City Council Agenda Packet 05-13-1991AGENDA FOR THE MEETING OF THE CITY COUNCIL
Monday, May 13, 1991 - 7:00 p.m.
Mayor: Ken Maus
Council Members: Shirley Anderson, Brad Fyle, Clint Herbst,
Dan Blonigen
1. Call to order.
2. Approval of minutes of the regular meeting held April 22,
1991. - , 4 SA(
3. Citizens comments/petitions, requests, and complaints.
4. Consideration of an ordinance amendment allowing limited open
sales and rummage and garage sale activity as an accessory use
In the R-1 district.
5. Consideration of adopting modified concept plan for extending
city utilities to the elementary school site and to the Value
Plus development site.
6. Consideration of petition for sanitary sewer feasibility
study --Stuart Hoglund, petitioner.
7. Consideration of pilot program for garbage pickup utilizing
roll -around cart typo containers.
B. Consideration of 1991 sidewalk improvement, approving plans
and specifications, authorizing advertisement for bids, and
ordering a public hearing; Consideration of accepting the 1991
Sidewalk Inspection Report and ordering a public hearing on
its contents.
9. Consideration of appointing individuals to membership on newly
established parks commission.
10. Consideration of further action regarding police commission
appointments.
11. Consideration of purchase of additional pipe locator for the
water department.
12. Consideration of advertisement for bids for emergency
generator for the water and sower collection department.
13. Consideration of final payment to Arrigoni Brothers for the
Monticello Streetscape Project.
14. Cnn0r1nrnt•1nn of firm] payment to Minnesota Valley Landscape,
Inc., for work on the Monticello Streotecapo Project.
City Council Agenda
l May 13, 1991
Page 2
15. Consideration to adopt a resolution calling for a public
hearing to modify Redevelopment Project Plan No. 1, to modify
TIF District Nos. 1-1 through 1-11, and to establish TIF
District No. 1-12 and the plans relating thereto.
16. Consideration to receive and accept the annual Greater
Monticello Enterprise Fund (GMEF) Report.
17. Consideration to amend the Greater Monticello Enterprise Fund
(GMEF) Guidelines and Economic Development Authority (EDA)
Bylaws.
18. Consideration to authorize a commitment for the use of Urban
Development Action Grant (UDAG) repayment funds.
19. Consideration to authorize a commitment of an annual
appropriation of $200,000 for the Greater Monticello
Enterprise Fund (GMEF).
20. Consideration of renting or demolition of the recently
acquired house adjacent to City Hall.
21. Consideration of approval of plane and specifications for 1991
sealcoating project and authorization to advertise for bids.
22. Consideration of approving lease agreements for Food Shelf and
Christian Social Services use of old fire hall.
23. Closed executive session to discuss current status of
litigation.
24. Adjournment.
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MINUTES
REGULAR MEETING - MONTICELLO CITY COUNCIL
Monday, April 22, 1991 - 7:00 p.m.
Members Present: Shirley Anderson, Dan Blonigen, Clint Herbst,
Brad Fyle, Ken Maus
Members Absent: None
Approval of minutes.
John Simola requested that item #10 be amended to read that he
reported that nine times during the year he needed the vehicle
for emergency situations or in response to citizens' request
for services. Not all responses were due to emergency
situations.
There being no further discussion regarding the meeting
minutes, a motion was made by Shirley Anderson and seconded by
Brad Fyle to approve the meeting minutes with item 010 amended
as requested by John Simola. Motion carried unanimously.
Citizens comments/petitions, reauests, and complaints.
Assistant Administrator O'Neill reported that Joe Robinson had
withdrawn the petition that he had organized. No further
discussion on this matter was conducted.
Consideration of reauest for abatement of delinquent special
assessments, Outlot A. Country Club Manor.
City Administrator, Rick Wolfsteller, Informed Council that at
the present time the assessments against Outlot A, including
interest and penalties at $550,000, now exceed the land value.
Wolfsteller noted that none of the assessment payments have
been paid since the original assessment of $231,402 was levied
in 1979. Wolfsteller reported that the County has assured the
City that the property will be put up for tax delinquency, and
this should be done sometime this year. In the interim,
however, there is a proposal submitted to the City by West
Prairie Partners which requests that the City abate all but
$200,000 of the existing special assessment debt. In turn,
West Prairie Partnership would develop 26 lots on the
property, all of which would have direct driveway access to
7th Street. lender the proposal, the billboards existing along
the freeway and on Country Club Manor would be allowed to
exist.
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Council Minutes - 4/22/91
Jim Metcalf was present to provide additional detail regarding
the proposal by West Prairie Partners. Metcalf noted that the
partnership is not interested in developing cul-de-sacs, as
the houses must be located cicse to the freeway under the cul-
de-sac proposal. Metcalf reported that his proposal includes
a cash settlement of $200,000 as full payment for all special
assessments against Outlot A.
Dan Blonigen noted that the offer of $200,000 is not nearly
adequate. The outlot would revert back to the City anyway,
and the City could use a portion of it as a holding pond that
is needed in the area.
A general discussion regarding the staff's sketch plan for the
development area ensued. Jim Metcalf again noted the cul-de-
sac design would not be marketable, and the berm proposed to
buffer the freeway from the single family housing does not
benefit the property.
Dan Blonigen reiterated that he would prefer that the City
wait for the tax forfeiture process to acquire the land and
then sell it to a developer at the market price. We are
better off to wdit and do it right.
Ken Maus responded by saying that it may take two years to get
the property, and we're likely to have the same deal. Does it
make sense then to move forward now?
After discussion, it was the consensus of Council to 1) take
no action on the matter; 2) the planner should review the
original concept and review the proposed concepts for single
family development; 3) the City should encourage the County to
finalize the foreclosure and keep the heat on. It was
recognized that the City needs to lobby the County to take
action on this matter; 4) City staff should talk to the Farm
Home funding agency to see if the plat satisfies noise
pollution standards; 5) the City Attorney should determine the
City's rights and power with regard to removal of the
billboards at the time of building construction, and Council
should review its existing ordinance which currently calls for
removal of billboards at the time of development of the land
on which the billboard is located.
After discussion, a motion was made by Shirley Anderson and
seconded by Brad Fylo to table this matter until the research
noted above is completed. Motion carried unanimously.
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MINUTES
SPECIAL MEETING - MONTICELLO CITY COUNCIL
Monday, April 22, 1991
Members Present: Shirley Anderson, Dan Blonigen, Clint Herbst,
Brad Fyle, Ken Maus
Members Absent: None
Convene special meeting for consideration of selecting planner
to assist with development of industrial park/school district
development plan.
Assistant Administrator O'Neill reported that at the
February 25 meeting of the City Council, staff requested that
Council authorize staff to work with the city planner toward
development of an industrial park master plan. As a result of
Council discussion at the February 25 meeting, it was the
consensus to table ordering the study. Council did not order
the study because of the concern that the cost of the study
was somewhat excessive at $19,000. It was suggested that the
scope of the study could be reduced in an effort to reduce the
cost. At that February 25, 1991, meeting Council did
authorize an expenditure of $5,000 toward the payment of costs
associated with development of a storm water management plan
for the area.
O'Neill reported that subsequent to the previous discussion,
staff has received a revised proposal from Dahlgren, Shardlow
6 Uban reducing the original cost from $19,000 to $8,500;
however, with the reduction in cost is a reduction in the
scope of services. City staff also received proposals to
conduct the planning activity from two other planners each at
a cost significantly less than the original proposal submitted
by Uban. Finally, O'Neill reported that the school district
Is interested in paying a portion of the cost to conduct the
study. O'Neill also reported that the Planning Commission had
recommended that the City Council utilize the funds budgeted
for industrial land use study.
City Council then conducted two interviews. The first
interview was with Kermit Crouch of Crouch Consultants in
Edina. The second Interview was with Northwest Associated
Consultants located in St. Louis Park.
After the interviews, Ken Maus noted that both planners come
highly recommended. NAC, however, may be more familiar with
Monticello. Maus also noted that it may make sense at this
time to try to employ another planner Lu de,elsL with this
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Council Minutes - 4/22/91
Consideration of adopting a resolution designatino a minimum
restricted fund balance in the qeneral fund.
Rick Wolfsteller requested that Council consider designating
a certain portion of our general fund balance into additional
categories labeled "working capital" and "contingency."
Wolfsteller noted that the state legislature has noted
concerns that the amount of unreserved fund balances that
cities have may have accumulated to a point where the state
legislature may take action to require that cities spend
unreserved funds. Some individuals may see large fund
balances and assume that a city government does not need any
state assistance because they have unspent funds available.
There has even been discussion recently that cities with large
fund balances should maybe give some of its tax revenue to the
state to help correct their budget problems; and as a result,
it is suggested that the City establish in its audit report
that certain funds are designated for certain purposes.
Wolfsteller also noted that the City's existing "surplus" of
$1,000,000 is not large when one takes into account that the
City needs $750,000 before the first large tax revenue check
is received in the early part of July. In other words, if we
do not have a surplus fund balance at the end of the year, we
would have to borrow money to operate until June of each year.
After discussion, a motion was made by Shirley Anderson and
seconded by Dan Blonigen to approve a resolution which
designates minimum restricted general fund balances. Motion
carried unanimously. SEE RESOLUTION 91-9.
6. Consideration of extondina mrobationary period/residency
requirement --Rich Cline.
John Simola reported that Rich Cline was transferred from the
street department to the water/wastewater collection system
department effective April 23, 1990. Due to the nature of his
position, It was important that employees in the water/
wastewater collection system department be able to respond
quickly to an emergency. In the wastewater department, the
sewer water can back up quickly into basements. In the water
department, emergencies can range from the inconvenience of 1)
home; or. 2) contamination or loss of water supply for the
whole community. Since the water/wastewater collection
operator is considered to be the first responder, it is a
requirement of his/her position that he/she will reside within
a 10-minuto response time to city omorgencioc. Consequently.
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Council Minutes - 4/22/91
as part of the job description, both Rich Cline and the
previous employee, Tony Strande, signed employee agreements
which require residency within a 10-minute response time.
When Rich Cline was hired, he asked for an extension from the
initial six-month period to a one-year period and indicated
that he would relocate within a one-year period of time.
Unfortunately, Rich has not been able to relocate within the
time allowed by the City. Simola went on to note that Cline
has been a good employee and is continuing to learn the
workings of the water/wastewater collection system. Matt
Theisen, the water Superintendent, has continued to be the
first responder for emergencies during this period when Rich
Cline has not been able to relocate to the city.
Simola informed Council that the staff recommendation is to
grant an extension of three to six months to Rich Cline. It
does not appear to be in the best interest of the City to
modify its response requirements for this position. This
condition must remain with the job description, not just the
individual. Also, since the Council took such a firm stance
on this same issue with Tony Strands, even though Council
granted him a total extension of up to 21 months, removing
this condition from the position at this time would leave the
City open to litigation in the future.
Matt Theisen requested that Council consider extending the
response time requirement associated with the position. He
went on to note that Rich Cline Is doing an excellent job.
He's getting to know the system well, and an additional few
minutes would not have a significant negative impact on
Cline's ability to respond on a timely basis to emergencies.
Clint Herbst suggested that Council should stick with the
guidelines. The 10-minute response time is there for a
reason. Brad Fyle concurred that at some point we have to
draw the line on the response time. Dan Blonigon noted that
a 10-minute response time is reasonable and that it should be
a requirement of the position.
Former employee, Tony Strands, criticized the staff report for
Implying that he might take legal action against the City If
Rich Cline's residency requirement is extended or eliminated.
Shirley Anderson noted that the response time requirement
should be job related and not subject to change duo to the
personality or abilities or convenience of the person that
takes the job.
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Council Minutes - 4/22/91
After discussion, a motion was made by Shirley Anderson and
seconded by Clint Herbst to grant a six-month extension of the
residency requirement to Rich Cline provided he actively
markets and attempts to sell his home. Motion carried
unanimously.
7. Consideration of bills for the month of April.
Motion was made by Shirley Anderson and seconded by Brad Fyle
to approve payment of bills as submitted. Motion carried
unanimously.
B. Other matters.
Kevin Schmitz of Prestige Builders presented a letter to City
Council which outlined his intent to build homes in the
$100,000 to $150,000 range at Outiot I of the Meadow Oaks
subdivision. Schmitz went on to review a sketch plan prepared
for the site and also to provide general background on his
company.
Council members reviewed his plans and noted their support for
his efforts. Assistant Administrator O'Neill reported that
the preliminary plat outlining the detail of the development
area is planned for presentation at the June 4 meeting of the
Planning Commission.
There being no further discussion, the meeting was adjourned.
Jeff O'Neill
Assistant Administrator
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Special Council Minutes - 4/22/91
specific project. The City could use this project as a
demonstration project or proving ground for a new planner.
When the project is complete, the City can evaluate the
planner's performance and then determine if a long-term
relationship should be established.
Brad Fyle noted that he prefers the Northwest Associated
Consultants' proposal, as NAC appears to have more resources
that can be used to complete the planning work. He was
concerned that Kermit Crouch Consultants, being a one-man
operation, may not be adequate.
After discussion, a motion was made by Shirley Anderson and
seconded by Brad Fyle to select Northwest Associated
Consultants to complete the land use planning project at an
amount not to exceed $8,450. It was the consensus of Council
that appointment of the official city planner would occur at
some point after this planning project is completed; and in
the interim, City staff may continue to utilize the planning
services of Dahlgren, Shardlow 3 Uban. Motion carried
unanimously.
3. Other matters.
A motion was made by Brad Fyle and seconded by Dan Blonigen to
approve issuance of a gambling license to the Monticello
Jaycees, Motion carried unanimously.
Thorn being no further discussion, the meeting was adjourned.
Jeff O'Neill
Assistant Administrator
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Council Agenda - 5/13/91
Consideration of an ordinance amendment allowinq limited open
sales and rummage and garage sale activity as an accessory use
in the R-1 district. (J.O.)
A. REFERENCE. AND BACKGROUND:
At the meeting of the Planning Commission on May 7, 1991, the
Planning Commission acted to recommend approval of the
attached zoning ordinance amendment based on the finding that
limited open sales activity and garage sale activity should be
regulated in order to properly protect the character of
residential areas. Consignment sales and other large sales of
a commercial nature serve to detract from the residential
character of the R-1 zone and, therefore, such activities
should be controlled. The proposed amendment will contribute
to the ability of the City to regulate such sales; therefore,
the ordinance amendment should be approved.
Following is a copy of the staff report submitted to the
Planning Commission prior to the public hearing conducted
May 7:
As you recall, in April the Planning Commission conducted a
public hearing and reviewed a similar ordinance amendment
which focused on establishing limited open sales as an
accessory use In an R-1 zone. The purpose of the ordinance
amendment was to control or limit the ability of property
ownern to utilize residential property as sales lots by
specifying type and quantity of items that could be wild from
residential property. Any sales above and beyond what is
noted by ordinance would be considered an improper use of the
property and, therefore, a violation of the ordinance.
Subsequent to the Planning Commission's review of this item,
the now City h,:torney, Paul Woingardon, reviewed the language
contained in the ordinance amendmont and requested that the
City Council table the item until he was able to make some
changes. Weingarden has completed his amendments to the
original language. The now ordinance is similar to that which
Planning Commission reviewed previously; however, there is one
major addition to the ordinance which created the need for
calling a now public hearing on the item. The now ordinance
language also includes limited rummage and garage sales as an
accessory use. It was Woingarden's view that It was necessary
to define limited garage sales so as to differentiate this
activity from limited open sales. Woingardon was concerned
that the open sales activity could have been construed or
coj"fused with garage solo activity; therefore, he created
language that clearly spells out the differences between the
two typos of activities.
Council Agenda - 5/13/91
Due to the fact that there were changes to the ordinance that
might impact individuals who regularly have garage sales, City
staff elected to call for a new public. hearing. In addition,
we sent letters to two residences that we knew engaged in
garage sales in a manner that might not be consistent with the
ordinance. The letter was mailed to Mr. and Mrs. Arnold
Strehler of 1115 West Broadway and Mr. and Mrs. Bob
Sommerville of 213 East River Street. (Council: Please note
there were no objections to the ordinance from the individuals
that were sent public hearing notices.)
The language contained within the ordinance is self
explanatory. It should be noted that the City has a transient
merchant ordinance which regulates garage sales. It is
recommended that the section of the transient merchant
ordinance regulating garage sales be deleted if the zoning
ordinance amendment governing garage sales is adopted. As you
will note, the zoning ordinance amendment is equally
restrictive as the transient merchant ordinance in allowing
three garage sales per year; however, the zoning ordinance
amendment governing garage sales is better because it
explicity outlines the hours that garage sales can be
conducted and because it notes that no items shall be placed
on the right-of-way and identifies sign requirements
associated with garage sales.
ALTERNATIVE ACTIONS:
Motion to rcco=cnd approval nf the adoption of an
ordinance establishing limited open sales and rummage and
garage sales as accessory uses in an R-1 zone.
Motion is based on the finding that limited open sales
activity and garage sale activity should be regulated in
order to properly protect the character of residential
areas. Consignment sales and other largo sales of a
commercial nature serve to detract from the residential
character of the R-1 zone and, therefore, such activities
should be controlled. The proposed amendment will
contribute to the ability of the City to regulate such
sales; therefore, the ordinance amendment should be
approved.
Motion to deny adoption of the proposed amendment to the
zoning ordinance.
If the Planning Commission does not agree with the
finding above, then this alternative should be selected.
Council Agenda - 5/13/91
C. STAFF RECOMMENDATION:
Staff recommends that the Planning Commission select
alternative #1. There are many homes in residential zones
along highly traveled routes. This ordinance would eliminate
the temptation of using these residential properties as open
sales lots. In addition, it would eliminate the ability of
residential property owners to use property as a consignment
sales store under the guise of being a garage sale. The
ordinance would serve to protect the residential value of
adjoining properties and will also eliminate the possibility
of traffic hazards created by use of residential property
along heavily traveled roads for commercial purposes when such
properties are not designed to handle parking or other public
access in a safe fashion.
D. SUPPORTING DATA:
Copy of the proposed ordinance amendment; Copy of the
pertinent section of the transient merchant ordinance.
(
PkbPosEt� zONlQG
oRl.,j, . AmONZJ me �j-T--
ORDINANCE AMENDMENT NO.
THE CITY COUNCIL OF MONTICELLO, MINNESOTA, DOES HEREBY ORDAIN THAT
SECTION 6-3 OF THE MONTICELLO ZONING ORDINANCE BE AMENDED BY ADDING
THE FOLLOWING:
PROPOSED LIMITED OPEN SALES/RUMMAGE
AND GARAGE SALE ORDINANCE
6-3: PERMITTED ACCESSORY USES
(H) Limited Rummaqe/Garage Sales. Allowing sales on a limited
basis of items accessory to private residential use of land
including, but not limited to, household goods and
supplies, appliances, clothing, and lawn and garden tools,
non -motorized equipment and supplies. Accessory use of
property for rummage/garage sales shall conform to the
following requirements:
1. Rummage/garage sales shall not be conducted on more
than three separate occasions per calendar year.
Each rummage/garage sale shall be limited to four
consecutive days. All such sales shall be
conducted between the hours of 8:00 a.m. and
9:00 P.M.
2. Sale items shall not be placed on or in any public
right-of-way.
3. Two nlgnn not exceedinq two square feet each in
area advertising the rummage/garage sales are
allowed on the sale promises without a permit. All
such signs shall be removed immediately upon
conclusion of the sale. if a rummago/garego sale
sign remains on the premises, the sale shall be
deemed to be open.
(I) Limited Open Sales. Allowing sales on a limited basis of
motor vehicles, boats, motorized equipment, and
recreational vehicles. Accessory use of property for
limited open sales shall conform to the following
requirements:
1. No more than a total of throe items per site may be
advertised for sale per year.
2. No more than two Items can be displayed for sale at
any one time on any property.
r 3. Individual Items may not be displayed In excess of
G 30 days In the aggregate for all items displayed.
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Ordinance Amendment No.
Page 2
4. Items sold are limited to articles owned by
individuals that make their primary residence at
the limited open sales site.
5. Sale items may not be placed on a public right-of-
way.
6. One sign not exceeding two square feet in area
advertising the sale item is allowed without a
permit. Such sign must be placed within or
attached to the sale item and shall not be
freestanding.
Adopted this day of , 1991.
Mayor
City Administrator
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EXISTING ORb-
M►4N s IeNT Meec w.
3-10-3: EXEMPTIONS: This chapter does not apply to the
following:
(A) Vendors of milk, groceries, bakery products, or other perishable
commodities; or vendors of soft water service or laundry and dry
cleaning pickup and delivery who make an uninvited call upon the
occupant of a resident as a preliminary step to the establishment
of a regular route service for the sale and delivery of such
commodities or the providing of such services to regular customers;
or for the sale of goods, merchandise, or services to business,
commercial, or industrial users at their place of business.
(B) Sidewalk sales authorized by the City Council.
(C) Garage sales or rummage sales when conducted in or by a non -profit -
institution or when conducted upon the premises of an owner of the
articles being offered for sale provided that such sales do not
last longer than 72 hours and provided that no more than three (3) j
sales be conducted at any given location within one year. I
(D) Any bona fide auction sale by a city resident.
(E) Any sale under court order.
(F) The sale of regularly published newspapers.
(G) The sale of goods or merchandise on behalf of bona fide charitable,
religious, civic, education, or political organization subject to
provisions of 3-10-2(C) and 3-10-5.
(H) Sale of farm or garden fruits and vegetables from July 15 through
October 15 subject to the provisions of 3-10-2(C) and the daily
permit fees established by Council.
(8/13/90, 1194)
3-10-4: APPLICATION: Applicants for a permit under this ordinance
shall file with the City Clerk a sworn application in writing
on a form to be furnished by the City Clerk. The application shall give
the following information:
(A) Name and physical description of applicant;
(B) Complete permanent home and local address of the applicant and, in
the case of transient merchants, the local address from which
proposed sales will be made;
(C) A brief description of the nature of the business and the goods to
be sold;
MONTICELLO CITY ORDINANCE TITLE III/Chet 10/Page 3
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pRb ppsE� oRD .
ORDINANCE AMENDMENT NO.
THE CITY COUNCIL OF MONTICELLO, MINNESOTA, DOES HEREBY ORDAIN THAT
TITLE 3, CHAPTER 10, SECTION 3 (C), OF THE CITY ORDINANCE BE
AMENDED TO READ AS FOLLOWS:
3-10-3: EXEMPTIONS: This chapter does not apply to the
following:
(C) Limited open sales and limited rummage/garage sales. (See
Permitted Accessory Sales, Chapter 6, Section 3, of the Zoning
Ordinance for regulations governing open sales and
rummage/garage sales.)
Adopted this day of , 1991.
City Administrator
0
Mayor
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Council Agenda - 5/13/91
5. Consideration of adopting modified concept plan for extending
city utilities to the elementary school site and to the Value
Plus development site. (J.0.)
REFERENCE AND BACKGROUND:
As you recall, on April 8, 1991, Council acted to approve a
concept plan for extending sewer and water to the elementary
school site. The concept plan approved did not include the
modified plan for extending or financing utilities to the
Value Plus development site. Council tabled approval of a
modified plan for extending utilities beyond the school to the
Value Plus site pending development of existing residential
areas served by sewer and water or pending payment of a
significant portion of delinquent taxes and assessments owed
to the City of Monticello.
Now that Farm Credit Services has paid almost $500,000 in
delinquent taxes and assessments, Council is asked to again
consider a plan for extending utilities to the Value Plus
development site.
Following is a repeat of the "modified" plan for extending
sewer and water to the Value Plus site. This plan is nearly
Identical to the "modified" plan presented at the meeting
April 8, 1991.
Council is asked to review the latest update to the plan and
consider ratification. If ratified, this plan provides City
staff with a basis for further negotiation with the school and
Value Plus developers and provides a basic outline ul Lha
scope of the feasibility Study.
UTILITY PLAN
SANITARY SEWER
A sewer line utilizing a combination of gravity service
and force main would be extended down Fallon the full
length of the school property and to the Value Plus site
at a total cost of $139,000. According to the proposed
plan, the cost to install this improvement will be paid
by the school district and Value Plus developers. The
exact distribution of this expense to the two benefiting
properties Is not known at this timo. The portion that
each property owner will pay may depend on the final
location of the elementary school. It is proposed under
this plan that this cost be paid at the time the project
is completed.
Council Agenda - 5/13/91
It is not proposed that the expense associated with the
Value Plus site be financed via the special assessment
process because the cost of the improvement may be too
large relative to the value of the small parcel of land
being improved with phase I. Furthermore, City financing
of Value Plus lateral connection via the special
assessment process would set a precedent that would
encourage other landowners not directly adjacent to city
services to request "leap frog" extension of utilities.
Under this plan, the "leap frog" is allowed, but Value
Plus pays for it and assumes all risk.
2. An area assessment will be established which will allow
the capture of a portion of the funds necessary to
install the trunk sewer line through the Klein property.
The school district will pay their portion of the area
assessment associated with the 40-acre elementary school
development area. The estimated area assessment for the
elementary school site is $50,000. An additional area
assessment will be charged to the school district at the
time the interior 40 acres of the school property is
developed.
3. Value Plus would pay an area assessment in the form of
additional trunk sewer hookup charge. This charge would
amount to $400 to $500 and would be paid at the time of
individual home construction. Revenue generated from
this hookup charge would be used to assist in the future
financing of a trunk line to be extended through the
Klein property.
WATER MAIN
The water main would need to be extended from Dundee
along Fallon Avenue throughout the full length of the
school property to a position whero it could serve the
Value Plus development site. This portion of the project
would be a special assessment paid entirely by the school
district. The total cost of this improvement is
ostimatod at $62,000. City staff is investigating a
method for charging a portion of this cost to future
users of this water main. At such timo that the Klein
property utilizes this water main, they could be charged
for its use with the revenue, then reimbursed to tho
school dlRtrfct.
ROADWAYS
1. A roadway featuring a 40-foot wide surface constructed
with a rural design without curb and gutter will bo
Installed along the southern boundary of the property.
Council Agenda - 5/13/91
The cost to construct this roadway is estimated to be
E224,000• This project will be conducted as a public
improvement with 50% of the cost assessed to the school
and 50% to the Value Plus property. It may turn out that
the Value Plus development is not feasible under this
assessment scheme if the roadway is installed
immediately. It may make more sense to delay
installation of the roadway until the Value Plus
development has progressed to the point where revenue
from the site can sustain the assessment associated with
the roadway. It is possible that the developer could pay
a fee of approximately $400/home at the time of closing.
Revenue could then accumulate over time and be used to
assist in financing the Value Plus share of roadway
expense.
*NOTE: Excluding grading other than subgrade prep.
Excluding any storm sewer, ponds, culverts, or
ditching necessary for drainage.
The school district will develop a driveway that will
extend from Chelsea in a southerly direction to the
middle school site (see map). According to Shelly
Johnson, he has an agreement with Farm Credit that they
will pay 50% of the cost of the roadway. It is staff's
understanding that the City will accept this road as a
dedicated right-of-way if at some point in time it
becomes a through street and is not used primarily for
school related access.
ZONING
1. The Value Plus development site would be allowed to be
rezoned from agricultural to residential.
2. The school district obtains City approval to rezone
school district property from agricultural to R-2 and
obtains conditional use permit allowing operation of
school related land uses.
3. The school district participates in the financing of a
portion of the industrial/school land use study
authorized by City Council at a previous meeting.
B. ALTERNATIVE. ACTIONS:
1. Notion to adopt plan for development of utilities to the
school district and Value Plus development site.
Council Agenda - 5/13/91
Following are some positive features of the plan:
1. The plan provides for a method of providing sewer
service to the school district using a lateral
connection, while at the same time uses the area
assessment to generate revenue needed to properly
extend the trunk line beyond the school site at
some point in the future.
2. All costs associated with the public improvements
are paid by the benefiting property owners. There
is little direct financial risk to the City
associated with the plan.
3. The school district can possibly benefit from the
City acquisition of future revenue associated with
the future uee of the water main, which will be
originally financed entirely by the school
district.
4. The plan provides for extension of utilities to the
Value Plus development site at no financial risk to
the City and at the same time provides a mechanism
for generating revenue to pay the Value Plus
development site's portion of the cost to extend
trunk sewer and water at a later date.
5. Financing of the roadway remains a question. Staff
needs to meet with the school and Value Plus
developers to determine how long road construction
can be delayed and determine d wuLhud for flnancing
the roadway that would minimize risk to the City.
Under this alternative, Council will be taking the
Position that the City will work with the school and
Value Plus dovolopors in a cooperative manner toward
execution of a public improvement project necessary to
develop the area. However, the City wishes to limit the
financial risk associated with the special assessment
process by requiring that all assessments for
Improvements not used directly by buildable lots be paid
up front by the developer.
2. Motion to modify or reject all or a combination of
concepts outlined in the plan.
It is expected that Council may wish to modify one or
more features of the plan proposed.
7
Council Agenda - 5/13/91
Council could take the position that services should not
be extended to the Value Plus site at all until existing
residential areas are fully developed. On the other
hand, if Value Plus developers are willing to pay the
full cost of the lateral sewer extension improvements
with minimal. financial risk to the City, it may be
unreasonable to deny extension of city services.
Furthermore, Farm Credit's payment of delinquent taxes
and assessments is somewhat predicated on the City
working cooperatively with the Value Plus developers.
C. STAFF RECOMMENDATION:
Staff recommends alternative tl.
D. SUPPORTING DATA:
Copy of plan summary; Copy of area map.
a
II. PRELIMINARY PLAN FOR DEVELOPMENT OF ROADWAYS AND EXTENSION OF SEWER AND WATER SERVICE
ELEMENTARY SCHOOL SITE - EXTENSION OF UTILITIES TO VALUE PLUS DEVELOPMENT SITE
IMPROVEMENTS - Sewer and water extensions located along Fallon Avenue.
All work done as a public improvement project except private drive and road grading.
This plan approved In concept and becomes basis of future feasibility study.
SOURCE OF FUNDS
1. 2. 3.
TOTAL SCHOOL VALUE
[IMPROVEMENT COST DISTRICT PLUS TOTAL
A. Sewer - Dundas to NW corner of Value Plus
development site.
B. Trunk Trunk sewer area assessment
Sewer - $1,250/ACRE - 40 acre school site.
C. Water - Dundas to NW corner of
Value Plus development Site.
D. Roadway - Across southern boundary of 120 Acre
School district properly.
Road Grading - (performed by school contractor)
E. Private - Cholsoa to school Site.
Drive
$139,000 7 7 S139.000
$186.000 $50,000 $136.000 $186.000
S62,DD0 S62.000 $O $62,000
7
$224,000 $112.000 S112,000 $224,000
7 7 so 7
not
Included
F. Storm - Roadway, parking area, and School SAO not known
Sewer dialn:go.
ESTIMATED TOTAL $611,000 $224.0001 $248.000 s611,000
FURTHER DETAIL
3.A - Value Plus pays full cost or provides financial guarantoo.
3,a - Value Plus pays area assossmonl via adclod hookup 60wor trunk chargo, s400.66DO pot hOmO.
23 - Term lot payment of area assessment 19 nogollablo, $50.000 InCludos 40-aC16 010M. School site only,
- Interior 40 acres assessed at Ilmo of development.
2.0 Future water access revenue passed through to school district.
3.0 Financial guarantee IISSOCI018d with Value Plus assessment is nocoseafy.
F. - Design and cost of storm sOwor not known at this time.
0
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0
Council Agenda - 5/13/91
6. Consideration of petition for sanitary sewer feasibility
study --Stuart Hoglund, petitioner. (J.O.)
A. REFERENCE AND BACKGROUND:
Stuart Hoglund is the owner of a large section of land located
in the township generally located south of Interstate
Highway 94 and west of Marvin Road. This property is located
in the urban service area, which qualifies it for annexation
under the joint agreement between the City and Township.
Please see the attached map for location detail.
In order to market his property, Stuart Hoglund needs to be
able to tell a potential buyer what it would cost to extend
sewer and water service to his property. As evidence of his
desire to obtain this information, Stuart Hoglund has
indicated that he is willing to pay the estimated cost of
$2,900 to prepare the information necessary to make basic
financial plans regarding development of the property.
Under the plan for financing this study, if the feasibility
report is ultimately used to design a construction project,
the $2,900 to do the study would be deducted from the
engineering fee for design of the project. This fee would
then be incorporated into the overall project cost and then
assessed back to the parties that benefit from the project.
ALTERNATIVE ACTIONS:
Motion to accept petition and order City Engineer to
conduct a feasibility report for sewer and water service
to the Stuart Hoglund property.
Under this alternative, OSM would to study the cost to
extend sewer and water from its present position west of
Kmart at Minnesota Street to the proposed location of a
lift station located somewhere between Wendy's and Olson
Electric. The information contained in the study would
allow Hoglund and the City to prepare plans for financing
extension of utilities to the Hoglund property. Under
this alternative, there is no financial risk to the City
because Stuart Hoglund proposes to pay the full cost of
the study. He understands that the initial cost of the
study would be reimbursed at the time the project is
undertaken. Ultimately, the cost of the study would be
included in the total project cost and financod via the
assessment process.
Council Agenda - 5/13/91
2. Motion to accept petition but deny authorization to
proceed with the feasibility study.
Under this alternative, Council would not move forward
with the study. Since Stuart Hoglund is willing to pay
the full cost of the study, this alternative does not
appear to be reasonable unless there is some reason why
the study should not be conducted at this time.
C. STAFF RECOMMENDATION:
Staff recommends that Council select alternative 91. The
Stuart Hoglund property that is the subject of this study is
in the township; however, it is in the urban service area and
as such is eligible for annexation according to the agreement
between the City and the Township. Mr. Hoglund desires to
market his property, but he is unable to properly market it
because information necessary to understand the full cost to
develop the property is not available until a sewer and water
feasibility study is conducted. Mr. Hoglund is willing to pay
the full cost of the project estimated at $2,900. For the
reasons above, City staff recommends that Council authorize
completion of the feasibility study per the attached letter
outlining the scope of services submitted by OSM, April 25,
1991.
D. SUPPORTING DATA:
Copy of OSM feasibility report for sewer and water service to
the Stuart Hoglund property, April 25, 1991; Map showing
location of Hoglund property and potential site of future
sewer and water lines and lift station; Copy of petition for
feasibility study submitted by Stuart Hoglund will be
presented at Monday evening. meeting.
10
Orr
sckwkn
CISNI
, Linc
2021 East Hennepin Avenue
Mlnneapobs, MY 55413
612.331-8660
FAX 331-3806
Engineers
surve3rors
April 25, 1991 Planners
Mr. Jeff O'Neill
City of Monticello
250 East Broadway
Monticello, MN 55362
Re: Feasibility Report for Sewer and Water Service
to the Stewart Hoglund Property
OSM Comm. No. 0195.91
Dear Mr. O'Neill:
This letter is in response to your request for an estimate of cost to complete a feasibiRy
report for the above referenced project. The scope of the project, as we discussed, is
to provide sanitary sewer and watermain service to the Stewart Hoglund property
generally located south of Interstate Highway No. 94 and west of Marvin Road. Utility
service to a portion of this property was examined by our office during the review of the
proposed Highland Heights Subdivision in 1987. However, the extent of that study was
to provide sewer and water for a limited area, namely the area contained by Highland
Heights. This study would encompass Sewage District No. 6 as noted in the Monticello
Comprehensive Utilities Plan and would primarily serve the Stewart Hoglund property.
This feasibility report, as proposed, would include cost estimates for providing sewer and
water to the Hoglund property in addition to describing the utility location that would be
preferred by the City of Monticello. The report would include drawings to outline the
sewer and water locations.
The estimated cost of the feasibility report is $2,900. If the feasibility report is ultimately
used to design a construction project, this amount would be deducted from the
engineering fee for design of that project. Wo aro projecting that the delivery of the report
would be approximately one month from the date of authorization by the City of
Monticello to proceed.
fyval (ry,prWnuy fmpY,yrr
Mr. Jeff O'Neill
April 25, 1991
Page 2
Please give me a call if you have any questions regarding this estimate, or if there is any
further information I can relate to you about the feasibility report.
Sincerely,
ORR-SCHELEN-MAYERON
& ASSOCIATES, INC.
Bret A. Weiss, P.E.
Project Engineer
/cmw
04/ a 1-cui l i.ju
)4/,-- ,e
John P. Badalich, P.E.
City Engineer
0
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--------- ---------
A L
a
Council Agenda - 5/13/91
Consideration of pilot program for Garbage pickup utilizinq
roll -around cart tirpe containers. (J.S.)
REFERENCE AND BACKGROUND:
Vasko Rubbish, Inc., of St. Cloud, Minnesota, began picking up
the city's garbage with the first pickup in April. In addition
to the new hauler, a major change was made in that we went from
twice -a -week pickup to once -a -week pickup for those residents
using bags or garbage cans. I would have to say overall the
change has been positive. Vasko has been extremely cooperative
and gone the extra mile to make things work smoothly. Early
problems were due to route changes in that residents who were
used to being picked up at 11:00 a.m. were now being picked up
at 7:30 a.m. A notice was published in the paper to instruct
residents to have their garbage out by 7:00 a.m., and Vasko
returned to Monticello on several occasions to pick up missed
garbage that was put out late. The misses are getting less and
less, and residents are now used to the new time table for
garbage pickup.
A few residents have indicated that when they put their garbage
out the night before in bags, sometimes the bags are torn open
by animals during the night. We currently have no requirement
for a home owner to have a garbage can. This brings us to the
purpose of the pilot program.
Prior to the award of the new contract to Vasko, they indicated
they would be willing to do a pilot program to determine the
cost of integrating a resident optional cart system into
Monticello. An optional cart system would allow residents to
continue to use their bags or existing garbage cans, or for a
small rental fee switch to roll -around containers available in
sizes from 60 gallon to 90 gallon. The cart system has proven
to reduce litter, dress up a neighborhood (that uses mixes of
old cans and bags), stop animal intrusion into the garbage, and
finally, to control the amount of rainwater entering the garbage
system. Significant amounts of rainwater can enter the garbage.
Ono only has to look around at the enormous amount of garbage
cans in Monticello without lids and look at our garbage tonnages
going to the landfill during wet weather to see that this is a
factor. This becomes extremely significant when tipping fees
roach $70 to $80 per ton, which is foreseeable in just the next
couple of years.
For the pilot program, we needed to select an area suitable to
Vasko in which they could initially study the time required for
pickup using a mix of the existing can system and bags. Next we
needed to obtain prices from vendors willing to rent us carts
for a pilot program of up to throe months, and to rent cart
DE
Council Agenda - 5/13/91
tippers for the backs of the garbage trucks for the same period
of time. Vasko selected the Meadows, Balboul, Anders Wilhelm,
and Par West areas as the most desirable areas in which to
conduct the study. It contains a good mix of housing types, a
good mix of garbage cans and bags, and the times entering and
leaving the area were easily measurable. After meetings between
the staff and Vasko in early April, they begin keeping track of
their time for garbage pickup in this area. There are 214
households in the above listed subdivisions.
Next we needed to contact cart suppliers for prices for a pilot
program and for rental fees for cart tippers to be installed on
Vasko's garbage trucks. We needed the newer type cart which
would not only be usable for tippers on the back of garbage
trucks but which would be suitable for automated pickup
utilizing the side arm in the future. As the cost of garbage
pickup continues to rise, the automated pickup system will be
the way to control costs in the future.
We obtained two quotes, one from Zarn, Inc./Direct, and another
from versa Cart through MacQueen Equipment of St. Paul. We
assumed a three-month program utilizing 219 carts (four for
spare and new construction). We assumed we would install cart
dumpers on all three of Vasko's trucks and may purchase the +
containers at the end of the throo-month period. Following is
a tabulation of those costs. The quotes are also included for
your review.
PILOT PROGRAM COSTS
Zarn Inc./
Versa Cart/
Direct
MacQueen EQ.
Cart Rent 3 Mo.
218 90-gallon units
$0
$ 11635.00
Tipper Rent
$0
$ 100.00
Tipper Install.(3 trucks)
10
$ 360.00
TOTAL PILOT PROGRAM COST
$0
S 2,095.00
Option to purchase
containers at and of
program
218 X $54 oa
218 X $65 ea
1$1,774
loss 75%
rent (1,226.25)
$12,943.75
TOTAL COST OF PILOT
$11,774.00
$15,038.75
PROGRAM INCLUDING OPTIONAL
CONTAINER PURCHASE
12
Council Agenda - 5/13/91
As can be seen by the above data and the enclosed quotes, the
Zarn Inc./Direct quote is very attractive. They are currently
establishing a new dealership in the metropolitan area, as their
current distributor, Boyum Equipment, is under reorganization
totally separate from their position as a distributor for Zarn.
Under the Zarn proposal, we have no costs for our pilot program.
Should we decide not to purchase the carts at the end of the
program, we simply wash them and Zarn will arrange for pickup.
With the Versa Cart system, we have a little over $2,000 in cost
for the pilot program. At the end of the program, should we
decide to purchase the carts, the Zarn quote is still most
attractive at a total cost of $11,774. I will attempt to have
a couple of carts on hand for the meeting (60+ gallon size and
a 90+ gallon size from Zarn which was the low quote).
It is expected that the pilot program would be free to all
residents in the previously listed subdivisions. If the time
necessary to pick up the carts versus the existing bags and cans
is very small, Vasko may not even ask for an Increase to go to
the optional cart system as an option. If the cost is slightly
more, we will determine a monthly cost per cart pickup by Vasko
and will add to our existing contract.
Should the program prove successful, we would then expect to
offer 60-gallon or 90-gallon carts to any residents who want
them as thev want them. We would purchase a truck load of carts
as the requests come in. we would then rent the carts to the
residents for an approximate price of $1.25 per month plus the
additional cost from Vasko, which is expected to be very small,
if any. This way the City would be reimbursed for the carts and
build up a small fund to maintain a limited inventory for
replacements and cover storage and assembly costs. It is
expected that these carts will last over five years and probably
ton years. The standard warranties are five years.
ALTERNATIVE ACTIONS:
The first alternative is to authorize City staff to operate
a pilot program for garbage pickup utilizing the cart
system In the above -referenced study area for a period of
up to throe months utilizing the Zarn Inc. proposal at a
cost of $0. At the end of the program, we would then
present the Council with cost data from Vasko and
recommendations as to whether or not to implement a
resident optional garbage pickup system using the 90-gallon
and 60-gallon carts.
13
Council Agenda - 5/13/91
2. The second alternative would be to allow staff to operate
a pilot program using the Versa Cart system at an estimated
cost of $2,095 for a period of up to three months. This
does not appear to be practical, as it is a higher coat
than Zarn initially, and the purchase of the carts would
also be more expensive.
3. The third alternative would be to not conduct a pilot
program at this time.
C. STAFF RECOMMENDATION:
It is the staff recommendation that the City of Monticello
Council authorize staff to conduct a pilot program as outlined
in alternative 01 using the Zarn Inc. system.
D. SUPPORTING DATA:
Copies of the quotes and product brochures.
` cN
CF
14
i
,'.•� ZARN, INC.
CorPOrala OfflC9 4 PO Box 1350, Raidavlllo. NC 27323.1350. 919-349-3323 • FAX 919-342-4101
Gaorg;a Planl • $065 Boat Rock Blvd.. Atlanta, GA 30336 • 404.349-4990 • FAX 404-349-4991
California Plant • PO Boa 779. 1014dera. CA 93638 • 209-661.1130 • FAX 209-661-1845
4ay 6, 1991 j
- I
Mr. John Simola
Dr rector of Public Works
CITY OF MONTICELLO
250 East Broadway
Monticello MN 55362
• I Ilf
Dear John:
I
;ARN, INC. wlII provide you with 250 carts - Model 3365.65 gallon
Ind Model 03300-95 gallon slte - froe for a period of three months.
Also, three cart filters at no charge for three month!.
I'f ydu desire to purchase the carts at the end of three months,)
your cost for the 3300's Is $54.00 each; the cost for 3365'a
would be $53.00 each. The price for lifters would $1,763.90 each.!
Look forward to hearing from you.
Bent regards,
Ron Acks
Regional Bal,,s Manaycr
EN;IAONMENTAL SYSTEMS Gi; UP
RA: �wh
I i
I
V•IA FAX - 612-295-4404
t
4•
' � Pr 4•. dDv
ZARN ROIL -A -WASTE°
CARTS THAT STAND THE TEST OF TIME
Front row from leh to right: 3365, 3160 Bock row from leh to right: 3265, 3200 300; 3100
Descripfion
3100 I
3140
3200
3265
Copociy
90 Gallon
e0 Gallon I
90 Galion
65 Gallon
Collection Method
Semi'
Semi-A.OrnWi,
I
Semt•
Semi.
Aur—t,c
w Manual
Automo4c
A,U~ic
Length
36' I
24' I
36'
36'
width
29'
20' I
29'
29'
Height
I AA'
34' I
A5'
e0'
Weight
I 37 Un I
20 Lb,
36 L6,
32 Lla,
WhC01,
12'Do•175'F..
a'D. -IY 1'✓e
I
IT Duo•1,75'
fir•
5em. Pn� I
Sara• Ra sc
Semi- P—rnonc
Lift Bar,
14 Go Flo
I I
16 Go Flo-
I
Integral
Integral
Corn Sorel
Coat Sorel
Mdd n
Mold -in
I
Lid latch
re.
rn
re,
re,
Sp,n6cm-on, a,. ..Meer to change
Cuaom oompng or labeling ;b a.a,lable on all ZARN conr6na,
3300 41 I
3365 -X-
95 Gallon I
65 Gallon
Semi1S1 v FuIIyIFI I SemilSJ a Fully(F)
Automanc
Autornanc
3e' I
34'
30'
30'
e5. I
39'
36 Lb, ISI i
33 Lb,. IS)
e2 Lb, IFI
391b. III
Rk- Abldad 10' Po
Integral
lntegrol
Mold-
Mold in
No
No
07
At ZARN, Inc., our goal has always been to make the best
possible products For our customers and our environment.
With over 30 years experience in the plastics business, we
know how to make a superior plastic product. That's why the
plastic we use to make our carts are high strength, high
molecular weight materials not available -with other can
molding processes.
The Blow Molding Advantage
ZARN Roll -A -Waste carts are manufactured to be both
lightweight and extremely durable. This is achieved through a
blow molding process in which fully melted and well
homogenized plastic is'blown' into a mold to form the body
of the con.
This process allows the plastic molecules to work in a stress -
bee environment. The material maintains long intertwined
molecular chains result ng in superior container strength and
durability. And because the material remains intertwined
instead of 'stuck" together or extruded under high pressure,
material cross linking For container strength is not required.
This makes all ZARN cam completely recyclable.
Features:
All ZARN Roll-A-Woste carts are made from HLMI High
Density Polyeth ene.
All axles are so id steel zinc coated and grooved mounted.
All carts have replaceable wear pods on tho bottom to
guard against daily wear and tear.
All carts come with 5 and 10 year warranties.
All carts may be ordered with 100% recycled block lids.
One piece hinged lid and push handle Far convenience and
security.
3100 Series
The Roll -A -Waste 3100 series is designed for semi-outomated
refuse and recycling collection systems. Available in both 40
and 90 gallon capacities, these carts feature domed lids, for
overpacking, which are securely attached to the body with
modular hinges. Lid latches keep carts securely fastened to
protect against wind, insects and small animals.
Pick up points For the Roll -A -Waste body are constructed of
triple coated, high strength tubular steel, I" in diameter. The
lih bars are Fastened with zinc -plated hardware, instead of
imbedded into the plastic, for modular replacement.
Outboard, semi -pneumatic wheels make these cons extremely
stable yet easy to maneuver.
3200 Series
These semi-outomated Roll-A-W,:tato cam are available in 65
and 90 gallon capacities. the 3200 series offers product
variety to make it easier to select the system which best fits
your needs,
A sat of lih bars are integrally molded, instead of imbedded.
For added durability. They have been designed and tested to
insure they will lost the useful life of the can.
Inboard semi -pneumatic wheels provide an attractive
appearance and provide excellent mobility.
Lids, wheels and axles are interchangeable with the 65 and
90 gallon carts which keep inventory costs to a minimum.
3300 Series. The "ULTIMATE"
'this Roll -A -Waste can is referred to ai tTe'ULTIMATE'
because of its performance and versatility,
Available in 65 and 95 gallon capacities, these cans can be
picked up with semi or Fully automated collection systems. A
set of lift bars' are integrally molded, instead of imbedded,
for added durability. The molded in lift bars and rounded
body design make these versatile carts perfect for programs
changing between semi -automated and automated collection
trucks because no can replacement is necessary.
Overlapping lids are designed to open 270° to allow
complete dumping with fully automated systems. lid hinge
pivots make lid easy to open and close.
Blow molded inboard wheels give these carts excellent
mobility and an attractive appearance. Lids, wheels and axles
are interchangeable with the 65 and 95 gallon carts which
keep inventory cosh to a minimum.
3300 series also available withrut lift bars
lifter Systems
ZARN, Inc. offers a complete line of refuse and recycling liner
systems and replacement parts. Technical assistance is
available through our national distributor network support by
Factory representatives.
Model D
This high quality semi -automated liner quickly bolts on and
off making it axtremely easy to install. It also has break-awoy
linkage to protect against equipment damage.
Hide -Away
This high quality, semi -automated lifter allows dumping of
Roll -A- rite carts and rear load commercial containers.
Models RB & RS
These high quality semi -automated lifters with a V/2'
diameter rotary actuator provide smooth lifting for Roll -A -
Waste carts. Model RB is used For trucks with hydraulic lih
bars and model R5 is used as a stationory unit, such as docks
and compactors, with a separate power source.
All ZARN lifters are compatible with all major roll -out cans.
Auto Dopter
Automated arms adopt to most ZARN lifters allowing backup
for Fully automated collection trucks.
TARN, Inc. has coast to coast morketinB facilities.
our
r complete catalog of ZARN RollA-Waste' and
mr cling systems.
Ca for details (919) 349.3323 and 18001367.7687.
MOZARN
TARN, Inc. P.O. Box 1350, Reidsville, NC 27320
WASTE MANAGEMENT SOLUTIONS FORA CHANGING WOR7
�
ilinwd on Reco d
----------- ---- --
Mac 65--
L JOTATION UEEN EQUIPMENT INC.
ORDER MC 05860
595 Aldine Street, St. Paul, Minnesota 55104.2297
612.645-5726 • MN Wats 1.800-832.6417
To �. � A s %ia t o Dam
Street )r��7- !7L�'t %/'� % Req. By U4 A-7 .S/nie�i0
City ' J', r 7 %' c -r Statp( ' %� Zip -553 q& Terms
For Territory A K W"
Addre« PO. No.
Expected Chassis Arrival Date Phone Number
I.M. YW I Ye'" I wa"C I G .. rR•wsYi44�Ow
Oty. Description Unit Net
&. A. l
)t?ymoer s for Aolier a A4, n? or
iplr w1L p %3 , Cae-,
yA nI-/00 `0rer ride
(/ c
1✓- // DAY for
%Sa%O os' GorT fie w7,a w///%, eet lU�parab.ry
/ G�>v /�lrs�ree G�/Y pui.•.o�rr .ire 300•woeae/+
Ts e%I'v do�ar•y w.oH7 e—er7f I-A,er reJpoe�r b�Lri
w.o../.0 h. ye /.o►+ LD Lox O►+`I rc I'urM to
�tfFr /Jy.... f¢r.•'.�.vior.T. Y
r
Acceptotl Customs; Sailor: �
G� ~•e.._
We re.eM — nam io Cn.nae w— wn1oU1 nw— TM Grr• ,n ."w .1 nm• et del •el ;—wl, norwwnY•M� IrY 40 wprn nOmn Wnn•une .M Ye• bu. I(iu .an•a
or , .-0— uamuu lab owl.—, Orm " ceeewon. on -- u"',
eee CUSTOMER COPY
Specifications versa•kart 90..
COLOR —Standard greenar�.
black in any cornhi natio n (tic body,
or both the same color). Custom
coleus amiable.
LID AND MGE — Convex -
shaped 32" x 30", keeps out ram,_•
wind, snow, dogs and other atnous
animals —even rats. No odor ...no
flies! Lid swings up and hangs
down the back of the cart, out of L
the way, so residents can dump
trash easy without spIling. For
semi -automated systems, high—
tension rubber windlatcn can be I I
fastened, permitting over -packing. i
HANDLE — Large -gip sI —
"ded handle snaps m pLnoe a Ali y i ~
and holds securely. -- --- -
CONTAINER BODY — Strong,
smooth, lightweight, easy to hose
ma.and retains color for.lifetime. .
Rota tiana9y molded from linear
lowdensity„U,Y,-stabilized
potyeth)iene. Also available in
cross -forked pol),ethylene for
superior durability, and the correct
w•a!1 thickness to meet your _ ----
requtrements.
CAPACITY-VOLUSIF. & LOAD
— 60- and 901,ailon capacities.
Wheels and axle support load of
200+ pauds.
WIIEEIS & AXLE — Easy to
assemble. Axle is 314". Tbugh
plastic wheels with optional
seml•pneurnatle tires. 11'heel .
nssembly resists nlbl: almost
Impossible to bend. -
RECESSED FROM FLOOR
— *ML base is formed so the sides
nerve as abmtinn•resat.•mt pads,
leatirtg open spat on the hxtom
for easy hoscng of floor underneath
FOR SEMI- AXI)FULLY .-
SERLILNIMBERS&
LIFTINASVkE S—
I.IFTIN('SYSTEMS-7hc-
saitlraanbersnrep�mculcrllly
serLdnmbLmarhilntiwend ��r�a
Vers -Kart has features albwing
ha -stamped m wfLte alto thL
of conk systems frotn
N4.
ar L amd>'s is 1"
s nti. to
senu• to flcY automated without
Itigh The city tv c(xllpiny nvtw
city
aating toch-inge containers. It's
and state are ellb ),tL•dono
kart 90
ready for now —and the future!
Cuuainer W.
A
,
Amerl-Ka►t co►p.
4i3 Imlusuu Rand r Gutdard, Kunsan liSu52 / (316) 7M•2:13 / i.8N)•f,Ll-2 751 FSif (316)
SDe6fica1dons'-',ve09azkart-90
t
You're ready for the future with ttie Versa-Kart.90!—'—:---•_--
It allows you to change from semi- to fully automated
truck lifting systems without having to change con--- — --:
-- - \—'— -
tainers. It's one more advancement in efficiency from I
;
the innovators in waste systems technology. Helping -I i--
your business become more predictable, more
manageable. and more profitable.—
. Saves Iabor, fuel, time. Collection will --
— - -
take fewer trucks, each operating more quiddy with I I I
I I
less idling time. You can reduce the number of employees--
— — —I i 38' 44^
and the number of hours each spends on a route.
Reduces back injuries. Lowers workere comp _
—
rates. Versa-Kart's hydraulic collection method reduces,_
—�—.—' — - • -- . - .
strain on the collectors' backs and 'increases sanitation
Youll see employee downtime reduced and probably -•—•—•---
—• -- -
can merit lower workers compensation rates.
Attracts more dependable workers. By ortnitmng— —
—'—;— '
back -breaking chores and improving work conditions, I I
I -._- . 6o gaaom and 90, pflmu _.
news feel better on the yob and feel better abima the
job ... taking more pride in their work. Helps reduce
employee turnover. I I I
I I
Inrteecrwreeidentsatisfaction. Versa -
Kart usually holds a full week's trash... dumping'
easy without spilling ... and. with serni-automated;--
systems, the Versa -Karl's high-tension latch allows
over -packing. The snap -fit lid keeps out inin and snow
as well as annals. And there's no odor ... no flies; So, !-_!_
they can park their container right next to the house,
then roll it easily to the curb on collection day. Your —-
workers wont have to enter their private property, or
confront fenced -in dogs. . -i—
Residents prefer Versa -Karts, saying they would_
_ _
never go ha-k to noisy, dented steel cans and costly �
trash bags. -
_ •-- .:_
Warranty: Five years. pn*rated. I
Municipal managers: You%lower collection costs
and help create a cleaner• healthier, more attractive city.
\
Private haulers: Ifere's your immediate: marketable- _.
edge over competition and a source for increased nxmthly
per -resident profit. A quick return on a wise investment! '
Poly -Lift
At the heart of the Versa -Kart 90 system is the
hydraulic Poly -Lift, the strongest. most durable and '
rebihle. on the industry. Models available for rear or sick -
loading plus a model that folds under the trek. Less
time (8•10 seconds), less risk of injury, and less fatigue.
ma niirrm
EQUIPA1t" i`I"
Call or write for further information on the
Versa -Karl system ... how to intrrrduce it on 595 Aldine St
your routes... and how to use it to attract Sc PA Murn. &I101 i'dy-Lift
new customers. fineohone Alt& Cade E126.5•r.7:?
M a warn. l euU e:2•Sa t 7 '
A Amerl-Kart Corp. cm hduauul k d I Gddud, ltansae (i70621(31M 701.2213 1 1•g(xl•573.2475I Ric: (316) �7�
..,,,k..... ......... I.., 1....1. ,.,, .., -
Council Agenda - 5/13/91
B. Consideration of a resolution on the 1991 sidewalk
improvement, approving plans and specificationst authorizinq
advertisement for bids, and orderinq a public hearinq;,
Consideration of acceptinq the 1991 Sidewalk Inspection Report
and orderinq a public hearing on its contents. p .S.)
REFERENCE AND BACKGROUND:
New sidewalks slated for construction this year include the
west side of Maple Street (from 4th Street to 6th Street), the
north side of 6th Street (from Maple Street to Minnesota
Street), the east side of Minnesota Street (from 6th Street to
7th Street), the north side of 7th Street (from Walnut Lo
Highway 25), and the east side of Walnut Street (from 7th
Street to the Monticello Library). The length of new sidewalk
proposed for these areas totals 2,526 lineal feet. In
preparation for this project, we placed an amount of $45,000
in the 1991 budget.
Our estimated cost for contractor construction is about
$33,600. The cost for work performed by City crews such as
providing fill materials and miscellaneous patching and
removals, as well as inspection, is $5,500, bringing the
estimated total to $39,100. Adding $400 for advertising
brings us to $39,500. This figure divided by the lineal
footage of sidewalk on the job brings the project cost to
$15.64 per lineal foot. Property owners are to be assessed
25% of this cost, or $3.91 per lineal foot. This is an
average of all costa. Last year's cost assessed to property
owners for a 5-foot sidewalk, including removal of the old
sidewalk but not inspection costs, ranged from $3.30 to $3.94
per lineal foot.
In addition to the now construction, Tom Bose, our inspector,
has performed the 1991 sidewalk inspection. There Is a
limited amount of repair work to be done on the on -grid
sidewalks. As per our policy, the City will replace up to two
panels free of charge for any property owner on the grid
system. if more than two panels (normally 6 feet In length
each) are needed to be replaced, the property owners share in
the cost by paying 25% of all panels replaced. At this
meeting, the City Council is asked only to accept the report
and call for a public hearing on its contents, at which time
the repairs can be ordered. We will Include as an alternate
:n the major sidewalk improvement project the concrete work
for replacement of th000 oidowalks on the grid fnund unsafe in
the inspection report.
15
Council Agenda - 5/13/91
Lastly, we have sidewalk left over from last year off the grid
which was not repaired or replaced. We will ask for quotes
from local contractors for the removal of those sidewalks. We
will also have our major contractor do the repair work on any
sections needing replacement. On those areas off the grid,
100% of the replacements and removals would be charged to the
property owners. Since it is still possible that these
property owners will repair or replace their sidewalk, the
actual quantity of work to be performed is questionable.
The specifications for the major sidewalk improvement are not
enclosed within the agenda due to length. They are available
for review at City Hall. The plans for the project, however,
are included for your review.
ALTERNATIVE ACTIONS:
1. The first alternative is to approve the plans and
specifications for the 1991 sidewalk improvement project,
authorize advertisement for bids, order a public hearing
on the improvement, and accept the 1991 Sidewalk
Inspection Report and order a public hearing on its
contents.
4,'pp .1'1
2. The second alternative would be to approve c.he 1991
' sidewalk improvement project, approve plans and
specifications, authorize advertisement for bids, and
order a public hearing, but not to Include the 1991
Annual Sidewalk Inspection Report at this time.
The third alternative would be to add or delete sidewalk
from the 1991 improvement project and include or not
Include the annual inspection report.
C. STAFF RECOMMENDATION:
It is the recommendation of the Public Works Director that the
City Council approve the plans and specifications for the 1991
sidewalk improvement project, authorize advertisement for
bids, and order a public hearing. In addition, it is
recommended that the Council accept the 1991 Annual Sidewalk
Inspection Report and order a public hearing on its contents,
all as outlined in alternative 01.
D. SUPPORTING DATA:
Resolution for adoption; Copy of the plans for the 1991
sidewalk improvement project; Copy of the 1991 Annual Sidewalk
Inspection Report.
16
RESOLUTION 91-
RESOLUTION APPROVING PLANS AND SPECIFICATIONS,
ORDERING ADVERTISEMENT FOR BIDS,
AND CALLING FOR PUBLIC HEARING ON
SIDEWALK IMPROVEMENT SW91-1
WHEREAS, a report has been prepared by the City of Monticello with
reference to the Improvement of sidewalks along Maple Street,
Minnesota Street, 6th Street, 7th Street, and Walnut Street, and
this report was received by the Council on May 13, 1991.
WHEREAS, plans and specifications for the improvement of sidewalks
along Maple, Minnesota, 6th, 7th, and Walnut Streets has been
presented to the City Council for approval.
NOW, THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF MONTICELLO,
MINNESOTA:
1. Such plans and specifications for the sidewalk improvement
project are hereby approved.
2. The Council will consider the improvement of the various
sidewalk locations in accordance with the report and the
assessment of abutting property for all or a portion of the
rust of. the Improvement pursuant to Minnesota Statutes,
Chapter 429, at an estimated cost of the improvement of
S
3. A public hearing shall be hold on such proposed improvement on
the 28th day of May, 1991, In the Council Chambers of the City
Hall at 7:00 p.m., and the City Administrator shall give
mailed and published notice of such hearing and improvement as
required by law.
4. The City Administrator shall prepare and cause to be inserted
in the official newspaper an advertisement for bids upon the
mnking of such Improvement under such approved plans and
specifications. The advertisement shall be published for 10
days, shall specify the work to be done, shall state that bids
will be opened and will be considered by the Council at
7:00 p.m. on the 2Bth day of May, 1991, in the Council
Chambers of the City Hall, Monticello, Minnesota. No bide
will be considered unless sealed and filed with the City
Administrator and accompanied by a cash deposit, cashier's
chock, bid bond, or certified check payable to the City of
Monticello for 59 of the amount of such bid.
Adopted this 13th day of May, 1991.
Mayor
City Administrator
gtt�r Gp�ASN
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CITY OF MONTICELLO
1991 ANNUAL SIDEWALK INSPECTION REPORT
MAY 9, 1991
n
1991 ANNUAL SIDEWALK INSPECTION REPORT
TABLE OF CONTENTS
Item Paqe
Location Map of Repairs . . . . . . . . . . 1
Sidewalk Inspection Criteria . . . . . . . . 2
Index of Repair Reports . . . . . . . . . . 4
J
SIDEWALK REPORT: 9/8/91
I
199\
S�\ "
Ey 0 GRt9)
TE:
In ittDt
71
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7
No. 94
41'
�f
EX
CITY OF MONTICELLO
SIDEWALK INSPECTION CRITERIA
I. DEFINITION
A pedestrian walkway (either bituminous or concrete) is a
smooth, continuous, horizontal plane generally 4 feet to
5 feet wide, parallel to curb or street driving surface in
both boulevard width and vertical height with a cross -slope of
28 to 48 to promote water drainage. It should be free of
hazards to pedestrians, bicyclists, and snow removal equipment
such as, but not limited to, cracks, settlements, protrusions,
both horizontal and vertical such as heaved panels (whole or
partial), tree limbs, and overhangs. There should be
pedestrian ramps where sidewalk meets curb on all new and
major restoration construction.
II. RECOMMENDATIONS FOR MAINTENANCE AND CRITERIA FOR REPAIR OR
REPLACEMENT
A. Recommendations for Maintenance
1. Drainage
Property owners will be encouraged to maintain
drdindye from the sidewalk areas and will b
notified when poor drainage is observed during the
annual inspections.
2. Small Cracks and Holes
Such defects larger than 1/4" but less than 3/4"
will be recommended to be sealed or patched using
approved materials. This will increase the
longevity of the sidewalk.
3. Overhangs and Hazards
Property owners will be asked to correct any
temporary hazards such as signs, mail boxes, tree
branches, or rocks or debris on the sidewalk or in
the path of a pedestrian which could cause a trip,
fall, or head injury.
B. Cause for Repair or Replacement
1. Any vertical sharp rise in a sidewalk panel over
1/4" in height which could cause a person to trip
or could catch maintenance equipment shall be cause
for replacement of the panel.
SIDEWALK REPORT: 3/8/91 Pago 2 OG
O
2. Any section of a sidewalk which has settled so as
to collect water shall be replaced or repaired by
jacking (when feasible).
3. Any holes exceeding 3/4" in diameter and any cracks
exceeding 3/4" in width and more than 1/4" deep
shall be repaired using approved materials.
4. Any sidewalk panel having a series of wide cracks
and holes so as to make repairs not practical shall
be replaced.
5. Any sidewalk panels with sharp crowns or heaving
which could cause a trip or fall when the sidewalk
is wet or slippery shall be replaced.
6. Any sidewalk panel that is peeling or spauling so
that loose material is consistently found on the
surface shall be replaced.
C. Replacement of Sidewalk
Any sidewalk replaced shall conform to standard
specifications for sidewalk construction as
recommended by the City Engineer.
SIDEWALK REPORT: 5/8/91 Pago 3
INDEX
1991 REPAIR REPORTS
Report # Page 4 Comments
OFF GRID
#1 . . . .
. . . . 5 . . . .
. . . . 1990 item
#2 . . . .
. . . . 5 . . . .
. . . . 1990 item
#3 . . . .
. . . . 5 . . . .
. . . . 1991 item
#4 . . . .
. . . . 5 . . . .
. . . . 1990 6 1991 items
#5 . . . .
. . . . 6
1991 item
#6 . . . .
. . . . 6 . . . .
. . . . 1990 monitor
#7 . . . .
. . . . 6
1990 6 1991 items
#8 . . . .
. . . . 6 . . . .
. . . . 1990 item
#9 . . . .
. . . . 6 . . . .
. . . . school property
#10 . . . .
. . . . 6 . . . .
. . . . 1990 item
#11 . . . .
. . . . 6 . . . .
. . . . alley item
ON GRID
#12 . . . .
. . . . 7 . . . .
. . . . monitor
#13 . . . .
. . . . 7 . . . .
. . . . replace step, damaged
by City
#14 . . . .
. . . . 7 . . . .
. . . . replace 1 panel
#15 . . . .
. . . . 7
replace 2 panels
016 . . . .
. . . . 7
monitor
#17 . . . .
. . . . 7 . . . .
. . . . replace 2 panels
#18 . . . .
. . . . 7 . . . .
. . . . repair util. damage
#19 . . . .
. . . . 8 . . . .
. . . . theater reconstr.
•#20 . . . .
. . . . 8
7 panel replacement
#21 . . . .
. . . . 8 . . . .
. . . . replace 1 or 2 panels
022 . . . .
. . . . 8
maintenance item
#23 . . . .
. . . . 8
replace 1 panel
#24 . . . .
. . . . 8
maintenance item
#25 . . . .
. . . . 8
monitor
026 . . . .
. . . . 9 . . . .
. . . . replace 115 sq ft,
library
#27 . . . .
. . . . 9 . . . .
. . . . replace 1 panel
#28 . . . .
. . . . 9
monitor
#29 . . . .
. . . . 9 . . . .
. . . . replace 1 panel
•#30 . . . .
. . . . 9 . . . .
. . . . replace 4 panels
#31 . . . .
. . . . 9 . . . .
. . . . alley repair, City
#32 . . . .
. . . . 9
monitor
#33 . . . .
. . . . 10 . . .
. . . . minor repair
034 . . . .
. . . . 10 . . .
. . . . minor repair
#35 . . . .
. . . . 10 . . .
. . . . replace 1 panel
•NOTE: Requires property owner notification due to
r cost sharing.
1
9IDEWALX REPORT: 5/8/91 Page 4
1991 REPAIR REPORTS
Based on the 1991 sidewalk inspection completed May 8, 1991, as per
the inspection criteria accepted by the City Council on June 7,
1990, all of the sidewalks in town are in acceptable condition
having only random minor cracks to be monitored with the following
exceptions:
OFF GRID REMOVAL OR REPAIRS NEEDED:
#1 River Street (north side)
Maple --Linn
The majority of the sidewalk from the driveway at 413 West
River Street to Linn Street is cracked or settled past 13 Linn
Street. It is the homeowner's choice to remove or repair.
See 1990 Report #1.
#2 River Street (north side)
Wright --Ramsey
Small vertical rise at 501/507 property line could be fixed by
jacking settled panel as homeowner did on last year's reported
problems. There are cracks and settlements in the third and
fourth panels west of the walk to 525 East River Street. The
Sidewalk is below boulevard grade from approximately 20 feet
east of walk at 525 East River Street. The repairs needed at
525 East River Street are as they appeared on the 1990
Report #2.
#3 River Street (north side)
River at Walnut
The steps in the northeast corner of the intersection of River
and Walnut along with the handrail are in such disrepair that
they should be removed completely or replaced completely.
#4 Broadwav (south side)
Palm --New
Heavy spauling on all panels except ono at 313 East Broadway.
Vertical rise between fifth and sixth panels west of walk to
355 East Broadway (331/353 property line). No sidewalk
through driveway to 319 East Broadway. Last two items are as
listed on 1990 Report V .
SIDEWALK REPORT: 5/8/91 Page 5 D
g
#5 4th Street (north side)
Minnesota --Maple 1
Ninth and 13th panels east of Minnesota have bad cracks and l
slight vertical rises. Replace 4.7 x 5 and 4.6 x 5 panels.
#6 4th Street (south side)
Locust --Walnut
Two slight vertical rises in walk past church. Continue to
monitor as per 1990 Report #13. No immediate repairs needed.
#7 4th Street (south side)
Cracked and settled panel just west of Cedar at pedestrian
ramp should be replaced (5.3 x 5.0). Other cracks listed on
1990 Report #14 will continue to be monitored.
08 4th Street (north side)
New sidewalk at sewer service to 201 East 4th Street has dip
in it, sidewalk 1" below boulevard grade. Small panel (2'x2')
sidewalk is up to 1" below boulevard grade, though 20 feet of
sidewalk west of house walk at 225 4th Street is in fairly
good condition. Cracked and settled/heaved panels from 4 feet
east of house walk to new peaestrian ramp. Tree overhangs.
These items were reported on 1990 Report #11 and neighbors at
207, 213, and 219 removed their walks.
#9 Monticello High School
Spauling in four panels in sidewalk west of school on private
property; separate letter to be sent.
010 Linn Street (west side)
Broadway --River
Some settling and overgrowth approximately 12 feet north of
Broadway sidewalk. See 1990 Report #15.
#11 Walnut Street (west side)
Broadway --River
Fourth panel north of Broadway is cracked with 1" gap. Second
panel south of alley has 3/8" crack. Replace 5 x 5 panel,
monitor crack. Curb protrusions at alley are cracking and
breaking up. These had been noted at the time of streetscape
but wore deleted due to possible alley relocation.
J
SIDEWALK REPORT: 5/8/91 Pago 6
ON GRID
#12 Broadway (south side)
Chestnut --Elm
Cracks and slight settlement at third and fourth panels east
of Chestnut. Monitor for possible future repair.
#13 Broadway (south side)
Maple --Minnesota
New step at Peterson-Grimsmo broken. Will be repaired as
separate item.
#14 Broadway (south side)
Linn --Maple
Vertical rise at driveway to 418, replace 5' x 5' x 6".
#15 Broadway (south side)
Locust --Linn
Crack and settlement in walk at driveway to 320 West Broadway.
Replace panel 6' x 6.5' m 6", sa,�%,cut 12.1 feet. Vertical rise
( between second and third panels west of driveway to 342 West
Broadway, replace 6' x 5.5' x 6".
016 Broadway (north side)
Maple --Linn
Spauling to the point of exposed aggregate at Trinity Lutheran
Church. Church may want to consider total replacement in the
not -too -distant future. (Going easy on salt during winter
will extend life.)
#17 Broadway (north sides
Linn --Locust
Vertical riso between panels at 313/303 property line, replace
6.3' x 11.7' panel.
#18 Broadway (south side)
Locust --Walnut
J Repair utility construction damage 16 sq ft exposed aggregate,
4 sq ft smooth concrete in southwest corner of Broadway/Walnut
` intorsoction.
SIDEWALK REPORT: 5/8/91 Page 7 Ory
b
#19 Broadwav (north side)
Cedar --Pine
Part of existing sidewalk approximately 2.5' x 30' removed for
construction of theater addition.
020 Broadwav (north side)
Cedar --Palm
Two panels west of driveway at 255 East Broadway appear to be
trapping water. Check slope for possible replacement. Seven
panels (4' x 4.51) at Lindquist Funeral Home have heavy
spauling.
f21 Broadwav (south side)
Palm --New
Cracks and slight settlement In 13th and 14th panels east of
Palm.
f22 Broadwav (south side)
Now --Wright
Slight settlements in walk at 424 and 426 not changed since
1990 Report 449. Maintenance item; regrade boulevard to
maintain drainage.
i23 Broadway (south side)
Hennepin --Washington
Cracked and settled panel at house walk (over water trench)
with vertical rise along back edge; replace 30 sq ft of walk.
#24 Walnut (west side)
Broadway--3rd
Small (2' x 2') panel flaking approximately 6" x 12" possible
to epoxy patch.
025 Walnut (east side)
3rd--4th
Cracks have not gotten any worse from 1990 Report i61;
continue to monitor.
SIDEWALK REPORT: 5/8/91 Pago 8
#26 Walnut Street (east side)
4th--Railroad tracks
Cracks in pedestrian ramp, second, third, and fourth panels
north of library. Replace 115 sq ft of walk.
#27 4th Street (north side)
Pine --Walnut
Cracked and settled panel on east side of Security Financial's
driveway. Replace 4' x 4.5' panel.
#28 3rd Street (south side)
Walnut --Pine
Cracks and slight settlement at Ben Franklin/Security
Financial property corner; Continue to monitor.
#29 3rd Street (north side)
Walnut --Pine
Light spauling in fourth panel west of Flicker's driveway.
Cracks have not changed from 1990 Report #33. Replace
4.6' x 6' panel.
030 3rd Street (north side)
Pine --Cedar
Dip in new sidewalk at AV Room, 1-1/4" vertical rise in walk.
These items were in 1990 Report #53, but it was decided to
wait with repairs until tree was removed. Replace 24' x 5'.
#31 Pine Street (east side)
Broadway--3rd
Entrance to commuter lot cracked and settling; replace
7.3' x 9.6' x 6" and 20 L.F. B6-24 curb.
#32 Cedar Street (east side)
4th--Railroad tracks
Panels continuing to spaul fifth through tenth panels south of
4th Street are the worst. Continue to monitor.
SIDEWALK REPORT; 5/8/91 Pago 9
- O
#33 Pine Street (west side)
Railroad tracks--6th
Part of pedestrian ramp in northwest corner of 6th and Pine is
broken and settled below curb. Walk pulled away from curb up
to 1 inch. Replace damaged area and groute between curb and
walk.
#34 Pine Street (east side)
Railroad tracks--6th
1-1/4" to 1-1/2" gap between pedestrian ramp and curb in
northeast corner of 6th and Pine, groute gap.
#35 Pine Street (east side)
Freeway entrance --Oakwood Drive
1" vertical rise between fourth and fifth panels south of
signal light at east bound freeway entrance. Replace
5' x 5.5' panel.
J
SIDEWALK REPORT: 5/8/91 Page 10
Council Agenda - 5/13/91
9. Consideration of appointing individuals to membership on newly
established parks commission. (J.O.)
REFERENCE AND BACKGROUND:
A few months ago, City Council developed an ordinance
amendment which called for establishment of a parks
commission. City staff then advertised the parks commission
vacancies in several issues of the Monticello Shopper and
Monticello Times. In response to the advertising of the
availability of the positions, four individuals have stepped
forward to volunteer for parks commission membership, which is
one short of the five -member board established by Council.
Given the fact that four members of the commission constitutes
a quorum, it may make sense at this time to formally appoint
the four members and consider appointing the fifth member at
such time that someone comes forward to fill the fifth spot.
The group may be one short of full membership, but it is a
powerful and experienced line-up.
The four individuals that have volunteered to serve on the
commission include Larry Nolan, Dick Frie, Bruce Thielen, and
Fran Fair. Larry Nolan is a member of Monticello Rotary and
Director of the NSP Training Center. Dick Frie has developed
numerous recreation facilities in his 30 years as Monticello
Schools Athletic Director. Bruce Thielen is now serving as
Parks Director for Wright County. Fran Fair served on the
Planning Commission and Council for many years.
ALTERNATIVE ACTIONS:
1. Motion to appoint Larry Nolan, Dick Frio, Fran Fair, and
Bruce Thielen to the parks commission.
Under this alternative, Council is satisfied with the
background and credentials of the individuals that have
volunteered and is comfortable with appointing applicants
without a need for an interview session.
2. Motion to table or deny appointment of individuals to the
parks commission.
If the Council has a change of heart regarding the
establishment of the parks commission, or if there are
more than two individuals that the Council fools should
not serve on the parks commission, then the item should
be tabled until such time that at least throe parks
commission members could be appointed to the parks
commission.
17
Council Agenda - 5/13/91
C. STAFF RECOMMENDATION:
Staff recommends that City Council appoint the four
Individuals listed to the parka commission. All of the
individuals are well known for their service to the city or
county and are capable of providing fine service to the City
via membership on the parks commission. It is recommended
that the fifth position remain vacant until such time that a
qualified individual steps forward to volunteer for the
position.
All of the applicants have received a copy of the ordinance
which outlines the duties and expectations of the commission.
Since all of the applicants appear to be qualified for service
and since there is no surplus of interested volunteers, staff
did not arrange for an interview session. If Council so
desires, an interview session could be arranged prior to
formal appointment.
D. SUPPORTING DATA:
Applications and resumes submitted by parks commission
applicants.
to
Council Agenda - 5/13/91
10. Consideration of further action regardinq police commission
appointments. (R.W.)
A. REFERENCE AND BACKGROUND:
During the past few months, City staff has placed five or six
advertisements in the Monticello Times and the Shopper seeking
applicants for the newly established police advisory
commission. To date, the City has received only two
applications for the commission, one from Curtis Schmidt of
13 Riverside Circle, and another from David Gerads, 303 Vine
Street. In addition, former Councilmember Warren Smith has
also expressed interest in serving on the commission.
The tentative ordinance amendment establishing the police
commission indicates that four general members along with one
Council member will be the composition of the commission. It
appears that if the Council wishes to continue with the
establishment of the advisory commission, the Council may want
to individually or as a group recommend an additional
appointee for this commission.
Our current contract with the Wright County Sheriff's
Department does have a provision which establishes the Mayor
or other persons from the Council as police commissioners for
the purpose of making periodic contacts with and attending
meetings with the Sheriff and/or his representatives
concerning our contract or other police activities. This
alternative exists regardless of whether a police advisory
commission is established.
B. ALTERNATIVE ACTIONS:
1. Continue to advertise for additional applicants.
2. Council and/or staff contact individual citizens to see
if they're interested in appointment to the commission.
3. Appoint the Mayor and/or Council reprosentatives to act
as police commissioners according to the contract.
C. STAFF RECOMMENDATION,
With only three applicants oxpressing interest based on our
five or six notices In the paper, I'm not sure If additional
advertisements will generate any more interested parties. If
the police advisory commission is going to be established, it
appears the Council may have to personally contact and select
other individuals to serve on the commission. If there are
not other individuals interested, the Council can continuo the
police commission functions as already established In our
Sheriff's contract arrangement.
D. SUPPORTING DATA:
Copies of the two applicant's resumes.
19
Council Agenda - 5/13/91
11. Consideration of purchase of additional pipe locator for the
water department. (J.S.)
A. REFERENCE AND BACKGROUND:
The water and sewer collection department currently has two
locators. One locator is a wand type magnetic locator similar
to the one used in the street department, which locates only
ferrous metals near the surface such as manholes, gate valves,
and curb shutoffs. The other locator is an electronic
locator, which is a Model 810 Metrotech. The 810 unit is used
for tracing water lines, and we have on occasion used it to
trace sewer lines. Since its use depends upon a transmitter
placed on a conductive circuit, we must place a metal snake in
the sewer line in order to be able to trace It. This unit has
worked well in the past and was a significant improvement over
the witching method used by the City employees previously, it
does, however, have some limitations. The signal generator or
transmitter must be located near the search area. The
operator cannot move any significant distance away from the
transmitter. In addition, it is easily sidetracked by such
things in the area as telephone lines, gas lines, and electric
lines, and often picks up false readings. We are not
proposing to replace the 810, as It is still in good working
order and does work well in some instances where the newer
models won't.
We have proposed to purchase an additional locator, which
would be a Model 850 Metrotech. The 850 is easier to operate
than the 810, has a stronger signal which will allow tracing
up to one-half to a full block away from the transmitter
without relocation. The signal doesn't bleed over as much as
the 810; therefore, It 1s not as susceptible to picking up
false signals from other piping or wires. It also has a
rechargeable battery, whereas the 810 unit requires
replacement batteries. Since the 850 is a smoother operating
machine, it will allow us to do a better, more accurate job of
locating. In addition, when a sewer snake is placed In a
sewer lino up to an obstruction, the 850 will locate the exact
spot of the obstruction, whereas the 810 may wander a few feet
and gives only an approximate location.
When preparing for this item in the budget, we placed an
amount of $2,300 for the proposed purchase in the water fund.
We had assumed we could use a special clamp from our Model 810
with the now 850. This, however, was not the case, and the
850 requires its own special pipe clamp. Consequently, the
purchase price is $2,650, which Is $350 over budgot. We have
Included two quotes obtained by the Water Superintendent. It
appears that Davies Water Equipment of Minneapolis is the only
supplier of this equipment In our area.
20
Council Agenda - 5/13/91
B. ALTERNATIVE ACTIONS:
1. The first alternative is to authorize the purchase of the
Metrotech 850 from Davies Water Equipment with the
6 i special clamp and case at a price of $2,650.
9 2. The second alternative would be not to purchase the 850
rp at this time but continue to use the Model 810.
3. The third alternative would be to purchase the Metrotech
850 and trade in the Model 810. It is estimated that the
trade-in value for the 810 is only around $300, and we
would be much better off keeping it as a backup unit and
for special instances where the 850 is not as effective
as the 810.
C. STAFF RECOMMENDATION:
It is the recommendation of the Public Works Director and
Water Superintendent that the City Council authorize the
purchase of the Metrotech 850 for $2,650 from Davies Water
Equipment as outlined in alternative Y1.
D. SUPPORTING DATA:
Copy of quotes as obtained by the Water Superintendent; Copy
of informational brochure on the Metrotech 850.
21
05iO3i91 14:04 @ 415 962 9527 METROTECH CORP
Vdml
TO:
CITY OF MONTICELLO
250 F. BROADWAY
MONTICELLO, MN
ATTENTION:
MATT THEISON
fjMETROTECH'
QUOTATION
OUR SALES FIEPRESENTATIVE IN YOUR AREA IS:
Frank Neikirk
219/867-1773
YOUR REFERENCE: QUOTATION NUMBER. GATE OF OUOTAT ION'
VERBAL 840 5/3/91
In compliance with your inquiry, we are please to submit the following quotation.
ITEM OUANTITY PART NUMBER DESCRIPTION UNIT PRICE AMOUNT
1 1.0 850 AF LINE TRACER $2.630.00 $2,630.00
2 1.0 5120 AF MFTROCLAMP 269.00 269.00
FOB MOUNTAIN VIEW, CA
12,899.02
Rv: P I . OA :R
NOTE:
1. TAI, quClnipn IA' 30 O1y1'
7. Mnw,r: THIRTY
ARORTY DAYS
].TERMSI NET 30 UPON CREDIT APPROVAL TITLCI ORDER PRESSING SUPERVISOR
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DATE O.I.P.tl
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JOB
CUSTOMER �!
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•(612),533-2591 4010 LAKE BREEZE AVE.
MINNEAPOLI3 MN 55429
BID DATE
SOD-322-3499
CUSTOMER a
SHIP TO
® QUOTATION
O ORDER IN PROGRESS
CUSTOMER P.O.s
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QUOTED -
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TELEPHONE
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Terms and Conditions As Noted On Reverse Side
I • V
SALESMANr�!
METROTECH" .50
The 850 Audio Frequency Line Tracer
• Excellent isolation from adjacent utilities
• Efficient high power transmitter facilitates long distance
tracing
• Use inductively or with clamp
• Visual and audible left right guiding system
• Digital signal strength indicator
• Automatic Sensitivity Control, no manual adjustments
• Push Button Depth Indicator for instant depth readout
Audio Frequency Line Tracer
The powerful 850 Line Tracer gives
better isolation and longer range tracing
of underground pipes and cables in
congested areas.
i Visual and audible left/right guiding system
guides the operator toward the conductor path,
■ Digital signal strength indicator, an easy -to -
read, three-digit.liquid crystal display (LCD)
allows the operator to pinpoint the target
conductor.
■ Push button depth indicator —with the push
of a button the LCD indicates the depth of an
underground pipe or cable.
• Single control switch activates the ON/OFF,
BATT TEST, and OPERATE modes. eliminating
multiple settings.
■ Automatic sensitivity control eliminates the
need for manual adjustments reducing human
error factors.
The audio frequency (AF) 850 Lino Tracer is an eacollonl
instrument for tracing in highly congested urban areas and for
long distance tracing of telecommunication, power, and oil and
gas transmission lines. The tower audio frequency prevents
the applied signal from "blooding- or "jumping ofl" onto adja-
com conductors facilitating the isolation of a particular conduc.
tot in a congested area. The high power transmitter enables II
10 trace Over much longer distances than is possible with
traditional radio frequency locators.
Tho 850. operated from a standing position, foaturos a
I0111right guidance system which directs the operator toward
the conductor path. A simultaneous field strength display aids
in pinpointing the Conductor, and with the push of a button, tha
depth of the conductor appears on the LCD. The sensitivity Is
automatically controlled to compensate lot changes In signal
strength Caused by changes in conductor depth and attonua-
ton of signal over distance. This instrument is designed to
minimize olocttical interference,
0
M ETR ®TECH" 55®
Because of the increasing density of underground utilities, the
need for fast and accurate locating instruments has never
been greater. The 850 AF Line Tracer offers advanced and
automatic features to ensure the best possible identification
and trace of continuous metallic pipe or cable.
Having positioned the transmitter and energized the target
conductor (either induclrvety or Conductively) the operator is
ready to begin tracing. The receiver is held in front of the
operator from a standing position.
The following features simplity the tracing operation:
Visual and Audible
Left/Right Guidance System
Directs the Operator to the conductor via the position of the
directional needle and the presence or absence of a steady or
pulsing tone. If the needle moves to the right (the tone will be
steady), the operator should move to the right; i1 the needle
moves to the loft (the tone will be pulsing), the operator should
move to the left; when the needle is centered and the tone is
absent the operator is over the target.
Digital Signal Strength Indicator
The Digital Signal Strength Indicator also guides the operator
toward the target conductor. The LCD displays the numerical
value of the field strength in small increments which assists
the operator with pinpointing the target (the highest value
pinpoints the position of the conductor).
9
,A 9
MOVE OVER MOVE
TO THE RIGHT CONDUCTOR TO THE LEFT
Automatic Sensitivity Control
Automatically compensates for changes in signal strength
caused by changes in conductor depth and attenuation of
signal over distance. No manual adjustments are needed.
This instrument is also designed to minimize electrical
Interference.
Push Button Depth Indicator
With the instrument tip in a
vertical position directly over _
the conductor, and a push of
the depth button, the depth /r
(in inches or centimeters) is
displayed on the LCD. a
e
�-�,�= :•�- sae u,cn.. `:_k�'t5
Human Engineered
All tracing and depth dOlormina•
tion is made from a standing posi-
tion (no stooping, squalling, or an-
gular measurements required),
Light in weight, the receiver is bal-
ancod for natural, comfortable right
or jail hand use, reducing opera -
for fatigue. All instrument road -
outs are in line•ol•alghl. A single
control switch aCtivalea all
functions.
0
For your locating needs—AFor RF7
Metrotech offers both —the 850 audio frequency instrument,
and the 810 radio frequency instrument. The audio frequency
650 is an excellent locator for long distance tracing and isola-
tion of continuous conductors. such as cables, in congested
areas. The radio frequency of the 810 makes It an ideal instru-
merit for tracing water and gas distribution systems where
insulators may be present and for general inductive use. The
850 is one of the few audio frequency instruments available
with inductive coupling Capabilities, however, the 810 would be
the instrument of choice if most of your locating is being done
inductively. The following table shows which instrument is best
suited for your application.
APPLICATION 010 aso APPLICATION trio am
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Technical Specificatlons-850
%nsmitter
Nominal Output Poweir:
0.6W and 2W
Output Frequency:
9820 Hz _ .002%, Crystal controlled
for lntederonco resistance
Batteries:
Rechargeable laod•iod(6V)
Charging is by 115 V, 60 Hz AC Power
source (supplied upon request), or
optional 12V charger,
Impedance Matching;
Automatic, no adjustments
Wmght:
58Ias (2.6 kill
Dimensions:
8'L . 4'W W . 61/.'H
(209. 10.5 . 17.2 cm.)
Receiver
Trace Accuracy:
s I In. from 0 to 0 ft. (91 cm.);
z 0%Nor 9It. (91 Cm) in owth
Depth Readout Accuracy:'
_ 10%uMor normal conditions
Sonstt.ny Control:
Automatic. no adNsinlmits
Dopth Roadw Rage:
To Q It. (400 cm,)
Batteries:
4 NEDA 1604A alkaline (9V)
eatery Test:
Indicated on meter
might:
4.1 lbs. (1.9kg,)
Dimensions (aaendod length):
02141. 7'6' W . 121/.M
(826. 18.4. 91.1 Cm,)
Temperature Range:
0 to nOrF ( - 18 to 49rC)
Shipping Weight (gross):
291bs. (clamp: odd 2lbs.)
(10 4 kg IClamp: odd .91 kg))
Shipping Dlmonsnns:
24 v.'L . 1 Wv' W . 17v: H
(61.6. 26,4 . 40,8 an.)
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Iwr.p•r•lur• apnea r.rrwpr. ml•rq•pp•4 eon 41tl •11•cl KLur•[.
DAVIES WATER EQUIPMENT CO.
4010 Lako Breeze Avenue North
Minneapolis. Minnesota SU29
Local (612) 513-2591
MN Wets 1-800-022-14gg
Standard Equipment
The Metrotech Model 850 comes complete with transmitter,
receiver, conductive attachments, batteries, charger, opera -
bon manual, and padded carrying case.
Optional Accessories
5120 Metroclamp for use on conductors four inches (10 cm.)
or less in diameter
Introductory Videocassette-17 minutes, VHS.
V. inch (PIN 6DOA029), Y. inch (PIN 60OA050)
Vehicle -Mount Charger for charging transmitter from
cigarette lighter receptacle (PM BOOBOOS)
Customer Service
User training, applications assistance, and servicing
are available. Service centers are in Nashville. TN and
Mountain View, CA.
Warranty
Ono year warranty on labor and material. Taxi available
on request.
Ordering Information
For information or dealer referral, please contact Metrolech
Corporation. Telephone: 4151940.4900. Telex: 2726454 (111
M ETR OTEC K
870 N00td A—
M.~ v— C4.roru4 040.3
415,e40490o TELE92726454
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Council Agenda - 5/13/91
12. Consideration of advertisement for bids for emergencv
generator for the Water and Sewer Collection Department.
(J.S.)
REFERENCE AND BACKGROUND.
During the planning for our water system improvements over the
past several years, the need for additional backup systems
during power outages in the water system was noted. Currently
during a power outage, our only water backup system is a
natural gas driven engine on well i2. With the
reconfiguration of the well pump and higher pressures, this
backup system is limited to 600 gallons per minute.
In 1988 with the construction of pump house i3 in the
industrial park next to our reservoir, we constructed a
generator room. This room is on the west end of the existing
building and contains a flow -through ventilation system,
exhaust port, and a multiple cord in place electrical hookup
system to power any combination of two 600 gallon per minute
booster pumps and the two lift stations pumps or water well
pump 03.
The building is set up in such a way that quick detachment can
be made from a trailer mounted generator so the generator can
be used elsewhere in the community. The size of generator
needed would be in the range of 100-125 kilowatts. To get a
size comparison, this unit would be about 1/4 the size of the
generator at the wastewater treatment plant.
The generator was not purchased with the major water
improvement bond project but was built into this year's
budget. There have been four periods of time the generator
could have been used in the past several years. Two major
power outages in the last year were 55 minutes each; and while
they occurred during a time when the City had adequate water
storage in the now tower, on one occasion one lift station
located at Chestnut and River Streets became critical. The
generator would be configured so as to hookup to all of the
City of Monticello's lift stations. The amount budgeted for
1991 was $35,000. This should be adequate to purchase the
generator for our noods. There are adequate funds left in the
original bond fund, so use of those funds to cut the 1991
budget is an option. Detailed plans and specifications have
boon prepared, and bids could be returned in time for the next
Council meeting.
22
Council Agenda - 5/13/91
B. ALTERNATIVE ACTIONS:
1. The first alternative would be to approve the
specifications as presented and authorize advertisement
for bids to be returned May 28, 1991.
2. The second alternative would be to modify or change the
specifications as desired by the City Council, advertise,
and still have the bids returnable on May 28, 1991.
3. The third alternative would be not to purchase the
emergency generator at this time.
C. STAFF RECOMMENDATION:
It is the recommendation of the Public Works Director and
Water/Collection System Superintendent that the City Council
approve the specifications as drafted and advertise for bids
as outlined in alternative 91. This proposed purchase has
been well thought out and planned and will result in increased
reliability to our water system as well as provide an
additional measure of safety in the sewer collection system. ,
Dean Sharp from OSM will also be reviewing the specifications
for technical content.
D. SUPPORTING DATA:
Copy of the specifications.
23
CITY OF MONTICELLO
SPECIFICATIONS
FOR
125 kW PORTABLE POWER GENERATION AND
DISTRIBUTION EQUIPMENT
May 3, 1991
s
TABLE OF CONTENTS
Article Paqe
Advertisement for Bids . . . . . . . . . . . . . . . . . . . 3
Invitation for Bids . . . . . . . . . . . . . . . . .
. . . 4
Time and Place . . . . . . . . . . . . . . . . .
. . . 4
Intent of Contract . . . . . . . . . . . . . . .
. . . 4
Bid Bond . . . . . . . . . . . . . . .
. . . 4
General Specifications . . . . . . . . . . . . .
. . . 4
Warranty. . . . . . . . . . . . . . . . . . .
. . . 4
Delivery Points . . . . . . . . . . . . . . . . .
. . . 4
Delivery Dates . . . . . . . . . . . . . . . . .
. . . 5
Liquidated Damages . . . . . . . . . . . . . . .
. . . 5
Collusion of Bidders . . . . . . . . . . . . . .
. . . 5
ProposalForm . . . . . . . . . . . . . . . . . . . .
. . . 6
Specifications . . . . . . . . . . . . . . . . . . . .
. . . 7
Description. . . . . . . . . . . . . . . . . .
. . . 7
SystemRequirements . . . . . . . . . . . . .
. . . 7
General Requirements - Engine Generator Set . . .
. . . 7
Supplier . . . . . . . . . . . . . . . . .
. . . 8
General Arrangement - Engine Generator Set . . .
. . . 9
Standards . . . . . . . . . . . . . . . . . . .
. . . 10
Testing. . . . . . . . . . . . . . . . . . . .
. . . 10
Submittals . . . . . . . . . . . . . . . . . . .
. . . 11
Handling . . . . . . . . . . . . . . . . . . . .
. . . 11
Safety. . . . . . . . . . . . . . . . . . . . .
. . . 11
Warranty. . . . . . . . . . . . . . . . . . . .
. . . 12
Trailer . . . . . . . . . . . . . . . .
. . . 12
Engine and Accessories . . . . . . . . . . . . .
. . . 14
Generator
17
Electrical Connections . . . . . . . . . . . . .
. . . 20
Crank Panel . . . . . . . . . . . . . .
20
Operator Training . . . . . . . . . . . . .
24
Purchase Contract . . . . . . . . . . . . . . . . . . . . . 25
POWER GENERATION SPECS: 5/3/91 Page 2
Q
CITY OF MONTICELLO
ADVERTISEMENT FOR BIDS
FOR
ONE (1) NEW 125 kW PORTABLE POWER GENERATION
AND DISTRIBUTION EQUIPMENT
Notice is hereby given that sealed bids for furnishing a new 125 kW
portable power generation and distribution equipment will be received by
the City of Monticello until 10:00 a.m. on Tuesday, May 28, 1991. These
bids will be publicly opened and read aloud at that time.
Each bid shall be submitted on a proposal form which is attached to the
specifications. Specifications are on file in the office of the City.
Administrator, 250 East Broadway, Monticello, Minnesota 55362.
Specifications will be furnished free upon request.
All bids must be sealed, marked "125 kW Generator," and addressed to the
City Administrator. Each bid shall be accompanied by a certified check,
cashier's check, or bid bond in the amount of 5% of the total emount of the
bid. Bids shall be based on such payment for the product described in the
specifications.
The right is reserved to reject any or all bids and to waive informalities
therein. Bids may be rejected for any alterations or erasures.
By Order of the City Council
Date: May 13, 1991
Rick Wolfsteller
City Administrator
Published in the Monticello Times on May 16, 1991, and May 23, 1991.
POWER GENERATION SPECS: 5/3/91 Pago 3
Q
CITY OF MONTICELLO
INVITATION FOR BIDS
ONE (1) NEW 125 kW PORTABLE POWER GENERATION
AND DISTRIBUTION EQUIPMENT
1. Time and Place
Sealed bids will be received by the City of Monticello, 250 East Broadway,
Monticello, Minnesota, until 10:00 a.m., Monday, May 28, 1991, for
furnishing, installation, and delivery of: One (1) new 125 kW portable
power generation and distribution equipment as specified.
2. Intent of Contract
Furnish, install, and deliver to the City of Monticello one (1) new 1991
125 kW portable power generation and distribution equipment meeting or
exceeding the specifications of this proposal. Only equipment in current
production will be considered in this award. This is to be a single source
bid. All bidders must be authorized distributors and service centers for
each piece of equipment they bid.
3. Bid Bond
All proposals must be accompanied by a certified check or bidder's bond
made payable to the City of Monticello for at least 58 of the amount of the
proposal, said surety to be forfeited to the City if bidder is awarded a
contract and fails to fulfill same.
General Specifications
The bid equipment shall be a new currently advertised standard production
model with all the latest changes and features. The enclosed
specifications contemplate the furnishing and installation of the above
125 kW portable power generation and distribution equipment. The equipment
shall be bid as a complete unit with all the attachments and auxiliary
equipment necessary to place it in an operating condition ready for
service. The unit shall be supplied with all of the items required by
federal, state, and local laws governing such equipment.
5. warranty,
The successful bidder Shall furnish the warranty specified and shall
properly replace or repair defoctive material parts, workmanship, and/or
inadequate design at no cost to the purchaser in accordance with such
warranty. Any warranty less than two years from delivery shall be noted
in writing with the bid.
6. Dolivery Points
Bidders shall include delivery to Monticello and start-up installation in
their price.
POWER GENERATION SPECS: 5/3/91 Pago 4
9
7. Delivery Dates
Bidders shall indicate on the attached proposal form the number of calendar
dates after receipt of order by which time all items specified shall be
delivered. A City of Monticello purchase order shall constitute
notification of award and official order.
8. Liquidated Damaqes
Time of delivery and installation of equipment is an essential and critical
provision of these specifications. If the successful bidder fails to
delivery the items pursuant to the delivery schedule indicated on the
proposal form or fails to supply a temporary replacement suitable to the
City, the purchaser shall have the right to deduct from any money or monies
due or coming due to the successful bidder the cost of rent and delivery
of a temporary replacement as determined by the City until the specified.
new unit is delivered and accepted. Any sums so deducted are not to be
construed in any sense as a penalty but rather liquidated damages sustained
by reasons of extra costs incurred by the purchasers.
9. Collusion of Bidders
Collusion between bidders is cause for rejection of all bids of bidders
thus involved.
POWER GENERATION SPECS: 5/3/91 Page 5
PROPOSAL FORM
CITY OF MONTICELLO
FOR
ONE (1) NEW 125 kW PORTABLE POWER GENERATION
AND DISTRIBUTION EQUIPMENT
City Administrator
Monticello City Hall
250 East Broadway
Monticello, MN 55362
The undersigned, having carefully read the foregoing specifications and
conditions relating to the subject equipment, hereby proposes to furnish
and install the following equipment at the price indicated, all in
accordance with said specifications and conditions.
Item 1. One (1) new 125 kW portable power generation and distribution
equipment.
S
Generator Make and Model
Item 2. Delivery: calendar days after receipt of purchase order.
Bid Bond or Certified Check $
The City further reserves the right to reject any or all proposals or award
the purchase based upon price, delivery, service, and model features, or
other items in the beat interest of the City. The proposals may not be
withdrawn for a period of 30 days from the opening.
Signature of Authorized Officer
Company
Address
City/State Zip
Date
POWER GENERATION SPECS: 5/3/91 Pago 6
CITY OF MONTICELLO
SPECIFICATIONS
FOR
125 kW PORTABLE POWER GENERATION AND DISTRIBUTION EQUIPMENT
PART 1: GENERAL
1.01 DESCRIPTION
A. Bidding requirements, conditions of the contract, and conditions
of the proposal form apply to the work of this section as fully
as though repeated herein.
B. It is the intent of this specification to secure a mobile
generator that has been prototype tested, factory built, and
production tested, of the latest commercial design, together
with all accessories necessary to make a complete system as
specified herein. The equipment supplied and installed shall
meet the requirements of the National Electric Code and all
applicable local codes and regulations. All equipment shall be
new, of current production by a national firm which manufactures
the generator and controls, and assembles the generator sets as
a matched unit so that there is one -source responsibility for
warranty, parts, and service through a local representative able
to supply factory -trained servicemen.
C. The scope shall include the furnishing and installing of the
engine -generator set, heat exchanger, fuel tank, crank control
panel, batteries, battery charger, trailer, and all associated
equipment.
D. The scope shall include furnishing and Installing the quick
change panel, portable cords, circuit breakers, and all
associated equipment.
1.02 SYSTEM REQUIREMENTS
A. Engine -Generator Set
1. Kilowatts (kW, minimum standby rating) 125
2. Kilovolt -Amperes (kVA, minimum) 256
3. Engine Speed (RPM max.) . 1800
4. Minimum Engine Horsepower 192
5. Fuel Tank Capacity, gallons 100
6. Battory - All ratin,3s at 77 deg F
a. Amp -Hours at the eight (8) hour rate 150
b. Broakaway current, amps a 425
C. Rolling current, amps - 275
7. Generator voltage ® 120/240 volts, 30, 4W b
480 volts, 30, 4W
POWER GENERATION SPECS: 5/3/91 page 7
0
1.03 GENERAL REQUIREMENTS - ENGINE GENERATOR SET
A. The generating equipment is required to provide not less than
the indicated kW at 0.8 power factor after deducting for
auxiliaries. A single unit shall provide the entire capacity
required. The auxiliaries shall include, but not be limited to,
heat exchanger fan, fuel pumps, water pumps, exciting equipment,
etc.
B. The unit shall consist of an engine generator and accessories,
all mounted on a common skid base, including mounting on the
specified trailer, including coolant, oil, filters, and all
other peripheral equipment. The radiator shall be mounted so
the top of the radiator is 6 inches minimum above the top of the
engine, or a separate coolant reserve tank shall be provided and
mounted above engine height with all required appurtenances..
The manufacturer shall be responsible for all engine generator
exhaust, coolant, and fuel piping.
C. All components shall be thoroughly tested and inspected and all
corrections necessary made before the equipment leaves the
factory.
D. The generator set shall include a quick -change panel, and the
unit shall be suitable for operating lift stations and two
booster pumps in a water reservoir in the city of Monticello.
Voltages that shall be available through triple cords shall be
480 volts, 3 phase, 4 wire for the water booster station with
two 40 hp pumps (sequence start, G code motors). A second
double set of portable cords shall provide 120/240 volts, 3
phase, 4 wire to operate 3 phase pumps up to 20 horsepower at
240 volts, 3 phase at numerous 120/240 volt stations. A voltage
adjusting potentiometer shall permit for adjustment of the
voltage +/- 10% of nominal at full rating (minimum) for stations
with different characteristics.
1.04 SUPPLIER
A. It is the intont of this specification that all equipment
specified in this section shall be furnished by a singlo-source
supplier.
B. The ongine-gonerator set supplier shall be normally engaged in
the assembly, installation, repair, and maintenance of
generation equipment. The supplier shall have provided at least
ten (10) systems of equal or greater complexity/size in the last
year.
C. The supplier shall be a factory -authorized sales, parts, and
service representative of the engino manufacturing company. The
supplier shall demonstrate that it has spare parts in stock to
service and maintain the engine and to repair the unit in 48
hours or loss for most failures.
POWER GENERATION SPECS: 5/3/91 Pago 8
a
D. The supplier shall have a service depot within a 50-mile radius
of Monticello, Minnesota.
E. The supplier shall modify or supplement the supplier's "standard
products" to meet these specifications. Standard products of a
particular supplier that do not meet the functional and
technical requirements of the specification are not acceptable.
F. The supplier shall have qualified, trained service personnel on
staff who are capable of maintaining and repairing the
equipment. The supplier shall be capable of offering an
extended service contract after completion of the warranty
period, including 24 hour, 7-day per week emergency services.
G. upon request, the supplier shall submit:
1. List of ten (10) projects referenced above, including
customer's name, contact person, and phone number.
2. Description of service contract capability, including
number of personnel, their location, and types of service
contract available.
H. The engine -generator set and related components shall be
supplied by one of the folowing companies in full conformance
with this specification.
1. Ziegler, Incorporated
Minneapolis, Minnesota
2. Cummins Diesel Sales, Inc.
St. Paul, Minnesota
Interstate Detroit Diesel, inc.
Minneapolis, Minnesota
4. or approved equal.
I. Delivery time is a critical part of these specifications;
therefore, the supplier is asked to indicate a delivery date
(expressed as so many calendar days after receipt of notice of
award) on the proposal form.
J. If delivery is later than the date indicated on the proposal
form, the supplier shall furnish or pay rent and delivery costs
for a suitable replacement as approved and determined by the
City until the unit specified is dolivered and accepted.
1.05 GENERAL ARRANGEMENT - ENGINE -GENERATOR SFT
A. The engine coolant temperature gauge, oil pressure gauge, and
fuel pressure gauge shall be unit mounted on the same panel.
The exhaust silencer and connections shall be furnished with the
silencer mounted outside the enclosure.
POWER GENERATION SPECS: 5/3/91 Page 9
0
B. A fuel tank shall be furnished and shall be of a type suitable
for pumping utilizing the engine unit mounted fuel pump. All
fuel piping shall be metallic except for a flexible section onto
the engine, which shall be high pressure hydraulic type hose
with an exterior metallic braid. The tank shall be furnished
with level indication. The fuel return line shall have no
valves or restrictions in it. Fuel fill appurtenances and the
gauge shall be mounted inside the enclosure.
C. An engine starting battery shall be furnished and shall be
mounted inside the enclosure.
1.06 STANDARDS
A. NEMA Motor and Generator Standards MG-1.
1.07 TESTING
A. Engine Generator
The manufacturer or fabricator of the engine -generator set
shall have a factory test on the unit and all components to
insure satisfactory operation. The manufacturer shall have
a six -hour, minimum, period during a normal working day set
aside for the test. Any necessary corrections shall be
made at the factory, and the unit shall not be shipped to
the plant site until approved by the City in writing. Two
copies of the factory test report shall be furnished to the
City prior to shipment.
2. The standby generating equipment is to be tested as a
complete unit, including engine, generator, excitation
system, together with all sub -systems as specified.
3. The manufacturer shall provide all equipment for the test,
including, but not limited to, ammetors, voltmeters, fuel
supply, frequency meter, and load banks capable of 10%
maximum steps to 100% of the engine -generator's continuous
standby rating; and the addition, in one step, of 50% of
the continuous standby rating from a 50% continuous standby
rating load point, or removal of the total load from the
generator in one step. The test program will cover the
following items:
a. Extendod oporation at 100% of continuous -standby
rating, 3 hours minimum.
b. 50% load to 100% load test with a +10% - 15% from
nominal voltage dip, maximum, permitted with frequency
fluctuation moasuromont. Codo F motor inrush
characteristics. Frequency deviation shall not excood
3 cyclos.
POWER GENERATION SPECS: 5/3/91 Pago 10
/L
C. Protective device evaluation.
d. Fuel consumption.
e. No load operation with an addition of load to 50% of
rating with 15% voltage dip maximum and frequency
fluctuation measurement.
f. Various 10% load additions and subtractions.
g. Evaluation of sub -systems, noise, component
installation and interconnections, workmanship,
quality, engine and generator performance, etc.
h. The test program will not start without all required
equipment, including, but not limited to, load banks•
and voltmeter as required. In addition, the unit
shall be cooled by its own radiator rather than heat
exchanger, etc., according to the specifications.
4. The City reserves the right to witness the test. Certified
test reports shall be furnished before the unit is shipped.
The manufacturer or supplier shall notify the City in
writing not less than 14 days prior to the test.
1.08 SUBMITTALS
A. Engine -Generator Set
1. The information shall include, but not be limited to:
a. An outline drawing indicating the general arrangement,
principal dimensions and loading; information on the
lubricating and control system.
b. Engine speed
Horsepower
Displacement
Batteries
Fuel
Starting system
Type of governor
Battery charger, etc.
Engine oil analysis information
C. Generator curves showing predicted saturation,
impedance and reactive capability, capacity,
insulation typo, temperature riso, etc.
d. Complete trailer details.
POWER GENERATION SPECS: 5/3/91 Pago 11
0
1.09 HANDLING
A. The equipment shall be suitably prepared to insure against
damage during shipment.
1.10 SAFETY
A. The unit shall be designed to minimize the danger of accidents
to operating and maintenance personnel. The manufacturer shall,
prior to shipment, verify that all electrical connections are
tight and that circuits are isolated, that on -set piping
connections are well made, and that standard equipment is
included and functions according to design.
B. The following will be considered standard safety items:
1. All rotating exposed components shall have suitable guard
covers designed to prevent accidental contact. The guards
shall be of substantial construction securely fastened in
place but removable for maintenance purposes.
2. Insulation shall be provided to cover external hot surfaces
of the engine where needed for fire prevention and
personnel protection. The exhaust manifold shall have a
shield unless it is water cooled.
3. The electrical system shall be designed so that there are
no exposed conductors. The exciter and voltage regulator
shall be supplied within metal enclosures to prevent
accidental contact. The control panel shall be of the dead
front type.
1.11 WARRANTY
A. The equipment shall be furnished free from all defects in
design, workmanship, and materials and shall be guaranteed to
give successful service under the operating conditions herein
specified for a period of two years or 2,000 hours, whichever
occurs first, after being accepted. Any defects or damage to
the equipment because of such defects duo to faulty material or
workmanship shall be corrected to the satisfaction of the
purchaser at the expense of the contractor. The entire set
shall be warranted by the manufacturer and supplier of the
engine. Optional extended warranties beyond two years may be
bid as an alternate.
B. During the eighteenth month of the warranty, the manufacturer of
the engine -generator set shall provide an oil analysis of the
engine lubo oil and shall provide test results to the City. Any
defects detected shall be repaired under the warranty.
POWER GENERATION SPECS: 9/3/91 Page 12
0
PART 2: PRODUCTS
2.01 TRAILER
A. The trailer shall be complete with running gear, integral fuel
tank in the frame, a frame of heavy duty non -twisting channels,
2-inch ball hitch, safety chains, front end jack, tires, surge
brakes, ICC lights, sheet metal enclosure, control panels,
batteries, battery rack, battery cables, muffler, louvers,
access doors, fuel gauge, and suitable storage space for
electrical cables and tools.
B. The running gear shall be of a two (2) axle four (4) wheel
design, each axle capable of 3,500 lb/axle. It shall include
9:50 x 15 ten (8) ply tires and 12-inch by 2-inch hydraulic
impulse brakes on all wheels. The overall width shall not
exceed 84 inches, overall height shall not exceed 7 feet
9 inches, and overall length shall not exceed 18 feet. The
trailer shall be stable at speeds up to 60 MPH.
C. The frame shall be constructed of a structural steel channel
iron box heavy duty to resist twisting and shall incorporate
wide flange beam cross supports. Drilled and tapped mounting
holes shall be provided for the electric set. A deck shall also
be provided. It shall be at least 3/16" thick and have "no -
skid" tread. The frame shall also include a 2-inch ball hitch
(as required by trailer weight) and a front end jack with sand
shoe and leveling jacks on rear corners. The trailer shall
include fenders, inner fender wells, fender braces, and
illuminated license plate bracket.
D. A fuel tank shall be Included and built within the frame. The
tank shall be not less than 10 gauge steel. Baffles shall be
included in the tank to prevent the fuel from sloshing while the
trailer is being towed. The tank shall have a minimum usable
capacity of 100 gallons and shall incorporate fill, vent,
suction, return, drain, and cleanout openings. All openings
shall be capable of being locked to prevent vandalism or shall
be within the enclosure. The suction fitting shall have a sand
screen and the opening shall be 1/2-inch from the bottom of the
tank. The tank shall be tested with water and air at a minimum
of 10 psig. A fuel tank gauge shall be installed in the tank
with a readout device in the control panel. The contractor
shall furnish 75 gallons of No. 2 diesel fuel.
E. The trailer shall be supplied with a 12 gauge weather -resistant
enclosure with lockable access doors. The enclosure shall be of
welded or bolted construction and capable of being removed for
servicing after the unit has been delivered. The enclosure
shall have at least two access doors in each side and an access
door in the rear of the unit. It shall have stationary louvers
for ventilation purposes. All doors, louvers, and access panels
shall be made of stool channels, welded, and shall have the
POWER GENERATION SPECS: 5/3/91 Page 13
0
panels attached or shall be made of steel with all sides
flanged, welded, and ground smooth with ribs in the center for
rigidity and shall have pin type hinges with grease zerks or
lift off doors. All components shall be cleaned and prime
painted and then finish coated with a minimum high grade of
gloss acrylic enamel with hardner exterior paint. Color to be
as specified by owner (bright yellow). The enclosure shall be
fitted with a vapor -tight 24 volt lamp and a timer switch.
F. The enclosure doors shall contain latches to hold the doors open
when desired if hinged.
G. A muffler equal to a residential grade shall be provided and
mounted outside the enclosure. A stainless steel flexible
exhaust connector shall be provided between the engine and
muffler. The muffler and piping shall be painted with a heat
resistant paint capable of withstanding 1200 degrees Fahrenheit.
The exhaust pipe shall include a gravity cap.
H. All access panels and doors shall be lockable, and the unit
shall be capable of running with all openings closed, locked,
and secured.
Make all necessary wiring between units as required to meet
electrical code.
J. Common ground all parts of unit to common ground lug on right
rear of trailer for connection to ground via the power cables.
2.02 ENGINE AND ACCESSORIES
A. General Requirements
1. The engine shall be a multi -cylinder, heavy duty, full
diesel type with mechanical fuel injection.
2. The engine shall have sufficient capacity to continuously
drive the generator and all accessories and deliver rated
electrical power at the generator terminals as specified in
the generator section. The engine shall be rated for
operation at an elevation of 1,000 feet above sea level at
85 degrees using the method outlined by the Diesel Engine
Manufacturer's Association in its book of Standard
Practices.
B. Speed
Engine Spoed shall not exceed 1800 RPM at normal full load
operation.
POWER GENERATION SPECS: 5/3/91 Pago 14
Governor
D. Fuel
The governor shall be isochronous, fully enclosed, and
self-lubricating. The governor shall be of the variable
speed type with self-contained oil pump and accumulators.
The capacity of the governor shall be 8 ft-lbs of work in
either direction through a terminal shaft rotation of
42 deg through a differential pressure servo -motor. The
governor shall have front panel adjustment for speed droop,
speed adjustment, load limit, and compensation. In
addition, the governor shall have a panel -mounted load
indicator and a sight oil gauge and oil cup. The governor
steady state band speed shall not be worse than +/- 0.5% of
rated speed. The housing shall be weatherproof. The unit
shall be suitable for the indicated engine speed and shall
operate from -40 deg to +220 deg F. An electronic governor
of equal or superior characteristics is an acceptable
alternate.
The engine shall be capable of stated performance using a
commercial grade of distilled petroleum fuel oil such as
No. 2 domestic burner oil. Engines requiring premium fuel
will not be considered.
The engine shall be capable of operating at idle or light
loads for extended periods of time without excessive
carbonization.
The contractor shall furnish 75 gallons of fuel for on -site
testing and initial operating of the engine -generator set.
Fuel System
The fuel injection system shall be of a type not requiring
adjustment in service. All parts of the injection system
shall be easily replaced from parts in stock.
The fuel system shall have fuel filters with replaceable
elements which may be easily removed without breaking any
fuel line connections or disturbing fuel pumps or other
engine parts. All fuel lines shall be metallic. No
galvanized steel fuel lines will be permitted.
F. Lubrication
The engine lubricating system shall include a strainer, oil
pump, oil filter, and a water-cooled, ongino-mounted,
lubricating oil heat exchanger.
POWER GENERATION SPECS: 5/7/91 Pago 15
0
The lubricating oil shall be continuously full flow
filtered and cooled by the system. The oil filter shall be
equipped with a spring loaded bypass valve to bypass oil
and thereby assure a supply of lubricating oil in case of
a clogged oil filter. The lube oil filter system shall
remove all particles of 15 microns and larger. The filter
element shall be of standard readily available size.
A gear -type lubricating oil pump shall supply oil under
pressure to main bearings, connecting rod bearings,
pistons, timing gears, cam shaft bearings, and valve rocker
mechanism.
G. Air Cleaners
One or more engine -mounted, dry -type air cleaners shall be
provided. Oil bath type air cleaners are not acceptable.
Cooling
1. The engine cooling system shall include a centrifugal
jacket water circulating pump, thermostats and a bypass
arrangement, and a water to air heat exchanger complete
with fan. The cooling equipment shall be capable of
circulating and cooling the coolant fluid to maintain the
engine and lubricating oil at the temperature recommended
by the engine manufacturer when the engine is operating in
an ambient air temperature of 105 deg F at an altitude of
1,000 feet above mean sea level.
2. The coolant shall be an anti -freeze mixture of 50% ethylene
glycol and 50% water, or 60% Downtherm 209 and 40% water,
or as otherwise recommended by the manufacturer and shall
prevent freezing at temperatures down to minus 35 dog F.
Exhaust System
1. A complete exhaust system shall be provided including
exhaust piping, silencer, flexible connections. All
material for the exhaust system shall be of corrosion
resisting materials. The silencer shall provide
residential grado silencing and shall provide a back
pressure within the maximum allowed by the engine
manufacturer. A stainless stool, corrosion resisting,
seamless convoluted flexible exhaust connector shall be
provided between the engine and the silencer. The silencer
shall be mounted outside the enclosure.
Starting
1. The engine -generator set shall be capable of starting cold
at 40 deg F from the heat of compression, operating on
POWER GENERATION SPECS: 5/3/91 Page 16
0
diesel oils of 28 deg Baume gravity, or over, and within 60
seconds be capable of delivering rated electrical output
with stabilized voltage.
2. The engine shall be arranged for electric starting and
shall be complete with cranking motor, battery, battery
rack, battery charger, and controls.
3. The cranking motor shall be sufficient in size to turn the
engine over easily and at a speed to provide rapid starting
of the engine. The motor shall be capable of providing not
less than three 30-second cranking cycles in three minutes
without overheating.
R. Battery
1. The battery supplied shall be of the industrial lead acid
type and shall have a capacity of not less than shown at
the eight (8) hour rate. The battery shall be capable of
providing three 30-second cranking cycles with a breakaway
current and a rolling current as shown in Section 1.03.
Paralleling of cells or batteries is not acceptable.
Included shall be all associated equipment for mounting,
securing, and servicing the battery assembly.
L. Accessories
1. The engine -generator package shall be equipped with, but
not limited to, the following accessories:
a. OSHA approved ear protectors (four (4) bets).
b. Thermostatically controlled water jacket heater to
maintain engine water jacket to 90 degrees F in an
ambient temperature of 0 degrees F. This shall be
wired at 120V single phase min., connected to the
service source with a reverse receptacle on the
trailer.
C. Fuel oil pressure gauge.
d. Lube oil temperature gauge.
o. Lube oil pressure gauge.
f. Lube oil level dipstick.
g. Jacket water temperature gauge.
h. Safety shutdown for low oil pressure, engine over -
temperature, low water, and engine over -speed. Safety
shutdown shall be by fuel or air cut-off.
POWER GENERATION SPECS: 5/3/91 Page 17
1. 24 volt alternator and solid state voltage regulator
to maintain batteries during engine operation.
J. Fuel level gauge.
2.03 GENERATOR
A. General
1. The generator shall be of the engine driven, single or two
bearing type, self aligning, continuous duty, salient pole,
synchronous type with amortisseur windings. The generator
enclosure shall be of the drip proof type. Only the line
and neutral leads shall be brought out for load
connections. The generator insulation shall be NEMA
Class F or better such that the generator life will match'
that of the engine. The generator shall be designed so
that with a minimum amount of labor all components are
completely accessible. The generator drive shall be free
from critical torsional vibration within the operating
speed range. The generator shall be warranted by the same
manufacturer as the engine. Replacement parts shall be
readily available.
2. The generator will operate three phase and/or single phase
loads at lift stations.
3. The generator shall have the following ratings:
Capacity, kW at 0.8 P.F., As shown in the
Continuous Standby General Requirements
Voltage, Volts As shown in the
General Requirements
Phases 3
Frequency, Hz 60
Insulation Class F
Temperature Rise (above) 130
40 degrees C ambient
Degrees C (NOTE: Temperature rise requirements
shall not be exceeded using
either resistance or thermometer
measurement techniques.)
B. Construction Features
1. The generator stator and rotor shall be built up of high
grade silicon steel laminations, precision punched,
deburred, and individually insulated. Windings shall be
carefully and thoroughly insulated for maximum moisture
resistance, high dielectric strength, and excellent bonding
POWER GENERATION SPECS: 3/3/91 Page 18
characteristics. Stator windings shall be wedged securely
to prevent vibration and to withstand short circuit
stresses. Rotor field windings shall be held securely in
place to withstand rotational forces of not less than 125%
of rated speed. The generator shall be able to withstand
a one -minute, three-phase fault at the generator terminals
and a line to ground fault of equal magnitude.
2. Forced ventilation to prevent overheating of any part of
the generator and prevent hot spots shall be provided.
3. Bearings shall be shielded and sealed to prevent entrance
of moisture and dirt. Bearings shall be designed and
lubricated to provide a bearing life of not less than five
years based on Curve B-10 of the Anti -Friction Bearing
Manufacturer's Association.
4. The terminal box and terminals shall be of adequate size
and shall be arranged and coordinated to connect to cable
as shown on the drawings.
5. The generator shall contain rigid insulated standoffs for
the generator load terminals if the generator is not
specified with a main circuit breaker.
C. Excitation
1. The generator shall have brushless excitation with silicon
controlled rectifiers to provide alternator excitation.
The excitation system shall have the capacity to provide
150% of required excitation at rated load and voltage and
shall incorporate circuitry to permit voltage build up from
residential magnetism. Field flashing from a separate
source is not acceptable. "Field boosting" for motor
starting, etc., will not be permitted.
2. The excitation system shall be of sufficient capacity to
produce the maximum excitation required at 0.8 P.F. and
105% of rated voltage.
3. In addition, excitation shall be such that the generator
transient voltage deviation shall not exceed 20% upon
adding or dropping of rated load from a stabilized initial
condition as indicated in test procedures. Rated load
shall be considered to be induction motors with NEMA
Class F locked rotor characteristics.
4. The generator and excitation system shall be given factory
insulation tests in accordance with the latest NEMA
standards for such equipment.
POWER GENERATION SPECS: 5/3/91 Page 19
0
Voltage Regulation
A generator voltage regulator shall be furnished to provide
voltage level control, voltage gain, and voltage droop.
The regulator shall be of the static magnetic amplifier
type. The controls shall be readily accessible for normal
operating adjustments. The voltage level control shall
have a minimum range of +/- 10% from rated voltage. The
regulator shall be of the volts/Hertz type. The regulator
adjustment potentiometer shall be mounted at the control
panel to facilitate voltage adjustment on 240/480 volt pump
stations.
Voltage regulation shall be within +/- 38 of rated voltage
from no load to full load. Steady state modulation shall
not exceed 1%. Instantaneous voltage deviation shall not
exceed +10% - 15% from nominal voltage when 50% of
continuous standby rating is added to a 50% continuous
standby rating at rated power factor. Recovery of stable
operation after application of full load shall occur within
one second. Voltage regulator adjustment devices shall be
located behind a removable access panel. Inrush
characteristics shall be as derived from motel. with
Class F locked rotor characteristics.
2.04 ELECTRICAL CONNECTIONS
The generator shall include a "quick change" panel that will
allow the generator to produce 120/240 volts, 3 phase, 4 wire or
480 volts, 3 phase, 4 wire via a rotary switch that reconnects
the generator or interlocked circuit breakers. Each source
shall be connected to multiple separate power cables with
separate connectors. When the 120/240 volt system is selected,
the 480 volt system cables shall be de -energized; and when the
480 volt system is selected, the 120/240 volt cables shall be
de -energized. Each cable shall be protected by a suitably sized
molded case circuit breaker with thermal and magnetic trip
elements. The 480 volt circuit breakers shall be 100 amp
breakers for each cable, and the 120/240 volt circuit breakers
shall be 100 amps for each cable, but a spare 100 amp circuit
breaker (not connected on the load side) shall be connected to
the 240 volt system. Circuit breakers shall have interrupting
capacities greater than the generator's fault capability.
The plugs for the lift station end of the cables shall be
provided by the City and installed by the contractor. Each
source shall be fitted with multiple lengths of twenty-five
(25) foot portable, extra flexible cables. Three cables shall
be provided for the 480 volt system, and two cables shall be
provided for the 120/240 volt system. The cables shall be
suitable for 125% of the circuit breaker rating. The cable
shall bo 259 strand extra flexible cable, Tiger Brand Typo G or
equal, four conductor with ground, minimum, size #2 for each
100 amp cable.
POWER GENERATION SPECS: 5/3/91 Page 20
0
C. The generator set shall be furnished with a 120 volt
distribution system. The battery charger and the engine heater
shall operate from the 120 volt source. The distribution system
shall be connected to the plant system via a 120 volt-1 phase-3
wire connection. The cable shall be a single 25-foot portable
type SO cable. The cable shall have a 20 amp -. 120 volt - 3
pole plug.
D. The control panel, power cable, and the power input cable shall
be located at the right rear of the enclosure, accessible when
power cables are stored.
E. All cables shall be permanently marked with voltage (color
coded).
F. Contractor shall confirm phase rotation and make corrections as
necessary.
2.05 CRANK PANEL
A. The generator set control panel shall be mounted inside the
enclosure and shall be shock mounted. The panel shall be wired
to the generator using flexible conduit. The panel shall
control the manual starting/stopping of the generator and the
monitoring of the various functions.
B. The crank panel shall include, but not Le limited to, automatic
engine crank control, engine safety controls, 120 VAC
distribution network, battery charger and all engine safety
interlocks. In addition, the crank panel shall include:
1. Elapsed time meter.
2. Indicating lights for the required failure modes.
3. Frequency motor; voltmeter, phase/phase, phase/neutral;
ammeter, ammeter switch, 30; voltmeter switch.
4. Relays, timers, terminal strips, and miscellaneous material
and equipment as necessary for the functions required
herein.
5. The crank panel shall contain battery operated panel lights
and switch.
6. Fuel level gauge.
The panel may include the voltage regulator. The panel shall
include the regulator's voltage adjusting potentiometer. (See
Section 1.03 D.)
C. Alarm lights shall be provided for ovorcrank, overspood, high
coolant temperature, low oil pressure, charger failure, low
coolant level.
POWER GENERATION SPECS: 5/3/91 Page 21
Indicating Instruments
Indicating instruments shall be of the taut -band type,
suitable for semi -flush switchboard mounting. The
instruments shall be approximately 3-1/2" rectangular or
round with approximately minimum 100 degree circular
scales. The cases shall be dust -tight and moisture
resistant. The instruments shall have white scales, black
markings, black pointer, standard legend, zero left scale,
plain glass window, and dull black covers. The voltmeters
shall be calibrated in accordance with the generator
voltage. Ammeters shall be rated 5 amperes with scales
calibrated in accordance with the current transformer
primary.
Battery Charger
The battery charger shall be of the silicon rectifier type
and shall provide an automatic trickle charge for floating
the battery and an equalizing charge for periodic
maintenance. The charger shall be for operation from 120V
60 Hz source and shall have a charger failure alarm. The
charger shall be self -protected against overloads. An
equalizer charge timer shall be provided adjustable up to
24 hours. The charger shall be compatible with the battery
and shall have an ampere rating of 15 amps nominal. The
charger shall have a DC current sensitive relay with
S.P.D.T. contacts rated not less than 5 amps at 120 VAC
resistive. The control panel shall have a charger failure
light.
The battery charger low charging rate shall be for
"floating" the batteries. Any charger that "floats" the
battery such that the battery needs the addition of water
more than twice a year, when the battery is floating, is
not acceptable. The battery charger shall have secondary
fuses, ammeter, and voltmeter.
Control Switches
Control switches shall be rotary operated multi -contact
type, ruggedly constructed with barriers between adjacent
contacts. The switches shall be complete with operating
handles and escutcheon plates. Escutcheon plates with
mechanically operated targets shall be supplied with
circuit breaker control switches. The switches shall be
rated for mechanical life of one million operations. The
contacts shall be rated at 20 amperes continuous at
600 volts AC or DC, or 250 amperes for 3 seconds.
Control Relays
Control relays shall be supplied as required.
POWER GENERATION SPECS: 5/3/91 Pago 22
0
2. Relays shall be plug-in type with associated sockets. The
relays shall have dust covers. The relays shall be
suitable for continuous duty operation without forced air
cooling. All contacts shall be rated for not less than
10 amps at 120 VAC with 3/16" diameter silver cadmium
oxide, gold flashed contacts. Coil voltage shall be
120 VAC unless a different voltage is specifically
required.
3. Relays whose contacts work in conjunction with the close or
trip function of a main, standby, or branch circuit breaker
shall have contacts with a rating of not less than 20 amps
continuous and 50 amps for 1 minute at voltages of up to
600 volts AC. All other requirements shall be the same as
previously mentioned.
H. Timing Relays
1. Timing relays shall be either synchronous motor driven or
electronic. Pneumatic timing relays are not acceptable.
Electronic relays shall include transient protection and
shall be suitable for operation simultaneously with circuit
breaker operation, etc., without detrimental results to the
electronics. The following minimum requirements shall
apply:
a. Electronic (A-SSC)
Operating voltage 120 VAC, +10% - 15%
Accuracy +/- 2% of full scale
Temperature variation +/- 49 over temp. range
Voltage variation +/- 2% over voltage range
Overall accuracy +/- 5%
Contacts 10 amps at 120 VAC into
a resistive load
Operating temporaturo 0 deg C to +70 deg C
Load life Not less than 106
operations.
50% duty cycle -120 VAC
4 amps -1.0 pF
Mechanical life 20 x 106 operations
Transient protection 2.5 kV for 1 MS
Dielectric 1 kV between terminals
and case
b. Synchronous Motor Drive (A-SYD)
Operating voltage 102-132 VAC
Accuracy +/- 0.5% of full scale
Contacts 10 amps at 120 VAC -
1.0 pF
CInsulation resistance 50 mog-ohms
POWER GENERATION SPECS: 5/3/91 Page 23
0
Temperature 10 deg to 55 deg C
Dielectric 2.4 kV for 1 sec.
1.2 kV for 1 sec.
across open contacts
2. The electronic relays shall contain transient suppression
and shall be capable of withstanding a transient of twice
rated voltage for 8 M.S. The relays shall also be
protected against polarity reversal on D.C. units. The
relays shall be protected against aborted -cycle effect upon
power interruption during a timing cycle. In addition,
electronic timing relays shall not use electrolytic
capacitors so as to cause the relay to be subject to the
"soak -in" effect.
I. Instrument Transformers
1. Current Transformers
a. Current transformers shall be single secondary, window
type with 5 ampere secondary rating and with ratios in
accordance with the one line diagram. The continuous
thermal current rating shall be for not less than a
55 deg C. The burden shall be coordinated with the
instruments and shall be approved by the engineer.
J. Terminals and Connections
1. Terminal strips shall be of the barrier type and shall be
permanently marked per the terminal marking scheme shown on
the contract drawings. Shop drawings, interconnect
drawings, and hardware shall all reflect the same scheme.
Permanent marking shall be with engraved labels. Embossed
flexible labels are not acceptable.
PART 3: EXECUTION
3.01 OPERATOR TRAINING
A. Operator training shall not be less than 4 hours.
B. The generator set manufacturer shall doliver the unit to the
City. The location shall be as designated by the City.
C. The manufacturer of the generator set shall have field personnel
at the site for testing at not less than 3 lift stations and the
booster station. The time and location shall be as designated
by the City.
D. The generator manufacturer shall initiate the oil test as
roquirod heroin. Test results shall be providod to the City.
l
1
POWER GENERATION SPECSi 5/3/91 Pago 24
0
PURCHASE CONTRACT FOR
ONE (1) NEW 125 kW PORTABLE POWER GENERATION
AND DISTRIBUTION EQUIPMENT
This agreement, made this day of , 1991, by and
between the City of Monticello, Minnesota (hereinafter called "Buyer") and
of
(hereinafter called "Seller"):
WITNESSETH:
1. Seller agrees to sell and Buyer agrees to buy the following
described property (hereinafter called "Property"):
One (1) new 125 kW portable power generation and
distribution equipment, including installation, as
specified in City of Monticello specifications dated
May 3, 1991, and upon the terms and conditions
hereinafter stated and as specified.
2. The purchase price of said property shall be the sum of
Such payment shall be made within 30 days after delivery and
acceptance by the City of Monticello.
3. Guaranteed delivery, including installation, shall be a maximum
of calendar days after receipt of a purchase order by the
Seller.
4. The Seller agrees to provide a one-year warranty against defects
in materials or workmanship of all equipment provided and
installed under this contract.
5. The Seller shall furnish a contract performance bond or
cashier's check in the amount of Five Thousand Dollars and
no/100 ($5,000.00) in favor of the City of Monticello to protect
the City against any breach of contract. The bond will remain
in effect for the entire contract period to assure performance
of all conditions of this contract.
IN WITNESS WHEREOF, the parties hereto have executed this contract the day
and year first above written.
CITY OF MONTICELLO
By: By:
Attest:
POWER GENERATION SPECS: 5/3/91 Page 25
0
,�•.�',1 :.p„�, •''... Yam__--__ _ __
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08-1991 13:1B 812 G33 7677 . , I
Qonorator Sot Foaturos
sino10 urce Q Ateaptn 1004E of
deolglt, rrtanufacturing nnmopleto IIV! enting
sad losling of ell set In one atop, In
components and cnmptlnnce with
accoccorfes by NFPA 110,
OnonCorporation. Parogtaphil-13,11.0.
Standard Equlpmont
ENGINE
Cummins A•cydo diosol ongtno.
ALTEnwran
Oruohtacs Onan AC alternator provld3o brand
range rocannoctlble output. [Designed for ecrvlce
in oevoto environments.
CONTROL PANEL
Vibration isolated control with analog
Instrumentation.
VOLTAGE REGULATOR
Electrenle voltage regulator provides prodse
i regulation and undertroquancy eomponast!on,
COOLING OUTEIAII
Hlgh ambient U20 Pi(60• C) system.
SKID OA08
Supports the alternator and ongine. Battery rack and
cooling system mount to the skid best. Integral
vibration isolation
FLA�ERIV E9UIP101T CORP. P.
150 ��eFha f3o V-J? ,
.136 DGFA 50 H, z
®lesel-Fueled) Gancrotor 5 t
STANDBY PRIME
GOHz 1501M 135 kW
1 188 kVA 109 W
50 Hz 135 kW 120 k%q
109 IWA 150 WV
Engine torque- Q Low roaclnnco generelor
matched doclgn oilers low
excitation syatom vrovelorm dlslortlnn with
provides quick non•linoat londo and
recovery from provides excellent motor
transient speed dips. atortlnp cepebillllee.
Gonorator Sot To sting
The Prototype Tom Support (PT8)
J� program 19 our commilmonl to 1
�1 'a vat, long Me Intogrily of our doalpnsi
a urr and products.
1 Oufore the generator solo tiro put into
production, prototype modois are ,
eub;eclod to demanding taste vLlh .
typ}cavalyplcal loads and lromlonta
cntidpatod to service, !
Production models earn the PTS soal onty alter
maat!np the perlarmance cdtorla ostnblished by thel
program. I i r
Sinylo•Source Warranty
All generator cat components and systems No
covered by a I1m1od one-year warrenly. Optional
two. and five-year ezlended programs are available.
i
(1 ' Standard Models are CSA carlllled.
05-0g:--,1991 13:72 61? 633 7677 rLAMERTV EQUIMIENT CORP. P.00
A
'I Ilk 4 !Q 11 ld
r
Custom -Built Trailora for Onan Gonerator Seto Through 250 M
Onan Cutlemn INA Vallers on vftloa apdally detIgnall
aM built for transperlIng Onan asnorellor &-a vikh n%A-
• MA "Inty all hIghwmy exaft 11 ,,";V"'. I :
T,Omchq elm ria%Oall d" -ilatg angle and d 1-IMIct
etrucl.�vn v.,r h-vVyllaulla W pl-,!l (pit-dil'11y; lot MIU111•
tnq the Ocripia4ki t;1 cTacWlpd, pro%1:1:n7 EK:Tf ft,'Id M- 1 .11
an' -,J lctg The Vlonguis ere vi-di-p3d
In. (d35"wQIujjnuLIv9,•-4 toWng Mp. (UPON 101 LrJI C0,101V A
avaqatioj
Sianclaid oqtOpmwdtw IMMUsInclWiftbOrddWetand.
emu pla War wW required CO o04nort 12 voll
ejK4fia bmkom wtMe.wayelecocccinnoolar,uldlychains.
side and rev rallealarv. MKI 110% ter IM a"% W WKI
ker" Oxw "Istipparl
Polar 4104207 WIN OP001111 gwtwRl vwh
M13141IMI)
ulnul '
PAQ -T
Trifler 4IM201 Trollar 418.0208
1"M nnuA
I I 1 1 4 It"M aeon
U.
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6.1941 - �00
Trallor 41""ll Troller 410.0111
M Oman anon l
upon
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TrIllor 4IM313
Mont" dwmvlpis 11
.
�0�■ a nl nc than ever buhir -
Genermnr S,-I
' ® �� •q 1. I/�
con tl liter :III Ilse pmrvr You nerd
in an% applivalimi. With nr%r .
111"dels ill Ilte mere and hil;hi)r
i
kilum ale r mw. eau r:ul L� ictic .
match nlr den scl requirements
from 15 1 q.4q.1111 kl1' and 45 uI ,
This brand puwrr range. rumpled
-
milh it %ride raricty nl putcq•r
..
accessories such as Illy I:\ICI'.
..
nlloms rdu In scicrl Ihr opli•
noun prndurl fur. cngn- nerds, tii•r ,
..
.. cuur Calopillm Driller for rum. ..
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plrlr dq,•I Nils. ,
PATER�I r
CAI (',I-:N Sf I•S:.. �.._
Me I'nfrcr of rr New Grucnflinn
The Caterpillar
Electronic Modular -Control Panel
conftLs for Ow Pouxr of New Gmemtion.
V Na A
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3
GENERATOR 125
SET 60 Hz
FEATURES
CAT DIESEL GENERATOR SETS
Factory Designed ... assembled ... tested and delivered to
you in a package that Is ready to be connected to your fuel
and power lines ... supported 100 % by your Caterpillar Dealer.
RELIABLE, FUEL EFFICIENT DIESEL
The compact, four.slrokecycle diesel engine combines
durability with minimum weight while providing dependability
and economy. The fuel system operates on a variety of fuels.
THE CAT GENERATOR
Single -bearing wire connected brushless generator designed
to match performance and output characteristics of the
Caterpillar Diesel Engine that drives it.
EXCLUSIVE CAT REGULATOR
Three phase sensing ... Optimum control precision ... Volts
per Hertz regulation ... Excellent block loading and constant
voltage In the normal operating range.
STANDARD PACKAGE ARRANGEMENT
Engine:
Control Panel:
Air rlannnr
Ammeter. Vnitmnte,, and
Base. Wide
Switch
Breather, Crankcnse
Frequency Mate,
Cooicr, Lubricating Oil
Voltage Adjust nhcoctat
Fan (blower) and Fan Drive
Oil Pressure and Water
Fit tore. Fuel and Oil
Temperature Gouges
Governor, Hydro Mechanical
Manual Start -Slop
(3% speed regulation)
Shutoffs and Single
Pumps
Indicator lot Oil
Fuel Priming
Pressure Water
Fuel Transfer
Temperature,
Jacket Water
Ovorapeed,
Radiator
Ovo,crank
Service Mode,
Slading, Electric, 24 Voll
GeMrstor:
SRs 13mahloes
wlin Vol ago Regulator
OPTIONAL EQUIPMENT
Engine:
Generator.
At, Cleaner, Hoavy-Duly
Generator OdalalOn
Air Proclaims,
terminal box
Base Fuel Tank
Control Paml:
Base Structural Steel
Annunclstor Panel and
Cooling System'
Press m Moduto (meals
Exhaust Fittings
NFPA ?&A requirement)
Governor, Woodward PSG
Provision for:
Lilting Arch
Auto Stan Stop Module,
Muffler
Charging Ammote,,
Pr@&farm Contactors
Heal Start Switch,
Protection Devices
Cycle Cranking,
Staining Aide
Auxiliary Relay,
Starting, Electric
Prealarm Modulo,
Tachometer and
Synchmniring Lights
Tachometer Drives
Contacts for Ramols Alarms
Illumination Lights and
8wuchas
�__
Prime Power
113 kW
—
�.r DJIj
Arrangement may be shown with opllonal equipment.
GENERAL SPECIFICATIONS - 60 Hz
CAT 33048 ENGINE
law RPM
Type—Wotercooted Diesel Boro—L751n (121 mm)
Aaplralldn—Twbochargod Ciroko-8,0 In 1152 mm)
Cycte—Four,Sleko Piston Displacement —
No. of Cylinders —a 425 cu In (7.0 Iller)
CAT SRe GENERATOR
Rome Size 308
Type—Brushiess, Revolving lied, Solid -Stale Excitor
Construction —Single Beadng—Close Coupled
Phase-3
Wire, Connection-12 Wife
Moods or exceeds NEMA MG 1.22 aid. requltements
Insulation —Class F with Itopicallzallon a Anil Abrasion
Three Phase Sensing
Enclosure —Drip Proof
Alignment —Pilot Shall
Overspend Capability-150%
Wove rotm—Lees than 5% deviation
Parallel Capability —standard
Volingn Regutata—Grinotator Mounted. Volts per Ilan)
Voltage Regulation —Lose than s. Ie h
Voltage Gain—Adjustablo to compensate lot engine
speed droop and lino loss
CAT CONTROL PANEL
2e V DC Control
Generator Mounted
Vibrallon Isolated
NEMA 1 Enclosure
Dead Front
Lockett a Hinged Door
Generator Instrurnsels most ANSI CJ0&I
VOLTAGES AVAILABLE
120f20e, 240,416, QW240, 2771a90,
173rim. 3'111ISOO, 120r240.
(Adjustable a minimum of ♦ 10% - 10%)
�L
3304E GENERATOR SET 113-IBS kW
CATERPILLAR®
GO H2 PRIME
STANDBY
113 kW - 141 kV•A wflan
125 kW - 156 kV•A wIlan
114 kW 0 0.8 PF without
fen
125 kW 0 0.8 PF without fan
174 Engine HP without fan'
192 Engine HP without fen"
ALTITUDEITEMPERATURE CAPABILITY Show, maximum attitude at which full rated kW Is available at the
respective ambient temperature.
AMBIENT
EM
TPTURE
ERA5
55
ALTITUDE
feet
430
I 495
I 675 I
75
I 87
1190
I 070
1
I 1150
25
FUEL RATE DATA
I PERCENT LOAD
1 25
I 50
75 I
100
25
50
1 75
100
kW with Fan
1 28
56
85
113
31
62
94
125
1 Qalfhr
1 2.7
4.6
1
6.8
1
8.9
3.0
5.1
7.5
1
9.8
I
1lllerfhr
I 10.4
17.5
25.7
33.5
11.5
19.3
28.4
37.0
TECHNICAL DATA
SO METRIC
ENGLISH
Rating Rating Type
PRIME
STBY
PRIME STSY
Information Power Rating 0 0.8 PF w/Fan
kW
113
125
kW 113 125
Power Rating ® 0.8 PF w/o Fan
kW
114
125
kW 114 125
Generator Frame Size
368
358
368 358
Cooling Engine Lubricating Oil Capacity
L
21.8
21.6
ate 23 23
System Enolne Coolant Capacity w/o Radiator
L
12.9
12.9
gal 3.4 3A
Engine Coolant Capacity with Sid, Red.
L
31.8
311,5
gal 8.4 8.4
Standard Radiator Arrangement Date:
Air Flow (Max. 0 Rated Speed)
mr/min
150
150
cfm 5295 5296
Alr Flow Restriction (Max. Allowable)
kPa
0.12
0.12
in Hr0 0.5 0.5
Ambient Air Temperature (Max. Allowable)
'C
58
55
'F 137 131
Coolant Pump External Resistance (Max. Allowable)
On H.0
6.2
6.2
It 1-1r0 20.3 20.3
Coolant Pump Flow A Max. Allowable Resistance
1 /min
In9
ISS
arm 410 410
Isusl System Backpressure (Max. Allowable)
kPa
6.7
IIJ
In HA 27 27
.lelem
Mounting Length Overall
6yyastam Height Overall
M.
lGen. Width Overall
6 Rod.) Unit Dry Weight
Performance rombusllon Air Inlet Flow Rate
Data 0 listed Exhaust Gas Flow Rate
Conditions Exhaust Gas Black Temperature
Heat Rejection to Coolant (Total)
Heat Rejection to Exhaust (Total)
Ileac Relecllon to Atmosphere From Engine
Heat Re action to Atmosphere From Generator
CONDITIONS & DEFINITIONS
Standby - For continuous electrical service during
Interruption of normal power"
Prime - For continuous electrical service with
10% overload capability.'
Ratings are Weed on SAE J1349 standard conditions of
100 kP4 (2961 In Hp)
and 251C (TTF). These ratings also apply
100 kp. (293D4911 Of 61 In Hg),71 and 88 27*C (91 F) r4 standard and 80% relative Itions n humidity.
Fuel rates are Weed on fuel oil of 35' API l61C (60'F)I gravity
having an LHV of 42 740 kJfkp (16.390 StuAb) when used of
29'C le5'F) and weighing &M 9 glitter (T001 IbsIU S gal)
These capability charts apply to the engine only and Include
Consfdslatlons for hunliddy. It air cleans Intel conditions
exceed the appropriate standard conditions, consull your
Caterpillar Dealer for necessary deratlon
'ISO power with 10% overload for one hour In 121n accordance
Ilh 180 304611. DIN 6271 or SS 5514
jet stop power In accordance with ISO 304811,
DIN 6271 or SS 5514
MITI
2555
2555
In
100.59
100.59
mm
1490.4
1480A
In
58.28
58.2a
men
1219
1219
In
46.00
48.00
kg
1676
167e
ID
37W
3700
m'Imin
9.2
10.2
elm
325
350
m'Imin
28.7
295
cfm
950
1080
'C
570
595
'P
1055
1100
kW
705
77.9
Blufmin
4015
4430
kW
1355
149.5
Btutmin
7705
6500
kW
251
27,6
Bturmin
14:10
15W
kW
129
138
Stufrlin
735
755
Witt. earW Ilk llm.- oNI4.1 to J..W.11NNI"Ic..
Th. Mle.ne Ir Nit SW- or "I (lal le line In IN. limb"".
tnnrwr it eel
14�11FHKI)n : lowtm oftw
e.Mlee Mua4 O/R.
Council Agenda - 5/13/91
13. Consideration of final payment to Arrigoni Brothers for the
Monticello Street-scape Proiect. (J.S.)
REFERENCE AND BACKGROUND:
Construction of the Monticello Streetscape Project was
finished in the early summer of 1989. Final payment has
dragged on due to unknown final quantities. Attempts to meet
with the contractor during the summers of 1989 and 1990 failed
due to lack of response from the contractor. This was
difficult to understand, as the contractor was owed
substantial sums of money.
A few problems were noted in 1989 with small cracks on some
sidewalk panels and the spelling of one concrete driveway.
After attempts to have the contractor complete this warranty
work, we had our 1990 sidewalk contractor, Witco, complete the
work and informed Arrigoni Brothers that we would be deducting
those sums from final payment.
Our requests this year to meet with Arrigoni Brothers
Construction met with a higher degree of success; and after
meetings here in Monticello and additional field quantity
measurements, the final quantities have been determined and
approved by City staff; Arrigoni Brothers Construction; and
Dahlgren, Shardluw 6 Uban, our architect on the project.
Dennis Arrigoni of Arrigoni Brothers Construction indicated
his lack of response was due to a heavy work load by his
company and the inability to get up to Monticello again to
measure all the final quantities.
The final contract price, including the change orders
previously approved by City Council, comes to $207,453.87.
This involves all of the concrete construction, placement of
the ornamental lighting system and wiring, and repainting of
the signal lights, as well as the parking lot signing. When
the assessment roll for the strootscapo project was prepared
in 1989, we estimated the cost of the Arrlgonl Brothers'
portion of the streetecape project at $208,176.07. The final
project cost is actually $722.20 under that amount. We have
includod in the supporting data a tabulation of all costs on
the streetscape project.
To date, we have paid Arrigoni Brothers $167,958.67. This
leaves a balance duo of $39,495.20. Subtracting $816.12 for
warranty work performed by another contractor loaves a total
balance duo of $38,679.08.
24
Council Agenda - 5/13/91
B. ALTERNATIVE ACTIONS:
The first alternative is to authorize final payment to
Arrigoni Brothers for the streetscape project in the
amount of $38,679.08.
2. The second alternative is not to authorize final payment.
C. STAFF RECOMMENDATION:
It is the staff recommendation that the City Council authorize
final payment to Arrigoni Brothers in the amount of $38,679.08
as outlined in alternative 91.
D. SUPPORTING DATA:
Copy of final payment request; Copy of tabulation of final
cost on streetscape project.
25
• y,
APPLICATION AND CERTIFICATE FOR PAYMENT A1AooawEmrc702 (Instructiontionreverse side) ►.ceovto► a:•.Ctt
TO(OWNER): City of Monticello PROJECT: Monticello Streetscapes APPLICATION NO: Distribution to:
Final Payment ❑ OWNER
PER100 TO: O ARCH I TIC!
❑ CONTRACTOR
FROM (CONTRACTOR): Arrigoni Brothers Co VIA (ARCHITECTi: Dahlgren, Shadlow 6 Uban ARCHITECTS .13
817 Vandalta Street s PROIECT NO: Q
St Paul MN 55114
CONTRACT FOR: CONTRACT DATE:
CONTRACTOR'S APPLICATION FOR PAYMENT
CHANCE ORDER SUMMARY
Change Orden approved In ADDITIONS DEUUITIONS
previous months by Owner
TOTAL'
Approved this Month
Number Date Approved
TOTALS
Niel change by Change Orders
sne undersigned Contractor cenlRes that to the best of the Contraclols knowledge,
Information and ballet the Work covered by this Appllcatlon for Payment has been
completed In accordance with the Contract Documents, that all amounts have been
Isaid by the Contractor (or Work for which previous Certificates for Payment were
sued and payments received from the Owner, and that current payment shown
herein Is now due.
CONTRA OR: Arrigoni D ttMare Company
1 By: % _ D,le: Hay o io4T
ARCHITECT'S C ri"ICATE FOR PAYMENT
In accordance with the Contract Documents, based on on -site obsennetions and III
data comprising the above application, the Architect certifies to the Owner that to lha
best of the Architect's know ledge. Infotmationand belief thetWrkhasprogressedas
Indicated. the quality of the Work is In accordance with the Contract Documents. and
Contractor Is entitled to payment of the AMOUNT CERTIFIED.
�, r,��u..t.r r.^9 • ... ..•,�„ ..o ctm.._.n 009 •...,[.t. "AV fit 113.nov • n... 0 ...t
IAppliotlon Is made for Payment, as shown below, In connection with the Contract.
Continuation Sheet, AIA Document G703, Is attached.
1. ORICINAL CONTRACT SUM ....................... s : 173.929. SQL_
7, Net change by Change Orders ..... :............... S 72. 70a. 25
3. CONTRACT SUM TO DATE (Line I=2).............. s 206,637, 75
4. TOTAL COMPLETED A STORED TO DATE............ S _ 2U6.637. 75
(Column G on G703)
S. RLTAINACE:
a.,%of Completed Work S
(Column 0 + E oq C703)
b. — % of Stored Material S
!Column P on C703)
Total Relatnage (Una Sa+Sb or
Tbtd in Column 1 of C7031..................... I'
G. TOTAL EARNED LESS RETAINAGE ................... S 206, 637 .75
(Una 4 less Una S Total)
7. LESS PREVIOUS CERTIFICATES FOR
PAYMENT (Una 6 from prior certificate) ......... s 167,958,67
8. CURRENT PAYMENT DUE .......................... s 38,679.08
9. BALANCE TO EIN)stf, PLUS RETAINAGE............. S
(Line 3 lost Unit 6)
State at: Hinnmo:�;*
R
Subscribed and sworn"if .19 91
Notary /ubtla My Commission expir�
AMOUNTCERrtHEo................................. S
(Attach erplana.lon Item A-nt certified differs from the amount appf;ed fool
eT: Oue:
This er, C. (s notCegotiable, The AMOUNT CERTIFIED Is payable only to the
Con. rn edher in.Issuance,psymentandacceptanceofpaymentataw4thou'
preludla to ny dghU of the DWrtes or Contractor under this Contract.
4111
CONTINUATION SHEET
AIADOCUNfENTI0703 (instructions on reverse
side) FAC1/ OF.7..Gts
AIA Document G702. APPLICATION AND CERTIFICATE FOR
PAYMENT, containing
APPLICATION NUMBER:
Contractors signed Certification Is attached.
APPLICATION DATE*
In tabulations below, amounts are stated to the nearest dollar.
PERIOD TO:
Use Column 1 on Contracts where variable retainage for line items may apply,
ARCHITECT'S PROJECT NO:
A B
C
D I
E
F G
H
ITEM DESCRIPTION OF WORK
SCHEDULED
WORK COMPLETED
MATERIALS TOTAL i
BALANCE RETAINAGE ,
' NO.
VALUE
FROM PREVIOUS
THIS PERIOD
PRESENTLY COMPLETED (G+C1
TO FINISH
APPLICATION
STORED AND STORED
INOT IN. TO DATE
IC-Q
ID+E)
.
D OR [I ID +E+Fl
3a- F.-.--.-1-
1 saw Cut Concrete
2.00
200.00
-
200.00
_ 2 Remove 4" concrete walk
3.00
7.581.00
1.908.00
9.489.00:,
3 Saw cut Asphalt
1.00
1.292.00
r..
1.292.00'.�
4 Remove asphalt
1.50
1.296.00
r
1,29Is.00
5 Excavate 6"
10.00
580.00
=- ;'
58d.00
6 Remove 8" Concrete drva
4.00
1.416.00
(216.00)
1.200.00
7 Remove Curbs
2.00
2.838.00
04.00
3.012.b0'-.
8 Remove Streetlight
300.00
300.00
300.00
600.00
9 Remove Wood Bollards
20.00
720.00
G
72040
10 Remove Sod. Shrubs
5.00
502.50
-
502",50
11
B. Layout and Staking
1. Complete Layout, staking
1.200.00
1.200.00
-
1.200.00.--
C. Site Construction
1. 3-6-24 curb
15.00
14.130.00
(58.50)
14.071.50 e
W-4-24 curb
16.00
-
=0-
B-6-12 curb
13.00
7.982.00
2.343,50
10.575.50
2. patch Bit. Paving'
15.00
-
3,225:00
3.225.00
3 4" thick coocr paving
2.43
42.024.85
7.820.40-
49,845:25
4 8" thick concr drives
3.00
10.302.00
•98:OOI
10.398.00
5 Exposed Aggreg paving
3.25
32.262.75
884.00
33.146.75'
6 Install tree grates
200.00
8.200.00
8.200.00
7 Install ramov sleeves
10.00
930.00
i
930.00
8 Install @leaves /traffic
10.00
90.00
-
90.00
9 Install steal dowels
3.00
2.442.00
-
2.442.00
D. SITE improvements
'
1. Install trash racept
50.00
-
300.00
300.00
2. Install wood benches
100.00
-
-
-
136.289.LO
17.026.40
153.315.30
0jjj
nocum."T tls) - LNLICATION 4%0 CERTIFIC Of
FOR ►tY \IIYT - NVAY IV1 e01T104 •AIA•
- 1 1111
•Luac.v .•..nnn 00 4-c"1110I Ill ♦p\
.dtl. MIM.t.
h W .\..N.Mc10v DC. a^v
G'a1•Ia�7
CON'. WATION SHEET AIADOCUMEWC703
I instructions on reverse side) Me. ei oFpmcis
AIA Document C702. APPLICATION A,`D CERTIFICATE FOR P.AYMENT, containing
APPLICATION NUMBER:
Contractor's signed Certification Is attached.
APPLICATION DATE:
In tabulations below, amounts are slated to the nearest dollar.
PERIOD TO:
Use Column I on Contracts where variable retainage for line items may apply.
ARCHITECT'S
PROJECT NO:
-A B - C
TTEAI DESCRIPTION OF WORK ' SCHEDULED WORK COMPLETED
MATERIALS
TOTAL %
BALANCE RETAINACE
NO. YALUE FROM PREVIOUS THIS PERIOD
PRESENTLY
STORED
COMPLETED (G-0
AND STORED
TO FINISH
tC-CI
• APPLICATION
' (D+EI
(NOT IN
TO DATE
'
D OR D
tD+E+n '
E. ELECTRICAL
1 P31nt in plate lights
2 Light Base
'3. 1-1/2" Rigid steel cond
4. 1-1/2" non-metallic "
S. l/C 08
6. 1/C 06 BR.CR.
7. Install ornamental light
Type A
E
S. Lighting avc cabinet
9. Svc Equip (pole mount)'
10. In place cables splice
ALTERNATE BID 01-1
Paint Stop lights, etc
ALTERNATE BID 01-2
Sawcut bituminous
Remove
Curb
Sawcut concrete
Concrete
Excavate 3" sub -bass
B-6-12 curb
Patch bituminous
ALTERNATE BID 01-6
ALTERNATE BID OL-5
ALTERNATE BID 01-6
ALTERNATE BID 01-7
___A"rPjI"uE at ` a. .
83.00
115.00
15.00
1.95
.23
.28
e0.00
80.00
3.240.00
700.00
10.00
750.00
1.3,28.00
4.025.00
5,700.00
3,724.50
3.313.80
1.100.00
960.00
1.040.00
6,480.00
1.400.00
100.00
750.00
r-
800.00
.1.00 92.00
2.00 182.00
3.00 126.00 %,00
3.00 40.00 _
3.00 138.00 _
10.00 280.00 '
20.00 1.960.00 1.120.00 ' -
13.00 - 16S.00
5,500.00 5.000.00 500.00
300.00 - 300.00
1,025.00 - p 1.025.00
260.00
nD_oD
L75,088.60 21.003:id
. OOftw%l C713 • AHLIGnuv.w CEITF1CVt FOR F.TMI•rT• %1 4Y.ReI IDIT10" • 41A• • e IMI
T 1 _41.cs% M.T.TL'TI O• .RCMITICTI 1-1111%v .fer p1NLT ♦st W. 41%413+11 OC T^�
1.,'128.00
4,025.00
5.700.00
3.724.50
3,313.
1,100.00
960.00
1,840.00
6.480.00
1.}00.00
100.00
150.00•
92.00
182.go
192.00
•.40'.0D
138.00
280.00
3.080.00
165.00
5.500.00
300.00
1.025.00
MR I RR
196.692:00
C-nl.l°11
I =
CONTINUATION SHEET
AIA DOCUXIENT G703 I Instructions on reverse side) PSCE OF PACES
%IA Document G702. APPLICAtION AND CERTIFICATE FOR
RAYMENT containing
APPLICAFIOV NUMBER:
:ontractor's signed Certification is attached.
APPLICATION DATE:
n tabulations beloty amounts are stated to the
nearest doll•tr.
PERIOD TO:
Jse Column I on Contracts %vhere variable retainage for line items may apply.
ARCHITECT'S PROIECT NO:
A 9
C
D l
E
F G
H 1
ITE.M DESCRIPTION OF %%ORK
SCHEDULED
WORK COMPLETED
MATERIALS TOTAL %
SALAVCE RETAINAGE
NO,
VALUE
FRO.1,I PREVIOUS
THIS PERIOD
PRESENTLY COMPLETED IG CI
STORED AND STORED
TO FINISH
IC-C)
APPLICATION
ID.E1
INOT IN TO DATE
O OR El to t•E-F)
C.O. 1
166.00
166.00
-
166.00
C.O. 3
A
3,592.00
-.
3.592.00
3,592.00
B
3.271.37
-
3,271.37
3.271.37
C
172.00
172.00
-
172.00
D
563.00
563.00
-
363.00
B
3.600.00
3,000.00
600.00
3.600.00
Lees: Work completed
by others
(816.12)
(816.12)
•� 178,989.69 47,608,15• 206;63705
ALsC703-APRICd1ON AND CLRTIFIC01 FOR RAY.-16VT • .\tAY i%3 ED1nDN -AIA• • 0 IMa
INJ AAtLncAN INSTITUTI OF ARCHITIM. tla3 NEW FORD AVENUE. M.W. LVASHINCTON. 0C. ZM
C703.1983
SUMMARY OF STREETSCAPE PROJECT COSTS
Arrigoni Brothers - general construction
$207,453.87
Northern Electric - lights
55,159.00
Minnesota Valley - landscaping
34,973.00
Minnesota Ironworks - railing
23,005.92
Ironsmith - grates and tree guards
22,468.00
Flannigens - trash containers
2,691.00
Other misc. costs
2,144.50
Legal
$ 6,780.75
Engineer and planner
50,804.88
Administration 6 inspection fees (28)
8,105.62
Previous year's expenditures $ 27,871.63
ESTIMATED TOTAL $441,458.17
AMOUNT CONSIDERED FOR ASSESSMENT $ 92,860.91
21.0%
CONSTRUCTION: $347,895.20
INDIRECT: 93,562.88
$441,458.17
0
Council Agenda - 5/13/91
14. Consideration of final payment to Minnesota Valley Landscape,
Inc., for work on the Monticello Streetscape Project. (J.S.)
A. REFERENCE AND BACKGROUND:
The landscaping work on the Monticello Streetscape Project was
performed by Minnesota Valley Landscaping. The work was
completed in 1988, and 90% of the contract was paid. There
was a small discrepancy between the size of a few of the trees
planted and the amount of sod used on the job. In addition,
the City did not receive the written maintenance instructions
for the plants included with the project.
In the spring of 1989, five of the Locust trees failed to
bloom. Minnesota Valley Landscaping replaced these trees In
the fall of 1989; and also during that year, it was decided to
trade off the additional sod on the project for the
discrepancy in a few of the tree sizes. Consequently, the
project remains complete with the exception of the City
receiving the maintenance instructions on the planting.
We recently contacted Minnesota Valley to see if they would
like to complete this project and forward to us the plant
maintenance instructions. They indicated they would do so
Immediately along with a request for final payment, the final
payment being $3,497.30, bringing the total landscaping cost
on the Streetscape project to $34,973, exactly as bid. We
have since received both the planting care instructions and
the request for final payment.
B. ALTERNATIVE ACTIONS:
C1. The first alternative 113 to make final payment to
Minnesota Valley Landscaping in the amount of $3,497.30
for landscaping work on the streetecape project.
/ 2. The second alternative is not to authorize final payment
to Minnesota Valley. This does not appear to be
appropriate, as all facets of the project are complete
and satisfactory to the City.
C. STAFF RECOMMENDATION:
It is the staff recommendation that the City authorize final
payment to Minnesota Valley Landscaping, Inc., in the amount
of $3,497.30 as outlined in alternative 11.
D. SUPPORTING DATA:
Copy of the request for final payment from Minnesota Valley
Landscaping.
26
INVOICE I INVOICE NO. PAGE
10901 Nesbitt Avenue S., Bloomington, MN 55437 8375B 1
minnesota valley Y11�/NYWIItltli�BMPIYVVBN�rt11��R�Wy4lllk�0WlY4"Sk
Ak phone: 612 84400I
INVOICE DATE
(j / V , jj p 6 p �j�jj r� � May 6, 1991
L�. iN UV��o iMVL .� ��°' NAB
CUSTOMER
E City of Monticello SIT
E Monticello Streetscape 6 Sidewalk Impr
250 Fast Broadway Street, Box 83A Broadway Street
Monticello, MN S5362-9245
JOB NUMBER I CUSTOMER NO. TERMS CLIENT- PROJECT MOR.
8375 NET DUE UPON RECEIPT' OF INVOICE I ATIN: Jeff O'Niel#
Final billing for landscaping completed at the above referenced
job site:
$ 34,973.00
Less: Previous amounts billed and
paid (31,475.70)
TOTAL DUE THIS MICE S 3.497.30
Subtotal S 3,497.30
THANK YOU FOR THIS ORDER - WE APPRECIATE YOUR BUSINESS II
A FINANCE CHARGE OF I %% PER MONTH (18% ANNUAL) WILL $ 3,497.30
BE APPLIED TO UNPAID BALANCES AFTER 30 DAYS. '�
May 6, 1991
Owner's Maintenance Recommendations for Plant Materials/Sod
Installed at Monticello Street Scape - Attn; Jeff O'Neill
WATERING
Correct watering is critical for the survival of the trees,
shrubs and sod on this project. Watering requirements are
substantially different and a compromise between this require-
ments must be established. The soil around the tree roots will
dry out more slowly than the soil beneath the turf. Consequently
it is possible to overwater the plant material in an effort to
keep the sod moist and lush. Constantly saturated soil will
cause the death of plant material roots. This situation can be
avoided through careful monitoring of the soil moisture to a
depth of 24 inches. This can be accomplished with an electronic
moisture meter or soil testing probe. One inch of moisture per
week is generally adequate for sod whereas deep, thorough
watering of plant material when indicated by soil moisture checks
is required. Allow soil to dry out partially before watering
trees and shrubs again. Do not water by the calendar, but rather
water according to need as determined by checks of soil and plant
condition.
FERTILIZING
Fertilizers can be important when certain elements in the soil
are low or lacking. A tree requires essential elements to live,
but these elements do not supply it with energy. A tree sustains
itself by trapping and converting the sun's energy through
photosynthesis. Before arbitrarily fertilizing a tree, test the
soil to determine the requirements for said tree and to insure
that the correct amounts of whatever elements are required are
indeed added. Shrubs and sod can safely be fertilized with a
complete N-P-K fertilizer. Sod fertilizer high in nitrogen (25-
30%) at 2 lbs. actual nitrogen per 1000 s.f. should be applied
three times yearly (April, June and September) Shrubs may be
surface fertilized with water soluble nitrogen fertilizer but
will do well without additional fertilization. Rates are
according to product labeling.
0
PRUNING
Shrubbery requires no pruning other than to remove dead
branches. Because of the potential danger involved in pruning
trees, no pruning should be undertaken for cosmetic or shaping
purposes. Wait until the tree reveals which branches are dying
and should be removed.
MULCH
Weeds that sprout through the mulch should be pulled by hand.
The shredded bark mulch should be periodically replenished to
maintain a minimum three inch depth. The use of herbicides in
the tree and shrub beds is not recommended.
PEST -DISEASE CONTROL
All of the trees, shrubs and sod should be inspected several
times during the growing season for the presence of diseases,
insects and other possible problems. Treatment/spraying programs
should only ud attempted in the presence of an actual problem and
not as a precautionary measure.
GENERAL INFORMATION
Healthy plant material is the best defense against disease, and
in deed, plants have natural defenses against many common
diseases, while pathogens most often enter the system as a result
of mans' activity. Any damage to the trunk of trees (mowing,
traffic, pedestrians etc.) will in every case pose a health
problolm for the troo.0 Proppor watering is the single most
critical aspect of this maintenance program. Deep root feeding
of the trees and shrubs may needs be on a bi-monthly basis. Rain
fall is not a good substitute as most seldom penetrates beneath
the surface and generally only waters the sod. Once trees are
established (after approximately three years), normal moisture
will be sufficient except in times of drought.
For Minnesota Valley Landscape, Inc.
David A. Lindstrom
Project Manager
dal/dg
R'ir1 galley 10901 nesbitt avenue so., mpls., mn 55437.884-6400
K, u0CQpG9 5HC.
l�
Council Agenda - 5/13/91
15. Consideration to adopt a resolution calling for a public,
l hearing to modify Redevelopment Project Plan No. 1, to modify
TIF Districts Nos. 1-1 throuah 1-11, and to establish TIF
District No. 1-12 and the plans relatinq thereto. (O.K.)
A. REFERENCE AND BACKGROUND:
On May 1, 1991, the HRA adopted a resolution modifying the
redevelopment plans for Redevelopment Project No. 1, modifying
the TIF plans relating to TIF Districts Nos. 1-1 through 1-11,
and approving the establishment of TIF District No. 1-12.
TIF District No. 12 is being created as an Economic District
(10-year district) for Aroplax Corporation, a 43 year old
family -owned business. The company is a plastic injection
molding company now located in Minneapolis. They have a
purchase option on the west 408 feet of Lot 3, Block 2,
Oakwood Industrial Park. They propose to construct a
22,400 sq ft concrete office, tool, and production facility on
Chelsea Road to the east of the Minnesota Highway Department
lot. Projected employment is 20-25 jobs.
At this point, the HRA requests that City Council eat a public
hearing date of June 10, 1991, for modification of the
Redevelopment Project Plan and of the existing TIF district
plans, and for approval of TIF District No. 1-12. The
proposed modifications and establishment of TIF District
No. 1-12 and plan were mailed to the three taxing
jurisdictions on May 3, 1991, to meet the 30-day notice for
comments. Mr. Jerry Schoen, Paul Schoen, or Steve Schoen of
Aroplax will be present at the Council meeting on Juno 10 to
present their project plans. Also, a Business Development
Service, Inc., representative will be present to answer
questions of the TIF district and plan. More project
Information will be provided for the June 10 meeting.
B. ALTERNATIVE ACTIONS:
1. Adopt the resolution calling for a public hearing date of
Juno 10, 1991, for the modification of the Redevelopment
Project Plan and existing TIF Districts Plans, and
establishment of TIF District No. 1-12 and Plan.
�r
' 2. Deny adoption of the resolution.
3. Table adoption of the resolution.
C. STAFF RECOMMENDATION:
Recommendation is to adopt the resolution (Alternative #I).
D. SUPPORTING DATA:
Copy of the resolution for consideration; Copy of a map
outlining the proposed TIF district or proposed construction
lot.
27
13i:45 51L-85'.�03� FVS111ESS L-E%,ELnPnEnT SUVEES F.:6E 0-
Councilmember introduced the following resolution,
the reading of which was dispensed with by unanimous consent, and moved its
adoption:
CITY OF MONTICELLO
WRIGHT COUNTY
STATE OF MINNESOTA
RESOLUTION NO.
RESOLUTION CALLING FOR A PUBLIC HEARING ON THE
PROPOSED MODIFICATION, BY THE - HOUSING AND
REDEVELOPMENT AUTHORITY IN AND FOR THE CITY OF
MONTICELLO, OF THE REDEVELOPMENT PLAN FOR
REDEVELOPMENT PROJECT NO. 1, THE MODIFICATION OF
THE TAX INCREMENT FINANCING PLANS FOR TAX
INCREMENT FINANCING DISTRICTS NOS. 1-1 THROUGH 1-11
AND THE ADOPTION OF THE TAX INCREMENT FINANCING
PLAN FOR TAX INCREMENT FINANCING DISTRICT NO. 1-12,
ALL LOCATED WITHIN REDEVELOPMENT PROJECT NO. 1.
BE IT RESOLVED by the City Council (the "Council") of the City of
Monticello, Minnesota (the "City"), as follows:
Section 1. RWLI c_RcaLing. This Council shall meet on June 10, 1991, at
approximately 7:00 p.m., to hold a public hearing on the following matters: (a) the
proposed modification, by increased project costs, of the Housing and
Redevelopment Authority's (the "Authority') Redevelopment Project No. 1; (b)
the proposed modification, by increased project costs, of Tax Increment Financing
Districts Nos. I-1 through 1-11, located within Redevelopment Project No. 1; (c)
the establishment of Tax Increment Financing District No. 1-12, located within
Redevelopment Project No. 1; (d) the proposed adoption of the Modified
Redevelopment Plan for Redevelopment Project No. 1; (e) the proposed adoption
of the Modified Tax Increment Financing Plans for Tax Increment Financing
Districts Nos. 1-1 through 1-I1 and (f) the proposed adoption of the Modified Tax
Increment Financing Plan for Tax Increment Financing District No. 1-12, all
pursuant to and in accordance with Minnesota Statutes, Sections 469.001 to
469.047, inclusive, as amended, and Sections 469.174 to 469.179, inclusive, as
amended.
0
05/08/91 07:45 . 6127869034 EOSINESS OEVELOPME11T SEPVICES Pca E 03
Section 2. Notice of Hering• FilinE of Proera_m, The City Administrator
is authorized and directed to cause notice of hearing, substantially in the form
attached hereto as Exhibit A, to be given as required by law, to place a copy of
the proposed Modified Redevelopment Plan, Modified Tax Increment Financing
Plans and Tax Increment Financing Plan on file in the Adminstrator's office at
City Hall and to make such copy available for inspection by the public no later
than May 3, 1991.
The motion for the adoption of the foregoing resolution was duly seconded
by Councilmember , and upon vote being taken thereon, the
following voted in favor thereof:
And the following voted against the same:
Whereupon said resolution was declared duly passed and adopted by the
Council in and for the City of Monticello, Minnesota, on May 13, 1991.
Mayor
ATTEST:
Administrator
0
05/08/91 07:45 512785903-3 EUSD ESS DEVELOPMENT SE;VICES Pc,E 04
EXl11Bfl' A
NOTICE OF PUBLIC HEARING
CITY OF MONTICELLO
COUNTY OF WRIGHT
STATE OF MINNESOTA
NOTICE IS HEREBY GIVEN that the City Council (the "Council") in and
for the City of Monticello, County of Wright, State of Minnesota, will hold a
public hearing on June 10, 1991, at approximately 7:00 p.m., at City Hall, 250
East Broadway, Monticello, Minnesota, relating to the proposed modification. by
increased project costs, the Housing and Redevelopment Authority's
Redevelopment Project No. 1 and the approval and adoption of the Modified
Redevelopment Plan relating thereto; the proposed modification, by increased
project costs, of the Modified Tax Increment Financing Plans for Tax Increment
Financing Districts Nos. I - I through 1-11, located within Redevelopment Project
No. 1; and the proposed adoption of Tax Increment Financing Plan relating to Tax
Increment Financing Plan No. 1-12, also located within Redevelopment Project
No. 1, all pursuant to and in accordance with M�t►stesata_S1a1sL4e3#, Sections 469.001
to 469.047, inclusive, as amended, and Sections 469.174 to 469.179, inclusive,
as amended. A copy of the Modified Redevelopment Plan for Redevelopment
Project No. l and Tax Increment Financing Plans for Tax Increment Financing
Districts No. 1-1 through 1-12, as proposed to be adopted at the office of the City
Administrator at City Hall not later than May 3, 1991.
The property comprising Tax Increment Financing District No. 1-12 is as
follows:
West 408.91 feet of Lot 3, Block 2, BK 290.894-002031, Oakwood Industrial
Park.
PID NUMBER: 115-018-002030
0
05/08/91 97:45 61278690311 SUSI ESS DEVELOPMENT SEPVICES PC-:¢ 05
Further information regarding the identification of the parcel to be included
in Tax Increment Financing District No. 1-12 may be obtained from the office of
the City Administrator.
AU interested persons may appear at the hearing and present their views o
rally or in writing.
Dated:
BY ORDER OF THE MY COUNCIL
City Administrator
0
05/08/91 07:45 . 6127869034 6USIIIESS DEVELDP"DIT SEPVICES PAGE 06
STATE OF MINNESOTA )
) ss.
CITY OF MONTICELLO )
I, the undersigned, being the duly qualified and acting Administrator of the
City Council (the "Council") in and for the City of Monticello, Minnesota, DO
HEREBY CERTIFY that I have carefully compared the attached and foregoing
extract of minutes of a meeting of the Council held on the date indicated with the
original minutes thereof on rile in my office and that the same is a full, true and
correct transcript thereof insofar as said minutes relate to Resolution No.
WITNESS my hand officially and the official seal of the Council this —
day of , 1991.
City Administrator
(SEAL)
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Council Agenda - 5/13/91
16. Consideration to receive and accept the annual Greater.
Monticello Enterprise Fund (GMEF) Report. (OK)
A. REFERENCE AND BACKGROUND:
The GMEF Guidelines state that staff shall submit quarterly
summaries and/or an annual report detailing the status of the
GMEF. To remain consistent with the guidelines and upon
recommendation of the Economic Development Authority (EDA), I
have submitted for your review a brief summary of the 1990 EDA
activities, and the GMEF Balance Sheet and Year -End Statement
as of December 31, 1990. The financial reports were prepared
by EDA Assistant Treasurer Bob Mosford.
Any questions regarding the reports may be addressed to EDA
Treasurer Rick Wolfsteller or myself. Upon review of the
reports, the City Council may wish to consider the following
alternative actions.
B. ALTERNATIVE ACTIONS:
1. Make a motion acknowledging the receipt and acceptance of
�,7 the annual GMEF reports.
2. Make a motion acknowledging the receipt and denying the
V� acceptance of the annual GMEF reports.
3. Table any action.
C. RECOMMENDATION:
Recommendation is alternative 01, which will confirm to the
EDA that the City Council has received and accepted the 1990
GMEF reports.
D. SUPPORTING DATA:
Copies of the reports.
26
C.
EDA 1990 ANNUAL REPORT
MEETINGS: APRIL 3, 1990 EDA HOUSEKEEPING
APRIL 4, 1990 TAPPER'S INC LOAN PRESENTATION AND LOAN APPROVAL
APRIL 24, 1990 QUARTERLY MEETING AND ADJUSTED TAPPER'S LOAN AMOUNT
JULY 24, 1990 QUARTERLY MEETING AND PRELIMINARY REVIEW OF
JEFF EASTEY ENTERPRISES LOAN
SEPTEMBER 28, 1990 MULLER THEATRE PRESENTATION AND LOAN APPROVAL
OCTOBER 30, 1990 QUARTERLY MEETING AND RECOMMENDED ADJUSTMENTS
TO THE EDA PUBLIC PURPOSE CRITERIA AND GUILDLINES
##i#*iiR*iiRiiiiii #fit*#i#*it*iiR*#tiii#iiii**Atiiiii***i##*ik#*tti**#iRt
LOANS: BONDHUS CORPORATION WITHDRAWAL OF PRELIMINARY LOAN APPLICATION
TAPPER'S INC APPROVAL OF $88,000 CHEF LOAN
JEFF EASTEY ENTERPRISE PRELIMARY APPLICATION APPROVED/UNABLE TO SECURE
BANK FINANCING
MULLER THEATRE APPROVAL OF $50,000 GMEF LOAN
CIRCUIT TECHNOLOGIES PRELIMINARY LOAN APPLICATION RECEIVED, UNABLE
TO SECURE BANK FINANCING/ENDORSEMENT
0
MONTICELLO ECONOMIC DEVELOPMENT AUTHORITY
GREATER MO.4TICELLO ENTERPRISE FUND (GMEP)
Balance Sheet
December 31, 1990
ASSETS
Cash in bank S 2,552.78
Notes receivable - Tapper's Inc. 87,260.97
Notes receivable - Mueller Theater 49,919.63
Appropriations receivable - Liquor Pund 62.000.00
TOTAL ASSETS
Fund balance
Reserved for participation loans
(economic dovelopment)
TOTAL LIABILITIES AND FUND EQUITY
t
S 201.733.38
S 201,733.38
S 201.733.38.
0
MONTICELLO ECONOMIC DEVELOPMENT AUTHORITY
GREATER MONTICELLO ENTERPRISE FUND (GMEF)
C Statement of Revenues, Expenditures And Changes In Fund Balance
For The Year Ended December 31, 1990
REVENUES
Appropriations from Liquor Fund $ 200,000.00
Interest income -notes 3,697.39
Interest income -investment -0-
Loan fees -0-
Total Revenues $ 203,697.39
EXPENDITYRES_
Legal fees 3 1,824.01
Service fees 140,00
Total Expenditures 1.964.01
Excess of Revenues Over Expenditures S 201,733.38
FUND BALANCE - Beginning Of Year -0-
FUND BALANCE - End Of Year S 201,733.38
C
0
Council Agenda - 5/13/91
17. Consideration to Amend the Greater Monticello Enterprise Fund
SGMEF) Guidelines and Economic Development Authority (EDA)
Bylaws. (O.K.)
A. REFERENCE AND BACKGROUND:
At the November 13 City Council meeting, the EDA submitted
amendments for the GMEF Guidelines as requested by Council.
The recommended amendments were unchanged because the Council
motion died for lack of a second.
At the Annual EDA meeting in January, the members elected to
table the agenda item which considered City Council's reaction
to EDA recommended amendments. The EDA felt the additional
time would allow adequate time for a complete accountability
of the events leading to the Council's reaction and would
allow the new Council representatives, Brad Fyle and Clint
Herbst, to be a part, of the discussions.
At the April 23, 1991, EDA meeting, the EDA members took
considerable time and reviewed all past EDA and Council
agendas and minutes pertaining to the approval of the Muller
Theatre expansion and the recommended GMEF Guideline
amendments. The EDA was unclear as to why the Council motion
to amend the GMEF Guidelines died, and the EDA saw no
acknowledgement that the entire recommended amendments were
considered. The EDA was unclear of Council's reaction because
no specific reasons or requests were given for Council's
disagreement to the EDA's recommendation regarding non-
competitive commercial funding as stated in the Council agenda
item:
"At the time the EDA reviewed the adopted City
Council GMEF Guidelines in May 1909, they
recognized the gray area of Lhis criteria and
recognized the potential of a tough decision.
Although the EDA agrees with City Council that Lhe
main thrust of the loan program should be oriented
toward industrial development, they also make no
recommendation to eliminate the possibility of
funding a non-compotitivo business, as this allows
no flexibility for funding. The EDA interprets the
GMEF Guidelines as guidelines to follow and not as
hard-carvod policy. In addition, the EDA prefers
to evaluate each GMEF application for approval on
the basis of project merit and project benefit to
the community and its people."
Secondly, the EDA reconsidered their previously rocommondod
amendments. Next, discussion again centered on Council's
desire to limit commercial funding subject only to
29
Council Agenda - 5/13/91
redevelopment of blighted property. If guidelines included
the redevelopment of blighted property: 1) The GMEF Policies,
III. USE OF PROCEEDS, would require an amendment to include
Demolition Costs; 2) A definition of blight may need to be
established; or 3) An example is, if an insurance company
projecting employment of 200 people wished to construct a
30,000 sq ft office building (commercial) and no Monticello
raw land constitutes blight, this would eliminate the
possibility of marketing the GMEF as a financial incentive.
And finally, the EDA members again agreed that their decision
to fund the Muller Theatre project was a sound and good
decision for the community. Please refer to the EDA minutes
of September 28, 1990, items 4 and 5.
Upon recommendation of the EDA, I resubmit the amended GMEF
Guidelines for Council consideration. I have enclosed with
this agenda item copies of the EDA minutes and copies of the
City Council agendas and minutes relating to this issue. The
enclosed data is arranged in the time sequence as they
occurred beginning with the EDA minutes of September 28
approving the Muller Theatre loan, the City Council agenda of
October 9, the EDA minutes of October 30 to review and discuss
the GMEF Public Purpose Criteria and Guidelines, the Council
agenda of November 13 to amend the GMEF Guidelines inclusive
of the recommended guidelines, and the City Council minutes of
November 13. Although, this is a mass of information, the
EDA feels this information is important to provide a total
picture of the past activities.
Additionally, the EDA requests that Council consider amending
the EDA Bylaws, ARTICLE V. Sections 1 and 2. Recommended
amendment: EDA meeting time amended from 7:00 AM to 7:00 PM.
(See enclosed amended EDA Bylaws.) The EDA members make this
recommendation to accommodate the convenience of members and
the public.
B. ALTERNATIVE ACTIONS:
!/c1'�✓ 1. Motion to amend the GMEF Guidelines and EDA Bylaws as
recommended by the EDA. 4-A FM q iA--
2. Motion to dopy amIndmont of the GMEF Guidelines and EDA
Bylaws as recommended by the EDA, and City Council adjust
the GMEF Guidelines.
3. Motion to deny amendment of the GMEF Guidelines and to
amend the EDA Bylaws as recommended by the EDA, and City
Council adjust the GMEF Guidelines.
30
Council Agenda - 5/13/91
RECOMMENDATION:
The EDA members recommend that City Council make a motion to
amend the GMEF Guidelines and the EDA Bylaws (Alternative #1).
The EDA Bylaws and the EDA members were appointed by the City
Council (inclusive of two Council members) to administer the
loan funds. Every formal GMEF application is reviewed by the
EDA for consistency with the GMEF Guidelines, general
purposes, and policies; the applicant is interviewed by the
EDA; a business financial analysis report is given by the
participating lending institution and/or Business Development
Services for EDA consideration; all personal and business
financial information necessary for loan approval is submitted
upon request of the EDA; the formal loan application is heard
or reviewed by the City Attorney; and each project is
evaluated on the basis of project merit and project benefit
provided to the community and its people. With the above
process for GMEF loan approval and with the EDA's commitment
to approve funding for projects which contributo both morit
and benefit to the community and the people, the EDA makes no
rocommendation to eliminate the possibility of funding a non-
competitive business, as this allows no flexibility for
fundinq. Since the Muller approval, two competitive
commercial businesses (Plaza Car wasn and hillside
Partnership) have Inquired of GMEF fund availability and upon
response of tho current guidelines have made no objections.
SUPPORTING DATA:
Copies of the EDA minutes, Council agenda and minutes; Copy of
the recommended GMEF Guidelines and EDA Bylaws.
100,10
GREATER MONTICELLO ENTERPRISE FUND GUIDELINES
CITY OF MONTICELLO
250 EAST BROADWAY
MONTICELLO, MINNESOTA 55362
(612) 295-2711
INTRODUCTION
The purpose of the Greater Monticello Enterprise Fund (GMEF) is to
encourage economic development by supplementing conventional
financing sources available to existing and new businesses.
Through this program administered by the Economic Development
Authority and participating lending institution(s), loans are made
to businesses to help them meet a portion of their financing needs.
All loans must serve a public purpose by complying with four or
more of the criteria noted in the next section. In all cases, it
is mandatory that criteria Y1 be satisfied, which requires the
creation of new jobs. It is the responsibility of the EDA to
assure that loans meet the public purpose standard and comply with
all other GMEF policies as defined in this document. Along with
establishing the definition of public purpose, this document is
designed to outline the process involved in obtaining GMEF
` financing.
\ DEFINITION OF PUBLIC PURPOSE
1. To provide loans for credit worthy businesses that create new
jobs.
u One lob is equivalent to a total of 37.5 hours per week.
2. To provide loans for credit worthy businesses that would
increase the community tax base.
3. To assist new or existing industrial or non-competitive
commercial businesses to improve or expand their operations.
Loans will not be provided for businesses in direct
competition with existing businesses within the city of
Monticello.
To provide loans to be used as a secondary source of financing
that is intended to supplement conventional financing (bank
financing).
5. To provide loans in situations in which a funding gap exists.
6. To provide funds for economic development that could be used
to assist in obtaining othor funds such as Small Business
Administration loans, federal and state grants, etc.
GMEF GUIDELINES: 11/1/90 Pago 1 '�
I
THE GREATER MONTICELLO ENTERPRISES
REVOLVING LOAN FUND POLICIES
I. BUSINESS ELIGIBILITY
• Industrial businesses
• Non-competitive commercial businesses which enhance the
community
• Businesses located within the city of Monticello
• Credit worthy existing businesses
• Non-credit worthy start-up businesses with worthy
feasibility studies (Deny all historical non-credit
worthy businesses)
• $10,000 loan per each job created, or $5,000 per every
$20,000 increase in property market valuation, or $5,000
per every $20,000 increase in personal property used for
business purposes, whichever is higher.
II. FINANCING METHOD
• COMPANION DIRECT LOAN -
• PARTICIPATION LOAN -
• GUARANTEE LOANS -
III. USE OF PROCEEDS
Example: Equity 20%, RLF 30%,
and bank 50%. (All such loans
may be subordinated to the
primary lender(s) if requested
by the primary lendor(s). The
RLF loan is leveraged and the
lower interest rate of the RLF
lowers the effective interest
rate on the entire project.)
RLF buys a portion of the loan
(the RLF is not in a
subordinate position, no
collateral is required by the
RLF, and the loan provides a
lower interest rate).
RLF guarantees a portion of the
bank loan. (Personal and real
estate guarantees handled
separately.)
• Real property acquisition and development
• Real property rehabilitation (expansion or improvements)
• Machinery and equipment
GMEF GUIDELINES: 11/1/90 Page 2
6
0
IV. TERMS AND CONDITIONS
• LOAN SIZE -
Minimum of $5,000 and maximum not to
exceed 50% of the remaining
revolving loan fund balance; for
example, if the remaining revolving
loan fund balance is $50,000, the
maximum loan issuance is $25,000.
• LEVERAGING -
Minimum 60% private/public non-GMEF
Maximum 30% public (GMEF)
Minimum 10% equity EDA loan
• LOAN TERM -
Personal property term not to exceed
life of equipment (generally 5-7
years). Real estate property
maximum of 5-year maturity amortized
up to 30 years. Balloon payment at
5 years.
• INTEREST RATE -
Fixed rate not less than 2% below
Minneapolis prime rate. Prime rate
per National Bank of Minneapolis on
date of EDA loan approval.
i + LOAN FEE -
Minimum fee of $200 but not to
exceed 1.5% of the total loan
project. Fees are to be documented
and no duplication of fees between
the lending institution and the RLF.
Loan fee may be incorporated into
project cost. EDA retains the right
to reduce or waive loan fee or
portion of loan fee.
• PREPAYMENT POLICY
- No penalty for prepayment.
• DEFERRAL OF
PAYMENTS -
1. Approval of the EDA membership
by majority vote.
2. Extend the balloon if unable to
refinance, verification letter
from two lending institutions
subject to Board approval.
• INTEREST
LIMITATION ON
GUARANTEED LOANS -
Subject to security and/or reviewal
by EDA.
• ASSUMABILITY
r OF LOAN -
None.
GMEF GUIDELINES: 11/1/90 Page 3 I1
• BUSINESS EQUITY
REQUIREMENTS - Subject to type of loan; Board of
Directors will determine case by
case, analysis under normal lending
guidelines.
COLLATERAL - • Liens on real property in
project (mortgage deed).
• Liens on real property in
business (mortgage deed).
• Liens on real property held
personally (subject to Board of
Directors - homestead exempt).
• Machinery and equipment liens
(except equipment exempt from
bankruptcy).
• Personal and/or corporate
guarantees (requires unlimited
personal guarantees).
The Greater Monticello Enterprise Fund is operated as an equal
opportunity program. All applicants shall have equal access to
GMEF funds regardless of race, sex, age, marital status, or other
personal characteristics.
ORGANIZATION
The Greater Monticello Enterprise Fund is administered by the City
of Monticello Economic Development Authority (EDA), which is a
seven -member board consisting of two Council members and five
appointed members. EDA members are appointed by the Mayor and
confirmed by the City Council. Formal meetings are held on a
quarterly basis. Please see the by-laws of the EDA for more
information on the structure of the organization that administers
the Greater Monticello Enterprise Fund.
PARTICIPATING LENDING INSTI7UTION(S)
1. Participating lending institutions(s) shall be determined by
the GMEF applicant.
2. Participating landing institution(s) shall cooperate with the
EDA and assist in carrying out the policies of the GMEF as
approved by the City Council.
1. Participating lending institution(s) shall analyze the formal
application and indicate to the EDA the level at which the
lending institution will participate in the finance package.
GMEF GUIDELINES: 11/l/90 Pago 4 i1
LOAN APPLICATION/ADMINISTRAT.IVE PROCEDURES
The EDA desires to make the GMEF loan application process as simple
as possible. However, certain procedures must be followed prior to
EDA consideration of a loan request. Information regarding the
program and procedures for obtaining a loan are as follows:
City Staff Duties:
The Economic Development Director, working in conjunction with the
Assistant. City Administrator, shall carry out GMEF operating
procedures as approved by the EDA and Council. Staff is
responsible for assisting businesses in the loan application
process and will work closely with applicants in developing the
necessary information.
Application Process:
Applicant shall complete a preliminary loan application.
Staff will roview application for consistency with the
policies set forth in the Greater Monticello Fund Guidelines.
Staff consideration of the preliminary loan application should
take approximately one week.
Staff will dak applicant to contact a lending institution
regarding financing needs and indicate to applicant that
further action by the EDA on the potential loan will require
indication of support from a lending institution.
2. If applicant gains initial support from lending institution
and if the preliminary loan application is approved, applicant
is then asked to complete a formal application. If the
preliminary loan application is not approved by staff, the
applicant may request that the EDA consider approval of the
preliminary application at the next regularly scheduled
meeting of the EDA.
If the preliminary loan application is approved, applicant
shall complete a formal application. Formal application shall
include a business plan which will include its management
structure, market analysis, and financial statement. Like
documentation necessary for obtaining the bank loan associated
with the proposal is acceptable. Attached with each formal
application is a written release of information executed by
the loan applicant.
City staff will meet with applicant and other participating
lendor(s) to refine the plan for financing the proposed
enterprise.
GMEF GUIDELINES: 11/l/90
Page 9 GI-7)
City staff shall analyze the formal application and financial
statements contained therein to determine if the proposed
business and finance plan is viable. Staff may, at its
discretion, accept the findings of a banking institution
regarding applicant credit and financial viability of the
project. After analysis is complete, City staff shall submit
a written recommendation to the EDA. A decision regarding the
application shall be made by the EDA within 60 days of the
submittal of a completed formal application.
The EDA shall have authority to approve or deny loans;
however, within 21 days of EDA approval, the City Council may
reverse a decision by the EDA to approve a loan if it is
determined by Council that such loan was issued in violation
of GMEF guidelines.
Prior to issuance of an approved loan, the City Attorney shall
review and/or Drepare all contracts, legal documents, and
intercreditor agreements. After such review is complete, the
City shall issue said loan.
ORIGINAL REVOLVING LOAN FUNDING
"LETTER OF CREDIT" FROM MONTICELLO CITY COUNCIL - $200,000
SOURCE - City Liquor Store Fund
City shall transfer needed loan amount from existing accounts at
such time that individual loans are approved. Revenue created
through this program shall be under the control of the EDA and
shall not be transferred to City funds unless the City Council
determines that reserves generated are not necessary for the
successful operation of the Authority. If such is the case, such
funds must be transferred to the debt service funds of the City to
be used solely to reduce tax levies for bonded indebtedness of the
City (see Section 5 B of the ordinance establishing the Monticello
EDA).
REPORTING
1-. Staff shall submit quarterly summaries and/or annual report
detailing the statue of the Monticello Enterprise Fund.
FUND GUIDELINES MODIFICATION
1. At a minimum, the EDA shall review the Fund Guidelines on an
annual basis. No changes to the GMEF guidelines shall be
instituted without prior approval of the City Council.
LOAN ADMINISTRATION
City staff shall service City loan, shall monitor City
position with regard to the loan, and shall assure City
compliance with intercreditor agreement.
GMEF GUIDELINES: ll/l/90 Page 6 ''
c
2. All loan documents shall include an intercreditor agreement
which must include the following:
A. Definition of loan default, agreements regarding
notification of default.
B. Agreements between lending institution and City regarding
reproduction of pertinent information regarding the loan.
3. All loan documentation shall include agreements between
borrower and lenders regarding release of privacy regarding
the status of the loan.
GMEF GUIDELINES: 11/1/90 Pago 7
BYLAWS OF THE
ECONOMIC DEVELOPMENT AUTHORITY
ARTICLE I - THE AUTHORITY
Section 1. Name of Authority. The name of the Authority
shall be the "City of Monticello Economic Development Authority."
Section 2. Office of Authority. The office of the Authority
shall be at the City Hall in the city of Monticello, state of
Minnesota, but the Authority may hold its meetings at such other
place or places as it may designate by resolution.
Section 3. Seal of Authority. The seal of the Authority
shall be in the form of a circle and shall bear the name of the
Authority and the year of its organization.
Section 4. Establishment. The City of Monticello Economic
Development Authority is established pursuant to Minnesota
Statutes, Section 469.090 to 469.108, and adopted by Ordinance
Amendment No. 172, Chapter 3, City of Monticello, Wright County,
Minnesota.
ARTICLE II - THE COMMISSIONERS
Section 1. Appointment, Terms, Vacancies. Pay, and Removal.
Shall be in accordance to the Monticello Ordinance Amendment
No. 172, Chapter 3, Economic Development Authority, Section 2-3-1:
Creation.
ARTICLE III - THE OFFICERS
Section 1. Officers. The Authority shall elect a president,
a vice president, a treasurer, a secretary, and an assistant
treasurer. The Authority shall elect the president, treasurer, and
secretary at the annual meeting. A commissioner must not serve as
president and vice president at the same time. The other offices
may be held by the same commissioner. The office of secretary and
treasurer need not be hold by a commissioner.
Section 2. Duties and Powers. The officers have the usual
duties and powers of their offices. They may be given other duties
and powers by the Authority.
BYLAWS.EDA: 5/8/91 Pago 1
0
d Section 3. Treasurer's Duties. The treasurer:
l (1) shall receive and is responsible for Authority money;
(2) is responsible for the acts of the assistant treasurer;
(3) shall disburse Authority money by check only;
(4) shall keep an account of the source of all receipts and
the nature, purpose, and authority of all disbursements;
(5) shall file the Authority's detailed financial statement
with its secretary at least once a year at times set by
the Authority.
(6) shall prepare and submit an annual report describing its
activities and providing an accurate statement of its
financial condition to the City of Monticello by March 1
each year.
Section 4. Assistant Treasurer. The assistant treasurer has
the powers and duties of the treasurer if the treasurer is absent
or disabled.
Section 5. Public Money. Authority money is public money.
ARTICLE IV - EXECUTIVE DIRECTOR
The Economic Development Director shall be designated as Executive
Director of the Authority.
Section 1. Duties. The Executive Director shall have general
supervision over the administration of its business and affairs
subject to the direction of the Authority. As secretary, the
Executive Diroctor in his own name and title shall keep the records
of the Authority, shall act as Secretary of the meetings of the
Authority and record all votes, and shall keep record of the
proceedings of the Authority in a journal of proceedings to be kept
for such purpose, and shall perform all duties incident to the
office. The Executive Director shall keep in sole custody the seal
of the Authority and shall have power to affix such seal to all
contracts and instruments authorized to be executed by the
Authority.
Any person appointed to fill the office of Executive Director, or
any vacancy herein, shall have such terms as the Authority fixes,
but no commisslonor of the Authority shall be eligible to this
office.
BYLAWS.EDA: 5/8/91 Pago 2
G
e-t-4-cVose,k agn&*7 oC#7&7f' is GrclecQ.
ARTICLE V - MEETINGS
Section 1. Reqular Meetinqs. Quarterly meetings shall be
held upon oral or written notice at the regular meeting place of
the Author4th Tuesday of January, April, July, and
October, a 7:00 p.m.
Section 2. Annual Meeting. The annual meeting of the
Authority in conjunction with the regular January
meeting a t,
7:00 o'clocc p.m. at the regular meeting place of the
Authority.
Section 3. Special Meetinqs. Special meetings of the
Authority may be called by the president or two members of the
Authority for the purpose of transacting any business designated in
the call. All commissioners of the Authority shall be notified.
Section 4. Quorum. At any meeting of the Authority, the
presence of four Commissioners shall constitute a quorum. If a
quorum is not present at any meeting, those present shall have
power to adjourn the meeting from time to time without notice other
than announcement at such meeting until the requisite number of
votes shall be present to constitute a quorum. At any such
adjourned meeting at which a quorum is present, any business may be
transacted which might have been transacted at the meeting as
originally called. Any resolution, election, or other formal
action of the Authority shall be adopted upon the affirmative vote
of a majority of the Authority membership.
Section 5. Order of Business. At the regular meetings of the
Authority the following shall be the order of business:
1. Call to order.
2. Roll call.
3. Reading and approval of the minutes of the previous
meeting.
4. Bills and communications.
5. Report of the Executive Director.
6. Report of committees.
7. Unfinished business.
8. New business.
9. Adjournment.
All resolutions shall be in writing and shall be copied in the
journal of the proceedings of the Authority.
Section 6. Unless otherwise specified in the agreement or in
these bylaws, all meetings of the Authority shall be conducted in
accordance with Roberts' Rules of Order revised.
BYLAWS.EDA: 5/8/91 Page 3
0
Section 7. Manner of Voting. The voting on all questions
coming before the Authority shall be by roll call, and the yeas and
nays shall be entered upon the minutes of such meetings.
ARTICLE VI - EMPLOYEES; SERVICES; SUPPLIES
Section 1. Employees. Subject to limits set by the
appropriations or other funds made available, the Authority may
employ such staff, technicians, and experts as may be deemed proper
and may incur such other expenses as may be necessary and proper
for the conduct of its affairs.
Section 2. Contract for Services. The Authority may contract
for services of consultants, agents, public accountants, and other
persons needed to perform its duties and exercise its powers.
Section 3. Legal Services. The Authority may use the
services of the city attorney or hire a general counsel for its
legal needs. The city attorney or general counsel, as determined
by the Authority, is its chief legal advisor.
Section 4. Supplies. The Authority may purchase the supplies
and materials it needs to carry out Sections 469.090 to 469.108.
Section 5. City Purchasing. An authority may use the
facilities of its city's purchasing department in connection with
construction work and to purchase equipment, supplies, or
materials.
Section 6. City Facilities, Services. A city may furnish
offices, structures and space, and stenographic, clerical,
engineering, or other assistance to its authority.
Section 7. Delegation Power. The Authority may delegate to
one or more of its agents or employees powers or duties as it may
deem proper.
ARTICLE VII - POWERS
Section 1. Functions, Powers, and Duties. Shall be in
accordance to the Monticello Ordinance Amendment No. 172,
Chapter 3, Economic Development Authority, Section 2-3-4:
Functions, Power, and Duties.
Section 2. Limitations of Power. Shall be in accordance to
the Monticello Ordinance Amendment No. 172, Chapter 3, Economic
Development Authority, Section 2-3-5: Limitation of Power.
HYLAWS.EDA: 5/8/91 Page 4
ARTICLE VIII - AMENDMENTS
Section 1. Amendment to Bylaws. The bylaws of the Authority
shall be amended by a majority vote of the Authority membership at
a regular or special meeting. The amendments must be in written
form.
Section 2. in any instance where these bylaws are in conflict
with the Ordinance Amendment No. 172, Chapter 3, Economic
Development Authority, such Ordinance Amendment shall control.
Section 3. These bylaws are effective upon their adoption by
the Authority.
Dated: , 1990.
Signed:
President
Executive Director
(Seal)
BYLAWS.EDA: 5/8/91 Pago 5
0
MINUTES
MONTICELLO ECONOMIC DEVELOPMENT AUTHORITY
Friday, September 28, 1990 - 7:00 AM
City Hall
MEMBERS PRESENT: Chairperson Ron Hoglund, Barb Schvientek,
Harvey Kendall, and Fair Fair.
MEMBERS ABSENT: Warren Smith, Bob Mosford, and Al Larson.
STAFF: Rick Wolfsteller and 011ie Koropchak.
GUESTS: Mike Muller, President of the Muller Theatre.
Kevin Doty, Commercial Lender, Wright County State Bank.
Tom Hayes, EDA Attorney.
1. CALL TO ORDER.
Chairperson Ron Hoglund called the EDA meeting to order at
7:03 AM.
2. APPROVAL OP THE JULY 24, 1990 EDA MINUTES.
Barb Schvientek made a motion to approve the July 24, 1990
EDA minutes, seconded by Fair Fair, the minutes were approved
as written.
7. CONSIDERATION TO HEAR UPDATE ON GMEP LOAN APPLICATION FOR
JEFF EASTEY ENTERPRISES, INC.
Koropchak reported the SBA 7(a) loan application requesting
bank participation was denied by Wright County State Bank.
Charlie Rogers, Attorney for the Jeffrey Eastey Enterprises, Inc.,
informed Koropchak of the bank's notification to the company.
The company will submit applications to First National of
Monticello, Norwast of Maple Grove, and a lending institution
in Young America. Until the Eastay Company receives SBA
bank participation will the EDA receive the company's formal CHEF
application for consideration and will the preliminary application
for the Central Minnesota Initative Fund be submitted.
4. CONSIDERATION TO REVIEW PRELIMINARY AND FORMAL GMEF APPLICATION
FOR MULLER THEATRE EXPANSION.
EDA Chairperson Ron Hoglund called upon Mika Muller, President
of the Muller Theatre, to explain the theatre expansion project.
The project to begin this fall, after receiving adequate funding,
will enlarge the present theatre from two screens with seating
capacity of approximately 500 to a total of four screens
with seating capacity of approximately 1000. The lobby area
will be expanded into one large area to serve the entire complex
inclusive of a large chandelier which will illuminate through
the glass floor length panels of the new lobby area. The show
times will be staggered to control traffic. With the demolition
EDA Minutes
9/28/90
Page 2
r 4. CONTINUED.
of the Stoke's Marine Service building and the demolished
National Bushing building by Wright County State Bank, the
bank and theatre will share the use of the parking lot
through a lease agreement. Parking lot plans have been
approved by the Planning Commission and the City Council.
Demolition of the Stoke's building and the beginning
theatre construction should occur simultaneously with the
hard surfacing of the parking lot not to occur until the
frost is out of the ground in the spring. To remain
competitive in the theatre business, a theatre must offer
several choices to its customers with the most current
releases, therefore, if the theatre is unable to expand
customers will be drawn to the multi screens in Elk River
or planned theatre expansion in Buffalo. Mr. Muller has
gone out for three different bids in effort to reduce the
expansion coat. Originally, the theatre plane consisted
of two stories, the second and third bids consisted on
one story plane. The building construction costs were
reduced from $405,000 to $310.000.
Kevin Doty, Lending Officer, told the EDA members that the
total appraisal of tha completed theatre (expanion plus existing)
as determined by Jack Maxwell was $900,000. The project coat
was outlined as:
Project Cost: $ 69,500 Land Cost
310.000 Construction Cost
175 500 H&E
Total Project Cost
555:000
USES: $555,000 Project Cost
112,000 Muller Family Existing Mortgage
$667,000 TOTAL
SOURCES: $360.000 Wright County State Bank
542
35,000 Other Bank
52
112.000 Muller Family Existing Mortgage Remortgaged
17Z
50,000 CHEF •
8%
110,000 EQUITY (M`E)
16Z
$667.000 TOTAL 100%
The total debt service in $557.000 of which the existing Muller
Family mortgage will be remortgaged (i112,000) along with the new
mortgage at $445.000. Anticipated plans call for the Muller
Family to deed the property to the bank through a warranty deed
thereafter Mike Miller and his wife will dead through an assignment
deed or quick claim dead the existing remortgaged loan back to
the Muller Family. Kevin Doty reported that Wright County State
Bank was willing to participate at 5OZ, however, at 602 would be the
possibility of a no go. It is anticipated to ask another lending
Institution for partial funding, amount end lending institution
yet to be determined. This amount will be determined upon the
+ To be determined 0
EDA Minutes
9/28/90
Page 3
4. CONTINUED.
EDA'a willingness to participate and if so, the dollar amount of
participation. The business currently owns and operates two
theatres in Delano and Waconia, and anticipates the construction
of a theatre in East Bethel. Kevin Doty recommended to the
EDA, to the beat of his ability and expertise, that the Michael
and Robert Muller Partnership to be a credit -worthy informal
partnership and stated the EDA loan would be a Companion Direct loan.
As included in the EDA agenda, the present theatre's EMV
for 1990 is $232,100 and the estimated EMV for the theatre
expansion as per Doug Gruber, County Assessor, is $269,100.
Estimated new total EMV for the theatre is $501,200. With
the planned expanion, the total projected new jobs as per
Mr. Muller is two full time and eight part-time for a total
of six full time jobs. Present employment is two full time
and nine part-time for a total of six point five full time.
Alternative recommendations for EDA participation ranged
from $30,000 to $50,000.
Koropchak outlined how the loan application meets the GMEF
Policy Criteria.
A. PUBLIC PURPOSE: Must comply with four or more of the six
public purpose criteria (creation of jobs
being a must.)
1. Creston new jobs: Two full time and eight part-time for
a total of six sew full time jobs.
2. Increases community tax base: Estimated not gain of annual
taxes. $8.350.
3. Assists an existing non-competitive commercial business
to improve or expand its operation. The Muller Theatre
Is a business in no direct competition with existing
business within the City of Monticello (no other theatre.)
4. Used as a secondary source of financing to a conventional
bank. Conventional banks of Wright County State Bank and
one other.
5. Used as gap financing. But to Legislative TIP restrictions
effective May 1. 1990. this project does not most the requirement
for the establishment of a Redevelopment or Renovation District
nor the TIP definition of blight or substandard buildings.
Additionally, a theatre expansion does not qualify for
SBA or State financing programs. Thirdly, the developer
made an effort to and did reduce his construction cost
from $405,000 to $310.000 by going out for three bids.
Finally, due to the country's economy, co®ercial lending
is more difficult to secure.
6. Does not assist in obtaining other funds such as SBA, federal
or st—grants. (Theatres do not qualify under these programs
Therebye.the loan application meets five out of the six public purpose
criteria inclusive of job creation and meets the purpose to encourage
EDA Minutes
9/28!90
Page 4
4. CONTINUED.
economic development.
In addition, the Muller Theatre expansion is an eligible
business as it is non-competitive business which enhances
the community, the business is located in the city of
Monticello, the business has been determined to be a
credit -worthy informal partnership, the business is an
existing business, and the business qualifies for a
loan amount of $60.000 (6 jobs X $10.000) or $67,275
($5,000 per every $20.000 increase in property market
evalution, $269,100) whichever is higher. The project
will also assist in maintaining a more vibrant downtown,
supports Streetscape, would increase the utilization of the
property, would encourage the demolition of an adjoining substandard
site, would eliminate the potential of business
leaving town, and enhances the Business Retention and
Expansion Program.
Koropchak further outlined that in accordance with the
CHEF guidelines and the loan under discussion to be a
Companion Direct Loan means that the CHEF loan will be
in the subordinated position to the primary lenders and
collateral is required. The CMEF would be in second
position to the banks on fixed reel assets and machinery
and equipment (UCC Filings). Presently, the maximum dollar
amount of CMEP available to a business to $56.000. Prime:
rate as of October 24, 1990. National Bank of Minneapolis
(former First Banks) is 102.
Mr. Muller informed the EDA members that he anticipates
completion of the 5.775 aq ft theatre expansion on
Lot 4 plus W 24 inches of Lot J, Block 53, City of Monticello,
and the remodeled present theatre to be in the spring of '91.
The EDA agreed that the Muller Theatre expansion was a good
project for the city and for it's people, saw efforts on the part of
developer to close the financial gap, and agreed that a good
use of the CMEP was to assist in a project that would encourage aliminatii
of a substandard site and encourage the development of a now appealing
aesthetic structure which has a $30,000 glass front.
Attorney Tom Hayes agreed with the EDA and agreed that the project
most@ the EDA public purpose criteria and guidelines as
outlined by Koropchak, and recognized this as ■ difficult:
time for a developer Lu secure full conventional financing.
Ifs was very comfortable with the creditability of the developers.
He recommended that EDA loan secure title insurance on both
properties the same as the bank requirements and to obta In
as such collateral as possible to protect the CMEP.
EDA Minutes
9/28/90
Page 5
S. CONSIDERATION TO APPROVE OR DENY GMEF LOAN FOR MULLER
THEATRE EXPANSION.
After the review and discussion of the Muller Theatre
expansion as recorded under Item 4., EDA member Barb
Schwientek made a motion to approve a Greater Monticello
Enterprise Fund (GMEF) loan of $50,000 to Michael and
Robert Muller, an informal partnership, for the Monticello
Theatre expansion. Loan terms of an 82 fixed interest rate
to be amortized over twenty years with ballon payment in five
years for real property acquisition, real property rehabil-
itation (expansion or improvements), and machinery and
equipment. Loan fee was set at not too exceed 1% of
the total loan project or $500 (f50,000 K li). Attorney
Tom Hayes to draft the necessary documents for protection
of the GMEF loan. Harvey Kendall seconded the motion
and without further discussion, the motion passed 4-0.
The loan was approved because the application and the project
met the general purpose of the CHEF, the public purpose
criteria of the GMEF, the business eligibility of the
CHEF, and the overall guidelines of the CMEF. The business was
analyzed as credit -worthy and was further determined by the
EDA to be a good project for both the city and it's people,
it would assist a project with gap financial needs, and
it would assist a project which will increase the aesthetic
value of downtown, therebye, in a domino affect will encourage
another developer to demolish a substandard structure on
the adjoining property. The Cicy Cuuucil to recaive nutificaeluu of
EDA loan approval.
6. OTHER BUSINESS.
Koropchak suggested to the EDA members that at their next
quarterly meeting the public purpose criteria and guidelines
be reviewed. The GMEF being in existence for about a year
may need soma general housekesping or furthar defining
In the area of new jobs created, possible penalty if jobs
are not created, leveraging of loan or project, etc.
7. ADJOURNMENT.
Chairperson Ron Hoglund adjourned the EDA meeting at 8:25 AN.
011ie Koropchak
EDA Secretary
0
Council Agenda - 10/9/90
12. Consideration to review Greater Monticello Enterprise Fund
(GMEF) approval. (O.K.)
A. REFERENCE AND BACKGROUND:
On September 28, 1990, the Economic Development Authority
(EDA) met with the four members present and reviewed the GMEF
loan application from Mike Muller for the Muller Theatre
expansion.
Mr. Muller explained the theatre expansion plans to the EDA
and responded to questions. Mr. Muller expects the demolition
of the Stoke's property and the beginning theatre construction
to occur simultaneously. The planned parking lot to the west
of the theatre expansion will not receive hard surfacing until
the frost is out of the ground in the spring. Mike hopes to
open the new addition in the spring.
Kevin Doty, Commercial Lending Officer for the Muller project,
determined and so stated that Mike and Bob Muller, an informal
partnership, to be a credit worthy partnership. Jack Maxwell,
Century 21, appraised the total new expanded facility at
$900,000. The anticipated loan structure would consist of:
Wright County State Bank, $360,O0O: Another Bank, $35,000;
GMEF, $50,000; and the family, $112,000. Mr. Muller has
already invested $110,000 for theatre seats, projectors, etc.
EDA Attorney, Tom Hayes, viewed the expansion an a good GMEP
project as it meets the criteria of our loan policies, and
agreed with Mr. Doty on the difficulty for businesses to
obtain adequate commercial funding at this time.
Barb Schwlentek made a motion to approve the GMEF loan
application for Michael and Robert Muller, an informal
partnership. The loan amount is $50,000 at 81 interest,
amortized over 20-years, with a balloon payment in five years.
The GMEF will be in second position on real estate and M i E.
Loan fee not to exceed 5500. Mr. Hayes is to draft
appropriate documents and a commitment letter with terms and
conditions. The motion was seconded by Harvey Kendall. With
no further discussion, the motion passed unanimously. The
loan was approved because the Muller loan application met the
G.NEF public purpose policies, the partnership was determined
to be credit worth by the lending officer, the project creates
six new full-time jobs, assists in maintaining a more vibrant
downtown, supports streetacape, increases utilization of the
property, adds aesthetic value to the downtown, increases the
local tax base (project net gain approximately $8,350
annually), assists a non-competitive commercial business
within the City limits, and will assist an existing business
expansion.
0
C✓
Council Agenda - 10/9/90
With the approval of two GMEF loans to Tappers, _ Inc. and
Michael Muller, $88,000 and $50,000 respectively, the
remaining balance of the loan fund is $62,000. This means the
maximum we can consider for our next loan applicant is
$31,000.
In accordance with the GMEF policy, "The EDA shall have
authority to approve or deny loans; however, within 21 days of
EDA approval, the City Council may reverse a decision by the
EDA to approve a loan if it is determined by Council that such
loan was issued in violation of GMEF quidlines". Therefore,
unless the Council determines the EDA approval for Michael and
Robert Muller to be in violation of the GMEF guidelines, no
action is necessary. .
B. ALTERNATIVE ACTIONS:
1. The Council determines the Michael and Robert Muller loan
to be in violation of the GMEF guidelines; therefore,
reverses the EDA loan approval.
2. The Council determines the Michael and Robert Muller loan
not to be in violation of the GMEF guidelines; therefore,
no action is necessary.
C. STAFF RECOMMENDATION:
Staff supports the EDA approval; however, gives no
recommendation.
D. SUPPORTING DATA:
None.
14 5
Council Minutes - 10/9/90
12. Consideration to review Greater Monticello Enterprise Fund
approval.
Economic Development Director, 011ie Koropchak, reported that
on September 28, 1990, the EDA reviewed the Greater Monticello
Enterprise Fund loan application for Mike Muller for the
Monticello Theatre expansion. Koropchak informed Council that
the GMEF loan application in the amount of $50,000 was
approved. The terms include 88 interest amortized over
20 years with a balloon payment in five years. Koropchak
reminded Council that the EDA has the authority to approve or
deny loans; however, within. 21 days of EDA approval, City
Council may reverse a deci.9ion by the EDA to approve a loan if
it is determined by Council that such a loan was issued in
violation of GMEF guidelines.
Council was then asked to discuss whether or not the proposed
loan to a theater is consistent with the Greater Monticello
Enterprise Fund guidelines.
Dan Blonigen noted that he did not support the use of the
revolving loan fund for this type of commercial operation. It
was his view that the revolving loan fund should be reserved
for industrial uses only.
Assistant Administrator O'Neill reported that the use of tax
increment financing to help defray excessive redevelopment
costs associated with demolition and land acquisition is no
longer available to the City due to recent action by the state
legislature. In addition, the loan applicant has worked hard
at obtaining financing from private sources but is unable to
obtain the full amount needed to conduct the project;
therefore, the money requested should be considered as gap
financing. Without the added assistance by the City via the
revolving loan fund, this project would not proceed, and the
redevelopment of the site could not occur.
Ken Maus noted that if the City utilizes the revolving fund to
supplement the theater expansion finance plan, we should
better define under what terms and circumstances the City
would utilize this fund to finance commercial development. He
noted in this case, with the state removing our ability to use
TIF for redevelopment of an under-utilized area, use of the
fund is acceptable. This criteria for use of the fund is not
noted by our fund guidelines; therefore, the guidelines should
be updated. In addition, he noted that the guidelines should
provide a clear definition of what constitutes creation of
full-time versus part-time jobs.
Page 7 0
Council Minutes - 10/9/90
After discussion, motion was made by Warren Smith, seconded by
Fran Fair, to approve the GMEF loan application for Michael
and Robert Muller in the amount of S50,000. The commercial
loan is approved only because it provides gap financing that
will result in redevelopment of a blighted property. The main
thrust of the loan program is to Continue to be oriented
toward providing gap financing for industrial development.
Motion to include a request that the EDA adjust the GMEF
guidelines accordingly. Voting in favor of the motion:
Shirley Anderson, Fran Fair, Warren Smith, Ken Maus. Opposed:
Dan Blonigen.
13. Other matters.
011ie Koropchak and Jeff O'Neill reported that the City of
Monticello received the Star City Marketing Award for 1990.
Star City Marketing Award judges commented that Monticello had
overall a very strong, well thought out marketing campaign.
The repeat appearance of the logo reinforces Monticello's
image and is easy to identify. It also neatly ties in all of
the various elements used in a strong marketing campaign. The
materials in the brochure were excellent and very well
coordinated. The consistency and attractiveness makes the
program work. The brochure was tasteful and not overdone.
Ken Maus requested that staff consider putting together
detailed information outlining the basis of each department
budget. He is interested in going through the logic behind
how each department budget is developed. Dan Blonigen agreed
that additional detail and a review of department service
delivery methods would assist Council in development of the
1991 budget.
John Badalich reported that the City is nearing a population
of 5,000; and in fact, if the City's challenge to the census
figures is validated, the City will be eligible to receive a
minimum of $80,000 in state highway aids for 1991. Staff was
directed to provide the Minnesota Department of Transportation
with information needed to expedite the acquisition of state
aid funding in 1991.
There being no further discussion, the meeting was adjourned.
Jeff O'Neill
Assistant Administrator
Page 8 `7
MINUTES
MONTICELLO ECONOMIC DEVELOPMENT AUTHORITY
Tuesday, October 30, 1990 - 7:00 AM
City Hall
MEMBERS PRESENT: Chairperson Ron Hoglund, Barb Schwientek, Bob
Mosford, Fran Fair, Warren Smith, Al Larson,
and Harvey Kendall.
STAFF PRESENT: Rick Wolfsteller and 011ie Koropchak.
1. CALL TO ORDER.
Chairperson Ron Hoglund called the EDA meeting to order at
7:00 AM.
2. APPROVAL OF THE SEPTEMBER aq, 1990 EDA MINUTES.
Fran Fair made a motion to approve the September 2%. 1990
EDA minutes, seconded by Al Larson, without further discussion
the minutes were approved as written.
3. CONSIDERATION TO REVIEW AND DISCUSS THE GMEF PUBLIC PURPOSE
CRITERIA AND GUIDELINES.
Enclosed with the EDA agenda as supporting data were copies of the
original purpose for the creation of the revolving loan
fund, City Council agenda and minutes, and the approved GMEF
Guidelines as written by the original committee, reviewed
by Attorney Hayes, reviewed and accepted by the IDC, and
reviewed and adopted by the City Council. After adoption
of the EDA organization the guidelines were reviewed by
the EDA members in May, 1989. .
Invited but unable to attend this EDA meeting were the original
members who wrote the guidolines; Dale Lungwitz, Linda Mielke,
Don Smith, and Jeff O'Neill. With background information having been
discussed, the EDA members proceeded to review, discuss, and
adjust the GMEF Public Purpose Criteria and Guidelines.
The EDA noted that the purpose of the GMEF is to encourage
economic development by supplementing conventional financing
sources available to existing and now businesses. Additionally,
all loan must comply with four or more of the public purpose
criteriae, of which, criteria 01 is mandatory.
To comply with the Council's request to clarify the definition
of what constitutes croation of a full-time versus part-time job.
the EDA considered two options for adjustment. One, a total of 40 hours
per week would constitute one full-time job, and second,
Bob Moeford suggested in consistency with today's norm, 37.5
hours would constitute one full-time job. Bob Mosford made a
motion that one job be equivalent to a total of 37.5 hours per
week. The motion was seconded by Barb Schwientak and without
further discussion passed unanimously.
EDA Minutes
10/30/90
Page 2
3. CONTINUED.
The EDA members agreed no adjustment was necessary for Criteria
02. To provide loans for credit worthy businesses that would
increase the community tax base.
Criteria 03. To assist new or existing industrial or non-
competitive commercial businesses to improve or expand their
operations. Loans will not be provided for businesses in
direct competition with existing businesses within the City
of Monticello. Bob Mosford recalled to the EDA members that
at the time the EDA members reviewed the CMEF guidelines
in May of 1989, the EDA recognized the gray area of this
criteria and recognized the potential of a future tough
decision. The EDA agreed with the City Council that the main
thrust of the loan program should be oriented toward industrial
development, however, on the other hand didn't see a benefit
of restrictive guidelines which would allow no flexibility for
funding. The EDA members interpret the CMEF Guidelines as
guidelines to follow and not as hard -carved policy and based
on common sense prefer to evaluate each CMEF application for
approval on the basis of project merit and project benefit
ornvided rn the community and it's people. Therefore, the
EDA made no recommendation to adjust criteria ®3. The EDA
felt the Muller Theatre loan approval was for a project
which both benefits the community and it's people as the
project increasedthe aesthetic value of downtown, retained
a downtown business, and supports the Streetscope Project.
(See EDA minutes of 9/28/90 for full approved loan criteria.)
Criteria 04. To provide loans to be used as secondary source
of financing that is intended to supplement conventional financing
(bank financing). The EDA agreed no adjustment was necessary
of this criteria.
Criteria A5. To provide loans in situations in which a funding
gap exists. The EDA recognized that in no way could the EDA
verify a company's actual gap funding, however, also acknowledged
the original intent of the revolving loan was to create an
incentive for industrial businesses to locate within Monticello.
This tool was intended to maintain Monticello as a competitive
city for industrial recruitment, in addition, as a retention
and expansion tool for existing businesses. The Tapper's
loan was part of a financial package developed by Buslnosa
Development Services and in the case of the Muller Theatre
loan, the developer did reduce the cost by going out for
bide on three different occasions, a theatre doesn't
moat the SBA or State program criterias and TIP wasn't
C
applied because a district couldn't be established under
current TIP criteria. The loan application requested
no funds for demolition which would indicate funds to
eliminate blight. The EDA considered the blight issue no
1
EDA Minutes
10/30/90
Page 3
3. CONTINUED.
they approved the loan based on the total project development benefits to
the community and it's people as the total project development increased
the aesthetic value of downtown. Therefore, the EDA agreed
no recommendation was necesary to adjust criteria 05.
Criteria 06. To provide funds for economic development that
could be used to assist in obtaining other funds such as Small
Business Administration loans, federal and state grants, etc.
The EDA members agreed no recommendation was necessary to
adjust critieria 06.
The EDA continued to review the CHEF Guidelines and based upon
the data presented the members on the attorne 's fees for
the Tapper's loan of approximately $1.300 and the banks service
fee of $20.00 per month on the loan, the EDA agreed to recommend
an adjustment. Bob Mosford made a motion to adjust the loan
fee on page 3 to read: Minimum fee of $200 but not to exceed
1.5% (replaced 1%) of the total loan project. The motion was
seconded by Warren Smith and without further discussion passed
unanimously.
The EDA discussed the bank's fee of $20.00 a month and what
services were being provided for the charge. Administrator
Wolfsteller expressed his viewpoint that for the services
being rendered compared to the fee charged over the length
of the loan, the city staff has the knowledge to accomplish
the same service. Warren Smith reminded EDA members that
the approval to have the bank service the loan was made to
eliminate additional duties to city staff. Bob Mosford
made a motion recommending Administrator Wolfsteller negotinte
an agreement between the city and the bank which would
maintain the bank's service of the two loans at no cost
as the GMEF policy enhances the banks policies and is a
benefit to both parties and the community. The motion
was seconded by Al Larson and without further discussion
the motion passed unanimously.
In reference to the recommended adjust to the loan fee of
not to exceed 115% of the total loan project, Bob Mosford
also made a motion to adjust item 7, on page 6, to include:
the City Attorney shall review and/or prepare all contracts.
This adjustment to clarify the attorney's role with the
GHEF loan closing. The motion was seconded by Warren
Smith and without further discussion passed unanimously.
The EDA briefly discussed the need to establish a policy
which would allow a penalty if designed amount of jobs
weren't satisfied. The EDA at this time doesn't sea the
need to create restrictive policies, however, suggested
that periodical accountablity of job creation be made i1
within a reasonable time of completed project and be reported 7
EDA Minutes
10/30/90
Page 4
3. CONTINUED.
to the EDA as well as the current loan payment statis.
Consideration of any necessary action will be discussed
if the need arises.
The EDA agreed that the definition of new jobs included any
new job created in Monticello due to an expansion or relocation.
4. OTHER BUSINESS.
Harvey Kendall made a motion for the UDAC repayments
to the City from Fulfillment Systems, Inc. be transferred into
the EDA account to assure adequate future funds for the
GMEF'. Al Larson seconded the motion and without further
discussion the motion passed unanimously. The EDA expressed
some potential resistance from the City Council to transfer
additional Liquor Store monies to replenish the EDA funds.
Current remaining balance of the EDA fund is $62.000 which
allows a maximun of $31,000 available for loan approval.
Fran Fair made a recommendation that new council members
receive education in the area of the EDA functions and
policies by either Rick Wolfateller or 011ie Koropchak.
EDA members agreed with the recommendation.
5. ADJOURNMENT.
By consensus of the EDA members, the EDA meeting adjourned
at 8:20 AM.
�"s:�z..�.'��,a �49,
011ie Koropchak
EDA Executive Secretary
0
c.
Council Agenda - 11/13/90
12. Consideration to amend Greater Monticello Enterprise Fund
Guidelines. (O.K.)
A. REFERENCE AND BACKGROUND:
Upon the request of the City Council, the Economic Development
Authority (EDA) has reviewed and adjusted the Greater
Monticello Enterprise Fund (GMEF) Guidelines. The GMEF was an
idea which originated with the Industrial Development
Committee (IDC) and was written by a committee appointed by
the IDC. That committee was Linda Mielke, Dale Lungwitz, Don
Smith, Jeff O'Neill, and myself. The IDC reviewed the GMEF
Guidelines prior to City Council approval on April 10, 1989.
The EDA reviewed the adopted GMEF Guidelines on May 16, 1989.
On October 30, 1990, the EDA noted the purpose of the GMEF is
to encourage economic development by supplementing
conventional financing sources available to existing and new
businesses. Additionally, all loans must comply with four or
more of the public purpose r_r.iterias, of which, criteria 81 is
mandatory.
DEFINITION OF PUBLIC PURPOSE
To provide loans for credit worthy businesses that create
now jobs.
To comply with the Council's request to clarify the definition
of what constitutes creation of a full-time versus part-time
job, the EDA added the following definition:
a) One iob is equivalent to a total of 37.5 hours per
week.
2. To provide loans for credit worthy businesses that would
increase the community tax base.
No adjustment necessary.
3. To assist now or existing industrial or non-competitive
commercial businesses to improve or expand their
operations. Loans will not be provided for businesses in
direct competition with existing businesses within the
City of Monticello.
At the time, the EDA reviewed the adopted GMEF Guidelines in
May, 1989, they recognized the gray area of this criteria and
recognized the potential of a tough decision. Although, the
EDA agrees with City Council that the main thrust of the loan
program should be oriented toward industrial development; they
also make no recommendation to eliminate the possibility of
0)
Council Agenda - 11/13/90
funding a non-competitive business as this allows no
flexibility for funding. The EDA interprets the GMEF
Guidelines as guidelines to follow and not as hard -carved
policy. In addition, the EDA prefers to evaluate each GMEF
application for approval on the basis of project merit and
project benefit provided to the community and it's people.
4. To provide loans to be used as a secondary source of
financing that is intended to supplement conventional
financing (bank financing).
No adjustment necessary.
To provide loans in situations in which a funding gap
exists.
The EDA approved the Muller Theatre Expansion Loan as they
determined a funding gap did exist. Mr. Muller, acting in
good faith, reducea his construction cost from $405,000 to
$310,00O through submittal of three separate bidding
processes; a theatre does not qualify for Small Business
Administration or State Funding Programs; and Tax Increment
Financing (TIF) did not apply to this project because the
$50,000 loan was for raw land acquisition, expansion
construction, and machinery and equipment; and not for
demolition of a substandard building. The $50,000 loan caused
a domino affect which encouraged another developer to demolish
a substandard building.
Therefore, no adjustment necessary.
To provide funds for economic development that could be
used to assist in obtaining other funds such as Small
Business Administration loans, federal and state grants,
etc.
No adjust necessary.
The remaining GMEF Guidelines were also reviewed by the EDA
and one correction was made on page 3 under Loan Fee: Minimum
fee of $2O0 but not to exceed 1.5% (replaced 111 of the total
loan project. This recommendation comes because the EDA was
advised of the cost to the EDA for the Tapper project:
Attorney's fee, approximately $1,300 and the banks service fee
of $20 per month. One addition was made on page 6, Item 7,
the City Attorney shall review and/or prepare all contracts.
This recommendation comes from the EDA because in addition to
reviewing all documents, the attorney prepares necessary
documonts for the GMEF.
0
Council Agenda - 11/13/90
The EDA submits to the City Council the adjusted GMEF
Guidelines for consideration to amend. (Adjusted GMEF
Guidelines enclosed as supporting data.)
�t B. ALTERNATIVE ACTIONS:
O1 To amend the GMEF Guidelines as adjusted by the EDA.
2. To deny amendment of the GMEF Guidelines as adjusted by
the EDA.
3. To deny amendment of the GMEF Guidelines and City Council
adjust the GMEF Guidelines.
C. STAFF RECOMMENDATIONS:
The recorizandatioa is to amend the GidEF Guidelines as adjusted
by the EDA (Alternative Action $1).
D. SUPPORTING DATA:
1
1. Copy of the adjusted GMEF Guidelines.
l 2. Copy of the October 9, 1990, Agenda Item.
3. Copy of the October 9, 1990, Council Minutes.
0
Council Minutes - 11/13/90
connection for K mart, the total cost of the project comes to
5256,339. The contractor has already been paid $238,761;
therefore, the final payment due is $17,578. Simola noted
that it is the recommendation of the City Engineer and himself
that the City Council authorize final payment to R.L. Larson
Excavating of St. Cloud, Minnesota, in the amount of $17,578.
City staff and City Engineer are well satisfied with the work
performed by R.L. Larson Excavating and his subcontractors.
After discussion, motion was made by Shirley Anderson,
seconded by Dan Blonigen, to approve final payment as
prcpcsed. Motion carried unanimously.
12. Consideration to amend Greater Monticello Enterprise Fund
Guidelines.
Ken Maus reviewed the proposed amendments to the Greater
Monticello Enterprise Fund Guidelines and noted that the
amendments were requested as a result of the decision to
approve a loan application to the Monticello Theatre.
0llie Koropchak reported that the EDA desired to limit any
amendments to the guidelines so as to allow flexibility in
addressing future requests for loans. 'The EDA suggested that
changes not be made to the guidelines in a manner that would
limit future use of the funds for commercial use.
Assistant Administrator O'Neill indicated that it was his
understanding that the Council desired amendments to the
policy that would reflect specific reasons why Council allowed
GMEF funds to be used in conjunction with the theatre
expansion. The loan for the theatre was approved only because
It provided gap financing for a project that results in
redevelopment of a blighted property. Removal of blight along
with gap financing is to be established in the policy as a
prerequisite for use of the fund for commercial development.
After discussion, a motion was mado by Fran Fair to amend the
guidelines as submitted. Motion died for lack of a second.
Dan Blonigen stated that this fund should be used to enlarge
the work force and should be focused on job creation. No
further action was taken on this matter. The guidelines
remain unchanged.
Page 10 O
�7
Council Agenda - 5/13/91
18. Consideration to authorize a commitment for the use of Urban
Development Action Grant (UDAG) repayment funds. (O.K.)
REFERENCE AND BACKGROUND:
At the January EDA meeting, the EDA requested Koropchak to
research the UDAG information and its permissible alternative
uses. The researched information indicated that in August
1983, the City Council authorized the submission of a UDAG
application for Fulfillment Systems, Inc. (FSI), with UDAG
approval in 1984. In accordance with the UDAG agreement
between the City and the Department of Housing and Urban
Development (HUD) Grant No. B-83-AB-27-0203, EXHIBIT A, any
repayments received after completion of the UDAG funded
recipient activities shall be deemed miscellaneous revenues
and shall be spent for activities eligible under Title I of
the Housing and Community Development Act of 1974, as amended,
and shall not be governed by Part 570. The agreement between
the City and Lne davelaper states the 9eme AA Above with the
addition "unless otherwise provided in the close-out agreement
between City and HUD."
As of April 25, 1991, Mr. Hall of the HUD office stated that
the use of UDAG repayment funds must meet one of the three
objectives under Title I:
For low and moderate -income housing.
For economic development - 70% of the jobs to be
created must be available to the low and moderate -
income individuals, and the funds may be available
to businesses for employment training. UDAG and
GMEF funds are accounted for separately until five
years after project completion or close-out.
For elimininatlon of slum and blight.
According to the January 1990 U.S. Department of HUD Report,
An Analysis of the Income Cities Earn from UDAG Projects, most
grantees are spending at least half of their payback income on
economic development. Sixty-three percent of responding
grantees with income used revolving loan funds. These cities
choose to use the payback income in a form that would provide
continuing, long-term rouse of the funds. About 45% of the
respondents with incomes limited their reinvestment to
Industrial or commercial development, when city size was
considered, smaller communities tend to give greater
preference to industrial projects than do the larger cities.
Fifty-six percent (56%) of the responding cities with income
required funded projects to provide now, permanent jobs. Moot
32
Council Agenda - 5/13/91
of those required that the jobs be for low and moderate -income
individuals. Monticello did participate in this survey;
however, payback income had not been expended.
Principal and interest paid by PSI as of April 12, 1991, is
$90,907.05. The debt service payments are received monthly
for a yearly total of $27,971.40. The debt service was
amortized over 12 years with final payment due December 1999.
Because the City Council originally authorized the loan
through the adoption of a resolution in 1983, the EDA must
receive authorization from City Council; therefore, the EDA
requests that City Council consider authorizing the commitment
of UDAG repayment income to the City's revolving loan fund
(GMEF). The reasons for the EDA request are to create more
stability in the dollar amount of the GMEF balance, to reduce
and minimize the EDA request for liquor store fund dollars, to
assure the availability of future dollars for economic
development due to unpredictable legislation actions such as
the reduction in the amount of available tax increment project
dollars caused by the Tax Increment or HACA Penalty and other
new restrictions placed on the use of TIP; also, other state
and regional financial programs are dwindling, and UDAG
repayment income would provide the community with a continued,
long-term reuse or investment of dollars. Also, an IDC goal
supports the EDA's request of the UDAG repayment income.
At present, the GMEF has a balance of $62,000; and with the
Axoplax Corporation application for $30,000, the balance would
be reduced to $32,000 with a maximum lending capability of
$16,000. It is the EDA's goal to establish an annual GMEF
appropriation fund of $200,000 and to become self -funded.
With the Council authorization of the UDAG repayment income to
the GMEF, this would immediately increase the annual
appropriation fund by approximately $90,000. Thereafter, for
the next eight years the annual appropriation would be
approximately $27,000. The next agenda item addresses the
annual appropriation fund request which you may wish to
discuss prior to any action on this agenda item.
B. ALTERNATIVE ACTIONS:
Motion to authorize a commitment of the UDAG repayment
Income to the GMEF.
2. Motion to deny the authorization of a commitment of the
UDAG repayment income to the GMEF.
Table any action.
33
Council Agenda - 5/13/91
C. RECOMMENDATION:
Recommendation is to support the EDA request (alternative #1)
for the reasons stated above. Upon approval of the EDA
request, it is the intent of the EDA to have the City Attorney
verify the UDAG and GMEF Guidelines for compatibility and
legal accountability of funds.
SUPPORTING DATA:
Copy of the January EDA minutes; Copy of the UDAG resolution:
Copies of a portion of the National UDAG Analysis Report.
34
EDA Minutes
1/29/91
CONSIDERATION TO REVIEW AND ACCEPT THE 1990 EDA FINANCIAL
REPORT.
At the time of EDA establishment, the City Council commited to
transfer of $200,000 from the City Liquor Store Fund with a
maximum loan request of one-half the GMEF remaining balance.
EDA Treasurer Wolfsteller noted the two GMEF loans approved in
1990 for Tapper's Inc at $88,000 and the Muller Theatre at
$50,000 on the Year End Report. Interest earned on each loan
was noted with expenses of loan service fees and legal fees
also being noted. Harvey Kendall asked where the
accountability of the remaining $62,000 Council commitment was
shown. On this report it wasn't shown. Bob Mosford asked if
the EDA loan fee was waived on both loans since no income was
recorded on the report. Koropchak indicated yes to the
Tapper's loan and questioned the waiving of the Muller loan
fee. The EDA members recalled their previous discussion to
negotiate reduction of the bank service fees as this is a
cooperative effort for the good of the community. EDA members
requested Mr. Wolfsteller to contact the local banks regarding
reduction of Lis@ service fees.
The EDA further discussed the availability of additional
transfer funds as with the proposed request of $30,000 GMEF
from Axoplax, the remaining fund balance would be $32,000
thereby allowing a maximum loan request of $16,000. Without
a pre -Council authorization of additional transfer funds, the
EDA available funds becomes like a path down a blind alley,
Barb Schwientek expressed. Meaning Koropchak has no
substantial amount of funds to market. The UDAG repayments
from the Fulfillment Systems, Inc. loan has a balance of
approximately $80,000 currently. Approximate total repayment
over the next ton years will be $250,000 which was earmarked
for economic development. Mr. Wolfsteller informed the EDA
that City Council authorization would be necessary for use of
the UDAG funds as the City Council originally authorized the
loan. The UDAG loan is a federal loan of which a City retains
the paybacks. Upon the request of Harvey Kendall and by EDA
concensus, Koropchak will research the background of the UDAG
and its permissible alternative uses for the next EDA agenda,
this to earmark funds and request City Council authorization.
Upon further discussion, the EDA agreed upon a needed
remaining minimum $100,000 GMEF balance which would be
available for loan request. Al Larson made a motion
recommending City Council authorize a commitment of a
remaining minimum $100,000 GMEF balance. Barb Schwientek
seconded the motion and without further discussion the motion
passed 6-0.
Pago 2
0
RESOLUTION 1983 077
WHEREAS, the City of Monticello has been declared a distressed City
by the Department of Housing and Urban Development, and;
WHEREAS, said declaration permits the City to pursue eligibility and
financial assistance through the Urban Development Action Grant
Program, and;
WHEREAS, Fulfillment Systems, Inc. has presented an industrial develop-
ment proposal to the City which would require UDAG assistance to complete,
and;
WHEREAS, it has been determined that the proposal by Fulfillment Systems,
Inc. would create a substantial number of employment opportunities for
low and moderate income persons in the community.
NOW THEREFORE, BE IT RESOLVED BY THE COUNCIL OF THE CITY OF HONTICELLO,
that an application for an Urban Development Action Grant be prepared
and submitted to the Department of Housing and Urban Development.
BE IT FURTHER RESOLVED, that the Mayor and City Administrator execute
said application, and negotiate a development agreement with Fulfill-
ment Systems, Inc.
Adopted this 22nd day of August, 1987.
K' �L_
Thomas A. Eidom
City Administrator
C
L:;��-
Arve A. Grimsmo, Mayor
30
0
population) which had spent 73 percent M their income; by contrast, die smallest category of cities
spent 53 percent of their income.
By definition, that money not spent was saved. Presumably, tides were drawing interest on
repayments which had been made. This would add to total reported Income for cities from paybacks.
Type Of Aetivnies Sgpppned. To understand how cities use the money earned from UDAG projects
we organized spending by basic types of community and economic development: commercial and
Industrial development, housing, Infrastructure, public services, and administrative. We asked the
UDAG grantees to tell us what percent of their payback income they spent on these activities. Most
grantees are spending at least had of their payback income on economic development. Those
respondents who were able to differentiate between commercial and industrial development said that
they were giving slightly more emphasis to me commercial side. City she did not effect these patterns
of spending.
TABLE 2.5.
TYPE OF ACTIVITIES ON WHICH PAYBACK INCOME IS SPENT
Average City
Number Percent of Papbacks
Tvpes of Expense ofCitles Scent on Various Activities
Economic development
269
52.6%
Infrastructure
266
10.4
Housing
264
6.5
Administration
264
6.4
Public Services
264
3.5
Other uses
266
12.0%
POLICIES GOVERNING THE USE OF PAYBACK INCOME
We asked UDAG grantees to identify how they used payback funds. we asked about three areas:
coordination of spending with Community Development Block Grant (Ch.--) �_.�C using funds for
special public works; and revolving loan funds.
The size of the grantee was a factor in two of these areas. first. the smaller the grantee, the more
likely it was to ear716rk payback Income for special public works projects. Fifty-two percent of the
smallest cities used funds in this way, while sir percent of the largest did the same. Second, the larger
grantees tendod more to coordinate me spending of payback funds with their CDBG allocation.
Probably this results from some smaller cities hew^ very little or no CDBG funding from their State
CDBG program or the fact mat this funding Is discontinuous.
Slrry-three percent of responding grantees with income used revolving loan funds. Furthermore, this
rate was constant across all city size groups. These cities were choosing to manage UDAG payback
Income in a form that would provide continuing, long-term rouse of the funds.
is D
TABLE 2.6.
TECHNIQUES FOR USING PAYBACK INCOME,
BY CITI' POPULATION
Percent of Cities with Income
Coordination Special Revolving
with CDBG Public Loan
Cih• Population Program Works Fund
Under 2.500 26.0% 52.0%i 68.0%
2,501 thru 10,000 . 30.9cic 30.9% 72.0%
10.001 thru 50.000 59.717C 41.8%i 61.9%
50,001 thru 200.000 65.7%i 22.8% 54.3%
over 200,001 69.4ch 6.1% 55.1
All Cities 50.8 t 32.8%a 63.0%
Many cities have criteria for the types of proiects which may use UDAG payback funds, About 45
I percent of the respondents with incomes limited reinves.—ment to Industrial or commercial
l development. Seventoon. portent eerr+erked funds for Investment in housing. Thirty-two percent set
the minimum standard as required by federal few that grantees must use rampttow.; W art'141fes
eligible under Title I of the Housing and Community Development Act. When we consider city size, a
few patterns emerge. Smaller communities rend to give greater preference to Industrial projects than
do the larger cities. In housing, the largest Cities reinvest project Income In housing at sh times the
rate of the smallest cities.
TABLE 2.7.
LIMITATIONS ON TYPES OF PROJECTS SUPPORTED BY
UDAG PAYBACK FUNDS
Project Type Percent of Responding Cities
with Income
Industrial 46.0%
Commercial 45.7%
Any Title I activity 32.5%
Housing 17.1%
We also fooked at rho qualdications required by grantees In order for projects to recolve stopon from
UDAG payback funds. Overall, two thirds of tides had some sort of qualification SaWards. Mezost
( common standard, In 38 percent of the responding cities with Income, required funded projects to
provide new, permanent jobs. Most of those 0`e41011001 dal the jobs be for tow, and moderate -income
Individuals. Thirteen percent of the grantees targeted funding to email businesses.
13
TABLE 2.8.
QUALIFICATION STANDARDS FOR PAYBACK
SUPPORTED PROJECTS
Oua!iricatlon Standard
Percent of Responding Cities
Project must:
Provide new, permanent jobs
55.5%
Provide evidence of need for assistance
46.8
Provide low- and moderate -income jobs
45.2
Benefit low- and moderate -income families
42.5
Be limited to specific areas of city
27.5
Have a minimum leverage ratio
26.0
Be limited to small businesses
13.2%
BENEFITS OF REINVESTMENT
In all, responding grantees have channeled payback income Into 1,456 projects. They report the
creation of 22,479 jobs and the construction or rehabllitatlon of 2,068 housing units. We reported
earlier on the tax revenues earned from UOAG projects. In addition, cities reap additional taxes from
the projects supported by payback funds. These taxes toms t 11.7 million dollars for 739 grantees who
provided data on this from.
Council Agenda - 5/13/91
19. Consideration to authorize a commitment of an annual
appropriation of £200,000 for the Greater Monticello
Enterprise Fund (GMEF). (O.K.)
A. REFERENCE AND BACKGROUND:
As stated in the previous agenda item, it is the EDA's goal to
establish an annual appropriation of $200,000 for the GMEF and
to become self -funded. An annual appropriation of $200,000
would mean an annual maximum lending capability of $100,000.
It is the feeling of the EDA members that without a pre -
Council authorization of additional transfer funds, the GMEF
available funds become like a path down a blind alley,
meaning the City or the EDA Executive Director has no
substantial amount of funds to market. The annual
appropriation would allow increased policing of the city
budget by the City staff and Council in addition to
establishing the EDA goal. The same reasons stated for the
request of the UDAG repayment income apply to this request.
With the assumption the UDAG repayment income was committed to
the GMEF, the 1991 appropriation commitment as of today would
mean a requested $48,000 liquor store appropriation.
Appropriations - Original Liquor Fund $ 62,000
Appropriations - UDAG $ 90,000
Appropriations - Requested Liquor Fund $ 48,000
Total Annual GMEF Appropriation $200,000
With the assumption the UDAG repayment income was not
committed to the GMEF, the 1991 appropriation commitment as of
today would mean a requested $130,000 liquor store
appropriation.
At the City's fall budget session, the EDA would suggest the
requested 1992 liquor fund appropriation dollar amount for
consideration in the proposed city budget. Again, I remind
you it is the intent of the EDA to become self -funded; and
additionally, for your information, it is not unusual for
titles to have revolving loan funds of well over $500,000.
B. ALTERNATIVE ACTIONS:
1. Motion to authorize a commitment of an annual
appropriations of $200,000 for the GMEF.
2. Motion to deny authorizing a commitment of an annual
approprations of $200,000 for the GMEF.
3. Table any action.
35
l
I
Council Agenda - 5/13/91
C. STAFF RECOMMENDATION:
Recommendation is alternative ®1 for the reasons given within
the agenda.
D. SUPPORTING DATA:
Copy of the EDA 1991 Cash Flow Projection with the assumption
the previous two agenda items were approved.
36
MONTICELLO ECONOMIC DEVELOPMENT AUTHORITY
GREATER MONTICELLO ENTERPRISE FUND (GMEF)
1991 Cash Flow Projection
RECEIPTS
Appropriations -Original Liquor Fund $ 62,000
Appropriations-UDAG 90,000
Appropriations-1991 Liquor Fund 48,000
Note amortization payts-Tapper's Inc ($736.07 Mo.) 8,833
Note amortization payts-Mueller Theatre ($418.11 Mo) 5,019
Interest income -investment 500
Loan Fees 2,250
Total Receipts
EXPENDITURES
GMEF loans $150,000
Legal fees 1,500
Service fees 480
l Total Expenditures
Excess of Receipts Over Expenditures
$216,602
$151,980
$ 64,622
0
Council Agenda - 5/13/91
20. Consideration of renting or demolition of the recently
acquired house adiacent to City Hall. (R.W.)
REFERENCE AND BACKGROUND:
Last fall, the City purchased the Cole property near City Hall
for $50,000 to allow for future building expansion and/or
parking requirement needs. At the time of the purchase, the
Council chose to postpone a decision regarding possible rental
of the dwelling until this spring to determine whether the
building would be demolished for parking lot and/or building
expansion needs. The property was winterized, and the garage
was utilized by the public works department for storage in the
meantime.
Since the acquisition, a few people have inquired as to the
possibility of renting the structure but were informed that it
was not available for rent until a decision was made whether
the structure would have to be removed for parking lot
expansion. As part of our 1991 budget, we budgeted $7,500 for
the purpose of expanding the City Hall parking lot, which may
or may not encroach on this property. Related to the question
of whether or not to rent the house is the question of where
the parking lot expansion should occur. Assuming City Hall is
ever expanded, it appears likely that any expansion will occur
to the west toward Red's Mobil. Under this assumption, it
would be reasonable to assume the parking lot can be expanded
by 15-20 parking spaces by going directly south of the
existing parking lot. A number of options for the parking lot
expansion can be explored, some of which would not require our
rental properties to be removed. In all likelihood, the
easiest expansion would require one or both of our rental
dwellings to be demolished. While it doesn't appear that the
Cole house would immediately need to be removed unless we are
trying to create an access point to ouz' parking lot from 3rd
Street, this dwelling does need approximately $5,900 in
estimated repairs if we should decide to become landlords.
The Public Works Director, Building Inspector, and Street
Superintendent inspected the Cole property and made up a list
of house repair items that should be accomplished if the
Council chooses to rent the dwelling rather than demolish.
Some of the suggested repairs are not necessarily life or
safety hazards but are included in the potential cost, as I
assume the City does not want to be considered a slumlord.
Based on the estimated cost of approximately $6,000, It is
anticipated the City would have to rent this dwelling for at
least two years to recapture our investment before we would
see any return on the improvements. Given the fact that the
City pays real estate taxes equal to 30% of our rental income,
we could expect to not approximately $3,500 per year in rental
37
Council Agenda - 5/13/91
income. This also assumes that we do not experience any other
major repair items within the next two years. If it is
determined that an access point to 3rd Street is not a
necessity at this time, nor that the parking lot needs to be
placed on the Cole property, it is recommended that we do not
consider renting the facility unless we anticipate it being
available for more than two years before demolition.
The City Hall parking lot could be expanded to the south
requiring the removal of our previously owned rental dwelling,
and City Hall could even see an expansion addition to the west
that would not require this Cole property to be demolished at
this time. On the other hand, if rental is only a shorter
term propnsition, it is recommended the house be removed at
this time before we invest $6,000 to make it rentable.
B. ALTERNATIVE ACTIONS:
Council could determine that any parking lot expansion
and/or future building expansion of City Hall would not
require immediate removal of the Cole dwelling and
authorize the staff to invest approximately $6,000 in
renovations and place the property for rent.
Under this alternative, we should be planning on renting
the property for at least two years to just recapture our
improvement cost.
Determine that it is not feasible to renovate the
structure for rent and instruct staff to develop
demolition specifications for removal.
At this time, it is recommended that the garage structure
remain, as it can be utilized by the public works
department for storage of park and lawn equipment; but
removal of the structure would allow for both parking lot
expansion and/or an access to 3rd Street to be developed
from our parking lot.
Continue to leave the home as is until it is determined
whether a parking lot expansion plan can be developed
without utilizing the property.
STAFF RECOMMENDATION:
While it appears that the home does not have to be removed to
allow for expansion of the parking lot or any immediate
building expansion needs, the $6,000 estimated repair cost
doesn't make it attractive to rent the property unless the
City is committed to renting for two or more years at a
minimum. In all likelihood, if our parking lot is expanded
38
Council Agenda - 5/13/91
this summer, it may require the removal of our previously
owned rental dwelling (the Bland house); but it may also be
beneficial to have an access to 3rd Street by removing the
Cole house also. Because we do not know what additional cost
or maintenance items may be needed on this home in the future,
the staff is somewhat uncomfortable with spending $6,000
remodeling this structure just to make it rentable for a few
years. Since we purchased the property for parking lot,
access, and building expansion needs, it may be best to just
demolish the home and prepare the site for this purpose.
D. SUPPORTING DATA:
Map showing house in question; List of recommended repairs
before renting.
39
0 ay C�1.,
iAST Fr9��
On
l
PRErAL PggC&V, y
P�:EVrc4fcy /JcG,u�o.f0
ey C,E7
J
0
CODE CORRECTION ITEMS
1. Fire stop the furnace vent pipe nt: floor.
2. Frame and sheetrock around furnace vent pipe in kitchen area.
3. Install handrail on stairs leadint, to the second floor of the
house.
4. Install two electric smoke detectors, one on the main floor
and one on the second floor of thq house.
5. Install an exterior set of steps in front of the dining room
atrium door.
6. Complete exterior railing on the axterior walkway on the west
and south sides of the house.
7. Install NO -HUB rubber gasketed fitting where ABS waste pipe
meets the PVC waste pipe.
B. Install bathroom vent fan in the main floor bathroom.
9. Sheetrock walls and ceiling in main floor bathroom.
10. Complete kitchen cabinet countertop backsplash.
r
C
G
COLE HOUSE REPAIRS
I.
Water Service
Change galvanized to copper 6 lower (100
ft long) $ 800
II.
Plumbinq
Lower bathroom PVC 6 black plastic mix
$ 75
III.
First Floor
1. Kitchen:
Threshold, floor repair,
cabinet doors 6 drawers,
finish tape, paint, 6 trim
$
275
2. Bathroom:
Repair electrical, sheetrock,
tape 6 paint, door hardware,
exhaust fan
S
650
3. Living Room:
Misc. electrical repair,
replace smoke detector,
paint, repair ceiling,
�cpair roof leak
S
300
4. Bedroom/Den:
Door hardware, closet repair,
wall trim, wall taping repair
and paint
S
275
5. Entryway:
Tape 6 paint, door paint
$ 150
TOTAL FIRST FLOOR:
$1,650
IV.
Second Floor
1. Bathroom:
Insulate wall to attic
$
150
2. NW Bedroom:
Floor/wall trim, ceiling
tile, door trim, 6 paint
$
300
3. Hallway:
Ceiling repair
$
35
Handrail: Install, stain,
/
and finish
S
65
COLE HOUSE REPAIRS
Page 2
4. SW Bedroom:
Paint, closet hardware,
door trim
$ 175
5. Smoke detector replacement
; 30
TOTAL SECOND FLOOR:
$ 755
V. Exterior
1. Paint trim 6 misc.
$ 250
2. Paint house
1,500
3. Deck code repair
300
4. Step on east (relocate faucet)
400
5. Establish lawn (NE)
200
TOTAL EXTERIOR:
$2,650
VI. Appliances
1. Dish wA[iher
2. Stove
7
3. Refrigerator
7
TOTAL ESTIMATED COST:
55,930
Using summer help where possible, professional on plumbing and
electrical and house painting.
Council Agenda - 5/13/91
21• Consideration of approval of plans and specifications for 1991
sealcoatinq project and authorization to advertise for bids.
(J.S.)
REFERENCE AND BACKGROUND:
This year's sealcoatinq project involves the eastern portion
of the core city. This would be east of Highway 25 up to and
including Dayton Street. River Street would be done from
Highway 25 to the hospital property, as well as 3rd Street and
4th Street and those side streets between River Street and the
Burlington Northern Railroad. This area contains 76,239 sq yd
of street surface and was last sealcoated eight years ago in
1983.
Estimated cost of the 1991 sealcoatinq program is
approximately $45,000. For the 1991 budget, we placed an
amount of $47,500 in the public works streets and alleys
section of the general fund.
We are proposing one significant change this year, and that is
to move the completion date of the sealcoatinq project,
including till final nwuepiny, to July i. vrovtousiy we have
sealcoated later in the year, specifically to avoid conflicts
with the 4th of July. It appears now that it may be in our
best Interest to switch back to an earlier sealcoatinq
schedule. There are primarily three reasons for doing this.
First, we have been informed that by getting the bids out
earlier in the year, we may see a lower overall cost.
Secondly, the sealcoatinq project would have a longer hot
season period to set in and anchor the rock resulting in a
better soalcoating project itself. Lastly, because the rock
is better anchored, less sweeping would be required and less
rock would find its way onto the boulevard grassy areas over
the winter during the snowplowing season.
Since the specifications are extremely lengthy, we have
included only the special conditions for your reviow. The
complete specification is available at City Hall. If
approved, advertisement for bids could be placed immediately
with the bids returnable just prior to the next Council
meeting on May 28, 1991.
B. ALTERNATIVE ACTIONS:
1. The first alternative is to approve the specifications as
draftod with the now project schedule and authorize
advertisement for bids with an anticipated cost of
$45,000.
D
40
Council Agenda - 5/13/91
2. The second alternative would be to modify the time table
and return to the later schedule. The Council could
still authorize the bids to be returnable as outlined in
alternative @1.
3. The third alternative would be not to continue with the
sealcoating portion of our comprehensive street
maintenance program. This would not be in the best
interest of the City, as we are now getting closer to the
downhill side of the life cycle of pavement in the core
city areas, and the sealcoat program is needed not only
for maintaining the oil in the blacktop and surface
protection but also for aesthetics. Our program should
get ue near a twenty-year street life before major street
work is needed.
C. STAFF RECOMMENDATION:
It is the staff recommendation that the City Council approve
the specifications as drafted with a new time table and
authorize advertisement for bids as outlined in alternative
D. SUPPORTING DATA:
Copy of special conditions from sealcoat specifications along
with map indicating areas to be sealcoated this year.
41
SPECIAL PROVISIONS
l SEALCOATING AND APPURTENANT WORK
IMPROVEMENT PROJECT NO. SC 91-1
INDEX
ITEM
PAGE
1.
General . . . . . . . . . . . . . . . . . .
. . . . 44
2.
Owner
44
3.
Starting and Completion Dates . . . . . . .
. . . . 44
4.
Failure to Complete Work . . . . . . . . . .
. . . . 44
5.
Scope and Order of Work
44
6.
Detours and Traffic Control . . . . . . . .
. . . . 45
7.
Certificate of Compliance with
Minnesota Withholding Tax . . . . . . . . .
. . . . 45
8.
Bituminous Sealcoat (2356) . . . . . . . . .
. . . . 45
/ 9.
4
Affidavit of Non -Collusion . . . . . . . . .
. . . . 46
10.
Superintendence and Supervision . . . . . .
. . . . 46
11.
Preparation of Existing Road Surface . . . .
. . . . 46
12.
Sweeping after Sealcoating . . . . . . . . .
. . . . 47
C SEALCOAT SPECS: 5/5/91 Page 43
0
SPECIAL PROVISIONS
SEALCOATING AND APPURTENANT WORK
IMPROVEMENT PROJECT NO. SC 91-1
1. GENERAL
The general conditions as embodied in these contract documents and
the various applicable sections of the Minnesota Department of
Hiqhwav Standard Specifications for Highway Construction dated
October 3, 1988, and any supplemental specifications shall apply to
all work and materials furnished under these special provisions
except as hereinafter modified.
2. OWNER
City of Monticello, 250 East Broadway, PO Box 1147, Monticello,
Minnesota 55362.
3. STARTING AND COMPLETION DATES
The contractor shall commence work within ten (10) calendar days
after receipt of notification to proceed from the City.
All work to be constructed under this project shall be completed,
in place, and accepted by July 1, 1991.
4. FAILURE TO COMPLETE WORK
Should the contractor fail to complete and have accepted all the
work on or before the established completion date, the sum of
Twenty-five Dollars ($25.00) per calendar day, including Sundays
and holidays, shall be deducted from any monies due, not as a
penalty, but as liquidated damages, all in accordance with
Articlo 27 of the general conditions of these contract documents.
5. SCOPE AND ORDER OF WORK
The work under this project shall consist of furnishing all
necessary men, equipment, and materials to construct the proposed
bituminous sealcoat as Shown on the drawings or as specified
herein.
Projoct is lo.-ted in the city of Monticello and includes the
following streets:
(Soo next page for locations.)
SEALCOAT SPECS: 5/5/91
Page 44
0
PROJECT SC91-1
SP.ALCOATING AND APPURTENANT WURY.
May 5, 1991
Standard
RePurt
Page 1
SEGMENT
It Si. 14AME
011. WUIII
SEGmr L0111
SEALCLIAI
----------
SQUARE YARDS
------------
_________
14E000I
______________________
E. RIVER SI. (100)
_________
34
__________
360
190,
1,390
NE0003
E. 3RO. SI. JIUO)
31
303
1.575
NE0004'
E. dill. 31. (100)
37
302
.1,903
1 903
1,570
NE 1001
CEDAR SI . ( IIIU)
34
368 _ __.
19R3
1,390
14E 1002
CEDAR SI (2UU)
3A,
_
368
1903
1,390
NE 1003
CEDAR SI ( IOU)
34
- 375 _
1 993
1,417
NE 1004
CEDAR 51". (40U)
34
391
19A3
1,477
OF 20U1
E. RIVER 31. (2UU)
34
5G2 ,.
1903
2,123
NE 2003
E. 3RD. St. (2UU)
31
412
1903
1.694
NE2004
E. 4111. 31. (200)
37
___
412 _
1983
1,694
NC2005
PALM 31. (IUD)
34..
_ 360 ,,
1983
1,390
NE2006
PALM SI. (200)
34
360
1903
1.390
NE2007
PAL14 31. (3UU)
34
368 _ __
- "-411
1903
1,390
NE3001.
E. RIVER SI. (IIJU)
34
_
1903
1,553
1JE3003
E. 3RU. S1. (3UU)
.37.-..-
_., _
558
1907_
2,286
NE3004
E. d111. 91. (3UU)
37
560
1903
2,302
NE3006
NEW Sr. ( IUD)
34 __ _ _
._. 388 _ _ __190?
1.390
U 123007
NEW 91 . ( 200)
34
._ _ 369
1903 _
1,390
NE3008
NEW SI. (30U)
34
_ 360
1983
1,390
NE4001
E. RIVER SI. (40C)
34
412---1907
1.556
003
C. 31:1). ST. (.IU(J)
IJE4004
E. 4111. SI. (41.10)
37
41V
t903_
1,686
U(14000
WR 10111 S1. (IUU)
34
3blEl _l1903
1.390
UE4007
wit 10111" S1 f71JU)
_JA. ___..._368
_.
_1903
1,390
IIE4000
14A loll ST (3UU)
34___
3]41903"
1.413
14ESUU1
E. RIVER 31. (SUU)
34______
412
I903 _
1,556
1JE5003
E. 311D. Sr. (5UU)
_37_
___413.1903
1.690
IJES004
r. 4111. 31 . (50U)
37 _ -
411 ___�_
I903_
1,690
1415000
RAMSEY 31. (IUO)
34
368
1903
1.390
❑rSUUG
RAM;CY 51 (2(10)
I,J90
UE5007
RAM31=Y ^•I'. (30U)
34•
- '366 -
1903
I,]90
IIE5000
RAMSEY SI". (401)1
34'*__'**-v--'40U_
19113
1,511
NCGOOI
C. RIVER SI. (GOO)
34 �-,
dVB
1903_
1.541
111:6003
E. 31JU. 91. (ODU)
3'J
�4U9
,1903."
I,G81
1JCG004
r. dill. St. (OOU)
.__._
37_
410
1903
1,606
NLGUOG
IN'NNIi`[to 41. ( IU(I)
34 _.--• .__
J60_
�309
19Q3_
1.390
NCGOO7
IICNUCIIIII 31. (2UU)
34
1903
1.390
NCDUOO
IIENNI:PRJ 81. (IVV)
3A
J00
19A3_
1.390
NC7001
C. RIVER 31. (70(1)
":Ja _. __
_ASI
1903
1,704
NE7UU3,
E. 31JU. BI'. (7011)
31�
3AA
19R3_
1.41,4
IJr 70 U4,
C. 4111, S1. (700)
3"'1
304
1903
1.250
NI7.7UU5
WASII I NO1014 91. (ODU)
3�160
_ _
I903
623
flu 7(JUG
1•)A')1 I I NO 1(111 91. ( 100)
3A� -�3G0
1903
1.360
for 7007
WA5I11 NO ON '31, (2UU)
4i _.
"A2"____
__ .31)4 _
1903_
1.792
Nr7000
WA3RIN1I0I4 S1. (3UO)
_415___1
Y03_.
1,937
NL70U9
W43111NRIUIJ 91. (4UU)
42
41S�
1907
1.937
111'000I
r. RI Vim 01. (ODU)
33 �
•�~4?�19(13
1,550
14F0004
DAYIUII 31. (IUU)
�a ^_
.319
1903 ,_
1,432
J4f.90l)I
C. RIVLIJ S1. (900
3)
qjf ,i
(903•
2,211
76,239 110 YOS
TOTAL
SCALCOAT
DPOCS: 5/5/91
Page
dollar
0
The base and/or bituminous surface repair will be done by the City.
This work shall be completed prior to sealcoating.
The contractor may schedule the order of work as he deems
necessary; however, the contractor shall submit to the City the
construction schedule prior to the start of construction.
The City shall have the right to add up to 25% of the original
contract quantity at the unit price bid.
6.' DETOURS AND TRAFFIC CONTROL
The contractor shall furnish sufficient signs, barricades, and
flashes to adequately control and/or direct traffic which shall be
placed as directed by the City. These signs, barricades, and
flashers shall conform to all state and federal standards.
"SIGNS WARNING TRAFFIC TO GO SLOW" shall be left in
place until completion for the final sweeping in each area.
7. CERTIFICATE OF COMPLIANCE WITH MINNESOTA WITHHOLDING TAX,
Final payment will not be made until the contractor shall have
filed with the engineer evidence in the form of an affidavit of
such other evidence as may be required that all claims against him
by reason of the contract have been fully paid or satisfactorily
secured. In case such evidence is not furnished, the owner may
retain out of any monies due said contractor sums sufficient to
cover all liable claims unpaid.
Before final payment is made for the work on this project, the
contractor must make a satisfactory showing that he has complied
with the provisions of Minnesota Statutes Annotated 290.92
requiring the withholding of state income taxes paid the employees
on this project. Receipt by the City of a certificate of
compliance from the Commission of Taxation will satisfy the
requirement.
B. BITUMINOUS SEALCOAT (23561
The bituminous sealcoat shall be constructed in accordance with
Section 2356, Minnesota Standard Specifications, except, as modified
herein.
The bituminous material for sealcoating will be CRS-2 applied to
the road surface at a rate of 0.35 gallons per square yard.
Application of the bituminous material shall produce a uniform film
without lines, ridges, or skips or over application from poor stop
and sorts. Adjustments to the spray bar and nozzles shall be made
prior to application of the bituminous material on the areas to be
SEALCOAT SPECS: 5/5/91 Pago 45
0
sealed. Special care shall be used to "COVER AND PROTECT
ALL MANHOLES AND VALVE BOXES AND CATCH
BASINS WITH SAND OR BUILDING FELT" to keep them free
of bituminous material. In areas where concrete curb and gutter
exist, no bituminous may be sprayed on the concrete surface. If
any spills occur or manholes and gate valves are sprayed, they must
be cleaned up prior to final payment. This includes any areas of
curb that are sprayed other than a slight overlap at the
bituminous/concrete curb joint. If the curb is heavily covered
with bituminous and cannot be cleaned, it shall be replaced by the
contractor at no cost to the City.
Aggregate for sealcoat shall be Class A aggregate with a modified
FA-3 graduation (100% passing the 3/8-inch) meeting ASTM 4-89 and
applied at 30 lbs. per square yard.
Prior to any payment, the contractor shall provide written
documentation in the form of weight or load tickets, etc., to show
that the CRS-2 and FA-3 modified were applied at the rate
specified.
Sweeping of excess aggregate after rolling and local traffic will
be required (min(mum of one week after application). Must be
completed by July 1, 1991. See Item 012.
9. AFFIDAVIT OF NON -COLLUSION
The contractor shall properly execute the affidavit of non -
collusion which is included with the contract documents. Failure
to execute the affidavit of non -collusion will be considered
sufficient cause for rejection of a bid.
10. SUPERINTENDENCE AND SUPERVISION
The contractor shall keep on his work at all times during its
progress a competent superintendent, all in accordance with
Article 21 of the general conditions and these contract documents.
11. PREPARATION OF EXISTING ROAD SURFACE
Immediately prior to application of asphalt material on the streets
to be sealcoatod, this contractor shall remove all loose and
foreign material by sweeping with a self-propelled pickup sweeper.
Particular care shall be taken to clean thoroughly the outer edges
of the strip to be treated. Material removed from the surface
shall not be mixed with the cover aggregate on the stroots to be
soalcoated.
SEALCOAT SPECS: 5/5/91 Page 46
0
12. SWEEPING AFTER SEALCOATING
Sweeping of excess aggregate after a sufficient time of local
traffic has driven on the sealcoated streets will be required
(minimum one week). The aggregate material swept up will remain
the property of the City of Monticello. The contractor shall dump
this excess aggregate at the City's waste stockpile site on the
west end of town.
l
SEALCOAT SPECS: 5/5/91 Pago 47
1991 SEALCOAT
Ao'
sr
AURING
IDE
14
Fet
NO. 9q
THOMAS
Council Agenda - 5/13/91
22. Consideration of approving lease agreements for Food Shelf and
Christian Social Services use of old fire hall. (R.W.)
A. REFERENCE AND BACKGROUND:
In April the Council approved the concept of allowing the old
fire hall to be remodeled by the Jaycees for use by the Food
Shelf and the Christian Social Services operations. As far as
I know, the Jaycees are still working toward starting the
project in the next 30-60 days, and the Jaycees have also
applied to the state organization for grant funds to help them
with this project.
As part of the previous Council approval, I have prepared a
lease agreement that the City would enter into with both the
Food Shelf and Christian Social Services. This agreement has
been reviewed by our City Attorney, Paul Weingarden, who
suggested a few minor changes and is comfortable with its
context. The City Attorney only questioned the amount of rent
proposed at $1.00 per year but indicated that is a City policy
and not a legal question. Since the exact square footage and
design has not yet been submitted by the Jaycees for Council
approval, there are some blank spaces in the lease document
pertaining to the square tootage for each party.
In regard to insurance coverage, I have not indicated the
minimum amount of public liability insurance the City will
require each party to carry. When discussing this item with
our insurance agent, they recommend that the City obtain
coverage in the amount of at least $600,000, but this may be
excessive for these non-profit organizations. The minimum
amount necessary would be at least $100,000, and it is
suggested that the City require $300,000 as a compromise.
If the Council approves the basic context of the lease
agreement, I will then forward a copy to each organization for
their review. The actual date of the lease will depend upon
when the construction is finished and the actual plans for
remodeling are approved.
B. ALTERNATIVE ACTIONS:
I. Approve the lease document as presented. If there are
any changes to the amount of annual rent, this can be
changed at this time.
2. Do not approve the lease agreement. This option is not
feasiblo unless the Council has changed its opinion
regarding use of the fire hall by the two organizations.
D. SUPPORTING DATA:
Copy of proposed lease agreement; Lotter from City Attorney.
42
LEASE
This lease, made and entered into this day of
1991, by and between the City of Monticello (hereinafter referred to as
Lessor) and (hereinafter referred
to as Lessee).
Lessor leases and lets to Lessee that part of the premises situated at
Monticello, Minnesota, more particularly described as follows:
That portion of the building located at 215 Cedar Street
containing square feet as described in Exhibit A
attached hereto. Legal description is Lots 4 and 5, Block 34,
Original Plat, City of Monticello, Minnesota.
for a period of ten (10) years commencing 1991,
and ending on , 2001, unless otherwise earlier
terminated as provided herein, on the following terms and conditions:
1. Lessee agrees to pay, without demand by Lessors, as and for
rent the sum of $1.00 annually provided, however, that in case
said premises, without fault or neglect on the part of the
Lessee, is destroyed or is so injured by the elements or any
other cause AS to be untentable or unfit for occupancy, Lessee
is not liable thereafter to pay rent to said Lessors; and the
Lessee shall thereupon quit and surrender possession of said
premises.
2. Quiet Enlovment. Lessors covenant that on paying the rent and
performing the covenants heroin contained, Lessee shall
peacefully and quietly have, hold, and enjoy the demised
premises for the agreed term.
3. Use of Premises. The demised premises shall not be used by
Lessee for any purpose, though wholly legal, other than for
the purpose of operating a non-profit
4. Alterations and Improvements. Lessee shall make no
alterations to the buildings on the demised premises or
construct any building or make other Improvements on the
demised promises without the prior written consent of Lessor.
All alterations, changes, and improvements built, constructed,
or placed on the demised premises by Lessee with the exception
of fixtures removable without damage to the premises and
movable personal property shall, unless otherwise provided by
written agreement between Lessor and Lessee, be the property
of Lessor and remain on the demised premises at the expiration
or sooner termination of this lease.
FIRE HALL LEASE: 5/7/91 Pago I
0
5. Insurance. Lessor shall maintain insurance coverage on the
building structure, and the Lessee shall be responsible for
maintaining insurance coverage on any personal property or
contents within leased area. Lessee shall also provide and
maintain in force public liability insurance coverage of not
less than and name the
Lessor as a co-insured.
6. Waiver of Subroqation. All insurance policies carried by
either party pursuant to this lease shall contain clauses by
which the insurer waives all subrogation rights which it may
have against either party hereto and against their respective
insurers. The parties hereto, on behalf of themselves and
their respective insurers, waive such subrogation rights. In
addition to the foregoing, the Lessee agrees to name Lessor as
an additional insured on any insurance policies required
hereunder.
7. Hold Harmless. Lessee shall hold Lessor harmless from any
damage suffered by any person arising out of Lessee's use or
control of leased premises and shall defend Lessor against any
claims against Lessor arising from Lessee's use or control
over the leased premises.
8. Right of Entry. Lessor and/or Lessor's agents reserve the
right to enter the domised prcmiscs at all reasonable hours
during the term of this lease for the purpose of inspecting
the premises and all building improvements thereon and
whenever necessary to make repairs and alterations to the
premises.
9. Taxes. Lessor will be responsible for the real estate taxes
during the terms of this lease.
10. Assignment and Subletting. Lessee shall not assign this lease
or sublet any concession or license to use the premises or any
part thereof. Any assignment or subletting without writton
permission of Lessor shall be void, and the lease shall, at
Lossee's option, be terminated in compliance with the default
provision herein.
11. Termination. Lessee agrees to give lessor thirty (30) days
written notice before the expiration of this lease of Lessee's
intention to vacate at the and of this lease.
If the demisod premises, or any part thereof, shall be
partially damagod by fire or other casualty, the Lessor, at
its option, may terminate this lease prior to the termination
date. Lossoe shall not seek damages or contribution from tho
Lessor for any damages incurred as a result of Lessor's
decision not to repair/rebuild the promises.
FIRE HALL LEASE: 5/7/91 pago 2
12. Utilities. Lessee shall be responsible for all utility costs
associated with the leased premises, including heat,
electricity, sewer, and water.
13. Maintenance and Repair. Lessee shall be responsible for all
repairs and incidental maintenance of the leased space.
Lessor shall keep the exterior of the premises in reasonable
repair during the term of the lease and shall maintain the
common parking areas of the premise.
14. Right of Entry. Lessor and Lessor's agents reserve the right
to enter the demised premises at all reasonable hours during
the term of this lease and any renewal thereof for the purpose
of inspecting the premises and all building improvements
thereon and whenever necessary to make repairs and alterations
to the demised premises.
15. Surrender of Premises. At the expiration of this lease,
Lessee shall quit and surrender the premises hereby demised in
as good a state and condition as they were at the commencement
of this lease, reasonable wear and use and damage by elements
excepted.
16. Default. If any default is made in payment of rent, or any
part thereof, at the times herein before specified, or if any
default is made in performance of or compliance with any other
term or condition hereof, the lease, at the option of the
Lessor, may be terminated. Lessee agrees to pay all of
Lessor's costs, including reasonable attorney's fees, in the
event legal action is necessary to obtain possession of the
premises.
17. Applicable Law. Lessee shall abide by all applicable
statutes, administrative regulations, and ordinances covering
Lessee's use of the property. This lease shall be construed
according to the laws of the state of Minnesota.
18. Heirs and Assigns. The covenants and conditions herein
contained shall apply to and bind the heirs, legal
representatives, and assigns of the parties hereto, and all
covenants are to be construed as conditions of this lease.
C FIRE HALL LEASE: 5/7/91 Pago 3
0
r IN WITNESS WHEREOF, the parties hereto have executed this lease this
day of , 1991.
City Administrator
STATE OF MINNESOTA )
ss.
COUNTY OF WRIGHT )
On this day of , 1991, before me
personally appeared Rick Wolfsteller to me known to be the person
described in and who executed the foregoing instrument and acknowledged
that he executed the same as his free act and deed.
Notary Public
STATE OF MINNESOTA )
as.
COUNTY OF WRIGHT )
On this day of 1991, before me
personally appeared to me known to be the
person described in and who exocuted the foregoing instrument and
acknowledged that he executed the same as his free act and deed.
Notary Public
FIRE HALL LEASE: 5/7/91 Pago 4
0
o1L-`' S'f: : ll`:in! 11-ET F.A. �_r'. F1l? h6i; U':
7975 May 7, 1991
Rick wolfsteller
City of Monticello
250 East Broadway
Monticello, MN 55162
oc,a FIRE #eit
Re: Lease of *+
Dear Rick:
I have reviewed the proposed lease that you have drafted
and find that it is appropriate in most respects. I have the
following comments which I would like you to take into account in
redrafting the same. They are as follows:
1. On page 1 of the lease, I am unsatisfied wit!, the
description of the promises. I think you should
give the address of the promises, detail the number
of square feet and specifically attach a drawing
which should be, incorporated as Exhibit A which
npacifles exactly what square footage they are
granted. As presently drafted, you will give to
them a set number of square feet without
designating where those square feet will be. As 1
read this, it gives them the option to determine
exactly what square footoge will be involved. This
is a ambiguous description which should be,
romr_died.
2. Also on page 1 of the loans where you designate the
lease, for a period of ton (10) years, after the end
date of 2001, you should include the following
phrase: "unless othorwine earlier terminated as
provided herein,".
In paragraph 7, page 1, you appear to have left
blank the use of the building. If it is your
intent to prevent affiliated rolig.ioue activities
by thin orgnnization, you should state that they
can only use this building for the purpose of
operating a non-profit food shelf. To the extent
that you put in the phrase "and related activities"
you may be opening the door to othor uses which
they fool are permissible.
4
Rick Wolfsteller. -2- May 7, 1991
4. On page 5 of the lease, since this is a ten year
lease for $1.00 I would strongly recommend that you
require the lessee to pay all insurance coverage
not only on personal property but on the building
structure itself. I would also think that you
would want the lessee to pay the real estate taxes.
Both items are policy decisions, however, rather
than legal questions.
5. In the default provisions of paragraph 6, I would
want you to add a sentence to the effect that the
lessee agrees to pay all of lessee's costs,
including reasonable attorney's fees, in the event
legal action is necessary to obtain possoesion of
the premises.
6. Under paragraph 17, you should include a sentence '
"This lease shall be construed according to the
laws of the State of Minnesota.".
Except for th^- forc7oiny, it appwd rs that tno lease
document is fine.
ary ts
PAW:lld Pv� a,
n
0
Council Agenda - 5/13/91
23. Closed executive session to discuss current status of
litigation. (R.W.)
A. REFERENCE AND BACKGROUND:
At the end of the Council meeting Monday night, I would like
to review with the Council the current status of the
litigation issue between the City of Monticello and Karen
Hanson. It has been suggested by our legal advisor, Chris
Harristhal of Larkin, Hoffman, and Daly Law Firm that the
Council meet in a special session closed to the public to
discuss the current status, including settlement proposals.
A proposal submitted by the claimant in this matter is
enclosed for your review, and I will have additional
information from our legal counsel available Monday night for
Council review.
43
CITY Of MONTICELLO
Monthly
Building Department Report
Month of APRIL
1991
pEfUIITS MID USES
•
Laat
Thla
.. ma Month . Lnat
Y.-Thin
Yoar
IE rERN1TS WED
Month MARCN
Month APRIL
Lnat Yoer 3'o
Dete Tar D.L.
RE SIDYMIAL
Ilwbmr
2
16
21
34
23
Valuation
S 6,000.00
S 343,<00.00
S 162,100.00 S
321.]00.00 5
356,901,00
Paao
60.00
2,<20.6]
1,�36. 73
2, 875.23
2, 559.63
Surchargaa
3.00
169. a5
77.90
155.95
17<.95
COMMERCIAL
Number
2
1
5
7
5
Valuation
53.500.00
1.500.00
2.433.000.02.440.000.00
75.000.0
Psea
506.00
15.00
12.704.69
12.796.19
735.00
Surcher9aa
26.75
.50
1,216.25
1,219.50
37.25
INDUSTRIAL
Numl.w _
1
3
veluatlon
7.500.00
98.600.00
Yoea
9<. 50
1.091.31
0urchargoo
).75
49.30
PLU tea
MLLmbOr
1
a
4
7
6
Paee
21.00
122.00
127.00
196.00
165.00
SurcherUme
.SO
2.00
2.00
3.50
3.00
OT::CRS
(lumbar
0
veluatlon
95,000.00
95,000. 00
Peea
1.080. 80
1,080.80
Surchergan
�8.50
48.50
I TOTAL NO. PP.RMITO
a
5
21
35
55
34
IOT--.Aii�N
50,50u.00
34e.9w.uu
1,b97,B00.00 2.954,900.00
431.900.00
'rOTAI, PI:Y.S
509.Ou
2.561.63
15,443.72
18.039.53
3.459.63
TOTAL SUIICIIARGES
30.25
171.95
1,340.40
1.476.75
215.20
M IIn K.NT MUNTII
•
YY F.9
(lumber to
Ile le
1,1:I1MllIIATUIIL
(lumber
PERMIT GURoIABGP. Veluetloll
Thlo Yoer
t.net Yoer
B lnU la Yem11y
] S
1.366.19 S 90.20
] I80.1500.00
3
IW PIe.
1
752.60 67.25
134,900.00
1
U
Multi-Inmlly
0
0
0
11
I nJus tl lei
0
1
Ilan. C,al nyeo
0
2
01vne
O
0
PW>1/a Building.
0
0
AI,TLRATIUN of, 11CPAIR
BveII IDge
6
215.50 9.00
19.500.00
I]
25
E.- clnl
1
1S. DO .50
1,500.00
5
InAn Rlllwl
0
2
Pu1M1.1 N0
All Typos
4
122.00 2.00
6
7
ACCESSORY STRUCTURED
U•laming Paola
0
1
necks
6
90.00 3.00
9,000.00
6
]
TrmMHAIIY Pr31MIT
0
0
CDENOLITION
0
2
TOTAI,O
21
2.561.63 171.95
344,900.00
34
55
(-1
PERMIT DESCRIPTION
NUMBER
O1-163e Deck
91-1675 Oesamant finish
91-1636 use addition
97-1637 Deck
9
1
-:E73 :niarlor remodel
91-t639 Deck
91-16e0 Deck
91-16e1 8- and garage
91-I6e2 Reel de and rer0ot
91-I6e3
House and
9arepe
91-16ee DUDlas with garages
91-1605 Deck
91-16e6 (louse and garage
91-1611 Dack
91-16.B 1louse G pa repo rashlnpla
91-16e9 N0- c rar0t
91-1650 Nubile bolls addition
PLAN REVIEW
91-1611 House end 9arepe
91-16e7 House and garage
91-16ee DUDles wl th garage•
91-16e6 Nouse and garage
INDIVIDUAL PERMIT ACTIVITY REPORT
Month of APRIL . 19AL
TYPE
NAME/LOCATION
VALUATION
FEes
PCRMIS
SURCNAPGE
PLUMBII:G SURCHARGE
AD
Daniel G Trudy Ananlmant/2761 Naadow Lane
7 1,900. 00
9 I5. 00
AD
Earl Hahn/1509 Y. R1vsr St.
7, 500.00
19. 00
.90
AD
William G Rosa- Palr/1029 W. Rlva[ et.
e,000.00
60.00
7.00
AD
Daniel G iharue Tru llln0ar/100 Cralp Lane
1,500.00
15. 00
.50
At
Companlon Pets/216 W. 7th St., Leased
apace 1221
1,500.00
15.00
.90
AD
C1lerlae Ysltare/7B2 Acorn [lrcle
1,500.00
t9.00
.50
AD
Russel L Sandra Olson/310 E. eth St.
1.500.00
15.00
.50
or
R.Y. null6ere/2681 Red Oak Lane
61,000.00
e17. 60
)0.50
23.00 .50
AD
Jay Shlerta/!7! L. Rlvar Bt.
6,900.00
55.90
7. 39
Sr
Glen Poausts/e06 Riverview Dr.
66, 300.00
e39.06
33.15
21.11 .91
D
Donald G Jan Doren/509 G 115 Maple Bt.
13e,500.00
60e. 17
67.25
S].OD .50
AD
Pat G Lorl Mayhoft/2700 Nudow Lens
1, 500.OD
I5.00
.50
Sr
Value Plus Somas/l0e Crocus Lana
53.100:00
759. 60
26.53
20.00 .50
AD
Jalfrey Yallece/109 Mlsslsel ppf Dr.
1,500.00
I5.00
.50
AD
John G Irene Raeva/1017 Y. Rlvar Bt.
1,500.00
11.00
.50
AO
0.olw[t G Na[1 an Ila[sOlsk/ll lb Bandy Lane
1,]00.00
15.00
.90
AD
Donald G kngsla Helkes/1373 W. Al war St.
2,500.00
25.00
1.25
53ee,900.00
$2,246.90
;169.95
712 000 .2.00
BP
R.W, Oullda[e/1681 Red Oak Lane
Bel. 76
Br
Olan Posuat./e06 Rlvarvlaw Dr.
ei. 91
D
Donald L Joan Doran/509 G 515 Napl• et.
6B.e7
Sr
Value Plus Homes/IOe .. Lane
30.56
TOTAL PLAN REVIEW
0192.69
TOTAL REVENUE 32,733.50
i&,j
INFORMATIONAL ITEM
May 13, 1991
Revenue and expense summary reoorts. (R.W.)
Enclosed you will find a summary report of the City of Monticello's
revenue and expenditures in relation to our adopted budget. I have
developed this report in a summary format that categorizes general
areas of revenue and expenditures by funds and departments within
the City. With our computer, we have the ability to generate
reports in almost any fashion desirable, and I ask you to review
the format presented and let me know if you would like this type of
information on a monthly basis in the future. Also, if you feel
the report is too lengthy, I can further summarize it by general
categories or expand it even further for more detail.
The reports included with the agenda are for the entire year of
1990 and for the first few months of 1991. If there are any
additional types of information regarding our financial picture you
would like to see, please let me know, and we can produce them in
the future for your review.
K �
CITY OF MONTICELLO
YTD
REVENUE GUIDELINE
SUMMARY
FOR THE PERIOD
ENDING
31Dec90
APPROVED
YTD
REMAINING
BUDGET
POSTED
BALANCE
1990
GENERAL
FUND
TAXES
Current Ad Valorem Taxes
1,285,665
1,264,453
21,212
Delinquent Ad Valorem Ta
4,019
(4,019)
Mobile Home Taxes
1,426
(1,426)
Pen & Int-Ad Valorem Tax
e,000
14,437
(6,437)
Forfeited Tax Sale Appor
TOTAL TAXES
----------
1,293,665
----------
1,284,334
----------
9,331
LICENSES & PERMITS
Liquor Licenses
15,550
17,995
(2,445)
Beer Licenses
1,600
1,243
358
Set Up Licenses
300
300
Other Business 1,1r.Pnse/P
110
(110)
Building Permits
45,000
58,892
(13,892)
Variances/Cond Use Permi
1,000
1,750
(750)
Plumbing Connection Perm
50
(50)
tom,
Animal Licenses
200
175
25
Bingo Licenses
50
50
Cable Franchise Fees
Other Non -Bus License/Pe
1,500
3,450
(11950)
TOTAL LICENSES & PERMITS
65,200
83,965
(18,765)
INTERGOVERNMENTAL
Federal Grants - CETA
Local Government Aids
Homestead Credits - HACA
Fire Dept Aid
32,000
35,239
(3,239)
Police Dept Aid
16,500
17,490
(990)
County Highway Grants
3,200
13,272
(10,072)
Recycling Incentive
6,561
(6,561)
TOTAL INTERGOVERNMENTAL
----------
51,700
----------
72,561
----------
(20,861)
CHARGES FOR SERVICES
Zoning/Subdivision Fees
500
500
Sale of Maps & Publicati
100
212
(112)
Motor Vehicle/Dep Reg Fe
65,000
75,175
(10,175)
Assessment Searches
800
577
223
Inspection Fees
7,921
(7,921)
Fire Protection Twp Cont
40,675
46,355
(5,680)
CSpecial
Garbage Proc/Rec
9,377
(9,377)
05/09/91
12:36:36
CITY OF MONTICELLO
YTD REVENUE GUIDELINE SUMMARY
FOR THE PERIOD ENDING
31Dec9O
Park Fees
Other Charges for Servic
TOTAL CHARGES FOR SERVICES
FINES & FORFEITURES
Animal Impoundment Fines
TOTAL FINES & FORFEITURES
SPECIAL ASSESSMENTS
Spec Asmt Principal - Co
Spec Asmt Pen & Interest
TOTAL SPECIAL ASSESSMENTS
MISCELLANEOUS
Interest Earnings
Rents
Contributions - private
Sale of Property
Refunds/Reimbursements
Other Misc Revenue
TOTAL MISCELLANEOUS
OTHER SOURCES
Contrib from Enterprise
Transfer from Other Fund
TOTAL OTHER SOURCES
TOTAL GENERAL FUND REVENUES
APPROVED
YTD
REMAINING
BUDGET
POSTED
BALANCE
1990
14,000
1,720
12,280
5,000
613
4,387
126,075
141,950
(15,875)
9,000
12,856
(3,856)
9,000
12,856
(3,856)
925
(925)
100
100
----------
100
----------
925
-
(825)
78,750
81,449
(2,699)
(40)
2,575
(2,575)
250
86
164
1,500
76,561
(75,061)
500
(147)
647
----------
85,700
----------
165,264
----------
(79,564)
1,631,440 1,761,854 (130,414)
e eecaecenc ee:c=ccacc o:ccccc=ce
05/09/91
12:36:36
CITY OF MONTICELLO
YTD REVENUE GUIDELINE SUMMARY
FOR THE PERIOD ENDING
31Dec90
APPROVED YTD REMAINING
BUDGET POSTED BALANCE
1990
UDAG FUND
Taxes
Licenses & Permits
Intergovernmental
Charges for Services
Fines & Forfeitures
Special Assessments
Miscellaneous Revenue
Other Sources
TOTAL UDAG FUND REVENUES
LIBRARY FUND
Taxes
Licenses & Permits
Intergovernmental
Charges for Services
Fines & Forfeitures
Special Assessments
Miscellaneous Revenue
Other Sources
TOTAL LIBRARY FUND REVENUES
HRA FUND
Taxes
Licenses & Permits
Intergovernmental
Charges for Services
Fines & Forfeitures
Special Assessments
Miscellaneous Revenue
Other Sources
TOTAL HRA FUND REVENUES
SHADE TREE FUND
Taxes
Licenses & Permits
Intergovernmental
Chargeo for Services
Fines & Forfeitures
13,550
15,930
(2,380)
- - - - - - - - - -
13,550
- - - - - - - - - -
15,930
----------
(2,380)
28,775
28,389
386
100
100
1,081
(1,081)
--- -
28,875
---2-
9,471
----------
(596)
274,875
262,247
12,628
4,600 13,965 (9,365)
256,835 (256,835)
279 475 533,047 (253,572)
see a=secc. ceec.==CC==c....... =
16,800 16,563 237
1,400 6,568 (5,168)
05/09/91
12:36:36
C
CITY OF MONTICELLO
YTD REVENUE GUIDELINE SUMMARY
FOR THE PERIOD ENDING
31Dec90
APPROVED YTD REMAINING
BUDGET POSTED BALANCE
1990
Special Assessments 605 (605)
Miscellaneous Revenue 4,050 5,262 (1,212)
Other Sources
---------- ---------- ----------
TOTAL SHADE TREE FUND REVENU 22,250 28,997 (6,747)
PARK & RECREATION GRANT FUND
Taxes
Licenses & Permits
Intergovernmental
Charges for Services
Fines & Forfeitures
Special Assessments
Miscellaneous Revenue
other sources
TOTAL PARK & REC GRANT REVEN
�OAA FUND
Taxes
Licenses & Permits
Intergovernmental
Charges for Services
Fines & Forfeitures
Special Assessments
Miscellaneous Revenue
other Sources
TOTAL OAA FUND REVENUES
CAPITAL PROJECT REVOLVING FUND
Taxes
Licenses & Permits
Intergovernmental
Charges for Services
Fines & Forfeitures
Special Assessments
Miscellaneous Revenue
Other Sources
TOTAL CAP PROJ REV FUND REVE
C
4,639 (4,639)
---------- ---------- ---- ----
4,639 (4,639)
28,300 28,098 202
200 1,162 (962)
1,100 1,379 (279)
29,600 30,639 (1,039)
95,825 95,952 (127)
3,975 14,268 (10,293)
11,700 13,398 11,698)
-------------------- ----------
111,500 123,619 (12,119)
05/09/91
12:36:36
CITY OF MONTICELLO
YTD REVENUE GUIDELINE SUMMARY
FOR THE PERIOD ENDING
31Dec90
APPROVED
YTD
REMAINING
BUDGET
POSTED
BALANCE
1990
ECONOMIC DEVELOPMENT AUTH FUND
Taxes
Licenses & Permits
Intergovernmental
Charges for Services
Fines & Forfeitures
Special Assessments
Miscellaneous Revenue
3,697
(3,697)
Other Sources
138,000
(138,000)
TOTAL EDA FUND REVENUES
----------
141,697
----------
(141,697)
----------
SEWER IMPROVEMENT FUND
Taxes
Licenses & Permits
Intergovernmental
Charges for Services 9,000
22,790
(13,790)
l Fines & Forfeitures
Special Assessments
Miscellaneous Revenue 2,600
6,779
(4,179)
Other Sources
TOTAL SEWER IMPR FUND REVENU 11,600
29,569
(17,969)
WATER IMPROVEMENT FUND
Taxes
Licenses & Permits
Intergovernmental
Charges for Services
6,000 15,600
(9,600)
Fines 6 Forfeitures
Special Assessments
Miscellaneous Revenue
2,550 6,526
(3,976)
Other Sources
----------
----------
TOTAL WATER IMPR FUND REVENU
...
----------
8,550 22,126
= c... .==eco=coo
(13,576)
=nce.v=cee
05/09/91
12:36:36
CITY OF MONTICELLO 05/09/91
YTD REVENUE GUIDELINE SUMMARY 12:36:36
FOR THE PERIOD ENDING
31Dec90
APPROVED
YTD
REMAINING
BUDGET
POSTED
BALANCE
1990
b310: 1960-61
G.O. BOND FUND
TOTAL FUND
310 REVENUES
6,590
11,776
(5,186)
b311: 1974 G.O.
PARKING BOND FUND
TOTAL FUND
311 REVENUES
11,360
9,290
2,070
0312: 1975-1
S&W G.O. BOND FUND
TOTAL FUND
0312 REVENUES
70,545
79,865
(9,320)
0313: 1976 S&W G.O. BOND FUND
TOTAL FUND
313 REVENUES
110,876
115,109
(4,233)
4314: 1977-1,-2,-3
G.O. BOND FUND
TOTAL FUND
314 REVENUES
363,750
370,613
(6,863)
`91315: 1978 IMPR G.O. BOND FUND
TOTAL FUND
315 REVENUES
12,589
119,851
(107,262)
0316: 1979-1
IMPR G.O. BOND FUND
TOTAL FUND
316 REVENUES
58,234
51,429
6,805
0317: 1980-1,-2 G.O. BOND FUND
TOTAL FUND 317 REVENUES 8,180 12,824 14,644)
#318: 1981-1,-2 (B) G.O. BOND FUND
TOTAL FUND 318 REVENUES 27,737 18,030 9,707
0319: 1983/82-2 G.O. BOND FUND
TOTAL FUND 319 REVENUES 170,186 78,376 91,810
.c=acccc cc ccaccccacc eccecaaace
0320: 1984-1 G.O. BOND FUND
TOTAL FUND 320 REVENUES 23,900 23,679 221
OaaaaaaC aC aaaC3C==aa CaCCaaaC=a
CITY OF MONTICELLO 05/09/9-,
YTD REVENUE GUIDELINE SUMMARY 12:36:36
FOR THE PERIOD ENDING
31Dec90
APPROVED YTD REMAINING
BUDGET POSTED BALANCE
1990
#321: 1986-1 (A) G.O. BOND FUND
TOTAL FUND 321 REVENUES 53,722 52,921 (91199)
---------- ---------- ----------
---------- ---------- ----------
b322: 1988-1,-1B,-2 G.O. BOND FUND
TOTAL FUND 322 REVENUES 196,343 207,900 (11,557)
-------------------- ----------
------------------------------
b323: 1989-1,-2,-3 G.O. BOND FUND
TOTAL FUND 323 REVENUES 32.052 58,433 (26,381)
---------- --------------------
------------------------------
b324: 1990B G.O. BOND FUND
TOTAL FUND 324 REVENUES 66e,737 (66? 737)
b325: 1990C G.O. BOND FD (E.SANDB)
TOTAL FUND 325 REVENUES 21,834 (21,834)
---------- --------------------
---------- ---------- ----------
Ce348: 1971 G.O. BOND FUND
TOTAL FUND 348 REVENUES
0349: 1973 G.O. BOND FUND
TOTAL FUND 349 REVENUES 163 (163)
u351: 1980 LIBRARY BOND FUND
TOTAL FUND 351 REVENUES 49,592 50,328 (736)
0352: 1915 FIRE HALL BOND FUND
TOTAL FUND 352 REVENUES 120.297 118,011 2,296
b353: 1966 INTERCEPTOR SEWER BOND
TOTAL FUND 353 REVENUES 126,042 121,673 4,369
L------C--
I
CITY OF MONTICELLO 05/09/91
YTD REVENUE GUIDELINE SUMMARY 12:36:36
FOR THE PERIOD ENDING
31Dec90
APPROVED YTD REMAINING
BUDGET POSTED BALANCE
1990
9354: 1988 WATER SYSTEM BOND FUND
TOTAL FUND 354 REVENUES 122,747 120,460 2,287
------------------------------
---------- ---------- ----------
a376: TIF 1984 (FSI) BOND FUND
TOTAL FUND 376 REVENUES 23,280
----------
----------
23,380
----------
----------
(100)
----------
----------
0377: TIF 1985 (VEIT) BOND FUND
TOTAL FUND 377 REVENUES 36,775
----------
----------
34,936
----------
----------
1,839
----------
----------
4378: TIF 1987(CONSTR 5) BOND FUND
TOTAL FUND 378 REVENUES 54,277
----------
52,069
----------
2,208
----------
4379: TIF 1987 (NAWCO) BOND FUND
TOTAL FUND 379 REVENUES 27,592
27,798
(206)
----------
----------
----------
----------
----------
380: TIF TIF 1989 (ELDERLY) BOND FUND
TOTAL FUND 380 REVENUES 1,200
----------
----------
4,286
----------
----------
(3,086)
----------
----------
it381: TIF 1990A (KMART) BOND FUND
TOTAL FUND 361 REVENUES
63,939
(63,939)
082: TIF 1990D (REM/TAP) BOND FD
TOTAL FUND 382 REVENUES
47,083
(47,083)
•arrrrrrrrrrrr••r••r•rrrr►rrrrrr
*DEBT SERVICE REVENUE SUMMARY:
• Taxes 1,065,322
1,063,295
2,027
• Licenses & Permits
• Intergovernmental
• Charges for Services
• Fines & Forfeitures
• Special Asaesaments 374,190
341,450
32,740
• Miscellaneous Revenue 130,350
157,432
(27,082)
• Other Sources 138,004
1,012,616
(874,612)
•TOTAL DEBT SERVICE REVENU 1,707,866
2,570 793
1866,927)
=eea=a aaaa
aeaaae....
aeaecceaeo
CITY OF MONTICELLO 05/09/91
YTD REVENUE GUIDELINE SUMMARY 12:36:36
FOR THE PERIOD ENDING
31Dec90
APPROVED
YTD
REMAINING
BUDGET
POSTED
BALANCE
1990
#405: 90-2 7TH STR/KMART C.P.
FUND
TOTAL FUND 405 REVENUES
----------
----------
508,101
----------
----------
(508,101)
----------
----------
0406: 88 WATER RESERVOIR C.P.
FUND
TOTAL FUND 406 REVENUES
----------
----------
25,989
----------
----------
(25,989)
----------
----------
#407: 89 MISS/OAKWOOD/MER C.P.FUND
TOTAL FUND 407 REVENUES
----------
----------
2,183
----------
----------
(2,183)
----------
----------
6408: 88-01B E CO RD 39 C.P.
FUND
TOTAL FUND 408 REVENUES
----------
----------
72,271
----------
----------
(72,271)
----------
----------
0409: STREETSCAPE CAP PROJ FUND
TOTAL FUND 409 REVENUES
4,757
(4,757)
----------
----------
----------
----------
----------
410: HWY HWY 25 BRIDGE CAP PROJ
FUND
TOTAL FUND 410 REVENUES
----------
----------
33,306
----------
----------
(33,306)
----------
----------
6411: CHELSEA ROAD CAP PROJ FUND
TOTAL FUND 411 REVENUES
896
(896)
8412: INTERCEPTOR SEWER C.P.
FUND
TOTAL FUND 412 REVENUES
----a-----
---a---aa-
-CC---CCa-
o413: 90-1 BOOSTER PUMP C.P.
FUND
TOTAL FUND 413 REVENUES
--C-C-a---
--aC=aaaaa
aCC-------
0414: 90-3 MEADOWS 2ND PH II
CP FD
TOTAL FUND 414 REVENUES
aea=aaaoaa
106,976
oaaae=aaao
(106,976)
aaeaaaaoaa
0415: 90-4 SANDBERG EAST C.P.
FUND
TOTAL FUND 415 REVENUES
a aaoaeeoaa
227,197
ee000aaaaa
(227,197)
aaacceoaee
C
CITY OF MONTICELLO 05/09/91
YTD REVENUE GUIDELINE SUMMARY 12:36:36
FOR THE PERIOD ENDING
31Dec90
APPROVED
YTD
REMAINING
BUDGET
POSTED
BALANCE
1990
rwrrrr••r rrrrr•rr•rwrrrr•rwr•rrr
*CAPITAL PROJECT REVENUE SUMMARY
* Taxes
* Licenses & Permits
* Intergovernmental
3,445
(3,445)
* Charges for Services
1,350
(1,350)
* Fines & Forfeitures
* Special Assessments
* Miscellaneous Revenue
34,904
(34,904)
* Other Sources
941,976
----------
(941,976)
------
----------
*TOTAL CAPITAL PROJECT REV
981,675
(981,675)
----------
rrrrrrrrrrwrrrrwrr•r•►r••r•rr•w•
----------
C
CITY OF MONTICELLO
YTD REVENUE GUIDELINE SUMMARY
FOR THE PERIOD ENDING
31Dec90
WATER FUND
Taxes
Licenses & Permits
Intergovernmental
Charges for Services
Fines & Forfeitures
Special Assessments
Miscellaneous Revenue
Other Sources
TOTAL WATER FUND REVENUES
SEWER FUND
Taxes
Lir en8a8 s Pprmits
Intergovernmental
Charges for Services
Fines & Forfeitures
Special Assessments
Miscellaneous Revenue
Other Sources
TOTAL SEWER FUND REVENUES
MUNICIPAL LIQUOR FUND
Taxes
Licenses & Permits
Intergovernmental
Charges for Services
Fines & Forfeitures
Special Assessments
Miscellaneous Revenue
Other Sources
TOTAL LIOUOR FUND REVENUES
I
APPROVED YTD REMAINING
BUDGET POSTED BALANCE
1990
142,500
152,317
(9,817)
100
2,386
(2,286)
2,650
5,502
(2,852)
----------
145,250
----------
----------
----------
160,205
----------
----------
----------
(14,955)
----------
----------
408,420 435,269 (26,849)
275 3,955 (3,680)
4,950 4,295 655
- - - - - - - - - - ---------- ----------
413,645 443,520 (29,875)
1,176,400 1,261,468 (85,068)
24,600 55,034 (30,434)
- - - - - - - - - - --------------------
1,201,000 1,316,502 (115,502)
C=CO=C==CC=C=CC==6C= ==C===C==C
05/09/91
12:36:36
CITY OF MONTICELLO
YTD REVENUE GUIDELINE SUMMARY
FOR THE PERIOD ENDING
31Dec90
TRANSPORTATION FUND
Taxes
Licenses & Permits
Intergovernmental
Charges for Services
Fines & Forfeitures
Special Assessments
Miscellaneous Revenue
Other Sources
TOTAL TRANSIT FUND REVENUES
INVESTMENT HOLDING FUND
Taxes
Licenses & Permits
Intergovernmental
Charges for Services
Fines & Forfeitures
Special Assessments
Miscellaneous Revenue
Other sources
TOTAL INVESTMENT FUND REVENU
APPROVED
YTD
REMAINING
BUDGET
POSTED
BALANCE
1990
16,475
16,222
253
36,000
43,443
(7,443)
11,700
7,240
4,460
3,123
(3,123)
----------
64,175
----------
----------
----------
70,028
----------
----------
----------
(5,853)
----------
----------
05/09/91
12:36:36
••••••M••••1••••1•••Ir••••••••••••••••••••••1••••••••••••••••• i••••••••••••••••• w.
*REVENUE SUMMARY - ALL FUNDS:
• Taxes
2,820,037
2,795,099
24,938
• Licenses & Permits
65,200
83,965
(18,765)
• Intergovernmental
87,900
120,611
(32,7111
• Charges for Services
1,881,595
2,044,553
(162,958)
• Fines & Forfeitures
9,000
12,856
(3,856)
• Special Assessments
378,640
363,590
15,050
• Miscellaneous Revenue
288,400
493,571
(205,171)
• other sources
138,004
2,354,066
(2,216,062)
----------
-TOTAL REVENUES - ALL FUND
----------
5,668,776
......=eeo
----------
8,268,310
.......a..
(2,599,534)
......=cc.
C
CITY OF MONTICELLO
YTD EXPENSE GUIDELINE SUMMARY
FOR THE PERIOD ENDING
31Dec90
APPROVED
YTD
REMAINING
BUDGET
POSTED
'BALANCE
1990
PLANNING & ZONING
Personal Services
27,300
26,698
602
Supplies
50
70
(20)
Other Services & Charges
3,950
5,235
(1,285)
Capital Outlay
301
(301)
Debt Service
Other Uses
TOTAL PLANNING & ZONING EX
----------
31,300
----------
----------
32,304
----------
----------
(1,004)
----------
DATA PROCESSING
Personal Services
Supplies
1,265
2,137
(872)
Other Services & Charges
19,470
34,400
(14,930)
Capital Outlay
6,265
30,271
(24,006)
Debt Service
28,900
28,891
9
Other Uses
TOTAL DATA PROCESSING EXPE
55,900
95,700
(39,800)
CITY HALL
Personal Services
3,975
4,732
(757)
Supplies
2,450
2,436
14
Other Services & Charges
20,800
28,039
(7,239)
Capital Outlay
12,225
9,503
2,722
Debt Service
Other Uses
TOTAL CITY HALL EXPENSE
----------
39,450
e ecececcce
----------
44,709
cceeeecec=
----------
(5,259)
eecee===ac
DEPUTY REGISTRAR
Personal Services
58,000
57,364
636
Supplies
50
5
45
Other Services & Charges
1,200
1,113
87
Capital Outlay
220
(220)
Debt Service
Other Uses
TOTAL DEPUTY REGISTRAR EXP
----------
59,250
----------
58,701
eeeecc....
----------
549
==c=c==e=c
ITAL GENERAL GOVERNMENT EXP
C
===eeco===
477,105
545,822
(68,717)
05/10/91
11:25:31
CITY OF MONTICELLO
YTD
EXPENSE GUIDELINE
SUMMARY
FOR THE PERIOD
ENDING
31Dec90
APPROVED
YTD
REMAINING
BUDGET
POSTED
BALANCE
1990
FINANCE
Personal Services
69,055
61,671
7,384
Supplies
325
180
145
Other Services & Charges
5,700
1,310
4,390
Capital Outlay
550
765
(215)
Debt Service
Other Uses
TOTAL FINANCE EXPENSE
75,630
----------
----------
63,926
----------
----------
11,704
----------
----------
AUDIT
Personal Services
Supplies
Other Services & Charges
11,750
11,000
750
Capital Outlay
Debt Service
other Uses
----------
----------
----------
TOTAL AUDIT EXPENSE
11,750
11,000
750
ASSESSING
Personal Services
6,534
18,357
(11,823)
Supplies
550
387
163
Other Services & Charges
8,066
9,081
(11015)
Capital Outlay
Dehf, Service
Other Uses
TOTAL ASSESSING EXPENSE
15,150
ecaceccaaa
27,825
-cevccecae
(12,675)
_accaaeacc
LEGAL
Personal Services
Supplies
Other services & Charges
23,175
23,223
(48)
Capital Outlay
Debt Service
Other Uses
----------
----------
TOTAL LEGAL EXPENSE
----------
23,175
caaovevvaa
23,223
aevcaaaaaa
(48)
aaevc=oats
C
05/10/91
11:25:31
CITY OF MONTICELLO
YTD EXPENSE GUIDELINE SUMMARY
FOR THE PERIOD ENDING
31Dec90
GENERAL FUND
GENERAL GOVERNMENT:
COUNCIL
Personal Services
Supplies
Other Services 6 Charges
Capital Outlay
Debt Service
other Uses
TOTAL COUNCIL EXPENSE
ADMINISTRATIVE
Personal Services
Supplies
other Services 6 Charges
Capital Outlay
Debt Service
other Uses
TOTAL ADMINISTRATIVE EXPEN
CABLE COMMISSION
Personal Services
Supplies
other Services 6 Charges
Capital Outlay
Debt Service
Other Uses
TOTAL CABLE COMM EXPENSE
ELECTIONS
Personal Services
Supplies
Other Services 6 Charges
Capital Outlay
Debt Service
other Uses
CTOTAL ELECTIONS EXPENSE
APPROVED YTD REMAINING
BUDGET POSTED BALANCE
1990
11,200
11,200
Il
25
36
(11)
5,000
2,666
2,334
----------
16, 225
----------
-- -- ------
13,902
----------
----------
2,323
----------
119,500
142,335
(22.835)
4,200
9,187
(4,987)
16,225
18,896
(2,671)
550
1,286
(736)
140 475
171,707
(31,232)
1 , 775
1,568
207
1.400
1,163
217
125
74
51
5,500
5,500
----800-
8,975
----2 ----
----9----
05/10/91
11:25:31
CITY OF MONTICELLO
05/10/91
YTD
EXPENSE GUIDELINE
SUMMARY
11:25:31
FOR THE PERIOD
ENDING
31Dec90
q
APPROVED
YTD
REMAINING
BUDGET
POSTED
BALANCE
1990
PUBLIC SAFETY:
LAW ENFORCEMENT
Personal Services
Supplies
Other Services & Charges
150,100
150,081
19
Capital Outlay
Debt Service
Other Uses
TOTAL LAW ENFORCEMENT EXPE
150,100
150,081
19
FIRE DEPT
Personal Services
55,975
58,317
(2,342)
Supplies
3,925
5,714
(1,789)
Other Services & Charges
29,800
35,670
(5,870)
Capital Outlay
38,625
51,485
(12,860)
Debt Service
other Uses
TOTAL FIRE DEPT EXPENSE
128,325
151,188
(22,863)
BUILDING INSPECTIONS
Personal Services
43,125
19,909
23,216
Supplies
200
518
(318)
Other Services & Charges
3,650
3,066
584
Capital Outlay
Debt Service
Other Uses
TOTAL BLDG INSPECTION EXPE
46,975
cceocecccc
23,493
ccccccccce
23,482
ceceeece=`
CIVIL DEFENSE
Personal Services
6,150
4,080
2,070
supplies
100
100
Other Services & Charges
700
468
232
Capital Outlay
Debt Service
Other Uses
----------
----------
----------
TOTAL CIVIL DEFENSE EXPENS
6,950
4,549
2,401
Co=oaeaceee
ccceeeceee
ceeaeeeeec
CITY OF MONTICELLO 05/10/91
YTD EXPENSE GUIDELINE SUMMARY 11:25:31
FOR THE PERIOD ENDING
31Dec90
APPROVED YTD REMAINING
BUDGET POSTED BALANCE
1990
ANIMAL CONTROL
Personal Services
Supplies
1,050
2,057
(1,007)
Other Services & Charges
15,550
17,792
(2,242)
Capital Outlay
Debt Service
other uses
TOTAL ANIMAL CONTROL EXPEN
----------
16,600
----------
19,849
(3,249)
TOTAL PUBLIC SAFETY
348,950
----------
----------
349,159
----------
----------
(209)
----------
----------
PUBLIC WORKS:
PW/ADMIN & ENGINEERING
Personal Services
54,560
66,855
(12,295)
Supplies
475
1,732
(1,257)
Other Services & Chargeii
13,750
16,222
f2,472)
Capital Outlay
Debt Service
Other Uses
TOTAL PW/ADMIN & ENGR EXPE
----------
68,785
====cvc-==
-••--------
84,809
==ccc=cccc
----------
(16,024)
ccccccc===
PW/INSPECTIONS
Personal services
1,275
(1,275)
Supplies
Other services & Charges
Capital Outlay
Debt Service
Other Uses
TOTAL PW/INSPECTIONS EXPEN
----------
=eec=eve==
----------
1,275
ccvvveeeec
----------
(1,275)
evve eecec=
PW/STREETS & ALLEYS
Personal Services
101,850
116,245
(14,395)
Supplies
27,950
42,327
(14,377)
Other Services & Charges
5.400
7,804
(2,404)
Capital Outlay
.11,500
30,453
1,047
Debt Service
Other Uses
C----------
----------
----------
CITY OF MONTICELLO
YTD
EXPENSE GUIDELINE
SUMMARY
FOR THE PERIOD ENDING
31Dec90
APPROVED
YTD
REMAINING
BUDGET
POSTED
BALANCE
1990
TOTAL PW/STR & ALLEYS EXPE
166,700
196,829
(30,129)
PW/ICE & SNOW
Personal Services
3,950
9,280
(5,330)
Supplies
6,600
9,197
(2,597)
Other Services & Charges
1,700
1,700
Capital Outlay
Debt Service
Other Uses
----------
----------
TOTAL PW/ICE & SNOW EXPENS
----------
12,250
18,477
(6,227)
PW/SHOP & GARAGE
Personal Services
3,534
(3,534)
Supplies
5,650
7,481
(1,831)
Other Services & Charges
6,900
7,587
(687)
capital Outlay
12,100
2,9-,i
9,129
Debt Service
other Uses
TOTAL PW/SHOP & GARAGE EXP
24,650
21,572
3,078
PW/PARKING LOTS
Personal Services
supplies
800
800
Other Services & Charges
2,500
730
1,770
rapttal Outlay
Debt Service
125
40
85
Other Uses
----------
TOTAL PW/PARKING LOT EXPEN
---------- ----------
3,425
e eececxe cx cc.e
770
ccccec
2,655
cxxcccccxx
PW/STREET LIGHTING
Personal services
supplies
300
665
(365)
Other Services & Charges
38,200
50,453
(12,253)
Capital Outlay
Debt service
Other Uses
C
TOTAL PW/STREET LIGHT EXPE
38,500
51,118
(12,618)
05/10/91
11:25:31
CITY OF MONTICELLO 05/10/91
YTD EXPENSE GUIDELINE SUMMARY 11:25:31
FOR THE PERIOD ENDING
31Dec90
APPROVED
YTD
REMAINING
BUDGET
POSTED
BALANCE
1990
REFUSE COLLECTION
----------
----------
----------
----------
----------
----------
Personal Services
300
221
79
Supplies
600
4,327
(3,727)
Other Services & Charges
219,450
244,088
(24,638)
Capital Outlay
1,650
1,650
Debt Service
Other Uses
TOTAL REFUSE COLLECTION EX
----------
222,000
----------
----------
248,636
----------
----------
(26,636)
----------
TOTAL PUBLIC WORKS
----------
536,310
----------
----------
----------
623,486
----------
----------
----------
(87,176)
----------
----------
CULTURE & RECREATION:
MUSEUM
Personal Services
1,750
2,162
(412)
Supplies
i0u
32
66
Other Services & Charaes
1,990
1,783
207
Capital Outlay
Debt Service
Other Uses
----------
TOTAL 14USEUM EXPENSE
----------
3,840
----------
3,978
(138)
SENIOR CENTER
Personal Services
27,450
24,491
2,959
Supplies
350
81
269
Other Services & Charges
2,335
2,104
231
Capital Outlay
Debt Service
Other Uses
TOTAL SENIOR CENTER EXPENS
----------
30,135
C=C=C=CCLO
----------
26,676
CCCCC=CCC=
----------
3,459
O=C=CC===C
COMMUNITY ED
Personal Services
Supplies
Other Services & Charges
16,500
16,500
Capital Outlay
Debt Service
COther Uses
t
CITY OF MONTICELLO
YTD EXPENSE GUIDELINE SUMMARY
FOR THE PERIOD ENDING
31Dec90
APPROVED YTD REMAINING
BUDGET POSTED BALANCE
1990
---------- ---------- ----------
TOTAL COMMUNITY ED EXPENSE 16,500 16,500
-------------------- ----------
Y.M.C.A
Personal Services
Supplies
Other Services & Charges
Capital Outlay
Debt Service
Other Uses
TOTAL Y.M.C.A. EXPENSE
PARKS & RECREATION
Personal Services
supplies
Other Services & Charges
Capital Outlay
Debt Service
other uses
TOTAL PARKS & REC EXPENSE
TOTAL CULTURE & RECREATION
URBA14 REDEVELOPMENT & HOUSING:
ECONOMIC DEVELOPMENT
Personal Services
Supplies
Other Services & Charges
Capital Outlay
Debt Service
other Uses
TOTAL ECON DEVELOPMENT EXP
TOTAL URBAN REDEVELOPMENT &
C
7,500 7,500
-------------------- ----------
7,500 7,500
------------------------------
87,230
52,310
34,920
4,550
8,781
(4,231)
4,825
14,052
(9,227)
6,320
4,167
2,153
102 925
79,310
23,615
160,900
eecncccccc
133,963
=ccecccccc
26,937
c===c==cc=
29,175
27,860
1,315
350
73
277
16,500
21,482
(4,982)
7,000
7,000
----------
53,025
----------
49,415
----------
3,610
n ececeeccc
53,025
cccccccnnn
ncennnnncc
49,415
... - nnc0
necnncoo==
3,610
cnccn . -
05/10/91
11:25:31
CITY OF MONTICELLO
YTD EXPENSE GUIDELINE SUMMARY
FOR THE PERIOD ENDING
31Dec90
MISCELLANEOUS/UNALLOCATED:
UNALLOCATED
Personal Services
Supplies
Other Services & Charges
Capital Outlay
Debt Service
Other Uses
TOTAL UNALLOCATED EXPENSE
GENERAL INSURANCE
Personal Services
Supplies
Other Services & Charges
Capital Outlay
Debt Service
Other Uses
CTOTAL INSURANCE EXPENSE
TOTAL MISC/UNALLOCATED
•TOTAL GENERAL FUND EXPENSE
APPROVED YTD
REMAINING
BUDGET POSTED
BALANCE
1990
37,260
(37,260)
12,700
(12,700)
---------- ---------- ----------
49,960 (49,960)
---------- --------------------
---------- --------------------
19,382
(19,382)
46,050
27,326
18,724
----------
46,050
----------
46,708
----------
(656)
46,050
96,668
(50,618)
1,622,340
e ereccceec
1,798,514
eeecceceae
(176,174)
cecccec===
05/10/91
11:25:31
CITY OF MONTICELLO
YTD EXPENSE GUIDELINE SUMMARY
FOR THE PERIOD ENDING
31Dec90
APPROVED YTD REMAINING
BUDGET POSTED BALANCE
1990
UDAG (URBAN DEV ACTION GRANT) FUND
Personal Services
Supplies
Other Services & Charges
Capital Outlay
Debt Service
other Uses
TOTAL UDAG FUND EXPENSE
LIBRARY FUND
Personal Services
Supplies
Other Services & Charges
Capital Outlay
Debt Service
other Uses
3TAL LIBRARY FUND EXPENSE
HRA (HSG & REDEV AUTH) FUND
TIF dl - IXI 1
TIF 02 - METCALF & LARSON
TIF 43 - FSI
TIF 04 - IXI 4
TIF M5 - CONSTRUCTION 5
TIF 06 - RAINDANCE
TIF d7 - NAWCO
TIF 08 - NSP
TIF 09 - TAPPER
TIF 010 - REMMELE
TIF dll - MARTIE FARM SVCE
HRA DEPT SUMMARY:
Personal Services
Supplies
Other Services & Charges
Capital Outlay
Debt Service
Other Uses
TOTAL HRA FUND EXPENSE
5,050
1,940
3.110
1,500
2,245
(745)
18,325
17,363
962
4,000
1,479
2,521
574
(574)
----------
28,875
----------
23,602
----------
5,273
3,600
1,435
2,165
4,300
7,764
(3,484)
7,500
(7,500)
21,800
13,760
8,040
3,500
(3,500)
11,500
(11,500)
5,000
(5,000)
2,340
(2,340)
94,998
(94,998)
216,122
(216,122)
3,456
(3,456)
7,300
6,926
374
25
25
12,550
11901
10.649
144,550
134,725
----------
9,825
----------
----------
194,125
.... cz....
510,948
C=6CC000C=
(316,823)
..........
05/10/91
11:25:31
CITY OF MONTICELLO
YTD EXPENSE GUIDELINE SUMMARY
FOR THE PERIOD ENDING
31Dec90
SHADE TREE FUND
Personal Services
Supplies
Other Services & Charges
Capital Outlay
Debt Service
other Uses
TOTAL SHADE TREE FUND EXPENS
APPROVED YTD REMAINING
BUDGET POSTED BALANCE
1990
14,625 8,945 5,680
550 869 (319)
4,075 11,801 (7,726)
1,390 (1,390)
---------- ---------- ----------
19,250 23,005 (3,755)
------------------------------
-------------------- ----------
PARK & RECREATION GRANT FUND
Personal Services
Supplies
Other Services & Charges
Capital Outlay
Debt Service
Other Uses
�iOTAL &
----------
----------
----------
PARK AEC FUND EXPENS
OAA (ORDERLY ANNEX AREA) FUND
Personal Services
1,400
1,155
245
Supplies
Other Services & Charges
28,200
34,393
(6,193)
Capital Outlay
Debt Service
Other Uses
----------
TOTAL OAA FUND EXPENSE
----------
24,600
C C�L��CCCC
----------
35,548
�CC���CCCC
(5,948)
CCLCCCCC�C
CAPITAL PROJECT REVOLVING FUND
Personal Services
Supplies
Other Services & Charges
35
(35)
Capital Outlay
111,500
121,075
(9,575)
Debt Service
Other Uses
37,945
----------
(37,945)
----------
TOTAL CAP PROJ REVOLVING EXP
----------
111,500
o aemmmamma
159,056
aemaaaaaam
(47,556)
mmammeeoee
C
05/10/91
11:25:31
c
CITY OF MONTICELLO
YTD EXPENSE GUIDELINE SUMMARY
FOR THE PERIOD ENDING
31Dec90
APPROVED
YTD
REMAINING
BUDGET
POSTED
BALANCE
1990
EDA (ECONOMIC DEVELOP AUTH) FUND
Personal services
Supplies
Other Services & Charges
1,964
(1,964)
Capital Outlay
Debt Service
276
(276)
Other Uses
----------
----------
TOTAL EDA FUND EXPENSE
----------
----------
----------
2,240
----------
----------
(2,240)
----------
----------
SEWER IMPROVEMENT FUND
Personal Services
Supplies
Other Services & Charges
Capital outlay
Debt Service
Other Uses
3TAL SEWER IMPR FUND EXPENS
WATER IMPROVEMENT FUND
Personal Services
Supplies
Other Services & Charges
Capital Outlay
Debt Service
Other Uses
TOTAL WATER IMPR FUND EXPENS
C
23,176 (23,176)
-------------------- ----------
23,176 123,176)
ececccccc- eeeaeecace eeeeae=ace
---------- ---------- ----------
eCCeeaeeee aCaeCCeCCC aCee�eaaaa
05/10i91
11:25:31
CITY OF MONTICELLO
YTD EXPENSE GUIDELINE
SUMMARY
FOR THE PERIOD
ENDING
31Dec90
APPROVED
YTD
REMAINING
BUDGET
POSTED
BALANCE
1990
b310: 1960-61 G.O. BOND FUND
TOTAL FUND 310 EXPENSES 3,700
26,263
(22,563)
b31l: 1974 G.O. PARYING BOND FUND
TOTAL FUND 311 EXPENSES
b312: 1975-1 S&W G.O. BOND FUND
TOTAL FUND 312 EXPENSES 18,350
77,074
(58,724)
013: 1976 S&W G.O. BOND FUND
TOTAL FUND 313 EXPENSES 116,575
116,903
(328)
b314: 1977-1,-2,-3 G.O. BOND FUND
TOTAL FUND 314 EXPENSES 314,725
315,049
(324)
4315: 1978 IMPR G.O. BOND FUND
TOTAL FUND 315 EXPENSES 16,800
24,266
(7,466)
a316: 1979-1 IMPR G.O. BOND FUND
(` TOTAL FUND 316 EXPENSES 129,200
136,635
(7,435)
0317: 1980-1,-2 G.O. BOND FUND
TOTAL FUND 317 EXPENSES 18,900
19,270
(370)
b318: 1981-1,-2 (B) G.O. BOND FUND
TOTAL FUND 318 EXPENSES 66,300
68,229
(1,929)
0319: 1983/82-2 G.O. BOND FUND
TOTAL FUND 319 EXPENSES 194,050
179,947
14,103
v320: 1984-1 C.O. BOND FUND
TOTAL FUND 320 EXPENSES 24,350
24,492
(142)
b321: 1986-1 (A) G.O. BOND FUND
TOTAL FUND 321 EXPENSES 45,825
46,034
(2091
b322: 1988-1,-1B,-2 G.O. BOND FUND
TOTAL BOND 322 EXPENSES 138,650
138,559
91
0323: 1989-1,-2,-3 G.O. BOND FUND
TOTAL FUND 323 EXPENSES 16,200
15,884
317
4324: 1990B G.O. BOND FUND
TOTAL FUND 324 EXPENSES
659,370
(659,370)
C
05/10/91
11:25:31
CITY OF MONTICELLO
YTD EXPENSE GUIDELINE
SUMMARY
FOR THE PERIOD ENDING
31Dec90
APPROVED
YTD
REMAINING
BUDGET
POSTED
BALANCE
1990
4325: 1990C G.O. BOND FD (E.SANDB)
TOTAL FUND 325 EXPENSES
318
(318)
4348: 1971 G.O. BOND FUND
TOTAL FUND 348 EXPENSES
26,601
(26,601)
#349: 1973 G.O. BOND FUND
TOTAL FUND 349 EXPENSES
79,792
(79,792)
#351': LIBRARY BOND FUND
TOTAL FUND 351 EXPENSES 37,360
37,735
(375)
M352: FIRE HALL BOND FUND
TOTAL FUND 352 EXPENSES 104,575
104,818
(243)
b353: INTERCEPTOR SEWER BOND FUND
TOTAL FUND 353 EXPENSES 113,900
114,920
(1,020)
v'354: LATER SYSTEM BOND FUND
(` TOTAL FUND 354 EXPENSES 103,300
103,312
(12)
b376: TIF 1984 (FSI) BOND FUND
TOTAL FUND 376 EXPENSES 29,800
28,984
(184)
0377: TIF 1985 (VEIT) BOND FUND
TOTAL FUND 377 EXPENSES 37,200
37,358
(158)
0378: TIF 1987(CONSTR 5) BOND FUND
TOTAL FUND 378 EXPENSES 53,750
53,990
(240)
0379: TIF 1987 (NAWCO) BOND FUND
TOTAL FUND 379 EXPENSES 28,300
28,242
58
0380: TIF 1989 (ELDERLY) BOND FUND
TOTAL FUND 380 EXPENSES 23,200
23,110
90
b381: TIF 1990A (XMART) BOND FUND
TOTAL FUND 381 EXPENSES
620
(620)
6382: TTF 1990D (REM/TAP) BOND FD
TOTAL FUND 382 EXPENSES
412
(412)
C
05/10/91
11:25:31
CITY OF MONTICELLO
YTD EXPENSE GUIDELINE SUMMARY
FOR THE PERIOD ENDING
31Dec90
APPROVED YTD REMAINING
BUDGET POSTED BALANCE
1990
►1f Rf►t►f ►f tffftf RRtff\t1R\t \\1f
•DEBT SVC EXPENDITURE SUMMARY:
• Personal Services
• Supplies
• Other Services & Charges
• Capital Outlay
• Debt Service 1,634,010 2,381,710 (747,700)
• Other Uses 106,475 (106,475)
---------- ---------- ----------
•TOTAL DEBT SVC FUND EXPEN 1,634,010 2,488,185 (854,175)
------------------------------
-------------------- ----------
tfYfRftff}tf\f \Rf ►\ff\\}►}Rffff\
C
05/10/91
11:25:31
CITY OF MONTICELLO 05/10/91
YTD EXPENSE GUIDELINE SUMMARY 11:25:31
FOR THE PERIOD ENDING
31Dec90
L
APPROVED
YTD
REMAINING
BUDGET
POSTED
BALANCE
1990
a405: 90-2 7TH STR/KMART C.P.
FUND
TOTAL FUND 405 EXPENSES
495,251
(495,251)
#406: 88 WATER RESERVOIR C.P.
FUND
TOTAL FUND 406 EXPENSES
181,882
(181,882)
e407: 89 MISS/OAKWOOD/MER C.P.rUND
TOTAL FUND 407 EXPENSES
37,485
(37,485)
#408: 88-01B E CO RD 39 C.P.
FUND
TOTAL FUND 408 EXPENSES
8,424
(8,424)
b409: STREETSCAPE CAP PROJ FUND
TOTAL FUND 409 EXPENSES
5,416
(5,416)
a410: HWY 25 BRIDGE CAP PROJ
FUND
TOTAL FUND 410 EXPENSES
5,608
(5,608)
n411: CHELSEA ROAD CAP PROJ FUND
TOTAL FUND 411 EXPENSES
C
1,040
(1,040)
Q412: INTERCEPTOR SEWER C.P.
FUND
TOTAL FUND 412 EXPENSES
4413: 90-1 BOOSTER PUMP C.P.
FUND
TOTAL FUND 413 EXPENSES
a414: 90-3 MEADOWS 2ND PH II
CP FD
TOTAL FUND 414 EXPENSES
106,976
(106,976)
a415: 90-4 SANDBERG EAST C.P.
FUND
TOTAL FUND 415 EXPENSES
217,243
(217,243)
•rrrr• riiirrrwwirirriiri••r•r•••
"CAP PROJ E%PENDITURE SUMMARY:
• Personal Services
• Supplies
3,766
(3,766)
• other Services 6 Charges
791,088
(791,088)
• Capital Outlay
157,767
(157,767)
• Debt Service
1,065
(1,065)
• Other Uses
105,638
(105,638)
*TOTAL CAP PROJ FUND EXPEN
----------
C CCOCQQOCQ
----------
1,059,324
OCQCQCQCQC
----------
(1,059,324)
QQOCQOQpCO
C••••rrrwrrw••rr•riiririr•iriiir•
CITY OF MONTICELLO
YTD EXPENSE GUIDELINE SUMMARY
FOR THE PERIOD ENDING
31Dec90
APPROVED
BUDGET
1990
WATER FUND
UNALLOCATED
Personal Services
Supplies
Other Services & Charges
Capital Outlay
Debt Service
Other Uses
----------
Total Unallocated Expens
----------
WATER - ADMIN/GEN OPERATING
Personal Services
50,050
Supplies
27,650
Other Services & Charges
45,050
Capital Outlay
8,500
Debt Service
Other Uses
YTD
REMAINING
POSTED
BALANCE
7,741
(7,741)
--- 7-741
55, 682
27,186
52,860
233
CTotal Admin/Gen Oper Exp 131,250 135,961
---------- ----------
TOTAT, WATER FUND EXPENSES 131,250 143,702
7,741)
(5,632)
464
(7,810)
8,267
SEWER FUND
WASTEWATER TREATMENT PLANT
Personal Services
1,175
2,633
(1,458)
Supplies
6,500
4,811
1,689
Other Services & Charges
349,600
360,022
(10,422)
Capital Outlay
Debt Service
Other Uses
----------
Total WWTP Expenses
357,275
----------
367,466
----------
(10,191)
SEWER - ADMIN/GEN OPERATING
Personal Services
30,025
31,212
(1,187)
Supplien
2,050
6,806
(4,756)
Other Services & Charges
16,925
13,310
3,615
Capital Outlay
6,250
678
5,572
Debt Service
5,768
(5,768)
Other Uses
----------
Total Admin/Gen Oper Exp
----------
55,250
----------
57,773
(2,523)
05/10/91
11:25:31
CITY OF MONTICELLO
YTD EXPENSE GUIDELINE SUMMARY
FOR THE PERIOD ENDING
31Dec90
I
TOTAL SEWER FUND EXPENSES
MUNICIPAL LIQUOR FUND
LIQUOR - PURCHASING
Personal Services
Supplies
Other Services & Charges
Capital Outlay
Debt Service
Other Uses
Total Purchasing Expense
LIQUOR - OPERATIONS
Personal Services
Supplies
Other Services & Charges
Capital Outlay
Debt Service
other Uses
Total Operations Expense
TOTAL LIQUOR FUND EXPENSES
TRANSPORTATION FUND
TRANSIT/OPERATING
Personal Services
Supplies
Other Services & Charges
Capital Outlay
Debt Service
other Uses
Total Operating Expenses
TRANSIT/ADMINISTRATION
Personal Services
Supplies
COther services & Charges
APPROVED YTD REMAINING
BUDGET POSTED BALANCE
1990
412,525 425,239 (12,714)
---------- --------------------
---------- ---------- ----------
926,100 959,587 (33,487)
6,000 5,752 248
-------- ---------- ----------
932,100 965,340 (33,240)
95,300 96,048 (748)
6,550 7,786 (1,236)
58,700 55,411 3,289
4,250 1,028 3,222
138,000 (138,000)
---------- ---------- ----------
164,800 298,273 (133,473)
c ccccccccc cecceccecc eecccccecc
1,096,900 1,263,612 (166,712)
c ccccccccc cccceecccc ccccccccca
51,300
53,482
(2,182)
300
300
----------
51,600
..........
----------
53,482
..........
----------
(11882)
ceoncceece
11,525
7,534
3,991
50
594
(544)
1,000
1,930
(930)
05/10/91
11:25:31
C
CITY OF MONTICELLO 05/10/91
YTD EXPENSE GUIDELINE SUMMARY 11:25:31
FOR THE PERIOD ENDING
31Dec90
APPROVED YTD REMAINING
BUDGET POSTED BALANCE
1990
Capital Outlay
Debt Service
Other Uses
Total Administration Exp 12,575 10,058 2,517
---------- ---------- ----------
---------- ---------- ----------
TOTAL TRANSPORTATION FU14D EX 64,175 63,540 635
---------- --------------------
-------------------- ----------
INVESTMENT HOLDING FUND
Personal Services
Supplies
Other Services & Charges
Capital Outlay
Debt Service
other uses
�OTAL INVESTMENT HOLDING tXP
----------
----------
----- ----
rrrrrrrrrr rrrrrrrrrrrrrrrrrrrrrrrrrrrrrrrrrrrrrrrrrrrrrrrrrrrrrrrrrrrr+rrr
'EXPENDITURE SUMMARY - ALL FUNDS
r•rrrr•
• Personal services
925,304
986,923
(61,619)
• Supplies
1,034,290
1,112,254
(77,964)
• Other Services & Charges
1,290,586
2,320,253
(1,029,667)
• Capital Outlay
257,085
638,309
(381,224)
• Debt Service
1,692,735
2,439,168
(746,433)
• other Uses
144,550
----------
522,783
(378,233)
•TOTAL EXPENSES - ALL FUND
5,344,550
eeeccceccc
----------
0,019,690
ceecccecee
----------
(2,675,140)
eecc�ceecc
CITY OF MONTICELLO
YTD REVENUE GUIDELINE SUMMARY
FOR THE PERIOD ENDING
31Mar91
4
APPROVED
YTD
REMAINING
BUDGET
POSTED
BALANCE
1991
GENERAL FUND
TAXES
Current Ad Valorem Taxes
1,444,290
1,444,290
Delinquent Ad Valorem Ta
Mobile Home Taxes
Pen 6 Int-Ad Valorem Tax
8,000
8,000
Forfeited Tax Sale Appor
TOTAL TAXES
----------
1,452,290
----------
----------
1,452,290
LICENSES 6 PERMITS
Liquor Licenses
17,350
17.350
Beer Licenses
1,600
1,600
Set Up Licenses
325
325
Other Business License/P
20
(20)
Building Permits
40,000
545
39,455
Variances/fond Use Permi
1,750
50
1,700
Plumbing Connection Perm
Animal Licenses
500
40
460
Bingo Licenses
Cable Franchise Fees
Other Non -Bus License/Pe
2,000
90
1,910
TOTAL LICENSES 6 PERMITS
----------
63,525
----------
745
----------
62,780
INTERGOVERNMENTAL
Federal Grants - CETA
Local Government Aids
Homestead Credits - HACA
Fire Dept Aid
37,000
37.000
Police Dept Aid
18,000
18,000
County Highway Grants
4.000
4,000
Recycling Incentive
4,600
----------
4,800
----------
TOTAL INTERGOVERNMENTAL
----------
63,800
63,800
CHARGES FOR SERVICES
Zoning/Subdivision Fees
500
500
Sale of Maps b Publicati
100
8
92
Motor Vehicle/Dep Reg Fe
70,000
10,470
51,530
Assessment searches
600
115
485
Inspection Fees
10,500
10,500
Fire Protection Twp Cont
42.715
42,715
Special Garbage Proc/Rec
4,000
(574)
4,574
05/09/91
13:17:13
CITY OF MONTICELLO
YTD REVENUE GUIDELINE SUMMARY
FOR THE PERIOD ENDING
31Mar91
Park Fees
Other Charges for Servic
TOTAL CHARGES FOR SERVICES
FINES & FORFEITURES
Animal Impoundment Fines
TOTAL FINES & FORFEITURES
SPECIAL ASSESSMENTS
Spec Asmt Principal - Co
Spec Asmt Pen & Interest
TOTAL SPECIAL ASSESSMENTS
MISCELLANEOUS
Interest Earnings
Rents
Contributions - private
Sale of Property
Refunds/Reimbursements
Other M1sc Revenue
TOTAL MISCELLANEOUS
OTHER SOURCES
Contrib from Enterprise
Transfer from other Fund
TOTAL OTHER SOURCES
TOTAL GENERAL FUND REVENUES
APPROVED
YTD
REMAINING
BUDGET
POSTED
BALANCE
1991
500
500
1.000
56
944
129,915
18,075
111,840
9,000
-----
1,306
-----
7,694
------
9,000
1,306
--
7
75
75
----------
75
----------
----------
75
64,100
64,100
4,700
1,185
3,515
2,400
2,400
100
100
11,000
30
10,970
100
274
(174)
82 400
1,489
80,911
1,801,005 21,616 1,779,389
n5/OS 91
13:17:13
CITY OF MONTICELLO
YTD REVENUE GUIDELINE SUMMARY
FOR THE PERIOD ENDING
31Mar91
UDAG FUND
Taxes
Licenses & Permits
Intergovernmental
Charges for Services
Fines & Forfeitures
Special Assessments
MiscellaneouS Revenue
Other Sources
TOTAL UDAG FUND REVENUES
LIBRARY FUND
Taxes
Licenses & Permits
Intergovernmental
Charges for services
Fines & Forfeitures
Special Assessments
Miscellaneous Revenue
Other Sources
TOTAL LIBRARY FUND REVENUES
HRA FUND
Taxes
Licenses & Permits
intergovernmental
Charges for Services
Fines & Forfeitures
Special Assessments
Miscellaneous Revenue
other sources
TOTAL HRA FUND REVENUES
SHADE TREE FUND
Taxes
Licenses & Permits
Intergovernmental
Charges for services
CFines 6 Forfeitures
APPROVED YTD REMAINING
BUDGET POSTED BALANCE
1991
13,925
2,464 11,461
----------
13,925
--------------------
2,464 11,461
26,400
26,400
100
100
---------- ---------- ----------
26,500 26,500
265,550
265,550
13,300
13,300
----------
278,850
c ecceec==o
---------- ----------
278,850
eceeecceac ec==eeccco
39,135
39,135
11500
11500
05/09/91
13:17:13
CITY OF MONTICELLO
YTD REVENUE GUIDELINE SUMMARY
FOR THE PERIOD ENDING
31Mar91
It
Special Assessments
Miscellaneous Revenue
Other Sources
TOTAL SHADE TREE FUND REVENU
PARK & RECREATION GRANT FUND
Taxes
Licenses & Permits
Intergovernmental
Charges for Services
Fines & Forfeitures
Special Assessments
Miscellaneous Revenue
Other Sources
TOTAL PARK & REC GRANT REVEN
LAA FUND
Taxes
Licenses & Permits
Intergovernmental
Charges for Services
Fines & Forfeitures
Special Assessments
Miscellaneous Revenue
Other Sources
TOTAL OAA FUND REVENUES
CAPITAL PROJECT REVOLVING FUND
Taxes
Licenses & Permits
Intergovernmental
Charges for Services
Fines & Forfeitures
Special Assessments
Miscellaneous Revenue
Other sources
TOTAL CAP PROJ REV FUND REVE
APPROVED YTD REMAINING
BUDGET POSTED BALANCE
1991
15 15
3,700 350 3,350
------------------------------
44,350 350 44,000
---------- --------------------
--------------------
30,225 30,225
30,225
400 400
1,000 1,000
---------- ---------- ----------
31,625 31,625
c cecceccce cmceccmcec cc_cccceee
151,754
151,754
5,300 379 4,922
10,200 10,200
---------- ---------- ----------
167,254 379 166,876
o cmneenmme cmmcncmmmm eneeaeceem
05/09/91
13:17:13
CITY OF MONTICELLO
YTD REVENUE GUIDELINE SUMMARY
FOR THE PERIOD ENDING
31Mar91
ECONOMIC DEVELOPMENT AUTH FUND
Taxes
Licenses & Permits
Intergovernmental
Charges for Services
Fines & Forfeitures
Special Assessments
Miscellaneous Revenue
Other Sources
TOTAL EDA FUND REVENUES
SEWER IMPROVEMENT FUND
Taxes
Licensee & Permits
Intergovernmental
Charges for SerVicea
Fines & Forfeitures
Special Assessments
Miscellaneous Revenue
Other Sources
TOTAL SEWER IMPR FUND REVENU
WATER IMPROVEMENT FUND
Taxes
Licenses & Permits
Intergovernmental
Charges for Services
Fines & Forfeitures
Special Assessments
Miscellaneous Revenue
Other Sources
TOTAL WATER IMPR FUND REVENU
C
APPROVED YTD REMAINING
BUDGET POSTED BALANCE
1991
10,850 2,406 8,444
---------- ---------- ----------
10,850 2,406 8,444
------------------------------
---------- ---------- ----------
10,000 10,000
4,800 4,800
---------- ---------- ----------
14,800 14,800
6,500 6,500
4,600 4,600
---------- ---------- ----------
11,100 11,100
===ee======ea===c==e=eec==e=..
05/09/91
13:17:13
CITY OF MONTICELLO
YTD REVENUE GUIDELINE SUMMARY
FOR THE PERIOD ENDING
31Mar91
APPROVED YTD REMAINING
BUDGET POSTED BALANCE
1991
Q310: 1960-61 G.O. BOND FUND
T0TAL FUND 310 REVENUES 7,390 7,390
---------- --------------------
a3ll: 1974 G.O. PARKING BOND FUND
TOTAL FUND 311 REVENUES 550 550
------------------------------
0312: 1975-1 S&W G.O. BOND FUND
TOTAL FUND N312 REVENUES 78,771 546 78,225
4313: 1976 S&W G.O. BOND FUND
TOTAL FUND 313 REVENUES
----------
113,043
113,043
---------- ----------
0314: 1977-1,-2,-3 G.O. BOND FUND
TOTAL FUND 314 REVENUES
340,458
1,914 338,544
(1315:
-
1978 IMPR G.O. BOND FUND
TOTAL FUND 315 REVENUES
10,998
10,996
0316: 1919-1 IMPR G.O. BOND FUND
TOTAL FUND 316 REVENUES
100
10 O
a317: 1980-1.-2 G.O. BOND FUND
TOTAL FUND 317 REVENUES
c=ceeeoecc
6,619
6,619
c=o==_eecc o=ceeccc=o
¢318: 1981-1,-2 (B) G.O. BOND FUND
TOTAL FUND 318 REVENUES
33,289
33,289
4319: 1983/82-2 G.O. BOND FUND
TOTAL FUND 319 REVENUES
ccenneecec
1,538 (1,538)
eeoecocoec ccn¢e¢cc eo
#320: 1984-1 G.O. BOND FUND
TOTAL FUND 320 REVENUES
neeee=oo=c
27,038
27,038
ccnncooene on¢en¢¢e e¢
05/09/91
13:17:13
CITY OF MONTICELLO 05/09/91
YTD REVENUE GUIDELINE SUMMARY 13:17:13
FOR THE PERIOD ENDING
31Mar91
APPROVED YTD REMAINING
BUDGET POSTED BALANCE
1991
0321: 1986-1 (A) G.O. BOND FUND
TOTAL FUND 321 REVENUES 53,500 53,500
---------- --------------------
------------------------------
4322: 1988-1,-1B,-2 G.O. BOND FUND
TOTAL FUND 322 REVENUES 192,872 31,395 161,477
---------- ---------- ----------
---------- --------------------
0323: 1989-1,-2,-3 G.O. BOND FUND
TOTAL FUND 323 REVENUES 29,376 29,376
---------- ---------- ----------
------------------------------
a324: 1990B G.O. BOND FUND
TOTAL FUND 324 REVENUES 174,886 15,450 159,436
N325: 1990C G.O. BOND FD (E.SANDB)
TOTAL FUND 325 REVENUES 464 70,632 (70,168)
-------------------- ----------
---------- ---------- ----------
�348: 1971 G.O. BOND FUND
TOTAL FUND 348 REVENUES
a349: 1973 G.O. BOND FUND
TOTAL FUND 349 REVENUES
n351: 1980 LIBRARY BOND FUND
TOTAL FUND 351 REVENUES 51,065 51,065
#352: 1975 FIRE HALL BOND FUND
TOTAL FUND 352 REVENUES 113,328 113,328
6353: 1986 INTERCEPTOR SEWER BOND
TOTAL FUND 353 REVENUES 119,821 119,821
e eoaoaeoc= aoe=eo°e°e vaeoec=o=c
C
CITY OF MONTICELLO 05/09/91
YTD REVENUE GUIDELINE SUMMARY 13:17:13
FOR THE PERIOD ENDING
31Mar91
APPROVED YTD REMAINING
BUDGET POSTED BALANCE
1991
b354: 1988 WATER SYSTEM BOND FUND
TOTAL FUND 354 REVENUES 127,101 127,101
0376: TIF 1984 (FSI) BOND FUND
TOTAL FUND 376 REVENUES 25,970
----------
----------
25,970
--------------------
--------------------
9377: TIF 1985 (VEIT) BOND FUND
TOTAL FUND 377 REVENUES 36,O64
----------
36,064
---------- ----------
b378: TIF 1987(C0NSTR 5) BOND FUND
TOTAL FUND 378 REVENUES 50,499
----------
----------
50,499
--------------------
--------------------
9379: TIF 1987 (NAWCO) BOND FUND
TOTAL FUND 379 REVENUES 26,301
26,301
----------
--------------------
`a380: TIF 1989 (ELDERLY) BOND FUND
TOTAL FUND 380 REVENUES 28,800
----------
----------
28,800
--------------------
---------- ----------
b381: TIF 1990A (F.MART) BOND FUND
TOTAL FUND 381 REVENUES 2,05n
2,050
0382: TIF 1990D (REM/TAP) BOND FD
TOTAL FUND 382 REVENUES 2,150
2,150
`DEBT SERVICE REVENUE SUMMARY:
• Taxes 1,021,937
1,021,937
• Licensee & Permits
• Intergovernmental
• Charges for Services
• Fines 6 Forfeitures
• Special Assessments 358,907
121,476 237,431
• Miscellaneous Revenue 106,625
106,625
• Other Sources 165,034
165,034
---------- ----------
----------
*TOTAL DEBT SERVICE REVENU 1,652,503
c- zcw==m
121,476 1,531,027
ceeeeeeaee e=eaee....
CITY OF MONTICELLO 05/09/91
YTD REVENUE GUIDELINE SUMMARY 13:17:13
FOR THE PERIOD ENDING
J 31Mar91
APPROVED YTD REMAINING
BUDGET POSTED BALANCE
1992
0405: 90-2 7TH STR/KMART C.P. FUND
TOTAL FUND 405 REVENUES
#406: 88 WATER RESERVOIR C.P. FUND
TOTAL FUND 406 REVENUES
#407: 89 MISS/OAKWOOD/MER C.P.FUND
TOTAL FUND 407 REVENUES
e408: 88-018 E CO RD 39 C.P. FUND
TOTAL FUND 408 REVENUES
#409: STREETSCAPE CAP PROJ FUND
TOTAL FUND 409 REVENUES
----------
(410: HWY 25 BRIDGE CAP PROJ FUND
TOTAL FUND 410 REVENUES
p411: CHELSEA ROAD CAP PROJ FUND
TOTAL FUND 411 REVENUES
0412: INTERCEPTOR SEWER C.P. FUND
TOTAL FUND 412 REVENUES
=ceenneece eccececeee ececccc=c=
#413: 90-1 BOOSTER PUMP C.P. FUND
TOTAL FUND 413 REVENUES
ppccccccnp eceeceeeno cenpcceene
0414: 90-3 MEADOWS 2ND PH II CP FD
TOTAL FUND 414 REVENUES
aenneepnne oceceepeen ccapcopeee
D415: 90-4 SANDBERG EAST C.P. PUN;
TOTAL FUND 415 REVENUES
ecnnecpeep nnnpeeeccn ¢ec¢ceeope
C
CITY OF MONTICELLO 05/09/91
YTD REVENUE GUIDELINE SUMMARY 13:17:13
FOR THE PERIOD ENDING
31Mar91
APPROVED YTD REMAINING
BUDGET POSTED BALANCE
1991
w ewer rrrrrrrrrrrrw wwwwwwwwrrrw•w
*CAPITAL PROJECT REVENUE SUMMARY
• Taxes
• Licenses & Permits
• Intergovernmental
• Charges for Services
• Fines & Forfeitures
• Special Assessments
Miscellaneous Revenue
" Other Sources
•TOTAL CAPITAL PROJECT REV
---------- ---------- ----------
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C
CITY OF MONTICELLO
YTD REVENUE GUIDELINE SUMMARY
FOR THE PERIOD ENDING
31Mar91
C_
APPROVED
YTD
REMAINING
BUDGET
POSTED
BALANCE
1991
WATER FUND
Taxes
Licenses & Permits
Intergovernmental
Charges for Services
136,980
1,219
135,761
Fines & Forfeitures
Special Assessments
75
75
Miscellaneous Revenue
4,000
4,000
Other Sources
----------
----------
TOTAL WATER FUND REVENUES
----------
141,055
1,219
139,836
SEWER FUND
Taxes
Licensee & Permits
Intergovernmental
Charges for Services
421,865
1,146
420,719
FLIIC6 & F,:)rfe1tUrt!6
( special Assessments
225
225
Miscellaneous Revenue
4,800
1,200
3,600
Other Sources
----------
TOTAL SEWER FUND REVENUES
----------
426,890
2,346
424,544
MUNICIPAL LIQUOR FUND
Taxes
Licenses & Permits
Intergovernmental
Charges for Services
1,255,700
265,465
990,235
Fines & Forfeitures
Special Assessments
Miscellaneous Revenue
33,550
7,530
26,020
Other Sources
TOTAL LIQUOR FUND REVENUES
1,289,250
e aoeoe===e
272,995
=====eo===
1,016,255
=ee=====ee
C
05/09/91
13:17:13
t
CITY OF MONTICELLO
YTD REVENUE GUIDELINE SUMMARY
FOR THE PERIOD ENDING
31Mar91
TRANSPORTATION FUND
Taxes
Licenses & Permits
Intergovernmental
Charges for Services
Fines & Forfeitures
Special Assessments
Miscellaneous Revenue
Other Sources
TOTAL TRANSIT FUND REVENUES
INVESTMENT HOLDING FUND
Taxes
Licenses & Permits
Intergovernmental
Charges for services
Fines & ForfeiLUres
Special Assessments
Miscellaneous Revenue
Other Sources
TOTAL INVESTMENT FUND REVENU
C
APPROVED YTD REMAINING
BUDGET POSTED BALANCE
1991
19,787 19,787
43,642 19,080 24,562
9,310 2,759 6,551
1,484 (1,484)
-------- --- 72,73923,32349,416
9,029 (9,029)
---------- ---------- ----------
9,029 (9,029)
05/09/91
13:17:13
}••••}••••••••t••i••••1}••►f}•••O•}•}}•}}•}}}}•}}}}}••}}••/\}•}}}••}}}}•}••}•••••
*REVENUE SUMMARY - ALL FUNDS:
} Taxes
3,007,018
3,007,078
• Licenses & Permits
63,525
745
62,780
• Intergovernmental
107,842
19,080
88,762
• Charges for Services
1,971,870
288,663
1,683,207
• Fines & Forfeitures
9,000
1,306
7,694
• Special Assessments
364,597
121,854
242,743
• Miscellaneous Revenue
293,750
25,952
267,798
• Other Swirces
165,034
----------
----------
165,034
----------
*TOTAL REVENUES - ALL FUND
5,982,696
====c===en
457,601
=CC===CC==
5,525,096
=C===CG=C=
CITY OF MONTICELLO
YTD EXPENSE GUIDELINE SUMMARY
FOR THE PERIOD ENDING
31Mar91
t
GENERAL FUND
GENERAL GOVERNMENT:
COUNCIL
Personal Services
Supplies
Other Services & Charges
Capital Outlay
Debt Service
Other Uses
TOTAL COUNCIL EXPENSE
ADMINISTRATIVE
Personal Services
Supplies
Other Services & Charges
Capital Outlay
Debt Service
Other Uses
TOTAL ADMINISTRATIVE EXPEN
CABLE COMMISSION
Personal Services
Supplies
Other Services & Charges
Capital Outlay
Debt Service
Other Uses
TOTAL CABLE COMM EXPENSE
ELECTIONS
Personal Services
Supplies
Other Services & Charges
Capital Outlay
Debt Service
Other Uses
TOTAL ELECTIONS EXPENSE
APPROVED YTD REMAINING
BUDGET POSTED BALANCE
1991
12,525 3,126 9,399
4,600 527 4,073
---------- ---------- ----------
17,125 3,653 13,472
---------- --------------------
---------- --------------------
124,450 40,730 83,720
4,200 1,671 2,529
21,450 3,529 17,921
---------- ---------- ----------
150,100 45,930 104,170
05/10/91
12:53:00
CITY OF MONTICELLO
YTD EXPENSE GUIDELINE SUMMARY
FOR THE PERIOD ENDING
31Mar91
APPROVED YTD REMAINING
BUDGET POSTED BALANCE
1991
FINANCE
Personal Services 75,475 16,776 58,699
Supplies 200 69 131
Other Services & Charges 525 77 448
Capital Outlay
Debt Service
Other Uses
TOTAL FINANCE EXPENSE 76,200 16,922 59,278
AUDIT
Personal Services
Supplies
Other Services & Charges
Capital Outlay
Debt Service
Other Uses
TOTAL AUDIT EXPENSE
ASSESSING
Personal Services
Supplies
Other services & Charges
Capital Outlay
Debt Service
Other Uses
TOTAL ASSESSING EXPENSE
LEGAL
Personal Services
Supplies
other Services & Charges
Capital Outlay
Debt Service
Other Uses
TOTAL LEGAL EXPENSE
11,500
11,500
---------- ---------- ---------
11,500 11,500
6,505
5,044
1,461
475
21
454
9,375
2,879
6,497
----------
16,355
cccccaccc:
----------
7,943
=ccccccccc
---------
8,412
eceacc eeec
26,175
3,661
22,514
---2G 175-
e coceceeee
----3 661-
eecooe...c
---22 514
e .2-c-
05/10/91
12:53:00
CITY OF MONTICELLO
YTD EXPENSE GUIDELINE SUMMARY
FOR THE PERIOD ENDING
31Mar91
APPROVED
YTD
REMAINING
BUDGET
POSTED
BALANCE
1991
PLANNING & ZONING
Personal Services
32,075
6,652
25,423
Supplies
100
100
Other Services & Charges
46,800
1,356
45,444
Capital Outlay
Debt Service
Other Uses
----------
TOTAL PLANNING & ZONING EX
----------
78,975
----------
----------
----------
8,008
----------
----------
70,967
----------
----------
DATA PROCESSING
Personal Services
Supplies
1,500
779
721
Other Services & Charges
14,675
2,849
11,826
Capital Outlay
6,650
1,449
5,201
Debt Service
28,900
7,223
21,677
Other Usea
TOTAL DATA PROCESSING EXPE
51,725
12,300
39,425
CITY HALL
Personal Services
3,450
820
2,630
Supplies
2,350
406
1,944
Other Services & Charges
25,250
4,955
20,295
Capital Outlay
20,725
1,756
18,969
Debt Service
other Uses
----------
TOTAL CITY HALL EXPENSE
----------
51,775
----------
7,936
43,839
DEPUTY REGISTRAR
Personal Services
58,625
15,412
43,213
supplies
50
279
(229)
Other Services & Charges
1,250
375
875
Capital Outlay
168
(168)
Debt Service
Other Uses
----------
----------
----------
TOTAL DEPUTY REGISTRAR EXP
59,925
e eae¢¢e¢¢¢
16,234
meemcem¢me
43,691
mmceee¢mc¢
CITAL GENERAL GOVERNMENT EXP
539,855
122,587
417,268
05/10/91
12:53:00
CITY OF MONTICELLO
YTD EXPENSE GUIDELINE SUMMARY
FOR THE PERIOD ENDING
31Mar91
L
APPROVED YTD REMAINING
BUDGET POSTED BALANCE
1991
PUBLIC SAFETY:
LAW ENFORCEMENT
Personal Services
Supplies
Other Services & Charges 172,050 43,011 129,039
Capital Outlay
Debt Service
Other Uses
TOTAL LAW ENFORCEMENT EXPE 172,050 43,011 129,039
FIRE DEPT
Personal Services
Supplies
Other Services & Charges
Capital Outlay
Debt Service
Other Uses
TOTAL FIRE DEPT EXPENSE
BUILDING INSPECTIONS
Personal Services
Supplies
Other Services & Charges
Capital Outlay
Debt Service
Other Uses
TOTAL BLDG INSPECTION EXPE
CIVIL DEFENSE
Personal Services
Supplies
other Services & Charges
Capital Outlay
Debt Service
Other Uses
TOTAL CIVIL DEFENSE EXPENS
C
61,350
4,262
57,088
4,125
459
3,666
28,650
15,346
13,304
55,850
9,474
46,376
--149 975-
---29 540-
--120 435
29,255
5,153
24,102
325
98
227
4,850
909
3,941
10,000
10,516
(516)
----------
44,430
=ee===cc=c
----------
16,675
=ec=cc =eee
----------
27,755
====c==e=c
6,200
11098
5,202
100
100
625
25
600
6,925
==eeeco==e
1,124
e=coca=eee
5,801
e=eee=e=eo
05/10/91
12:53:00
CITY OF MONTICELLO
05/10/91
YTD
EXPENSE GUIDELINE
SUMMARY
12:53:00
FOR THE PERIOD ENDING
31Mar91
l
APPROVED
YTD
REMAINING
BUDGET
POSTED
BALANCE
1991
ANIMAL CONTROL
Personal Services
Supplies
1,125
146
979
Other Services & Charges
171925
4,899
13,026
Capital Outlay
Debt Service
Other Uses
----------
----------
TOTAL ANIMAL CONTROL EXPEN
----------
19,050
---------- ----------
5,045
14,005
----------
TOTAL PUBLIC SAFETY
---------- ----------
392.430
95,394
----------
297,036
PUBLIC WORKS:
PW/ADMIN & ENGINEERING
Personal Services
53,800
14,367
39,433
Supplies
525
121
404
Other Services & Charges
15,650
409
15,241
C Capital Outlay
900
935
(351
Debt Service
Other Uses
---------- ----------
----------
TOTAL PW/ADMIN & ENGR EXPE
70,875
15,832
55,043
PW/INSPECTIONS
Personal Services
28,225
5,907
22,318
Supplies
39
(39)
Other Services & Charges
1,200
120
1,080
Capital Outlay
Debt Service
Other Uses
---------- ----------
----------
TOTAL PW/INSPECTIONS EXPEN
29,425
nccennceee aennenccec
6,067
23,358
ecnocceccn
PW/STREETS & ALLEYS
Personal Services
96,700
29,570
67,130
Supplies
37,000
16,104
20,896
other services & Charges
10,200
5,981
4,219
Capital Outlay
47,500
47,500
Debt Service
Other Uses
---------- ----------
----------
CITY OF MONTICELLO
YTD
EXPENSE GUIDELINE
SUMMARY
FOR THE PERIOD
ENDING
31Mar91
APPROVED
YTD
REMAINING
BUDGET
POSTED
BALANCE
1991
TOTAL PW/STR & ALLEYS EXPE
191,400
----------
51,655
----------
139,745
----------
PW/ICE & SNOW
Personal Services
3,000
12,219
(9,219)
Supplies
8,600
44
8,556
Other Services & Charges
1,500
1,500
Capital Outlay
Debt Service
Other Uses
----------
TOTAL PW/ICE & SNOW EXPENS
----------
13,100
----------
12,263
837
PW/SHOP & GARAGE
Personal Services
2,111
(2,111)
supplies
5,700
2,200
3,500
Other Services & Charges
12,500
2,026
10,474
Capital Outlay
3,400
1,815
1,585
Debt Service
Other Uses
----------
TOTAL PW/SHOP & GARAGE EXP
----------
21.600
----------
8,152
13,448
PW/PARKING LOTS
Personal Services
Supplies
800
800
Other Services & Charges
2,500
244
2,256
Capital Outlay
Debt Service
125
125
other uses
TOTAL PW/PARKING LOT EXPEN
----------
3,425
c caecececc
----------
244
cc=ceccccc
----------
3,181
cecceeeee=
PW/STREET LIGHTING
Personal Services
Supplies
300
300
other Services & Charges
39,700
8,691
31,009
Capital Outlay
Debt Service
other Uses
CTOTAL
PW/STREET LIGHT EXPE
40,000
8,691
31,309
05/10/91
12:53:00
CITY OF MONTICELLO 05/10/91
YTD EXPENSE GUIDELINE SUMMARY 12:53:00
FOR THE PERIOD ENDING
31Mar91
APPROVED YTD REMAINING
BUDGET POSTED BALANCE
1991
REFUSE COLLECTION
Personal Services
900
34
e66
Supplies
6,300
31
6,269
Other Services & Charges
215,050
57,238
157,812
Capital Outlay
300
300
Debt Service
Other Uses
----------
TOTAL REFUSE COLLECTION EX
----------
222,550
----------
57,303
165,247
TOTAL PUBLIC WORKS
592,375
160,206
432,169
CULTURE & RECREATION:
MUSEUM
Personal Services
1,850
301
1,549
supplies
100
57
43
C
Other Services & Charges
2,175
324
1,851
Capital Outlay
Debt Service
Other Uses
----------
----------
TOTAL MUSEUM EXPENSE
----------
4,125
682
3,443
SENIOR CENTER
Personal Services
29,550
6,769
22,781
Supplies
Other Services & Charges
2,200
1,418
782
capital outlay
Debt Service
other Uses
----------
TOTAL SENIOR CENTER EXPENS
----------
31,750
=enecnce=n
----------
8,187
ccncecee==
23,563
co=eeee�ec
COMMUNITY ED
Personal Services
Supplies
Other Services & Charges
17,000
17,000
Capital Outlay
Debt Service
Other Uses
CITY OF MONTICELLO 05/10/91
YTD EXPENSE GUIDELINE SUMMARY 12:53:00
FOR THE PERIOD ENDING
31Mar91
APPROVED
YTD
REMAINING
BUDGET
POSTED
BALANCE
1991
TOTAL COMMUNITY ED EXPENSE
----------
17,000
----------
----------
17.000
Y.M.C.A
Personal Services
Supplies
Other Services & Charges
7,500
1,875
5,625
Capital Outlay
Debt Service
Other Uses
TOTAL Y.M.C.A. EXPENSE
7,500
1,875
5,625
PARKS & RECREATION
Personal services
90,500
5,488
85,012
Supplies
14,150
1,943
12,207
Other Services & Charges
C, Capital Outlay
7,745
10,350
2,162
5,583
10,350
Debt Service
Other Uses
TOTAL PARKS & RF.0 EXPF.NSR
122,745
9,593
ceccz
113,152
ccccccccez
TOTAL CULTURE & RECREATION
cccccceccc
183,120
c=recce=eo
cec
20,337
_cnecececc
162,783
-cczcccccc
URBAN REDEVELOPMENT & HOUSING:
ECONOMIC DEVELOPMENT
Personal Services
28,775
4,836
23,939
Suppliea
150
150
Other Services & Charges
13,275
312
12,963
Capital Outlay
Debt Service
Other Uses
----------
TOTAL ECON DEVELOPMENT EXP
----------
42,200
----------
5,148
eeec neozzc
37,052
neacez¢ece
TOTAL URBAN REDEVELOPMENT &
a ennenezne
42,200
znnzzz.C-
5,148
zncnnnezez
37,052
- cennzzn
CITY OF MONTICELLO
YTD EXPENSE GUIDELINE SUMMARY
FOR THE PERIOD ENDING
31Mar91
LA
MISCELLANEOUS/UNALLOCATED:
UNALLOCATED
Personal Services
Supplies
Other Services & Charges
Capital Outlay
Debt Service
Other Uses
TOTAL UNALLOCATED EXPENSE
GENERAL INSURANCE
Personal Services
Supplies
Other Services & Charges
Capital Outlay
Debt Service
OLlier Used
TOTAL INSURANCE EXPENSE
TOTAL MISC/UNALLOCATED
`TOTAL GENERAL FUND EXPENSE
C4
APPROVED YTD REMAINING
BUDGET POSTED BALANCE
1991
19,500
19,500
31,525
33,914
12,389)
51,025
'
33,914
17,111
51,025
33,914=
17,111
1,eO1,005
437,586
1,363,419
05/10/91
12:53:00
CITY OF MONTICELLO
YTD
EXPENSE GUIDELINE
SUMMARY
FOR THE PERIOD
ENDING
31Mar91
APPROVED
YTD
REMAINING
BUDGET
POSTED
BALANCE
1991
UDAG (URBAN DEV ACTION GRANT)
FUND
Personal Services
Supplies
Other Services & Charges
Capital Outlay
Debt Service
Other Uses
----------
----------
TOTAL UDAG FUND EXPENSE
----------
----------
----------
----------
----------
----------
----------
LIBRARY FUND
Personal Services
3,450
174
3,276
Supplies
2,000
212
1,788
Other Services & Charges
17,925
5,692
12,233
Capital Outlay
3,125
315
2,810
Debt Service
other Uses
C )TAL LIBRARY FUND EXPENSE
----------
26,500
----------
6,394
----------
20,106
HRA (HSG & REDEV AUTH) FUND
TIF C1 - IXI 1
2,800
2,800
TIF 02 - METCALF & LARSON
4,285
4,284
1
TIF a3 - FSI
TIF a4 - IXI 4
22,960
22,960
TIP n5 - CONSTRUCTION 5
TIF d6 - RAINDANCE
TIF a7 - NAWCO
TIF 08 - NSP
11840
1,840
TIF a9 - TAPPER
10
(10)
TIF #10 - REMMELE
45
(45)
TIF all - MARTIE FARM SVCE
HRA DEPT SUMMARY:
Personal Services
7,225
4,636
2,389
Supplies
other Services & Charges
12,025
75
11,950
Capital Outlay
Debt Service
Other Uses
165,035
165,035
----------
TOTAL HRA FUND EXPENSE
----------
216,170
----------
9,250
206,920
C.CCCaa.Caa
OaO0a0aCOC
OCaCaaC6CC
05/10/91
12:53:00
CITY OF MONTICELLO
YTD EXPENSE GUIDELINE SUMMARY
FOR THE PERIOD ENDING
31Mar91
SHADE TREE FUND
Personal Services
Supplies
Other Services & Charges
Capital Outlay
Debt Service
Other Uses
TOTAL SHADE TREE FUND EXPENS
PARK & RECREATION GRANT FUND
Personal Services
Supplies
Other Services & Charges
Capital Outlay
Debt Service
OL'Le,' Uada
(OTAL PARK & REC FUND EXPENS
OAA (ORDERLY ANNEX AREA) FUND
Personal Services
Supplies
Other Services & Charges
Capital Outlay
Debt Service
Other Uses
APPROVED
YTD
REMAINING
BUDGET
POSTED
BALANCE
1991
14,650
1,127
13,523
600
84
516
15,100
411
14,689
14,000
14,000
----------
44,350
----------
1,622
----------
42,728
1,400
30,225
1,400
30,225
----------
TOTAL OAA FUND EXPENSE
c
31,625
aaaacaoca
---------- ----------
31,625
eeeeeeceaa ccccecaecc
CAPITAL PROJECT REVOLVING FUND
Personal Services
Supplies
Other Services & Charges
Capital. Outlay
236,000
15,988 220,012
Debt Service
Other Uses
---------- ----------
----------
TOTAL CAP PROJ REVOLVING EXP
e
236,000
eaeaaeecc
15,988 220,012
aeeaaoaaae aoaaeccece
C
05/10/91
12:53:00
CITY OF MONTICELLO
YTD EXPENSE GUIDELINE SUMMARY
FOR THE PERIOD ENDING
31Mar91
APPROVED YTD REMAINING
BUDGET POSTED BALANCE
1991
EDA (ECONOMIC DEVELOP AUTH) FUND
Personal Services
Supplies
Other Services & Charges 2,250 100 2,150
Capital Outlay
Debt Service
Other Uses
---------- ---------- ----------
TOTAL EDA FUND EXPENSE 2,250 100 2,150
-------------------- ----------
SEWER IMPROVEMENT FUND
Personal Services
Supplies
Other Services & Charges
Capital Outlay
Debt Service
Other Uses
)TAL SEWER IMPR FUND EXPENS
WATER IMPROVEMENT FUND
Personal Services
Supplies
Other Services & Charges
Capital Outlay
Debt Service
Other Uses
TOTAL WATER IMPR FUND EXPENS
95,000 19,875 75,125
---------- ---------- ----------
95,000 19,875 75,125
05/10/91
12:53:00
0
V
CITY OF MONTICELLO
YTD EXPENSE GUIDELINE
SUMMARY
FOR THE PERIOD ENDING
31Mar9l
APPROVED
YTD
REMAINING
BUDGET
POSTED
BALANCE
1991
d310: 1960-61 G.O. BOND FUND
TOTAL FUND 310 EXPENSES
b3ll: 1974 G.O. PARKING BOND FUND
TOTAL FUND 311 EXPENSES
6312: 1975-1 S&W G.O. BOND FUND
TOTAL FUND 312 EXPENSES 72,500
70,013
2,487
4313: 1976 S&W G.O. BOND FUND
TOTAL FUND 313 EXPENSES 115,800
109,550
6,250
0314: 1977-1,-2,-3 G.O. BOND FUND
TOTAL FUND 314 EXPENSES 316,7U0
291,953
24,747
b315: 1978 IMPR G.O. BOND FUND
TOTAL FUND 315 EXPENSES 17,000
17,000
4316: 1979-1 IMPR G.O. BOND FUND
/(
(_ TOTAL FUND 316 EXPENSES 131,800
118,420
13,380
0 17: 1980-1,-2 G.O. BOND FUND
TOTAL FUND 317 EXPENSES 22,500
21,835
665
a318: 1981-1,-2 (B) G.O. BOND FUND
TOTAL FUND 318 EXPENSES 61,300
56,138
5,163
0 19: 1983/82-2 G.O. BOND FUND
TOTAL FUND 319 EXPENSES
#320: 1984-1 G.O. BOND FUND
TOTAL FUND 320 EXPENSES 23,150
19,771
3,380
d321: 1986-1 (A) G.O. BOND FUND
TOTAL FUND 321 EXPENSES 44,500
32,692
11,808
b322: 1988-1,-1B,-2 G.O. BOND FUND
TOTAL BOND 322 EXPENSES 195,000
141,365
53,635
0323: 19B9-1,-2,-3 G.O. BOND FUND
TOTAL FUND 323 EXPENSES 30,750
23,058
7,692
o324: 1990E G.O. BOND FUND
TOTAL FUND 324 EXPENSES 127,600
82,359
45,241
05/10/91
12:53:00
CITY OF MONTICELLO
YTD
EXPENSE GUIDELINE
SUMMARY
FOR THE PERIOD
ENDING
31Mar9l
c.
APPROVED
YTD
REMAINING
BUDGET
POSTED
BALANCE
1991
d325: 1990C G.O. BOND FD (E.SANDB)
TOTAL FUND 325 EXPENSES
13,050
13,050
8348: 1971 G.O. BOND FUND
TOTAL FUND 348 EXPENSES
e349: 1973 G.O. BOND FUND
TOTAL FUND 349 EXPENSES
d351: LIBRARY BOND FUND
TOTAL FUND 351 EXPENSES
39,750
38,268
1,483
0352: FIRE HALL BOND FUND
TOTAL FUND 352 EXPENSES
106,000
78,713
27,288
d353: INTERCEPTOR SEWER BOND
FUND
TOTAL FUND 353 EXPENSES
116,000
86,325
29,675
354: WATER SYSTEM BOND FUND
TOTAL FUND 354 EXPENSES
120,900
86,213
34.688
4376: TIF 1984 (FSI) BOND FUND
TOTAL FUND 376 EXPENSES
27,200
24,430
2,770
o377: TIF 1985 (VEIT) BOND FUND
TOTAL FUND 377 EXPENSES
36,500
23,535
12,965
4378: TIF 1987(CONSTR 5) BOND
FUND
TOTAL FUND 378 EXPENSES
52,100
41,586
10,53.4
d379: TIF 1987 (NAWCO) BOND
FUND
TOTAL FUND 379 EXPENSES
27,100
21,330
5,770
d380: TIF 1989 (ELDERLY) BOND
FUND
TOTAL FUND 380 EXPENSES
23,200
11,509
11,691
0381: TIF 1990A (Y.MART) BOND
FUND
TOTAL FUND 381 EXPENSES
39,000
21,028
17,972
d382: TIF 1990D (REM/TAP) BOND
FD
TOTAL FUND 382 EXPENSES
21,100
21,100
C
05/10/91
12:53:00
CITY OF MONTICELLO
YTD EXPENSE GUIDELINE SUMMARY
FOR THE PERIOD ENDING
31Mar91
APPROVED
BUDGET
1991
f fff YYfiff }fYf YfR}ff•f}Rfffff 44f
•DEBT SVC EXPENDITURE SUMMARY:
• Personal Services
• Supplies
• Other Services & Charges
• Capital Outlay
• Debt Service 1,780,500
• Other Uses
•TOTAL DEBT SVC FUND EXPEN 1,780,500
1R}RYff}ff}fYY■4ffffR}}f}1f Yff}•-_----
C
YTD REMAINING
POSTED BALANCE
1,400,089 380,411
---------- ----------
1,400,089 380,411
---------- ----------
05/10/91
12:53:00
CITY OF MONTICELLO
YTD EXPENSE GUIDELINE SUMMARY
FOR THE PERIOD ENDING
31Mar91
L
APPROVED
YTD REMAINING
BUDGET
POSTED BALANCE
1991
4405: 90-2 7TH STR/KMART C.P.
FUND
TOTAL FUND 405 EXPENSES
669 (669)
"406: 88 WATER RESERVOIR C.P.
FUND
TOTAL FUND 406 EXPENSES
100 (100)
8407: 89 MISS/OAKWOOD/MER C.P.FUND
TOTAL FUND 407 EXPENSES
4408: 88-01B E CO RD 39 C.P.
FUND
TOTAL FUND 408 EXPENSES
n409: STREETSCAPE CAP PROJ FUND
TOTAL FUND 409 EXPENSES
0410: HWY 25 BRIDGE CAP PROJ
FUND
TOTAL FUND 410 EXPENSES
-411: CHELSEA ROAD CAP PkOJ FUND
1` TOTAL FUND 411 EXPENSES
9:412: INTERCEPTOR SEWER C.P.
FUND
TOTAL FUND 412 EXPENSES
4413: 90-1 BOOSTER PUMP C.P.
FUND
TOTAL FUND 413 EXPENSES
0414: 90-3 MEADOWS 2ND PH I1
CP FD
TOTAL FUND 414 EXPENSES
h415: 90-4 SANDBERG EAST C.P.
FUND
TOTAL FUND 415 EXPENSES
•CAP PROJ EXPENDITURE SUMMARY:
• Personal Services
• Supplies
• Ocher Services & Charges
769 (769)
• Capital Outlay
• Debt Service
• other uses
*TOTAL CAP PROJ FUND EXPEN
----------
eeoeecccce
----------' -------
769 769-;
ceeoe�eeee eoe omcecee
C...........
05/10/91
12:53:00
CITY OF MONTICELLO
YTD EXPENSE GUIDELINE SUMMARY
FOR THE PERIOD ENDING
31Mar91
APPROVED
YTD
REMAINING
BUDGET
POSTED
BALANCE
1991
WATER FUND
UNALLOCATED
Personal Services
Supplies
Other Services & Charges
Capital Outlay
Debt Service
Other Uses
----------
----------
Total Unallocated Expens
----------
----------
----------
----------
----------
WATER - ADMIN/GEN OPERATING
----------
----------
Personal Services
54,850
19,053
35,797
Supplies
30,900
5,519
25,381
Other Services & Charges
48,005
11,617
36,388
Capital Outlay
7,300
7,300
Debt Service
Other Uses
Total Admin/Gen Oper Exp
----------
--141,055-
----------
---36,189=
----------
--104_866-
TOTAL WATER FUND EXPENSES
141,055
36,189
104,866
SEWER FUND
WASTEWATER TREATMENT PLANT
Personal Services
1,175
1,175
Supplies
5,500
1,199
4,302
Other Services & Charges
352,975
101,024
251,951
Capital Outlay
Debt Service
Other Uses
----------
----------
Total WWTP Expenses
----------
359,650
a eennzeeee
102,223
cacznezeae
257,427
aececccznz
SEWER - ADMIN/GEN OPERATING
Personal Services
34,225
4,198
30,027
supplies
5,850
1,008
4,842
Other Services & Charges
17,115
2,330
14,785
Capital Outlay
91500
3,873
5,627
Debt Service
550
550
Other Uses
----------
----------
CTotal Adm1n/Gen Oper Exp
----------
67,240
11,408
55,832
05/10/91
12:53:00
CITY OF MONTICELLO
YTD
EXPENSE GUIDELINE
SUMMARY
FOR THE PERIOD
ENDING
31Mar91
APPROVED
YTD
REMAINING
BUDGET
POSTED
BALANCE
1991
TOTAL SEWER FUND EXPENSES
----------
----------
426,890
----------
----------
----------
----------
113,631
----------
----------
----------
----------
313,259
----------
----------
MUNICIPAL LIQUOR FUND
LIQUOR - PURCHASING
Personal Services
Supplies
965,650
145,276
820,374
Other Services & Charges
6,000
691
5,309
Capital Outlay
Debt Service
Other Uses
----------
Total Purchasing Expense
----------
971,650
----------
145,967
825,683
LIQUOR - OPERATIONS
Personal Services
96,950
25,736
71,214
Supplies
Other Services & Charges
6,900
55,225
1,327
18,879
5,573
36,346
Capital Outlay
19,000
19,000
Debt Service
Other Uses
5,475
4,444
1,031
----------
Total Operations Expense
----------
183,550
----------
50,386
133,164
TOTAL LIQUOR FUND EXPENSES
1,155,200
=oeeccee=c
196,354
c==ecce=ce
958,646
c=ccceccco
TRANSPORTATION FUND
TRANSIT/OPERATING
Personal Services
supplies
Other Services & Charges
58,485
11,377
47,108
Capital Outlay
Debt service
Other Uses
----------
Total Operating Expenses
----------
58,485
eeeeceee==
----------
11,377
ee=e......
47,108
====ecec=e
TRANSIT/ADMINISTRATION
Personal services
12,955
2,323
10,632
supplies
1,299
1,299
COther services & Charges
05/10/91
12:53:00
CITY OF MONTICELLO 05/10/91
YTD EXPENSE GUIDELINE SUMMARY 12:53:00
FOR THE PERIOD ENDING
31Mar91
APPROVED YTD REMAINING
BUDGET POSTED BALANCE
1991
Capital Outlay
Debt Service
other Uses
---------- ---------- ----------
Total Administration EXp 14,254 2,323 11,931
-------------------- ----------
---------- ---------- ----------
TOTAL TRANSPORTATION FUND EX 72,739 13,699 59,040
---------- --------------------
---------- ---------- ----------
INVESTMENT HOLDING FUND
Personal Services
Supplies
other Services & Charges
Capital Outlay
Debt Service
Other Uses
----------
----------
----------
,TOTAL INVESTMENT HOLDING EXP
occc
-EXPENDITURE SUMMARY - ALL
FUNDS
• Personal Services
989,590
238,120
751,470
• Supplies
1,106,874
179,091
927,783
• Other Services & Charges
1,380,750
352,132
1,028,618
• Capital Outlay
539,600
66,163
473,437
• Debt Service
1,841,960
1,411,596
430,364
• Other Uses
170,510
4,444
166,066
----------
•TOTAL EXPENSES - ALL FUND
----------
6,029,284
e ecececeee
----------
2,251,548
oceeceeeae
3,777,736
eeeooeccco
SUMMARY
CITY OF MONTICELLO
1991 "JUNK AMNESTY DAY"
Date Held: May 4, 1990
Public Hours: 9:00 a.m. to 4:00 p.m.
Paid Workers: 4
Volunteers: 5
City Equipment Used:
1 rubber -tire loader
1 pickup truck
2 single axle dump trucks (firewood 6 overflow of scrap metal)
40 traffic cones
Households Served: 363 (18.9% of city households) (1990-236 @ 13%)
Recyclers: Polka Dot (Buffalo), Metal Junkmen (Minneapolis),
! Appliance Recycling Center of America (Mpls)
\. Items Recycled:
A. 160 household appliances (27,200 pounds)
B. 14,000 pounds of scrap iron and metal
C. 2,060 pounds of scrap aluminum
D. 3,760 pounds of vehicle lead batteries (94 units)
E. 3,290 pounds or 470 gallons of used motor oil
F. Total: 50,310 pounds or 25 tons
Household Goods Disposed Of:
A. 200 cu yds of furniture, carpet, console tv's
B. 86 mattresses
Cost: Labor S 747.23
Advertising 228.20
Appliance pickup (Saturday) 1,120.00
Household goods 6 mattress disposal 2,961.00
$5,056.43
(1990 - $4,216.15)
14
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