Enabled: False 403-1011 World Fishing December 2011 45.54 01/30/2012 655-49860-430920 45.54Check Total: Vendor:2645 WRIGHT CO AUDITOR-TREAS Check Sequence: 40 ACH Enabled: False Asmt Fees 2012 County asmt fees for 2012 1,662.70 01/30/2012 101-41520-443350 1,662.70Check Total: Vendor:1583 WRIGHT HENNEPIN COOP ELECTRIC ASSOCIATION Check Sequence: 41 ACH Enabled: False 1/18/12 (14) lights School Blvd 12/16/11-1/15/12 193.90 01/30/2012 101-43160-431900 1/18/12 (30) lights School Blvd 12/16/11-1/15/12 415.50 01/30/2012 101-43160-431900 1/18/12 Chelsea Rd E 12/16/11-1/15/12 180.00 01/30/2012 101-43160-431900 1/18/12 (9) lights 7th St & Highland 12/16/11-1/15/12 90.00 01/30/2012 101-43160-431900 1/18/12 Cedar St Dundas to Chelsea 12/16/11-1/15/12 124.65 01/30/2012 101-43160-431900 1/18/12 School Blvd Fenning/18/Edmonson 12/16/11-1/15/12 372.00 01/30/2012 101-43160-431900 1,376.05Check Total: Vendor:1585 XCEL ENERGY Check Sequence: 42 ACH Enabled: False 1/18/12 51-6505909-4 200.88 01/30/2012 217-41990-438100 1/19/12 51-6505912-9 85.37 01/30/2012 101-42700-438100 AP-Computer Check Proof List by Vendor (01/27/2012 - 11:03 AM)Page 8 Invoice No Description Amount Payment Date Acct Number Reference 1/19/12 51-6505907-2 155.70 01/30/2012 101-43140-438100 1/19/12 51-9069641-8 2,292.93 01/30/2012 655-49870-438100 1/20/12 51-9391437-3 399.99 01/30/2012 101-41941-438100 1/20/12 51-0238874-9 109.14 01/30/2012 101-43160-438100 1/20/12 51-0238890-9 118.22 01/30/2012 101-43160-438100 1/20/12 51-7780310-4 86.21 01/30/2012 101-41940-438100 3,448.44Check Total: Total for Check Run: Total of Number of Checks: 152,428.17 42 AP-Computer Check Proof List by Vendor (01/27/2012 - 11:03 AM)Page 9 CityCouncilAgenda:02/13/12 1 5B.ConsiderationofapprovingnewhiresanddeparturesforCitydepartments (TE) A.REFERENCEANDBACKGROUND: TheCouncilisaskedtoratifythehiringanddeparturesofemployeesthathaveoccurred recentlyinthedepartmentslisted.ItisrecommendedthattheCouncilofficiallyratifythe hiring/departureofalllistedemployeesincludingpart-timeandseasonalworkers. A1.BudgetImpact:(positionsaregenerallyincludedinbudget) A2.StaffWorkLoadImpact:Ifnewpositions,theremaybesometraining involved.Ifterminatedpositions,existingstaffwouldpickupthosehours,as needed,untilreplaced. B.ALTERNATIVEACTIONS: 1.Motiontoratifythehire/departuresoftheemployeesasidentifiedontheattached list. 2.Motiontodenytherecommendedhiresanddepartures. C.RECOMMENDATION: BystatutetheCityCouncilhastheauthoritytoapproveallhires/departures.Citystaff recommendsAlternative#1,fortheCounciltoapprovethehiresand/ordeparturesas listed. D.SUPPORTINGDATA: Listofnew/terminatedemployees Name Title Department Hire Date Class Frank Robinson Winter Parks Asst.Parks 1/17 Seasonal Jim Maanum Winter Parks Asst.Parks 1/22 Seasonal Name Reason Department Last Day Class Illeana Miller Voluntary FNM 1/31 PT Kevin Krzenski Voluntary MCC 1/12 PT NEW EMPLOYEES TERMINATING EMPLOYEES Book1: 2/7/2012 CityCouncilAgenda:02/13/12 1 5C.ConsiderationofadoptingResolution#2012-014approvingaGamblingPremises PermitapplicationforMonticelloYouthHockeyProgramtoconductgamblingat TheStationBarandGrill (JO/CS) A.REFERENCEANDBACKGROUND: TheMonticelloYouthHockeyProgramsubmittedaPremisesPermitApplicationto conductgamblingatTheStationBarandGrillstartingMarch1,2012.Councilisasked toadopttheResolutionsotheapplicationcanbesubmittedtotheStateforapproval. JamesPreusse,MYHPGamblingManager,hascompletedthenecessaryapplicationsand backgroundcheckasrequiredbythenewly-adoptedlawfulgamblingordinance.The applicationsareattachedassupportingdata.MonticelloYouthHockeyProgramisaware ofthenewgamblingordinanceanditstradeareaandreportingrequirements. TheStateGamblingControlBoardrequiresCounciltoadoptaresolutionapproving gamblingpermitapplications.CitystaffdoesnotfindanyreasonthatCouncilwouldnot approvethisapplication.Mr.PreusseisplanningtobepresentatthemeetingifCouncil wouldhaveanyquestions. A1.BudgetImpact:none A2.StaffWorkloadImpact:minimal B.ALTERNATIVEACTIONS: 1.MotiontoadoptResolution#2012-014approvingthePremisesPermit ApplicationforMonticelloYouthHockeyProgramtoconductgamblingatThe StationBarandGrilleffectiveMarch1,2012. 2.Motiontodenytheresolutionatthistime. C.STAFFRECOMMENDATION: CitystaffrecommendsAlternative#1toadopttheresolution. D.SUPPORTINGDATA: Resolution#2012-014 PremisesPermitApplication LeaseforLawfulGamblingActivity LawfulGamblingOrdinance3-12 CITYOFMONTICELLO WRIGHTCOUNTY,MINNESOTA RESOLUTIONNO.2012-014 APPROVINGANAPPLICATIONFORAPREMISESPERMITTOCONDUCT LAWFULGAMBLINGATTHESTATIONBARANDGRILL WHEREAS,MonticelloYouthHockeyProgram,Inc.hassubmittedanapplicationtotheCity CouncilofMonticelloforaPremisesPermittoconductlawfulgamblingactivitiesatTheStation BarandGrillat407PineStreetinMonticello,Minnesota;and WHEREAS,MonticelloYouthHockeyProgram,Inc.intendstocomplywithlawfulgambling rulesoftheStateofMinnesotaandCityofMonticello;and WHEREAS,theCouncilisnotopposedtothegamblingpermitbeingissuedbytheState GamblingControlBoard; NOWTHEREFORE,BEITRESOLVEDBYTHECITYCOUNCIL thattheapplicationby theMonticelloYouthHockeyProgramInc.foraPremisesPermittoconductlawfulgambling activitiesatTheStationBarandGrillisherebyapprovedandtheStateGamblingControlBoard isauthorizedtoprocesstheapplication. ADOPTEDBY theMonticelloCityCouncilthis13th dayofFebruary,2012. CITYOFMONTICELLO __________________________________ ClintHerbst,Mayor ATTEST: __________________________________ JeffO’Neill,CityAdministrator CERTIFICATION STATEOFMINNESOTA COUNTYOFWRIGHT IherebycertifythattheforegoingisatrueandcorrectcopyofResolution#2012-14duly passed,adoptedandapprovedbytheMonticelloCityCouncilattheirscheduledmeetingon February13,2012,andrecordedinminutesofsaidmeeting. ____________________________________ JeffO’Neill,CityAdministrator NotaryPublic:_______________________________ Date:___________________________ (STAMP) CityCouncilAgenda:02/13/12 1 5D.Considerationofapprovinganapplicationforatemporarycharitablegambling permitforarafflebytheKickingBearFoundation (CS) A.REFERENCEANDBACKGROUND: DustinCraig,alocalrepresentativefortheKickingBearFoundation,hasappliedfora temporarycharitablegamblingpermitforaraffletobeheldonSaturday,March3,2012 inconjunctionwiththeirAnnualBanquetatTheStationBarandGrill.KickingBear Foundationprovideshuntingandcampingopportunitiesforyouthinthisarea. ToreceiveagamblingpermitfromtheState,theCitymustapprovetheapplication.In thepasttheCityhasnotopposedtheseexemptgamblinglicenseapplicationsfor charitableevents. B.ALTERNATIVEACTIONS: 1.Approvetheapplicationforacharitablegamblingpermitforaraffletobe conductedbytheKickingBearFoundationatTheStationBarandGrillonMarch 3,2012. 2.Donotapprovetheapplicationforacharitablegamblingpermit. C.STAFFRECOMMENDATION: StaffsupportsAlternative#1andisnotawareofanyreasonwhythisapplicationshould notbeapproved. D.SUPPORTINGDATA: ApplicationforExemptGamblingPermit–KickingBearFoundation InformationaboutKickingBear CityCouncilAgenda:02/13/12 1 5E.ConsiderationofappointingarepresentativetotheMonticelloParksCommissionto fillavacancyforatermtoexpireon12/31/2013 (TP) A.REFERENCEANDBACKGROUND: CityCouncilisaskedtoappointarepresentativetofilloutavacanttermonthe MonticelloParksCommissionthatwouldexpireonDecember31,2013.TheParks DirectorandCommissionrecommendtheapprovalofBethBigelowfortheposition. BethresidesintheCityofMonticelloandispursuingherBachelorsdegreeandworking inPlymouth.Inherapplication,sheindicatesastronginterestandhistoryinservingin thecommunityasavolunteer. B.ALTERNATIVEACTIONS: 1.MotiontoapprovetheappointmentofBethBigelowtotheMonticelloParks CommissionwiththetermendingDecember31,2013. 2.Motiontonotapprovetheappointmentatthistime. C.STAFFRECOMMENDATION: CityStaffandtheMonticelloParksCommissionrecommendAlternative#1toappoint BethBigelowtotheParksCommission. D.SUPPORTINGDATA: ApplicationforBethBigelow CityCouncilAgenda:02/13/12 1 5F.Considerationofapproving2011OperatingTransfers (TK) A.REFERENCEANDBACKGROUND: Everyyear,theCitytransfersmoneyfromoneCityfundtoanotherCityfund.These transfershappenforvariousreasonsincludingprovidingfundingsourcesforCity projects,repaymentofdebt,ortofundoperationsinsteadofapropertytaxlevy.Someof thesetransferswereanticipatedandaccountedintheCity’s2011budget.Othersbecame necessaryduringthecourseofoperationsduringtheyearorbasedonfundingdecisions madebystafforCouncilduringtheyear.Whateverthereasonforthetransfers,itisa goodmanagementpracticetoprovidetheCityCouncilwithalistofthetransfersmade andhaveCouncilapprovethetransfers. Attachedisalistofthe2011operatingtransfersfortheCity.Adescriptionofeach transferisprovidedbelow. 1.WhentheCitystartedtheDMVFund,theCityprovided$75,000ofexcess reservestohelpfinancethefund.NowthattheDMVFundisestablishedstaff recommendedthatthe$75,000betransferredtootherCityprojectswhichneed funding.AttheNovember14th Councilmeeting,Councilapprovedatransferto theconstructionfundtobeusedonimprovementsatthenortheastcornerof Highway25and7th Street. 2.Thetransferof$78,383.00fromtheGeneralFund–ParkImprovement Departmentwasitsshareofparkinglotimprovementscompletedaspartofthe 2011streetimprovementproject. 3.TheCity’s2011budgetincludedatransferof$475,000.00fromtheConsolidated BondFundtotheParkDedicationFundforthe2011BertramChainofLakesland purchase.However,basedonfundsavailableintheParkDedicationFundand theCity’sshareofmatchingfunds,thetransferonlyneedstobe$173,832.81. 4.TheStreetReconstructionFundhasabudgetedtransferof$250,000fromthe LiquorFundinplaceofapropertytaxlevy. 5.Forthenexttransferintothe2010BondFundallwerebudgetedin2011andare basedonthefundingsourcesofthe2010bondissuance.Thesetransfersinclude $42,625.00fromtheStreetReconstructionFund,$78,364.00fromtheSewer AccessFund,$34,471.00fromtheStormSewerAccessFund,and$30,500.00 fromtheWaterAccessFund. 6.Thetransferof$1,515,756.35intotheconstructionfundisbasedonthefunding sourcesidentifiedinthe2011streetreconstructionprojectand7th Street,Street LightingandIntersectionprojects. CityCouncilAgenda:02/13/12 2 7.Thetransferintothe2005BondFundwasbudgetedin2011andisbasedonthe fundingsourcesofthe2005bondissuance.Thetransferincludes$316,279.00 fromtheEDAFund,$706,249.00fromtheSewerAccessFund,$261,299.00 fromtheStormSewerAccessFund,and$309,803.00fromtheWaterAccess Fund. 8.Thetransferof$815,000fromtheCommunityCenterFundtothe2008A RevenueRefundingBondwasbudgetedandisbasedonthe2008ARevenue RefundingBondfinancingplanwhenthebondswereissued. 9.Thetransferof$524,590.00intothe2008SewerRefundingBondFundisforthe SanitarySewerAccessFund’sshareofthe2011bondpaymentbasedonthedebt retirementschedule. 10.ThetransferintotheI-94/CSAH18InterchangeFundfromtheGeneralFundis basedonthebalanceofunassignedfundbalanceintheGeneralFundandtheneed topayofftheshortageoffundsfortheconstructionoftheinterchangeatCSAH 18.ThisisatransferofexcessfundsintheGeneralFundtotheconstructionfund basedontheCity’sfundbalancepolicy. 11.ThefinaltransferisalsototheI-94/CSAH18InterchangeFundformtheDMV Fund.TheCity’snewfundbalancepolicystatesthatwhentheDMVFundhasa fundbalanceof$250,000ormore,50%ofprofitswillbetransferredtofundother projectsorneedsoftheCity.Similartotransfer#10,thistransferreducesthe deficitintheconstructionfundfortheinterchange. Theinterchangefundhadadeficitof$2,653,216.59beforetheselasttwo transfers.Therewillstillbeadeficitof$1,980,716.59,whichtheCitywillneed tocontinuetofindfundingsourcesinthefuturetoeliminatethedeficitbalance. Thesearethe2011operatingtransfersproposedbystafftofundCityoperationsandto fundfuturepurchases,projectsortoreducefunddeficits. A1.BudgetImpact:Asnoted,someofthetransferswereincludedinthe2011 budget,whileothertransfersareneededtofundCityconstructionprojects. Finallysometransfersweremadetobetteraccountforfutureexpenditures, financefutureprojectsorreducefunddeficits. A2.StaffWorkloadImpact:Therearenostaffworkloadimpactsforthesetransfers. B.ALTERNATIVEACTIONS: 1.Motiontoapprovethe2011operatingtransfersaslisted. 2.Motiontoapprovesomevariationofthe2011operatingtransfers. CityCouncilAgenda:02/13/12 3 3.Motiontodenythe2011operatingtransfers. C.STAFFRECOMMENDATION: CitystaffrecommendsAlternative#1,toapprovethe2011operatingtransfersaslisted. D.SUPPORTINGDATA: Listof2011operatingtransfers BudgetedOperatingTransfers TransfersInTransferOut Fund#Fund Amount Fund#Fund Amount #1 400 ConstructionFund 75,000.00 217 DMVFund 75,000.00 #2 400 ConstructionFund 78,383.00 101 GeneralFund-ParkImp.78,383.00 #3 229 Park/PathwayDedicationFund 173,832.81 300 ConsolidatedBondFund 173,832.81 #4 212 StreetReconstructionFund 250,000.00 609 LiquorFund 250,000.00 212StreetReconstuctionFund42,625.00 #53172010ImprovementBonds185,960.00262SanitarySewerAccessFund78,364.00 263StormSewerAccessFund34,471.00 265 WaterAccessFund 30,500.00 212StreetReconstructionFund149,950.27 601WaterOperatingFund144,718.00 #6400ConstructionFund1,515,756.35602SewerOperatingFund318,937.00 262SanitarySewerAccessFund29,806.73 263StormSewerAccessFund147,284.00 245StreetLightImprovementFund273,060.35 300 ConsolidatedBondFund 452,000.00 213EDAFund316,279.00 #73122005AG.O.BondFund1,593,630.00262SanitarySewerAccessFund706,249.00 263StormSewerAccessFund261,299.00 265 WaterAccessFund 309,803.00 #8 314 2008RevenueRefundingBond 815,000.00 226 CommunityCenterFund 815,000.00 #9 315 2008SewerRefundingBond 524,590.00 262 SanitarySewerAccessFund 524,590.00 #10 486 I-94/CSAH18InterchangeFund 650,000.00 101 GeneralFund 650,000.00 #11 486 I-94/CSAH18InterchangeFund 22,500.00 217 DMVFund 22,500.00 TotalTransfersIn5,884,652.16TotalTransfersOut5,884,652.16 CityCouncilAgenda:02/13/12 1 5G.Considerationofapprovingrenewalofapawnshoplicensefor2012forMichael HelmdbaMonticelloPawn,GunandBargainCenterat1219SouthHighway25 (TK/CS) A.REFERENCEANDBACKGROUND: InNovemberof2007,theCityapprovedapawnshoplicenseforMichaelHelmdoing businessasMonticelloPawn,GunandBargainCenter.AtthattimetheCityalso approvedanoff-sitestoragefacilityat12081-165th StreetinBecker.Theannuallicense wasrenewedinsubsequentyears,afteraddressingsomeissuespriortorenewal.For example,in2010,thereweretwoissuesthatstafffeltneededtobeaddressedbefore recommendingapprovalofthelicenserenewal.Thefirstwasanoutstandinginvoicefor billabletransactionsandtheotherrelatedtosignsontheproperty.Bothoftheseitems weretakencareofaftercontactsfromcitystaff. In2011,therecontinuedtobeissueswithnonpaymentofmonthlyinvoicesresultingina largedelinquencybytheendoftheyear.Citystaffreviewedseveralareasrelatedtothe pawnshopbusinessandaddressedtheseitems. TheCityordinancerelatingtoPawnShopswasupdatedwithsomechangesto matchstatelawsandapprovedbyCouncilonJanuary23rd.AtMikeHelm’s request,DeputyClerkCathyShumanplanstomeetwithhimonFebruary10th to reviewthechanges. CitystafffollowedupwithMikeHelmand,aspartoftherenewalprocess,hehas providedtheCitywithapawnshopapplication,copyofhisfederalfirearms dealerlicense,anda$5000bondfor2012. CityFinanceDirectorTomKellysentaletteronDecember28,2011outlining conditionsforrenewalincludingdelinquentinvoicestotaling$2,221.68,witha requirementforhimtobringpaymentsuptodateinordertocontinuedoing businessafterMarch1,2012.Mr.Helmcompliedwithapaymentattheendof Januarythatcoveredthedelinquencyexceptfor$44.81.Healsoarrangedtohave paymentsmadeautomaticallystartingwiththe2012invoices.Anyoutstanding balanceswillbepaidpriortoFebruary26th usingtheautopayauthorization. TheordinanceandapplicationformcallsforverificationbytheWrightCountySheriff’s Departmentforanyissuesrelatedtotheoperationofthebusinessthatmightimpactthe renewalofthelicense.InDecember,theSheriff’sDepartmentverballyreportedno issueswiththepawnshop.Staffhassentthemtheapplicationforverificationand signature. TheCitywillbeprovidingtheMonticelloPawnShopwithaphysicallicenseafterthe renewalisapprovedandconditionsaremet.Thelicenseshouldbedisplayedattheshop inavisiblelocationasisrecommendedunderstatelaw. A1.BudgetImpact:None CityCouncilAgenda:02/13/12 2 A2.StaffWorkloadImpact:Staffspenttimeupdatingourcityordinance, researchingstatepawnbrokerlaws,andpreparinganewapplicationformthat shouldcreateaneasierrenewalprocessinthefuture.Staffhasbeenincontact withMikeHelm,ownerofMonticelloPawn,GunandBargainCenter,to reconcilehisdelinquentaccountsandbringhisoperationuptodatewithstatelaw andcityordinance. B.ALTERNATIVEACTIONS: 1.Motiontoapprovetherenewalofanannual2012pawnshoplicenseforMichael HelmdbaasMonticelloPawn,GunandBargainCenterlocatedat1219TH25, contingentonthefollowingconditionsbeingmet. a.Applicantcompletesandsubmitstherequiredapplicationform,alongwith acopyoffederalfirearmsdealerpermit.[received] b.Applicantpaystheremainingbalanceofthedelinquentinvoicesowedto theCity,andsuccessfullyimplementstheautomaticpaymentof outstandingbalancesinFebruary. c.TheWrightCountySheriff’sDepartmentsignsoffontheapplicationwith nofindingsofviolationsofthecityordinanceorstatelawinregardto operationofthepawnshop. 2.MotiontodenythepawnshoplicenseforMonticelloPawn,GunandBargain Centeratthistime. C.STAFFRECOMMENDATION: StaffrecommendsAlternative#1toapprovetherenewaloftheMonticelloPawn,Gun andBargainCenterat1219TH25licensefortheyear2012,contingentonallconditions beingmetpriortoMarch1,2012. D.SUPPORTINGDATA: CopyofPawnShopApplicationforMonticelloPawn,GunandBargainCenter CopyoflettertoMr.MikeHelm–12/28/11 PawnShopOrdinance3-15 MONTICELLO CITY ORDINANCE TITLE III / Chapter 15 / Page 1 CHAPTER 15 PAWN SHOPS SECTION: 3-15-1 Purpose 3-15-2 Definitions 3-15-3 License Required 3-15-4 Application Required 3-15-5 License Fees 3-15-6 Bond Required 3-15-7 Persons Ineligible for License 3-15-8 Records Required 3-15-9 Application Execution 3-15-10 Daily Reports to Police 3-15-11 Receipt Required 3-15-12 Redemption Period 3-15-13 Holding Period 3-15-14 Police Order to Hold Property 3-15-15 Inspection of Items 3-15-16 Label Required 3-15-17 Prohibited Acts 3-15-18 Denial, Suspension or Revocation 3-15-19 Business at Only One Place 3-15-20 Separability 3-15-1: PURPOSE. The city council finds that use of services provided by pawnbrokers provides an opportunity for the commission of crimes and their concealment because pawn businesses have the ability to receive and transfer property stolen by others easily and quickly. The city council also finds that consumer protection regulation is warranted in transactions involving pawnbrokers. The city council further finds that the pawn industry has outgrown the city's current ability to effectively or efficiently identify criminal activity related to pawn shops. The purpose of this chapter is to prevent pawn businesses from being used as facilities for the commission of crimes, and to assure that such businesses comply with basic consumer protection standards, thereby protecting the public health, safety, and general welfare of the citizens of the city. To help local law enforcement better regulate current and future pawn businesses, decrease and stabilize costs associated with the regulation of the pawn industry, and increase identification of criminal activities in the pawn industry through the timely collection and sharing of pawn transaction information, this chapter also implements and establishes the required use of the Automated Pawn System (APS). 3-15-2: DEFINITIONS. When used in this article, the following words shall mean: MONTICELLO CITY ORDINANCE TITLE III / Chapter 15 / Page 2 Pawnbroker. A person, partnership or corporation, who lends money on the security of pledged goods (items that are “left in pawn”), and/or purchases goods on the condition that they may be redeemed or repurchased by the seller for a fixed price, within a fixed period of time. To the extent that a pawnbroker' s business includes buying personal property previously used, rented or leased, or selling it on consignment, the provisions of this chapter shall be applicable. (#542, 1/9/12) Reportable transaction. Every transaction conducted by a pawnbroker in which merchandise is received through a pawn, purchase, consignment or trade, or in which a pawn is renewed, extended or redeemed, or for which a unique transaction number or identifier is generated by their point-of-sale software, is reportable except: (1) The bulk purchase or consignment of new or used merchandise from a merchant, manufacturer or wholesaler having an established permanent place of business, and the retail sale of said merchandise, provided the pawnbroker must maintain a record of such purchase or consignment which describes each item, and must mark each item in a manner which relates it to that transaction record. (2) Retail and wholesale sales of merchandise originally received by pawn or purchase, and for which all applicable hold and/or redemption periods have expired. Billable transaction. Every reportable transaction conducted by a pawnbroker except renewals, redemptions or extensions of existing pawns on items previously reported and continuously in the licensee's possession is a billable transaction. 3-15-3: LICENSE REQUIRED. No person shall engage in the business of pawnbroker at any location without a pawnbroker license for that location. No pawnbroker license may be transferred to a different location or a different person. Issuance of a license under this chapter shall not relieve the licensee from obtaining any other licenses required to conduct business at the same or any other location. 3-15-4: APPLICATION REQUIRED. An application form provided by the city clerk must be completed by every applicant for a new license or for renewal of an existing license. Every new applicant must provide all the following information: (1) If the applicant is a sole proprietor: a. The name, place and date of birth, street resident address, and phone number of applicant. b. Whether the applicant is a citizen of the United States or resident alien. MONTICELLO CITY ORDINANCE TITLE III / Chapter 15 / Page 3 c. Whether the applicant has ever used or has been known by a name other than the applicant's name, and if so, the name or names used and information concerning dates and places used. d. The name of the business if it is to be conducted under a designation, name, or style other than the name of the applicant and a certified copy of the certificate as required by Minnesota Statutes, Section 333.01. e. The street address at which the applicant has lived during the preceding five (5) years. f. The type, name and location of every business or occupation in which the applicant has been engaged during the preceding five (5) years and the name(s) and address(es) of the applicant's employer(s) and partner(s), if any, for the preceding five (5) years. g. Whether the applicant has ever been convicted of a felony, crime, or violation of any ordinance other than a traffic ordinance. If so, the applicant must furnish information as to the time, place, and offense of all such convictions. h. If the applicant does not manage the business, the name of the manager(s) or other person(s) in charge of the business and all information concerning each of them required in a. through g. of Subdivision (1) of this section. (2) If the applicant is a partnership: a. The name(s) and address(es) of all general and limited partners and all information concerning each general partner required in subdivision (1) of this section. b. The name(s) of the managing partner(s) and the interest of each partner in the licensed business. c. A true copy of the partnership agreement shall be submitted with the application. If the partnership is required to file a certificate as to a trade name pursuant to Minnesota Statutes, Section 333.01, a certified copy of such certificate must be attached to the application. (3) If the applicant is a corporation or other organization: a. The name of the corporation or business form, and if incorporated, the State of Incorporation. MONTICELLO CITY ORDINANCE TITLE III / Chapter 15 / Page 4 b. A true copy of the Certificate of Incorporation, Articles of Incorporation or Association Agreement, and By-laws shall be attached to the application. If the applicant is a foreign corporation, a Certificate of Authority as required by Minnesota Statutes, Section 303.06, must be attached. c. The name of the manager(s) or other person(s) in charge of the business and all information concerning each manager, proprietor, or agent required in a. through g. of Subdivision (1) of this section. (4) For all applicants: a. Whether the applicant holds a current pawnbroker, precious metal dealer or secondhand goods dealer license from any other governmental unit. b. Whether the applicant has previously been denied, or had revoked or suspended, a pawnbroker precious metal dealer, or secondhand dealer license from any other governmental unit. c. The location of the business premises. d. Such other information as the city council or issuing authority may require. 3-15-5: APPLICATION EXECUTION. All applications for a license under this chapter must be signed and sworn to under oath or affirmation by the applicant. If the application is that of a sole proprietor, it must be signed and sworn to by such person; if that of a corporation, by an officer thereof; if that of a partnership, by one of the general partners; and if that of an unincorporated association, by the manager or managing officer thereof. Any falsification on a license application shall result in the denial of a license. 3-15-6: PERSONS INELIGIBLE FOR A LICENSE. No license under this chapter will be issued to an applicant who is a sole proprietor, a partnership if such applicant has any general partner or managing partner, a corporation or other organization if such applicant has any manager, proprietor or agent in charge of the business to be licensed, if the applicant: (1) Is a minor at the time that the application is filed; (2) Has been convicted of any crime directly related to the occupation licensed as prescribed by Minnesota Statutes, Section 364.03, Subd. 2, and has not shown competent evidence of sufficient rehabilitation and present fitness to perform the duties of a licensee under this chapter as prescribed by MONTICELLO CITY ORDINANCE TITLE III / Chapter 15 / Page 5 Minnesota Statutes, Section 364.03, Subd. 3; or (3) Is not of good moral character or repute. 3-15-7: LICENSE FEES. (A) The annual license fees for licenses issued under this chapter shall be as adopted by the City Council. (#357, 11/27/00) (B) The billable transaction license fee shall reflect the cost of processing transactions and other related regulatory expenses as determined by the city council, and shall be reviewed and adjusted, periodically. Licensees shall be notified in writing thirty (30) days before any adjustment is implemented. (#542, 1/9/12) (C) Billable transaction fees shall be billed monthly and are due and payable within thirty (30) days. Failure to do so is a violation of this chapter. 3-15-8: BOND REQUIRED. Before a license will be issued, every applicant must submit a five thousand dollar ($5,000.00) bond on the forms provided by the licensing authority. All bonds must be conditioned that the principal will observe all laws in relation to pawnbrokers, and will conduct business in conformity thereto, and that the principal will account for and deliver to any person legally entitled any goods which have come into the principal's hand through the principal's business as a pawnbroker, or in lieu thereof, will pay the reasonable value in money to the person. The bond shall contain a provision that no bond may be canceled except upon thirty (30) days written notice to the city, which shall be served upon the licensing authority. 3-15-9: RECORDS REQUIRED. At the time of any reportable transaction other than renewals, extensions or redemptions, every licensee must immediately record in English the following information by using ink or other indelible medium on forms or in a computerized record approved by local law enforcement. 1. A complete and accurate description of each item including, but not limited to, any trademark, identification number, serial number, model number, brand name, or other identifying mark on such an item. 2. The purchase price, amount of money loaned upon, or pledged therefore. 3. The maturity date of the transaction and the amount due, including monthly and annual interest rates and all pawn fees and charges. 4. Date, time and place the item of property was received by the licensee, and the unique alpha and/or numeric transaction identifier that distinguishes it from all other transactions in the licensee's records. MONTICELLO CITY ORDINANCE TITLE III / Chapter 15 / Page 6 5. Full name, current residence address, current residence telephone number, date of birth and accurate description of the person from whom the item of property was received, including: sex, height, weight, race, color of eyes and color of hair. 6. The identification number and state of issue from any of the following forms of identification of the seller: a. Current valid Minnesota driver's license. b. Current valid Minnesota identification card. c. Current valid photo identification card issued by another state or province of Canada. 7. The signature of the person identified in the transaction. 8. Effective sixty (60) days from the date of notification by local law enforcement of acceptable video standards the licensee must also take a color photograph or color video recording of: a. Each customer involved in a billable transaction. b. Every item pawned or sold that does not have an unique serial or identification number permanently engraved or affixed. If a photograph is taken, it must be at least two (2) inches in length by two (2) inches in width and must be maintained in such a manner that the photograph can be readily matched and correlated with all other records of the transaction to which they relate. Such photographs must be available to the chief of police or the chief's designee, upon request. The major portion of the photograph must include an identifiable front facial close-up of the person who pawned or sold the item. Items photographed must be accurately depicted. The licensee must inform the person that he or she is being photographed by displaying a sign of sufficient size in a conspicuous place in the premises. If a video photograph is taken, the video camera must zoom in on the person pawning or selling the item so as to include an identifiable close-up of that person's face. Items photographed by video must be accurately depicted. Video photographs must be electronically referenced by time and date so they can be readily matched and correlated with all other records of the transaction to which they relate. The licensee must inform the person orally that he or she is being videotaped and by displaying a sign of sufficient size in a conspicuous place on the premises. The licensee must keep the exposed videotape for three (3) months. MONTICELLO CITY ORDINANCE TITLE III / Chapter 15 / Page 7 9. Digitized photographs. Effective sixty (60) days from the date of notification by local law enforcement, licensees must fulfill the color photograph requirements in subdivision (8) by submitting them as digital images, in a format specified by the issuing authority, electronically cross-referenced to the reportable transaction they are associated with. Notwithstanding the digital images may be captured from required video recordings, this provision does not alter or amend the requirements in subdivision (8). 10. Renewals, extensions and redemptions. For renewals, extensions and redemptions, the licensee shall provide the original transaction identifier, the date of the current transaction and the type of transaction. 11. Inspection of records. The records must at all reasonable times be open to inspection by local law enforcement or state regulatory agencies. Data entries shall be retained for at least three (3) years from the date of transaction. Entries of required digital images shall be retained a minimum of ninety (90) days. 3-15-10: DAILY REPORTS TO POLICE. (A) Effective no later than sixty (60) days after local law enforcement provides licensees with computerized record standards, licensees must submit every reportable transaction to local law enforcement daily in the following manner: Licensees must provide to local law enforcement all information required in Section 3-15-9 RECORDS REQUIRED, Subdivision (1) through (6) and other required information by transferring it from their computer to the Automated Pawn System via modem. All required records must be transmitted completely and accurately after the close of business each day in accordance with standards and procedures established by the issuing authority. The licensee must display a sign of sufficient size, in a conspicuous place in the premises, which informs all patrons that all transactions are reported to local law enforcement daily. (B) Billable transactions fees. Licensees will be charged for each billable transaction reported to local law enforcement. 1. If a licensee is unable to successfully transfer the required reports by modem, the licensee must provide local law enforcement printed copies of all reportable transactions along with the video tape(s) for that date by 12:00 the next business day. 2. If the problem is determined to be in the licensee's system and is not corrected by the close of the first business day following the failure, MONTICELLO CITY ORDINANCE TITLE III / Chapter 15 / Page 8 the licensee must provide the required reports as detailed in subdivision (B) (1), and must be charged a fifty dollar ($50.00) reporting failure penalty, daily, until the error is corrected, or: 3. If the problem is determined to be outside the licensee's system, the licensee must provide the required reports in subdivision (B) (1) and resubmit all such transactions via modem when the error is corrected. 4. If a licensee is unable to capture, digitize or transmit the photographs required in Section 3-15-9 RECORDS REQUIRED, Subdivision (9), the licensee must immediately take all required photographs with a still camera, cross-reference the photographs to the correct transaction, and make the pictures available to local law enforcement upon request. 5. Regardless of the cause or origin of the technical problems that prevented the licensee from uploading their reportable transactions, upon correction of the problem, the licensee shall upload every reportable transaction from every business day the problem had existed. 6. Subdivision (B) (1) through (3) notwithstanding, local law enforcement may, upon presentation of extenuating circumstances, delay the implementation of the daily reporting penalty. 3-15-11: RECEIPT REQUIRED. Every licensee must provide a receipt to the party identified in every reportable transaction and must maintain a duplicate of that receipt for three (3) years. The receipt must include at least the following information: 1. The name, address and telephone number of the licensed business. 2. The date and time the item was received by the licensee. 3. Whether the item was pawned or sold or the nature of the transaction. 4. An accurate description of each item received including, but not limited to, any trademark, identification number, serial number, model number, brand name or other identifying mark on such an item. 5. The signature or unique identifier of the licensee or employee that conducted the transaction. 6. The amount advanced or paid. MONTICELLO CITY ORDINANCE TITLE III / Chapter 15 / Page 9 7. The monthly and annual interest rates, including all pawn fees and charges. 8. The last regular day of business by which the item must be redeemed by the pledger without risk that the item will be sold, and the amount necessary to redeem the pawned item on that date. 9. The full name, current residence address, current residence telephone number and date of birth of the pledger or seller. 10. The identification number and state of issue from any of the following forms of identification of the seller: a. Current valid Minnesota driver's license. b. Current valid Minnesota identification card. c. Current valid photo driver's license or identification card issued by another state or province of Canada. 11. Description of the pledger or seller including sex, approximate height, weight, race, color of eyes and color of hair. 12. The signature of the pledger or seller. 13. All printed statements as required by state statute 325J.04 subdivision 2, or any other applicable statutes. 3-15-12: REDEMPTION PERIOD. (A) Any person pledging, pawning or depositing an item for security must have a minimum of sixty (60) days from the date of that transaction to redeem the item before it may be forfeited and sold. During the holding period, items may not be removed from the licensed location except as provided in Section 3-15-19 BUSINESS AT ONLY ONE PLACE. Licensees are prohibited from redeeming any item to anyone other than the person to whom the receipt was issued or, to any person identified in a written and notarized authorization to redeem the property identified in the receipt, or to a person identified in writing by the pledger at the time of the initial transaction and signed by the pledger, or with approval of the police license inspector. Written authorization for release of property to persons other than original pledger must be maintained along with original transaction record in accordance with Section 3-15-9 RECORDS REQUIRED, Subdivision (10). (B) Pawnbroker must return goods, or provide compensation for lost or damaged goods, upon payment of the full amount due, unless: MONTICELLO CITY ORDINANCE TITLE III / Chapter 15 / Page 10 1. The 60-day redemption period has expired, or 2. The goods have been taken into custody by a court or by a law enforcement officer or agency. (#542, 1/9/12) 3-15-13: HOLDING PERIOD ON TRADE ITEMS. Any item purchased or accepted in trade by a licensee, but not involved in a pawn transaction, must not be sold or otherwise transferred for thirty-one (31) days from the date of the transaction. An individual may redeem an item at any time during the holding period. (#542, 1/9/12) 3-15-14: COURT OR POLICE ORDER TO HOLD/CONFISCATE PROPERTY. Whenever a law enforcement official from any agency notifies a licensee not to sell an item, the item must not be sold or removed from the premises. This initial or investigative hold shall be confirmed in writing within seventy-two hours and remains in effect for fifteen (15) days from the date of initial notification. Local law enforcement may, in writing, extend an investigative hold or independently order an item held for up to ninety (90) days, or order the confiscation of an item identified as stole or evidence in a criminal case. (#542, 1/9/12) 3-15-15: INSPECTION OF ITEMS. At all times during the terms of the license, the licensee must allow law enforcement officials to enter the premises where the licensed business is located, including all off-site storage facilities as authorized in Section 3-15-19 BUSINESS AT ONLY ONE PLACE, during normal business hours, except in an emergency for the purpose of inspecting such premises and inspecting the items, ware and merchandise and records therein to verify compliance with this chapter and other applicable laws. 3-15-16: LABEL REQUIRED. Licensee must attach a label to every item at the time it is pawned, purchased or received in inventory from any reportable transaction. Permanently recorded on this label must be the number or name that identifies the transaction in the shop's records, the transaction date, the name of the item and the description or the model and serial number of the item as reported to local law enforcement whichever is applicable and the date the item is out of pawn or can be sold, if applicable. Labels shall not be re-used. 3-15-17: PROHIBITED ACTS. (A) No person under the age of eighteen (18) years may pawn or sell or attempt to pawn or sell goods with any licensee, nor may any licensee receive any goods from a person under the age of eighteen (18) years. (B) No licensee may receive any goods from a person of unsound mind or an MONTICELLO CITY ORDINANCE TITLE III / Chapter 15 / Page 11 intoxicated person. (C) No licensee may receive any goods, unless the seller presents identification in the form of a valid driver's license, a valid State of Minnesota identification card, or current valid photo driver's license or identification card issued by the state of residency of the person from whom the item was received. (D) No licensee may receive any item of property that possesses an altered or obliterated serial number or operation identification number or any item of property that has had its serial number removed. (E) No person may pawn, pledge, sell, consign, leave, or deposit any article of property not their own; nor shall any person pawn, pledge, sell, consign, leave, or deposit the property of another, whether with permission or without; nor shall any person pawn, pledge, sell, consign, leave, or deposit any article of property in which another person has a security interest; with any licensee. (F) No person seeking to pawn, pledge, sell, consign, leave, or deposit any article of property with any licensee shall give a false or fictitious name, nor give a false date of birth; nor give a false or out of date address of residence or telephone number; nor present a false or altered identification, or the identification of another; to any licensee. 3-15-18: DENIAL, SUSPENSION OR REVOCATION. Any license under this chapter may be denied, suspended or revoked for one or more of the following reasons: 1. The proposed use does not comply with any applicable zoning code. 2. The proposed use does not comply with any health, building, building maintenance or other provisions of this Code of Ordinances or state law. 3. The applicant or licensee has failed to comply with one or more provisions of this chapter. 4. The applicant is not a citizen of the United States or a resident alien, or upon whom it is impractical or impossible to conduct a background or financial investigation due to the unavailability of information. 5. Fraud, misrepresentation or bribery in securing or renewing a license. 6. Fraud, misrepresentation or false statements made in the application and investigation for, or in the course of, the applicant's business. 7. Violation within the preceding five (5) years, of any law relating to theft, MONTICELLO CITY ORDINANCE TITLE III / Chapter 15 / Page 12 damage or trespass to property, sale of a controlled substance, or operation of a business. 8. The owner of the premises licensed or to be licensed would not qualify for a license under the terms of this chapter. 3-15-19: BUSINESS AT ONLY ONE PLACE. A license under this chapter authorizes the licensee to carry on its business only at the permanent place of business designated in the license. However, upon written request, the police inspector may approve an off-site locked and secured storage facility. The licensee shall permit inspection of the facility in accordance with Section 3-15-15 INSPECTION OF ITEMS. All provisions of this chapter regarding record keeping and reporting apply to the facility and its contents. Property shall be stored in compliance with all provisions of the city code. The licensee must either own the building in which the business is conducted, and any approved off-site storage facility, or have a lease on the business premise that extends for more than six (6) months. 3-15-20: SEPARABILITY. Should any section, subsection, clause or other provision of this chapter be declared by a court of competent jurisdiction to be invalid, such decision shall not affect the validity of the ordinance as a whole or any part other than the part so declared invalid. (#356, 10/10/00) (#542, 1/9/12) CityCouncilAgenda:02/13/12 1 5H.ConsiderationofadoptingResolution#2012-015accepting2008haildamagerepairs completedonCitypropertiesbyDayleVechesConstructionandapprovingfinal payment (BP) A.REFERENCEANDBACKGROUND: CouncilisrequestedtoconsideradoptingResolution#2012-015inregardtoaccepting 2008haildamagerepairsthatwerecompletedonCitypropertiesbyDayleVeches Construction.Therepairswereforadditionallyidentifieddamageitemsfromthe2008 hailstormthathadnotbeenrecognizedontheoriginalinsuranceclaim.CityCouncilhad approvedstafftomoveforwardwiththerepairswhichwereentirelypaidbytheLeague ofMinnesotaCitiesInsuranceTrust(LMCIT). ReviewedandselectedbyCouncilwasDaleVechesConstructionInc.(DVCI)asthey werethelocalcontractorwiththelowestquoteoftheapplicantsthatresponded.DVCI usedlocalsubcontractorsandpurchasedlocallytocompletetherepairs.Thecontract statedcompletionofallitemsbyFebruary1,2012andthatgoalwasmet. Theconsultantinitiallyassignedhadbeenunresponsivetodialog,socitystaffmoved forwardwithouttheconsultant.DVCIobtainedbuildingpermitsandscheduled inspectionswithourBuildingDepartment.TheLMCITauthorizedandissuedpayment totheCityfortheapprovedrepairs. TheonlyoutstandingitemthathasnotbeenrepairedistheoldRiverCityLanesproperty at101ChelseaRoad.RepairsonthisbuildingwereheldoffpendingtheQuarryChurch projectwhichapparentlyismovingtoanotherlocation.Sincethebuildingmaybe demolishedatsometimeinthefutureandbasedonpreviousCouncildirection,no collectionofsettlementrevenueorrepairisproposedatthistime.However,intheevent thebuildingissoldforre-use,itispossiblethataportionofthecostforsidingrepairs couldberecoveredatthattime. A1.BudgetImpact:Theexpensesforthisprojectwereentirelypaidbyinsurance LMCTClaim#11064760. A2.StaffWorkloadImpact:BuildingDepartmentstaffhadtimeinvolvedbuttime wascoveredbybuildingpermitfeescollected. B.ALTERNATIVEACTIONS: 1.MotiontoadoptResolution#2012-015accepting2008haildamagerepairs completedonCitypropertiesbyDayleVechesConstructionandapprovingfinal payment. 2.MotiontodenyadoptionofResolution#2012-015atthistime. CityCouncilAgenda:02/13/12 2 C.STAFFRECOMMENDATION: CitystaffrecommendsapprovingAlternative#1accepting2008haildamagerepairs completedonCitypropertiesbyDayleVechesConstructionandapprovingfinal payment. D.SUPPORTINGDATA: Resolution#2012-015 FinalInvoicefromDayleVechesConstruction Contractfor2008HailDamageRepairs CITYOFMONTICELLO WRIGHTCOUNTY,MINNESOTA RESOLUTIONNO.2012-015 ACCEPTINGIMPROVEMENTSFOR2008HAILDAMAGEREPAIRSTOCITY BUILDINGSANDAPPROVINGFINALPAYMENT WHEREAS,pursuanttoawrittencontractwiththeCityofMonticelloawardedtoDayleVeches Construction,Inc.ofMonticello,Minnesota,thecontractorhassatisfactorilycompletedthework forthehaildamagerepairworkonMonticellocitybuildingsinaccordancewiththecontract; NOWTHEREFORE,BEITRESOLVEDBYTHECITYOFMONTICELLO,MINESOTA thattheworkcompletedundersaidcontractisherebyacceptedandapprovedandthattheMayor andCityClerkareherebydirectedtoissueaproperorderforthefinalpaymentonsuchcontract subjecttoreceiptofthefollowing: 1)FinalinvoiceandcompletedW-9; 2)SatisfactoryshowingthatthecontractorhascompliedwiththeprovisionsofMinnesota Statutes290.92requiringwithholdingofstateincometax(IC134); 3)Lienreleasesshowingsubcontractorshavebeenpaid. ADOPTEDBY theMonticelloCityCouncilthis13thdayofFebruary,2012. CITYOFMONTICELLO ___________________________ ClintHerbst,Mayor ATTEST: ___________________________ JeffO’Neill,CityAdministrator CityCouncilAgenda:2/13/12 1 5I.ConsiderationofcontinuingtheBusinessExpansionIncentiveProgramfor2012 (MB) A.REFERENCEANDBACKGROUND: TheCityCouncilauthorizedtheBusinessExpansionandIncentiveprogramin2010and againin2011.Theapprovedprogramallowedforapplicantstoreceiveuptoa$5,000 dollarwaiverinbuildingpermitplanreview,planning,anddemolitionpermitfees.The waivedfeesarepaidfromLiquorStoreFunds.TheCityCouncilisbeingaskedto continuetheprogramuntiltheseedmoneyisutilized. Asyoumayrecall,theCityCouncilallocated$30,000ofLiquorStoreFundstothe BusinessExpansionIncentiveProgram.Sincetheinceptionoftheprogram,theCityhas hadsixapplicationsequatingto$17,617.43dollarsoffeeswaived.Monticello experiencedseveralbusinessexpansionsin2011including:AroplaxCorporation, LandmarkSquare,MonticelloPetHospital,NAPA,andSuburbanManufacturing.The remainingavailablefundsare$12,382.57. Staffaskedeachoftherecipientstoevaluatetheeffectivenessoftheprogram. Respondentsstatedthattheywouldhavemovedforwardwiththeirexpansionplans regardlessoftheprogram.However,theprogramwasgreatlyappreciatedandallowed morefundstobedirectedintotheexpansionproject.Additionalarchitecturalbuilding features,equipment,and/orlandscapingwereaddedtoeachexpansionasadirectresult oftheCitywaivingtheplanreviewandplanningfees. A1.BudgetImpact:Thetotalallocationforthepilotprojectwas$30,000,fromthe LiquorStoreFund. Thecurrentprogramfundbalanceis$12,382.57. A2.StaffWorkloadImpact:Staffworkloadrequirementswouldcontinuetoinvolve processingapplicationsanddevelopmentofstaffreportsforCouncilreview. B.ALTERNATIVEACTIONS: 1.MotiontoextendtheBusinessExpansionPilotProgramuntiltheremaining $12,382.57inBusinessExpansionIncentiveProgramdollarshasbeenutilized. 2.MotiontodenyanextensionoftheBusinessExpansionPilotProgram. C.STAFFRECOMMENDATION: StaffrecommendsAlternative#1. CityCouncilAgenda:2/13/12 2 Theprogramhasbeeneffectiveandisgreatlyappreciatedbythebusinesscommunity. FurthermoretheprogramhasprovidedtheabilityforMonticellobusinessestoaddmore valuetotheirexpansionplans. D.SUPPORTINGDATA: None CityCouncilAgenda:02/13/12 1 5J.ConsiderationofadoptingCityofMonticelloStreetSignPolicy (TM) A.REFERENCEANDBACKGROUND: StaffisaskingtheCityCounciltoadopttheattachedCityofMonticelloStreetSign Policy.Thispolicyprovidesclearanddefinitivedirectiontostaffregardingtheproper maintenanceoftheCity’sstreetsignsincluding,butnotlimitedto,whatinformationisto begatheredwheninventoryingstreetsigns,howtoidentifyexcessivesigningfor removal,howtoevaluateminimumretro-reflectivitylevels,signreplacement prioritization,andgeneralon-goingmaintenancestrategies. Retro-reflectivitygenerallydescribestheefficiencyofamaterialtoredirectlightbackto itssource.Retro-reflectivesignmaterialsareengineeredtoredirectmostofthelight backtowardthesource,whichgivessignsandpavementmarkingsabrighterappearance atnightfromthedriver’sperspective.Motoriststhereforeexperiencethebenefitsof retro-reflectivitywhenthelightfromtheirheadlightsshineontrafficsignsandare redirectedbacktowardsthedriver’seyes,makingthelegendonthesigneasiertosee. TheCityofMonticellorecognizesandfollowsthestandardsadoptedintheMinnesota ManualonUniformTrafficControlDevices(MMUTCD)forguidanceonthedesign, installationandmaintenanceofourstreetsigns.In2008theFHWAenactednewlaws mandatingspecificchangestotheMMUTCDthatweredesignedtoimprovethenight- timevisibilityoftrafficsigns.Thismandaterequiredstateandlocalagenciestomeetthe followingrequirementsbythecompliancedatesnoted. January2012:Agenciesmustestablishandimplementasignassessmentor managementmethodtomaintainminimumlevelsofsignretro-reflectivity. January2015:Agenciesmustreplaceregulatory,warning,andground-mounted guidesigns(exceptstreetname)thatareidentifiedusingtheassessmentor managementmethodsasfailingtomeettheestablishedminimumlevelsofsign retro-reflectivity. January2018:Agenciesmustreplacestreetnamesignsandoverheadguide signsthatareidentifiedusingtheassessmentormanagementmethodsasfailingto meettheestablishedminimumlevelsofsignretro-reflectivity. InAugustof2011,thefederalgovernmentannouncedaproposaleliminatingmanyofthe burdensomeregulationsrelatedtostreetsigns.Thisproposalincludesextendingthe January2012compliancedaterelatedtoestablishingandimplementingasign managementmethodtomaintainminimumlevelsofsignretro-reflectivitybytwoyears, aswellaseliminatingtheJanuary2015and2018compliancedatesnotedabove.Asof todaythough,norulinghasbeenmadeonthisproposal;thereforestaffisrequestingthat CounciladopttheattachedStreetSignPolicy. CityCouncilAgenda:02/13/12 2 ItshouldbenotedthatinregardstothecompliancydateofJanuary2012,thisdoesnot meanthatallourstreetsignsmustmeettheminimumlevelofretro-reflectivityatthis time.Rather,itsimplymeansthecitymustestablishtheassessmentormanagement methodtobeusedinmanagingoursigns. TheFHWAhasidentifiedsix(6)acceptablesignassessmentormanagementmethodsfor maintainingminimumlevelsofsignretro-reflectivity.Theseinclude: 1.VisualNighttimeInspection –Theretro-reflectivityofanexistingsignis assessedbyatrainedsigninspectorconductingavisualinspectionfromamoving vehicleduringnighttimeconditions.Signsthatarevisuallyidentifiedbythe inspectortohaveretro-reflectivitybelowtheminimumlevelsshouldbereplaced. 2.MeasuredSignRetro-reflectivity –Retro-reflectivityismeasuredusinga retroreflectometer.Signswithretro-reflectivitybelowtheminimumlevelsshould bereplaced. 3.ExpectedSignLife –Whensignsareinstalled,theinstallationdateislabeledor recordedsothattheageofasignisknown.Theageofthesigniscomparedtothe expectedsignlife.Theexpectedsignlifeisbasedontheexperienceofsignretro- reflectivitydegradationinageographicareacomparedtotheminimumlevels. Signsolderthantheexpectedlifeshouldbereplaced. 4.BlanketReplacement –Allsignsinanarea/corridor,orofagiventype,should bereplacedatspecifiedintervals.Thiseliminatestheneedtoassessretro- reflectivityortrackthelifeofindividualsigns.Thereplacementintervalisbased ontheexpectedsignlife,comparedtotheminimumlevels,fortheshortest-life materialusedontheaffectedsigns. 5.ControlSigns –Replacementofsignsinthefieldisbasedontheperformanceof asampleofcontrolsigns.Thecontrolsignsmightbeasmallsamplelocatedina maintenanceyardorasampleofsignsinthefield.Thecontrolsignsare monitoredtodeterminetheendofretro-reflectivelifefortheassociatedsigns.All fieldsignsrepresentedbythecontrolsampleshouldbereplacedbeforetheretro- reflectivitylevelsofthecontrolsamplereachtheminimumlevels. 6.OtherMethods –Othermethodsdevelopedbasedonengineeringstudiescanbe used. Ofthesesixacceptablemethods,stafffeelsmethod#1willbethemostreasonableand cost-effectiveforthecitytoimplementandmaintain,andisthereforerecommendingthe useofthismethod. Anestimated1,800streetsignsareinstalledthroughouttheCity.Thecosttoreplaceall citystreetsignsisestimatedtobeabout$380,000.Inordertominimizecosts,staffis recommendingthattheCityemploymethod#1usingin-housestaff. CityCouncilAgenda:02/13/12 3 ItshouldbenotedthatWrightCountyisusingmethod#3andplansonreplacingeachof theirsignsatleastonceeveryeleven(11)years.Thisisbasedontheiruseofdiamond grade3(DG3)retro-reflectivesheeting,whichhasthehighestvisibilityratingofallretro- reflectivesheetingtypesandhasaminimumlifeexpectancyof11years. WhenCitystafffirstbecameawareoftheFHWA’sretro-reflectivitymandate,staff beganreplacingstreetsignsonallsubsequentstreetreconstructionprojects.Assuch,all existingregulatoryandwarningsignswerereplacedwithnewsignsonthelastthree projectsgivingusajumpstartonwhatwilllikelybeaverycostlyprocess,assumingof coursethatthecompliancedateslistedabovearenoteliminated,andthatthecitywillbe requiredtoreplacemanyofoursignswithinthenextsixyears. A1.BudgetImpact:Adoptingthispolicywillaffectfuturebudgets.The2011 budgetforstreetsignmaintenancewas$12,000fornormalsignmaintenance. Whenpreparingthe2012budget,$30,000wasoriginallybudgetedtoallowstaff tostartreplacingstreetsignstospreadtheanticipatedreplacementcostsovera threeyearperiodsinceregulatory,warning,andground-mountedguidesigns (exceptstreetname)needtobereplacedby2015.However,duetobudgetcuts, this$30,000wasreducedto$18,000sonotasmanysignscanbereplacedin 2012.Signbudgetsin2013and2014willthereforeneedtobeincreased substantiallytoallowstafftoreplacesignsasneededtocomplywiththeFHWA mandates.Staffestimateswewillneedtoreplaceatleast50%ofourregulatory, warning,andground-mountedguidesigns(exceptstreetname)tocomplywith theFHWA’sminimumretro-reflectivityrequirements.Assuchoursign maintenancebudgetsfor2013and2014couldapproach$100,000foreachyear. A2.StaffWorkloadImpact:Onlyaminimalamountoftimewasspentwritingthe attachedStreetSignPolicy,butalargeamountofstafftimewillberequiredto inventory,evaluate,orderandreplacesignsinthefieldasnecessary. B.ALTERNATIVEACTIONS: 1.MotiontoadopttheCityofMonticelloStreetSignPolicyasattached. 2.MotiontoadopttheCityofMonticelloStreetSignPolicywithrevisionsas directedbyCouncil. 2.MotiontodenyadoptionoftheStreetSignPolicyatthistime. C.STAFFRECOMMENDATION: CitystaffrecommendsCouncilapproveAlternative#1. CityCouncilAgenda:02/13/12 4 D.SUPPORTINGDATA: ProposedCityofMonticelloStreetSignPolicy MONTICELLOSTREETSIGNPOLICY–02/13/2012 PAGE1 CITYOFMONTICELLO STREETSIGNPOLICY [CITYOFMONTICELLOSTREETSIGNINVENTORY,RETRO-REFLECTIVITYCOMPLIANCEEVALUATION&REPLACEMENTPOLICY] ItisthestatedobjectiveoftheCityofMonticelloinWrightCounty,Minnesota,tomaintain itscitystreetsinasafe,cost-effectivemanner.Aspartofitsmaintenanceefforts,theCityof Monticellorecognizesthatregulatory,warning,anddirectionalstreetsigns(commonlyreferred tocollectivelyassafetysigns)including,butnotlimitedto,speedlimitsigns,stopsigns,yield signs,andothersimilartrafficcontroldevices,needtobeproperlyinventoried,assessedfor compliancewithapplicableretro-reflectivitystandards,maintainedandreplacedfromtimeto time.TheCityofMonticellofurtherrecognizesthatwhensignsareinstalledwithinthecity streetright-of-waystheymustcomplywithstateandfederalregulationspertheMinnesota ManualonUniformTrafficControlDevices. Aspartofitseffortstocomplywithapplicableregulations,theCityofMonticelloshallbe guidedbythefollowingplanadoptedinaccordancewithSection2.A.08oftheMinnesota ManualonUniformTrafficControlDevices: 1.INVENTORY:Inrecognitionoftheimportanceofknowingthenumber,typeand locationofstreetsignssituatedincitystreetright-of-ways,itistheintentoftheCityof MonticellotohaveaninventoryofallcitystreetsignscompletedbyJanuary2014.The completedinventoryshallbemaintainedonadatabaseandshallbeupdatedassignsare installed,replacedorremoved,andnotlessthanonanannualbasis.Theinventoryshall indicatethetypeofsign,thenumberofeachtypeofsign,thelocationofeachsign, includingthedirectionthesignfaces,thedateofinstallation(whenknownforpre- existingsigns),typeofmaterialusedonthesignface(whenknown),ageneralstatement ontheconditionofthesign,arecordofanymaintenanceperformedonthesign,andthe dateofsignremovalifapplicable. 2.REMOVALOFEXCESSSIGNS:Inrecognitionofthefactthatexcessstreetsigns havebeenshowntoreducetheeffectivenessofsignageaswellasimposeunnecessary financialburdenonthecitystreetauthority,itshallbethepolicyoftheCityof Monticellotoremovesignsdeterminedtobeunnecessaryforsafetypurposesandwhich arenototherwiserequiredtocomplywithapplicablestateorfederalstatutesor regulations.Theremovalofsignsshallbebasedonanengineeringstudyandasallowed pertheMinnesotaManualonUniformTrafficControlDevices. MONTICELLOSTREETSIGNPOLICY–02/13/2012 PAGE2 3.RETRO-REFLECTIVITYEVALUATION:Inrecognitionofthenewretro- reflectivitystandardsadoptedintheMinnesotaManualonUniformTrafficControl Devices,theCityofMonticelloshallarrangetohaveallcitystreetsignsnotremoved underSection2aboveevaluatedforcompliancewithapplicableretro-reflectivity standards.ItshallbetheintentoftheCityofMonticellotoconductthisevaluationusing theVisualNighttimeInspectionmethodasauthorizedbytheMinnesotaManualon UniformTrafficControlDevices.ItshallbetheintentoftheCityofMonticellotohave thisevaluationcompletedbyApril1,2014.TheMonticelloCityCouncilreservesthe righttochangewhichevaluationmethodwillbeutilizedasexpresslyfoundnecessaryby theCityCouncilduetobudgetaryconstraintsorotherpracticaldifficultiesincompleting thisprocess. 4.SIGNREPLACEMENT:Aftercompletionoftheinventory,removalofunnecessary signs,andproperretro-reflectivityevaluation,theCityofMonticelloherebyestablishes thefollowingpriorityorderinwhichstreetsignswillbereplaced: a.Firstpriorityshallbegiventoreplacingallsignsdeterminednottomeet minimumretro-reflectivitystandards.Toppriorityshallalsobegivento replacingmissingordamagedsignsdeterminedtobeofapriorityforsafety purposes. b.Secondpriorityshallbegiventosignsdeterminedtobemarginalintheirretro- reflectivityevaluation. c.Thirdpriorityshallbegiventoallremainingsignsastheycometotheendoftheir anticipatedservicelife,becomedamaged,etc. 5.ONGOINGMAINTENANCE:TheCityofMonticelloshallincludeageneral inspectionofstreetsignsincitystreetright-of-waysaspartofitsannualstreet inspections.TheCityofMonticelloshallupdateitssigninventoryasprovidedforin Section1.AftertheinitialreplacementofsignsasprovidedforinSection4,theCityof Monticelloshall,forthepurposeofcomplyingwiththerequirementsoftheMinnesota ManualonUniformTrafficControlDevicestomaintainminimumretro-reflectivity standardsandasbudgetaryfactorsallow,replacesignsastheyreachtheendofthelatter oftheir(a)warrantyperiod;(b)expectedlifeexpectancyforthefacingmaterialusedon thesign;or(c)expectedlifeasdeterminedbyanauthorizedengineeringstudy. Damaged,stolenormissingsignsmaybereplacedasneeded. 6.CITYOFMONTICELLOSIGNMANUAL:TheCityofMonticellowillfollowthe mostrecentMinnesotaManualonUniformTrafficControlDevicesastheirofficial manualforallsignageownedandmaintainedbytheCity. MONTICELLOSTREETSIGNPOLICY–02/13/2012 PAGE3 7.SIGNPOLICY:Thepurposeofthetrafficcontroldeviceswillbetonotifystreetusers ofregulations,andprovidewarningandguidanceneededforuniformandefficient operations.Anysignagenotrelatedtotrafficcontrolwillnotbeplacedormaintainedby theCityofMonticello. 8.INSPECTIONOFSIGNSFORMAINTENANCE:Allsignswillbereviewedduring yearlystreetmaintenancetoensurethatallsignsarevisibletothetravelingpublic.All branches,brush,fences,treesandotheritemsthatmayobstructviewsofsignsplaced alongthestreetswillberelocatedorremovedaspractical.Signsthathavebeenknocked downanddamagedwillrequiretheCitytoreplacethedamagedsignwithanewsign afterlocateshavebeencompletedbeforeresettingthenewsign.Atemporarysignwill beplacedinthislocationuntilanewsignandposthavebeeninstalled. 9.ADDRESSINGSIGNCOMPLAINTS:IfaresidentorbusinessownerintheCityof Monticellohasconcernsregardingtheplacementofasign,oriftheyfeelanewsignis needed,theymustaddressthisissuewiththeCityofMonticello. ***************************************************************************** ADOPTEDBY theMonticelloCityCouncilthis13th dayofFebruary,2012. CITYOFMONTICELLO ____________________________________ ClintHerbst,Mayor ATTEST: _______________________________ JeffO’Neill,CityAdministrator CityCouncilAgenda:2/13/12 1 7.ConsiderationofadoptingResolution#2012-016authorizingpreparationof FeasibilityReportfor2012RuralRoadImprovements,CityProjectNo.12C001 (BW/TM) A.REFERENCEANDBACKGROUND: StaffisrequestingCouncilauthorizationtoprepareaFeasibilityReportaddressingrural roadimprovementsproposedfornumerousruralroadswithintheCitylimitsforthe purposeofrehabilitatingtheirdeterioratedpavementsections.Thepavementsectionsof theseruralroadwaysegmentshavedeterioratedtovaryingdegreesovertheyearsand needtobeimprovedtovaryingdegreestoextendtheirusefullife.Somesectionsare proposedtoreceiveatotalreconstruction,whileotherswillonlyneedasimpleoverlay. TheFeasibilityReportwilladdressthelocationandscopeoftheproposedimprovements, estimatedcosts,availablefundingsources,apreliminaryprojectschedule,anda determinationastothenecessity,feasibilityandcost-effectivenessoftheproject.This workhasbeenidentifiedintheCity’s5-yearCapitalImprovementPlan,whichwillneed tobeupdatedbasedonthefindingsoftheFeasibilityReport. Theruralroadsegmentscurrentlyproposedforimprovementsasshownin Figure1, attachedassupportingdata,totalroughly5.3milesinlengthandinclude: 85th StreetNE-900’WestofEdmonsonAvetoTH25 90th StreetNE-ParkPlaceDrivetoCitylimits 95th StreetNE-GillardAvenuetoHaugAvenue 90th StreetNE-HaugAvenuetoCitylimits EdmonsonAvenue-ChelseaRoadtoCitylimits FallonAvenue-SchoolBoulevardto85th StreetNE FenningAvenue-SchoolBoulevardto85th StreetNE GillardAvenue-CSAH39Eto95th StreetNE HaugAvenue-95th StreetNEto90th StNE Staffiscurrentlyproposingtoconstructtheseimprovementsin3phasesovera3-year scheduleasfollows: 2012-85th StreetNE,90th StreetNE,95th StreetNE,EdmonsonAvenue 2013-FallonAvenue,FenningAvenue 2014-GillardAvenueNE,HaugAvenue,90th StreetNE Staffrecentlyratedthepavementsectionsforeachoftheruralroadsegmentsidentified aboveandassignedaPavementConditionIndex(PCI)toeachsegmentusingour PavementManagementProgram(PMP)whichismanagedin-housebystafffromthe EngineeringandStreetDepartments.PCI’sareanumericalindexbetween0and100that indicatetheconditionofapavementbasedonthevariouspavementdistressesrecorded duringvisualobservations.APCIvalueof100representsapavementinbrandnew condition,whileaPCIvalueof0representsapavementsectionthathasfallenintototal disrepairrequiringacompletereconstruction. CityCouncilAgenda:2/13/12 2 ThePMPevaluationprocessinvolvesdividingthepavementsurfaceintosections.The type,extentandseverityofthevariouspavementdistressesnotedwithineachsectionare thenrecorded.Numeroustypesofpavementdistressesmayexistwithinapavement sectionincluding,butnotlimitedto,alligatorcracking,blockcracking,longitudinal cracking,transversecracking,rutting,raveling,shoving,potholesandpatches.Eachtype ofdistressobservedalsoreceivesaratingoflow,mediumorhighseveritybasedonthe extentofthedistressnotedinthefield. OncestaffgathersthefielddataitisthenprocessedusingCarteGraphPMPsoftware, whichthencalculatesanaveragePCIratingforeachsegmentanalyzed.ThisPCIvalue isthenusedbystafftodeterminethemostcost-effectivepavementrehabilitationmethod tobeusedforeachroadsegment. Mostoftheroadsproposedforimprovementswithinthisprojectare“lineroads”as definedwithinourOrderlyAnnexationAgreementwithMonticelloTownship,meaning thecenterlineoftheroadformsthepoliticalboundarybetweentheCityandthe Township.WhentheOrderlyAnnexationAgreementwasadoptedinMayof2005,these lineroadsbecametheCity’ssoleresponsibilitytobothmaintainandimprove.The Townshipisthereforenotrequiredtocontributefundingfortheproposedimprovements, andassuchstaffwillnotberequestingfundsfromtheTownshipfortheseimprovements. However,itisproposedthatapublichearingnoticeontheprojectbesenttobenefitting townshippropertieswhichwillprovidethelatitudetolevyanassessmentagainstthese propertiesatsuchtimethatannexationoccurs.Ifannexationofabenefittingtownship propertyoccurs,itislikelytohappenatthetimethepropertyownerseekstodevelopit forhousing.Underthisscenario,theCitywouldhavetheopportunitytoincorporatethe paymentoftheassessmentintoafuturedevelopmentagreement. Thefourruralroadsproposedforimprovementsin2012wereselectedbecausetheir ratingsshowthatifwewaitanotheryearortwotheymaydeterioratepastthepointwhere asimpleoverlaywouldbefeasible,therebypotentiallyrequiringmorecostlytreatments instead.Attachedassupportingdatais Table1 identifyingthevariousruralroad segmentsandtheirPCIratings,proposedtreatmentmethods,andproposedconstruction phasing. Fortheroadsegmentsidentifiedforimprovementsin2012wewilllikelyusethe followingtworehabilitationmethods: Pavementoverlay-Thismethod,whichwilllikelybeusedon85th,90th and95th Streets,involvesoverlayingtheexistingpavementwitha2”matofnewasphalt. Itshouldbenotedthatbeforetheexistingpavementontheseroadsareoverlaid, theywillfirstreceiveaskinpatchingtreatmenttoaddressspecificareasof pavementdistresswithintheroadwaysurface.Thistypeoftemporarypatching typicallylasts2to3yearsbeforecracksandpotholesarereflectedthroughtothe pavementsurface. CityCouncilAgenda:2/13/12 3 Pavementreclamation-Thismethod,whichwilllikelybeusedonEdmonson Avenue,involvesreclaimingtheexistingpavementsectionincludingboththe asphaltpavementandaggregatebasesections,byusingamillandthenmixingthe milledmaterialstogetherbeforereapplyingthemoverthesubgradeasanew recycledaggregatebasecourse,whichthenreceivesanewasphaltpavement surface. ItshouldbenotedthatGillardAvenuebetweenCSAH39and95th StreetNEisincluded inthisprojectbecauseimprovementsareneededtoaddressongoingmaintenanceissues associatedwiththewestboulevardbetweentheroadandtheadjacentpathwayduetothe veryflatgradesandassociatedstandingwaterthatmakestheboulevardnearlyimpossible tomaintain.Optionsforimprovingthisissueincludeeitherloweringtheroadbyabout 1-footbetween95th StreetNEandRiverForestDriveandaddingcurbandgutteralong oneorbothsidessorunofffromtheboulevardscanbedirectedintothestreet,orraising theroadbyaboutone-halfofafoottoallowrunofffromthestreettodrainacrossthe boulevardandpathwaytotheditchsectionbehindthepathway.Thiswillbeexaminedin theFeasibilityReporttodeterminethecost-effectivenessofbothoptionsandtoexplore impactstopropertiesalongbothsidesofGillardAvenue. Severaloftheroadsegmentsareadjacenttoexistingorproposedpathwaycorridorsand assuchtheFeasibilityReportwilladdresswhetherornottheadjacentpathwaysshould beimprovedatthetimetheadjacentroadwaysurfaceis. Apreliminarycostestimatefortheruralroadimprovementsascurrentlyproposedforall 3phasesisaround$1,500,000.Thisincludescostsforthenecessaryroadwaypavement improvements,aswellasanyassociatedgrading,curbandgutter,driveway,pathway, stormsewer,publicutilities,turfestablishment,mailbox,andsigningandstriping improvements.Thecostestimatesforallimprovementsproposedforthe3phasesof constructionwillbefurtherrefinedwithintheFeasibilityReport. Fundingforthe2012phaseoftheproposedruralroadimprovementswilllikelyincludea mixofsourcesincludingCityrevenuesources,roadreconstructionrevenuecollectedin advanceinconjunctionwithpreviousdevelopments,specialassessments,andgeneral fundsincludingstreetreconstructionfundswhichhaveacurrentbalanceofabout $3,100,000.SpecialassessmentsmaybeproposedfortheEdmonsonAvenue improvements,similartotheassessmentprogramusedforreconstructingFallonAvenue recently.Inaddition,EdmonsonAvenueispartofourMunicipalState-AidSystemso staffwillresearchwhethertheimprovementsproposedforEdmonsonAvenueare eligibleforStateAidfunding. CitystaffwillpreparethemajorityoftheFeasibilityReportin-house,butapproximately 40hoursofWSBstafftimewillbeneededtocompletesoilborings,assistwiththe geotechnicalevaluation,andanalyzecenterlineelevationstoensurethatfutureaccesscan bemadetoadjacentundevelopedpropertiesalongEdmonsonAvenue. CityCouncilAgenda:2/13/12 4 OverthelastseveralyearstheCityhasbenefittedfromthecompetitivebiddingmarket, andprojectsbidin2012shouldagainreceivecompetitivebidsthatmaybe20%ormore below2007bidprices.WhenCouncilhaschosentotakeadvantageoftheselowbid pricesithasbenefittedtheCity’sstreetreconstructionandoverallbudgets. A1.BudgetImpact:Asnotedabove,thepreliminarycostestimateforconstructing improvementsonall3phasesoftheruralroadsidentifiedhereinisabout $1,500,000.The2012budgetincludes$500,000forreconstructingsomeofthe ruralroads,andanyremainingcostswillbefactoredintosubsequentyear’s budgets. Sincebondratesarelowrightnow,staffwilllikelyrecommendusingbondsales tofundtheprojectupfront,withbondpaymentsthenbeingmadefromthe variousfundingsourcesidentifiedabove. A2.StaffWorkloadImpact:StafffromtheEngineeringandPublicWorks Departmentswillspendapproximately80hourspreparingtheFeasibilityReport, andapproximately40hoursofWSB’sstafftime($4,500)willberequiredto completethereport. B.ALTERNATIVEACTIONS: 1.MotiontoadoptResolution#2012-016authorizingpreparationofaFeasibility Reportforthe2012RuralRoadImprovements,CityProjectNo.12C001. 2.MotiontodenyadoptionofResolution#2012-016atthistime. C.STAFFRECOMMENDATION: CitystaffrecommendsapprovingAlternative#1. D.SUPPORTINGDATA: Resolution#2012-016 Figure1–RuralRoadImprovements(2012–2014) Table1–RuralRoadImprovementsData CITYOFMONTICELLO WRIGHTCOUNTY,MINNESOTA RESOLUTIONNO.2012-016 AUTHORIZINGFEASIBILITYREPORTFOR 2012RURALROADIMPROVEMENTS CITYPROJECTNO.12C001 WHEREAS,itisproposedtoimprovetheruralroadsegmentsidentifiedbelowbyrehabilitating thepavementsectionsincludingtheadjustment,construction,overlay,reclamation,removal, and/orrepairofexistingpavement,curbandgutter,sanitarysewer,stormsewer,watersupply systems,adjacentpathways,andothernecessaryappurtenantwork,andtoassessthebenefitting propertiesforalloraportionofthecostoftheimprovements,pursuanttoMinnesotaStatutes, Chapter429. 85th StreetNE-900’WestofEdmonsonAvetoTH25 90th StreetNE-ParkPlaceDrivetoCitylimits 95th StreetNE-GillardAvenuetoHaugAvenue 90th StreetNE-HaugAvenuetoCitylimits EdmonsonAvenue-ChelseaRoadtoCitylimits FallonAvenue-SchoolBoulevardto85th StreetNE FenningAvenue-SchoolBoulevardto85th StreetNE GillardAvenue-CSAH39Eto95th StreetNE HaugAvenue-95th StreetNEto90th StNE NOWTHEREFORE,BEITRESOLVEDBYTHECITYCOUNCILOFMONTICELLO, MINNESOTA:ThattheproposedimprovementbereferredtotheCityEngineerforstudywith assistancefromWSB&Associates,andthattheCityEngineerisinstructedtoreportbacktothe CouncilwithallconvenientspeedadvisingtheCouncilinapreliminarywayastowhetherthe proposedimprovementisnecessary,cost-effective,andfeasible;whetheritshouldbestbemade asproposedorinconnectionwithsomeotherimprovement;andtheestimatedcostofthe improvementasrecommended. ADOPTEDBY theMonticelloCityCouncilthis13th dayofFebruary,2012. CITYOFMONTICELLO ________________________________________ ClintHerbst,Mayor ATTEST: ____________________________________ JeffO’Neill,CityAdministrator CityCouncilAgenda:02/13/12 1 8.ConsiderationofapprovingCitymatchfora2012PhaseIVacquisitionatthe BertramChainofLakesRegionalPark/YMCACampManitou (AS) A.REFERENCEANDBACKGROUND: TheCityCouncilisaskedtoconsiderauthorizingtheuseofCityfundsfora2012 propertyacquisitionattheBertramChainofLakesRegionalPark. ThePhaseIVacquisitionfundingrequestismadeinordertoutilize $833,333in awardedgrantfunds.The2012ParksandTrailsLegacygrantprogramawardedthe project$500,000.Theremaining$333,333wasawardedthroughtheMN EnvironmentandNaturalResourceTrustfund,whichisinturnfundedthroughthe FederalLandandWaterConservationFund(LAWCON).Itshouldbenotedthat thesetwograntsrepresentthesumtotalofgrantfundsavailableinbothgrant programs.Inshort,theBertramprojectreceivedallofthefundingdollarsavailable. ThisisameasureofcommitmentonthepartoftheStatetotheprojectandtothe fundingpartnership. Thegrantsreceivedwerewrittenbasedonpurchaseofparcels9,10,and12,asspecified intheSecondAddendumtotheMOU.Aspartofplanningforfuturegrantapplications andpotentialacquisitions,ShenohanAppraisalServicescompletedanewappraisalin 2011.Theappraisal,authorizedbytheCityCouncilandWrightCountyBoardof Commissioners,lookedatthevaluationoftheentireparkbasedonchangesintheland valuemarket,aswellasthevaluationsofeachremainingindividualparceltobe purchased.Inthatappraisal,parcel10wasvaluedinconjunctionwithparcel12at $1,183,000.Parcel9isworthanestimated$58,000.Together,thethreeparcels identifiedareestimatedtobeworth$1,241,000.Anewappraisalofthesethree parcelsisrequiredbythegrantfundingtoconfirmthesevaluations. TheCity’sshareofthematchfortheproposedacquisitionsis$212,000,which includes$204,000inmatchfundingand$8,000forappraisalandclosingdocuments. TheWrightCountyBoardofCommissionershasalreadyvotedtoapprovethe County’sshareofthematchingfunding. TheareatobeacquiredunderPhaseIVtotalsapproximately140landandwateracres. Parcels9and10includealargeportionofBertramLake.Parcel12liestothesouthof BertramandincludestheareatheYMCAcurrentlyusesforstablingitshorsesduringday campoperations.Theacquisitionofthisacreageputstheregionalparkatalmost640 acres,oroverhalfofthetotalplannedparkarea. Currently,496acresofpropertyisjointlyownedandoperatedbytheCityandCounty andisfullyaccessibletothepublic. Withthe2011PhaseIIIacquisition,theCityandCountyenteredintoaSharedUse AgreementallowingforpublicuseofaboataccessareainexchangeforYMCAuseof on-sitefacilities.WiththeproposedPhaseIVacquisition,theCityandCountywillagain CityCouncilAgenda:02/13/12 2 needtonegotiatewiththeYMCAasrelatedtothefinallocationandbasictermsofuse forarelocatedYMCAdaycampfacility.Aswithpreviousacquisitions,anamended MemorandumofUnderstandingwillalsobecompletedaspartofthePhaseIV acquisitionprocess.Oncedrafted,itwillbepresentedtoCouncilforreviewand approval.Additionally,theaforementionedUseAgreementswillalsobepresentedfor Councilreviewandapproval. A1.BudgetImpact:Thefundingforthispurchaseisproposedtocomefromthe ConsolidatedBondFund.TheConsolidatedBondFundhasacashbalanceof $386,295.87asofDecember31,2011. IftheCouncilchoosestoauthorizetheneeded$212,000infundingfromthe ConsolidatedBondFund,itcouldalsodirecttherepaymentofthosefunds throughfutureparkdedicationfees.TheFinanceDirectorhasnotedthatthe ConsolidatedBondFundexpectstoseeover$2millioninadditionalassessment revenueoverthelifeofassessmentprojectsalreadyonthebooks. A2.StaffWorkloadImpact:IftheCityCouncilauthorizesthematchand acquisition,CitystaffandtheCityAttorneywillworkwithWrightCountyto begindraftingthenecessarypurchaseagreementdocumentationinpreparationfor closing. B.ALTERNATIVEACTIONS: 1.Motiontoapprove 2012ParksandTrailsLegacyandMNEnvironmentand NaturalResourceTrust Fundgrantmatchfundingintheamountof$212,000for a2012acquisitionatBertramChainofLakesRegionalParkinconjunctionwith WrightCountyandtodirectstafftoprepareappropriateclosingandpurchase documentation. 2.Motiontodenygrantmatchfundingfora 2012ParksandTrailsLegacyand MNEnvironmentandNaturalResourceTrust Fundgrantatthistime. C.STAFFRECOMMENDATION: ThePhaseIVacquisitionbringstheCityonestepclosertotherealizationofstatedgoals outlinedinthe2008ComprehensivePlan,theadopted2011ParkandPathwayPlanand theadoptedCapitalImprovementPlan. TheauthorizationtofundthegrantmatchfortheBertramChainofLakesRegionalPark isalsoconsistentwithpreviousCouncilactionsandwiththeprovisionsoftheapproved MemorandumofUnderstandingbetweentheCity,CountyandtheYMCA.Assuch,staff supportsfundingthematchforthisacquisition. CityCouncilAgenda:02/13/12 3 D.SUPPORTINGDATA: ExhibitA:BertramChainofLakesParcelAcquisitionMap ExhibitB:ProposedPhaseIVAcquisitionMap ExhibitC:BertramChainofLakesFundingTable 5A 5 3 6 7 4 9 8 1 2 12 10 11 Wright County Parks Created by: Wright County GIS, Office of the County Surveyor January, 2009 08001,600400 Feet Bertram Chain of Lakes Map 2 Project Area 2 Parcel #Land AcresWater AcresTotal Acres 140.17040.17 239.89039.89 5A104.3339.7144.03 6174.640174.64 7121.0948.23169.32 834.27.9542.15 99.5746.2755.84 109.8132.3742.18 110.3400.34 1241.870.3342.2 5 3 7 4 9 8 1 2 12 10 Wright County Parks Created by: Wright County GIS, Office of the County Surveyor April, 2010 08001,600400 Feet Bertram Chain of Lakes 1250.37 Acres - Total Project Area Parcel 5 - Purchase Option YMCA Owned 51.4 Acres 2010 Acquisition (51.4 Total Acres - Land & Water) Existing Regional Park Boundary Phase Acres Year Funded Grant $Non-Local Funding Source County $City $Total Status/Result 1 2008 $1,000,000 LCCMR/Environment and Natural Resources Trust Fund $1,000,000 $1,000,000 $3,000,000 Funds Expended Phase 1 Completed December, 2008 1 2008 $200,000 DNR-Metro Greenways/Environment and Natural Resources Trust Fund $200,000 $200,000 $600,000 Funds Expended Phase 1 Completed December, 2008 1 318 Total 2008 $1,200,000 $1,200,000 $1,200,000 $3,600,000 2 51.4 2010 $549,628 DNR-Metro Greenways/Environment and Natural Resources Trust Fund $274,814 $274,814 $1,099,256 Funds Expended Phase II Completed June 2010 3 Aug-08 $266,249 DNR-Non-Metro Regional Parks/LAWCON (Federal)$148,101 $148,101 $562,451 Grant Awarded & Encumbered for Phase 3, Local Share has not been requested. 3 Jan-10 $400,000 DNR-Legacy Park/Amendment (Legacy Amendment Funds)$222,500 $222,500 $845,000 Grant Awarded & Encumbered for Phase 3, Local Share has not been requested. 3 Sep-10 $334,725 DNR-Non-Metro Regional Parks/LAWCON (Federal)$167,363 $167,363 $669,451 Grant Awarded & Encumbered for Phase 3, Local Share has not been requested. 3 Sep-10 $76,000 DNR-Legacy Park/Amendment (Legacy Amendment Funds)$61,299 $61,299 $198,598 Grant Awarded & Encumbered for Phase 3, Local Share has not been requested. 126 Total 2011 $1,076,974 $599,263 $599,263 $2,275,500 Grant Awarded & Encumbered for Phase 3, Local Share has not been requested. $2,826,602 ENTF, LAWCON, Parks Legacy Amendment $2,074,077 $2,074,077 $6,974,756 4 140 2011-2012 $2,993,625 Non-Metro/Legacy Park/Either Legacy Funds or LAWCON (Federal)$2,993,625 Grants submitted $833,333 Funding awarded from above for parcels 9,10 and 12 $204,000 $204,000 $1,241,000 Grant funding awarded (from Legacy/ENTF) 615 2013-2014 5,340,065$ Park Legacy/Non-Metro/LAWCON/DNR Outdoor Rec 3,472,089$ 3,472,089$ 12,284,244$ Parcels 8,1,2, 3 and 4, balance of 5, 7 1250.35 $9,000,000 44% non-local, 28% County, 28% City $5,750,000 $5,750,000 $20,500,000 Overall Funding Plan Remaining Funding Needs (If Phase IV Proposed Funding is approved) Total Funding to Date Bertram Chain of Lakes Regional Park - Acquisition Project Funding History and Needs Phase I Funding (2008) Phase 2 Funding (2010) Phase 3 Funding 2012 Proposed Acqusition with Grant Information